WisdomTree Trust
Table of Contents

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-CSR

 

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number    811-21864

 

 

WisdomTree Trust

(Exact name of registrant as specified in charter)

 

 

245 Park Avenue, 35th Floor

New York, NY 10167

(Address of principal executive offices) (Zip code)

 

 

The Corporation Trust Company

1209 Orange Street

Wilmington, DE 19801

(Name and address of agent for service)

 

 

Registrant’s telephone number, including area code:    (866) 909-9473

Date of fiscal year end: March 31

Date of reporting period: September 30, 2017

 

 

Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles.

A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 100 F Street, NE, Washington, DC 20549. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

 

 


Table of Contents
Item 1. Reports to Stockholders.

The Report to Shareholders is attached herewith.


Table of Contents

LOGO

 

LOGO

 

WisdomTree Trust

Developed World ex-U.S. and Currency Hedged Equity Funds

 

Semi-Annual Report

September 30, 2017

WisdomTree Australia Dividend Fund (AUSE)

WisdomTree Europe Hedged Equity Fund (HEDJ)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

WisdomTree Europe SmallCap Dividend Fund (DFE)

WisdomTree Germany Hedged Equity Fund (DXGE)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

WisdomTree International Dividend ex-Financials Fund (DOO)

WisdomTree International Equity Fund (DWM)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

WisdomTree International High Dividend Fund (DTH)

WisdomTree International LargeCap Dividend Fund (DOL)

WisdomTree International MidCap Dividend Fund (DIM)

WisdomTree International Quality Dividend Growth Fund (IQDG)

WisdomTree International SmallCap Dividend Fund (DLS)

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

WisdomTree Japan Hedged Equity Fund (DXJ)

WisdomTree Japan Hedged Financials Fund (DXJF)

WisdomTree Japan Hedged Health Care Fund (DXJH)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)


Table of Contents

Table of Contents

 

Performance Summaries (unaudited)

       1  

Description of Indexes (unaudited)

       26  

Shareholder Expense Examples (unaudited)

       30  
Schedules of Investments (unaudited)     

WisdomTree Australia Dividend Fund

       33  

WisdomTree Europe Hedged Equity Fund

       35  

WisdomTree Europe Hedged SmallCap Equity Fund

       38  

WisdomTree Europe Quality Dividend Growth Fund

       42  

WisdomTree Europe SmallCap Dividend Fund

       45  

WisdomTree Germany Hedged Equity Fund

       50  

WisdomTree Global ex-U.S. Hedged Dividend Fund

       53  

WisdomTree Global ex-U.S. Hedged Real Estate Fund

       65  

WisdomTree International Dividend ex-Financials Fund

       73  

WisdomTree International Equity Fund

       75  

WisdomTree International Hedged Quality Dividend Growth Fund

       84  

WisdomTree International High Dividend Fund

       91  

WisdomTree International LargeCap Dividend Fund

       97  

WisdomTree International MidCap Dividend Fund

       101  

WisdomTree International Quality Dividend Growth Fund

       108  

WisdomTree International SmallCap Dividend Fund

       111  

WisdomTree Japan Hedged Capital Goods Fund

       121  

WisdomTree Japan Hedged Equity Fund

       124  

WisdomTree Japan Hedged Financials Fund

       131  

WisdomTree Japan Hedged Health Care Fund

       133  

WisdomTree Japan Hedged Quality Dividend Growth Fund

       135  

WisdomTree Japan Hedged Real Estate Fund

       139  

WisdomTree Japan Hedged SmallCap Equity Fund

       141  

WisdomTree Japan SmallCap Dividend Fund

       150  

WisdomTree United Kingdom Hedged Equity Fund

       159  

Statements of Assets and Liabilities (unaudited)

       162  

Statements of Operations (unaudited)

       167  

Statements of Changes in Net Assets (unaudited)

       172  

Financial Highlights (unaudited)

       181  

Notes to Financial Statements (unaudited)

       194  

Approval of Investment Advisory and Sub-Advisory Agreements (unaudited)

       214  

General Information (unaudited)

       217  

 

“WisdomTree” is a registered mark of WisdomTree Investments, Inc. and is licensed for use by the WisdomTree Trust.


Table of Contents

Performance Summary (unaudited)

WisdomTree Australia Dividend Fund (AUSE)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Financials

    24.1%  

Consumer Discretionary

    17.1%  

Materials

    13.9%  

Industrials

    11.6%  

Consumer Staples

    9.8%  

Health Care

    7.3%  

Information Technology

    5.2%  

Telecommunication Services

    5.2%  

Energy

    3.8%  

Utilities

    1.3%  

Other Assets less Liabilities

    0.7%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Harvey Norman Holdings Ltd.

    4.1%  

National Australia Bank Ltd.

    3.3%  

Fortescue Metals Group Ltd.

    3.2%  

Westpac Banking Corp.

    3.1%  

Australia & New Zealand Banking Group Ltd.

    2.8%  

Telstra Corp., Ltd.

    2.7%  

Macquarie Group Ltd.

    2.6%  

AMP Ltd.

    2.5%  

Tabcorp Holdings Ltd.

    2.3%  

Commonwealth Bank of Australia

    2.3%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Australia Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Australia Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     1.39     9.74     3.58     4.90     2.42     6.38

Fund Market Price Returns

     1.34     9.41     3.84     5.17     2.40     6.39

WisdomTree Pacific ex-Japan Equity Income/Australia Dividend Spliced Index2

     1.54     10.34     4.07     5.32     2.87     6.88

MSCI Pacific ex-Japan Value/MSCI Australia Spliced Index3

     1.20     13.09     2.80     3.91     2.16     5.85
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

 

2 

WisdomTree Pacific ex-Japan Equity Income Index through June 17, 2011; WisdomTree Australia Dividend Index thereafter.

 

3 

MSCI Pacific ex-Japan Value Index through June 17, 2011; MSCI Australia Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      1  


Table of Contents

Performance Summary (unaudited)

WisdomTree Europe Hedged Equity Fund (HEDJ)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Consumer Staples

    19.0%  

Consumer Discretionary

    17.7%  

Industrials

    14.9%  

Financials

    12.7%  

Materials

    11.7%  

Health Care

    10.8%  

Information Technology

    6.7%  

Telecommunication Services

    4.5%  

Energy

    1.4%  

Utilities

    0.1%  

Other Assets less Liabilities

    0.5%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Anheuser-Busch InBev S.A.

    6.1%  

Banco Santander S.A.

    4.8%  

Sanofi

    4.7%  

Banco Bilbao Vizcaya Argentaria S.A.

    4.6%  

Telefonica S.A.

    4.5%  

Unilever N.V., CVA

    4.2%  

Daimler AG, Registered Shares

    4.1%  

BASF SE

    3.4%  

Siemens AG, Registered Shares

    3.3%  

LVMH Moet Hennessy Louis Vuitton SE

    3.0%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Europe Hedged Equity Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Europe Hedged Equity Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     Since
Inception1
 

Fund NAV Returns

     4.86     23.07     10.20     13.45     8.50

Fund Market Price Returns

     4.92     23.30     10.28     13.30     8.52

WisdomTree DEFA International Hedged Equity/Europe Hedged Equity Spliced Index2

     4.96     23.80     10.69     13.89     9.01

MSCI EAFE Local Currency/MSCI EMU Local Currency Spliced Index3

     5.70     22.24     8.99     12.30     7.91
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on December 31, 2009.

 

2 

WisdomTree DEFA International Hedged Equity Index through August 29, 2012; WisdomTree Europe Hedged Equity Index thereafter.

 

3 

MSCI EAFE Local Currency Index through August 29, 2012; MSCI EMU Local Currency Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

2   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    24.0%  

Financials

    18.2%  

Consumer Discretionary

    16.9%  

Utilities

    8.1%  

Materials

    8.1%  

Consumer Staples

    5.9%  

Information Technology

    4.9%  

Real Estate

    4.7%  

Telecommunication Services

    4.2%  

Energy

    2.7%  

Health Care

    2.2%  

Other Assets less Liabilities

    0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

UnipolSai Assicurazioni SpA

    2.0%  

Eutelsat Communications S.A.

    1.8%  

bpost S.A.

    1.8%  

ASR Nederland N.V.

    1.4%  

Hugo Boss AG

    1.4%  

Nokian Renkaat Oyj

    1.3%  

FinecoBank Banca Fineco SpA

    1.2%  

UNIQA Insurance Group AG

    1.2%  

Freenet AG

    1.1%  

Lagardere SCA

    1.1%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Europe Hedged SmallCap Equity Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Europe Hedged SmallCap Equity Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      Since
Inception1
 

Fund NAV Returns

       10.27      28.91      12.21

Fund Market Price Returns

       10.33      29.09      11.81

WisdomTree Europe Hedged SmallCap Equity Index

       10.17      29.72      12.51

MSCI European Economic and Monetary Union (EMU) Small Cap Local Currency Index

       11.85      26.60      12.24
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on March 4, 2015.

 

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      3  


Table of Contents

Performance Summary (unaudited)

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    20.6%  

Industrials

    19.6%  

Consumer Staples

    19.4%  

Health Care

    16.8%  

Information Technology

    10.3%  

Materials

    6.2%  

Financials

    4.0%  

Real Estate

    1.8%  

Telecommunication Services

    0.6%  

Energy

    0.5%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Roche Holding AG, Genusschein

    6.1%  

Novo Nordisk A/S, Class B

    4.7%  

British American Tobacco PLC

    3.9%  

Unilever N.V., CVA

    3.6%  

SAP SE

    3.1%  

Diageo PLC

    2.9%  

LVMH Moet Hennessy Louis Vuitton SE

    2.8%  

Unilever PLC

    2.5%  

ABB Ltd., Registered Shares

    2.4%  

Industria de Diseno Textil S.A.

    2.3%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Europe Quality Dividend Growth Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Europe Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     Since
Inception1
 

Fund NAV Returns

     15.44     21.21     6.35     3.59

Fund Market Price Returns

     15.58     21.28     6.63     3.55

WisdomTree Europe Quality Dividend Growth Index

     15.59     21.61     6.80     4.02

MSCI Europe Index

     14.29     22.30     4.36     1.86
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on May 7, 2014.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

4   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Europe SmallCap Dividend Fund (DFE)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    24.3%  

Consumer Discretionary

    18.4%  

Financials

    14.9%  

Consumer Staples

    7.8%  

Information Technology

    7.8%  

Materials

    7.5%  

Real Estate

    6.1%  

Energy

    4.0%  

Utilities

    3.2%  

Telecommunication Services

    3.1%  

Health Care

    2.6%  

Investment Company

    0.0%

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

* Represents less than 0.1%.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

AURELIUS Equity Opportunities SE & Co. KGaA

    1.2%  

TalkTalk Telecom Group PLC

    1.1%  

Vedanta Resources PLC

    0.9%  

GAM Holding AG

    0.9%  

Enav SpA

    0.9%  

Saras SpA

    0.9%  

Tieto Oyj

    0.8%  

REN - Redes Energeticas Nacionais, SGPS, S.A.

    0.8%  

Sonae, SGPS, S.A.

    0.8%  

Euronav N.V.

    0.8%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Europe SmallCap Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Europe SmallCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     19.84     28.92     12.99     17.07     4.97     7.51

Fund Market Price Returns

     20.17     29.52     13.38     17.04     5.06     7.42

WisdomTree Europe SmallCap Dividend Index

     20.16     29.53     13.52     18.14     5.54     8.07

MSCI Europe Small Cap Index

     19.88     26.14     11.68     14.74     5.17     7.55
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

 

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      5  


Table of Contents

Performance Summary (unaudited)

WisdomTree Germany Hedged Equity Fund (DXGE)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    23.2%  

Industrials

    18.4%  

Financials

    16.8%  

Materials

    14.8%  

Health Care

    8.1%  

Information Technology

    5.6%  

Telecommunication Services

    5.2%  

Utilities

    5.0%  

Consumer Staples

    2.3%  

Other Assets less Liabilities

    0.6%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Allianz SE, Registered Shares

    6.6%  

BASF SE

    5.9%  

Daimler AG, Registered Shares

    5.8%  

Bayerische Motoren Werke AG

    5.4%  

Siemens AG, Registered Shares

    5.3%  

Bayer AG, Registered Shares

    5.2%  

Deutsche Telekom AG, Registered Shares

    5.2%  

Deutsche Post AG, Registered Shares

    4.2%  

SAP SE

    4.0%  

Muenchener Rueckversicherungs - Gesellschaft AG, Registered Shares

    3.7%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Germany Hedged Equity Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Germany Hedged Equity Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     Since
Inception1
 

Fund NAV Returns

     6.55     23.68     12.12     10.86

Fund Market Price Returns

     6.59     23.76     12.20     10.66

WisdomTree Germany Hedged Equity Index

     6.59     24.24     12.41     11.08

MSCI Germany Local Currency Index

     3.73     19.83     10.06     9.31
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on October 17, 2013.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

6   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    24.6%  

Consumer Discretionary

    10.9%  

Industrials

    10.6%  

Energy

    9.0%  

Consumer Staples

    8.6%  

Health Care

    8.0%  

Telecommunication Services

    7.6%  

Information Technology

    6.7%  

Materials

    5.9%  

Utilities

    3.9%  

Real Estate

    1.8%  

Investment Company

    1.7%  

Other Assets less Liabilities

    0.7%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

iPath MSCI India Index ETN

    1.7%  

Toyota Motor Corp.

    1.5%  

HSBC Holdings PLC

    1.4%  

Nestle S.A., Registered Shares

    1.3%  

Royal Dutch Shell PLC, Class A

    1.3%  

Novartis AG, Registered Shares

    1.2%  

Samsung Electronics Co., Ltd.

    1.2%  

BP PLC

    1.2%  

Royal Dutch Shell PLC, Class B

    1.0%  

China Construction Bank Corp., Class H

    1.0%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Global ex-U.S. Hedged Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Global ex-U.S. Hedged Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.44%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      Since
Inception1
 

Fund NAV Returns

       6.39      18.09      4.12

Fund Market Price Returns

       6.88      18.35      4.36

WisdomTree Global ex-U.S. Hedged Dividend Index

       6.71      18.68      4.58

MSCI AC World ex-USA Local Currency Index

       7.85      19.05      4.84
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 4, 2015.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      7  


Table of Contents

Performance Summary (unaudited)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

 

Industry Breakdown† as of 9/30/17

 

Industry   % of Net Assets  

Real Estate Management & Development

    56.8%  

Equity Real Estate Investment Trusts (REITs)

    42.5%  

Investment Company

    0.0%

Media

    0.0%

Other Assets less Liabilities

    0.7%  

Total

    100.0%  

 

The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

 

* Represents less than 0.1%.

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Sun Hung Kai Properties Ltd.

    3.4%  

Country Garden Holdings Co., Ltd.

    3.4%  

China Overseas Land & Investment Ltd.

    2.5%  

Wharf Holdings Ltd. (The)

    2.5%  

Unibail-Rodamco SE

    2.2%  

Henderson Land Development Co., Ltd.

    2.0%  

Scentre Group

    1.9%  

Daiwa House Industry Co., Ltd.

    1.8%  

Sunac China Holdings Ltd.

    1.8%  

Link REIT

    1.7%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Global ex-U.S. Hedged Real Estate Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Global ex-U.S. Hedged Real Estate Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s net and gross annual expense ratios were 0.43% and 0.58%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.43% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      Since
Inception1
 

Fund NAV Returns

       13.56      17.40      12.76

Fund Market Price Returns

       13.79      16.97      12.93

WisdomTree Global ex-U.S. Hedged Real Estate Index

       13.34      17.43      12.96

Dow Jones Global ex-U.S. Select Real Estate Securities Index (USD) Hedged

       1.74      2.43      1.18
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the BATS Exchange, Inc. on October 29, 2015.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

8   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree International Dividend ex-Financials Fund (DOO)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Utilities

    15.4%  

Telecommunication Services

    14.8%  

Energy

    14.2%  

Industrials

    11.0%  

Consumer Discretionary

    10.4%  

Materials

    10.0%  

Health Care

    9.0%  

Consumer Staples

    8.5%  

Information Technology

    5.8%  

Investment Company

    0.5%  

Other Assets less Liabilities

    0.4%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Electricite de France S.A.

    2.4%  

Engie S.A.

    2.1%  

Royal Dutch Shell PLC, Class A

    2.1%  

Telenor ASA

    2.0%  

BP PLC

    1.8%  

Telia Co. AB

    1.8%  

Telefonica Deutschland Holding AG

    1.7%  

SSE PLC

    1.6%  

Eni SpA

    1.6%  

Telstra Corp., Ltd.

    1.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree International Dividend ex-Financials Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International Dividend ex-Financials Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     10.00     14.12     0.83     5.38     -0.21     3.23

Fund Market Price Returns

     9.84     13.83     0.92     5.42     -0.29     3.14

WisdomTree International Dividend Top 100/International Dividend ex-Financials Spliced Index2

     10.08     14.51     1.18     5.70     -0.14     3.44

MSCI EAFE Value Index

     10.93     22.55     3.50     7.80     0.49     3.12
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

 

2 

WisdomTree International Dividend Top 100 Index through May 7, 2009; WisdomTree International Dividend ex-Financials index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      9  


Table of Contents

Performance Summary (unaudited)

WisdomTree International Equity Fund (DWM)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    22.7%  

Industrials

    12.8%  

Consumer Discretionary

    11.8%  

Consumer Staples

    9.5%  

Energy

    8.7%  

Health Care

    8.4%  

Telecommunication Services

    7.5%  

Materials

    6.3%  

Utilities

    5.8%  

Information Technology

    3.4%  

Real Estate

    2.7%  

Other Assets less Liabilities

    0.4%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

HSBC Holdings PLC

    1.7%  

Royal Dutch Shell PLC, Class A

    1.7%  

BP PLC

    1.5%  

Royal Dutch Shell PLC, Class B

    1.4%  

Novartis AG, Registered Shares

    1.4%  

Anheuser-Busch InBev S.A.

    1.3%  

Nestle S.A., Registered Shares

    1.3%  

Toyota Motor Corp.

    1.2%  

TOTAL S.A.

    1.2%  

China Mobile Ltd.

    1.2%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree International Equity Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International Equity Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     11.83     19.48     4.79     8.28     1.32     4.40

Fund Market Price Returns

     11.78     19.45     4.89     8.46     1.31     4.42

WisdomTree International Equity Index

     12.07     20.12     4.98     8.52     1.68     4.73

MSCI EAFE Index

     11.86     19.10     5.04     8.38     1.34     4.00
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

10   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    20.1%  

Consumer Staples

    19.4%  

Health Care

    19.0%  

Industrials

    16.9%  

Information Technology

    11.3%  

Materials

    4.8%  

Financials

    3.5%  

Real Estate

    3.3%  

Telecommunication Services

    0.7%  

Energy

    0.4%  

Other Assets less Liabilities

    0.6%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Roche Holding AG, Genusschein

    5.7%  

Novo Nordisk A/S, Class B

    5.0%  

Unilever N.V., CVA

    4.8%  

British American Tobacco PLC

    3.5%  

LVMH Moet Hennessy Louis Vuitton SE

    3.4%  

Diageo PLC

    2.8%  

Airbus SE

    2.8%  

Industria de Diseno Textil S.A.

    2.7%  

Unilever PLC

    2.5%  

China Overseas Land & Investment Ltd.

    2.2%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree International Hedged Quality Dividend Growth Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International Hedged Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     Since
Inception1
 

Fund NAV Returns

     8.41     18.25     10.61     9.48

Fund Market Price Returns

     8.35     17.89     10.65     9.29

WisdomTree International Hedged Quality Dividend Growth Index

     8.89     18.98     11.13     10.14

MSCI EAFE Local Currency Index

     6.16     19.02     7.87     8.20
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on May 7, 2014.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      11  


Table of Contents

Performance Summary (unaudited)

WisdomTree International High Dividend Fund (DTH)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    23.4%  

Energy

    12.2%  

Telecommunication Services

    10.6%  

Consumer Discretionary

    10.0%  

Industrials

    9.5%  

Health Care

    8.9%  

Utilities

    8.8%  

Consumer Staples

    6.9%  

Materials

    5.6%  

Real Estate

    2.4%  

Information Technology

    1.4%  

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Royal Dutch Shell PLC, Class A

    2.9%  

BP PLC

    2.6%  

Novartis AG, Registered Shares

    2.4%  

Anheuser-Busch InBev S.A.

    2.2%  

TOTAL S.A.

    2.2%  

Toyota Motor Corp.

    2.1%  

HSBC Holdings PLC

    2.1%  

China Mobile Ltd.

    2.0%  

Roche Holding AG, Genusschein

    1.8%  

GlaxoSmithKline PLC

    1.4%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree International High Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International High Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     10.73     19.20     2.77     7.19     0.45     3.41

Fund Market Price Returns

     10.53     19.26     2.87     7.26     0.44     3.39

WisdomTree International High Dividend Index

     10.73     19.43     3.06     7.55     0.79     3.94

MSCI EAFE Value Index

     10.93     22.55     3.50     7.80     0.49     3.12

 

* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

12   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree International LargeCap Dividend Fund (DOL)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    24.1%  

Energy

    11.5%  

Consumer Staples

    10.7%  

Health Care

    10.4%  

Consumer Discretionary

    10.0%  

Telecommunication Services

    9.5%  

Industrials

    9.1%  

Utilities

    5.2%  

Materials

    4.7%  

Information Technology

    2.8%  

Real Estate

    1.5%  

Investment Company

    0.2%  

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Royal Dutch Shell PLC, Class A

    2.4%  

HSBC Holdings PLC

    2.3%  

BP PLC

    2.1%  

Royal Dutch Shell PLC, Class B

    2.1%  

Novartis AG, Registered Shares

    2.0%  

Nestle S.A., Registered Shares

    1.9%  

Anheuser-Busch InBev S.A.

    1.8%  

Toyota Motor Corp.

    1.8%  

TOTAL S.A.

    1.8%  

China Mobile Ltd.

    1.7%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree International LargeCap Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International LargeCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     11.40     18.69     3.26     7.05     0.73     3.75

Fund Market Price Returns

     11.32     18.47     3.28     7.05     0.67     3.67

WisdomTree International LargeCap Dividend Index

     11.47     19.06     3.52     7.42     0.94     4.06

MSCI EAFE Index

     11.86     19.10     5.04     8.38     1.34     4.00
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      13  


Table of Contents

Performance Summary (unaudited)

WisdomTree International MidCap Dividend Fund (DIM)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    20.2%  

Financials

    18.7%  

Consumer Discretionary

    15.8%  

Materials

    10.7%  

Utilities

    8.4%  

Real Estate

    6.4%  

Consumer Staples

    6.3%  

Information Technology

    4.5%  

Telecommunication Services

    3.3%  

Health Care

    3.3%  

Energy

    1.9%  

Other Assets less Liabilities

    0.5%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Fortum Oyj

    1.1%  

Standard Life Aberdeen PLC

    0.7%  

Centrica PLC

    0.7%  

Fortescue Metals Group Ltd.

    0.7%  

Marine Harvest ASA

    0.6%  

EDP - Energias de Portugal S.A.

    0.6%  

Aegon N.V.

    0.5%  

NN Group N.V.

    0.5%  

ITV PLC

    0.5%  

Persimmon PLC

    0.5%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree International MidCap Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International MidCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     12.73     21.28     8.17     10.56     2.90     5.96

Fund Market Price Returns

     12.51     21.53     8.44     10.77     2.92     5.92

WisdomTree International MidCap Dividend Index

     12.99     21.75     8.48     11.03     2.97     6.12

MSCI EAFE Mid Cap Index

     13.80     19.60     8.67     10.83     2.48     4.98
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

14   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree International Quality Dividend Growth Fund (IQDG)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    20.2%  

Consumer Staples

    19.3%  

Health Care

    19.0%  

Industrials

    16.9%  

Information Technology

    11.3%  

Materials

    4.9%  

Financials

    3.5%  

Real Estate

    3.3%  

Telecommunication Services

    0.8%  

Energy

    0.5%  

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Roche Holding AG, Genusschein

    5.8%  

Novo Nordisk A/S, Class B

    5.0%  

Unilever N.V., CVA

    4.4%  

British American Tobacco PLC

    3.3%  

LVMH Moet Hennessy Louis Vuitton SE

    3.1%  

Diageo PLC

    2.9%  

Unilever PLC

    2.6%  

Industria de Diseno Textil S.A.

    2.6%  

Airbus SE

    2.6%  

China Overseas Land & Investment Ltd.

    2.2%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree International Quality Dividend Growth Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s net and gross annual expense ratios were 0.38% and 0.48%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.38% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      Since
Inception1
 

Fund NAV Returns

       14.82      19.07      14.96

Fund Market Price Returns

       14.80      19.26      15.52

WisdomTree International Quality Dividend Growth Index

       14.91      19.24      15.44

MSCI EAFE Index

       11.86      19.10      18.29
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the BATS Exchange, Inc. on April 7, 2016.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds     
15
 


Table of Contents

Performance Summary (unaudited)

WisdomTree International SmallCap Dividend Fund (DLS)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    22.8%  

Consumer Discretionary

    20.2%  

Financials

    13.2%  

Materials

    9.2%  

Information Technology

    8.2%  

Real Estate

    7.0%  

Consumer Staples

    6.9%  

Health Care

    4.1%  

Energy

    3.0%  

Utilities

    2.8%  

Telecommunication Services

    2.0%  

Investment Company

    0.2%  

Other Assets less Liabilities

    0.4%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

TalkTalk Telecom Group PLC

    0.7%  

UNIQA Insurance Group AG

    0.7%  

Venture Corp., Ltd.

    0.6%  

Vedanta Resources PLC

    0.5%  

Saras SpA

    0.5%  

Air New Zealand Ltd.

    0.5%  

Austevoll Seafood ASA

    0.5%  

Seven Group Holdings Ltd.

    0.5%  

Platinum Asset Management Ltd.

    0.5%  

Genesis Energy Ltd.

    0.5%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

 

The WisdomTree International SmallCap Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International SmallCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     15.42     24.31     10.88     12.95     4.49     7.02

Fund Market Price Returns

     15.27     24.12     11.02     13.03     4.46     6.99

WisdomTree International SmallCap Dividend Index

     15.34     24.32     11.29     13.44     4.94     7.47

MSCI EAFE Small Cap Index

     16.16     21.84     11.13     12.85     4.63     6.06
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

16   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

 

Industry Breakdown† as of 9/30/17

 

Industry   % of Net Assets  

Machinery

    29.1%  

Automobiles

    28.1%  

Auto Components

    16.4%  

Electrical Equipment

    10.0%  

Building Products

    5.8%  

Metals & Mining

    5.5%  

Construction & Engineering

    2.2%  

Chemicals

    2.0%  

Other Assets less Liabilities

    0.9%  

Total

    100.0%  

 

The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Toyota Motor Corp.

    10.0%  

Honda Motor Co., Ltd.

    6.1%  

FANUC Corp.

    4.5%  

Nidec Corp.

    3.8%  

Mitsubishi Electric Corp.

    3.7%  

Bridgestone Corp.

    3.5%  

Daikin Industries Ltd.

    3.4%  

Denso Corp.

    3.1%  

Komatsu Ltd.

    3.0%  

SMC Corp.

    2.7%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Japan Hedged Capital Goods Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Hedged Capital Goods Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market

price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      Since
Inception1
 

Fund NAV Returns

       12.43      34.98      6.21      9.82

Fund Market Price Returns

       11.70      33.70      6.23      10.25

WisdomTree Japan Hedged Capital Goods Index

       11.70      34.54      6.48      10.14

MSCI Japan Local Currency Index

       10.48      26.83      8.68      11.43
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on April 8, 2014.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      17  


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan Hedged Equity Fund (DXJ)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    25.2%  

Industrials

    21.8%  

Information Technology

    13.2%  

Financials

    12.5%  

Materials

    9.2%  

Health Care

    8.7%  

Consumer Staples

    7.3%  

Telecommunication Services

    0.7%  

Utilities

    0.2%  

Energy

    0.1%  

Other Assets less Liabilities

    1.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Toyota Motor Corp.

    5.3%  

Mitsubishi UFJ Financial Group, Inc.

    3.6%  

Japan Tobacco, Inc.

    3.4%  

Nissan Motor Co., Ltd.

    3.1%  

Sumitomo Mitsui Financial Group, Inc.

    3.0%  

Canon, Inc.

    2.8%  

Mizuho Financial Group, Inc.

    2.7%  

Honda Motor Co., Ltd.

    2.6%  

Takeda Pharmaceutical Co., Ltd.

    2.2%  

Mitsubishi Corp.

    2.1%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Japan Hedged Equity Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Hedged Equity Index. The Fund seeks to provide Japanese equity returns while mitigating or “hedging” against fluctuations between the value of the Japanese yen and the U.S. dollar.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     10.40     31.98     8.37     16.93     3.21     3.72

Fund Market Price Returns

     9.85     30.85     8.24     16.97     3.27     3.74

WisdomTree Japan Dividend/Japan Hedged Equity Spliced Index2

     10.73     33.02     9.33     17.80     3.58     4.04

MSCI Japan/MSCI Japan Local Currency Spliced Index3

     10.48     26.83     8.68     19.08     3.54     4.09
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

 

2 

WisdomTree Japan Dividend Index through March 31, 2010; WisdomTree Japan Hedged Equity Index thereafter.

 

3 

MSCI Japan Index through March 31, 2010; MSCI Japan Local Currency Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

18   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan Hedged Financials Fund (DXJF)

 

Industry Breakdown† as of 9/30/17

 

Industry   % of Net Assets  

Banks

    51.7%  

Insurance

    27.6%  

Capital Markets

    11.9%  

Consumer Finance

    3.9%  

Diversified Financial Services

    3.7%  

Other Assets less Liabilities

    1.2%  

Total

    100.0%  

 

The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Tokio Marine Holdings, Inc.

    8.5%  

MS&AD Insurance Group Holdings, Inc.

    4.8%  

Sompo Holdings, Inc.

    4.5%  

Dai-ichi Life Holdings, Inc.

    4.2%  

Nomura Holdings, Inc.

    4.1%  

Mitsubishi UFJ Financial Group, Inc.

    4.0%  

Sumitomo Mitsui Trust Holdings, Inc.

    4.0%  

Mizuho Financial Group, Inc.

    3.9%  

Sumitomo Mitsui Financial Group, Inc.

    3.9%  

Resona Holdings, Inc.

    3.3%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Japan Hedged Financials Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Hedged Financials Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market

price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      Since
Inception1
 

Fund NAV Returns

       4.67      30.87      3.21      5.56

Fund Market Price Returns

       4.22      29.49      3.11      6.04

WisdomTree Japan Hedged Financials Index

       5.27      31.89      4.26      6.52

MSCI Japan Local Currency Index

       10.48      26.83      8.68      11.43
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on April 8, 2014.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      19  


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan Hedged Health Care Fund (DXJH)

 

Industry Breakdown† as of 9/30/17

 

Industry   % of Net Assets  

Pharmaceuticals

    61.5%  

Health Care Equipment & Supplies

    21.7%  

Food & Staples Retailing

    6.9%  

Health Care Providers & Services

    5.7%  

Health Care Technology

    1.8%  

Biotechnology

    1.4%  

Life Sciences Tools & Services

    0.2%  

Other Assets less Liabilities

    0.8%  

Total

    100.0%  

 

The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Takeda Pharmaceutical Co., Ltd.

    10.1%  

Astellas Pharma, Inc.

    8.8%  

Otsuka Holdings Co., Ltd.

    6.9%  

Hoya Corp.

    6.7%  

Shionogi & Co., Ltd.

    5.4%  

Eisai Co., Ltd.

    5.1%  

Daiichi Sankyo Co., Ltd.

    4.7%  

Terumo Corp.

    4.0%  

Olympus Corp.

    3.6%  

Ono Pharmaceutical Co., Ltd.

    3.4%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Japan Hedged Health Care Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Hedged Health Care Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     Since
Inception1
 

Fund NAV Returns

     8.03     12.54     13.49     16.74

Fund Market Price Returns

     7.67     11.71     13.25     17.27

WisdomTree Japan Hedged Health Care Index

     8.11     12.56     14.10     17.36

MSCI Japan Local Currency Index

     10.48     26.83     8.68     11.43
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on April 8, 2014.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

20   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    25.3%  

Industrials

    20.2%  

Information Technology

    11.4%  

Consumer Staples

    10.8%  

Telecommunication Services

    9.9%  

Materials

    8.6%  

Health Care

    7.6%  

Real Estate

    2.9%  

Financials

    1.9%  

Utilities

    0.3%  

Energy

    0.1%  

Other Assets less Liabilities

    1.0%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Toyota Motor Corp.

    4.8%  

NTT DOCOMO, Inc.

    4.7%  

Japan Tobacco, Inc.

    4.5%  

KDDI Corp.

    4.3%  

Nissan Motor Co., Ltd.

    3.4%  

ITOCHU Corp.

    2.0%  

Subaru Corp.

    2.0%  

Bridgestone Corp.

    1.9%  

Denso Corp.

    1.9%  

FANUC Corp.

    1.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Japan Hedged Quality Dividend Growth Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Hedged Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s net and gross annual expense ratios were 0.43% and 0.48%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.43% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      Since
Inception1
 

Fund NAV Returns

       11.74      27.72      4.32

Fund Market Price Returns

       11.36      26.93      4.17

WisdomTree Japan Hedged Quality Dividend Growth Index

       11.79      28.30      4.74

JPX-Nikkei 400 Local Currency Index

       10.31      27.07      2.61
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on April 9, 2015.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      21  


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

 

Industry Breakdown† as of 9/30/17

 

Industry   % of Net Assets  

Real Estate Management & Development

    37.0%  

Equity Real Estate Investment Trusts (REITs)

    26.5%  

Construction & Engineering

    16.9%  

Household Durables

    9.3%  

Building Products

    5.5%  

Construction Materials

    2.0%  

Transportation Infrastructure

    1.7%  

Capital Markets

    0.2%  

Other Assets less Liabilities

    0.9%  

Total

    100.0%  

 

The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Mitsubishi Estate Co., Ltd.

    7.3%  

Daiwa House Industry Co., Ltd.

    7.0%  

Mitsui Fudosan Co., Ltd.

    6.5%  

Sumitomo Realty & Development Co., Ltd.

    4.2%  

Daito Trust Construction Co., Ltd.

    4.0%  

Taisei Corp.

    3.4%  

Sekisui House Ltd.

    3.3%  

Kajima Corp.

    2.7%  

Sekisui Chemical Co., Ltd.

    2.6%  

Obayashi Corp.

    2.5%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

 

The WisdomTree Japan Hedged Real Estate Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Hedged Real Estate Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     Since
Inception1
 

Fund NAV Returns

     10.74     17.92     6.24     8.47

Fund Market Price Returns

     10.48     16.06     5.79     8.68

WisdomTree Japan Hedged Real Estate Index

     10.91     18.61     6.98     9.22

MSCI Japan Local Currency Index

     10.48     26.83     8.68     11.43
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on April 8, 2014.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

22   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    25.7%  

Consumer Discretionary

    22.3%  

Materials

    12.5%  

Financials

    11.0%  

Information Technology

    10.7%  

Consumer Staples

    6.7%  

Health Care

    4.9%  

Real Estate

    3.1%  

Energy

    1.3%  

Utilities

    1.0%  

Other Assets less Liabilities

    0.8%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Sankyo Co., Ltd.

    0.7%  

SBI Holdings, Inc.

    0.7%  

Sojitz Corp.

    0.6%  

Aoyama Trading Co., Ltd.

    0.6%  

Yokohama Rubber Co., Ltd. (The)

    0.5%  

DIC Corp.

    0.5%  

Canon Marketing Japan, Inc.

    0.5%  

Hachijuni Bank Ltd. (The)

    0.4%  

Maruichi Steel Tube Ltd.

    0.4%  

Okumura Corp.

    0.4%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Japan Hedged SmallCap Equity Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Hedged SmallCap Equity Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     Since
Inception1
 

Fund NAV Returns

     15.54     39.81     15.92     16.18

Fund Market Price Returns

     15.51     39.82     15.96     16.04

WisdomTree Japan Hedged SmallCap Equity Index

     15.77     40.61     16.76     17.21

MSCI Japan Small Cap Local Currency Index

     14.23     31.94     14.33     16.00
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on June 28, 2013.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      23  


Table of Contents

Performance Summary (unaudited)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    25.9%  

Consumer Discretionary

    22.1%  

Materials

    12.5%  

Financials

    11.1%  

Information Technology

    10.8%  

Consumer Staples

    6.6%  

Health Care

    4.8%  

Real Estate

    3.1%  

Energy

    1.3%  

Utilities

    1.0%  

Investment Company

    0.0%

Other Assets less Liabilities

    0.8%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

 

* Represents less than 0.1%.

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Sankyo Co., Ltd.

    0.7%  

SBI Holdings, Inc.

    0.6%  

Sojitz Corp.

    0.6%  

Yokohama Rubber Co., Ltd. (The)

    0.5%  

Aoyama Trading Co., Ltd.

    0.5%  

DIC Corp.

    0.5%  

Hachijuni Bank Ltd. (The)

    0.5%  

Tokai Tokyo Financial Holdings, Inc.

    0.4%  

Canon Marketing Japan, Inc.

    0.4%  

Showa Denko K.K.

    0.4%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Japan SmallCap Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan SmallCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     13.54     24.50     15.11     13.88     6.12     5.23

Fund Market Price Returns

     13.46     24.22     15.14     14.07     6.16     5.38

WisdomTree Japan SmallCap Dividend Index

     13.85     25.48     15.58     14.57     6.84     5.91

MSCI Japan Small Cap Index

     13.08     18.70     13.35     13.85     5.73     4.04
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

24   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Staples

    17.9%  

Energy

    16.6%  

Financials

    14.4%  

Health Care

    10.3%  

Materials

    10.0%  

Telecommunication Services

    8.4%  

Industrials

    8.4%  

Consumer Discretionary

    7.0%  

Utilities

    4.8%  

Information Technology

    1.4%  

Real Estate

    0.9%  

Other Assets less Liabilities

    -0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Royal Dutch Shell PLC, Class A

    5.6%  

Royal Dutch Shell PLC, Class B

    5.5%  

BP PLC

    5.3%  

Vodafone Group PLC

    4.9%  

AstraZeneca PLC

    4.8%  

HSBC Holdings PLC

    4.8%  

GlaxoSmithKline PLC

    4.6%  

Rio Tinto PLC

    4.5%  

British American Tobacco PLC

    4.4%  

Diageo PLC

    3.7%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

 

The WisdomTree United Kingdom Hedged Equity Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree United Kingdom Hedged Equity Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     Since
Inception1
 

Fund NAV Returns

     2.61     11.00     7.94     8.04

Fund Market Price Returns

     2.48     10.35     7.81     7.58

WisdomTree United Kingdom Hedged Equity Index

     3.11     11.92     8.72     8.83

MSCI United Kingdom Local Currency Index

     2.65     11.00     7.32     7.77
* Returns of less than one year are cumulative.

 

1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on June 28, 2013.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      25  


Table of Contents

Description of Indexes (unaudited)

 

 

Below are descriptions of each Index referenced in this report:

The Dow Jones Global ex-U.S. Select Real Estate Securities Index (USD) Hedged is a float-adjusted market capitalization weighted index that defines and measures the investable universe of publicly traded real estate securities in countries outside the U.S. The USD-hedged version of this index is designed to hedge against U.S. dollar risk.

The JPX-Nikkei 400 Local Currency Index is a free-float adjusted market capitalization index composed of Japanese companies whose main market is the TSE First Section, Second Section, Mothers or JASDAQ market (in principal), calculated in local currency.

The MSCI AC World ex-USA Local Currency Index is a float-adjusted market capitalization index that is designed to measure the combined equity market performance of developed and emerging market countries, excluding the United States, in local currency.

The MSCI Australia Index is comprised of large- and mid-capitalization segments of the Australia market.

The MSCI EAFE Index is a market cap-weighted index composed of companies representative of the developed market structure of 21 developed countries in Europe, Australasia and Japan.

The MSCI EAFE Local Currency Index is a free float-adjusted market capitalization weighted index that is designed to measure developed market equity performance, excluding the U.S. and Canada which is calculated in local currency.

The MSCI EAFE Mid Cap Index is a free float-adjusted market capitalization index that is designed to measure the performance of mid-capitalization equities in the developed markets excluding the U.S. & Canada.

The MSCI EAFE Small Cap Index is comprised of small-capitalization stocks in the MSCI EAFE Index.

The MSCI EAFE Value Index is comprised of value stocks in the MSCI EAFE Index.

The MSCI Europe Index is a free float-adjusted market capitalization index that is designed to measure the performance of large- and mid-cap stocks within 15 developed market European countries.

The MSCI Europe Small Cap Index is comprised of small-capitalization stocks in the MSCI Europe Index.

The MSCI European Economic and Monetary Union (EMU) Local Currency Index is a free float-adjusted market capitalization weighted index that is designed to measure the equity market performance of the developed market countries within the EMU. The securities are priced in local currency terms with no conversion into U.S. dollars.

The MSCI European Economic and Monetary Union (EMU) Small Cap Local Currency Index is a free float-adjusted market capitalization weighted index that is designed to measure the equity market performance of small-cap stocks from developed market countries within the EMU. The securities are priced in local currency terms with no conversion into U.S. dollars.

The MSCI Germany Local Currency Index is a capitalization weighted index that measures the performance of the Germany equity market and provides local currency returns, which are not translated back to U.S. dollars.

The MSCI Japan Index is a capitalization weighted index that is comprised of stocks in Japan.

The MSCI Japan Local Currency Index is a free float-adjusted market capitalization index that is designed to measure developed market equity performance in Japan and calculated in local currency.

The MSCI Japan Small Cap Index is comprised of small cap stocks in the MSCI Japan Index.

 

26   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Description of Indexes (unaudited) (continued)

 

The MSCI Japan Small Cap Local Currency Index is a free float-adjusted market capitalization index that is designed to measure the performance of small cap stocks within Japan and calculated in local currency.

The MSCI Pacific ex-Japan Index is a subset of the MSCI EAFE Index that is comprised of stocks in Australia, Hong Kong, Singapore and New Zealand.

The MSCI Pacific ex-Japan Value Index is comprised of value stocks in the MSCI Pacific ex-Japan Index.

The MSCI United Kingdom Local Currency Index is a capitalization weighted index that measures the performance of the British equity market and provides local currency returns, which are not translated back to U.S. dollars.

The WisdomTree Australia Dividend Index is comprised of dividend-paying companies incorporated in Australia.

The WisdomTree DEFA International Hedged Equity Index is comprised of dividend-paying companies in the industrialized world, excluding Canada and the United States, and is designed to neutralize exposure to fluctuations between the value of the U.S. dollar and non-U.S. currencies reflected in the index. This index is based on the WisdomTree International Equity Index.

The WisdomTree Europe Hedged Equity Index is designed to provide exposure to European equities while at the same time neutralizing exposure to fluctuations between the Euro and the U.S. dollar.

The WisdomTree Europe Hedged SmallCap Equity Index is a dividend weighted index designed to provide exposure to small cap equity securities within Europe, while at the same time neutralizing exposure to fluctuations between the value of the Euro and the U.S. dollar.

The WisdomTree Europe Quality Dividend Growth Index is a fundamentally weighted index that measures the performance of dividend-paying common stocks with growth characteristics selected from the WisdomTree International Equity Index.

The WisdomTree Europe SmallCap Dividend Index is comprised of the small-capitalization segment of the European dividend-paying market.

The WisdomTree Germany Hedged Equity Index is designed to provide exposure to Germany equity markets while at the same time neutralizing exposure to fluctuations of the Euro movements relative to the U.S. dollar. In this sense, the Index “hedges” against fluctuations in the relative value of the Euro against the U.S. dollar.

The WisdomTree Global ex-U.S. Hedged Dividend Index measures the performance of dividend-paying companies in the developed and emerging markets outside of the United States while at the same time neutralizing exposure to fluctuations of foreign currency movements relative to the U.S. dollar.

The WisdomTree Global ex-U.S. Hedged Real Estate Index is a fundamentally weighted index that measures the performance of companies from developed and emerging markets outside of the United States that are classified as being part of the “Global Real Estate.”

The WisdomTree International Dividend ex-Financials Index is comprised of high dividend-yielding international stocks outside the financial sector.

The WisdomTree International Dividend Top 100 Index is comprised of the 100 highest dividend-yielding companies in the WisdomTree International LargeCap Dividend Index.

The WisdomTree International Equity Index is comprised of dividend-paying companies in the industrialized world, excluding Canada and the United States.

The WisdomTree International Hedged Quality Dividend Growth Index is designed to provide exposure to the developed market companies while at the same time neutralizing exposure to fluctuations between the value of foreign currencies and the U.S. dollar.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      27  


Table of Contents

Description of Indexes (unaudited) (continued)

 

 

The WisdomTree International High Dividend Index is comprised of companies with high dividend yields selected from the WisdomTree International Equity Index.

The WisdomTree International LargeCap Dividend Index is comprised of the large-capitalization segment of the dividend-paying market in the industrialized world outside the U.S. and Canada.

The WisdomTree International MidCap Dividend Index is comprised of the mid-capitalization segment of the dividend-paying market in the industrialized world outside the U.S. and Canada.

The WisdomTree International Quality Dividend Growth Index is a fundamentally weighted index designed to provide exposure to dividend paying developed market companies.

The WisdomTree International SmallCap Dividend Index is comprised of the small-capitalization segment of the dividend-paying market in the industrialized world outside the U.S. and Canada.

The WisdomTree Japan Dividend Index is comprised of dividend-paying companies incorporated in Japan, listed on the Tokyo Stock Exchange and that meet other requirements necessary to be included in the WisdomTree International Equity Index.

The WisdomTree Japan Hedged Capital Goods Index is designed to provide exposure to Japanese capital goods companies while at the same time neutralizing exposure to fluctuations between the Yen and the U.S. dollar.

The WisdomTree Japan Hedged Equity Index is designed to provide exposure to Japanese equity markets while at the same time neutralizing exposure to fluctuations of the Japanese Yen movements relative to the U.S. dollar. This index is based on the WisdomTree Japan Dividend Index.

The WisdomTree Japan Hedged Financials Index is designed to provide exposure to Japanese financial companies while at the same time neutralizing exposure to fluctuations between the Yen and the U.S. dollar.

The WisdomTree Japan Hedged Health Care Index is designed to provide exposure to Japanese health care companies while at the same time neutralizing exposure to fluctuations between the Yen and the U.S. dollar.

The WisdomTree Japan Hedged Quality Dividend Growth Index is a fundamentally weighted index that measures the performance of dividend-paying common stocks with growth characteristics selected from the WisdomTree International Equity Index while at the same time neutralizing exposure to fluctuations between the Yen and the U.S. dollar.

The WisdomTree Japan Hedged Real Estate Index is designed to provide exposure to Japanese real estate companies while at the same time neutralizing exposure to fluctuations between the Yen and the U.S. dollar.

The WisdomTree Japan Hedged SmallCap Equity Index is designed to provide exposure to the small-capitalization segment of the Japanese equity markets while at the same time neutralizing exposure to fluctuations of the Japanese Yen movements relative to the U.S. dollar.

The WisdomTree Japan SmallCap Dividend Index is comprised of dividend-paying small-capitalization companies in Japan.

The WisdomTree Pacific ex-Japan Equity Income Index is comprised of companies with high dividend yields selected from the WisdomTree Pacific ex-Japan Dividend Index.

The WisdomTree United Kingdom Hedged Equity Index is designed to provide exposure to United Kingdom equity markets while at the same time neutralizing exposure to fluctuations of the British Pound movements relative to the U.S. dollar.

 

28   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Description of Indexes (unaudited) (concluded)

 

The Global Industry Classification Standard (“GICS”) was developed by and is the exclusive property and a service mark of MSCI Inc. (“MSCI”) and Standard & Poor’s (“S&P”), a division of The McGraw-Hill Companies, Inc. and is licensed for use by WisdomTree Investments, Inc. Neither MSCI, S&P nor any other party involved in making or compiling the GICS or any GICS classifications makes any express or implied warranties or representations with respect to such standard or classification (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability and fitness for a particular purpose with respect to any such standard or classification. Without limiting any of the foregoing, in no event shall MSCI, S&P, any of their affiliates or any third party involved in making or compiling the GICS or any GICS classifications have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI’s express written consent.

WisdomTree Investments, Inc. and WisdomTree Asset Management, Inc. (together, “WisdomTree”) and the Funds make no representation or warranty, express or implied, to the owners of shares of the Funds or any member of the public regarding the advisability of investing in securities generally or in the Funds particularly or the ability of the underlying Indexes to track the performance of their underlying securities. WisdomTree Investments is the licensor of certain trademarks, service marks and trade names of the Funds. WisdomTree Investments has no obligation to take the needs of the Funds or the owners of shares of the Funds into consideration in determining, composing, or calculating the underlying WisdomTree Indexes of the applicable Funds. WisdomTree Investments is not responsible for, and has not participated in, the determination of the timing of, prices of, or quantities of shares of the Funds to be issued or in the determination or calculation of the equation by which the shares of the Funds are redeemable. WisdomTree and the Funds do not guarantee the accuracy, completeness, or performance of the underlying Indexes or the data included therein and shall have no liability in connection with the underlying Indexes or their calculation.

Index performance information assumes the reinvestment of dividends and excludes management fees, transaction costs and expenses. You cannot directly invest in an index.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      29  


Table of Contents

Shareholder Expense Examples (unaudited)

 

 

As a shareholder of a WisdomTree Fund, you incur two types of cost: (1) transaction costs, including brokerage commissions on purchases and sales of your Fund shares and (2) ongoing costs, including management fees and other Fund expenses. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds.

The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from April 1, 2017 to September 30, 2017.

Actual expenses

The first line under each Fund in the table on the next page provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line for your Fund under the heading entitled “Expenses Paid During the Period 4/1/17 to 9/30/17” to estimate the expenses you paid on your account during the period.

Hypothetical example for comparison purposes

The second line under each Fund in the table on the next page provides information about hypothetical account values and hypothetical expenses based on each Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

30   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Shareholder Expense Examples (unaudited) (continued)

 

      Beginning
Account Value
4/1/17
     Ending
Account Value
9/30/17
     Annualized
Expense Ratio
Based on the
Period
4/1/17 to
9/30/17
    Expenses Paid
During the
Period†
4/1/17 to
9/30/17
 

WisdomTree Australia Dividend Fund

          

Actual

   $ 1,000.00      $ 1,013.90        0.58   $ 2.93  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree Europe Hedged Equity Fund

          

Actual

   $ 1,000.00      $ 1,048.60        0.58   $ 2.98  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree Europe Hedged SmallCap Equity Fund

          

Actual

   $ 1,000.00      $ 1,102.70        0.58   $ 3.06  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree Europe Quality Dividend Growth Fund

          

Actual

   $ 1,000.00      $ 1,154.40        0.58   $ 3.13  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree Europe SmallCap Dividend Fund

          

Actual

   $ 1,000.00      $ 1,198.40        0.58   $ 3.20  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree Germany Hedged Equity Fund

          

Actual

   $ 1,000.00      $ 1,065.50        0.48   $ 2.49  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree Global ex-U.S. Hedged Dividend Fund

          

Actual

   $ 1,000.00      $ 1,063.90        0.44   $ 2.28  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.86        0.44   $ 2.23  

WisdomTree Global ex-U.S. Hedged Real Estate Fund

          

Actual

   $ 1,000.00      $ 1,135.60        0.43 %1    $ 2.30  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.91        0.43 %1    $ 2.18  

WisdomTree International Dividend ex-Financials Fund

          

Actual

   $ 1,000.00      $ 1,100.00        0.58   $ 3.05  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree International Equity Fund

          

Actual

   $ 1,000.00      $ 1,118.30        0.48   $ 2.55  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree International Hedged Quality Dividend Growth Fund

          

Actual

   $ 1,000.00      $ 1,084.10        0.58   $ 3.03  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree International High Dividend Fund

          

Actual

   $ 1,000.00      $ 1,107.30        0.58   $ 3.06  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree International LargeCap Dividend Fund

          

Actual

   $ 1,000.00      $ 1,114.00        0.48   $ 2.54  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree International MidCap Dividend Fund

          

Actual

   $ 1,000.00      $ 1,127.30        0.58   $ 3.09  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree International Quality Dividend Growth Fund

          

Actual

   $ 1,000.00      $ 1,148.20        0.38 %2    $ 2.05  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,023.16        0.38 %2    $ 1.93  

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      31  


Table of Contents

Shareholder Expense Examples (unaudited) (concluded)

 

 

      Beginning
Account Value
4/1/17
     Ending
Account Value
9/30/17
     Annualized
Expense Ratio
Based on the
Period
4/1/17 to
9/30/17
    Expenses Paid
During the
Period†
4/1/17 to
9/30/17
 

WisdomTree International SmallCap Dividend Fund

          

Actual

   $ 1,000.00      $ 1,154.20        0.58   $ 3.13  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree Japan Hedged Capital Goods Fund

          

Actual

   $ 1,000.00      $ 1,124.30        0.48   $ 2.56  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree Japan Hedged Equity Fund

          

Actual

   $ 1,000.00      $ 1,104.00        0.48   $ 2.53  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree Japan Hedged Financials Fund

          

Actual

   $ 1,000.00      $ 1,046.70        0.48   $ 2.46  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree Japan Hedged Health Care Fund

          

Actual

   $ 1,000.00      $ 1,080.30        0.48   $ 2.50  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree Japan Hedged Quality Dividend Growth Fund

          

Actual

   $ 1,000.00      $ 1,117.40        0.43 %1    $ 2.28  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.91        0.43 %1    $ 2.18  

WisdomTree Japan Hedged Real Estate Fund

          

Actual

   $ 1,000.00      $ 1,107.40        0.48   $ 2.54  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  

WisdomTree Japan Hedged SmallCap Equity Fund

          

Actual

   $ 1,000.00      $ 1,155.40        0.58   $ 3.13  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree Japan SmallCap Dividend Fund

          

Actual

   $ 1,000.00      $ 1,135.40        0.58   $ 3.10  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.16        0.58   $ 2.94  

WisdomTree United Kingdom Hedged Equity Fund

          

Actual

   $ 1,000.00      $ 1,026.10        0.48   $ 2.44  

Hypothetical (5% return before expenses)

   $ 1,000.00      $ 1,022.66        0.48   $ 2.43  
Expenses are calculated using each Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/365 (to reflect the one-half year period).

 

1 

WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.43% through July 31, 2018, unless earlier terminated by the Board of Trustees of the WisdomTree Trust for any reason.

 

2 

WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.38% through July 31, 2018, unless earlier terminated by the Board of Trustees of the WisdomTree Trust for any reason.

 

32   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Australia Dividend Fund (AUSE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.3%      
Australia – 99.3%      
Airlines – 1.4%      

Qantas Airways Ltd.

     113,974      $ 521,375  
Banks – 11.5%  

Australia & New Zealand Banking Group Ltd.

     43,988        1,021,649  

Commonwealth Bank of Australia

     14,188        837,729  

National Australia Bank Ltd.

     47,712        1,179,272  

Westpac Banking Corp.

     43,910        1,099,771  
     

 

 

 
Total Banks        4,138,421  
Beverages – 2.9%  

Coca-Cola Amatil Ltd.

     118,592        719,301  

Treasury Wine Estates Ltd.

     31,143        334,534  
     

 

 

 
Total Beverages        1,053,835  
Biotechnology – 0.6%  

CSL Ltd.

     2,167        227,777  
Building Products – 0.5%  

Reliance Worldwide Corp., Ltd.(a)

     53,913        166,673  
Capital Markets – 4.5%  

ASX Ltd.

     16,545        680,648  

Macquarie Group Ltd.

     12,959        924,499  
     

 

 

 
Total Capital Markets        1,605,147  
Chemicals – 2.5%  

Incitec Pivot Ltd.

     160,947        454,633  

Orica Ltd.

     28,151        436,693  
     

 

 

 
Total Chemicals        891,326  
Commercial Services & Supplies – 3.1%  

Brambles Ltd.

     58,047        409,919  

Cleanaway Waste Management Ltd.

     215,245        232,227  

Downer EDI Ltd.

     91,689        487,059  
     

 

 

 
Total Commercial Services & Supplies        1,129,205  
Construction & Engineering – 1.4%  

CIMIC Group Ltd.

     14,840        514,790  
Construction Materials – 1.3%  

Boral Ltd.

     87,202        463,224  
Containers & Packaging – 1.6%  

Amcor Ltd.

     48,611        580,149  
Diversified Financial Services – 2.5%  

AMP Ltd.

     237,340        899,485  
Diversified Telecommunication Services – 5.2%  

Telstra Corp., Ltd.

     351,946        963,779  

TPG Telecom Ltd.(a)

     96,154        367,428  

Vocus Group Ltd.(a)

     285,665        535,711  
     

 

 

 
Total Diversified Telecommunication Services        1,866,918  
Food & Staples Retailing – 3.4%  

Wesfarmers Ltd.

     24,632        798,805  

Woolworths Ltd.

     20,965        414,709  
     

 

 

 
Total Food & Staples Retailing        1,213,514  
Food Products – 1.9%  

Costa Group Holdings Ltd.

     101,248      $ 443,299  

GrainCorp Ltd. Class A

     37,473        239,930  
     

 

 

 
Total Food Products        683,229  
Health Care Equipment & Supplies – 2.0%  

Ansell Ltd.

     24,132        421,875  

Cochlear Ltd.

     2,360        294,821  
     

 

 

 
Total Health Care Equipment & Supplies        716,696  
Health Care Providers & Services – 4.6%  

Healthscope Ltd.

     374,301        490,471  

Primary Health Care Ltd.

     173,069        418,259  

Ramsay Health Care Ltd.

     5,658        276,495  

Sonic Healthcare Ltd.

     29,867        490,029  
     

 

 

 
Total Health Care Providers & Services        1,675,254  
Hotels, Restaurants & Leisure – 11.2%  

Aristocrat Leisure Ltd.

     12,683        208,986  

Crown Resorts Ltd.

     89,266        792,181  

Domino’s Pizza Enterprises Ltd.(a)

     5,834        209,748  

Flight Centre Travel Group Ltd.(a)

     22,807        805,477  

Star Entertainment Grp Ltd. (The)

     122,309        502,881  

Tabcorp Holdings Ltd.

     251,619        843,038  

Tatts Group Ltd.

     214,949        671,266  
     

 

 

 
Total Hotels, Restaurants & Leisure        4,033,577  
Insurance – 5.7%  

Insurance Australia Group Ltd.

     141,278        706,138  

QBE Insurance Group Ltd.

     69,904        549,050  

Suncorp Group Ltd.

     77,641        795,019  
     

 

 

 
Total Insurance        2,050,207  
Internet Software & Services – 1.6%  

carsales.com Ltd.

     58,587        589,799  
IT Services – 2.0%  

Computershare Ltd.

     35,479        402,824  

Link Administration Holdings Ltd.

     51,246        302,783  
     

 

 

 
Total IT Services        705,607  
Media – 1.8%  

Fairfax Media Ltd.

     564,779        418,780  

REA Group Ltd.

     4,425        232,629  
     

 

 

 
Total Media        651,409  
Metals & Mining – 8.5%  

BHP Billiton Ltd.

     27,471        555,691  

BlueScope Steel Ltd.

     10,364        89,209  

Fortescue Metals Group Ltd.

     290,041        1,169,764  

Newcrest Mining Ltd.

     9,261        152,745  

Rio Tinto Ltd.

     12,017        627,320  

South32 Ltd.

     186,861        479,449  
     

 

 

 
Total Metals & Mining        3,074,178  
Multi-Utilities – 1.3%  

AGL Energy Ltd.

     24,746        453,774  
Multiline Retail – 4.1%  

Harvey Norman Holdings Ltd.(a)

     485,376        1,477,699  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      33  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Australia Dividend Fund (AUSE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Oil, Gas & Consumable Fuels – 3.8%  

Caltex Australia Ltd.

     20,765      $ 523,013  

Washington H Soul Pattinson & Co., Ltd.(a)

     22,035        275,426  

Woodside Petroleum Ltd.

     24,449        558,252  
     

 

 

 
Total Oil, Gas & Consumable Fuels        1,356,691  
Personal Products – 1.7%  

Blackmores Ltd.(a)

     6,454        597,567  
Professional Services – 2.2%  

ALS Ltd.

     61,142        375,165  

Seek Ltd.

     32,215        419,859  
     

 

 

 
Total Professional Services        795,024  
Road & Rail – 2.0%  

Aurizon Holdings Ltd.

     191,921        737,895  
Software – 1.6%  

MYOB Group Ltd.

     143,677        387,812  

Technology One Ltd.

     52,038        204,975  
     

 

 

 
Total Software        592,787  
Transportation Infrastructure – 0.9%  

Qube Holdings Ltd.(a)

     164,646      $ 319,098  

TOTAL COMMON STOCKS

(Cost: $33,166,470)

 

 

     35,782,330  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 9.5%  
United States – 9.5%  

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(b)

     
(Cost: $3,444,532)(c)      3,444,532        3,444,532  

TOTAL INVESTMENTS IN SECURITIES – 108.8%

(Cost: $36,611,002)

        39,226,862  

Other Assets less Liabilities – (8.8)%

 

     (3,175,864
     

 

 

 
NET ASSETS – 100.0%      $ 36,050,998  

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $4,159,253 and the total market value of the collateral held by the Fund was $4,375,049. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $930,517.

 

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 Montreal   10/3/2017   12,000     USD     15,304     AUD     $     $ (8

 

CURRENCY LEGEND

AUD – Australian dollar

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

34   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Europe Hedged Equity Fund (HEDJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Austria – 0.4%      

Andritz AG

     354,771      $ 20,511,249  

Lenzing AG

     75,040        10,884,992  

RHI AG

     40,382        1,687,594  
     

 

 

 
Total Austria               33,083,835  
Belgium – 7.4%      

Anheuser-Busch InBev S.A.

     4,614,826        552,656,785  

Barco N.V.

     1,678        181,095  

Bekaert S.A.

     163,792        7,857,700  

Ion Beam Applications(a)

     12,390        420,968  

Melexis N.V.

     112,370        10,866,618  

Solvay S.A.

     417,661        62,411,084  

UCB S.A.

     483,375        34,418,170  
     

 

 

 
Total Belgium               668,812,420  
Finland – 4.1%      

Amer Sports Oyj*

     471,859        12,517,737  

Cargotec Oyj Class B

     152,928        9,609,062  

Huhtamaki Oyj

     220,696        8,909,963  

Kemira Oyj

     1,033,960        13,592,497  

Kone Oyj Class B

     2,007,626        106,328,957  

Konecranes Oyj

     285,781        12,689,651  

Metso Oyj

     676,367        24,819,604  

Nokia Oyj

     23,723,946        142,475,887  

Valmet Oyj

     545,225        10,719,110  

Wartsila Oyj Abp(a)

     361,649        25,609,720  
     

 

 

 
Total Finland               367,272,188  
France – 27.1%      

Air Liquide S.A.

     945,154        126,094,130  

Airbus SE

     1,964,820        186,777,072  

Arkema S.A.

     212,518        26,066,010  

BioMerieux

     108,780        8,856,658  

Bureau Veritas S.A.

     1,076,120        27,778,234  

Christian Dior SE

     288,876        92,531,872  

Cie Generale des Etablissements Michelin

     564,044        82,351,340  

Danone S.A.

     1,810,648        142,068,101  

Dassault Systemes SE

     124,649        12,612,540  

Edenred

     586,770        15,954,620  

Essilor International S.A.

     256,572        31,772,693  

Gaztransport Et Technigaz S.A.(a)

     267,444        14,543,918  

Havas S.A.(a)

     253,674        2,774,312  

Hermes International

     90,372        45,571,631  

Imerys S.A.

     139,659        12,622,261  

Ingenico Group S.A.

     46,750        4,432,479  

IPSOS

     101,975        3,530,447  

Kering

     223,282        88,969,013  

L’Oreal S.A.

     1,049,949        223,300,707  

Legrand S.A.

     583,847        42,158,855  

LVMH Moet Hennessy Louis Vuitton SE

     978,468        270,041,950  

Neopost S.A.

     130,731        5,081,608  

Pernod Ricard S.A.

     443,781        61,408,834  

Publicis Groupe S.A.

     720,270        50,315,298  

Remy Cointreau S.A.

     86,453        10,240,909  

Rubis SCA

     106,793      $ 6,808,696  

Safran S.A.

     877,766        89,698,306  

Sanofi

     4,226,964        419,807,568  

Sartorius Stedim Biotech

     18,129        1,255,921  

Schneider Electric SE*

     1,854,430        161,419,491  

SCOR SE

     1,162,220        48,741,791  

SEB S.A.

     54,379        9,977,315  

Societe BIC S.A.

     83,457        10,004,409  

Sodexo S.A.

     332,322        41,447,876  

Tarkett S.A.

     80,173        3,613,032  

Technicolor S.A. Registered Shares

     507,406        1,751,577  

Teleperformance

     91,407        13,648,142  

Valeo S.A.

     545,138        40,459,312  

Vicat S.A.

     68,258        5,209,641  

Zodiac Aerospace

     283,416        8,197,102  
     

 

 

 
Total France        2,449,895,671  
Germany – 25.0%  

adidas AG

     230,862        52,237,829  

BASF SE

     2,908,632        309,610,010  

Bayer AG Registered Shares

     1,691,774        230,601,636  

Bayerische Motoren Werke AG

     2,244,301        227,725,123  

Brenntag AG

     161,954        9,020,728  

Continental AG

     381,722        96,910,558  

Covestro AG(b)

     336,750        28,962,186  

Daimler AG Registered Shares

     4,664,818        372,079,844  

Duerr AG

     49,795        6,660,871  

Evonik Industries AG

     1,648,281        58,886,595  

Fresenius Medical Care AG & Co. KGaA

     294,780        28,844,413  

Fresenius SE & Co. KGaA

     438,584        35,387,197  

GEA Group AG(a)

     211,613        9,628,995  

Hannover Rueck SE

     567,108        68,350,821  

HeidelbergCement AG

     376,941        38,755,521  

Henkel AG & Co. KGaA

     287,883        35,037,499  

Hochtief AG

     105,039        17,726,273  

Infineon Technologies AG

     1,189,427        29,908,595  

K+S AG Registered Shares(a)

     215,586        5,874,653  

LANXESS AG

     97,166        7,668,693  

Linde AG

     329,680        68,770,945  

Merck KGaA

     90,172        10,033,313  

MTU Aero Engines AG

     66,416        10,595,863  

OSRAM Licht AG

     149,782        11,954,143  

SAP SE

     1,521,449        166,717,432  

Siemens AG Registered Shares(a)

     2,141,863        301,827,408  

Software AG

     86,801        4,238,558  

Symrise AG

     96,551        7,335,941  

Wacker Chemie AG(a)

     54,092        7,756,835  
     

 

 

 
Total Germany        2,259,108,478  
Ireland – 1.2%  

CRH PLC

     2,388,149        91,120,984  

Glanbia PLC

     170,301        3,211,209  

Kerry Group PLC Class A

     144,978        13,932,529  
     

 

 

 
Total Ireland        108,264,722  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      35  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Europe Hedged Equity Fund (HEDJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Italy – 1.7%  

Autogrill SpA

     789,042      $ 10,260,855  

Brunello Cucinelli SpA(a)

     69,711        2,162,499  

Davide Campari-Milano SpA

     753,462        5,469,158  

DiaSorin SpA

     116,704        10,409,640  

Ferrari N.V.

     160,345        17,723,838  

Industria Macchine Automatiche SpA

     131,125        12,455,527  

Interpump Group SpA

     245,122        7,627,091  

Luxottica Group SpA

     1,030,253        57,597,539  

Maire Tecnimont SpA(a)

     938,015        5,191,967  

Moncler SpA

     311,354        8,988,575  

Parmalat SpA

     826,222        3,027,953  

Salini Impregilo SpA

     1,378,997        5,438,512  

Salvatore Ferragamo SpA

     265,349        7,450,266  
     

 

 

 
Total Italy               153,803,420  
Netherlands – 9.8%      

Aegon N.V.

     17,135,181        99,827,484  

Akzo Nobel N.V.

     747,992        69,079,616  

Arcadis N.V.

     386,111        8,323,552  

ASM International N.V.

     126,594        8,005,279  

ASML Holding N.V.

     623,670        106,208,395  

BE Semiconductor Industries N.V.

     174,654        12,151,104  

Corbion N.V.

     205,912        6,633,441  

EXOR N.V.

     286,818        18,191,431  

Gemalto N.V.

     92,358        4,126,669  

Heineken Holding N.V.

     623,855        58,632,919  

Heineken N.V.

     1,174,508        116,148,246  

Koninklijke Ahold Delhaize N.V.

     5,350,170        100,060,989  

Koninklijke DSM N.V.

     713,604        58,429,274  

Koninklijke Philips N.V.

     3,371,468        139,222,157  

Koninklijke Vopak N.V.

     388,143        17,026,090  

Philips Lighting N.V.(b)

     533,304        21,530,607  

SBM Offshore N.V.

     494,835        8,976,727  

Wolters Kluwer N.V.

     742,159        34,301,168  
     

 

 

 
Total Netherlands               886,875,148  
Portugal – 0.8%      

Galp Energia, SGPS, S.A.

     4,104,003        72,751,989  
Spain – 17.1%      

Acerinox S.A.(a)

     1,534,496        22,131,779  

ACS Actividades de Construccion y Servicios S.A.

     1,577,950        58,491,233  

Amadeus IT Group S.A.

     1,054,269        68,537,126  

Applus Services S.A.

     533,994        6,691,646  

Banco Bilbao Vizcaya Argentaria S.A.

     45,969,225        410,900,954  

Banco Santander S.A.

    62,091,602     $ 433,601,290  

Construcciones y Auxiliar de Ferrocarriles S.A.

    2,364       95,663  

Elecnor S.A.

    83,075       1,157,910  

Grifols S.A.

    834,028       24,304,589  

Mapfre S.A.

    20,836,476       67,838,922  

Obrascon Huarte Lain S.A.*(a)

    474,942       1,715,871  

Prosegur Cia de Seguridad S.A.

    1,819,075       13,612,724  

Siemens Gamesa Renewable Energy S.A.

    456,657       5,962,750  

Tecnicas Reunidas S.A.(a)

    399,654       12,636,229  

Telefonica S.A.

    37,350,443       405,878,926  

Viscofan S.A.

    176,250       10,799,436  
   

 

 

 
Total Spain             1,544,357,048  
Switzerland – 0.4%    

STMicroelectronics N.V.(a)

    1,794,752       34,690,690  
United Kingdom – 4.5%    

CNH Industrial N.V.

    2,338,024       28,082,347  

Unilever N.V. CVA

    6,348,504       375,560,085  
   

 

 

 
Total United Kingdom             403,642,432  

TOTAL COMMON STOCKS

(Cost: $8,158,501,792)

            8,982,558,041  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.3%  
United States – 0.3%    

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

   
(Cost: $26,291,802)(d)     26,291,802       26,291,802  

TOTAL INVESTMENTS IN SECURITIES – 99.8%

(Cost: $8,184,793,594)

 

 

    9,008,849,843  

Other Assets less Liabilities – 0.2%

      16,692,965  
   

 

 

 
NET ASSETS – 100.0%           $ 9,025,542,808  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $43,400,747 and the total market value of the collateral held by the Fund was $45,524,410. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $19,232,608.

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
 
Bank of America N.A.   10/3/2017     35,894,134       EUR       42,942,486       USD     $     $ (508,462
Bank of America N.A.   10/3/2017     506,990,183       EUR       599,262,396       USD       101,087        
Bank of America N.A.   10/3/2017     517,150,227       USD       435,672,866       EUR       2,098,032        

 

See Notes to Financial Statements.

 

36   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Europe Hedged Equity Fund (HEDJ)

September 30, 2017

 

  

 

 

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 N.A.     11/2/2017       599,262,396       USD       506,192,779       EUR     $     $ (113,798
Bank of Montreal     10/3/2017       506,990,183       EUR       599,262,396       USD       101,087        
Bank of Montreal     10/3/2017       517,150,227       USD       435,383,103       EUR       2,440,589        
Bank of Montreal     11/2/2017       599,262,396       USD       506,189,359       EUR             (109,748
Bank of Montreal     11/2/2017       403,567,993       USD       340,839,831       EUR             (15,955
Barclays Bank PLC     10/3/2017       289,757,704       EUR       342,435,655       USD       115,726        
Barclays Bank PLC     10/3/2017       603,341,932       USD       508,503,489       EUR       2,189,419        
Barclays Bank PLC     11/2/2017       342,435,655       USD       289,298,958       EUR             (119,426
Citibank N.A.     10/3/2017       507,978,635       EUR       599,262,396       USD       1,269,635        
Citibank N.A.     10/3/2017       517,150,227       USD       434,833,615       EUR       3,090,194        
Citibank N.A.     11/2/2017       599,262,396       USD       507,174,688       EUR             (1,276,463
Commonwealth Bank of Australia     10/3/2017       344,766,818       USD       290,280,574       EUR       1,597,301        
Credit Suisse International     10/3/2017       290,111,199       EUR       342,435,655       USD       533,627        
Credit Suisse International     10/3/2017       517,150,227       USD       435,456,424       EUR       2,353,909        
Credit Suisse International     11/2/2017       342,435,655       USD       289,654,764       EUR             (540,731
Goldman Sachs     10/3/2017       506,947,294       EUR       599,262,396       USD       50,384        
Goldman Sachs     10/3/2017       603,341,932       USD       507,983,306       EUR       2,804,379        
Goldman Sachs     11/2/2017       599,262,396       USD       506,142,330       EUR             (54,062
HSBC Holdings PLC     10/3/2017       580,350,233       EUR       684,871,310       USD       1,218,380        
HSBC Holdings PLC     10/3/2017       517,150,227       USD       435,493,094       EUR       2,310,558        
HSBC Holdings PLC     11/2/2017       684,871,310       USD       579,432,058       EUR             (1,226,548
JP Morgan Chase Bank N.A.     10/3/2017       579,907,968       EUR       684,871,310       USD       695,534        
JP Morgan Chase Bank N.A.     10/3/2017       430,958,523       USD       362,586,342       EUR       2,309,172        
JP Morgan Chase Bank N.A.     11/2/2017       684,871,310       USD       578,989,722       EUR             (702,784
Morgan Stanley & Co. International     10/3/2017       579,172,355       EUR       684,871,310       USD             (174,107
Morgan Stanley & Co. International     10/3/2017       430,958,523       USD       362,910,912       EUR       1,925,465        
Morgan Stanley & Co. International     11/2/2017       684,871,310       USD       578,257,901       EUR       163,756        
Nomura International PLC     10/3/2017       289,782,225       EUR       342,435,655       USD       144,714        
Nomura International PLC     10/3/2017       517,150,227       USD       435,713,243       EUR       2,050,298        
Nomura International PLC     11/2/2017       342,435,655       USD       289,324,379       EUR             (149,526
Royal Bank of Canada     10/3/2017       507,634,389       EUR       599,262,396       USD       862,667        
Royal Bank of Canada     10/3/2017       430,958,523       USD       362,968,987       EUR       1,856,809        
Royal Bank of Canada     11/2/2017       599,262,396       USD       506,831,530       EUR             (870,134
Societe Generale     10/3/2017       13,011,952       EUR       15,336,602       USD       46,119        
Societe Generale     10/3/2017       217,612,897       EUR       256,826,741       USD       435,092        
Societe Generale     10/3/2017       344,766,818       USD       290,278,619       EUR       1,599,613        
Societe Generale     11/2/2017       256,826,741       USD       217,268,640       EUR             (438,190
Standard Chartered Bank     10/3/2017       217,281,507       EUR       256,826,741       USD       43,323        
Standard Chartered Bank     10/3/2017       344,766,818       USD       290,769,473       EUR       1,019,325        
Standard Chartered Bank     11/2/2017       256,826,741       USD       216,938,296       EUR             (47,035
State Street Bank and Trust     10/3/2017       507,634,389       EUR       599,262,396       USD       862,667        
State Street Bank and Trust     10/3/2017       430,958,523       USD       363,427,206       EUR       1,315,102        
State Street Bank and Trust     11/2/2017       599,262,396       USD       506,825,529       EUR             (863,028
UBS AG     10/3/2017       580,153,587       EUR       684,871,310       USD       985,906        
UBS AG     10/3/2017       517,150,239       USD       434,833,990       EUR       3,089,762        
UBS AG     11/2/2017       684,871,310       USD       579,236,034       EUR             (994,439
Wells Fargo Bank N.A.     10/3/2017       579,662,559       EUR       684,871,314       USD       405,409        
Wells Fargo Bank N.A.     10/3/2017       517,150,227       USD       434,940,036       EUR       2,964,383        
Wells Fargo Bank N.A.     11/2/2017       684,871,314       USD       578,746,558       EUR             (414,852
Westpac Banking Corp.     10/3/2017       517,150,227       USD       435,609,012       EUR       2,173,520        
                                            $ 47,222,943     $ (8,619,288

 

CURRENCY LEGEND

EUR – Euro

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      37  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.9%      
Austria – 4.8%      

Lenzing AG

     4,793      $ 695,253  

Oesterreichische Post AG

     18,127        837,045  

Porr AG(a)

     9,838        310,824  

RHI AG

     7,934        331,568  

S IMMO AG

     16,500        292,107  

Telekom Austria AG*

     89,458        811,686  

UNIQA Insurance Group AG

     178,399        1,869,446  

Verbund AG

     35,744        842,807  

Vienna Insurance Group AG Wiener Versicherung Gruppe

     37,672        1,113,841  

Wienerberger AG

     13,717        335,514  
     

 

 

 
Total Austria               7,440,091  
Belgium – 6.9%      

Ackermans & van Haaren N.V.

     4,822        845,679  

Barco N.V.

     2,712        292,687  

Bekaert S.A.

     13,057        626,392  

bpost S.A.

     95,537        2,840,536  

Cofinimmo S.A.

     8,385        1,077,019  

D’ieteren S.A./N.V.

     12,118        556,131  

Econocom Group S.A./N.V.

     23,456        179,106  

Elia System Operator S.A./N.V.

     15,539        899,956  

Euronav N.V.

     104,615        860,165  

Ion Beam Applications(a)

     151        5,130  

KBC Ancora

     1,619        95,355  

Melexis N.V.

     8,334        805,930  

Ontex Group N.V.

     12,492        425,541  

Orange Belgium S.A.

     14,469        334,579  

Warehouses De Pauw CVA

     8,238        930,071  
     

 

 

 
Total Belgium               10,774,277  
Finland – 9.7%      

Aktia Bank Oyj

     29,462        322,874  

Amer Sports Oyj*

     29,663        786,917  

Cargotec Oyj Class B

     8,462        531,701  

Citycon Oyj

     200,555        527,776  

Cramo Oyj

     11,725        307,859  

DNA Oyj

     35,562        622,212  

F-Secure Oyj

     37,598        189,794  

Huhtamaki Oyj

     16,920        683,096  

Kemira Oyj

     55,989        736,035  

Kesko Oyj Class B

     27,050        1,450,864  

Konecranes Oyj

     20,531        911,646  

Metsa Board Oyj

     79,162        542,327  

Metso Oyj

     44,121        1,619,041  

Nokian Renkaat Oyj

     43,986        1,956,768  

Outokumpu Oyj

     50,936        529,303  

Ramirent Oyj

     33,563        346,787  

Sanoma Oyj

     34,457        375,985  

Tieto Oyj

     28,810        878,386  

Tikkurila Oyj

     13,777        250,985  

Tokmanni Group Corp.

     26,012        219,872  

Uponor Oyj

     16,612        287,903  

Valmet Oyj

     32,524      $ 639,421  

YIT Oyj

     33,682        275,546  
     

 

 

 
Total Finland               14,993,098  
France – 15.1%      

Altran Technologies S.A.

     19,054        350,499  

Cie Plastic Omnium S.A.

     20,965        897,086  

Coface S.A.

     27,944        300,292  

Edenred

     63,841        1,735,874  

Elior Group S.A.(b)

     19,922        527,560  

Elis S.A.

     21,160        566,722  

Eurazeo S.A.

     16,812        1,503,156  

Europcar Groupe S.A.(b)

     38,319        580,981  

Eutelsat Communications S.A.

     95,975        2,843,347  

Gaztransport Et Technigaz S.A.

     17,764        966,027  

Havas S.A.(a)

     62,332        681,695  

IPSOS

     10,030        347,246  

Jacquet Metal Service

     8,377        278,282  

Kaufman & Broad S.A.

     7,535        363,441  

Korian S.A.

     10,645        350,542  

Lagardere SCA

     52,021        1,741,965  

LISI

     4,946        259,263  

Metropole Television S.A.

     35,191        813,958  

Neopost S.A.

     12,557        488,100  

Nexans S.A.

     4,376        259,545  

Nexity S.A.*

     18,613        1,137,621  

Orpea

     4,524        535,897  

Rallye S.A.

     7,808        144,736  

Remy Cointreau S.A.

     6,582        779,680  

Rexel S.A.

     67,404        1,166,588  

Rubis SCA

     19,556        1,246,813  

Sopra Steria Group

     2,530        469,731  

SPIE S.A.

     31,002        853,225  

Tarkett S.A.

     5,825        262,506  

Television Francaise 1

     25,904        378,662  

Vicat S.A.

     8,055        614,780  
     

 

 

 
Total France               23,445,820  
Germany – 17.9%      

Aareal Bank AG

     26,429        1,119,329  

alstria office REIT-AG

     48,049        686,470  

AURELIUS Equity Opportunities SE & Co. KGaA(a)

     19,810        1,303,054  

Aurubis AG

     9,317        754,937  

BayWa AG

     5,938        236,500  

Bechtle AG

     4,555        341,296  

Bilfinger SE(a)

     11,619        486,666  

Capital Stage AG

     31,692        236,524  

Carl Zeiss Meditec AG Bearer Shares

     7,145        373,054  

CompuGroup Medical SE

     4,238        240,087  

CTS Eventim AG & Co. KGaA

     17,105        746,781  

Diebold Nixdorf AG

     5,613        471,797  

DMG MORI AG

     7,610        472,318  

Drillisch AG

     16,608        1,165,080  

Duerr AG

     6,699        896,097  

Elmos Semiconductor AG

     7,212        186,805  

 

See Notes to Financial Statements.

 

38   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Freenet AG

     52,483      $ 1,755,264  

Gerresheimer AG

     2,782        215,389  

Hamburger Hafen und Logistik AG

     16,184        509,887  

Hella KGaA Hueck & Co.

     18,719        1,103,713  

Hugo Boss AG

     24,068        2,122,322  

Indus Holding AG

     5,096        376,952  

Jenoptik AG

     6,778        224,643  

K+S AG Registered Shares

     25,425        692,823  

Kloeckner & Co. SE

     19,216        246,481  

Krones AG(a)

     3,535        491,250  

LANXESS AG

     9,561        754,589  

LEG Immobilien AG

     15,847        1,603,470  

Leoni AG

     6,240        413,919  

Nemetschek SE

     1,230        99,999  

NORMA Group SE

     5,192        341,517  

Pfeiffer Vacuum Technology AG

     2,519        397,260  

Rheinmetall AG

     6,141        692,303  

RHOEN-KLINIKUM AG

     6,772        228,087  

Salzgitter AG

     5,570        252,727  

Scout24 AG(b)

     6,592        269,640  

Sixt SE

     7,216        574,717  

Software AG

     9,468        462,329  

STADA Arzneimittel AG

     6,201        603,620  

Stroeer SE & Co. KGaA

     8,678        567,740  

Suedzucker AG

     24,541        527,300  

Takkt AG

     14,042        322,049  

TLG Immobilien AG

     24,774        571,405  

VTG AG

     4,990        277,261  

Wacker Neuson SE

     10,689        354,707  

Washtec AG

     3,032        266,323  

Wuestenrot & Wuerttembergische AG

     28,473        774,198  
     

 

 

 
Total Germany               27,810,679  
Ireland – 1.1%      

C&C Group PLC

     13,661        49,258  

Glanbia PLC

     21,547        406,292  

Irish Continental Group PLC

     41,465        277,207  

Kingspan Group PLC

     17,319        736,673  

Origin Enterprises PLC

     26,449        208,245  
     

 

 

 
Total Ireland               1,677,675  
Italy – 23.2%      

A2A SpA

     796,026        1,369,244  

ACEA SpA

     44,123        684,368  

Anima Holding SpA(b)

     71,597        578,104  

Ascopiave SpA

     90,575        375,414  

ASTM SpA

     27,587        715,863  

Autogrill SpA

     29,653        385,613  

Azimut Holding SpA

     56,686        1,226,359  

Banca Generali SpA

     36,564        1,268,681  

Banca IFIS SpA

     13,259        725,115  

Banca Popolare di Sondrio SCPA

     81,354        350,083  

Biesse SpA

     8,035        355,927  

BPER Banca

     70,859        423,874  

Brembo SpA

     45,538        770,917  

Cerved Information Solutions SpA

     48,219      $ 570,045  

CIR-Compagnie Industriali Riunite SpA

     13,046        20,173  

Credito Emiliano SpA

     2,434        21,883  

Datalogic SpA

     7,966        280,356  

De’ Longhi SpA

     34,303        1,104,663  

DiaSorin SpA

     5,532        493,438  

Ei Towers SpA

     8,462        500,689  

Enav SpA(b)

     219,991        1,008,044  

ERG SpA

     50,917        813,222  

FinecoBank Banca Fineco SpA

     213,248        1,890,762  

Hera SpA

     385,973        1,213,750  

Immobiliare Grande Distribuzione SIIQ SpA

     475,135        495,704  

Industria Macchine Automatiche SpA

     7,072        671,767  

Infrastrutture Wireless Italiane SpA(b)

     139,448        923,190  

Interpump Group SpA

     9,829        305,834  

Iren SpA

     288,794        775,005  

Italgas SpA

     281,723        1,582,001  

Italmobiliare SpA

     9,299        250,976  

Maire Tecnimont SpA

     56,600        313,284  

MARR SpA

     21,471        566,041  

Moncler SpA

     18,650        538,413  

OVS SpA(b)

     58,587        447,429  

Parmalat SpA

     101,528        372,082  

Piaggio & C. SpA

     126,016        394,787  

Prysmian SpA

     33,620        1,135,928  

RAI Way SpA(b)

     92,551        500,021  

Salini Impregilo SpA

     93,406        368,376  

Salvatore Ferragamo SpA

     23,052        647,236  

Saras SpA

     406,931        1,091,075  

Societa Cattolica di Assicurazioni SCRL

     69,198        601,273  

Societa Iniziative Autostradali e Servizi SpA

     67,856        1,083,763  

Tod’s SpA

     980        69,455  

Unione di Banche Italiane SpA

     263,452        1,366,032  

Unipol Gruppo Finanziario SpA

     222,424        1,019,718  

UnipolSai Assicurazioni SpA

     1,316,028        3,074,276  

Zignago Vetro SpA

     27,519        264,168  
     

 

 

 
Total Italy               36,004,421  
Netherlands – 7.6%      

Aalberts Industries N.V.

     15,807        764,393  

Accell Group

     6,238        192,845  

Amsterdam Commodities N.V.

     7,649        224,077  

Arcadis N.V.

     4,451        95,952  

ASM International N.V.

     8,380        529,916  

ASR Nederland N.V.

     55,180        2,207,837  

BE Semiconductor Industries N.V.

     12,769        888,370  

Boskalis Westminster

     34,062        1,190,928  

Corbion N.V.

     18,125        583,896  

Euronext N.V.(b)

     18,650        1,135,253  

Flow Traders(b)

     20,005        538,035  

ForFarmers N.V.

     23,444        304,870  

Gemalto N.V.

     3,838        171,487  

IMCD Group N.V.

     4,770        292,556  

Intertrust N.V.(b)

     14,788        240,208  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      39  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Koninklijke BAM Groep N.V.

     50,109      $ 286,597  

PostNL N.V.

     106,279        457,843  

Refresco Group N.V.(b)

     15,000        302,170  

SBM Offshore N.V.

     38,604        700,309  

TKH Group N.V. CVA

     10,244        665,590  
     

 

 

 
Total Netherlands               11,773,132  
Portugal – 3.6%      

Altri, SGPS, S.A.

     112,023        591,713  

Corticeira Amorim, SGPS, S.A.

     8,964        125,736  

CTT-Correios de Portugal S.A.

     1,689        10,179  

Mota-Engil, SGPS, S.A.

     112,362        421,351  

Navigator Co. S.A. (The)

     262,467        1,279,629  

NOS, SGPS, S.A.

     143,214        887,171  

REN – Redes Energeticas Nacionais, SGPS, S.A.

     258,017        840,046  

Semapa-Sociedade de Investimento e Gestao

     19,112        366,252  

Sonae Capital, SGPS, S.A.

     252,164        259,652  

Sonae, SGPS, S.A.

     703,379        848,997  
     

 

 

 
Total Portugal               5,630,726  
Spain – 10.0%      

Acciona S.A.

     14,727        1,184,767  

Acerinox S.A.(a)

     58,732        847,082  

Almirall S.A.

     1,786        18,179  

Applus Services S.A.

     21,647        271,265  

Atresmedia Corp. de Medios de Comunicacion S.A.

     42,759        449,386  

Bolsas y Mercados Espanoles SHMSF S.A.

     30,335        1,047,171  

Cellnex Telecom S.A.(b)

     8,734        199,898  

Cia de Distribucion Integral Logista Holdings S.A.

     42,754        1,028,313  

Cie Automotive S.A.

     24,843        663,454  

Construcciones y Auxiliar de Ferrocarriles S.A.

     5,262        212,936  

Distribuidora Internacional de Alimentacion S.A.

     144,039        840,346  

Ebro Foods S.A.(a)

     40,363        956,728  

Elecnor S.A.

     19,255        268,379  

Ence Energia y Celulosa S.A.

     72,964        379,535  

Euskaltel S.A.(b)

     24,161      $ 217,480  

Faes Farma S.A.

     87,737        293,535  

Grupo Catalana Occidente S.A.

     23,168        975,877  

Mediaset Espana Comunicacion S.A.

     127,879        1,444,208  

Papeles y Cartones de Europa S.A.

     28,261        265,611  

Prosegur Cia de Seguridad S.A.

     100,225        750,016  

Saeta Yield S.A.

     49,589        566,309  

Tecnicas Reunidas S.A.

     17,344        548,381  

Viscofan S.A.

     11,079        678,848  

Zardoya Otis S.A.

     123,499        1,366,564  
     

 

 

 
Total Spain               15,474,268  

TOTAL COMMON STOCKS

(Cost: $125,726,298)

              155,024,187  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.1%  
United States – 2.1%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(c)

     
(Cost: $3,273,457)(d)      3,273,457        3,273,457  

TOTAL INVESTMENTS IN SECURITIES – 102.0%

(Cost: $128,999,755)

        158,297,644  

Other Assets less Liabilities – (2.0)%

        (3,093,835
     

 

 

 
NET ASSETS – 100.0%             $ 155,203,809  

 

* Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $3,465,670 and the total market value of the collateral held by the Fund was $3,633,066. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $359,609.

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
 
Bank of America N.A.     10/3/2017       26,248,212       EUR       31,029,718       USD     $ 903     $  
Bank of America N.A.     10/3/2017       31,101,522       USD       26,114,972       EUR       228,417        
Bank of America N.A.     11/2/2017       32,351,724       USD       27,323,468       EUR             (1,634
Barclays Bank PLC     10/3/2017       26,248,101       EUR       31,029,718       USD       771        
Barclays Bank PLC     11/2/2017       32,351,724       USD       27,323,099       EUR             (1,197
Citibank N.A.     10/3/2017       290,483       EUR       341,923       USD       1,486        
Citibank N.A.     10/3/2017       26,248,212       EUR       31,029,718       USD       903        
Citibank N.A.     10/3/2017       31,101,522       USD       26,120,017       EUR       222,454        
Citibank N.A.     11/2/2017       32,351,724       USD       27,323,514       EUR             (1,689
Credit Suisse International     10/3/2017       19,998,554       EUR       23,641,691       USD       588        
Credit Suisse International     10/3/2017       31,101,522       USD       26,120,368       EUR       222,039        
Credit Suisse International     11/2/2017       24,648,934       USD       20,818,005       EUR             (1,391
Goldman Sachs     10/3/2017       26,248,079       EUR       31,029,718       USD       745        
Goldman Sachs     10/3/2017       31,101,522       USD       26,119,929       EUR       222,558        
Goldman Sachs     11/2/2017       32,351,724       USD       27,323,007       EUR             (1,088

 

See Notes to Financial Statements.

 

40   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

September 30, 2017

 

  

 

 

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     10/3/2017       23,696,398       USD       19,900,882       EUR     $ 169,588     $  
Morgan Stanley & Co. International     10/3/2017       73,000       USD       61,762       EUR             (15
                                            $ 1,070,452     $ (7,014

 

CURRENCY LEGEND

EUR – Euro

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      41  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
Austria – 0.2%      

Lenzing AG

     526      $ 76,300  
Belgium – 0.3%      

Ion Beam Applications

     715        24,293  

Melexis N.V.

     722        69,820  
     

 

 

 
Total Belgium               94,113  
Denmark – 6.9%      

Chr Hansen Holding A/S

     1,357        116,410  

Coloplast A/S Class B

     3,453        280,308  

Novo Nordisk A/S Class B

     37,592        1,797,546  

Novozymes A/S Class B

     2,720        139,613  

Pandora A/S

     695        68,619  

Royal Unibrew A/S

     918        50,313  

Vestas Wind Systems A/S

     2,084        187,053  
     

 

 

 
Total Denmark               2,639,862  
Finland – 3.1%      

Elisa Oyj

     5,263        226,602  

Huhtamaki Oyj

     1,628        65,726  

Kone Oyj Class B

     7,940        420,523  

Konecranes Oyj

     1,222        54,261  

Metsa Board Oyj

     7,012        48,038  

Nokian Renkaat Oyj

     2,320        103,208  

Orion Oyj Class B

     2,167        100,577  

Valmet Oyj

     2,134        41,954  

Wartsila Oyj Abp

     1,907        135,042  
     

 

 

 
Total Finland               1,195,931  
France – 11.0%      

Airbus SE

     8,083        768,375  

Altran Technologies S.A.

     2,297        42,253  

BioMerieux

     680        55,364  

Capgemini SE

     1,944        227,889  

Christian Dior SE

     1,063        340,497  

Cie Generale des Etablissements Michelin

     1,822        266,015  

Cie Plastic Omnium S.A.

     1,444        61,788  

Essilor International S.A.

     1,834        227,114  

Faurecia

     1,447        100,466  

Hermes International

     399        201,203  

Ingenico Group S.A.

     604        57,267  

Ipsen S.A.

     670        89,069  

LVMH Moet Hennessy Louis Vuitton SE

     3,858        1,064,748  

Orpea

     323        38,261  

SEB S.A.

     266        48,805  

Societe BIC S.A.

     711        85,231  

Sodexo S.A.

     1,161        144,802  

Teleperformance

     343        51,214  

Thales S.A.

     1,937        219,329  

Valeo S.A.

     1,834        136,117  
     

 

 

 
Total France               4,225,807  
Germany – 10.6%      

adidas AG

     1,048        237,134  

Aurubis AG

     775        62,797  

Continental AG

     1,622      $ 411,789  

Covestro AG(a)

     3,092        265,927  

CTS Eventim AG & Co. KGaA

     1,420        61,995  

Deutsche Wohnen SE Bearer Shares

     5,156        218,948  

Diebold Nixdorf AG

     577        48,499  

Fielmann AG

     1,042        90,307  

Fuchs Petrolub SE

     1,103        56,631  

Hella KGaA Hueck & Co.

     1,192        70,283  

Henkel AG & Co. KGaA

     2,004        243,902  

Hugo Boss AG

     1,265        111,548  

Infineon Technologies AG

     9,560        240,390  

K+S AG Registered Shares(b)

     2,174        59,241  

KION Group AG

     901        86,246  

Leoni AG

     697        46,234  

MTU Aero Engines AG

     628        100,190  

SAP SE

     10,869        1,191,004  

Symrise AG

     1,240        94,215  

TUI AG

     13,411        227,987  

United Internet AG Registered Shares

     2,375        147,883  
     

 

 

 
Total Germany               4,073,150  
Ireland – 0.2%      

Kerry Group PLC Class A

     718        69,001  
Italy – 2.3%      

Anima Holding SpA(a)

     10,831        87,454  

Azimut Holding SpA

     6,162        133,310  

Banca IFIS SpA

     1,183        64,697  

Brembo SpA

     3,132        53,022  

De’ Longhi SpA

     2,308        74,325  

DiaSorin SpA

     575        51,288  

Ferrari N.V.

     729        80,581  

Industria Macchine Automatiche SpA

     641        60,888  

Prysmian SpA

     2,805        94,773  

Recordati SpA

     3,077        141,867  

Salvatore Ferragamo SpA

     1,859        52,196  
     

 

 

 
Total Italy               894,401  
Netherlands – 3.8%      

ASM International N.V.

     784        49,577  

ASML Holding N.V.

     3,003        511,398  

BE Semiconductor Industries N.V.

     953        66,303  

Corbion N.V.

     1,854        59,727  

Euronext N.V.(a)

     1,541        93,803  

Flow Traders(a)

     1,100        29,585  

GrandVision N.V.(a)

     1,358        34,348  

Koninklijke Vopak N.V.

     1,506        66,061  

SBM Offshore N.V.

     2,978        54,023  

Steinhoff International Holdings N.V.

     60,037        267,720  

TKH Group N.V. CVA

     953        61,920  

Wolters Kluwer N.V.

     3,467        160,238  
     

 

 

 
Total Netherlands               1,454,703  
Norway – 2.2%      

Borregaard ASA

     4,921        55,174  

Entra ASA(a)

     3,326        45,543  

 

See Notes to Financial Statements.

 

42   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Leroy Seafood Group ASA

     12,026      $ 76,972  

Marine Harvest ASA*

     18,585        367,717  

Orkla ASA

     17,932        184,044  

Salmar ASA

     2,895        81,828  

Veidekke ASA

     3,126        39,172  
     

 

 

 
Total Norway        850,450  
Portugal – 0.6%  

Jeronimo Martins, SGPS, S.A.

     10,958        216,211  
Spain – 4.0%  

Amadeus IT Group S.A.

     5,562        361,581  

Atresmedia Corp. de Medios de Comunicacion S.A.

     5,481        57,604  

Grifols S.A.

     4,248        123,792  

Industria de Diseno Textil S.A.

     22,971        865,879  

Prosegur Cia de Seguridad S.A.

     6,491        48,574  

Tecnicas Reunidas S.A.

     1,883        59,536  
     

 

 

 
Total Spain        1,516,966  
Sweden – 8.9%  

AAK AB

     318        24,018  

Assa Abloy AB Class B

     8,785        200,189  

Atlas Copco AB Class A

     10,276        434,212  

Atlas Copco AB Class B

     5,916        228,889  

Axfood AB

     2,668        45,663  

Bilia AB Class A

     4,510        49,728  

Boliden AB

     3,208        108,357  

Castellum AB

     4,486        70,238  

Electrolux AB Series B

     2,062        69,876  

Fabege AB

     3,361        68,765  

Hemfosa Fastigheter AB

     6,920        87,747  

Hennes & Mauritz AB Class B

     12,694        328,145  

Hexagon AB Class B

     2,374        117,415  

Hexpol AB

     968        10,163  

Husqvarna AB Class B

     5,247        53,869  

Intrum Justitia AB(b)

     1,155        40,753  

Investment AB Latour Class B

     7,929        107,147  

JM AB

     1,081        33,891  

L E Lundbergforetagen AB Class B

     499        39,799  

Loomis AB Class B

     1,469        58,257  

Melker Schorling AB

     695        47,342  

NetEnt AB*

     5,497        42,563  

Nibe Industrier AB Class B

     4,519        45,426  

Peab AB

     5,266        58,000  

Sandvik AB

     15,932        274,240  

Securitas AB Class B

     5,623        93,965  

SKF AB Class B

     7,298        158,704  

Sweco AB Class B

     1,996        48,785  

Trelleborg AB Class B

     3,418        85,425  

Volvo AB Class B

     19,576        376,538  
     

 

 

 
Total Sweden        3,408,109  
Switzerland – 17.8%  

ABB Ltd. Registered Shares

     37,186        920,042  

Cie Financiere Richemont S.A. Registered Shares

     4,250        388,719  

EMS-Chemie Holding AG Registered Shares

     354        235,610  

GAM Holding AG*

     5,974      $ 92,611  

Geberit AG Registered Shares

     460        217,782  

Givaudan S.A. Registered Shares

     178        387,604  

Kuehne + Nagel International AG Registered Shares

     2,289        424,160  

Logitech International S.A. Registered Shares

     2,065        75,357  

Lonza Group AG Registered Shares*

     611        160,391  

Oriflame Holding AG

     922        31,357  

Partners Group Holding AG

     459        311,661  

Roche Holding AG Bearer Shares

     2,706        689,364  

Roche Holding AG Genusschein

     9,126        2,331,487  

Schindler Holding AG Participation Certificate

     319        70,519  

Schindler Holding AG Registered Shares

     613        131,964  

Sonova Holding AG Registered Shares

     927        157,406  

Straumann Holding AG Registered Shares

     144        92,567  

Swatch Group AG (The) Bearer Shares

     266        110,733  
     

 

 

 
Total Switzerland        6,829,334  
United Kingdom – 27.9%  

Ashmore Group PLC

     26,004        118,341  

Ashtead Group PLC

     4,955        119,595  

Associated British Foods PLC

     5,853        250,736  

AVEVA Group PLC

     2,090        68,279  

Bellway PLC

     1,813        80,197  

Berkeley Group Holdings PLC

     3,298        164,468  

BGEO Group PLC

     1,016        44,438  

Big Yellow Group PLC

     2,921        29,667  

Brewin Dolphin Holdings PLC

     15,619        73,155  

British American Tobacco PLC

     23,742        1,488,193  

Burberry Group PLC

     2,202        51,996  

Cineworld Group PLC

     8,423        76,562  

Coca-Cola European Partners PLC

     5,158        216,319  

Compass Group PLC

     18,252        387,642  

Computacenter PLC

     5,385        71,309  

Crest Nicholson Holdings PLC

     3,877        28,765  

Croda International PLC

     2,239        113,940  

Diageo PLC

     33,335        1,097,077  

Domino’s Pizza Group PLC

     11,298        47,020  

Dunelm Group PLC

     7,203        68,372  

easyJet PLC

     7,431        121,332  

Electrocomponents PLC

     8,799        73,310  

FDM Group Holdings PLC

     1,745        22,522  

Fresnillo PLC

     7,164        135,043  

Galliford Try PLC

     4,524        82,122  

Greggs PLC

     4,439        74,266  

Halma PLC

     5,357        80,497  

Hargreaves Lansdown PLC

     5,849        116,140  

Hikma Pharmaceuticals PLC

     1,128        18,327  

Howden Joinery Group PLC

     1,558        9,009  

Jardine Lloyd Thompson Group PLC

     6,179        101,470  

Johnson Matthey PLC

     2,984        136,919  

Jupiter Fund Management PLC

     11,016        81,583  

Mediclinic International PLC

     6,440        56,161  

Merlin Entertainments PLC(a)

     2,611        15,606  

Moneysupermarket.com Group PLC

     14,339        61,177  

Pagegroup PLC

     10,335        69,039  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      43  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Persimmon PLC

     7,728      $ 267,709  

Reckitt Benckiser Group PLC

     6,986        638,567  

RELX N.V.

     12,338        262,693  

RELX PLC

     13,637        299,507  

Renishaw PLC

     1,241        79,303  

Rightmove PLC

     921        49,982  

RPC Group PLC

     8,090        107,508  

Sage Group PLC (The)

     19,465        182,415  

Segro PLC

     25,807        185,584  

Spirax-Sarco Engineering PLC

     1,020        75,609  

Synthomer PLC

     9,335        61,156  

Taylor Wimpey PLC

     32,157        84,345  

Unilever N.V. CVA

     23,295        1,378,068  

Unilever PLC

     16,570        960,163  

WH Smith PLC

     3,278        88,882  

Whitbread PLC

     983        49,668  

William Hill PLC

     23,454        79,423  
     

 

 

 
Total United Kingdom        10,701,176  

TOTAL COMMON STOCKS

(Cost: $34,863,459)

 

 

   $ 38,245,514  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.2%  
United States – 0.2%  

State Street Navigator Securities Lending Government
Money Market Portfolio, 1.02%(c)

     
(Cost: $63,895)(d)      63,895      $ 63,895  

TOTAL INVESTMENTS IN SECURITIES – 100.0%

(Cost: $34,927,354)

 

 

     38,309,409  

Other Assets less Liabilities – 0.0%

 

     14,838  
     

 

 

 
NET ASSETS – 100.0%      $ 38,324,247  
* 

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 September 30, 2017 (See Note 2).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $60,719 and the total market value of the collateral held by the Fund was $63,895.

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
 

Deutsche Bank

    10/2/2017       14,781       USD       120,237       SEK     $ 50     $  

 

CURRENCY LEGEND
SEK – Swedish krona
USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

44   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Europe SmallCap Dividend Fund (DFE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
Austria – 1.1%      

Austria Technologie & Systemtechnik AG

     141,169      $ 2,002,679  

DO & Co. AG(a)

     11,653        571,160  

POLYTEC Holding AG

     40,238        954,717  

Porr AG(a)

     93,097        2,941,332  

RHI AG

     77,073        3,220,938  

S IMMO AG

     134,191        2,375,642  

Zumtobel Group AG

     39,536        687,070  
     

 

 

 
Total Austria               12,753,538  
Belgium – 2.4%      

Barco N.V.

     23,910        2,580,439  

Euronav N.V.(a)

     1,030,267        8,471,058  

EVS Broadcast Equipment S.A.

     47,541        1,798,213  

Exmar N.V.(a)

     178,221        947,696  

Ion Beam Applications(a)

     15,472        525,683  

Orange Belgium S.A.

     134,993        3,121,554  

Recticel S.A.

     146,425        1,313,856  

Rezidor Hotel Group AB

     230,411        923,072  

Warehouses De Pauw CVA

     57,773        6,522,574  
     

 

 

 
Total Belgium               26,204,145  
Denmark – 2.3%      

Alm Brand A/S

     376,920        3,712,436  

Matas A/S

     201,324        2,942,398  

NNIT A/S(b)

     47,530        1,434,629  

Per Aarsleff Holding A/S

     52,037        1,529,333  

Ringkjoebing Landbobank A/S

     38,947        2,010,830  

Scandinavian Tobacco Group A/S Class A(b)

     288,626        5,121,612  

SimCorp A/S

     54,814        3,348,158  

Spar Nord Bank A/S

     420,890        5,242,069  
     

 

 

 
Total Denmark               25,341,465  
Finland – 4.8%      

Aktia Bank Oyj

     132,927        1,456,746  

CapMan Oyj Class B

     710,091        1,385,124  

Cramo Oyj

     106,297        2,791,003  

DNA Oyj

     327,943        5,737,872  

F-Secure Oyj

     224,861        1,135,096  

Finnair Oyj

     205,018        2,716,992  

Kemira Oyj

     413,279        5,432,989  

Lehto Group Oyj

     81,366        1,224,509  

Oriola Oyj Class B

     423,971        1,704,142  

Raisio Oyj Class V

     545,021        2,364,667  

Ramirent Oyj

     198,188        2,047,762  

Sanoma Oyj

     342,618        3,738,545  

Technopolis Oyj

     486,836        2,261,861  

Tieto Oyj

     300,006        9,146,860  

Tikkurila Oyj

     161,517        2,942,467  

Tokmanni Group Corp.

     233,445        1,973,247  

Uponor Oyj

     184,829        3,203,279  

YIT Oyj

     309,315        2,530,450  
     

 

 

 
Total Finland               53,793,611  
France – 4.3%      

Albioma S.A.

     87,471      $ 1,973,028  

Beneteau S.A.

     45,101        783,780  

Bourbon Corp.(a)

     99,159        896,777  

Chargeurs S.A.

     48,442        1,471,790  

Chargeurs S.A.*

     461        12,153  

Coface S.A.

     222,315        2,389,040  

Europcar Groupe S.A.(b)

     399,452        6,056,374  

Gaztransport Et Technigaz S.A.(a)

     147,205        8,005,180  

Haulotte Group S.A.

     43,558        823,908  

IPSOS

     93,249        3,228,346  

Jacquet Metal Service

     34,244        1,137,579  

Kaufman & Broad S.A.

     81,262        3,919,570  

Lectra

     32,325        1,014,980  

Manitou BF S.A.

     48,703        1,828,059  

Mersen S.A.

     32,858        1,183,210  

Neopost S.A.

     119,704        4,652,980  

Oeneo S.A.

     98,669        1,119,806  

Rallye S.A.

     287,199        5,323,775  

Technicolor S.A. Registered Shares

     461,622        1,593,529  
     

 

 

 
Total France               47,413,864  
Germany – 10.0%      

alstria office REIT-AG

     546,732        7,811,094  

AURELIUS Equity Opportunities SE & Co. KGaA(a)

     199,962        13,153,015  

BayWa AG

     44,872        1,787,175  

Bertrandt AG(a)

     27,772        2,796,633  

bet-at-home.com AG

     10,150        1,422,520  

Bilfinger SE(a)

     116,921        4,897,274  

CANCOM SE(a)

     15,046        1,129,498  

Capital Stage AG(a)

     364,763        2,722,308  

Cewe Stiftung & Co. KGaA

     18,314        1,740,941  

CropEnergies AG

     110,006        1,363,564  

Deutz AG

     90,796        733,662  

Elmos Semiconductor AG

     29,947        775,687  

ElringKlinger AG(a)

     144,683        2,697,366  

Gerry Weber International AG(a)

     68,365        852,662  

GFT Technologies SE(a)

     37,025        694,645  

Grammer AG

     26,707        1,741,882  

Hamburger Hafen und Logistik AG

     172,332        5,429,426  

Indus Holding AG

     46,202        3,417,572  

Jenoptik AG

     54,436        1,804,170  

Kloeckner & Co. SE

     187,667        2,407,179  

Koenig & Bauer AG

     11,555        952,534  

Leoni AG

     30,710        2,037,093  

MLP SE

     151,672        1,045,895  

NORMA Group SE

     53,427        3,514,299  

Pfeiffer Vacuum Technology AG

     23,203        3,659,238  

RHOEN-KLINIKUM AG

     71,507        2,408,417  

RIB Software SE(a)

     45,801        971,919  

Salzgitter AG(a)

     46,805        2,123,675  

Sixt SE

     75,147        5,985,066  

SMA Solar Technology AG(a)

     29,111        1,141,374  

Takkt AG

     98,467        2,258,308  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      45  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Europe SmallCap Dividend Fund (DFE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

TLG Immobilien AG

     288,855      $ 6,662,357  

VERBIO Vereinigte BioEnergie AG

     92,398        902,263  

VTG AG(a)

     56,217        3,123,606  

Wacker Neuson SE

     148,763        4,936,602  

Washtec AG

     33,785        2,967,587  

Wuestenrot & Wuerttembergische AG

     223,066        6,065,295  

Zeal Network SE

     44,857        1,376,126  
     

 

 

 
Total Germany               111,509,927  
Ireland – 1.7%      

C&C Group PLC

     1,144,106        4,125,312  

Greencore Group PLC

     1,077,104        2,835,279  

Hostelworld Group PLC(b)

     305,098        1,470,535  

IFG Group PLC

     342,121        732,064  

Irish Continental Group PLC

     352,780        2,358,453  

Origin Enterprises PLC

     319,108        2,512,480  

Total Produce PLC

     453,127        1,232,079  

UDG Healthcare PLC

     289,153        3,295,568  
     

 

 

 
Total Ireland               18,561,770  
Italy – 11.6%      

Anima Holding SpA(b)

     1,045,557        8,442,268  

Ascopiave SpA

     665,383        2,757,873  

Astaldi SpA

     283,017        1,938,906  

ASTM SpA

     239,261        6,208,650  

Banca IFIS SpA

     108,338        5,924,847  

Banca Popolare di Sondrio SCPA

     612,737        2,636,733  

Banca Sistema SpA(b)

     281,734        791,364  

Biesse SpA

     23,752        1,052,143  

Brunello Cucinelli SpA(a)

     50,667        1,571,736  

Cairo Communication SpA

     171,173        866,103  

Cementir Holding SpA

     270,950        2,283,860  

Cerved Information Solutions SpA

     435,051        5,143,170  

CIR-Compagnie Industriali Riunite SpA

     1,997,231        3,088,352  

Cofide SpA

     1,376,657        1,027,756  

Datalogic SpA

     67,782        2,385,525  

Ei Towers SpA

     84,238        4,984,285  

El.En. SpA

     20,603        578,475  

Enav SpA(b)

     2,124,975        9,737,071  

ePrice SpA(a)

     158,480        575,180  

ERG SpA

     505,798        8,078,360  

Esprinet SpA

     114,797        676,665  

Falck Renewables SpA

     1,033,725        1,960,199  

Immobiliare Grande Distribuzione SIIQ SpA

     4,179,279        4,360,204  

Italmobiliare SpA

     83,011        2,240,435  

La Doria SpA

     83,686        1,378,144  

Maire Tecnimont SpA(a)

     579,302        3,206,470  

MARR SpA

     182,022        4,798,654  

OVS SpA(b)

     487,612        3,723,897  

Piaggio & C. SpA

     835,471        2,617,387  

RAI Way SpA(b)

     603,794        3,262,088  

SAES Getters SpA

     45,525        1,439,675  

Salini Impregilo SpA

     772,640        3,047,151  

Saras SpA

     3,617,789        9,700,118  

Societa Cattolica di Assicurazioni SCRL

     671,072        5,831,056  

Technogym SpA(b)

     164,251      $ 1,455,360  

Tod’s SpA(a)

     79,661        5,645,802  

Vittoria Assicurazioni SpA

     102,677        1,395,924  

Zignago Vetro SpA

     263,175        2,526,338  
     

 

 

 
Total Italy               129,338,224  
Netherlands – 5.1%      

Accell Group

     54,113        1,672,877  

AMG Advanced Metallurgical Group N.V.

     23,591        1,017,540  

Amsterdam Commodities N.V.

     60,920        1,784,645  

Arcadis N.V.

     203,855        4,394,585  

BE Semiconductor Industries N.V.

     97,392        6,775,799  

Beter Bed Holding N.V.

     96,928        1,836,276  

BinckBank N.V.

     243,139        1,257,257  

Brunel International N.V.(a)

     135,553        2,160,179  

Corbion N.V.

     181,753        5,855,161  

Flow Traders(a)(b)

     197,030        5,299,129  

ForFarmers N.V.

     216,639        2,817,215  

Intertrust N.V.(b)

     215,546        3,501,204  

Koninklijke BAM Groep N.V.

     433,210        2,477,736  

PostNL N.V.

     1,047,794        4,513,828  

Refresco Group N.V.(b)

     147,616        2,973,677  

SIF Holding N.V.(a)

     44,370        951,257  

TKH Group N.V. CVA

     89,645        5,824,565  

Wessanen

     67,781        1,274,078  
     

 

 

 
Total Netherlands               56,387,008  
Norway – 7.8%      

ABG Sundal Collier Holding ASA

     4,870,780        3,426,550  

Arcus ASA(b)

     307,178        1,674,752  

Atea ASA*

     523,156        6,900,667  

Austevoll Seafood ASA

     637,787        6,650,041  

Borregaard ASA

     345,137        3,869,638  

Ekornes ASA

     128,035        1,817,514  

Entra ASA(b)

     268,075        3,670,738  

Europris ASA(b)

     860,604        4,140,690  

Grieg Seafood ASA

     637,805        6,281,662  

Norway Royal Salmon ASA

     228,718        4,812,666  

Protector Forsikring ASA

     264,683        2,601,842  

Scatec Solar ASA(b)

     207,885        1,091,616  

Selvaag Bolig ASA

     265,352        1,133,370  

Skandiabanken ASA(b)

     207,553        2,294,469  

SpareBank 1 Nord Norge

     369,453        2,865,938  

SpareBank 1 SMN

     493,943        5,041,628  

SpareBank 1 SR-Bank ASA

     695,436        7,491,381  

Sparebanken Vest

     303,196        2,132,957  

TGS Nopec Geophysical Co. ASA

     270,208        6,432,473  

Tomra Systems ASA

     316,081        4,745,007  

Veidekke ASA

     231,534        2,901,337  

Weifa ASA(a)

     181,622        793,996  

XXL ASA(b)

     337,015        3,672,732  
     

 

 

 
Total Norway               86,443,664  
Portugal – 3.5%      

Altri, SGPS, S.A.

     854,046        4,511,128  

Corticeira Amorim, SGPS, S.A.

     161,987        2,272,159  

 

See Notes to Financial Statements.

 

46  

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Europe SmallCap Dividend Fund (DFE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

CTT-Correios de Portugal S.A.

     1,081,227      $ 6,516,396  

Mota-Engil, SGPS, S.A.

     1,090,699        4,090,052  

REN – Redes Energeticas Nacionais, SGPS, S.A.

     2,681,701        8,731,021  

Semapa-Sociedade de Investimento e Gestao

     147,152        2,819,940  

Sonae Capital, SGPS, S.A.

     1,643,488        1,692,292  

Sonae, SGPS, S.A.

     7,164,555        8,647,801  
     

 

 

 
Total Portugal               39,280,789  
Spain – 2.6%      

Applus Services S.A.

     151,202        1,894,760  

Construcciones y Auxiliar de Ferrocarriles S.A.

     43,739        1,769,972  

Elecnor S.A.(a)

     114,083        1,590,104  

Ence Energia y Celulosa S.A.

     481,548        2,504,857  

Euskaltel S.A.(b)

     197,007        1,773,312  

Faes Farma S.A.

     826,377        2,764,747  

Fluidra S.A.

     147,661        1,556,245  

Obrascon Huarte Lain S.A.*(a)

     421,547        1,522,965  

Papeles y Cartones de Europa S.A.

     226,287        2,126,755  

Saeta Yield S.A.

     499,723        5,706,860  

Tecnicas Reunidas S.A.(a)

     197,288        6,237,837  
     

 

 

 
Total Spain               29,448,414  
Sweden – 12.4%      

Acando AB

     416,075        1,498,662  

AddTech AB Class B

     98,060        1,964,239  

AF AB Class B

     162,187        3,779,300  

Alimak Group AB(b)

     57,181        1,040,310  

Attendo AB(b)

     153,348        1,761,303  

Avanza Bank Holding AB

     75,511        3,156,487  

Bergman & Beving AB Class B

     63,125        844,904  

Betsson AB*

     639,069        5,813,384  

Bilia AB Class A

     425,502        4,691,686  

BioGaia AB Class B

     29,890        1,109,566  

Biotage AB

     116,414        866,436  

Bonava AB Class B

     90,135        1,455,438  

Bravida Holding AB(b)

     358,900        2,622,821  

Bufab AB

     82,206        1,075,118  

Bulten AB

     70,729        1,091,825  

Byggmax Group AB

     186,894        1,568,450  

Capio AB(b)

     204,885        1,197,329  

Clas Ohlson AB Class B

     175,771        3,251,689  

Cloetta AB Class B

     497,228        1,705,683  

Com Hem Holding AB

     273,000        3,893,143  

Coor Service Management Holding AB(b)

     332,035        2,359,373  

Duni AB

     72,184        1,131,972  

Dustin Group AB(b)

     204,904        1,725,869  

Evolution Gaming Group AB(b)

     32,980        2,097,021  

Granges AB

     189,653        2,166,673  

Gunnebo AB

     193,232        980,086  

Hemfosa Fastigheter AB

     604,860        7,669,729  

HIQ International AB*

     234,287        1,750,906  

Inwido AB

     135,704        1,724,906  

ITAB Shop Concept AB Class B(a)

     121,408        948,227  

KappAhl AB

     201,664        1,266,214  

KNOW IT AB

     52,644      $ 841,675  

Kungsleden AB

     687,747        4,722,686  

Lagercrantz Group AB Class B

     106,784        1,056,412  

LeoVegas AB(b)

     153,333        1,296,193  

Lindab International AB

     109,190        1,155,797  

Mekonomen AB

     113,862        2,573,712  

Modern Times Group MTG AB Class B

     213,616        7,720,414  

MQ Holding AB

     224,118        884,133  

Mycronic AB(a)

     216,165        2,959,496  

NetEnt AB*

     555,958        4,304,709  

Nobia AB

     503,250        5,006,389  

Nobina AB(b)

     445,424        2,597,559  

Nolato AB Class B

     53,910        2,595,653  

Nordax Group AB(b)

     308,878        1,816,406  

Nordic Waterproofing Holding A/S(b)

     81,582        929,527  

NP3 Fastigheter AB

     193,464        1,147,177  

Paradox Interactive AB

     123,781        1,292,805  

Platzer Fastigheter Holding AB Class B

     142,213        884,220  

Pricer AB Class B(a)

     598,660        726,106  

Ratos AB Class B(a)

     899,332        4,391,796  

Resurs Holding AB(a)(b)

     921,444        6,502,438  

Rottneros AB

     729,483        594,322  

Scandi Standard AB

     155,636        1,139,286  

Scandic Hotels Group AB(b)

     239,287        3,276,057  

Systemair AB

     43,053        717,343  

Thule Group AB(b)

     153,753        3,296,450  

Wihlborgs Fastigheter AB

     207,025        5,052,391  
     

 

 

 
Total Sweden               137,689,901  
Switzerland – 4.0%      

Ascom Holding AG Registered Shares

     137,052        3,016,957  

Bobst Group S.A. Registered Shares

     23,476        2,581,487  

Daetwyler Holding AG Bearer Shares

     15,194        2,405,664  

EFG International AG*

     829,707        7,185,763  

GAM Holding AG*

     671,833        10,414,939  

Implenia AG Registered Shares

     44,288        2,931,631  

Kudelski S.A. Bearer Shares

     98,844        1,236,061  

Mobilezone Holding AG Registered Shares

     105,009        1,324,008  

Oriflame Holding AG

     142,798        4,856,533  

Tecan Group AG Registered Shares

     10,521        2,179,008  

u-blox Holding AG*

     6,501        1,283,941  

Valiant Holding AG Registered Shares

     40,872        4,443,711  

Zehnder Group AG

     28,302        994,489  
     

 

 

 
Total Switzerland               44,854,192  
United Kingdom – 26.1%      

A.G. Barr PLC

     144,548        1,198,505  

AA PLC

     1,315,404        2,991,355  

Abcam PLC

     110,236        1,508,561  

Ascential PLC

     297,255        1,369,920  

AVEVA Group PLC

     69,399        2,267,208  

BCA Marketplace PLC(a)

     1,231,632        3,627,059  

BGEO Group PLC

     45,358        1,983,858  

Big Yellow Group PLC

     316,885        3,218,376  

Bodycote PLC

     209,139        2,571,619  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      47  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Europe SmallCap Dividend Fund (DFE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Bovis Homes Group PLC

     337,595      $ 4,955,101  

Brewin Dolphin Holdings PLC

     621,169        2,909,369  

Card Factory PLC

     1,357,598        5,611,798  

Carillion PLC(a)

     2,091,545        1,438,137  

Central Asia Metals PLC(a)

     435,548        1,355,699  

Chesnara PLC

     359,852        1,903,421  

Cineworld Group PLC

     394,496        3,585,841  

Clarkson PLC

     39,852        1,529,703  

Clinigen Group PLC*

     44,158        631,547  

CMC Markets PLC(b)

     876,555        1,905,168  

Coats Group PLC

     1,002,459        1,051,750  

Computacenter PLC

     174,205        2,306,837  

Concentric AB

     97,715        1,649,064  

Connect Group PLC

     1,003,236        1,359,451  

Consort Medical PLC

     74,787        1,090,674  

Costain Group PLC

     199,319        1,198,694  

Countryside Properties PLC(b)

     533,431        2,484,833  

Cranswick PLC

     43,206        1,711,195  

Crest Nicholson Holdings PLC

     607,585        4,507,869  

Dairy Crest Group PLC(a)

     289,174        2,384,077  

De La Rue PLC

     206,196        1,794,029  

Debenhams PLC

     4,894,273        3,250,368  

Dechra Pharmaceuticals PLC

     62,568        1,712,465  

Devro PLC

     326,958        1,045,115  

DFS Furniture PLC

     485,786        1,433,860  

Diploma PLC

     133,160        1,900,879  

Domino’s Pizza Group PLC

     669,622        2,786,831  

Dunelm Group PLC

     454,563        4,314,790  

Elementis PLC

     1,076,950        3,914,206  

EMIS Group PLC

     100,786        1,247,400  

Epwin Group PLC

     532,517        560,844  

Equiniti Group PLC(b)

     370,948        1,499,019  

Essentra PLC

     476,043        3,528,723  

esure Group PLC

     1,036,361        3,925,194  

Euromoney Institutional Investor PLC

     99,029        1,555,817  

FDM Group Holdings PLC

     151,270        1,952,392  

Ferrexpo PLC

     396,083        1,553,827  

Fidessa Group PLC

     74,171        2,236,023  

Galliford Try PLC

     319,254        5,795,265  

Games Workshop Group PLC

     96,064        2,537,731  

Genus PLC

     46,251        1,301,864  

Go-Ahead Group PLC

     128,185        2,928,809  

Greggs PLC

     170,971        2,860,409  

Halfords Group PLC

     524,973        2,468,676  

Hastings Group Holdings PLC(b)

     1,030,236        4,204,701  

Helical PLC

     205,251        827,502  

Hill & Smith Holdings PLC

     89,668        1,520,631  

Hilton Food Group PLC

     116,399        1,133,770  

Ibstock PLC(b)

     683,205        2,087,148  

ITE Group PLC

     463,214        1,117,094  

J D Wetherspoon PLC

     75,187        1,265,976  

James Fisher & Sons PLC

     42,714        891,127  

James Halstead PLC

     196,869        1,158,867  

John Laing Group PLC(b)

     435,031        1,664,596  

John Menzies PLC

     134,256      $ 1,295,996  

Johnson Service Group PLC

     569,306        1,126,619  

Just Group PLC

     1,302,900        2,567,864  

Kcom Group PLC

     2,029,882        2,696,157  

Keller Group PLC

     136,001        1,493,482  

Kier Group PLC

     286,625        4,472,321  

Lookers PLC

     673,263        1,083,940  

Low & Bonar PLC

     768,249        816,846  

Marshalls PLC

     318,624        1,863,821  

Marston’s PLC

     1,902,948        2,775,209  

McCarthy & Stone PLC(b)

     846,487        1,697,855  

McColl’s Retail Group PLC

     372,084        1,349,105  

Mears Group PLC

     177,625        1,158,785  

Millennium & Copthorne Hotels PLC

     297,257        1,794,667  

Mitchells & Butlers PLC

     722,415        2,442,454  

Morgan Advanced Materials PLC

     648,253        2,705,725  

Morgan Sindall Group PLC

     66,783        1,279,479  

N Brown Group PLC

     730,771        3,443,301  

NCC Group PLC(a)

     454,094        1,318,994  

Northgate PLC

     203,131        1,182,102  

Novae Group PLC

     115,046        1,102,069  

Numis Corp. PLC

     306,478        1,154,405  

OneSavings Bank PLC

     312,993        1,692,726  

Pagegroup PLC

     677,774        4,527,581  

Pan African Resources PLC

     7,046,687        1,229,044  

PayPoint PLC

     191,923        2,457,775  

Pendragon PLC

     3,169,964        1,360,954  

Pets at Home Group PLC(a)

     1,266,182        3,630,277  

Photo-Me International PLC

     1,118,208        2,610,424  

Polar Capital Holdings PLC

     199,589        1,189,606  

Polypipe Group PLC

     258,233        1,460,668  

PZ Cussons PLC

     578,540        2,480,729  

Rank Group PLC

     432,310        1,287,619  

Redde PLC

     1,047,126        2,528,777  

Renewi PLC(a)

     1,377,820        1,880,902  

Restaurant Group PLC (The)

     488,651        1,979,252  

Ricardo PLC

     92,639        1,030,357  

RPS Group PLC

     411,670        1,593,434  

RWS Holdings PLC(a)

     190,660        1,014,882  

Safestore Holdings PLC

     337,269        1,976,054  

Savills PLC

     249,967        3,123,954  

Senior PLC

     581,442        2,152,273  

SIG PLC

     735,069        1,754,459  

Soco International PLC

     703,169        1,089,635  

Softcat PLC

     170,019        959,186  

Spire Healthcare Group PLC(b)

     241,155        727,654  

Spirent Communications PLC

     828,750        1,067,417  

St. Modwen Properties PLC

     250,544        1,256,500  

Stagecoach Group PLC

     1,815,901        4,158,769  

SThree PLC

     248,177        1,171,210  

Stock Spirits Group PLC

     493,093        1,587,739  

SuperGroup PLC

     128,749        2,934,786  

Synthomer PLC

     424,867        2,783,421  

TalkTalk Telecom Group PLC(a)

     4,508,697        12,684,947  

 

See Notes to Financial Statements.

 

48   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Europe SmallCap Dividend Fund (DFE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

TBC Bank Group PLC

     63,270      $ 1,409,111  

Ted Baker PLC

     54,410        1,934,478  

Telecom Plus PLC

     162,443        2,366,846  

Trinity Mirror PLC

     649,489        742,857  

TT electronics PLC

     323,384        989,219  

Tyman PLC

     287,442        1,243,710  

Ultra Electronics Holdings PLC

     91,678        2,211,536  

Unite Group PLC (The)

     378,619        3,492,322  

Vedanta Resources PLC

     892,410        10,440,471  

Vesuvius PLC

     417,397        3,304,003  

Victrex PLC

     120,735        3,840,643  

Virgin Money Holdings UK PLC

     409,378        1,573,578  

ZPG PLC(b)

     392,061        1,902,573  
     

 

 

 
Total United Kingdom               289,938,191  

TOTAL COMMON STOCKS

(Cost: $1,003,828,315)

              1,108,958,703  
RIGHTS – 0.0%      
United Kingdom – 0.0%      
Equiniti Group PLC, expiring 10/16/17*
(Cost $0)
     79,489        122,643  
EXCHANGE-TRADED FUND – 0.0%      
United States – 0.0%      
WisdomTree International MidCap Dividend Fund(a)(c)
(Cost: $494,272)
     7,723        512,267  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 7.6%  
United States – 7.6%    

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(d)

   
(Cost: $84,102,116)(e)     84,102,116     $ 84,102,116  

TOTAL INVESTMENTS IN SECURITIES – 107.3%

(Cost: $1,088,424,703)

 

 

    1,193,695,729  

Other Assets less Liabilities – (7.3)%

      (81,325,260
   

 

 

 
NET ASSETS – 100.0%           $ 1,112,370,469  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 company (See Note 3).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(e) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $84,449,177 and the total market value of the collateral held by the Fund was $89,066,103. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $4,963,987.

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
 
Deutsche Bank     10/2/2017       74,156       USD       55,300       GBP     $     $ (37
State Street Bank and Trust     10/2/2017       16,000       GBP       21,426       USD       41        
State Street Bank and Trust     10/2/2017       90,540       SEK       70,000       DKK             (28
State Street Bank and Trust     10/2/2017       240,000       SEK       29,428       USD             (25
State Street Bank and Trust     10/3/2017       22,427       USD       19,000       EUR             (35
                                            $ 41     $ (125

 

CURRENCY LEGEND

DKK – Danish krone

EUR – Euro

GBP – British pound

SEK – Swedish krona

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      49  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Germany Hedged Equity Fund (DXGE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%      
Germany – 99.4%      
Aerospace & Defense – 0.7%      

MTU Aero Engines AG

     4,931      $ 786,681  
Air Freight & Logistics – 4.2%      

Deutsche Post AG Registered Shares

     109,121        4,858,890  
Airlines – 1.2%      

Deutsche Lufthansa AG Registered Shares

     48,617        1,351,237  
Auto Components – 3.3%      

Continental AG

     11,536        2,928,729  

ElringKlinger AG(a)

     2,070        38,591  

Hella KGaA Hueck & Co.

     15,058        887,853  
     

 

 

 
Total Auto Components               3,855,173  
Automobiles – 13.0%      

Bayerische Motoren Werke AG

     61,266        6,216,549  

Daimler AG Registered Shares

     84,165        6,713,252  

Volkswagen AG

     12,097        2,048,628  
     

 

 

 
Total Automobiles               14,978,429  
Capital Markets – 3.1%      

AURELIUS Equity Opportunities SE & Co. KGaA(a)

     10,167        668,761  

Deutsche Bank AG Registered Shares

     75,504        1,305,885  

Deutsche Boerse AG

     14,424        1,563,843  
     

 

 

 
Total Capital Markets               3,538,489  
Chemicals – 12.7%      

BASF SE

     63,425        6,751,289  

Covestro AG(b)

     15,449        1,328,691  

Evonik Industries AG

     49,908        1,783,017  

Fuchs Petrolub SE

     6,991        358,938  

K+S AG Registered Shares(a)

     14,494        394,957  

LANXESS AG

     7,761        612,526  

Linde AG

     10,395        2,168,388  

Symrise AG

     7,988        606,928  

Wacker Chemie AG

     4,694        673,123  
     

 

 

 
Total Chemicals               14,677,857  
Commercial Services & Supplies – 0.1%      

Bilfinger SE(a)

     3,174        132,944  
Construction & Engineering – 0.7%      

Hochtief AG

     4,623        780,173  
Construction Materials – 1.1%      

HeidelbergCement AG

     11,993        1,233,071  
Diversified Telecommunication Services – 5.2%      

Deutsche Telekom AG Registered Shares(a)

     320,528        5,981,379  
Electrical Equipment – 0.6%      

OSRAM Licht AG

     8,686        693,232  
Food Products – 0.4%      

Suedzucker AG

     20,620        443,051  
Health Care Equipment & Supplies – 0.1%      

Carl Zeiss Meditec AG Bearer Shares

     1,805        94,242  
Health Care Providers & Services – 1.9%      

Fresenius Medical Care AG & Co. KGaA

     11,026      $ 1,078,901  

Fresenius SE & Co. KGaA

     13,807        1,114,019  
     

 

 

 
Total Health Care Providers & Services               2,192,920  
Health Care Technology – 0.1%      

CompuGroup Medical SE

     1,169        66,225  
Hotels, Restaurants & Leisure – 1.3%      

TUI AG

     85,910        1,460,472  
Household Products – 1.2%      

Henkel AG & Co. KGaA

     11,258        1,370,182  
Independent Power & Renewable Electricity Producers – 1.0%      

Uniper SE

     42,226        1,158,134  
Industrial Conglomerates – 6.0%      

Indus Holding AG

     1,563        115,615  

Rheinmetall AG

     6,820        768,850  

Siemens AG Registered Shares

     42,897        6,044,967  
     

 

 

 
Total Industrial Conglomerates               6,929,432  
Insurance – 13.2%      

Allianz SE Registered Shares

     33,642        7,554,606  

Hannover Rueck SE

     16,011        1,929,730  

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     20,107        4,300,080  

Talanx AG

     34,467        1,393,747  
     

 

 

 
Total Insurance               15,178,163  
Internet & Catalog Retail – 0.1%      

Takkt AG

     3,730        85,546  
IT Services – 0.1%      

Bechtle AG

     1,263        94,634  

Wirecard AG(a)

     694        63,511  
     

 

 

 
Total IT Services               158,145  
Life Sciences Tools & Services – 0.1%      

Gerresheimer AG

     788        61,009  
Machinery – 4.1%      

DMG MORI AG

     9,782        607,124  

Duerr AG

     4,595        614,654  

GEA Group AG

     16,062        730,867  

KION Group AG

     8,759        838,435  

Krones AG

     2,543        353,395  

MAN SE

     13,190        1,488,996  

NORMA Group SE

     824        54,201  

Wacker Neuson SE

     1,011        33,549  
     

 

 

 
Total Machinery               4,721,221  
Media – 2.5%      

Axel Springer SE

     12,883        828,070  

CTS Eventim AG & Co. KGaA

     10,730        468,457  

ProSiebenSat.1 Media SE

     35,115        1,197,025  

Stroeer SE & Co. KGaA

     6,530        427,212  
     

 

 

 
Total Media               2,920,764  

 

See Notes to Financial Statements.

 

50   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Germany Hedged Equity Fund (DXGE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Metals & Mining – 1.0%      

Aurubis AG

     6,533      $ 529,356  

Salzgitter AG(a)

     1,117        50,681  

ThyssenKrupp AG

     18,768        556,352  
     

 

 

 
Total Metals & Mining               1,136,389  
Multi-Utilities – 4.0%      

E.ON SE

     142,435        1,612,470  

Innogy SE(b)

     66,701        2,969,243  
     

 

 

 
Total Multi-Utilities               4,581,713  
Personal Products – 0.8%      

Beiersdorf AG

     8,250        887,829  
Pharmaceuticals – 5.9%      

Bayer AG Registered Shares

     44,294        6,037,608  

Merck KGaA

     5,258        585,050  

STADA Arzneimittel AG

     2,287        222,622  
     

 

 

 
Total Pharmaceuticals               6,845,280  
Road & Rail – 0.2%      

Sixt SE

     2,085        166,059  

VTG AG(a)

     1,143        63,509  
     

 

 

 
Total Road & Rail               229,568  
Semiconductors & Semiconductor Equipment – 1.0%  

Infineon Technologies AG

     45,958        1,155,631  
Software – 4.1%      

Nemetschek SE

     769        62,520  

SAP SE

     41,879        4,589,020  

Software AG

     2,574        125,690  
     

 

 

 
Total Software               4,777,230  
Specialty Retail – 0.7%      

Fielmann AG

     9,144        792,483  
Technology Hardware, Storage & Peripherals – 0.3%  

Diebold Nixdorf AG

     4,054        340,756  
Textiles, Apparel & Luxury Goods – 2.3%      

adidas AG

     7,910      $ 1,789,819  

Hugo Boss AG(a)

     9,493        837,095  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               2,626,914  
Thrifts & Mortgage Finance – 0.5%      

Aareal Bank AG

     14,611        618,809  
Trading Companies & Distributors – 0.5%      

BayWa AG

     140        5,576  

Brenntag AG

     9,218        513,436  

Kloeckner & Co. SE

     4,489        57,580  
     

 

 

 
Total Trading Companies & Distributors               576,592  
Transportation Infrastructure – 0.1%      

Hamburger Hafen und Logistik AG

     2,553        80,434  

TOTAL COMMON STOCKS

(Cost: $102,413,420)

              114,356,689  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.2%  
United States – 1.2%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(c)

     
(Cost: $1,422,824)(d)      1,422,824        1,422,824  

TOTAL INVESTMENTS IN SECURITIES – 100.6%

(Cost: $103,836,244)

        115,779,513  

Other Assets less Liabilities – (0.6)%

        (716,137
     

 

 

 
NET ASSETS – 100.0%             $ 115,063,376  
(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $1,354,577 and the total market value of the collateral held by the Fund was $1,422,892. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $68.

 

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 N.A.

  10/3/2017   19,137,655     EUR     22,623,866     USD     $ 658     $  

Bank of America N.A.

  10/3/2017   23,758,266     USD     19,949,071     EUR       174,487        

Bank of America N.A.

  11/2/2017   23,948,796     USD     20,226,562     EUR             (1,210

Barclays Bank PLC

  10/3/2017   19,137,574     EUR     22,623,866     USD       563        

Barclays Bank PLC

  11/2/2017   23,948,796     USD     20,226,289     EUR             (886

Citibank N.A.

  10/3/2017   795,241     EUR     936,066     USD       4,067        

Citibank N.A.

  10/3/2017   19,137,655     EUR     22,623,866     USD       658        

Citibank N.A.

  10/3/2017   23,758,266     USD     19,952,924     EUR       169,931        

Citibank N.A.

  11/2/2017   23,948,796     USD     20,226,597     EUR             (1,250

Credit Suisse International

  10/3/2017   14,581,010     EUR     17,237,233     USD       429        

Credit Suisse International

  10/3/2017   23,758,266     USD     19,953,192     EUR       169,614        

Credit Suisse International

  11/2/2017   18,246,704     USD     15,410,807     EUR             (1,030

Goldman Sachs

  10/3/2017   19,137,558     EUR     22,623,866     USD       543        

Goldman Sachs

  10/3/2017   23,758,266     USD     19,952,857     EUR       170,011        

Goldman Sachs

  11/2/2017   23,948,796     USD     20,226,221     EUR             (805

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      51  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Germany Hedged Equity Fund (DXGE)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
 

Amount and Description of

Currency to be Purchased

    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 

State Street Bank and Trust

  10/3/2017   46,000     USD     38,971     EUR     $     $ (72

UBS AG

  10/3/2017   3,725,383     EUR     4,465,840     USD             (61,695

UBS AG

  10/3/2017   18,101,539     USD     15,199,448     EUR       132,761        
                                $ 823,722     $ (66,948

 

CURRENCY LEGEND

EUR – Euro

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

52   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 97.6%      
Australia – 3.9%      

Amcor Ltd.

     746      $ 8,903  

AMP Ltd.

     2,297        8,705  

Australia & New Zealand Banking Group Ltd.

     1,583        36,766  

BHP Billiton Ltd.

     570        11,530  

Commonwealth Bank of Australia

     780        46,055  

CSL Ltd.

     116        12,193  

Macquarie Group Ltd.

     155        11,058  

National Australia Bank Ltd.

     1,611        39,818  

QBE Insurance Group Ltd.

     662        5,200  

Rio Tinto Ltd.

     369        19,263  

Telstra Corp., Ltd.

     5,974        16,359  

Wesfarmers Ltd.

     711        23,058  

Westpac Banking Corp.

     1,766        44,231  

Woodside Petroleum Ltd.

     416        9,499  

Woolworths Ltd.

     663        13,115  
     

 

 

 
Total Australia               305,753  
Austria – 0.2%      

Andritz AG

     125        7,227  

OMV AG

     200        11,654  
     

 

 

 
Total Austria               18,881  
Belgium – 0.9%      

Anheuser-Busch InBev S.A.

     434        51,974  

Colruyt S.A.

     65        3,330  

Proximus SADP

     270        9,306  

Umicore S.A.

     63        5,213  
     

 

 

 
Total Belgium               69,823  
Brazil – 0.8%      

Ambev S.A.

     2,834        18,851  

Banco do Brasil S.A.

     1,199        13,229  

BB Seguridade Participacoes S.A.

     1,025        9,277  

BRF S.A.*

     350        5,053  

Vale S.A.

     1,249        12,584  
     

 

 

 
Total Brazil               58,994  
Canada – 6.8%      

Agrium, Inc.

     86        9,195  

ARC Resources Ltd.

     117        1,608  

Bank of Montreal

     455        34,355  

Bank of Nova Scotia (The)

     581        37,258  

Barrick Gold Corp.

     306        4,913  

BCE, Inc.

     678        31,692  

Brookfield Asset Management, Inc. Class A

     158        6,509  

CAE, Inc.

     171        2,985  

Canadian Imperial Bank of Commerce

     215        18,768  

Canadian National Railway Co.

     158        13,060  

Canadian Natural Resources Ltd.

     402        13,433  

Canadian Tire Corp., Ltd. Class A

     47        5,838  

Crescent Point Energy Corp.

     204        1,634  

Enbridge, Inc.

     511        21,296  

Encana Corp.

     558        6,554  

Great-West Lifeco, Inc.

     356        10,222  

Imperial Oil Ltd.

     62      $ 1,976  

Intact Financial Corp.

     54        4,450  

Inter Pipeline Ltd.

     488        10,087  

Manulife Financial Corp.

     867        17,546  

Pembina Pipeline Corp.

     353        12,357  

Potash Corp. of Saskatchewan, Inc.

     419        8,047  

Power Financial Corp.

     461        12,758  

Rogers Communications, Inc. Class B

     269        13,839  

Royal Bank of Canada

     777        59,978  

Shaw Communications, Inc. Class B

     603        13,847  

Sun Life Financial, Inc.

     393        15,614  

Suncor Energy, Inc.

     836        29,231  

TELUS Corp.

     563        20,203  

Thomson Reuters Corp.

     356        16,296  

Toronto-Dominion Bank (The)

     882        49,543  

TransCanada Corp.

     425        20,957  
     

 

 

 
Total Canada               526,049  
Chile – 0.1%      

S.A.C.I. Falabella

     1,019        9,952  
China – 3.6%      

Agricultural Bank of China Ltd. Class H

     18,000        8,066  

Bank of China Ltd. Class H

     36,000        17,745  

Bank of Communications Co., Ltd. Class H

     15,000        10,947  

China CITIC Bank Corp., Ltd. Class H

     11,000        6,985  

China Communications Construction Co., Ltd. Class H

     5,000        6,241  

China Construction Bank Corp. Class H

     92,500        76,741  

China Life Insurance Co., Ltd. Class H

     5,000        14,883  

China Mobile Ltd.

     5,000        50,668  

China Overseas Land & Investment Ltd.

     4,000        13,008  

China Pacific Insurance Group Co., Ltd. Class H

     2,400        10,340  

China Petroleum & Chemical Corp. Class H

     10,000        7,490  

CITIC Ltd.

     5,000        7,387  

CNOOC Ltd.

     14,000        18,067  

Industrial & Commercial Bank of China Ltd. Class H

     30,000        22,277  

PetroChina Co., Ltd. Class H

     8,000        5,070  

Ping An Insurance Group Co. of China Ltd. Class H

     1,000        7,675  
     

 

 

 
Total China               283,590  
Denmark – 1.4%      

AP Moller – Maersk A/S Class B

     6        11,400  

Coloplast A/S Class B

     185        15,018  

Danske Bank A/S

     468        18,721  

Novo Nordisk A/S Class B

     990        47,339  

Pandora A/S

     47        4,640  

Vestas Wind Systems A/S

     105        9,424  
     

 

 

 
Total Denmark               106,542  
Finland – 0.9%      

Fortum Oyj

     780        15,575  

Kone Oyj Class B

     245        12,976  

Metso Oyj

     179        6,568  

Nokia Oyj

     3,300        19,818  

Sampo Oyj Class A

     83        4,388  

UPM-Kymmene Oyj

     377        10,220  
     

 

 

 
Total Finland               69,545  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      53  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
France – 8.9%      

Accor S.A.

     198      $ 9,839  

Air Liquide S.A.

     51        6,804  

Airbus SE

     243        23,100  

AXA S.A.

     764        23,113  

BNP Paribas S.A.

     420        33,888  

Capgemini SE

     95        11,137  

Carrefour S.A.

     192        3,880  

Christian Dior SE

     44        14,094  

Cie de Saint-Gobain

     234        13,948  

Cie Generale des Etablissements Michelin

     78        11,388  

Credit Agricole S.A.

     1,337        24,310  

Danone S.A.

     234        18,360  

Electricite de France S.A.

     935        11,357  

Engie S.A.

     1,811        30,766  

Essilor International S.A.

     68        8,421  

Eutelsat Communications S.A.

     263        7,792  

Hermes International

     17        8,572  

Iliad S.A.

     9        2,392  

Kering

     47        18,728  

Klepierre S.A.

     159        6,242  

L’Oreal S.A.

     95        20,204  

Legrand S.A.

     141        10,181  

LVMH Moet Hennessy Louis Vuitton SE

     125        34,498  

Natixis S.A.

     1,898        15,191  

Orange S.A.

     1,127        18,466  

Orpea

     69        8,173  

Pernod Ricard S.A.

     77        10,655  

Publicis Groupe S.A.

     93        6,497  

Renault S.A.

     84        8,253  

Safran S.A.

     99        10,117  

Sanofi

     536        53,234  

Schneider Electric SE*

     189        16,452  

SCOR SE

     117        4,907  

Societe Generale S.A.

     381        22,311  

Teleperformance

     38        5,674  

TOTAL S.A.

     1,269        68,177  

Unibail-Rodamco SE

     32        7,784  

Valeo S.A.

     105        7,793  

Veolia Environnement S.A.

     285        6,587  

Vinci S.A.

     261        24,808  

Vivendi S.A.

     1,617        40,947  

Wendel S.A.

     23        3,726  
     

 

 

 
Total France               692,766  
Germany – 7.1%      

adidas AG

     71        16,065  

Allianz SE Registered Shares

     243        54,568  

BASF SE

     429        45,665  

Bayer AG Registered Shares

     316        43,073  

Bayerische Motoren Werke AG

     351        35,615  

Beiersdorf AG

     53        5,704  

CECONOMY AG

     104        1,225  

Continental AG

     64        16,248  

Daimler AG Registered Shares

     702        55,994  

Deutsche Post AG Registered Shares

     528      $ 23,511  

Deutsche Telekom AG Registered Shares

     2,324        43,368  

E.ON SE

     1,412        15,985  

Freenet AG

     363        12,140  

GEA Group AG

     125        5,688  

Hannover Rueck SE

     78        9,401  

Henkel AG & Co. KGaA

     80        9,737  

K+S AG Registered Shares

     251        6,840  

Linde AG

     74        15,436  

MAN SE

     52        5,870  

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     102        21,814  

ProSiebenSat.1 Media SE

     184        6,272  

SAP SE

     324        35,503  

Siemens AG Registered Shares

     420        59,186  

Symrise AG

     78        5,926  
     

 

 

 
Total Germany               550,834  
Hong Kong – 1.8%      

AIA Group Ltd.

     2,200        16,224  

BOC Hong Kong Holdings Ltd.

     4,000        19,435  

CLP Holdings Ltd.

     1,000        10,249  

Hang Lung Properties Ltd.

     2,000        4,747  

Hang Seng Bank Ltd.

     500        12,189  

Hong Kong & China Gas Co., Ltd.

     3,200        6,014  

Hong Kong Exchanges & Clearing Ltd.

     200        5,377  

I-CABLE Communications Ltd.*

     277        9  

MTR Corp., Ltd.

     1,500        8,757  

Power Assets Holdings Ltd.

     1,000        8,661  

Sun Hung Kai Properties Ltd.

     2,000        32,494  

Swire Pacific Ltd. Class A

     500        4,852  

Wharf Holdings Ltd. (The)

     1,000        8,911  
     

 

 

 
Total Hong Kong               137,919  
Hungary – 0.1%      

OTP Bank PLC

     128        4,820  
Indonesia – 0.4%      

Astra International Tbk PT

     13,700        8,036  

Bank Rakyat Indonesia Persero Tbk PT

     8,600        9,753  

Telekomunikasi Indonesia Persero Tbk PT

     38,100        13,238  
     

 

 

 
Total Indonesia               31,027  
Ireland – 0.7%      

CRH PLC

     699        26,671  

DCC PLC

     89        8,651  

Kerry Group PLC Class A

     74        7,111  

Smurfit Kappa Group PLC

     360        11,278  
     

 

 

 
Total Ireland               53,711  
Israel – 0.2%      

Bezeq Israeli Telecommunication Corp., Ltd.

     6,383        9,127  

Teva Pharmaceutical Industries Ltd.

     272        4,755  
     

 

 

 
Total Israel               13,882  
Italy – 1.3%      

Enel SpA

     4,028        24,262  

Eni SpA

     1,791        29,643  

 

See Notes to Financial Statements.

 

54   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Intesa Sanpaolo SpA

     6,328      $ 22,383  

Snam SpA

     2,510        12,095  

Terna Rete Elettrica Nazionale SpA

     2,631        15,371  
     

 

 

 
Total Italy               103,754  
Japan – 18.7%      

Aisin Seiki Co., Ltd.

     200        10,536  

Asahi Group Holdings Ltd.

     300        12,142  

Asahi Kasei Corp.

     800        9,843  

Astellas Pharma, Inc.

     600        7,630  

Bridgestone Corp.

     600        27,216  

Canon, Inc.

     1,200        40,990  

Casio Computer Co., Ltd.

     500        7,036  

Central Japan Railway Co.

     30        5,258  

Chugai Pharmaceutical Co., Ltd.

     300        12,446  

Dai-ichi Life Holdings, Inc.

     600        10,762  

Daiichi Sankyo Co., Ltd.

     500        11,274  

Daikin Industries Ltd.

     200        20,246  

Daiwa House Industry Co., Ltd.

     330        11,389  

Denso Corp.

     430        21,747  

East Japan Railway Co.

     100        9,226  

Eisai Co., Ltd.

     10        513  

Electric Power Development Co., Ltd.

     400        10,042  

FANUC Corp.

     60        12,148  

FUJIFILM Holdings Corp.

     120        4,656  

Hitachi Ltd.

     2,600        18,314  

Honda Motor Co., Ltd.

     800        23,681  

Hoya Corp.

     270        14,572  

Isuzu Motors Ltd.

     600        7,947  

ITOCHU Corp.

     1,400        22,922  

Japan Airlines Co., Ltd.

     350        11,840  

Japan Post Holdings Co., Ltd.(a)

     2,500        29,516  

Japan Tobacco, Inc.

     1,000        32,763  

JXTG Holdings, Inc.

     2,600        13,371  

Kao Corp.

     230        13,526  

Kawasaki Heavy Industries Ltd.

     300        9,941  

KDDI Corp.

     1,200        31,630  

Kirin Holdings Co., Ltd.

     600        14,115  

Komatsu Ltd.

     600        17,062  

Kyocera Corp.

     270        16,747  

LIXIL Group Corp.

     300        7,958  

Makita Corp.

     300        12,086  

Mazda Motor Corp.

     300        4,597  

Mitsubishi Chemical Holdings Corp.

     1,500        14,285  

Mitsubishi Corp.

     900        20,912  

Mitsubishi Electric Corp.

     1,200        18,741  

Mitsubishi Heavy Industries Ltd.

     120        4,743  

Mitsubishi Materials Corp.

     200        6,912  

Mitsubishi Motors Corp.

     800        6,325  

Mitsubishi Tanabe Pharma Corp.

     500        11,460  

Mitsubishi UFJ Financial Group, Inc.

     6,900        44,790  

Mitsui & Co., Ltd.

     1,500        22,161  

Mizuho Financial Group, Inc.

     15,900        27,841  

MS&AD Insurance Group Holdings, Inc.

     330        10,621  

Murata Manufacturing Co., Ltd.

     60        8,816  

Nagoya Railroad Co., Ltd.

     400      $ 8,610  

Nippon Telegraph & Telephone Corp.

     1,100        50,395  

Nissan Motor Co., Ltd.

     3,900        38,614  

Nitto Denko Corp.

     200        16,670  

Nomura Holdings, Inc.

     2,000        11,194  

NSK Ltd.

     600        8,086  

NTT Data Corp.

     700        7,487  

NTT DOCOMO, Inc.

     2,300        52,522  

Omron Corp.

     200        10,181  

Osaka Gas Co., Ltd.

     500        9,292  

Otsuka Holdings Co., Ltd.

     300        11,916  

Panasonic Corp.

     1,400        20,279  

Recruit Holdings Co., Ltd.

     710        15,371  

Ricoh Co., Ltd.

     500        4,859  

Secom Co., Ltd.

     200        14,573  

Seiko Epson Corp.

     350        8,467  

Sekisui House Ltd.

     800        13,479  

Seven & I Holdings Co., Ltd.

     280        10,808  

Shin-Etsu Chemical Co., Ltd.

     200        17,874  

Shionogi & Co., Ltd.

     200        10,929  

SoftBank Group Corp.

     200        16,140  

Sompo Holdings, Inc.

     200        7,779  

Subaru Corp.

     600        21,641  

Sumitomo Corp.

     1,200        17,254  

Sumitomo Electric Industries Ltd.

     600        9,797  

Sumitomo Mitsui Financial Group, Inc.

     830        31,854  

Sumitomo Mitsui Trust Holdings, Inc.

     300        10,823  

T&D Holdings, Inc.

     600        8,707  

Takeda Pharmaceutical Co., Ltd.

     580        32,018  

Tokio Marine Holdings, Inc.

     300        11,732  

Tokyo Electron Ltd.

     200        30,702  

Tokyo Gas Co., Ltd.

     400        9,801  

Toray Industries, Inc.

     1,100        10,666  

Toyota Motor Corp.

     1,920        114,451  

Toyota Tsusho Corp.

     300        9,848  

Trend Micro, Inc.

     270        13,288  

Yahoo Japan Corp.(a)

     2,900        13,757  
     

 

 

 
Total Japan               1,457,159  
Malaysia – 0.3%      

Malayan Banking Bhd

     5,100        11,511  

Public Bank Bhd

     1,500        7,261  

Tenaga Nasional Bhd

     1,700        5,765  
     

 

 

 
Total Malaysia               24,537  
Mexico – 0.6%      

Fomento Economico Mexicano S.A.B. de C.V.

     1,094        10,485  

Grupo Financiero Banorte S.A.B. de C.V. Class O

     1,500        10,373  

Grupo Mexico S.A.B. de C.V. Series B

     1,806        5,539  

Wal-Mart de Mexico S.A.B. de C.V.

     9,670        22,206  
     

 

 

 
Total Mexico               48,603  
Netherlands – 2.3%      

ABN AMRO Group N.V. CVA(b)

     474        14,200  

Aegon N.V.

     2,206        12,852  

ASML Holding N.V.

     113        19,243  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      55  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Heineken Holding N.V.

     92      $ 8,647  

Heineken N.V.

     165        16,317  

ING Groep N.V.

     2,309        42,583  

Koninklijke Ahold Delhaize N.V.

     167        3,123  

Koninklijke DSM N.V.

     105        8,597  

Koninklijke Philips N.V.

     498        20,565  

NN Group N.V.

     273        11,428  

Steinhoff International Holdings N.V.

     1,713        7,639  

Wolters Kluwer N.V.

     206        9,521  
     

 

 

 
Total Netherlands               174,715  
New Zealand – 0.1%      

Spark New Zealand Ltd.

     3,572        9,425  
Norway – 0.5%      

Marine Harvest ASA*

     293        5,797  

Norsk Hydro ASA

     828        6,022  

Statoil ASA

     895        17,911  

Telenor ASA

     521        11,022  
     

 

 

 
Total Norway               40,752  
Philippines – 0.2%      

Ayala Land, Inc.

     4,400        3,768  

SM Investments Corp.

     660        11,472  
     

 

 

 
Total Philippines               15,240  
Poland – 0.1%      

Bank Pekao S.A.

     53        1,862  

Powszechny Zaklad Ubezpieczen S.A.

     461        5,819  
     

 

 

 
Total Poland               7,681  
Portugal – 0.2%      

Galp Energia, SGPS, S.A.

     654        11,594  
Russia – 0.8%      

Gazprom PJSC ADR

     2,420        10,140  

Lukoil PJSC ADR

     291        15,403  

Magnit PJSC GDR Reg S

     98        4,013  

Mobile TeleSystems PJSC ADR

     723        7,548  

Novatek PJSC GDR Reg S

     23        2,698  

Rosneft Oil Co. PJSC GDR Reg S

     1,883        10,460  

Sberbank of Russia PJSC ADR

     438        6,235  

Tatneft PJSC ADR

     158        6,746  
     

 

 

 
Total Russia               63,243  
Singapore – 0.9%      

CapitaLand Ltd.

     3,800        10,018  

DBS Group Holdings Ltd.

     800        12,265  

Oversea-Chinese Banking Corp., Ltd.

     1,500        12,327  

Singapore Airlines Ltd.

     600        4,436  

Singapore Telecommunications Ltd.

     7,100        19,241  

United Overseas Bank Ltd.

     506        8,757  
     

 

 

 
Total Singapore               67,044  
South Africa – 1.1%      

Barclays Africa Group Ltd.

     576        5,930  

FirstRand Ltd.

     3,312        12,762  

Gold Fields Ltd.

     864        3,774  

MTN Group Ltd.

     1,674        15,420  

Remgro Ltd.

     237      $ 3,604  

Sanlam Ltd.

     1,208        6,053  

Sasol Ltd.

     234        6,430  

Standard Bank Group Ltd.

     1,037        12,120  

Tiger Brands Ltd.

     252        7,043  

Vodacom Group Ltd.

     935        11,158  
     

 

 

 
Total South Africa               84,294  
South Korea – 3.4%      

Hana Financial Group, Inc.

     147        6,077  

Hyundai Motor Co.

     132        17,345  

Kangwon Land, Inc.

     150        4,584  

KB Financial Group, Inc.

     177        8,670  

Kia Motors Corp.

     45        1,244  

Korea Electric Power Corp.

     737        25,095  

Korea Zinc Co., Ltd.

     2        865  

KT&G Corp.

     102        9,395  

LG Chem Ltd.

     32        10,952  

NAVER Corp.

     5        3,252  

POSCO

     68        18,821  

Samsung Electronics Co., Ltd.

     40        89,545  

Samsung Fire & Marine Insurance Co., Ltd.

     23        5,623  

Samsung Life Insurance Co., Ltd.

     69        6,808  

Shinhan Financial Group Co., Ltd.

     227        9,969  

SK Holdings Co., Ltd.

     23        5,783  

SK Hynix, Inc.

     185        13,390  

SK Innovation Co., Ltd.

     54        9,382  

SK Telecom Co., Ltd.

     75        16,698  
     

 

 

 
Total South Korea               263,498  
Spain – 2.5%      

ACS Actividades de Construccion y Servicios S.A.

     197        7,302  

Amadeus IT Group S.A.

     227        14,757  

Banco Bilbao Vizcaya Argentaria S.A.

     1,791        16,009  

Banco de Sabadell S.A.

     4,100        8,560  

Banco Santander S.A.

     3,816        26,648  

Bankinter S.A.

     482        4,561  

Enagas S.A.

     242        6,816  

Endesa S.A.

     630        14,207  

Gas Natural SDG S.A.

     36        797  

Iberdrola S.A.

     3,570        27,737  

Industria de Diseno Textil S.A.

     555        20,920  

Red Electrica Corp. S.A.

     398        8,366  

Repsol S.A.

     803        14,800  

Telefonica S.A.

     2,326        25,276  
     

 

 

 
Total Spain               196,756  
Sweden – 2.2%      

Alfa Laval AB

     501        12,208  

Assa Abloy AB Class B

     456        10,391  

Atlas Copco AB Class B

     606        23,446  

Electrolux AB Series B

     225        7,625  

Getinge AB Class B

     381        7,128  

Hennes & Mauritz AB Class B

     324        8,376  

Hexagon AB Class B

     20        989  

Nordea Bank AB

     1,343        18,165  

 

See Notes to Financial Statements.

 

56   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Sandvik AB

     876      $ 15,079  

Skandinaviska Enskilda Banken AB Class A

     887        11,660  

SKF AB Class B

     369        8,024  

Svenska Cellulosa AB SCA Class B

     336        2,840  

Svenska Handelsbanken AB Class A

     443        6,670  

Swedbank AB Class A

     284        7,836  

Telefonaktiebolaget LM Ericsson Class B

     1,832        10,497  

Telia Co. AB

     912        4,286  

Volvo AB Class B

     900        17,311  
     

 

 

 
Total Sweden               172,531  
Switzerland – 7.2%      

ABB Ltd. Registered Shares

     1,326        32,808  

Cie Financiere Richemont S.A. Registered Shares

     203        18,567  

Credit Suisse Group AG Registered Shares*

     1,401        22,197  

EMS-Chemie Holding AG Registered Shares

     14        9,318  

Givaudan S.A. Registered Shares

     6        13,065  

Julius Baer Group Ltd.*

     132        7,817  

Kuehne + Nagel International AG Registered Shares

     72        13,342  

LafargeHolcim Ltd. Registered Shares*

     267        15,618  

Nestle S.A. Registered Shares

     1,230        103,093  

Novartis AG Registered Shares

     1,082        92,701  

Partners Group Holding AG

     21        14,259  

Roche Holding AG Bearer Shares

     56        14,266  

Roche Holding AG Genusschein

     279        71,278  

Schindler Holding AG Registered Shares

     37        7,965  

SGS S.A. Registered Shares

     6        14,405  

Sonova Holding AG Registered Shares

     74        12,565  

Swatch Group AG (The) Registered Shares

     105        8,372  

Swiss Re AG

     201        18,218  

Swisscom AG Registered Shares

     21        10,769  

UBS Group AG Registered Shares*

     1,977        33,815  

Zurich Insurance Group AG

     87        26,561  
     

 

 

 
Total Switzerland               560,999  
Taiwan – 2.6%      

Asustek Computer, Inc.

     1,000        8,228  

Cathay Financial Holding Co., Ltd.

     6,000        9,537  

China Steel Corp.

     3,000        2,409  

Chunghwa Telecom Co., Ltd.

     6,000        20,677  

Delta Electronics, Inc.

     2,000        10,289  

First Financial Holding Co., Ltd.

     12,195        7,822  

Formosa Petrochemical Corp.

     3,000        10,338  

Formosa Plastics Corp.

     3,000        9,082  

Hon Hai Precision Industry Co., Ltd.

     8,940        30,956  

Hua Nan Financial Holdings Co., Ltd.

     15,027        8,152  

MediaTek, Inc.

     1,000        9,382  

Mega Financial Holding Co., Ltd.

     9,000        7,034  

Nan Ya Plastics Corp.

     5,000        12,317  

Taiwan Semiconductor Manufacturing Co., Ltd.

     8,000        57,116  
     

 

 

 
Total Taiwan               203,339  
Thailand – 0.3%      

CP ALL PCL NVDR

     4,400        8,807  

PTT PCL NVDR

     1,100        13,457  
     

 

 

 
Total Thailand               22,264  
Turkey – 0.1%      

Akbank Turk AS

     1,775      $ 4,692  

Turkiye Garanti Bankasi AS

     2,192        5,967  
     

 

 

 
Total Turkey               10,659  
United Kingdom – 14.4%      

Admiral Group PLC

     291        7,094  

AstraZeneca PLC

     569        37,826  

Aviva PLC

     684        4,721  

BAE Systems PLC

     1,412        11,963  

Barclays PLC

     5,276        13,686  

BHP Billiton PLC

     651        11,481  

Booker Group PLC

     3,956        10,880  

BP PLC

     13,981        89,530  

British American Tobacco PLC

     752        47,137  

British Land Co. PLC (The)

     1,142        9,224  

BT Group PLC

     1,551        5,908  

Capita PLC

     1,035        7,846  

Carnival PLC

     153        9,736  

Centrica PLC

     4,095        10,274  

Compass Group PLC

     738        15,674  

Derwent London PLC

     267        10,009  

Diageo PLC

     896        29,488  

GKN PLC

     1,890        8,774  

GlaxoSmithKline PLC

     2,951        58,933  

Halma PLC

     488        7,333  

Hammerson PLC

     1,316        9,481  

HSBC Holdings PLC

     11,019        108,970  

Imperial Brands PLC

     479        20,462  

Inmarsat PLC

     735        6,346  

ITV PLC

     3,951        9,261  

Johnson Matthey PLC

     129        5,919  

Land Securities Group PLC

     790        10,312  

Legal & General Group PLC

     1,698        5,921  

Lloyds Banking Group PLC

     23,011        20,910  

London Stock Exchange Group PLC

     171        8,787  

Marks & Spencer Group PLC

     2,405        11,403  

Melrose Industries PLC

     1,560        4,454  

National Grid PLC

     1,085        13,459  

Old Mutual PLC

     2,448        6,378  

Pearson PLC

     930        7,636  

Persimmon PLC

     398        13,787  

Prudential PLC

     392        9,396  

Reckitt Benckiser Group PLC

     201        18,373  

RELX N.V.

     510        10,859  

RELX PLC

     633        13,902  

Rio Tinto PLC

     645        30,054  

Rolls-Royce Holdings PLC*

     581        6,914  

Royal Dutch Shell PLC Class A

     3,404        102,688  

Royal Dutch Shell PLC Class B

     2,628        80,901  

Royal Mail PLC

     642        3,309  

Schroders PLC

     297        13,369  

Severn Trent PLC

     201        5,860  

Smiths Group PLC

     516        10,917  

SSE PLC

     458        8,584  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      57  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

St. James’s Place PLC

     642      $ 9,871  

TechnipFMC PLC*

     53        1,467  

Unilever N.V. CVA

     744        44,013  

Unilever PLC

     443        25,670  

United Utilities Group PLC

     788        9,034  

Vodafone Group PLC

     13,328        37,337  

Whitbread PLC

     164        8,286  
     

 

 

 
Total United Kingdom               1,121,807  

TOTAL COMMON STOCKS

(Cost: $6,916,268)

              7,593,982  
EXCHANGE-TRADED NOTE – 1.7%      
United States – 1.7%      
iPath MSCI India Index ETN*
(Cost: $117,569)
     1,620      $ 128,174  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.0%  
United States – 0.0%      

State Street Navigator Securities Lending Government
Money Market Portfolio, 1.02%(c)

     
(Cost: $964)(d)      964        964  

TOTAL INVESTMENTS IN SECURITIES – 99.3%

(Cost: $7,034,801)

        7,723,120  

Other Assets less Liabilities – 0.7%

        55,339  
     

 

 

 
NET ASSETS – 100.0%             $ 7,778,459  
* Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $32,152 and the total market value of the collateral held by the Fund was $34,827. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $33,863.

ADR – American Depositary Receipt

CVA – Certificaten Van Aandelen (Certificate of Stock)

ETN – Exchange-Traded Note

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

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
 
BNP Paribas SA   10/3/2017     585       GBP       4,938       DKK     $ 1     $  
Bank of America N.A.   10/3/2017     82,203       AUD       64,516       USD             (15
Bank of America N.A.   10/3/2017     131,999       CAD       105,546       USD             (1
Bank of America N.A.   10/3/2017     111,172       CHF       114,891       USD       3        
Bank of America N.A.   10/3/2017     138,209       DKK       21,955       USD       1        
Bank of America N.A.   10/3/2017     339,870       EUR       401,782       USD       12        
Bank of America N.A.   10/3/2017     159,140       GBP       213,504       USD       6        
Bank of America N.A.   10/3/2017     328,191       HUF       1,249       USD              
Bank of America N.A.   10/3/2017     11,068       ILS       3,133       USD              
Bank of America N.A.   10/3/2017     191,425       MXN       10,542       USD             (1
Bank of America N.A.   10/3/2017     64,681       NOK       8,125       USD              
Bank of America N.A.   10/3/2017     2,734       NZD       1,976       USD              
Bank of America N.A.   10/3/2017     7,456       PLN       2,046       USD              
Bank of America N.A.   10/3/2017     283,125       SEK       34,685       USD       2        
Bank of America N.A.   10/3/2017     9,066       TRY       2,549       USD              
Bank of America N.A.   10/3/2017     64,842       USD       81,783       AUD       671        
Bank of America N.A.   10/3/2017     106,079       USD       132,947       CAD             (224
Bank of America N.A.   10/3/2017     115,470       USD       110,740       CHF       1,022        
Bank of America N.A.   10/3/2017     22,065       USD       138,051       DKK       134        
Bank of America N.A.   10/3/2017     403,810       USD       339,067       EUR       2,966        
Bank of America N.A.   10/3/2017     214,582       USD       166,347       GBP             (8,598
Bank of America N.A.   10/3/2017     1,249       USD       320,569       HUF       29        
Bank of America N.A.   10/3/2017     3,133       USD       11,226       ILS             (45
Bank of America N.A.   10/3/2017     10,595       USD       189,693       MXN       149        
Bank of America N.A.   10/3/2017     8,166       USD       63,494       NOK       190        
Bank of America N.A.   10/3/2017     1,976       USD       2,761       NZD             (20

 

See Notes to Financial Statements.

 

58   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

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 N.A.   10/3/2017     2,046       USD       7,311       PLN     $ 40     $  
Bank of America N.A.   10/3/2017     34,860       USD       276,901       SEK       936        
Bank of America N.A.   10/3/2017     2,549       USD       8,872       TRY       55        
Bank of America N.A.   10/4/2017     38,828       BRL       12,275       USD             (2
Bank of America N.A.   10/4/2017     1,237,347       CLP       1,936       USD              
Bank of America N.A.   10/4/2017     721,406       HKD       92,364       USD             (3
Bank of America N.A.   10/4/2017     33,730,077       JPY       299,641       USD       23        
Bank of America N.A.   10/4/2017     18,920       SGD       13,934       USD             (1
Bank of America N.A.   10/4/2017     12,288       USD       38,828       BRL       15        
Bank of America N.A.   10/4/2017     1,967       USD       1,237,347       CLP       31        
Bank of America N.A.   10/4/2017     92,830       USD       725,926       HKD             (110
Bank of America N.A.   10/4/2017     301,153       USD       33,098,642       JPY       7,099        
Bank of America N.A.   10/4/2017     14,005       USD       19,015       SGD       2        
Bank of America N.A.   10/4/2017     20,096       USD       261,198       ZAR       755        
Bank of America N.A.   10/4/2017     270,007       ZAR       19,995       USD             (2
Bank of America N.A.   11/2/2017     64,559       USD       82,288       AUD       13        
Bank of America N.A.   11/2/2017     111,795       USD       139,779       CAD       5        
Bank of America N.A.   11/2/2017     117,637       USD       113,604       CHF              
Bank of America N.A.   11/2/2017     22,360       USD       140,526       DKK             (3
Bank of America N.A.   11/2/2017     418,452       USD       353,414       EUR             (21
Bank of America N.A.   11/2/2017     224,625       USD       167,270       GBP             (13
Bank of America N.A.   11/2/2017     89,946       USD       702,024       HKD             (2
Bank of America N.A.   11/2/2017     3,360       USD       11,859       ILS              
Bank of America N.A.   11/2/2017     8,697       USD       69,189       NOK             (1
Bank of America N.A.   11/2/2017     1,928       USD       2,669       NZD              
Bank of America N.A.   11/2/2017     35,839       USD       292,076       SEK             (3
Bank of America N.A.   11/2/2017     2,274       USD       8,160       TRY              
Bank of America N.A.   11/3/2017     1,203       USD       315,698       HUF              
Bank of America N.A.   11/3/2017     10,050       USD       183,436       MXN       1        
Bank of America N.A.   11/3/2017     1,942       USD       7,077       PLN              
Bank of America N.A.   11/3/2017     13,961       USD       18,951       SGD              
Bank of America N.A.   11/3/2017     18,282       USD       248,088       ZAR       1        
Bank of America N.A.   11/6/2017     12,742       USD       40,471       BRL       5        
Bank of America N.A.   11/6/2017     1,974       USD       1,262,508       CLP              
Bank of America N.A.   11/6/2017     308,276       USD       34,652,010       JPY             (33
Bank of Montreal   10/3/2017     10,405       GBP       11,800       EUR       10        
Barclays Bank PLC   10/3/2017     82,221       AUD       64,516       USD             (2
Barclays Bank PLC   10/3/2017     132,004       CAD       105,546       USD       3        
Barclays Bank PLC   10/3/2017     111,171       CHF       114,891       USD       2        
Barclays Bank PLC   10/3/2017     138,206       DKK       21,955       USD       1        
Barclays Bank PLC   10/3/2017     339,868       EUR       401,782       USD       10        
Barclays Bank PLC   10/3/2017     159,139       GBP       213,504       USD       5        
Barclays Bank PLC   10/3/2017     328,206       HUF       1,249       USD              
Barclays Bank PLC   10/3/2017     11,068       ILS       3,133       USD              
Barclays Bank PLC   10/3/2017     191,430       MXN       10,542       USD              
Barclays Bank PLC   10/3/2017     64,679       NOK       8,125       USD              
Barclays Bank PLC   10/3/2017     2,734       NZD       1,976       USD              
Barclays Bank PLC   10/3/2017     7,456       PLN       2,046       USD              
Barclays Bank PLC   10/3/2017     283,118       SEK       34,685       USD       1        
Barclays Bank PLC   10/3/2017     9,064       TRY       2,549       USD             (1
Barclays Bank PLC   10/4/2017     38,828       BRL       12,275       USD             (2
Barclays Bank PLC   10/4/2017     1,237,347       CLP       1,936       USD              
Barclays Bank PLC   10/4/2017     721,409       HKD       92,364       USD             (2
Barclays Bank PLC   10/4/2017     33,729,988       JPY       299,641       USD       22        
Barclays Bank PLC   10/4/2017     18,921       SGD       13,934       USD              
Barclays Bank PLC   10/4/2017     269,976       ZAR       19,995       USD             (4
Barclays Bank PLC   11/2/2017     64,559       USD       82,304       AUD       1        
Barclays Bank PLC   11/2/2017     111,795       USD       139,793       CAD             (6

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      59  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

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   11/2/2017     117,637       USD       113,609       CHF     $     $ (5
Barclays Bank PLC   11/2/2017     22,360       USD       140,518       DKK             (1
Barclays Bank PLC   11/2/2017     418,452       USD       353,409       EUR             (15
Barclays Bank PLC   11/2/2017     224,625       USD       167,268       GBP             (10
Barclays Bank PLC   11/2/2017     89,946       USD       702,006       HKD              
Barclays Bank PLC   11/2/2017     3,360       USD       11,860       ILS             (1
Barclays Bank PLC   11/2/2017     8,697       USD       69,188       NOK              
Barclays Bank PLC   11/2/2017     1,928       USD       2,669       NZD              
Barclays Bank PLC   11/2/2017     35,839       USD       292,061       SEK             (2
Barclays Bank PLC   11/2/2017     2,274       USD       8,159       TRY              
Barclays Bank PLC   11/3/2017     1,203       USD       315,769       HUF              
Barclays Bank PLC   11/3/2017     10,050       USD       183,443       MXN       1        
Barclays Bank PLC   11/3/2017     1,942       USD       7,077       PLN              
Barclays Bank PLC   11/3/2017     13,961       USD       18,955       SGD             (2
Barclays Bank PLC   11/3/2017     18,282       USD       248,062       ZAR       3        
Barclays Bank PLC   11/6/2017     12,740       USD       40,471       BRL       3        
Barclays Bank PLC   11/6/2017     1,975       USD       1,262,508       CLP       2        
Barclays Bank PLC   11/6/2017     308,276       USD       34,651,702       JPY             (30
Citibank N.A.   10/3/2017     1,969       AUD       1,550       USD             (5
Citibank N.A.   10/3/2017     82,224       AUD       64,516       USD       1        
Citibank N.A.   10/3/2017     3,141       CAD       2,536       USD             (24
Citibank N.A.   10/3/2017     132,004       CAD       105,546       USD       3        
Citibank N.A.   10/3/2017     2,679       CHF       2,761       USD       7        
Citibank N.A.   10/3/2017     111,172       CHF       114,891       USD       3        
Citibank N.A.   10/3/2017     3,337       DKK       528       USD       2        
Citibank N.A.   10/3/2017     138,209       DKK       21,955       USD       1        
Citibank N.A.   10/3/2017     8,202       EUR       9,655       USD       42        
Citibank N.A.   10/3/2017     339,870       EUR       401,782       USD       12        
Citibank N.A.   10/3/2017     3,822       GBP       5,130       USD             (2
Citibank N.A.   10/3/2017     159,140       GBP       213,504       USD       6        
Citibank N.A.   10/3/2017     328,230       HUF       1,249       USD              
Citibank N.A.   10/3/2017     752       ILS       1,693       NOK              
Citibank N.A.   10/3/2017     11,068       ILS       3,133       USD              
Citibank N.A.   10/3/2017     4,557       MXN       253       USD             (2
Citibank N.A.   10/3/2017     191,425       MXN       10,542       USD             (1
Citibank N.A.   10/3/2017     1,541       NOK       195       USD             (1
Citibank N.A.   10/3/2017     64,679       NOK       8,125       USD              
Citibank N.A.   10/3/2017     2,734       NZD       1,976       USD              
Citibank N.A.   10/3/2017     7,456       PLN       2,046       USD              
Citibank N.A.   10/3/2017     6,784       SEK       833       USD             (2
Citibank N.A.   10/3/2017     283,120       SEK       34,685       USD       1        
Citibank N.A.   10/3/2017     9,068       TRY       2,549       USD              
Citibank N.A.   10/3/2017     64,842       USD       81,776       AUD       676        
Citibank N.A.   10/3/2017     106,079       USD       132,951       CAD             (227
Citibank N.A.   10/3/2017     115,470       USD       110,760       CHF       1,001        
Citibank N.A.   10/3/2017     22,065       USD       137,813       DKK       172        
Citibank N.A.   10/3/2017     403,810       USD       339,132       EUR       2,888        
Citibank N.A.   10/3/2017     214,582       USD       166,363       GBP             (8,619
Citibank N.A.   10/3/2017     1,249       USD       320,613       HUF       29        
Citibank N.A.   10/3/2017     3,133       USD       11,226       ILS             (45
Citibank N.A.   10/3/2017     10,595       USD       189,687       MXN       149        
Citibank N.A.
  10/3/2017     8,166       USD       63,489       NOK       190        
Citibank N.A.   10/3/2017     1,976       USD       2,760       NZD             (20
Citibank N.A.   10/3/2017     2,046       USD       7,311       PLN       40        
Citibank N.A.   10/3/2017     34,860       USD       276,953       SEK       929        
Citibank N.A.   10/3/2017     2,549       USD       8,872       TRY       55        
Citibank N.A.   10/4/2017     38,828       BRL       12,272       USD       1        
Citibank N.A.   10/4/2017     1,237,347       CLP       1,936       USD              

 

See Notes to Financial Statements.

 

60   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
  Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 
Citibank N.A.   10/4/2017     17,333       HKD       2,219       USD     $     $  
Citibank N.A.   10/4/2017     721,391       HKD       92,364       USD             (5
Citibank N.A.   10/4/2017     807,926       JPY       7,200       USD             (22
Citibank N.A.   10/4/2017     33,728,310       JPY       299,641       USD       7        
Citibank N.A.   10/4/2017     454       SGD       335       USD              
Citibank N.A.   10/4/2017     18,920       SGD       13,934       USD             (1
Citibank N.A.   10/4/2017     12,286       USD       38,828       BRL       12        
Citibank N.A.   10/4/2017     1,967       USD       1,237,347       CLP       31        
Citibank N.A.   10/4/2017     92,830       USD       725,885       HKD             (105
Citibank N.A.   10/4/2017     301,153       USD       33,098,581       JPY       7,099        
Citibank N.A.   10/4/2017     14,005       USD       19,013       SGD       3        
Citibank N.A.   10/4/2017     20,096       USD       262,427       ZAR       664        
Citibank N.A.   10/4/2017     6,437       ZAR       480       USD             (3
Citibank N.A.   10/4/2017     270,012       ZAR       19,995       USD             (1
Citibank N.A.   11/2/2017     64,559       USD       82,308       AUD             (3
Citibank N.A.   11/2/2017     111,795       USD       139,793       CAD             (6
Citibank N.A.   11/2/2017     117,637       USD       113,609       CHF             (5
Citibank N.A.   11/2/2017     22,360       USD       140,520       DKK             (2
Citibank N.A.   11/2/2017     418,452       USD       353,415       EUR             (22
Citibank N.A.   11/2/2017     224,625       USD       167,267       GBP             (9
Citibank N.A.   11/2/2017     89,946       USD       701,981       HKD       4        
Citibank N.A.   11/2/2017     3,360       USD       11,859       ILS             (1
Citibank N.A.   11/2/2017     8,697       USD       69,187       NOK              
Citibank N.A.   11/2/2017     1,928       USD       2,669       NZD              
Citibank N.A.   11/2/2017     35,839       USD       292,061       SEK             (2
Citibank N.A.   11/2/2017     2,274       USD       8,161       TRY              
Citibank N.A.   11/3/2017     1,203       USD       315,757       HUF              
Citibank N.A.   11/3/2017     10,050       USD       183,437       MXN       1        
Citibank N.A.   11/3/2017     1,942       USD       7,078       PLN              
Citibank N.A.   11/3/2017     13,961       USD       18,951       SGD       1        
Citibank N.A.   11/3/2017     18,282       USD       248,088       ZAR       1        
Citibank N.A.   11/6/2017     12,737       USD       40,471       BRL             (1
Citibank N.A.   11/6/2017     1,974       USD       1,262,508       CLP              
Citibank N.A.   11/6/2017     308,276       USD       34,649,729       JPY             (12
Credit Suisse International   10/3/2017     62,645       AUD       49,158       USD             (3
Credit Suisse International   10/3/2017     100,573       CAD       80,419       USD             (2
Credit Suisse International   10/3/2017     84,702       CHF       87,536       USD       2        
Credit Suisse International   10/3/2017     105,302       DKK       16,728       USD              
Credit Suisse International   10/3/2017     258,951       EUR       306,124       USD       8        
Credit Suisse International   10/3/2017     121,252       GBP       162,674       USD       4        
Credit Suisse International   10/3/2017     250,944       HUF       955       USD              
Credit Suisse International   10/3/2017     8,443       ILS       2,390       USD              
Credit Suisse International   10/3/2017     145,902       MXN       8,035       USD              
Credit Suisse International   10/3/2017     49,315       NOK       6,195       USD              
Credit Suisse International   10/3/2017     2,086       NZD       1,508       USD              
Credit Suisse International   10/3/2017     5,696       PLN       1,563       USD              
Credit Suisse International   10/3/2017     215,712       SEK       26,427       USD       1        
Credit Suisse International   10/3/2017     6,920       TRY       1,946       USD             (1
Credit Suisse International   10/3/2017     64,842       USD       81,783       AUD       671        
Credit Suisse International   10/3/2017     106,079       USD       132,951       CAD             (227
Credit Suisse International   10/3/2017     115,470       USD       110,769       CHF       992        
Credit Suisse International   10/3/2017     22,065       USD       137,802       DKK       174        
Credit Suisse International   10/3/2017     403,810       USD       339,137       EUR       2,883        
Credit Suisse International   10/3/2017     214,582       USD       166,364       GBP             (8,621
Credit Suisse International   10/3/2017     1,249       USD       320,628       HUF       29        
Credit Suisse International   10/3/2017     3,133       USD       11,225       ILS             (44
Credit Suisse International   10/3/2017     10,595       USD       189,707       MXN       148        
Credit Suisse International   10/3/2017     8,166       USD       63,491       NOK       190        

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      61  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
  Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 
Credit Suisse International   10/3/2017     1,976       USD       2,760       NZD     $     $ (20
Credit Suisse International   10/3/2017     2,046       USD       7,310       PLN       40        
Credit Suisse International   10/3/2017     34,860       USD       276,971       SEK       927        
Credit Suisse International   10/3/2017     2,549       USD       8,873       TRY       55        
Credit Suisse International   10/4/2017     29,585       BRL       9,356       USD             (5
Credit Suisse International   10/4/2017     942,741       CLP       1,476       USD             (1
Credit Suisse International   10/4/2017     549,666       HKD       70,377       USD             (4
Credit Suisse International   10/4/2017     417,457,966       IDR       30,992       USD             (14
Credit Suisse International   10/4/2017     25,697,289       JPY       228,299       USD              
Credit Suisse International   10/4/2017     14,420       SGD       10,620       USD             (1
Credit Suisse International   10/4/2017     12,286       USD       38,828       BRL       12        
Credit Suisse International   10/4/2017     1,970       USD       1,237,347       CLP       34        
Credit Suisse International   10/4/2017     92,830       USD       725,965       HKD             (115
Credit Suisse International   10/4/2017     301,153       USD       33,099,184       JPY       7,094        
Credit Suisse International   10/4/2017     14,005       USD       19,014       SGD       3        
Credit Suisse International   10/4/2017     20,096       USD       262,482       ZAR       660        
Credit Suisse International   10/4/2017     205,766       ZAR       15,238       USD             (1
Credit Suisse International   10/5/2017     8,304,326       INR       126,976       USD             (89
Credit Suisse International   10/12/2017     298,202,143       KRW       260,325       USD             (73
Credit Suisse International   11/2/2017     49,188       USD       62,710       AUD             (1
Credit Suisse International   11/2/2017     85,178       USD       106,499       CAD       4        
Credit Suisse International   11/2/2017     89,631       USD       86,564       CHF             (6
Credit Suisse International   11/2/2017     17,040       USD       107,091       DKK             (2
Credit Suisse International   11/2/2017     318,823       USD       269,272       EUR             (18
Credit Suisse International   11/2/2017     171,145       USD       127,446       GBP             (10
Credit Suisse International   11/2/2017     68,531       USD       534,858       HKD       2        
Credit Suisse International   11/2/2017     2,563       USD       9,046       ILS              
Credit Suisse International   11/2/2017     6,627       USD       52,721       NOK              
Credit Suisse International   11/2/2017     1,470       USD       2,035       NZD              
Credit Suisse International   11/2/2017     27,310       USD       222,564       SEK             (2
Credit Suisse International   11/2/2017     1,737       USD       6,232       TRY              
Credit Suisse International   11/3/2017     917       USD       240,665       HUF              
Credit Suisse International   11/3/2017     30,660       USD       414,529,124       IDR             (11
Credit Suisse International   11/3/2017     264,051       USD       302,496,587       KRW       17        
Credit Suisse International   11/3/2017     7,661       USD       139,839       MXN              
Credit Suisse International   11/3/2017     1,482       USD       5,401       PLN              
Credit Suisse International   11/3/2017     10,637       USD       14,439       SGD              
Credit Suisse International   11/3/2017     13,931       USD       189,055       ZAR              
Credit Suisse International   11/6/2017     9,713       USD       30,837       BRL       8        
Credit Suisse International   11/6/2017     1,505       USD       961,913       CLP       2        
Credit Suisse International   11/6/2017     126,005       USD       8,244,785       INR       550        
Credit Suisse International   11/6/2017     234,877       USD       26,399,892       JPY             (10
Goldman Sachs   10/3/2017     82,219       AUD       64,516       USD             (3
Goldman Sachs   10/3/2017     132,003       CAD       105,546       USD       3        
Goldman Sachs   10/3/2017     111,171       CHF       114,891       USD       3        
Goldman Sachs   10/3/2017     138,206       DKK       21,955       USD       1        
Goldman Sachs   10/3/2017     339,868       EUR       401,782       USD       10        
Goldman Sachs   10/3/2017     2,375       GBP       4,062       AUD             (1
Goldman Sachs   10/3/2017     3,587       GBP       4,655       CHF       1        
Goldman Sachs   10/3/2017     159,139       GBP       213,504       USD       5        
Goldman Sachs   10/3/2017     328,206       HUF       1,249       USD              
Goldman Sachs   10/3/2017     11,068       ILS       3,133       USD              
Goldman Sachs   10/3/2017     191,430       MXN       10,542       USD              
Goldman Sachs   10/3/2017     64,679       NOK       8,125       USD              
Goldman Sachs   10/3/2017     2,734       NZD       1,976       USD              
Goldman Sachs   10/3/2017     7,455       PLN       2,046       USD              
Goldman Sachs   10/3/2017     283,118       SEK       34,685       USD       1        
Goldman Sachs   10/3/2017     9,067       TRY       2,549       USD              

 

See Notes to Financial Statements.

 

62   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
  Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 
Goldman Sachs   10/3/2017     64,842       USD       81,777       AUD     $ 676     $  
Goldman Sachs   10/3/2017     106,079       USD       132,949       CAD             (226
Goldman Sachs   10/3/2017     115,470       USD       110,763       CHF       998        
Goldman Sachs   10/3/2017     22,065       USD       137,825       DKK       170        
Goldman Sachs   10/3/2017     403,810       USD       339,131       EUR       2,890        
Goldman Sachs   10/3/2017     214,582       USD       166,362       GBP             (8,618
Goldman Sachs   10/3/2017     1,249       USD       320,577       HUF       29        
Goldman Sachs   10/3/2017     3,133       USD       11,226       ILS             (45
Goldman Sachs   10/3/2017     10,595       USD       189,701       MXN       148        
Goldman Sachs   10/3/2017     8,166       USD       63,492       NOK       190        
Goldman Sachs   10/3/2017     1,976       USD       2,760       NZD             (20
Goldman Sachs   10/3/2017     2,046       USD       7,310       PLN       40        
Goldman Sachs   10/3/2017     34,860       USD       276,959       SEK       929        
Goldman Sachs   10/3/2017     2,549       USD       8,872       TRY       55        
Goldman Sachs   10/4/2017     38,828       BRL       12,272       USD       1        
Goldman Sachs   10/4/2017     1,237,347       CLP       1,936       USD              
Goldman Sachs   10/4/2017     721,409       HKD       92,364       USD             (2
Goldman Sachs   10/4/2017     33,728,100       JPY       299,641       USD       5        
Goldman Sachs   10/4/2017     18,921       SGD       13,934       USD              
Goldman Sachs   10/4/2017     12,288       USD       38,828       BRL       15        
Goldman Sachs   10/4/2017     1,968       USD       1,237,347       CLP       32        
Goldman Sachs   10/4/2017     92,830       USD       725,922       HKD             (109
Goldman Sachs   10/4/2017     301,153       USD       33,098,581       JPY       7,099        
Goldman Sachs   10/4/2017     14,005       USD       19,014       SGD       3        
Goldman Sachs   10/4/2017     20,096       USD       262,448       ZAR       662        
Goldman Sachs   10/4/2017     270,021       ZAR       19,995       USD              
Goldman Sachs   11/2/2017     64,559       USD       82,303       AUD       1        
Goldman Sachs   11/2/2017     111,795       USD       139,789       CAD             (3
Goldman Sachs   11/2/2017     117,637       USD       113,609       CHF             (6
Goldman Sachs   11/2/2017     22,360       USD       140,519       DKK             (1
Goldman Sachs   11/2/2017     418,452       USD       353,408       EUR             (14
Goldman Sachs   11/2/2017     224,625       USD       167,265       GBP             (6
Goldman Sachs   11/2/2017     89,946       USD       702,006       HKD              
Goldman Sachs   11/2/2017     3,360       USD       11,858       ILS              
Goldman Sachs   11/2/2017     8,697       USD       69,187       NOK              
Goldman Sachs   11/2/2017     1,928       USD       2,669       NZD              
Goldman Sachs   11/2/2017     35,839       USD       292,060       SEK             (1
Goldman Sachs   11/2/2017     2,274       USD       8,160       TRY              
Goldman Sachs   11/3/2017     1,203       USD       315,717       HUF              
Goldman Sachs   11/3/2017     10,050       USD       183,440       MXN       1        
Goldman Sachs   11/3/2017     1,942       USD       7,077       PLN              
Goldman Sachs   11/3/2017     13,961       USD       18,952       SGD              
Goldman Sachs   11/3/2017     18,282       USD       248,090       ZAR       1        
Goldman Sachs   11/6/2017     12,740       USD       40,471       BRL       3        
Goldman Sachs   11/6/2017     1,974       USD       1,262,508       CLP              
Goldman Sachs   11/6/2017     308,276       USD       34,649,266       JPY             (8
JP Morgan Chase Bank N.A.   10/4/2017     31,189       USD       417,457,966       IDR       211        
JP Morgan Chase Bank N.A.   10/5/2017     129,386       USD       8,304,326       INR       2,499        
JP Morgan Chase Bank N.A.   10/12/2017     264,478       USD       298,202,143       KRW       4,227        
Morgan Stanley & Co. International   10/3/2017     708,711       PHP       13,939       USD       4        
Morgan Stanley & Co. International   10/3/2017     49,404       USD       62,307       AUD       515        
Morgan Stanley & Co. International   10/3/2017     80,823       USD       101,296       CAD             (172
Morgan Stanley & Co. International   10/3/2017     87,981       USD       84,396       CHF       759        
Morgan Stanley & Co. International   10/3/2017     16,816       USD       105,039       DKK       129        
Morgan Stanley & Co. International   10/3/2017     307,667       USD       258,387       EUR       2,202        
Morgan Stanley & Co. International   10/3/2017     163,492       USD       126,753       GBP             (6,567
Morgan Stanley & Co. International   10/3/2017     955       USD       245,238       HUF       22        
Morgan Stanley & Co. International   10/3/2017     2,390       USD       8,564       ILS             (34

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      63  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

September 30, 2017

 

  

 

 

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     10/3/2017       8,076       USD       144,598       MXN     $ 113     $  
Morgan Stanley & Co. International     10/3/2017       6,226       USD       48,408       NOK       145        
Morgan Stanley & Co. International     10/3/2017       1,508       USD       2,107       NZD             (15
Morgan Stanley & Co. International     10/3/2017       13,791       USD       708,711       PHP             (152
Morgan Stanley & Co. International     10/3/2017       1,563       USD       5,585       PLN       30        
Morgan Stanley & Co. International     10/3/2017       26,560       USD       211,017       SEK       708        
Morgan Stanley & Co. International     10/3/2017       1,946       USD       6,774       TRY       42        
Morgan Stanley & Co. International     10/4/2017       99,717       MYR       23,585       USD             (6
Morgan Stanley & Co. International     10/4/2017       779,269       THB       23,353       USD       6        
Morgan Stanley & Co. International     10/4/2017       9,360       USD       29,585       BRL       9        
Morgan Stanley & Co. International     10/4/2017       1,500       USD       942,741       CLP       25        
Morgan Stanley & Co. International     10/4/2017       70,732       USD       553,128       HKD             (85
Morgan Stanley & Co. International     10/4/2017       229,451       USD       25,218,316       JPY       5,407        
Morgan Stanley & Co. International     10/4/2017       23,364       USD       99,717       MYR             (215
Morgan Stanley & Co. International     10/4/2017       10,671       USD       14,488       SGD       2        
Morgan Stanley & Co. International     10/4/2017       23,465       USD       779,269       THB       105        
Morgan Stanley & Co. International     10/4/2017       15,314       USD       200,016       ZAR       503        
Morgan Stanley & Co. International     10/5/2017       6,325,607       TWD       208,206       USD       86        
Morgan Stanley & Co. International     10/5/2017       210,153       USD       6,325,607       TWD       1,861        
Morgan Stanley & Co. International     11/3/2017       23,679       USD       100,229       MYR             (16
Morgan Stanley & Co. International     11/3/2017       14,533       USD       740,500       PHP             (1
Morgan Stanley & Co. International     11/3/2017       24,016       USD       802,018       THB             (35
Morgan Stanley & Co. International     11/3/2017       201,860       USD       6,128,921       TWD             (285
Royal Bank of Canada     10/3/2017       921       CAD       5,879       NOK             (2
Royal Bank of Canada     10/3/2017       3,443       GBP       37,559       SEK       17        
                                            $ 76,371     $ (44,258

 

CURRENCY LEGEND

AUD – Australian dollar

BRL – Brazilian real

CAD – Canadian dollar

CHF – Swiss franc

CLP – Chilean peso

DKK – Danish krone

EUR – Euro

GBP – British pound

HKD – Hong Kong dollar

HUF – Hungary forint

IDR – Indonesian rupiah

ILS – Israeli New shekel

INR – Indian rupee

JPY – Japanese yen

KRW – South Korean won

MXN – Mexican peso

MYR – Malaysian ringgit

NOK – Norwegian krone

NZD – New Zealand dollar

PHP – Philippine peso

PLN – Polish zloty

SEK – Swedish krona

SGD – Singapore dollar

THB – Thai baht

TRY – Turkish New lira

TWD – New Taiwan dollar

USD – U.S. dollar

ZAR – South African rand

 

See Notes to Financial Statements.

 

64   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.3%      
Australia – 11.1%      

Abacus Property Group

     1,843      $ 5,466  

BWP Trust

     1,769        4,095  

Charter Hall Group

     1,484        6,253  

Charter Hall Retail REIT

     1,399        4,336  

Cromwell Property Group

     10,797        8,091  

Dexus

     3,367        25,098  

Goodman Group

     4,611        29,813  

GPT Group (The)

     5,748        22,371  

Growthpoint Properties Australia Ltd.(a)

     2,139        5,320  

Investa Office Fund

     2,238        7,902  

LendLease Group

     1,672        23,510  

Mirvac Group

     14,037        25,222  

Scentre Group

     17,043        52,555  

Shopping Centres Australasia Property Group

     1,574        2,828  

Stockland

     9,585        32,340  

Vicinity Centres

     14,274        29,792  

Westfield Corp.

     4,742        29,171  
     

 

 

 
Total Australia               314,163  
Austria – 0.7%      

BUWOG AG*

     136        4,077  

CA Immobilien Anlagen AG

     288        8,274  

IMMOFINANZ AG*(a)

     2,392        6,176  
     

 

 

 
Total Austria               18,527  
Belgium – 0.6%      

Befimmo S.A.

     94        5,931  

Cofinimmo S.A.

     79        10,147  
     

 

 

 
Total Belgium               16,078  
Brazil – 0.3%      

Multiplan Empreendimentos Imobiliarios S.A.

     315        7,302  
Canada – 4.8%      

Allied Properties Real Estate Investment Trust

     232        7,391  

Artis Real Estate Investment Trust

     1,017        10,750  

Boardwalk Real Estate Investment Trust

     186        5,653  

Canadian Apartment Properties REIT

     354        9,547  

Canadian Real Estate Investment Trust

     250        9,221  

Cominar Real Estate Investment Trust

     871        9,451  

Dream Office Real Estate Investment Trust

     729        12,258  

First Capital Realty, Inc.(a)

     712        11,204  

Granite Real Estate Investment Trust

     211        8,447  

H&R Real Estate Investment Trust

     1,190        20,496  

RioCan Real Estate Investment Trust

     1,069        20,454  

Smart Real Estate Investment Trust

     485        11,417  
     

 

 

 
Total Canada               136,289  
Chile – 0.1%      

Parque Arauco S.A.

     1,295        3,547  
China – 17.5%      

China Jinmao Holdings Group Ltd.

     30,000        15,095  

China Overseas Land & Investment Ltd.

     22,000        71,543  

China Resources Land Ltd.

     14,200        43,451  

China South City Holdings Ltd.

     22,000        6,281  

China Vanke Co., Ltd. Class H

     3,200      $ 10,529  

CIFI Holdings Group Co., Ltd.

     38,000        21,163  

Country Garden Holdings Co., Ltd.

     61,000        96,998  

Future Land Development Holdings Ltd.

     18,000        8,849  

Guangzhou R&F Properties Co., Ltd. Class H

     9,200        21,319  

Guorui Properties Ltd.

     2,000        684  

KWG Property Holding Ltd.

     13,500        14,432  

Logan Property Holdings Co., Ltd.(a)

     14,000        14,447  

Longfor Properties Co., Ltd.

     15,500        39,094  

Red Star Macalline Group Corp., Ltd. Class H(b)

     5,400        6,706  

Shenzhen Investment Ltd.

     28,000        12,690  

Shimao Property Holdings Ltd.

     15,500        33,617  

Shui On Land Ltd.

     11,500        2,959  

Sino-Ocean Group Holding Ltd.

     17,500        11,673  

Sunac China Holdings Ltd.(a)

     11,000        50,348  

Yuexiu Property Co., Ltd.

     38,000        7,735  

Yuzhou Properties Co., Ltd.

     13,000        7,024  
     

 

 

 
Total China               496,637  
Finland – 0.2%      

Citycon Oyj

     2,698        7,100  
France – 7.2%      

Fonciere Des Regions

     269        27,950  

Gecina S.A.

     198        32,115  

ICADE

     339        30,246  

Klepierre S.A.

     943        37,023  

Nexity S.A.*

     231        14,119  

Unibail-Rodamco SE

     257        62,512  
     

 

 

 
Total France               203,965  
Germany – 3.2%      

alstria office REIT-AG

     404        5,772  

Deutsche Euroshop AG

     92        3,451  

Deutsche Wohnen SE Bearer Shares

     462        19,619  

LEG Immobilien AG

     121        12,243  

TAG Immobilien AG

     440        7,397  

Vonovia SE

     968        41,197  
     

 

 

 
Total Germany               89,679  
Hong Kong – 18.5%      

Champion REIT

     19,000        13,111  

Hang Lung Group Ltd.

     2,000        7,182  

Hang Lung Properties Ltd.

     10,000        23,737  

Henderson Land Development Co., Ltd.

     8,360        55,389  

Hui Xian REIT

     29,000        13,307  

Hysan Development Co., Ltd.

     3,000        14,115  

I-CABLE Communications Ltd.*

     3,230        105  

Joy City Property Ltd.

     10,000        1,844  

Kowloon Development Co., Ltd.

     2,000        2,251  

Link REIT

     6,000        48,626  

New World Development Co., Ltd.

     28,000        40,222  

Sino Land Co., Ltd.

     16,000        28,105  

Sun Hung Kai Properties Ltd.

     6,000        97,482  

Swire Pacific Ltd. Class A

     2,500        24,261  

Swire Pacific Ltd. Class B

     2,500        4,334  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      65  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Swire Properties Ltd.

     12,400      $ 42,070  

Wharf Holdings Ltd. (The)

     8,000        71,287  

Wheelock & Co., Ltd.

     4,000        28,141  

Yuexiu Real Estate Investment Trust

     13,000        8,189  
     

 

 

 
Total Hong Kong               523,758  
Indonesia – 0.1%      

Bumi Serpong Damai Tbk PT

     17,800        2,339  

Summarecon Agung Tbk PT

     3,300        261  
     

 

 

 
Total Indonesia               2,600  
Ireland – 0.1%      

Green REIT PLC

     1,253        2,232  

Hibernia REIT PLC

     433        781  
     

 

 

 
Total Ireland               3,013  
Israel – 1.0%      

Alony Hetz Properties & Investments Ltd.

     381        4,045  

Azrieli Group Ltd.

     202        11,219  

Gazit-Globe Ltd.

     653        6,287  

Melisron Ltd.

     120        5,805  
     

 

 

 
Total Israel               27,356  
Italy – 0.2%      

Beni Stabili SpA SIIQ

     6,480        5,623  
Japan – 6.5%      

Daibiru Corp.

     500        5,521  

Daito Trust Construction Co., Ltd.

     200        36,423  

Daiwa House Industry Co., Ltd.

     1,500        51,770  

Hulic Co., Ltd.

     1,000        9,799  

Kenedix, Inc.

     700        3,887  

Leopalace21 Corp.

     700        4,875  

Mitsubishi Estate Co., Ltd.

     1,000        17,381  

Mitsui Fudosan Co., Ltd.

     800        17,341  

Nomura Real Estate Holdings, Inc.

     600        12,782  

NTT Urban Development Corp.

     400        3,980  

Open House Co., Ltd.

     100        3,491  

TOC Co., Ltd.

     300        2,639  

Tokyo Tatemono Co., Ltd.

     500        6,392  

Tokyu Fudosan Holdings Corp.

     1,100        6,635  
     

 

 

 
Total Japan               182,916  
Malaysia – 1.4%      

IGB Real Estate Investment Trust

     11,800        4,890  

IOI Properties Group Bhd

     10,525        5,035  

KLCCP Stapled Group

     5,600        10,610  

Pavilion Real Estate Investment Trust

     1,500        622  

SP Setia Bhd Group

     8,300        7,155  

Sunway Bhd

     12,490        5,443  

Sunway Real Estate Investment Trust

     13,500        5,499  

UEM Sunrise Bhd*

     6,200        1,674  
     

 

 

 
Total Malaysia               40,928  
Mexico – 1.3%      

Concentradora Fibra Danhos S.A. de C.V.

     6,493        11,152  

Fibra Uno Administracion S.A. de C.V.

     10,362        17,529  

PLA Administradora Industrial S de RL de C.V.*

     1,891        3,270  

Prologis Property Mexico S.A. de C.V.

     2,900      $ 5,778  
     

 

 

 
Total Mexico               37,729  
Netherlands – 0.5%      

Eurocommercial Properties N.V. CVA

     153        6,544  

Wereldhave N.V.

     168        7,926  
     

 

 

 
Total Netherlands               14,470  
New Zealand – 0.4%      

Goodman Property Trust

     4,744        4,390  

Kiwi Property Group Ltd.

     4,783        4,668  

Precinct Properties New Zealand Ltd.

     3,787        3,490  
     

 

 

 
Total New Zealand               12,548  
Norway – 0.3%      

Entra ASA(b)

     669        9,160  
Philippines – 1.0%      

Ayala Land, Inc.

     10,800        9,248  

Megaworld Corp.

     32,000        3,295  

Robinsons Land Corp.

     1,300        647  

SM Prime Holdings, Inc.

     18,900        12,817  

Vista Land & Lifescapes, Inc.

     28,400        3,556  
     

 

 

 
Total Philippines               29,563  
Russia – 0.2%      

LSR Group PJSC GDR Reg S

     2,170        6,380  
Singapore – 9.0%      

Ascendas Real Estate Investment Trust

     14,216        27,847  

Ascott Residence Trust

     4,373        3,784  

CapitaLand Commercial Trust

     14,000        17,062  

CapitaLand Ltd.

     10,200        26,891  

CapitaLand Mall Trust

     12,000        17,674  

CapitaLand Retail China Trust

     2,200        2,600  

CDL Hospitality Trusts

     5,800        6,919  

City Developments Ltd.

     1,400        11,681  

Frasers Centrepoint Ltd.

     4,600        7,080  

Frasers Centrepoint Trust

     3,900        6,060  

Global Logistic Properties Ltd.

     10,500        25,516  

Keppel REIT

     11,900        10,341  

Mapletree Commercial Trust

     8,715        9,755  

Mapletree Greater China Commercial Trust

     12,900        10,972  

Mapletree Industrial Trust

     9,800        13,531  

Mapletree Logistics Trust

     13,600        12,419  

Sinarmas Land Ltd.(a)

     1,900        581  

SPH REIT

     8,200        6,038  

Starhill Global REIT

     7,600        4,253  

Suntec Real Estate Investment Trust

     12,000        16,481  

UOL Group Ltd.

     1,900        11,361  

Wheelock Properties Singapore Ltd.

     4,100        5,676  
     

 

 

 
Total Singapore               254,522  
South Africa – 2.9%      

Fortress Income Fund Ltd.

     3,587        10,294  

Fortress Income Fund Ltd. Class A

     5,522        7,055  

Growthpoint Properties Ltd.

     15,022        27,035  

Hyprop Investments Ltd.

     854        6,686  

 

See Notes to Financial Statements.

 

66   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Redefine Properties Ltd.

     23,718      $ 18,778  

Resilient REIT Ltd.

     1,207        11,896  
     

 

 

 
Total South Africa               81,744  
Spain – 0.5%      

Inmobiliaria Colonial Socimi S.A.

     801        7,949  

Merlin Properties Socimi S.A.

     391        5,417  
     

 

 

 
Total Spain               13,366  
Sweden – 1.4%      

Castellum AB

     470        7,359  

Fabege AB

     334        6,834  

Hemfosa Fastigheter AB

     524        6,644  

Hufvudstaden AB Class A

     441        7,510  

Klovern AB Class B

     2,494        3,315  

Wallenstam AB Class B

     500        4,968  

Wihlborgs Fastigheter AB

     182        4,442  
     

 

 

 
Total Sweden               41,072  
Switzerland – 1.1%      

PSP Swiss Property AG Registered Shares

     123        11,339  

Swiss Prime Site AG Registered Shares*

     220        19,792  
     

 

 

 
Total Switzerland               31,131  
Taiwan – 0.5%      

Highwealth Construction Corp.

     10,000        13,273  
Thailand – 1.1%      

Central Pattana PCL NVDR

     4,800        11,226  

Land & Houses PCL NVDR

     50,500        14,991  

Supalai PCL NVDR

     8,400        5,844  
     

 

 

 
Total Thailand               32,061  
United Kingdom – 5.6%      

Assura PLC

     11,677        9,823  

Big Yellow Group PLC

     573        5,819  

British Land Co. PLC (The)

     4,025        32,509  

Capital & Counties Properties PLC

     642        2,280  

Grainger PLC

     2,889        10,395  

Hammerson PLC

     1,179        8,494  

Intu Properties PLC(a)

     5,746        17,769  

Land Securities Group PLC

     1,272        16,599  

NewRiver REIT PLC

     2,198        9,988  

Safestore Holdings PLC

     1,151        6,744  

Segro PLC

     2,220        15,965  

Tritax Big Box REIT PLC

     7,380        14,100  

Unite Group PLC (The)

     794        7,324  
     

 

 

 
Total United Kingdom               157,809  

TOTAL COMMON STOCKS

(Cost: $2,336,132)

              2,814,309  
RIGHTS – 0.0%      
Singapore – 0.0%      

CapitaLand Commercial Trust, expiring 10/19/17*

     2,324        500  
Mapletree Logistics Trust, expiring 10/4/17*      1,360        95  

TOTAL RIGHTS

(Cost: $0)

              595  
WARRANTS – 0.0%      
Malaysia – 0.0%      

Sunway Bhd, expiring 10/3/24*

     1,605      $ 0  
Thailand – 0.0%      

Supalai PCL, expiring 10/19/18*

     2,175        1,252  

TOTAL WARRANTS

(Cost: $1,022)

              1,252  
EXCHANGE-TRADED NOTE – 0.0%      
United States – 0.0%      

iPath MSCI India Index ETN*

     
(Cost: $510)      8        633  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.3%  
United States – 3.3%      

State Street Navigator Securities Lending Government
Money Market Portfolio, 1.02%(c)

     
(Cost: $92,258)(d)      92,258        92,258  

TOTAL INVESTMENTS IN SECURITIES – 102.6%

(Cost: $2,429,922)

        2,909,047  

Other Assets less Liabilities – (2.6)%

        (73,709
     

 

 

 
NET ASSETS – 100.0%             $ 2,835,338  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $87,070 and the total market value of the collateral held by the Fund was $92,258.

CVA – Certificaten Van Aandelen (Certificate of Stock)

ETN – Exchange-Traded Note

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      67  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

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 N.A.

    10/3/2017       83,239       AUD       65,329       USD     $     $ (15

Bank of America N.A.

    10/3/2017       35,868       CAD       28,680       USD              

Bank of America N.A.

    10/3/2017       6,167       CHF       6,373       USD              

Bank of America N.A.

    10/3/2017       65,794       EUR       77,779       USD       2        

Bank of America N.A.

    10/3/2017       24,296       GBP       32,596       USD       1        

Bank of America N.A.

    10/3/2017       20,918       ILS       5,921       USD              

Bank of America N.A.

    10/3/2017       148,681       MXN       8,188       USD              

Bank of America N.A.

    10/3/2017       16,439       NOK       2,065       USD              

Bank of America N.A.

    10/3/2017       3,685       NZD       2,664       USD              

Bank of America N.A.

    10/3/2017       68,755       SEK       8,423       USD              

Bank of America N.A.

    10/3/2017       65,946       USD       83,176       AUD       682        

Bank of America N.A.

    10/3/2017       28,951       USD       36,284       CAD             (61

Bank of America N.A.

    10/3/2017       6,433       USD       6,169       CHF       57        

Bank of America N.A.

    10/3/2017       78,514       USD       65,926       EUR       577        

Bank of America N.A.

    10/3/2017       32,904       USD       25,508       GBP             (1,318

Bank of America N.A.

    10/3/2017       5,977       USD       21,417       ILS             (86

Bank of America N.A.

    10/3/2017       8,265       USD       147,976       MXN       116        

Bank of America N.A.

    10/3/2017       2,065       USD       16,056       NOK       48        

Bank of America N.A.

    10/3/2017       2,664       USD       3,722       NZD             (26

Bank of America N.A.

    10/3/2017       8,502       USD       67,533       SEK       228        

Bank of America N.A.

    10/4/2017       4,604       BRL       1,456       USD              

Bank of America N.A.

    10/4/2017       437,322       CLP       684       USD              

Bank of America N.A.

    10/4/2017       1,582,916       HKD       202,666       USD             (6

Bank of America N.A.

    10/4/2017       4,255,419       JPY       37,803       USD       3        

Bank of America N.A.

    10/4/2017       72,674       SGD       53,521       USD             (3

Bank of America N.A.

    10/4/2017       1,457       USD       4,604       BRL       2        

Bank of America N.A.

    10/4/2017       695       USD       437,322       CLP       11        

Bank of America N.A.

    10/4/2017       204,582       USD       1,599,821       HKD             (242

Bank of America N.A.

    10/4/2017       38,160       USD       4,194,028       JPY       900        

Bank of America N.A.

    10/4/2017       54,026       USD       73,353       SGD       8        

Bank of America N.A.

    10/4/2017       17,993       USD       233,864       ZAR       676        

Bank of America N.A.

    10/4/2017       240,704       ZAR       17,825       USD             (1

Bank of America N.A.

    11/2/2017       65,820       USD       83,896       AUD       13        

Bank of America N.A.

    11/2/2017       29,141       USD       36,435       CAD       1        

Bank of America N.A.

    11/2/2017       6,376       USD       6,157       CHF              

Bank of America N.A.

    11/2/2017       77,705       USD       65,628       EUR             (4

Bank of America N.A.

    11/2/2017       33,064       USD       24,622       GBP             (2

Bank of America N.A.

    11/2/2017       211,736       USD       1,652,588       HKD             (4

Bank of America N.A.

    11/2/2017       5,901       USD       20,827       ILS             (1

Bank of America N.A.

    11/2/2017       2,009       USD       15,983       NOK              

Bank of America N.A.

    11/2/2017       2,649       USD       3,667       NZD              

Bank of America N.A.

    11/2/2017       8,448       USD       68,848       SEK             (1

Bank of America N.A.

    11/3/2017       7,984       USD       145,727       MXN       1        

Bank of America N.A.

    11/3/2017       53,550       USD       72,692       SGD       1        

Bank of America N.A.

    11/3/2017       17,242       USD       233,975       ZAR       1        

Bank of America N.A.

    11/6/2017       1,435       USD       4,557       BRL       1        

Bank of America N.A.

    11/6/2017       683       USD       436,557       CLP              

Bank of America N.A.

    11/6/2017       38,837       USD       4,365,504       JPY             (4

Bank of Montreal

    10/3/2017       266       CAD       1,698       NOK             (1

Bank of Montreal

    10/3/2017       1,424       GBP       1,615       EUR       1        

Barclays Bank PLC

    10/3/2017       83,257       AUD       65,329       USD             (2

Barclays Bank PLC

    10/3/2017       35,870       CAD       28,680       USD       1        

Barclays Bank PLC

    10/3/2017       6,167       CHF       6,373       USD              

Barclays Bank PLC

    10/3/2017       65,793       EUR       77,779       USD       2        

Barclays Bank PLC

    10/3/2017       24,296       GBP       32,596       USD       1        

Barclays Bank PLC

    10/3/2017       20,917       ILS       5,921       USD              

Barclays Bank PLC

    10/3/2017       148,684       MXN       8,188       USD              

Barclays Bank PLC

    10/3/2017       16,438       NOK       2,065       USD              

Barclays Bank PLC

    10/3/2017       3,685       NZD       2,664       USD              

 

See Notes to Financial Statements.

 

68   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

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

    10/3/2017       68,753       SEK       8,423       USD     $     $  

Barclays Bank PLC

    10/4/2017       4,604       BRL       1,456       USD              

Barclays Bank PLC

    10/4/2017       437,322       CLP       684       USD              

Barclays Bank PLC

    10/4/2017       1,582,923       HKD       202,666       USD             (5

Barclays Bank PLC

    10/4/2017       4,255,408       JPY       37,803       USD       3        

Barclays Bank PLC

    10/4/2017       72,677       SGD       53,521       USD             (1

Barclays Bank PLC

    10/4/2017       240,676       ZAR       17,825       USD             (3

Barclays Bank PLC

    11/2/2017       65,820       USD       83,911       AUD       1        

Barclays Bank PLC

    11/2/2017       29,141       USD       36,439       CAD             (2

Barclays Bank PLC

    11/2/2017       6,376       USD       6,158       CHF              

Barclays Bank PLC

    11/2/2017       77,705       USD       65,627       EUR             (3

Barclays Bank PLC

    11/2/2017       33,064       USD       24,621       GBP             (2

Barclays Bank PLC

    11/2/2017       211,736       USD       1,652,547       HKD       1        

Barclays Bank PLC

    11/2/2017       5,901       USD       20,829       ILS             (1

Barclays Bank PLC

    11/2/2017       2,009       USD       15,982       NOK              

Barclays Bank PLC

    11/2/2017       2,649       USD       3,667       NZD              

Barclays Bank PLC

    11/2/2017       8,448       USD       68,845       SEK              

Barclays Bank PLC

    11/3/2017       7,984       USD       145,732       MXN       1        

Barclays Bank PLC

    11/3/2017       53,550       USD       72,704       SGD             (8

Barclays Bank PLC

    11/3/2017       17,242       USD       233,951       ZAR       2        

Barclays Bank PLC

    11/6/2017       1,435       USD       4,557       BRL              

Barclays Bank PLC

    11/6/2017       683       USD       436,557       CLP       1        

Barclays Bank PLC

    11/6/2017       38,837       USD       4,365,465       JPY             (4

Citibank N.A.

    10/3/2017       3,734       AUD       2,940       USD             (10

Citibank N.A.

    10/3/2017       83,260       AUD       65,329       USD       1        

Citibank N.A.

    10/3/2017       1,599       CAD       1,291       USD             (12

Citibank N.A.

    10/3/2017       35,869       CAD       28,680       USD       1        

Citibank N.A.

    10/3/2017       278       CHF       287       USD       1        

Citibank N.A.

    10/3/2017       6,167       CHF       6,373       USD              

Citibank N.A.

    10/3/2017       2,974       EUR       3,501       USD       15        

Citibank N.A.

    10/3/2017       65,794       EUR       77,779       USD       2        

Citibank N.A.

    10/3/2017       1,093       GBP       1,467       USD             (1

Citibank N.A.

    10/3/2017       24,296       GBP       32,596       USD       1        

Citibank N.A.

    10/3/2017       1,109       ILS       5,720       MXN             (1

Citibank N.A.

    10/3/2017       942       ILS       267       USD              

Citibank N.A.

    10/3/2017       20,918       ILS       5,921       USD              

Citibank N.A.

    10/3/2017       6,646       MXN       369       USD             (3

Citibank N.A.

    10/3/2017       148,681       MXN       8,188       USD              

Citibank N.A.

    10/3/2017       16,439       NOK       2,065       USD              

Citibank N.A.

    10/3/2017       47       NZD       619       MXN              

Citibank N.A.

    10/3/2017       3,685       NZD       2,664       USD              

Citibank N.A.

    10/3/2017       3,087       SEK       379       USD             (1

Citibank N.A.

    10/3/2017       68,754       SEK       8,423       USD              

Citibank N.A.

    10/3/2017       65,946       USD       83,168       AUD       688        

Citibank N.A.

    10/3/2017       28,951       USD       36,285       CAD             (62

Citibank N.A.

    10/3/2017       6,433       USD       6,171       CHF       56        

Citibank N.A.

    10/3/2017       78,514       USD       65,938       EUR       562        

Citibank N.A.

    10/3/2017       32,904       USD       25,510       GBP             (1,322

Citibank N.A.

    10/3/2017       5,977       USD       21,416       ILS             (85

Citibank N.A.

    10/3/2017       8,265       USD       147,972       MXN       116        

Citibank N.A.

    10/3/2017       2,065       USD       16,055       NOK       48        

Citibank N.A.

    10/3/2017       2,664       USD       3,722       NZD             (26

Citibank N.A.

    10/3/2017       8,502       USD       67,546       SEK       227        

Citibank N.A.

    10/4/2017       4,604       BRL       1,455       USD              

Citibank N.A.

    10/4/2017       437,322       CLP       684       USD              

Citibank N.A.

    10/4/2017       71,245       HKD       9,121       USD              

Citibank N.A.

    10/4/2017       1,582,884       HKD       202,666       USD             (10

Citibank N.A.

    10/4/2017       190,872       JPY       1,701       USD             (5

Citibank N.A.

    10/4/2017       4,255,196       JPY       37,803       USD       1        

Citibank N.A.

    10/4/2017       3,267       SGD       2,409       USD             (3

Citibank N.A.

    10/4/2017       72,674       SGD       53,521       USD             (3

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      69  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
    Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 

Citibank N.A.

    10/4/2017       1,457       USD       4,604       BRL     $ 1     $  

Citibank N.A.

    10/4/2017       695       USD       437,322       CLP       11        

Citibank N.A.

    10/4/2017       204,582       USD       1,599,730       HKD             (231

Citibank N.A.

    10/4/2017       38,160       USD       4,194,020       JPY       900        

Citibank N.A.

    10/4/2017       54,026       USD       73,346       SGD       13        

Citibank N.A.

    10/4/2017       17,993       USD       234,965       ZAR       594        

Citibank N.A.

    10/4/2017       10,755       ZAR       802       USD             (6

Citibank N.A.

    10/4/2017       240,709       ZAR       17,825       USD             (1

Citibank N.A.

    11/2/2017       65,820       USD       83,916       AUD             (3

Citibank N.A.

    11/2/2017       29,141       USD       36,439       CAD             (2

Citibank N.A.

    11/2/2017       6,376       USD       6,158       CHF              

Citibank N.A.

    11/2/2017       77,705       USD       65,628       EUR             (4

Citibank N.A.

    11/2/2017       33,064       USD       24,621       GBP             (1

Citibank N.A.

    11/2/2017       211,736       USD       1,652,487       HKD       9        

Citibank N.A.

    11/2/2017       5,901       USD       20,828       ILS             (1

Citibank N.A.

    11/2/2017       2,009       USD       15,982       NOK              

Citibank N.A.

    11/2/2017       2,649       USD       3,667       NZD              

Citibank N.A.

    11/2/2017       8,448       USD       68,845       SEK              

Citibank N.A.

    11/3/2017       7,984       USD       145,728       MXN       1        

Citibank N.A.

    11/3/2017       53,550       USD       72,690       SGD       2        

Citibank N.A.

    11/3/2017       17,242       USD       233,975       ZAR       1        

Citibank N.A.

    11/6/2017       1,434       USD       4,557       BRL              

Citibank N.A.

    11/6/2017       682       USD       436,557       CLP              

Citibank N.A.

    11/6/2017       38,837       USD       4,365,216       JPY             (2

Credit Suisse International

    10/3/2017       83,253       AUD       65,329       USD             (5

Credit Suisse International

    10/3/2017       35,868       CAD       28,680       USD             (1

Credit Suisse International

    10/3/2017       6,167       CHF       6,373       USD              

Credit Suisse International

    10/3/2017       65,793       EUR       77,779       USD       2        

Credit Suisse International

    10/3/2017       24,296       GBP       32,596       USD       1        

Credit Suisse International

    10/3/2017       20,918       ILS       5,921       USD              

Credit Suisse International

    10/3/2017       148,681       MXN       8,188       USD              

Credit Suisse International

    10/3/2017       16,438       NOK       2,065       USD              

Credit Suisse International

    10/3/2017       3,685       NZD       2,664       USD              

Credit Suisse International

    10/3/2017       68,753       SEK       8,423       USD              

Credit Suisse International

    10/3/2017       65,946       USD       83,176       AUD       682        

Credit Suisse International

    10/3/2017       28,951       USD       36,285       CAD             (62

Credit Suisse International

    10/3/2017       6,433       USD       6,171       CHF       55        

Credit Suisse International

    10/3/2017       78,514       USD       65,939       EUR       561        

Credit Suisse International

    10/3/2017       32,904       USD       25,510       GBP             (1,322

Credit Suisse International

    10/3/2017       5,977       USD       21,414       ILS             (85

Credit Suisse International

    10/3/2017       8,265       USD       147,987       MXN       116        

Credit Suisse International

    10/3/2017       2,065       USD       16,056       NOK       48        

Credit Suisse International

    10/3/2017       2,664       USD       3,722       NZD             (26

Credit Suisse International

    10/3/2017       8,502       USD       67,551       SEK       226        

Credit Suisse International

    10/4/2017       4,604       BRL       1,456       USD             (1

Credit Suisse International

    10/4/2017       437,322       CLP       684       USD              

Credit Suisse International

    10/4/2017       1,582,884       HKD       202,666       USD             (10

Credit Suisse International

    10/4/2017       33,746,698       IDR       2,505       USD             (1

Credit Suisse International

    10/4/2017       4,255,098       JPY       37,803       USD              

Credit Suisse International

    10/4/2017       72,674       SGD       53,521       USD             (3

Credit Suisse International

    10/4/2017       1,457       USD       4,604       BRL       1        

Credit Suisse International

    10/4/2017       696       USD       437,322       CLP       12        

Credit Suisse International

    10/4/2017       204,582       USD       1,599,907       HKD             (253

Credit Suisse International

    10/4/2017       38,160       USD       4,194,096       JPY       899        

Credit Suisse International

    10/4/2017       54,026       USD       73,349       SGD       11        

Credit Suisse International

    10/4/2017       17,993       USD       235,014       ZAR       591        

Credit Suisse International

    10/4/2017       240,700       ZAR       17,825       USD             (2

Credit Suisse International

    10/5/2017       71,758       INR       1,097       USD             (1

Credit Suisse International

    10/11/2017       77,151       CNY       11,589       USD             (39

Credit Suisse International

    11/2/2017       65,820       USD       83,914       AUD             (1

Credit Suisse International

    11/2/2017       29,141       USD       36,435       CAD       1        

 

See Notes to Financial Statements.

 

70   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
    Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 

Credit Suisse International

    11/2/2017       6,376       USD       6,158       CHF     $     $  

Credit Suisse International

    11/2/2017       77,705       USD       65,628       EUR             (4

Credit Suisse International

    11/2/2017       33,064       USD       24,622       GBP             (2

Credit Suisse International

    11/2/2017       211,736       USD       1,652,517       HKD       5        

Credit Suisse International

    11/2/2017       5,901       USD       20,828       ILS             (1

Credit Suisse International

    11/2/2017       2,009       USD       15,983       NOK              

Credit Suisse International

    11/2/2017       2,649       USD       3,667       NZD              

Credit Suisse International

    11/2/2017       8,448       USD       68,847       SEK             (1

Credit Suisse International

    11/3/2017       11,468       USD       76,688       CNY       4        

Credit Suisse International

    11/3/2017       2,364       USD       31,959,986       IDR             (1

Credit Suisse International

    11/3/2017       7,984       USD       145,735       MXN              

Credit Suisse International

    11/3/2017       53,550       USD       72,691       SGD       1        

Credit Suisse International

    11/3/2017       17,242       USD       233,988       ZAR              

Credit Suisse International

    11/6/2017       1,435       USD       4,557       BRL       1        

Credit Suisse International

    11/6/2017       683       USD       436,557       CLP       1        

Credit Suisse International

    11/6/2017       972       USD       63,572       INR       4        

Credit Suisse International

    11/6/2017       38,837       USD       4,365,232       JPY             (2

JP Morgan Chase Bank N.A.

    10/4/2017       2,521       USD       33,746,698       IDR       17        

JP Morgan Chase Bank N.A.

    10/5/2017       1,118       USD       71,758       INR       22        

JP Morgan Chase Bank N.A.

    10/11/2017       11,661       USD       77,151       CNY       110        

Morgan Stanley & Co. International

    10/3/2017       63,438       AUD       49,776       USD              

Morgan Stanley & Co. International

    10/3/2017       27,330       CAD       21,852       USD       1        

Morgan Stanley & Co. International

    10/3/2017       4,701       CHF       4,858       USD              

Morgan Stanley & Co. International

    10/3/2017       50,129       EUR       59,261       USD       1        

Morgan Stanley & Co. International

    10/3/2017       18,514       GBP       24,839       USD       1        

Morgan Stanley & Co. International

    10/3/2017       15,950       ILS       4,515       USD              

Morgan Stanley & Co. International

    10/3/2017       113,293       MXN       6,239       USD              

Morgan Stanley & Co. International

    10/3/2017       12,554       NOK       1,577       USD              

Morgan Stanley & Co. International

    10/3/2017       2,811       NZD       2,032       USD              

Morgan Stanley & Co. International

    10/3/2017       1,453,827       PHP       28,593       USD       8        

Morgan Stanley & Co. International

    10/3/2017       52,387       SEK       6,418       USD              

Morgan Stanley & Co. International

    10/3/2017       65,946       USD       83,169       AUD       687        

Morgan Stanley & Co. International

    10/3/2017       28,951       USD       36,285       CAD             (62

Morgan Stanley & Co. International

    10/3/2017       6,433       USD       6,171       CHF       55        

Morgan Stanley & Co. International

    10/3/2017       78,514       USD       65,938       EUR       562        

Morgan Stanley & Co. International

    10/3/2017       32,904       USD       25,510       GBP             (1,322

Morgan Stanley & Co. International

    10/3/2017       5,977       USD       21,418       ILS             (86

Morgan Stanley & Co. International

    10/3/2017       8,265       USD       147,982       MXN       116        

Morgan Stanley & Co. International

    10/3/2017       2,065       USD       16,056       NOK       48        

Morgan Stanley & Co. International

    10/3/2017       2,664       USD       3,722       NZD             (26

Morgan Stanley & Co. International

    10/3/2017       28,290       USD       1,453,827       PHP             (312

Morgan Stanley & Co. International

    10/3/2017       8,502       USD       67,548       SEK       226        

Morgan Stanley & Co. International

    10/4/2017       3,512       BRL       1,110       USD              

Morgan Stanley & Co. International

    10/4/2017       333,199       CLP       522       USD              

Morgan Stanley & Co. International

    10/4/2017       1,206,127       HKD       154,416       USD       4        

Morgan Stanley & Co. International

    10/4/2017       3,242,232       JPY       28,804       USD       1        

Morgan Stanley & Co. International

    10/4/2017       170,952       MYR       40,433       USD             (10

Morgan Stanley & Co. International

    10/4/2017       55,375       SGD       40,778       USD       1        

Morgan Stanley & Co. International

    10/4/2017       1,022,036       THB       30,629       USD       8        

Morgan Stanley & Co. International

    10/4/2017       1,457       USD       4,604       BRL       1        

Morgan Stanley & Co. International

    10/4/2017       696       USD       437,322       CLP       12        

Morgan Stanley & Co. International

    10/4/2017       204,582       USD       1,599,843       HKD             (245

Morgan Stanley & Co. International

    10/4/2017       38,160       USD       4,194,058       JPY       899        

Morgan Stanley & Co. International

    10/4/2017       40,054       USD       170,952       MYR             (372

Morgan Stanley & Co. International

    10/4/2017       54,026       USD       73,349       SGD       11        

Morgan Stanley & Co. International

    10/4/2017       30,775       USD       1,022,036       THB       138        

Morgan Stanley & Co. International

    10/4/2017       17,993       USD       235,006       ZAR       593        

Morgan Stanley & Co. International

    10/4/2017       183,404       ZAR       13,581       USD              

Morgan Stanley & Co. International

    10/5/2017       468,340       TWD       15,415       USD       6        

Morgan Stanley & Co. International

    10/5/2017       15,559       USD       468,340       TWD       138        

Morgan Stanley & Co. International

    11/2/2017       50,151       USD       63,938       AUD             (1

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      71  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

September 30, 2017

 

  

 

 

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

    11/2/2017       22,204       USD       27,764       CAD     $     $ (1

Morgan Stanley & Co. International

    11/2/2017       4,860       USD       4,694       CHF              

Morgan Stanley & Co. International

    11/2/2017       59,207       USD       50,004       EUR             (2

Morgan Stanley & Co. International

    11/2/2017       25,192       USD       18,759       GBP             (1

Morgan Stanley & Co. International

    11/2/2017       161,325       USD       1,259,146       HKD             (5

Morgan Stanley & Co. International

    11/2/2017       4,500       USD       15,882       ILS              

Morgan Stanley & Co. International

    11/2/2017       1,532       USD       12,188       NOK              

Morgan Stanley & Co. International

    11/2/2017       2,021       USD       2,797       NZD              

Morgan Stanley & Co. International

    11/2/2017       6,439       USD       52,472       SEK              

Morgan Stanley & Co. International

    11/3/2017       6,084       USD       111,057       MXN              

Morgan Stanley & Co. International

    11/3/2017       40,378       USD       170,917       MYR             (27

Morgan Stanley & Co. International

    11/3/2017       29,671       USD       1,511,857       PHP             (2

Morgan Stanley & Co. International

    11/3/2017       40,804       USD       55,392       SGD             (1

Morgan Stanley & Co. International

    11/3/2017       31,268       USD       1,044,225       THB             (45

Morgan Stanley & Co. International

    11/3/2017       12,604       USD       382,673       TWD             (6

Morgan Stanley & Co. International

    11/3/2017       13,139       USD       178,310       ZAR              

Morgan Stanley & Co. International

    11/6/2017       1,094       USD       3,475       BRL              

Morgan Stanley & Co. International

    11/6/2017       520       USD       332,619       CLP              

Morgan Stanley & Co. International

    11/6/2017       29,592       USD       3,326,075       JPY             (1

Royal Bank of Canada

    10/3/2017       1,790       GBP       3,060       AUD              

Royal Bank of Canada

    10/3/2017       199       GBP       259       CHF              

Royal Bank of Canada

    10/3/2017       147       GBP       3,600       MXN             (1

Royal Bank of Canada

    10/3/2017       899       GBP       9,819       SEK       3        

Royal Bank of Canada

    10/3/2017       96       GBP       174       SGD              

Royal Bank of Canada

    10/3/2017       139       GBP       2,524       ZAR             (1

Royal Bank of Canada

    10/3/2017       50,248       USD       63,373       AUD       522        

Royal Bank of Canada

    10/3/2017       22,059       USD       27,647       CAD             (48

Royal Bank of Canada

    10/3/2017       4,905       USD       4,705       CHF       42        

Royal Bank of Canada

    10/3/2017       59,822       USD       50,242       EUR       426        

Royal Bank of Canada

    10/3/2017       25,074       USD       19,440       GBP             (1,008

Royal Bank of Canada

    10/3/2017       4,558       USD       16,333       ILS             (66

Royal Bank of Canada

    10/3/2017       6,300       USD       112,795       MXN       89        

Royal Bank of Canada

    10/3/2017       1,577       USD       12,261       NOK       37        

Royal Bank of Canada

    10/3/2017       2,032       USD       2,839       NZD             (20

Royal Bank of Canada

    10/3/2017       6,481       USD       51,490       SEK       173        

Royal Bank of Canada

    10/4/2017       1,111       USD       3,512       BRL       1        

Royal Bank of Canada

    10/4/2017       530       USD       333,199       CLP       9        

Royal Bank of Canada

    10/4/2017       155,873       USD       1,218,910       HKD             (183

Royal Bank of Canada

    10/4/2017       29,077       USD       3,195,826       JPY       685        

Royal Bank of Canada

    10/4/2017       41,167       USD       55,892       SGD       7        

Royal Bank of Canada

    10/4/2017       13,711       USD       179,064       ZAR       452        
                                            $ 15,928     $ (9,278

 

CURRENCY LEGEND

AUD – Australian dollar

BRL – Brazilian real

CAD – Canadian dollar

CHF – Swiss franc

CLP – Chilean peso

CNY – Chinese yuan

EUR – Euro

GBP – British pound

HKD – Hong Kong dollar

IDR – Indonesian rupiah

ILS – Israeli New shekel

INR – Indian rupee

JPY – Japanese yen

MXN – Mexican peso

MYR – Malaysian ringgit

NOK – Norwegian krone

NZD – New Zealand dollar

PHP – Philippine peso

SEK – Swedish krona

SGD – Singapore dollar

THB – Thai baht

TWD – New Taiwan dollar

USD – U.S. dollar

ZAR – South African rand

 

See Notes to Financial Statements.

 

72   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International Dividend ex-Financials Fund (DOO)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

COMMON STOCKS – 99.1%

     

Australia – 5.9%

     

BHP Billiton Ltd.

     95,236      $ 1,926,460  

Rio Tinto Ltd.

     41,531        2,168,032  

Telstra Corp., Ltd.

     1,192,240        3,264,863  

Wesfarmers Ltd.

     83,976        2,723,306  

Woodside Petroleum Ltd.

     84,323        1,925,373  
     

 

 

 
Total Australia               12,008,034  
Austria – 0.7%      

OMV AG

     26,122        1,522,145  
Belgium – 1.0%      

Anheuser-Busch InBev S.A.

     16,682        1,997,783  
China – 1.2%      

CNOOC Ltd.

     1,951,000        2,517,838  
Denmark – 0.8%      

Novo Nordisk A/S Class B

     34,406        1,645,200  
Finland – 2.7%      

Kone Oyj Class B

     37,998        2,012,470  

Nokia Oyj

     257,860        1,548,597  

UPM-Kymmene Oyj

     71,690        1,943,361  
     

 

 

 
Total Finland               5,504,428  
France – 13.0%      

Air Liquide S.A.

     10,640        1,419,495  

Bouygues S.A.

     53,542        2,541,387  

Capgemini SE

     8,806        1,032,300  

Carrefour S.A.

     65,027        1,314,176  

Cie Generale des Etablissements Michelin

     12,007        1,753,041  

Electricite de France S.A.

     405,079        4,920,535  

Engie S.A.

     258,931        4,398,773  

Orange S.A.

     123,345        2,021,043  

Renault S.A.

     22,036        2,165,094  

Sanofi

     19,357        1,922,471  

TOTAL S.A.

     56,033        3,010,376  
     

 

 

 
Total France               26,498,691  
Germany – 7.8%      

BASF SE

     20,503        2,182,447  

Bayerische Motoren Werke AG

     24,325        2,468,213  

Daimler AG Registered Shares

     37,558        2,995,738  

Evonik Industries AG

     61,637        2,202,048  

Innogy SE(a)

     59,987        2,670,364  

Telefonica Deutschland Holding AG

     626,321        3,515,592  
     

 

 

 
Total Germany               16,034,402  
Israel – 0.8%      

Teva Pharmaceutical Industries Ltd.

     89,323        1,561,623  
Italy – 5.7%      

Atlantia SpA

     73,927        2,334,359  

Enel SpA

     525,139        3,163,073  

Eni SpA

     200,003        3,310,208  

Snam SpA

     599,836        2,890,397  
     

 

 

 
Total Italy               11,698,037  
Japan – 15.8%      

Bridgestone Corp.

     38,400      $ 1,741,842  

Canon, Inc.

     62,500        2,134,878  

Daiichi Sankyo Co., Ltd.

     72,200        1,627,891  

Eisai Co., Ltd.

     25,800        1,323,864  

FUJIFILM Holdings Corp.

     26,200        1,016,438  

Hitachi Ltd.

     177,000        1,246,776  

Honda Motor Co., Ltd.

     58,100        1,719,799  

ITOCHU Corp.

     131,600        2,154,655  

Japan Tobacco, Inc.

     46,800        1,533,322  

Mitsubishi Corp.

     96,200        2,235,252  

Mitsui & Co., Ltd.

     149,500        2,208,666  

Nissan Motor Co., Ltd.

     259,700        2,571,276  

Subaru Corp.

     62,600        2,257,860  

Sumitomo Corp.

     150,700        2,166,819  

Takeda Pharmaceutical Co., Ltd.

     34,800        1,921,087  

Tokyo Electron Ltd.

     7,900        1,212,739  

Toyota Motor Corp.

     37,245        2,220,175  

Yahoo Japan Corp.(b)

     219,500        1,041,292  
     

 

 

 
Total Japan               32,334,631  
Netherlands – 1.4%      

Koninklijke Ahold Delhaize N.V.

     73,904        1,382,182  

Steinhoff International Holdings N.V.

     335,243        1,494,934  
     

 

 

 
Total Netherlands               2,877,116  
Norway – 3.6%      

Statoil ASA

     161,499        3,231,887  

Telenor ASA

     190,978        4,040,136  
     

 

 

 
Total Norway               7,272,023  
Singapore – 1.2%      

Singapore Telecommunications Ltd.

     928,900        2,517,289  
Spain – 9.1%      

Abertis Infraestructuras S.A.

     135,758        2,744,431  

Amadeus IT Group S.A.

     17,077        1,110,161  

Endesa S.A.

     132,546        2,988,972  

Ferrovial S.A.

     88,488        1,948,370  

Gas Natural SDG S.A.

     100,559        2,226,637  

Iberdrola S.A.

     280,902        2,182,444  

Repsol S.A.

     137,880        2,541,196  

Telefonica S.A.

     265,283        2,882,771  
     

 

 

 
Total Spain               18,624,982  
Sweden – 2.1%      

Telefonaktiebolaget LM Ericsson Class B

     122,600        702,494  

Telia Co. AB

     768,394        3,611,165  
     

 

 

 
Total Sweden               4,313,659  
Switzerland – 7.2%      

Givaudan S.A. Registered Shares

     757        1,648,407  

Kuehne + Nagel International AG Registered Shares

     11,735        2,174,541  

LafargeHolcim Ltd. Registered Shares*

     32,504        1,901,329  

Nestle S.A. Registered Shares

     18,628        1,561,318  

Novartis AG Registered Shares

     23,446        2,008,757  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      73  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International Dividend ex-Financials Fund (DOO)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Roche Holding AG Genusschein

     6,600      $ 1,686,151  

STMicroelectronics N.V.

     46,455        897,927  

Swisscom AG Registered Shares

     5,484        2,812,279  
     

 

 

 
Total Switzerland               14,690,709  
United Kingdom – 19.1%      

AstraZeneca PLC

     33,617        2,234,816  

BHP Billiton PLC

     128,626        2,268,446  

BP PLC

     589,073        3,772,244  

British American Tobacco PLC

     24,236        1,519,158  

BT Group PLC

     680,192        2,590,813  

Centrica PLC

     1,276,306        3,202,105  

GlaxoSmithKline PLC

     122,087        2,438,133  

Imperial Brands PLC

     53,020        2,264,915  

National Grid PLC

     176,046        2,183,832  

Rio Tinto PLC

     58,449        2,723,460  

Royal Dutch Shell PLC Class A

     145,725        4,396,085  

SSE PLC

     180,109        3,375,756  

Unilever N.V. CVA

     25,822        1,527,559  

Unilever PLC

     26,542        1,537,999  

Vodafone Group PLC

     1,119,784        3,136,923  
     

 

 

 
Total United Kingdom               39,172,244  

TOTAL COMMON STOCKS

(Cost: $211,096,349)

              202,790,834  
EXCHANGE-TRADED FUND – 0.5%      
United States – 0.5%      

WisdomTree International LargeCap Dividend Fund(c)

     
(Cost: $885,959)      19,695      $ 975,296  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.0%  
United States – 0.0%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(d)

     
(Cost: $42,585)(e)      42,585        42,585  

TOTAL INVESTMENTS IN SECURITIES – 99.6%

(Cost: $212,024,893)

        203,808,715  

Other Assets less Liabilities – 0.4%

        881,176  
     

 

 

 
NET ASSETS – 100.0%             $ 204,689,891  
* 

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 September 30, 2017 (See Note 2).

 

(c) 

Affiliated company (See Note 3).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(e) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $989,109 and the total market value of the collateral held by the Fund was $1,102,296. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,059,711.

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
 
State Street Bank and Trust     10/3/2017       72,778       USD       93,000       AUD     $     $ (195
State Street Bank and Trust     10/3/2017       17,372       USD       13,000       GBP             (69
                                            $     $ (264

 

CURRENCY LEGEND

AUD – Australian dollar

GBP – British pound

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

74   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%      
Australia – 7.2%      

Adelaide Brighton Ltd.

     82,258      $ 376,290  

AGL Energy Ltd.

     35,465        650,331  

Alumina Ltd.

     232,897        402,034  

Amcor Ltd.

     66,062        788,418  

AMP Ltd.

     219,220        830,813  

APN Outdoor Group Ltd.(a)

     82,373        304,426  

Aristocrat Leisure Ltd.

     20,468        337,264  

ASX Ltd.

     14,140        581,708  

Aurizon Holdings Ltd.

     173,072        665,424  

Australia & New Zealand Banking Group Ltd.

     209,381        4,863,006  

Bank of Queensland Ltd.

     63,356        645,265  

Bendigo & Adelaide Bank Ltd.

     44,112        401,851  

BHP Billiton Ltd.

     136,110        2,753,270  

Boral Ltd.

     60,484        321,296  

Brambles Ltd.

     74,600        526,814  

Cabcharge Australia Ltd.

     286,870        408,543  

Caltex Australia Ltd.

     16,313        410,880  

carsales.com Ltd.

     40,171        404,404  

CIMIC Group Ltd.

     14,046        487,247  

Cleanaway Waste Management Ltd.

     190,924        205,987  

Coca-Cola Amatil Ltd.

     65,700        398,493  

Cochlear Ltd.

     3,598        449,477  

Commonwealth Bank of Australia

     110,970        6,552,212  

Crown Resorts Ltd.

     66,342        588,745  

CSL Ltd.

     11,726        1,232,539  

Flight Centre Travel Group Ltd.(a)

     9,322        329,226  

Fortescue Metals Group Ltd.

     308,198        1,242,993  

Harvey Norman Holdings Ltd.(a)

     169,009        514,538  

Healthscope Ltd.

     206,209        270,209  

Insurance Australia Group Ltd.

     147,787        738,672  

IRESS Ltd.

     33,195        296,669  

JB Hi-Fi Ltd.(a)

     23,350        419,930  

Link Administration Holdings Ltd.

     65,278        385,689  

Macquarie Group Ltd.

     24,003        1,712,382  

Magellan Financial Group Ltd.

     10,679        205,795  

Medibank Pvt Ltd.

     173,717        398,016  

National Australia Bank Ltd.

     220,686        5,454,578  

Newcrest Mining Ltd.

     18,008        297,012  

Perpetual Ltd.

     9,163        372,573  

Premier Investments Ltd.

     30,782        314,232  

Qantas Airways Ltd.

     117,879        539,238  

QBE Insurance Group Ltd.

     80,857        635,079  

Ramsay Health Care Ltd.

     8,094        395,537  

REA Group Ltd.

     7,443        391,290  

Rio Tinto Ltd.

     25,464        1,329,291  

Sonic Healthcare Ltd.

     33,091        542,925  

South32 Ltd.

     208,120        533,995  

Star Entertainment Grp Ltd. (The)

     101,924        419,067  

Suncorp Group Ltd.

     96,178        984,832  

Tabcorp Holdings Ltd.

     136,737        458,131  

Tatts Group Ltd.

     116,724        364,518  

Telstra Corp., Ltd.

     1,225,398        3,355,664  

Treasury Wine Estates Ltd.

     43,093      $ 462,899  

Wesfarmers Ltd.

     83,972        2,723,176  

Westpac Banking Corp.

     252,956        6,335,541  

Woodside Petroleum Ltd.

     42,715        975,325  

Woolworths Ltd.

     45,206        894,221  
     

 

 

 
Total Australia               59,879,980  
Austria – 0.4%      

Andritz AG

     9,897        572,200  

Erste Group Bank AG*

     22,465        970,566  

Oesterreichische Post AG

     13,481        622,508  

OMV AG

     16,268        947,946  
     

 

 

 
Total Austria               3,113,220  
Belgium – 2.0%      

Ageas

     14,209        667,883  

Anheuser-Busch InBev S.A.

     89,079        10,667,816  

Bekaert S.A.

     5,577        267,549  

Euronav N.V.

     68,506        563,270  

KBC Group N.V.

     21,289        1,804,534  

Proximus SADP

     26,034        897,314  

Solvay S.A.

     4,953        740,127  

UCB S.A.

     6,059        431,424  

Umicore S.A.

     8,514        704,467  
     

 

 

 
Total Belgium               16,744,384  
China – 2.6%      

Beijing Enterprises Holdings Ltd.

     59,500        319,946  

China Mobile Ltd.

     991,481        10,047,207  

China Overseas Land & Investment Ltd.

     439,175        1,428,175  

China Power International Development Ltd.

     1,261,400        415,046  

China Resources Power Holdings Co., Ltd.

     432,000        779,853  

CITIC Ltd.

     1,124,000        1,660,665  

CNOOC Ltd.

     2,652,700        3,423,408  

Fosun International Ltd.

     281,487        593,196  

Guangdong Investment Ltd.

     444,000        633,254  

Lenovo Group Ltd.

     989,003        545,739  

Shenzhen Investment Ltd.

     836,000        378,896  

Sino-Ocean Group Holding Ltd.

     801,500        534,628  

Sun Art Retail Group Ltd.

     640,000        594,057  
     

 

 

 
Total China               21,354,070  
Denmark – 1.4%      

AP Moller – Maersk A/S Class B

     259        492,095  

Carlsberg A/S Class B

     3,338        365,362  

Chr Hansen Holding A/S

     7,705        660,974  

Coloplast A/S Class B

     8,381        680,354  

Danske Bank A/S

     44,162        1,766,536  

DONG Energy A/S(b)

     10,960        627,500  

FLSmidth & Co. A/S

     5,030        332,654  

Jyske Bank A/S Registered Shares

     3,009        173,662  

Novo Nordisk A/S Class B

     79,178        3,786,074  

Novozymes A/S Class B

     8,593        441,062  

Pandora A/S

     2,973        293,531  

SimCorp A/S

     4,126        252,025  

Spar Nord Bank A/S

     18,430        229,541  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      75  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Sydbank A/S

     7,979      $ 331,212  

Tryg A/S

     26,276        606,934  

Vestas Wind Systems A/S

     6,357        570,583  
     

 

 

 
Total Denmark               11,610,099  
Finland – 1.5%      

Aktia Bank Oyj

     18,392        201,558  

Amer Sports Oyj*

     7,908        209,788  

Cargotec Oyj Class B

     2,659        167,075  

Cramo Oyj

     5,296        139,055  

Elisa Oyj

     18,175        782,537  

Fortum Oyj

     103,218        2,060,990  

Kemira Oyj

     12,486        164,142  

Kesko Oyj Class B

     8,140        436,600  

Kone Oyj Class B

     22,527        1,193,087  

Metsa Board Oyj

     20,825        142,669  

Metso Oyj

     10,537        386,660  

Neste Oyj

     14,983        654,491  

Nokia Oyj

     268,392        1,611,848  

Nokian Renkaat Oyj

     8,528        379,378  

Sampo Oyj Class A

     27,251        1,440,705  

Sanoma Oyj

     17,564        191,653  

Stora Enso Oyj Class R

     31,271        441,774  

Technopolis Oyj

     58,939        273,833  

UPM-Kymmene Oyj

     37,441        1,014,944  

Uponor Oyj

     9,831        170,382  

Valmet Oyj

     8,206        161,330  
     

 

 

 
Total Finland               12,224,499  
France – 11.3%      

Accor S.A.

     13,420        666,890  

Aeroports de Paris

     4,643        750,889  

Air Liquide S.A.

     12,309        1,642,159  

Airbus SE

     20,513        1,949,979  

Amundi S.A.(b)

     7,563        628,729  

Atos SE

     2,641        409,787  

AXA S.A.

     146,451        4,430,506  

BNP Paribas S.A.

     66,496        5,365,237  

Bourbon Corp.(a)

     22,041        199,335  

Bouygues S.A.

     23,717        1,125,735  

Capgemini SE

     6,816        799,019  

Carrefour S.A.

     33,078        668,496  

Casino Guichard Perrachon S.A.

     12,064        715,670  

Christian Dior SE

     4,076        1,305,612  

Cie de Saint-Gobain

     25,112        1,496,838  

Cie Generale des Etablissements Michelin

     7,706        1,125,089  

Cie Plastic Omnium S.A.

     5,185        221,865  

CNP Assurances

     37,761        885,232  

Coface S.A.

     21,078        226,508  

Credit Agricole S.A.

     163,888        2,979,849  

Danone S.A.

     23,744        1,863,015  

Edenred

     15,293        415,826  

Eiffage S.A.

     4,586        474,929  

Electricite de France S.A.(a)

     317,333        3,854,675  

Elior Group S.A.(b)

     6,122        162,118  

Elis S.A.

     9,607      $ 257,302  

Engie S.A.

     248,991        4,229,910  

Essilor International S.A.

     4,834        598,620  

Eurazeo S.A.

     3,459        309,268  

Eutelsat Communications S.A.

     17,555        520,083  

Fonciere Des Regions

     3,355        348,596  

Havas S.A.(a)

     25,421        278,017  

Hermes International

     1,243        626,804  

ICADE

     3,983        355,366  

Imerys S.A.

     2,720        245,831  

Kering

     3,603        1,435,652  

Klepierre S.A.

     15,455        606,776  

Korian S.A.

     4,299        141,567  

L’Oreal S.A.

     14,224        3,025,127  

Lagardere SCA

     13,894        465,252  

Legrand S.A.

     6,502        469,501  

LVMH Moet Hennessy Louis Vuitton SE

     13,054        3,602,701  

Manitou BF S.A.

     5,956        223,557  

Metropole Television S.A.

     19,476        450,475  

Natixis S.A.

     218,054        1,745,193  

Nexity S.A.*

     6,984        426,860  

Orange S.A.

     142,023        2,327,087  

Pernod Ricard S.A.

     7,011        970,157  

Peugeot S.A.

     29,286        697,631  

Publicis Groupe S.A.

     10,665        745,016  

Rallye S.A.

     14,000        259,516  

Remy Cointreau S.A.(a)

     2,988        353,948  

Renault S.A.

     14,567        1,431,246  

Safran S.A.

     11,747        1,200,418  

Sanofi

     64,903        6,445,943  

Schneider Electric SE*

     24,714        2,151,239  

SCOR SE

     19,052        799,013  

SEB S.A.

     982        180,175  

Societe Generale S.A.

     48,974        2,867,930  

Sodexo S.A.

     6,125        763,922  

SPIE S.A.

     9,780        269,161  

Suez

     31,969        583,724  

Tarkett S.A.

     3,295        148,491  

Thales S.A.

     7,579        858,178  

TOTAL S.A.

     187,672        10,082,688  

Unibail-Rodamco SE

     4,535        1,103,082  

Valeo S.A.

     9,613        713,462  

Veolia Environnement S.A.

     37,526        867,301  

Vicat S.A.

     2,217        169,208  

Vinci S.A.

     27,564        2,619,926  

Vivendi S.A.

     43,317        1,096,904  

Wendel S.A.

     2,016        326,633  
     

 

 

 
Total France               94,758,444  
Germany – 8.2%      

Aareal Bank AG

     11,939        505,644  

adidas AG

     4,123        932,923  

Allianz SE Registered Shares

     25,784        5,790,023  

AURELIUS Equity Opportunities SE & Co. KGaA(a)

     4,915        323,297  

 

See Notes to Financial Statements.

 

76   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Aurubis AG

     2,147      $ 173,967  

Axel Springer SE

     8,063        518,259  

BASF SE

     46,239        4,921,921  

Bayer AG Registered Shares

     28,429        3,875,088  

Bayerische Motoren Werke AG

     34,314        3,481,779  

Beiersdorf AG

     5,008        538,939  

Brenntag AG

     6,483        361,099  

CECONOMY AG

     14,344        168,947  

Continental AG

     5,341        1,355,959  

Covestro AG(b)

     5,536        476,124  

Daimler AG Registered Shares

     74,240        5,921,605  

Deutsche Bank AG Registered Shares

     34,498        596,663  

Deutsche Boerse AG

     6,943        752,757  

Deutsche Lufthansa AG Registered Shares

     17,595        489,027  

Deutsche Post AG Registered Shares

     57,455        2,558,330  

Deutsche Telekom AG Registered Shares

     233,844        4,363,767  

Deutsche Wohnen SE Bearer Shares

     10,683        453,649  

Duerr AG

     2,706        361,970  

E.ON SE

     72,960        825,961  

Evonik Industries AG

     20,966        749,033  

Fielmann AG

     5,834        505,616  

Fraport AG Frankfurt Airport Services Worldwide

     4,665        443,072  

Freenet AG

     18,723        626,180  

Fresenius Medical Care AG & Co. KGaA

     6,449        631,039  

Fresenius SE & Co. KGaA

     10,366        836,382  

Hannover Rueck SE

     7,694        927,321  

HeidelbergCement AG

     4,966        510,584  

Hella KGaA Hueck & Co.

     3,404        200,707  

Henkel AG & Co. KGaA

     4,692        571,051  

Hugo Boss AG(a)

     4,106        362,068  

Indus Holding AG

     6,220        460,095  

Infineon Technologies AG

     28,374        713,475  

Innogy SE(b)

     32,273        1,436,656  

KION Group AG

     3,181        304,494  

LANXESS AG

     2,449        193,284  

LEG Immobilien AG

     3,202        323,993  

Leoni AG

     3,019        200,260  

Linde AG

     5,776        1,204,868  

MAN SE

     3,641        411,026  

Merck KGaA

     4,672        519,847  

MTU Aero Engines AG

     3,091        493,131  

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     9,002        1,925,167  

ProSiebenSat.1 Media SE

     20,939        713,784  

Rheinmetall AG

     2,370        267,181  

SAP SE

     27,683        3,033,450  

Siemens AG Registered Shares

     34,691        4,888,592  

Stroeer SE & Co. KGaA

     3,739        244,616  

Symrise AG

     8,009        608,523  

Talanx AG

     6,358        257,099  

Telefonica Deutschland Holding AG

     254,997        1,431,319  

ThyssenKrupp AG

     8,830        261,753  

TUI AG

     40,523        688,892  

Uniper SE

     15,599        427,834  

Volkswagen AG

     3,537      $ 598,991  

VTG AG

     8,595        477,567  

Wacker Neuson SE

     9,538        316,512  

Zeal Network SE

     12,151        372,769  
     

 

 

 
Total Germany               68,885,929  
Hong Kong – 2.7%      

AIA Group Ltd.

     246,765        1,819,768  

Bank of East Asia Ltd. (The)

     82,258        355,436  

BOC Hong Kong Holdings Ltd.

     522,444        2,538,409  

CLP Holdings Ltd.

     153,000        1,568,060  

Dah Sing Financial Holdings Ltd.

     34,800        236,583  

Galaxy Entertainment Group Ltd.

     67,000        471,789  

Hang Lung Group Ltd.

     44,000        158,014  

Hang Lung Properties Ltd.

     207,000        491,349  

Hang Seng Bank Ltd.

     103,600        2,525,438  

Henderson Land Development Co., Ltd.

     165,281        1,095,074  

Hong Kong & China Gas Co., Ltd.

     533,743        1,003,156  

Hong Kong Exchanges & Clearing Ltd.

     32,300        868,424  

I-CABLE Communications Ltd.*

     48,809        1,593  

MTR Corp., Ltd.

     255,000        1,488,727  

New World Development Co., Ltd.

     603,000        866,204  

PCCW Ltd.

     993,000        537,774  

Power Assets Holdings Ltd.

     137,500        1,190,914  

Sino Land Co., Ltd.

     274,400        482,001  

Sun Hung Kai Properties Ltd.

     110,000        1,787,164  

Swire Pacific Ltd. Class A

     50,500        490,084  

Swire Properties Ltd.

     237,800        806,804  

Wharf Holdings Ltd. (The)

     124,000        1,104,946  

Wheelock & Co., Ltd.

     57,000        401,008  
     

 

 

 
Total Hong Kong               22,288,719  
Ireland – 0.4%      

C&C Group PLC

     106,039        382,346  

CRH PLC

     24,084        918,937  

DCC PLC

     6,531        634,830  

Kerry Group PLC Class A

     6,047        581,123  

Kingspan Group PLC

     7,001        297,791  

Paddy Power Betfair PLC

     3,002        299,603  
     

 

 

 
Total Ireland               3,114,630  
Israel – 0.5%      

Bezeq Israeli Telecommunication Corp., Ltd.

     463,968        663,393  

Delek Automotive Systems Ltd.

     71,626        535,279  

Harel Insurance Investments & Financial Services Ltd.

     38,111        238,423  

Israel Chemicals Ltd.

     86,005        381,747  

Migdal Insurance & Financial Holding Ltd.

     542,896        566,164  

Oil Refineries Ltd.

     900,672        451,024  

Sella Capital Real Estate Ltd.

     158,780        316,382  

Teva Pharmaceutical Industries Ltd.

     69,399        1,213,294  
     

 

 

 
Total Israel               4,365,706  
Italy – 3.5%      

A2A SpA

     219,575        377,691  

ACEA SpA

     24,896        386,148  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      77  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Assicurazioni Generali SpA

     115,087      $ 2,144,239  

Atlantia SpA

     54,683        1,726,700  

Banca Generali SpA

     11,006        381,881  

Banca Mediolanum SpA

     67,468        590,229  

Brembo SpA(a)

     16,888        285,899  

Buzzi Unicem SpA

     7,458        201,377  

Cementir Holding SpA

     27,348        230,519  

Datalogic SpA

     8,083        284,474  

Davide Campari-Milano SpA

     36,493        264,892  

Enel SpA

     754,712        4,545,861  

Eni SpA

     313,619        5,190,643  

ERG SpA

     24,808        396,221  

Industria Macchine Automatiche SpA

     3,101        294,563  

Intesa Sanpaolo SpA

     1,406,419        4,974,702  

Intesa Sanpaolo SpA RSP

     119,556        395,749  

Iren SpA

     92,698        248,764  

Italgas SpA

     65,574        368,227  

Luxottica Group SpA

     12,482        697,821  

MARR SpA

     15,617        411,712  

OVS SpA(b)

     32,394        247,393  

Piaggio & C. SpA

     158,027        495,071  

Poste Italiane SpA(b)

     108,906        802,104  

Snam SpA

     272,353        1,312,372  

Societa Cattolica di Assicurazioni SCRL

     27,577        239,621  

Terna Rete Elettrica Nazionale SpA

     177,693        1,038,159  

Tod’s SpA(a)

     1,838        130,264  

UnipolSai Assicurazioni SpA

     315,784        737,680  
     

 

 

 
Total Italy               29,400,976  
Japan – 17.4%      

Aeon Co., Ltd.

     32,900        485,908  

Aichi Steel Corp.

     7,900        310,203  

Air Water, Inc.

     8,000        147,541  

Aisin Seiki Co., Ltd.

     11,000        579,487  

Ajinomoto Co., Inc.

     17,200        335,550  

Amada Holdings Co., Ltd.

     34,800        381,806  

ANA Holdings, Inc.

     9,100        344,307  

Aoyama Trading Co., Ltd.(a)

     10,500        375,450  

Aozora Bank Ltd.

     12,400        471,479  

Asahi Glass Co., Ltd.

     10,200        378,315  

Asahi Group Holdings Ltd.

     14,700        594,974  

Asahi Holdings, Inc.

     5,900        121,339  

Asahi Kasei Corp.

     57,000        701,328  

Astellas Pharma, Inc.

     87,200        1,108,931  

Azbil Corp.

     7,500        321,481  

Bandai Namco Holdings, Inc.

     8,600        294,905  

Bridgestone Corp.

     35,900        1,628,440  

Brother Industries Ltd.

     13,100        304,676  

Canon, Inc.

     75,400        2,575,516  

Casio Computer Co., Ltd.(a)

     19,500        274,401  

Chiba Bank Ltd. (The)

     30,000        214,543  

Chubu Electric Power Co., Inc.

     26,200        325,158  

Chugai Pharmaceutical Co., Ltd.

     18,300        759,215  

Concordia Financial Group Ltd.

     53,800        265,786  

COOKPAD, Inc.(a)

     9,200      $ 63,668  

Cosmo Energy Holdings Co., Ltd.

     9,900        226,469  

Dai-ichi Life Holdings, Inc.

     43,033        771,853  

Daicel Corp.

     13,200        159,012  

Daiichi Sankyo Co., Ltd.

     41,900        944,718  

Daikin Industries Ltd.

     6,400        647,875  

Daito Trust Construction Co., Ltd.

     3,800        692,045  

Daiwa House Industry Co., Ltd.

     23,900        824,870  

Daiwa Securities Group, Inc.

     102,000        577,485  

DeNA Co., Ltd.

     5,800        129,948  

Denka Co., Ltd.

     10,600        348,892  

Denso Corp.

     33,300        1,684,155  

Dentsu, Inc.

     8,100        355,475  

DIC Corp.

     4,300        155,666  

Disco Corp.

     2,000        406,698  

East Japan Railway Co.

     7,300        673,482  

Eisai Co., Ltd.

     13,900        713,245  

Electric Power Development Co., Ltd.

     10,600        266,118  

FamilyMart UNY Holdings Co., Ltd.

     4,300        226,527  

FANUC Corp.

     6,000        1,214,765  

Fast Retailing Co., Ltd.

     1,200        353,822  

FCC Co., Ltd.

     9,700        215,948  

France Bed Holdings Co., Ltd.

     55,900        514,976  

Fuji Electric Co., Ltd.

     38,000        210,652  

FUJIFILM Holdings Corp.

     12,000        465,544  

Fujitsu Ltd.

     43,000        319,315  

Furukawa Co., Ltd.

     20,200        343,830  

Gurunavi, Inc.(a)

     8,100        117,292  

Hamamatsu Photonics K.K.

     9,200        277,884  

Hino Motors Ltd.

     24,600        300,712  

Hirose Electric Co., Ltd.

     2,100        295,509  

Hitachi Ltd.

     133,000        936,843  

Honda Motor Co., Ltd.

     74,600        2,208,210  

Hoya Corp.

     9,900        534,291  

Hulic Co., Ltd.

     32,200        315,521  

Ichigo, Inc.(a)

     54,800        187,429  

Iida Group Holdings Co., Ltd.

     10,400        185,336  

Isuzu Motors Ltd.

     38,700        512,608  

ITOCHU Corp.

     93,300        1,527,579  

Japan Airlines Co., Ltd.

     16,400        554,801  

Japan Exchange Group, Inc.

     27,200        481,102  

Japan Post Holdings Co., Ltd.(a)

     194,600        2,297,547  

Japan Post Insurance Co., Ltd.

     18,800        402,672  

Japan Tobacco, Inc.

     94,844        3,107,402  

JXTG Holdings, Inc.

     150,700        775,021  

kabu.com Securities Co., Ltd.

     120,200        365,197  

Kadokawa Dwango*

     23,500        285,177  

Kajima Corp.

     66,000        655,515  

Kaneka Corp.

     36,000        279,519  

Kansai Electric Power Co., Inc. (The)

     22,400        286,455  

Kansai Paint Co., Ltd.(a)

     12,600        317,001  

Kao Corp.

     10,800        635,153  

KDDI Corp.

     102,300        2,696,434  

Kirin Holdings Co., Ltd.

     36,100        849,223  

 

See Notes to Financial Statements.

 

78   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Komatsu Ltd.

     35,600      $ 1,012,354  

Kubota Corp.

     42,100        765,030  

Kyoei Steel Ltd.

     20,400        317,875  

Kyoritsu Maintenance Co., Ltd.(a)

     8,200        244,765  

Kyowa Hakko Kirin Co., Ltd.

     21,000        357,074  

Kyushu Financial Group, Inc.

     33,400        205,328  

Lawson, Inc.

     7,200        476,525  

LIXIL Group Corp.

     20,000        530,538  

Maeda Road Construction Co., Ltd.

     28,000        602,212  

Makita Corp.

     8,200        330,360  

Marubeni Corp.

     100,200        684,082  

Marui Group Co., Ltd.(a)

     18,200        260,474  

Mazda Motor Corp.

     24,300        372,385  

Medipal Holdings Corp.

     18,900        328,082  

MEIJI Holdings Co., Ltd.

     3,200        253,578  

Mitsubishi Chemical Holdings Corp.

     67,700        644,733  

Mitsubishi Corp.

     80,000        1,858,837  

Mitsubishi Electric Corp.

     55,400        865,217  

Mitsubishi Estate Co., Ltd.

     22,400        389,336  

Mitsubishi Gas Chemical Co., Inc.

     12,400        290,488  

Mitsubishi Heavy Industries Ltd.

     16,200        640,286  

Mitsubishi Tanabe Pharma Corp.

     36,200        829,707  

Mitsubishi UFJ Financial Group, Inc.

     452,400        2,936,692  

Mitsui & Co., Ltd.

     90,900        1,342,928  

Mitsui Engineering & Shipbuilding Co., Ltd.

     18,300        238,819  

Mitsui Fudosan Co., Ltd.

     14,000        303,469  

Mixi, Inc.

     3,700        178,484  

Mizuho Financial Group, Inc.

     1,228,500        2,151,089  

Monex Group, Inc.

     132,300        354,947  

MS&AD Insurance Group Holdings, Inc.

     27,630        889,295  

Murata Manufacturing Co., Ltd.

     4,300        631,830  

Nabtesco Corp.

     4,900        181,957  

NEC Corp.

     10,900        295,340  

NGK Insulators Ltd.

     16,200        303,377  

Nichiha Corp.

     8,400        314,911  

Nidec Corp.

     4,000        491,094  

Nintendo Co., Ltd.

     2,800        1,033,785  

Nippon Express Co., Ltd.

     6,800        442,802  

Nippon Kayaku Co., Ltd.

     23,000        354,098  

Nippon Steel & Sumikin Bussan Corp.

     6,700        369,031  

Nippon Steel & Sumitomo Metal Corp.

     37,800        867,555  

Nippon Telegraph & Telephone Corp.

     74,300        3,403,945  

Nissan Motor Co., Ltd.

     278,200        2,754,443  

Nissha Printing Co., Ltd.(a)

     6,300        170,981  

Nisshinbo Holdings, Inc.

     30,500        360,641  

Nitto Denko Corp.

     5,400        450,076  

NOK Corp.

     8,700        194,767  

Nomura Holdings, Inc.

     151,600        848,470  

Nomura Real Estate Holdings, Inc.

     9,900        210,902  

Nomura Research Institute Ltd.

     8,900        347,097  

NSK Ltd.

     36,200        487,855  

NTT Data Corp.

     38,200        408,589  

NTT DOCOMO, Inc.

     169,055        3,860,488  

Obayashi Corp.

     40,800        488,955  

Ogaki Kyoritsu Bank Ltd. (The)

     6,800      $ 190,290  

Oji Holdings Corp.

     74,000        399,041  

Okasan Securities Group, Inc.

     45,000        258,251  

Omron Corp.

     8,500        432,683  

Ono Pharmaceutical Co., Ltd.

     21,400        484,692  

Oracle Corp.

     4,100        321,983  

Oriental Land Co., Ltd.

     3,000        228,508  

Osaka Gas Co., Ltd.

     25,200        468,337  

Otsuka Holdings Co., Ltd.

     19,900        790,414  

Outsourcing, Inc.

     13,000        180,740  

Panasonic Corp.

     70,800        1,025,535  

Park24 Co., Ltd.

     16,700        406,503  

Pasco Corp.(a)

     37,000        114,387  

Pigeon Corp.

     8,300        283,512  

Pilot Corp.

     2,600        124,266  

Qol Co., Ltd.

     20,200        352,982  

Recruit Holdings Co., Ltd.

     34,400        744,750  

Resona Holdings, Inc.

     103,300        530,426  

Resorttrust, Inc.(a)

     13,700        244,997  

Ricoh Co., Ltd.

     51,900        504,407  

Sac’s Bar Holdings, Inc.

     47,800        619,130  

San-In Godo Bank Ltd. (The)

     26,200        226,936  

Sanrio Co., Ltd.(a)

     21,100        400,200  

Sanwa Holdings Corp.

     31,400        360,124  

Sanyo Chemical Industries Ltd.

     6,200        360,769  

SBI Holdings, Inc.

     22,600        340,109  

Secom Co., Ltd.

     8,300        604,776  

Seibu Holdings, Inc.

     12,500        213,432  

Seiko Epson Corp.

     25,900        626,533  

Seino Holdings Co., Ltd.

     26,300        368,922  

Sekisui Chemical Co., Ltd.

     18,300        359,936  

Sekisui House Ltd.

     40,600        684,031  

Seven & I Holdings Co., Ltd.

     25,000        964,998  

Seven Bank Ltd.(a)

     40,300        145,354  

Shikoku Electric Power Co., Inc.(a)

     26,500        311,460  

Shimano, Inc.

     800        106,534  

Shimizu Corp.

     46,800        518,452  

Shin-Etsu Chemical Co., Ltd.

     8,700        777,524  

Shionogi & Co., Ltd.

     9,800        535,511  

Shizuoka Bank Ltd. (The)

     37,000        332,643  

Showa Shell Sekiyu K.K.

     24,000        276,107  

SMC Corp.

     1,000        352,596  

SoftBank Group Corp.

     9,600        774,720  

Sojitz Corp.

     146,000        403,376  

Sompo Holdings, Inc.

     12,700        493,942  

Sony Corp.

     10,300        383,030  

Sony Financial Holdings, Inc.

     27,100        444,424  

Subaru Corp.

     43,200        1,558,140  

Sumitomo Chemical Co., Ltd.

     78,000        487,132  

Sumitomo Corp.

     60,900        875,642  

Sumitomo Electric Industries Ltd.

     33,500        547,000  

Sumitomo Heavy Industries Ltd.

     9,600        384,631  

Sumitomo Mitsui Financial Group, Inc.

     63,700        2,444,668  

Sumitomo Mitsui Trust Holdings, Inc.

     17,907        646,030  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      79  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Sumitomo Realty & Development Co., Ltd.

     10,000      $ 302,492  

Sumitomo Rubber Industries Ltd.

     22,200        406,666  

Suntory Beverage & Food Ltd.

     9,200        409,470  

Suzuken Co., Ltd.

     8,800        312,708  

Suzuki Motor Corp.

     11,900        623,940  

Sysmex Corp.

     3,600        229,627  

T&D Holdings, Inc.

     27,900        404,874  

Taisei Corp.

     10,800        566,073  

Taiyo Nippon Sanso Corp.

     10,000        118,332  

Takashimaya Co., Ltd.

     40,000        374,539  

Takeda Pharmaceutical Co., Ltd.

     42,200        2,329,594  

Teijin Ltd.

     17,500        344,823  

Terumo Corp.

     9,000        353,796  

Toda Corp.

     52,000        405,135  

Toho Co., Ltd.

     8,600        299,871  

Toho Zinc Co., Ltd.

     5,300        228,357  

Tokai Tokyo Financial Holdings, Inc.

     54,100        320,568  

Tokio Marine Holdings, Inc.

     27,000        1,055,870  

Tokyo Electron Ltd.

     6,700        1,028,526  

Tokyo Gas Co., Ltd.

     16,200        396,923  

Toppan Forms Co., Ltd.

     32,000        339,431  

Topy Industries Ltd.

     8,000        267,223  

Toshiba Machine Co., Ltd.

     69,000        376,369  

TOTO Ltd.

     7,200        303,185  

Tow Co., Ltd.

     53,400        393,271  

Toyo Ink SC Holdings Co., Ltd.

     72,000        404,886  

Toyoda Gosei Co., Ltd.

     12,600        297,636  

Toyota Boshoku Corp.

     7,600        160,892  

Toyota Motor Corp.

     170,510        10,164,102  

Toyota Tsusho Corp.

     23,700        777,964  

Trend Micro, Inc.

     9,100        447,866  

Tsubakimoto Chain Co.

     27,000        215,635  

UACJ Corp.(a)

     4,700        133,820  

Ube Industries Ltd.

     18,200        525,474  

Unicharm Corp.

     7,600        173,923  

Unipres Corp.

     7,300        202,985  

United Arrows Ltd.

     8,000        290,677  

USS Co., Ltd.

     19,260        388,400  

Wacoal Holdings Corp.

     13,500        384,978  

West Japan Railway Co.

     8,820        612,891  

Yahoo Japan Corp.(a)

     144,310        684,596  

Yakult Honsha Co., Ltd.

     4,000        288,189  

Yamada Denki Co., Ltd.(a)

     87,500        478,057  

Yamaha Corp.

     6,900        254,386  

Yamaha Motor Co., Ltd.

     12,700        380,216  

Yamato Holdings Co., Ltd.(a)

     12,600        254,261  

Yuasa Trading Co., Ltd.

     16,800        593,257  

Zeon Corp.

     12,000        155,537  
     

 

 

 
Total Japan               145,601,010  
Netherlands – 2.3%      

Aalberts Industries N.V.

     9,735        470,764  

ABN AMRO Group N.V. CVA(b)

     43,234        1,295,158  

Aegon N.V.

     145,258        846,255  

Akzo Nobel N.V.

     9,823      $ 907,188  

ASML Holding N.V.

     5,513        938,841  

BE Semiconductor Industries N.V.

     5,377        374,091  

Corbion N.V.

     8,562        275,824  

Euronext N.V.(b)

     3,334        202,945  

Flow Traders(b)

     6,093        163,871  

Heineken Holding N.V.

     3,262        306,579  

Heineken N.V.

     15,008        1,484,156  

ING Groep N.V.

     225,626        4,161,065  

Koninklijke Ahold Delhaize N.V.

     58,644        1,096,783  

Koninklijke DSM N.V.

     8,075        661,174  

Koninklijke KPN N.V.

     244,492        839,656  

Koninklijke Philips N.V.

     41,406        1,709,829  

NN Group N.V.

     17,588        736,263  

PostNL N.V.

     37,708        162,444  

Randstad Holding N.V.

     11,855        733,544  

Steinhoff International Holdings N.V.

     167,991        749,115  

Wolters Kluwer N.V.

     16,554        765,094  
     

 

 

 
Total Netherlands               18,880,639  
New Zealand – 0.5%      

Air New Zealand Ltd.

     174,449        424,988  

Auckland International Airport Ltd.

     70,176        326,703  

Contact Energy Ltd.

     81,372        323,531  

EBOS Group Ltd.

     25,050        310,201  

Fisher & Paykel Healthcare Corp., Ltd.

     44,275        409,042  

Fletcher Building Ltd.

     66,887        386,337  

Mercury NZ Ltd.

     145,612        356,841  

New Zealand Refining Co., Ltd. (The)(a)

     167,729        309,191  

Spark New Zealand Ltd.

     293,339        774,000  

Trustpower Ltd.

     153,477        609,107  

Vector Ltd.

     102,647        242,646  
     

 

 

 
Total New Zealand               4,472,587  
Norway – 1.8%      

Aker ASA Class A

     8,641        354,962  

Aker BP ASA

     20,538        397,328  

DNB ASA

     86,707        1,748,235  

Gjensidige Forsikring ASA

     31,377        546,318  

Leroy Seafood Group ASA

     56,408        361,040  

Marine Harvest ASA*

     55,635        1,100,777  

Norsk Hydro ASA

     104,338        758,912  

Ocean Yield ASA

     42,077        377,939  

Orkla ASA

     54,592        560,301  

Salmar ASA

     15,369        434,409  

SpareBank 1 SR-Bank ASA

     26,324        283,568  

Statoil ASA

     234,555        4,693,870  

Storebrand ASA

     36,595        310,770  

Telenor ASA

     125,037        2,645,155  

Yara International ASA

     11,746        526,337  
     

 

 

 
Total Norway               15,099,921  
Portugal – 0.4%      

Altri, SGPS, S.A.

     57,921        305,943  

EDP – Energias de Portugal S.A.

     272,631        1,026,539  

 

See Notes to Financial Statements.

 

80   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Galp Energia, SGPS, S.A.

     41,660      $ 738,510  

Jeronimo Martins, SGPS, S.A.

     37,220        734,384  

Navigator Co. S.A. (The)

     69,001        336,407  

REN – Redes Energeticas Nacionais, SGPS, S.A.

     127,258        414,324  

Semapa-Sociedade de Investimento e Gestao

     8,525        163,368  
     

 

 

 
Total Portugal               3,719,475  
Singapore – 1.7%      

CapitaLand Ltd.

     241,700        637,200  

City Developments Ltd.

     22,800        190,231  

ComfortDelGro Corp., Ltd.(a)

     272,200        416,934  

DBS Group Holdings Ltd.

     99,900        1,531,660  

Global Logistic Properties Ltd.

     199,600        485,055  

Hutchison Port Holdings Trust

     1,442,036        620,076  

Jardine Cycle & Carriage Ltd.

     13,255        383,999  

Keppel Corp., Ltd.

     92,000        439,692  

Oversea-Chinese Banking Corp., Ltd.

     185,295        1,522,804  

SATS Ltd.

     145,000        492,249  

Sheng Siong Group Ltd.(a)

     655,300        443,960  

Singapore Airlines Ltd.

     64,600        477,620  

Singapore Post Ltd.(a)

     311,200        286,461  

Singapore Technologies Engineering Ltd.

     241,600        612,029  

Singapore Telecommunications Ltd.

     1,120,700        3,037,060  

StarHub Ltd.(a)

     262,500        502,596  

United Overseas Bank Ltd.

     63,901        1,105,839  

UOL Group Ltd.

     63,200        377,911  

Wilmar International Ltd.(a)

     213,500        499,967  
     

 

 

 
Total Singapore               14,063,343  
Spain – 4.2%      

Abertis Infraestructuras S.A.

     55,760        1,127,222  

Acciona S.A.

     4,794        385,671  

ACS Actividades de Construccion y Servicios S.A.

     21,281        788,841  

Aena SME S.A.(b)

     4,479        808,822  

Amadeus IT Group S.A.

     17,330        1,126,609  

Applus Services S.A.

     24,732        309,924  

Banco Bilbao Vizcaya Argentaria S.A.

     413,448        3,695,650  

Banco de Sabadell S.A.

     267,242        557,938  

Banco Santander S.A.

     606,937        4,238,394  

Bankia S.A.

     125,876        607,147  

Bankinter S.A.

     29,638        280,444  

Bolsas y Mercados Espanoles SHMSF S.A.

     7,978        275,402  

CaixaBank S.A.

     277,433        1,390,640  

Cellnex Telecom S.A.(b)

     15,873        363,291  

Cie Automotive S.A.

     6,425        171,585  

Distribuidora Internacional de Alimentacion S.A.

     45,466        265,256  

EDP Renovaveis S.A.

     17,875        152,149  

Enagas S.A.

     19,046        536,448  

Ence Energia y Celulosa S.A.

     42,568        221,425  

Endesa S.A.

     85,831        1,935,528  

Ferrovial S.A.

     50,994        1,122,810  

Gas Natural SDG S.A.

     61,906        1,370,759  

Iberdrola S.A.

     368,377        2,862,074  

Industria de Diseno Textil S.A.

     79,580        2,999,723  

Mapfre S.A.

     156,025        507,983  

Mediaset Espana Comunicacion S.A.

     35,471      $ 400,594  

Prosegur Cia de Seguridad S.A.

     22,956        171,787  

Red Electrica Corp. S.A.

     35,553        747,306  

Repsol S.A.

     88,542        1,631,872  

Telefonica S.A.

     374,352        4,068,000  
     

 

 

 
Total Spain               35,121,294  
Sweden – 3.1%      

Ahlsell AB(b)

     52,524        340,407  

Assa Abloy AB Class B

     30,032        684,356  

Atlas Copco AB Class A

     18,676        789,154  

Atlas Copco AB Class B

     25,803        998,314  

Axfood AB

     27,941        478,215  

Bilia AB Class A

     31,313        345,264  

Boliden AB

     15,491        523,240  

Castellum AB

     10,571        165,513  

Dometic Group AB(b)

     27,657        234,644  

Evolution Gaming Group AB(b)

     3,183        202,390  

Fabege AB

     32,820        671,490  

Hemfosa Fastigheter AB

     16,806        213,103  

Hennes & Mauritz AB Class B

     49,745        1,285,928  

Hexpol AB

     15,607        163,864  

Holmen AB Class B

     3,689        172,330  

ICA Gruppen AB

     13,391        502,182  

Intrum Justitia AB(a)

     8,822        311,275  

Investment AB Latour Class B

     23,003        310,846  

Nobia AB

     15,695        156,136  

Nordax Group AB(b)

     59,480        349,781  

Nordea Bank AB

     286,974        3,881,471  

Peab AB

     35,194        387,626  

Resurs Holding AB(b)

     31,710        223,771  

Saab AB Class B

     5,151        260,884  

Sandvik AB

     55,324        952,302  

Securitas AB Class B

     29,542        493,673  

Skandinaviska Enskilda Banken AB Class A

     152,636        2,006,511  

Skanska AB Class B

     38,800        896,992  

Svenska Cellulosa AB SCA Class B

     21,191        179,137  

Svenska Handelsbanken AB Class A

     102,487        1,543,140  

Swedbank AB Class A

     90,626        2,500,380  

Tele2 AB Class B

     71,232        813,347  

Telia Co. AB

     401,112        1,885,077  

Volvo AB Class A

     2,625        50,330  

Volvo AB Class B

     70,498        1,356,005  
     

 

 

 
Total Sweden               26,329,078  
Switzerland – 7.7%      

ABB Ltd. Registered Shares

     99,269        2,456,077  

Adecco Group AG Registered Shares

     7,491        583,734  

Baloise Holding AG Registered Shares

     5,150        815,399  

Cie Financiere Richemont S.A. Registered Shares

     16,610        1,519,207  

Clariant AG Registered Shares*

     26,580        637,305  

Coca-Cola HBC AG*

     14,128        478,609  

Credit Suisse Group AG Registered Shares*

     140,592        2,227,445  

EMS-Chemie Holding AG Registered Shares

     941        626,296  

Geberit AG Registered Shares

     1,463        692,642  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      81  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Givaudan S.A. Registered Shares

     514      $ 1,119,262  

Julius Baer Group Ltd.*

     8,832        523,019  

Kudelski S.A. Bearer Shares

     30,359        379,644  

Kuehne + Nagel International AG Registered Shares

     6,669        1,235,791  

LafargeHolcim Ltd. Registered Shares*

     30,678        1,794,517  

Logitech International S.A. Registered Shares

     15,768        575,411  

Lonza Group AG Registered Shares*

     2,285        599,824  

Nestle S.A. Registered Shares

     124,686        10,450,635  

Novartis AG Registered Shares

     132,571        11,358,140  

Partners Group Holding AG

     722        490,238  

Roche Holding AG Bearer Shares

     4,560        1,161,678  

Roche Holding AG Genusschein

     35,780        9,140,984  

Schindler Holding AG Participation Certificate

     4,024        889,555  

SGS S.A. Registered Shares

     406        974,719  

Sonova Holding AG Registered Shares

     2,144        364,055  

STMicroelectronics N.V.

     16,347        315,971  

Sunrise Communications Group AG*(b)

     6,214        512,482  

Swatch Group AG (The) Bearer Shares

     1,651        687,291  

Swiss Life Holding AG Registered Shares*

     1,798        633,834  

Swiss Re AG

     22,952        2,080,292  

Swisscom AG Registered Shares

     3,388        1,737,418  

UBS Group AG Registered Shares*

     184,197        3,150,538  

Vontobel Holding AG Registered Shares

     10,427        670,815  

Zurich Insurance Group AG

     10,666        3,256,239  
     

 

 

 
Total Switzerland               64,139,066  
United Kingdom – 18.8%      

AA PLC

     84,408        191,952  

Admiral Group PLC

     24,040        586,042  

Aggreko PLC

     25,043        315,494  

Antofagasta PLC

     32,297        411,214  

Associated British Foods PLC

     14,109        604,414  

AstraZeneca PLC

     75,850        5,042,413  

Aviva PLC

     218,152        1,505,857  

BAE Systems PLC

     163,228        1,382,952  

Barclays PLC

     308,129        799,311  

Barratt Developments PLC

     79,827        658,129  

Bellway PLC

     9,397        415,669  

Berkeley Group Holdings PLC

     15,171        756,564  

BHP Billiton PLC

     106,256        1,873,929  

Bodycote PLC

     32,593        400,771  

Booker Group PLC

     183,194        503,853  

BP PLC

     1,936,030        12,397,744  

Brewin Dolphin Holdings PLC

     89,661        419,945  

British American Tobacco PLC

     84,992        5,327,458  

British Land Co. PLC (The)

     67,942        548,749  

BT Group PLC

     666,992        2,540,535  

Burberry Group PLC

     14,003        330,653  

Capita PLC

     65,533        496,761  

Carnival PLC

     10,342        658,107  

Centrica PLC

     494,024        1,239,449  

Close Brothers Group PLC

     15,769        312,058  

CNH Industrial N.V.

     36,523        438,683  

Coca-Cola European Partners PLC

     10,716        449,413  

Compass Group PLC

     63,880      $ 1,356,704  

Costain Group PLC

     87,065        523,604  

Countryside Properties PLC(b)

     49,861        232,263  

De La Rue PLC

     38,755        337,192  

Debenhams PLC

     575,764        382,374  

Derwent London PLC

     6,779        254,116  

Devro PLC

     100,657        321,748  

Diageo PLC

     94,834        3,121,050  

Direct Line Insurance Group PLC

     81,030        395,284  

Drax Group PLC

     33,844        141,351  

Dunelm Group PLC

     27,339        259,506  

easyJet PLC

     23,834        389,159  

Electrocomponents PLC

     53,094        442,360  

Elegant Hotels Group PLC

     152,308        177,779  

Elementis PLC

     90,835        330,142  

Equiniti Group PLC(b)

     129,199        522,100  

Fresnillo PLC

     19,053        359,152  

G4S PLC

     68,779        256,808  

GlaxoSmithKline PLC

     345,938        6,908,540  

Halma PLC

     17,148        257,674  

Hammerson PLC

     52,857        380,817  

Henry Boot PLC

     100,687        406,611  

Howden Joinery Group PLC

     45,581        263,573  

HSBC Holdings PLC

     1,430,388        14,145,537  

Ibstock PLC(b)

     52,458        160,256  

Imperial Brands PLC

     61,299        2,618,579  

Inchcape PLC

     32,362        374,701  

Informa PLC

     45,635        411,440  

Inmarsat PLC

     42,623        367,986  

InterContinental Hotels Group PLC

     8,614        456,269  

Intertek Group PLC

     6,806        454,920  

ITV PLC

     406,453        952,670  

J Sainsbury PLC

     100,799        321,729  

Jardine Lloyd Thompson Group PLC

     11,688        191,938  

Kingfisher PLC

     113,489        454,504  

Land Securities Group PLC

     36,243        472,880  

Legal & General Group PLC

     426,363        1,486,706  

Lloyds Banking Group PLC

     3,113,119        2,828,889  

London Stock Exchange Group PLC

     10,691        549,359  

Lookers PLC

     136,097        219,113  

Marks & Spencer Group PLC

     136,725        648,267  

McCarthy & Stone PLC(b)

     123,506        247,724  

Mitchells & Butlers PLC

     57,274        193,641  

Mondi PLC

     21,184        569,851  

Moneysupermarket.com Group PLC

     55,550        237,001  

Morgan Advanced Materials PLC

     111,599        465,800  

National Grid PLC

     219,669        2,724,971  

Next PLC

     7,540        532,104  

Old Mutual PLC

     165,294        430,671  

PayPoint PLC

     27,785        355,816  

Pearson PLC

     95,139        781,176  

Pennon Group PLC

     36,995        395,586  

Persimmon PLC

     27,519        953,297  

Polar Capital Holdings PLC

     25,903        154,389  

 

See Notes to Financial Statements.

 

82   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International Equity Fund (DWM)

September 30, 2017

 

  

 

 

 

Investments    Shares      Value  

Prudential PLC

     77,588      $ 1,859,674  

Reckitt Benckiser Group PLC

     21,858        1,997,965  

Redde PLC

     184,894        446,513  

Redrow PLC

     45,643        362,829  

RELX N.V.

     58,686        1,249,508  

RELX PLC

     46,945        1,031,044  

Rentokil Initial PLC

     88,676        357,630  

Rightmove PLC

     2,331        126,503  

Rio Tinto PLC

     82,261        3,832,992  

Rolls-Royce Holdings PLC*

     38,294        455,715  

Rotork PLC

     88,718        309,950  

Royal Dutch Shell PLC Class A

     457,704        13,807,554  

Royal Dutch Shell PLC Class B

     385,775        11,875,757  

Royal Mail PLC

     108,199        557,725  

RPC Group PLC

     19,555        259,867  

RPS Group PLC

     82,482        319,260  

RSA Insurance Group PLC

     40,560        339,020  

Saga PLC

     112,985        300,747  

Sage Group PLC (The)

     67,096        628,785  

Schroders PLC

     6,771        304,779  

Segro PLC

     84,881        610,400  

Severn Trent PLC

     15,414        449,381  

Smith & Nephew PLC

     30,048        543,431  

Smiths Group PLC

     24,544        519,297  

Soco International PLC

     178,853        277,152  

Spectris PLC

     7,976        257,894  

Spirax-Sarco Engineering PLC

     3,488        258,552  

SSE PLC

     99,984        1,873,985  

Stagecoach Group PLC

     164,122        375,872  

Standard Life Aberdeen PLC

     223,478        1,299,760  

Tate & Lyle PLC

     59,779        520,113  

Unilever N.V. CVA

     67,601        3,999,090  

Unilever PLC

     52,899        3,065,278  

United Utilities Group PLC

     46,118        528,715  

Vodafone Group PLC

     2,387,319      $ 6,687,751  

WH Smith PLC

     24,220        656,719  

Whitbread PLC

     7,492        378,545  

William Hill PLC

     108,550        367,585  

WM Morrison Supermarkets PLC

     135,142        424,454  
     

 

 

 
Total United Kingdom               157,303,587  

TOTAL COMMON STOCKS

(Cost: $724,230,502)

              832,470,656  
RIGHTS – 0.0%      
United Kingdom – 0.0%      

Equiniti Group PLC, expiring 10/16/17*

     
(Cost $0)      27,686        42,716  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.8%  
United States – 0.8%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(c)

     
(Cost: $6,443,084)(d)      6,443,084        6,443,084  

TOTAL INVESTMENTS IN SECURITIES – 100.4%

(Cost: $730,673,586)

        838,956,456  

Other Assets less Liabilities – (0.4)%

        (3,287,812
     

 

 

 
NET ASSETS – 100.0%             $ 835,668,644  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $10,430,034 and the total market value of the collateral held by the Fund was $11,162,351. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $4,719,267.

CVA – Certificaten Van Aandelen (Certificate of Stock)

RSP – Risparmio Italian Savings Shares

 

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 N.A.

    10/2/2017       167,505       USD       142,134       EUR     $     $ (526
Goldman Sachs     10/3/2017       83,306       USD       106,165       AUD       3        
                                            $ 3     $ (526

 

CURRENCY LEGEND

AUD – Australian dollar

EUR – Euro

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      83  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%  
Australia – 4.5%  

Aristocrat Leisure Ltd.

     53,587      $ 882,988  

Bapcor Ltd.(a)

     120,141        493,968  

BT Investment Management Ltd.

     127,031        1,101,407  

carsales.com Ltd.

     35,152        353,877  

Cochlear Ltd.

     9,838        1,229,003  

Crown Resorts Ltd.

     154,916        1,374,785  

CSL Ltd.

     64,894        6,821,117  

Domino’s Pizza Enterprises Ltd.(a)

     8,574        308,258  

JB Hi-Fi Ltd.(a)

     12,611        226,798  

Magellan Financial Group Ltd.

     53,463        1,030,285  

Medibank Pvt Ltd.

     1,169,859        2,680,354  

NIB Holdings Ltd.

     125,618        565,770  

Northern Star Resources Ltd.

     103,122        399,718  

Pact Group Holdings Ltd.

     155,909        641,030  

Ramsay Health Care Ltd.

     39,629        1,936,590  

REA Group Ltd.

     11,959        628,703  

Seek Ltd.

     104,398        1,360,623  

Technology One Ltd.

     63,903        251,710  

TPG Telecom Ltd.(a)

     91,150        348,306  
     

 

 

 
Total Australia        22,635,290  
Austria – 0.2%  

ams AG*

     12,166        882,651  
Belgium – 0.2%  

Ion Beam Applications

     699        23,749  

Melexis N.V.

     9,774        945,184  
     

 

 

 
Total Belgium        968,933  
China – 2.7%  

Beijing Tong Ren Tang Chinese Medicine Co., Ltd.

     263,000        340,758  

China Everbright International Ltd.

     455,000        570,884  

China Overseas Land & Investment Ltd.

     3,380,000        10,991,588  

CSPC Pharmaceutical Group Ltd.

     940,000        1,574,148  
     

 

 

 
Total China        13,477,378  
Denmark – 6.8%  

Chr Hansen Holding A/S

     14,673        1,258,725  

Coloplast A/S Class B

     47,237        3,834,611  

Dfds A/S

     10,796        616,909  

DSV A/S

     15,755        1,192,112  

GN Store Nord A/S

     11,043        378,579  

Novo Nordisk A/S Class B

     521,651        24,943,914  

Pandora A/S

     2,392        236,168  

Royal Unibrew A/S

     15,879        870,282  

SimCorp A/S

     9,527        581,930  
     

 

 

 
Total Denmark        33,913,230  
Finland – 0.9%  

Konecranes Oyj

     18,435        818,577  

Nokian Renkaat Oyj

     40,538        1,803,380  

Uponor Oyj

     29,946        518,995  

Wartsila Oyj Abp

     18,483        1,308,851  
     

 

 

 
Total Finland        4,449,803  
France – 7.5%  

Airbus SE

     147,721      $ 14,042,455  

Hermes International

     4,396        2,216,758  

Ipsen S.A.

     13,088        1,739,897  

LVMH Moet Hennessy Louis Vuitton SE

     61,040        16,846,091  

SEB S.A.

     4,044        741,982  

Valeo S.A.

     28,002        2,078,266  
     

 

 

 
Total France        37,665,449  
Germany – 5.4%  

adidas AG

     16,451        3,722,416  

Continental AG

     24,919        6,326,369  

Covestro AG(b)

     41,167        3,540,568  

CTS Eventim AG & Co. KGaA

     10,935        477,407  

Fuchs Petrolub SE

     20,817        1,068,806  

Hella KGaA Hueck & Co.

     10,358        610,730  

Henkel AG & Co. KGaA

     39,786        4,842,252  

Infineon Technologies AG

     155,383        3,907,165  

Pfeiffer Vacuum Technology AG

     605        95,412  

United Internet AG Registered Shares

     42,111        2,622,102  
     

 

 

 
Total Germany        27,213,227  
Hong Kong – 0.6%  

Galaxy Entertainment Group Ltd.

     233,000        1,640,698  

Techtronic Industries Co., Ltd.

     183,000        977,006  

Vitasoy International Holdings Ltd.

     192,000        427,721  
     

 

 

 
Total Hong Kong        3,045,425  
Ireland – 0.3%  

Glanbia PLC

     14,249        268,680  

Irish Continental Group PLC

     187,250        1,251,830  
     

 

 

 
Total Ireland        1,520,510  
Israel – 0.7%  

Bezeq Israeli Telecommunication Corp., Ltd.

     2,275,865        3,254,089  
Italy – 1.6%  

Anima Holding SpA(b)

     191,382        1,545,299  

Banca IFIS SpA

     13,292        726,920  

De’ Longhi SpA

     28,842        928,802  

DiaSorin SpA

     7,475        666,747  

Ferrari N.V.

     8,277        914,903  

Industria Macchine Automatiche SpA

     11,323        1,075,569  

Moncler SpA

     20,575        593,986  

Recordati SpA

     37,471        1,727,630  
     

 

 

 
Total Italy        8,179,856  
Japan – 14.6%  

Asahi Intecc Co., Ltd.

     5,800        301,941  

Brother Industries Ltd.

     39,300        914,027  

COLOPL, Inc.(a)

     32,100        370,149  

CyberAgent, Inc.(a)

     9,000        262,248  

Daikin Industries Ltd.

     45,100        4,565,491  

DeNA Co., Ltd.

     10,400        233,010  

Fast Retailing Co., Ltd.

     3,300        973,011  

Fujitsu General Ltd.

     1,800        36,395  

Haseko Corp.

     14,200        189,224  

 

See Notes to Financial Statements.

 

84   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hikari Tsushin, Inc.

     9,300      $ 1,164,927  

Hino Motors Ltd.

     106,000        1,295,749  

Hoya Corp.

     54,200        2,925,110  

Ichigo, Inc.(a)

     95,400        326,291  

Japan Lifeline Co., Ltd.

     1,800        88,909  

Keyence Corp.

     1,400        743,126  

Kose Corp.

     3,300        377,888  

Kubota Corp.

     250,900        4,559,285  

M3, Inc.

     13,600        387,225  

Makita Corp.

     31,800        1,281,153  

Meitec Corp.

     17,000        851,775  

Mixi, Inc.

     25,900        1,249,385  

MonotaRO Co., Ltd.(a)

     6,700        179,159  

Murata Manufacturing Co., Ltd.

     33,240        4,884,197  

Nabtesco Corp.

     25,100        932,066  

NGK Insulators Ltd.

     66,200        1,239,725  

Nidec Corp.

     21,100        2,590,521  

Nippon Paint Holdings Co., Ltd.

     38,700        1,315,040  

Nitori Holdings Co., Ltd.

     5,800        829,050  

Obic Co., Ltd.

     16,800        1,056,669  

Open House Co., Ltd.

     11,300        394,519  

Oracle Corp.

     22,800        1,790,539  

Persol Holdings Co., Ltd.

     21,400        498,665  

Pigeon Corp.

     16,700        570,439  

Ryohin Keikaku Co., Ltd.

     2,700        795,141  

Seiko Epson Corp.

     105,200        2,544,837  

Shimano, Inc.

     6,900        918,856  

Shionogi & Co., Ltd.

     43,100        2,355,156  

Square Enix Holdings Co., Ltd.

     17,200        646,347  

Start Today Co., Ltd.

     18,900        598,574  

Starts Corp., Inc.

     11,200        287,848  

Subaru Corp.

     210,300        7,585,111  

Sundrug Co., Ltd.

     10,900        451,241  

Sysmex Corp.

     5,800        369,955  

T-Gaia Corp.

     25,200        489,605  

Taiyo Holdings Co., Ltd.

     8,600        400,338  

TechnoPro Holdings, Inc.

     9,800        464,034  

Tokyo Electron Ltd.

     32,600        5,004,468  

Tokyo Steel Manufacturing Co., Ltd.

     32,400        266,822  

Trend Micro, Inc.

     46,700        2,298,388  

Tsuruha Holdings, Inc.

     4,400        525,741  

USS Co., Ltd.

     49,700        1,002,256  

Yahoo Japan Corp.(a)

     1,080,300        5,124,863  

Yamaha Motor Co., Ltd.

     46,300        1,386,141  

Zenkoku Hosho Co., Ltd.

     9,400        394,572  
     

 

 

 
Total Japan        73,287,202  
Netherlands – 2.2%  

ASML Holding N.V.

     50,062        8,525,349  

BE Semiconductor Industries N.V.

     5,152        358,437  

GrandVision N.V.(b)

     1,708        43,201  

Koninklijke Vopak N.V.

     29,456        1,292,102  

TKH Group N.V. CVA

     8,673        563,517  
     

 

 

 
Total Netherlands        10,782,606  
New Zealand – 0.4%  

Fisher & Paykel Healthcare Corp., Ltd.

     159,078      $ 1,469,668  

Mainfreight Ltd.

     41,879        754,436  
     

 

 

 
Total New Zealand        2,224,104  
Norway – 1.3%  

Borregaard ASA

     41,830        468,993  

Entra ASA(b)

     53,117        727,329  

Orkla ASA

     283,582        2,910,525  

Salmar ASA

     40,755        1,151,951  

Tomra Systems ASA

     44,029        660,963  

Veidekke ASA

     3,403        42,643  

XXL ASA(b)

     71,877        783,303  
     

 

 

 
Total Norway        6,745,707  
Portugal – 0.8%  

Jeronimo Martins, SGPS, S.A.

     196,277        3,872,723  
Singapore – 0.2%  

First Resources Ltd.

     342,500        476,693  

SIA Engineering Co., Ltd.

     178,600        459,011  
     

 

 

 
Total Singapore        935,704  
Spain – 4.2%  

Almirall S.A.

     4,965        50,537  

Amadeus IT Group S.A.

     85,539        5,560,817  

Atresmedia Corp. de Medios de Comunicacion S.A.

     35,296        370,952  

Cie Automotive S.A.

     15,176        405,289  

Industria de Diseno Textil S.A.

     355,903        13,415,560  

Prosegur Cia de Seguridad S.A.

     101,404        758,839  

Tecnicas Reunidas S.A.

     20,706        654,681  
     

 

 

 
Total Spain        21,216,675  
Sweden – 7.9%  

AAK AB

     6,656        502,726  

Assa Abloy AB Class B

     190,160        4,333,282  

Atlas Copco AB Class A

     144,661        6,112,649  

Atlas Copco AB Class B

     113,519        4,392,032  

Axfood AB

     17,245        295,151  

Boliden AB

     67,921        2,294,170  

Bonava AB Class B

     18,616        300,598  

Castellum AB

     51,561        807,304  

Clas Ohlson AB Class B

     35,508        656,883  

Fabege AB

     50,136        1,025,772  

Hemfosa Fastigheter AB

     75,776        960,853  

Hennes & Mauritz AB Class B

     184,209        4,761,876  

Hexpol AB

     56,737        595,706  

Indutrade AB

     24,733        651,175  

Intrum Justitia AB(a)

     31,157        1,099,342  

Investment AB Latour Class B

     138,493        1,871,493  

JM AB

     20,294        636,243  

Lifco AB Class B

     16,102        523,953  

Loomis AB Class B

     19,117        758,136  

Melker Schorling AB

     8,218        559,791  

Peab AB

     68,874        758,577  

Sandvik AB

     243,710        4,195,024  

Trelleborg AB Class B

     57,355        1,433,462  
     

 

 

 
Total Sweden        39,526,198  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      85  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Switzerland – 12.8%  

EMS-Chemie Holding AG Registered Shares

     6,021      $ 4,007,363  

Geberit AG Registered Shares

     8,596        4,069,685  

Givaudan S.A. Registered Shares

     2,147        4,675,206  

Oriflame Holding AG

     3,517        119,612  

Partners Group Holding AG

     7,287        4,947,870  

Roche Holding AG Bearer Shares

     35,062        8,932,186  

Roche Holding AG Genusschein

     112,824        28,823,990  

Schindler Holding AG Participation Certificate

     8,842        1,954,634  

Schindler Holding AG Registered Shares

     8,121        1,748,247  

Sonova Holding AG Registered Shares

     10,987        1,865,610  

Straumann Holding AG Registered Shares

     1,929        1,240,014  

Swatch Group AG (The) Bearer Shares

     3,162        1,316,302  

Temenos Group AG Registered Shares*

     7,376        753,151  
     

 

 

 
Total Switzerland        64,453,870  
United Kingdom – 23.6%  

Ashtead Group PLC

     75,758        1,828,516  

AVEVA Group PLC

     14,164        462,726  

Berkeley Group Holdings PLC

     22,725        1,133,276  

Brewin Dolphin Holdings PLC

     96,001        449,640  

British American Tobacco PLC

     277,385        17,387,013  

Burberry Group PLC

     56,320        1,329,886  

Coca-Cola European Partners PLC

     58,822        2,466,908  

Compass Group PLC

     210,168        4,463,614  

Crest Nicholson Holdings PLC

     78,263        580,659  

Croda International PLC

     30,068        1,530,124  

Dart Group PLC

     7,480        53,841  

Diageo PLC

     427,300        14,062,729  

Domino’s Pizza Group PLC

     62,035        258,177  

Dunelm Group PLC

     83,703        794,523  

easyJet PLC

     75,968        1,240,396  

Electrocomponents PLC

     51,440        428,580  

Greggs PLC

     44,942        751,896  

Halma PLC

     50,653        761,136  

Hargreaves Lansdown PLC

     22,242        441,646  

HomeServe PLC

     55,536        619,922  

Howden Joinery Group PLC

     8,561        49,504  

Ibstock PLC(b)

     109,181        333,541  

Jardine Lloyd Thompson Group PLC

     82,231        1,350,381  

Johnson Matthey PLC

     12,459        571,674  

Marshalls PLC

     24,410        142,789  

Mediclinic International PLC(a)

     62,666        546,493  

Merlin Entertainments PLC(b)

     136,779      $ 817,535  

Pagegroup PLC

     118,470        791,388  

Persimmon PLC

     93,719        3,246,557  

Reckitt Benckiser Group PLC

     97,715        8,931,796  

RELX PLC

     178,947        3,930,178  

Renishaw PLC

     24,989        1,596,867  

Sage Group PLC (The)

     176,487        1,653,934  

Savills PLC

     48,585        607,189  

Spirax-Sarco Engineering PLC

     4,960        367,666  

SuperGroup PLC

     24,125        549,920  

Taylor Wimpey PLC

     380,384        997,719  

Ted Baker PLC

     16,360        581,659  

Unilever N.V. CVA

     403,360        23,861,671  

Unilever PLC

     218,852        12,681,566  

Unite Group PLC (The)

     67,451        622,157  

Victrex PLC

     22,836        726,425  

WH Smith PLC

     35,138        952,758  

William Hill PLC

     309,298        1,047,383  

ZPG PLC(b)

     62,812        304,811  
     

 

 

 
Total United Kingdom        118,308,769  

TOTAL COMMON STOCKS

(Cost: $436,725,096)

 

 

     498,559,399  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.4%  
United States – 0.4%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(c)

     
(Cost: $2,270,062)(d)      2,270,062        2,270,062  

TOTAL INVESTMENTS IN SECURITIES – 99.8%

(Cost: $438,995,158)

 

 

     500,829,461  

Other Assets less Liabilities – 0.2%

        940,042  
     

 

 

 
NET ASSETS – 100.0%             $ 501,769,503  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $4,550,322 and the total market value of the collateral held by the Fund was $4,797,791. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,527,729.

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
 

Bank of America N.A.

    10/3/2017     6,133,669     AUD     4,813,912     USD     $     $ (1,130

Bank of America N.A.

    10/3/2017     12,980,739     CHF     13,414,996     USD       402        

Bank of America N.A.

    10/3/2017     44,182,780     DKK     7,018,583     USD       350        

Bank of America N.A.

    10/3/2017     24,268,643     EUR     28,689,540     USD       835        

Bank of America N.A.

    10/3/2017     14,019,606     GBP     18,808,843     USD       558        

Bank of America N.A.

    10/3/2017     2,465,839     ILS     697,975     USD       49        

Bank of America N.A.

    10/3/2017     11,455,086     NOK     1,438,955     USD       72        

 

See Notes to Financial Statements.

 

86   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2017

 

  

 

 

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 N.A.

    10/3/2017       577,545       NZD       417,495       USD     $ 12     $  

Bank of America N.A.

    10/3/2017       64,811,833       SEK       7,939,943       USD       397        

Bank of America N.A.

    10/3/2017       4,836,901       USD       6,100,635       AUD       50,039        

Bank of America N.A.

    10/3/2017       13,479,059       USD       12,926,930       CHF       119,272        

Bank of America N.A.

    10/3/2017       7,052,100       USD       44,121,746       DKK       42,863        

Bank of America N.A.

    10/3/2017       28,826,545       USD       24,204,746       EUR       211,710        

Bank of America N.A.

    10/3/2017       18,898,663       USD       14,650,524       GBP             (757,209

Bank of America N.A.

    10/3/2017       701,308       USD       2,512,975       ILS             (10,059

Bank of America N.A.

    10/3/2017       1,445,827       USD       11,241,914       NOK       33,580        

Bank of America N.A.

    10/3/2017       419,489       USD       586,039       NZD             (4,159

Bank of America N.A.

    10/3/2017       7,977,859       USD       63,369,889       SEK       214,177        

Bank of America N.A.

    10/4/2017       27,928,219       HKD       3,575,743       USD             (107

Bank of America N.A.

    10/4/2017       1,684,457,745       JPY       14,963,873       USD       1,151        

Bank of America N.A.

    10/4/2017       264,796       SGD       195,010       USD             (11

Bank of America N.A.

    10/4/2017       3,592,819       USD       28,095,665       HKD             (4,255

Bank of America N.A.

    10/4/2017       15,035,332       USD       1,652,479,212       JPY       354,411        

Bank of America N.A.

    10/4/2017       195,942       USD       266,038       SGD       29        

Bank of America N.A.

    11/2/2017       4,790,393       USD       6,105,951       AUD       967        

Bank of America N.A.

    11/2/2017       13,690,487       USD       13,221,095       CHF             (15

Bank of America N.A.

    11/2/2017       7,218,550       USD       45,366,522       DKK             (821

Bank of America N.A.

    11/2/2017       29,809,340       USD       25,176,233       EUR             (1,506

Bank of America N.A.

    11/2/2017       19,330,972       USD       14,395,042       GBP             (1,085

Bank of America N.A.

    11/2/2017       3,460,027       USD       27,005,327       HKD             (72

Bank of America N.A.

    11/2/2017       709,345       USD       2,503,525       ILS             (72

Bank of America N.A.

    11/2/2017       1,438,210       USD       11,441,716       NOK             (91

Bank of America N.A.

    11/2/2017       440,878       USD       610,264       NZD             (16

Bank of America N.A.

    11/2/2017       8,350,411       USD       68,052,994       SEK             (799

Bank of America N.A.

    11/3/2017       195,440       USD       265,301       SGD       4        

Bank of America N.A.

    11/6/2017       15,478,873       USD       1,739,915,102       JPY             (1,646

Barclays Bank PLC

    10/3/2017       6,134,951       AUD       4,813,912       USD             (124

Barclays Bank PLC

    10/3/2017       12,980,618       CHF       13,414,996       USD       277        

Barclays Bank PLC

    10/3/2017       44,181,699       DKK       7,018,583       USD       178        

Barclays Bank PLC

    10/3/2017       24,268,540       EUR       28,689,540       USD       713        

Barclays Bank PLC

    10/3/2017       14,019,501       GBP       18,808,843       USD       417        

Barclays Bank PLC

    10/3/2017       2,465,729       ILS       697,975       USD       18        

Barclays Bank PLC

    10/3/2017       11,454,801       NOK       1,438,955       USD       36        

Barclays Bank PLC

    10/3/2017       577,544       NZD       417,495       USD       12        

Barclays Bank PLC

    10/3/2017       64,810,182       SEK       7,939,943       USD       195        

Barclays Bank PLC

    10/4/2017       27,928,341       HKD       3,575,743       USD             (92

Barclays Bank PLC

    10/4/2017       1,684,453,255       JPY       14,963,873       USD       1,111        

Barclays Bank PLC

    10/4/2017       264,808       SGD       195,010       USD             (2

Barclays Bank PLC

    11/2/2017       4,790,393       USD       6,107,079       AUD       81        

Barclays Bank PLC

    11/2/2017       13,690,487       USD       13,221,697       CHF             (639

Barclays Bank PLC

    11/2/2017       7,218,550       USD       45,363,714       DKK             (374

Barclays Bank PLC

    11/2/2017       29,809,340       USD       25,175,893       EUR             (1,103

Barclays Bank PLC

    11/2/2017       19,330,972       USD       14,394,892       GBP             (884

Barclays Bank PLC

    11/2/2017       3,460,027       USD       27,004,646       HKD       16        

Barclays Bank PLC

    11/2/2017       709,345       USD       2,503,754       ILS             (137

Barclays Bank PLC

    11/2/2017       1,438,210       USD       11,441,559       NOK             (71
Barclays Bank PLC     11/2/2017       440,878       USD       610,269       NZD             (20
Barclays Bank PLC     11/2/2017       8,350,411       USD       68,049,670       SEK             (392
Barclays Bank PLC     11/3/2017       195,440       USD       265,347       SGD             (30
Barclays Bank PLC     11/6/2017       15,478,873       USD       1,739,899,623       JPY             (1,508
Citibank N.A.     10/3/2017       139,028       AUD       109,469       USD             (380
Citibank N.A.     10/3/2017       6,135,232       AUD       4,813,912       USD       97        
Citibank N.A.     10/3/2017       295,973       CHF       305,059       USD       825        
Citibank N.A.     10/3/2017       12,980,739       CHF       13,414,996       USD       402        
Citibank N.A.     10/3/2017       1,008,767       DKK       159,603       USD       651        

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      87  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
    Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 
Citibank N.A.     10/3/2017       44,182,787       DKK       7,018,583       USD     $ 351     $  
Citibank N.A.     10/3/2017       554,253       EUR       652,403       USD       2,835        
Citibank N.A.     10/3/2017       24,268,643       EUR       28,689,540       USD       835        
Citibank N.A.     10/3/2017       318,660       GBP       427,715       USD             (184
Citibank N.A.     10/3/2017       14,019,606       GBP       18,808,843       USD       558        
Citibank N.A.     10/3/2017       56,012       ILS       15,872       USD             (16
Citibank N.A.     10/3/2017       2,465,790       ILS       697,975       USD       35        
Citibank N.A.     10/3/2017       258,626       NOK       32,722       USD             (233
Citibank N.A.     10/3/2017       11,454,857       NOK       1,438,955       USD       43        
Citibank N.A.     10/3/2017       13,217       NZD       9,494       USD       61        
Citibank N.A.     10/3/2017       577,546       NZD       417,495       USD       13        
Citibank N.A.     10/3/2017       1,470,433       SEK       180,555       USD             (407
Citibank N.A.     10/3/2017       64,810,539       SEK       7,939,943       USD       238        
Citibank N.A.     10/3/2017       4,836,901       USD       6,100,105       AUD       50,456        
Citibank N.A.     10/3/2017       13,479,059       USD       12,929,262       CHF       116,862        
Citibank N.A.     10/3/2017       7,052,100       USD       44,045,907       DKK       54,911        
Citibank N.A.     10/3/2017       28,826,545       USD       24,209,421       EUR       206,182        
Citibank N.A.     10/3/2017       18,898,663       USD       14,651,955       GBP             (759,129
Citibank N.A.     10/3/2017       701,308       USD       2,512,816       ILS             (10,014
Citibank N.A.     10/3/2017       1,445,827       USD       11,241,020       NOK       33,692        
Citibank N.A.     10/3/2017       419,489       USD       586,019       NZD             (4,144
Citibank N.A.     10/3/2017       7,977,859       USD       63,381,880       SEK       212,708        
Citibank N.A.     10/4/2017       635,144       HKD       81,313       USD       4        
Citibank N.A.     10/4/2017       27,927,658       HKD       3,575,743       USD             (179
Citibank N.A.     10/4/2017       38,183,499       JPY       340,280       USD             (1,051
Citibank N.A.     10/4/2017       1,684,369,458       JPY       14,963,873       USD       367        
Citibank N.A.     10/4/2017       6,015       SGD       4,435       USD             (5
Citibank N.A.     10/4/2017       264,796       SGD       195,010       USD             (11
Citibank N.A.     10/4/2017       3,592,819       USD       28,094,063       HKD             (4,050
Citibank N.A.     10/4/2017       15,035,332       USD       1,652,476,205       JPY       354,438        
Citibank N.A.     10/4/2017       195,942       USD       266,013       SGD       46        
Citibank N.A.     11/2/2017       4,790,393       USD       6,107,422       AUD             (187
Citibank N.A.     11/2/2017       13,690,487       USD       13,221,684       CHF             (625
Citibank N.A.     11/2/2017       7,218,550       USD       45,364,436       DKK             (489
Citibank N.A.     11/2/2017       29,809,340       USD       25,176,276       EUR             (1,556
Citibank N.A.     11/2/2017       19,330,972       USD       14,394,838       GBP             (812
Citibank N.A.     11/2/2017       3,460,027       USD       27,003,673       HKD       140        
Citibank N.A.     11/2/2017       709,345       USD       2,503,665       ILS             (112
Citibank N.A.     11/2/2017       1,438,210       USD       11,441,381       NOK             (49
Citibank N.A.     11/2/2017       440,878       USD       610,263       NZD             (15
Citibank N.A.     11/2/2017       8,350,411       USD       68,049,629       SEK             (386
Citibank N.A.     11/3/2017       195,440       USD       265,295       SGD       8        
Citibank N.A.     11/6/2017       15,478,873       USD       1,739,800,559       JPY             (627
Credit Suisse International     10/3/2017       4,674,046       AUD       3,667,747       USD             (258
Credit Suisse International     10/3/2017       9,890,040       CHF       10,220,954       USD       253        
Credit Suisse International     10/3/2017       33,662,251       DKK       5,347,495       USD       133        
Credit Suisse International     10/3/2017       18,490,319       EUR       21,858,700       USD       543        
Credit Suisse International     10/3/2017       10,681,557       GBP       14,330,548       USD       361        
Credit Suisse International     10/3/2017       1,878,703       ILS       531,792       USD       27        
Credit Suisse International     10/3/2017       8,727,485       NOK       1,096,349       USD       27        
Credit Suisse International     10/3/2017       440,039       NZD       318,096       USD       8        

Credit Suisse International

    10/3/2017       49,379,224       SEK       6,049,482       USD       151        

Credit Suisse International

    10/3/2017       4,836,901       USD       6,100,651       AUD       50,027        

Credit Suisse International

    10/3/2017       13,479,059       USD       12,930,246       CHF       115,845        

Credit Suisse International

    10/3/2017       7,052,100       USD       44,042,191       DKK       55,501        

Credit Suisse International

    10/3/2017       28,826,545       USD       24,209,746       EUR       205,798        

Credit Suisse International

    10/3/2017       18,898,663       USD       14,652,035       GBP             (759,236

Credit Suisse International

    10/3/2017       701,308       USD       2,512,556       ILS             (9,940

 

See Notes to Financial Statements.

 

88   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
    Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 

Credit Suisse International

    10/3/2017       1,445,827       USD       11,241,441       NOK     $ 33,639     $  

Credit Suisse International

    10/3/2017       419,489       USD       586,021       NZD             (4,146

Credit Suisse International

    10/3/2017       7,977,859       USD       63,386,076       SEK       212,194        

Credit Suisse International

    10/4/2017       21,278,226       HKD       2,724,377       USD             (136

Credit Suisse International

    10/4/2017       1,283,299,682       JPY       11,401,048       USD       16        

Credit Suisse International

    10/4/2017       201,754       SGD       148,583       USD             (9

Credit Suisse International

    10/4/2017       3,592,819       USD       28,097,178       HKD             (4,449

Credit Suisse International

    10/4/2017       15,035,332       USD       1,652,506,276       JPY       354,171        

Credit Suisse International

    10/4/2017       195,942       USD       266,021       SGD       41        

Credit Suisse International

    11/2/2017       3,649,827       USD       4,653,196       AUD             (78

Credit Suisse International

    11/2/2017       10,430,848       USD       10,073,894       CHF             (714

Credit Suisse International

    11/2/2017       5,499,851       USD       34,564,677       DKK             (576

Credit Suisse International

    11/2/2017       22,711,879       USD       19,182,006       EUR             (1,282

Credit Suisse International

    11/2/2017       14,728,364       USD       10,967,695       GBP             (882

Credit Suisse International

    11/2/2017       2,636,214       USD       20,574,620       HKD       60        

Credit Suisse International

    11/2/2017       540,457       USD       1,907,563       ILS             (84

Credit Suisse International

    11/2/2017       1,095,782       USD       8,717,493       NOK             (66

Credit Suisse International

    11/2/2017       335,909       USD       464,993       NZD             (32

Credit Suisse International

    11/2/2017       6,362,222       USD       51,849,272       SEK             (528

Credit Suisse International

    11/3/2017       148,909       USD       202,135       SGD       4        

Credit Suisse International

    11/6/2017       11,793,430       USD       1,325,567,379       JPY             (519

Goldman Sachs

    10/3/2017       6,134,810       AUD       4,813,912       USD             (235

Goldman Sachs

    10/3/2017       12,980,672       CHF       13,414,996       USD       333        

Goldman Sachs

    10/3/2017       44,181,678       DKK       7,018,583       USD       175        

Goldman Sachs

    10/3/2017       24,268,520       EUR       28,689,540       USD       689        

Goldman Sachs

    10/3/2017       14,019,532       GBP       18,808,843       USD       459        

Goldman Sachs

    10/3/2017       2,465,728       ILS       697,975       USD       17        

Goldman Sachs

    10/3/2017       11,454,800       NOK       1,438,955       USD       36        

Goldman Sachs

    10/3/2017       577,542       NZD       417,495       USD       10        

Goldman Sachs

    10/3/2017       64,810,213       SEK       7,939,943       USD       198        

Goldman Sachs

    10/3/2017       4,836,901       USD       6,100,166       AUD       50,407        

Goldman Sachs

    10/3/2017       13,479,059       USD       12,929,612       CHF       116,500        

Goldman Sachs

    10/3/2017       7,052,100       USD       44,049,680       DKK       54,311        

Goldman Sachs

    10/3/2017       28,826,545       USD       24,209,340       EUR       206,278        

Goldman Sachs

    10/3/2017       18,898,663       USD       14,651,864       GBP             (759,007

Goldman Sachs

    10/3/2017       701,308       USD       2,512,993       ILS             (10,064

Goldman Sachs

    10/3/2017       1,445,827       USD       11,241,517       NOK       33,629        

Goldman Sachs

    10/3/2017       419,489       USD       586,014       NZD             (4,140

Goldman Sachs

    10/3/2017       7,977,859       USD       63,383,236       SEK       212,542        

Goldman Sachs

    10/4/2017       27,928,359       HKD       3,575,743       USD             (89

Goldman Sachs

    10/4/2017       1,684,358,983       JPY       14,963,873       USD       273        

Goldman Sachs

    10/4/2017       264,804       SGD       195,010       USD             (5

Goldman Sachs

    10/4/2017       3,592,819       USD       28,095,496       HKD             (4,233

Goldman Sachs

    10/4/2017       15,035,332       USD       1,652,476,205       JPY       354,438        

Goldman Sachs

    10/4/2017       195,942       USD       266,023       SGD       40        

Goldman Sachs

    11/2/2017       4,790,393       USD       6,107,040       AUD       112        

Goldman Sachs

    11/2/2017       13,690,487       USD       13,221,752       CHF             (696

Goldman Sachs

    11/2/2017       7,218,550       USD       45,364,284       DKK             (465

Goldman Sachs

    11/2/2017       29,809,340       USD       25,175,808       EUR             (1,002

Goldman Sachs

    11/2/2017       19,330,972       USD       14,394,634       GBP             (538

Goldman Sachs

    11/2/2017       3,460,027       USD       27,004,649       HKD       15        

Goldman Sachs

    11/2/2017       709,345       USD       2,503,374       ILS             (29

Goldman Sachs

    11/2/2017       1,438,210       USD       11,441,311       NOK             (40

Goldman Sachs

    11/2/2017       440,878       USD       610,256       NZD             (10

Goldman Sachs

    11/2/2017       8,350,411       USD       68,049,295       SEK             (345

Goldman Sachs

    11/3/2017       195,440       USD       265,305       SGD       1        

Goldman Sachs

    11/6/2017       15,478,873       USD       1,739,777,340       JPY             (420

Morgan Stanley & Co. International

    10/3/2017       3,685,260       USD       4,647,742       AUD       38,410        

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      89  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2017

 

  

 

 

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

    10/3/2017       10,269,761       USD       9,851,299       CHF     $ 88,592     $  

Morgan Stanley & Co. International

    10/3/2017       5,373,030       USD       33,561,976       DKK       41,331        

Morgan Stanley & Co. International

    10/3/2017       21,963,083       USD       18,445,197       EUR       157,183        

Morgan Stanley & Co. International

    10/3/2017       14,398,983       USD       11,163,361       GBP             (578,338

Morgan Stanley & Co. International

    10/3/2017       534,332       USD       1,914,692       ILS             (7,675

Morgan Stanley & Co. International

    10/3/2017       1,101,583       USD       8,565,009       NOK       25,617        

Morgan Stanley & Co. International

    10/3/2017       319,614       USD       446,500       NZD             (3,161

Morgan Stanley & Co. International

    10/3/2017       6,078,373       USD       48,292,072       SEK       161,931        

Morgan Stanley & Co. International

    10/4/2017       2,737,386       USD       21,406,517       HKD             (3,280

Morgan Stanley & Co. International

    10/4/2017       11,455,492       USD       1,259,041,050       JPY       269,946        
Morgan Stanley & Co. International     10/4/2017       149,290       USD       202,685       SGD       30        
                                            $ 4,912,992     $ (3,729,797

 

CURRENCY LEGEND

AUD – Australian dollar

CHF – Swiss franc

DKK – Danish krone

EUR – Euro

GBP – British pound

HKD – Hong Kong dollar

ILS – Israeli New shekel

JPY – Japanese yen

NOK – Norwegian krone

NZD – New Zealand dollar

SEK – Swedish krona

SGD – Singapore dollar

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

90   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International High Dividend Fund (DTH)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
Australia – 8.9%      

Adelaide Brighton Ltd.(a)

     23,225      $ 106,243  

AGL Energy Ltd.

     20,010        366,929  

Alumina Ltd.

     135,046        233,120  

Amcor Ltd.

     38,015        453,691  

AMP Ltd.

     104,168        394,782  

ASX Ltd.

     4,428        182,164  

Aurizon Holdings Ltd.

     105,383        405,175  

Australia & New Zealand Banking Group Ltd.

     99,664        2,314,759  

Bank of Queensland Ltd.

     22,036        224,431  

Bendigo & Adelaide Bank Ltd.

     23,042        209,908  

BHP Billiton Ltd.

     97,444        1,971,124  

Blackmores Ltd.(a)

     912        84,441  

Brickworks Ltd.

     15,301        162,200  

Caltex Australia Ltd.

     9,658        243,259  

carsales.com Ltd.

     13,656        137,476  

Coca-Cola Amatil Ltd.

     38,467        233,316  

Commonwealth Bank of Australia

     52,882        3,122,412  

Crown Resorts Ltd.

     41,465        367,976  

CSR Ltd.

     39,306        145,880  

DuluxGroup Ltd.

     18,752        102,996  

Event Hospitality and Entertainment Ltd.

     11,782        115,929  

Fairfax Media Ltd.

     108,221        80,245  

Flight Centre Travel Group Ltd.(a)

     6,020        212,609  

Fortescue Metals Group Ltd.

     206,453        832,646  

Genworth Mortgage Insurance Australia Ltd.

     45,240        99,038  

Harvey Norman Holdings Ltd.(a)

     111,926        340,752  

Healthscope Ltd.

     100,424        131,592  

Insurance Australia Group Ltd.

     58,465        292,221  

IOOF Holdings Ltd.

     12,867        112,571  

JB Hi-Fi Ltd.(a)

     9,961        179,140  

Macquarie Group Ltd.

     11,028        786,741  

Magellan Financial Group Ltd.

     4,262        82,133  

Medibank Pvt Ltd.

     70,339        161,159  

Mineral Resources Ltd.

     10,285        131,220  

MYOB Group Ltd.(a)

     38,323        103,441  

National Australia Bank Ltd.

     104,993        2,595,056  

Nick Scali Ltd.

     12,354        62,717  

Orora Ltd.

     61,794        150,309  

Pact Group Holdings Ltd.

     18,796        77,281  

Platinum Asset Management Ltd.(a)

     32,602        155,022  

QBE Insurance Group Ltd.

     36,457        286,346  

Regis Healthcare Ltd.(a)

     26,626        72,704  

Regis Resources Ltd.

     32,661        92,259  

Rio Tinto Ltd.

     15,108        788,679  

Sonic Healthcare Ltd.

     15,450        253,489  

Suncorp Group Ltd.

     40,036        409,956  

Tabcorp Holdings Ltd.

     58,511        196,038  

Tatts Group Ltd.

     95,962        299,680  

Telstra Corp., Ltd.

     830,991        2,275,609  

Vocus Group Ltd.(a)

     33,182        62,227  

Washington H Soul Pattinson & Co., Ltd.(a)

     12,584        157,293  

Wesfarmers Ltd.

     53,093        1,721,783  

Westpac Banking Corp.

     122,792      $ 3,075,451  

Woodside Petroleum Ltd.

     41,042        937,125  
     

 

 

 
Total Australia               28,792,743  
Austria – 0.3%      

Erste Group Bank AG*

     8,628        372,760  

EVN AG

     7,185        112,250  

Oesterreichische Post AG

     3,794        175,194  

UNIQA Insurance Group AG

     17,592        184,347  
     

 

 

 
Total Austria               844,551  
Belgium – 3.1%  

Ageas

     8,171        384,072  

Anheuser-Busch InBev S.A.

     59,172        7,086,249  

bpost S.A.

     13,678        406,679  

Elia System Operator S.A./N.V.

     2,886        167,145  

KBC Group N.V.

     10,529        892,477  

Proximus SADP

     14,916        514,110  

Solvay S.A.

     3,320        496,108  
     

 

 

 
Total Belgium               9,946,840  
China – 3.7%  

China Jinmao Holdings Group Ltd.

     342,000        172,079  

China Mobile Ltd.

     631,500        6,399,327  

China Overseas Land & Investment Ltd.

     220,000        715,429  

China Power International Development Ltd.

     357,000        117,466  

China Resources Power Holdings Co., Ltd.

     234,000        422,420  

China South City Holdings Ltd.

     648,000        185,008  

CITIC Telecom International Holdings Ltd.

     209,000        60,206  

CNOOC Ltd.

     1,843,000        2,378,460  

Guangdong Investment Ltd.

     190,000        270,987  

Lenovo Group Ltd.

     520,000        286,940  

Shanghai Industrial Holdings Ltd.

     30,000        90,837  

Shenzhen Investment Ltd.

     410,000        185,822  

Sino-Ocean Group Holding Ltd.

     266,500        177,764  

Sun Art Retail Group Ltd.

     274,500        254,795  

Yangzijiang Shipbuilding Holdings Ltd.

     172,200        181,337  

Yuexiu Property Co., Ltd.

     748,000        152,268  
     

 

 

 
Total China               12,051,145  
Denmark – 0.4%  

Danske Bank A/S

     22,160        886,428  

Scandinavian Tobacco Group A/S Class A(b)

     7,072        125,491  

Spar Nord Bank A/S

     9,656        120,263  

Tryg A/S

     15,501        358,049  
     

 

 

 
Total Denmark               1,490,231  
Finland – 2.1%  

DNA Oyj

     8,129        142,229  

Elisa Oyj

     8,555        368,341  

Fortum Oyj

     69,034        1,378,426  

Kesko Oyj Class B

     3,760        201,673  

Kone Oyj Class B

     16,206        858,311  

Neste Oyj

     10,317        450,670  

Nokia Oyj

     173,524        1,042,111  

Nokian Renkaat Oyj

     6,424        285,779  

Raisio Oyj Class V

     32,796        142,291  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      91  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International High Dividend Fund (DTH)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Sampo Oyj Class A

     17,201      $ 909,382  

Stora Enso Oyj Class R

     21,918        309,642  

Tieto Oyj

     5,099        155,463  

UPM-Kymmene Oyj

     20,363        551,997  
     

 

 

 
Total Finland               6,796,315  
France – 10.9%      

Amundi S.A.(b)

     4,817        400,448  

AXA S.A.

     70,949        2,146,383  

BNP Paribas S.A.

     31,786        2,564,657  

Bouygues S.A.

     16,721        793,667  

Carrefour S.A.

     24,513        495,400  

Casino Guichard Perrachon S.A.

     7,493        444,506  

CNP Assurances

     20,395        478,120  

Credit Agricole S.A.

     76,025        1,382,304  

Electricite de France S.A.(a)

     217,494        2,641,921  

Engie S.A.

     172,389        2,928,580  

Eutelsat Communications S.A.

     11,685        346,179  

Gaztransport Et Technigaz S.A.(a)

     4,536        246,673  

Lagardere SCA

     8,187        274,148  

Metropole Television S.A.

     7,562        174,907  

Natixis S.A.

     117,034        936,681  

Neopost S.A.

     2,379        92,474  

Orange S.A.

     103,493        1,695,762  

Renault S.A.

     11,555        1,135,309  

Sanofi

     43,511        4,321,363  

Schneider Electric SE*

     18,835        1,639,499  

SCOR SE

     6,639        278,430  

Societe BIC S.A.

     1,914        229,441  

Societe Generale S.A.

     23,003        1,347,061  

Suez

     24,492        447,201  

TOTAL S.A.

     131,885        7,085,528  

Unibail-Rodamco SE

     1,681        408,882  

Veolia Environnement S.A.

     24,777        572,646  
     

 

 

 
Total France               35,508,170  
Germany – 8.8%      

Allianz SE Registered Shares

     11,592        2,603,085  

AURELIUS Equity Opportunities SE & Co. KGaA(a)

     1,831        120,439  

Axel Springer SE

     4,833        310,647  

BASF SE

     31,044        3,304,486  

Bayerische Motoren Werke AG

     25,094        2,546,242  

CECONOMY AG

     12,019        141,563  

Daimler AG Registered Shares

     53,655        4,279,683  

Deutsche Lufthansa AG Registered Shares

     13,595        377,853  

Deutsche Post AG Registered Shares

     40,707        1,812,583  

Deutsche Telekom AG Registered Shares

     159,819        2,982,385  

Evonik Industries AG

     18,007        643,319  

Freenet AG

     8,313        278,023  

Hannover Rueck SE

     3,427        413,040  

Hugo Boss AG(a)

     3,134        276,357  

Innogy SE(b)

     24,279        1,080,797  

MAN SE

     4,629        522,560  

Muenchener Rueckversicherungs - Gesellschaft AG Registered Shares

     4,597        983,114  

ProSiebenSat.1 Media SE

     13,435      $ 457,982  

Siemens AG Registered Shares

     23,738        3,345,115  

Talanx AG

     7,272        294,059  

Telefonica Deutschland Holding AG

     171,331        961,695  

TUI AG

     31,202        530,435  

Uniper SE

     11,877        325,751  
     

 

 

 
Total Germany               28,591,213  
Hong Kong – 2.2%      

BOC Hong Kong Holdings Ltd.

     181,047        879,657  

CLP Holdings Ltd.

     59,000        604,677  

Hang Lung Properties Ltd.

     151,000        358,424  

Hang Seng Bank Ltd.

     30,318        739,056  

Henderson Land Development Co., Ltd.

     86,000        569,795  

Hopewell Holdings Ltd.

     31,000        120,655  

Hysan Development Co., Ltd.

     46,000        216,434  

I-CABLE Communications Ltd.*

     17,193        561  

Kowloon Development Co., Ltd.

     175,000        196,941  

New World Development Co., Ltd.

     306,666        440,523  

PCCW Ltd.

     420,380        227,663  

Power Assets Holdings Ltd.

     72,018        623,762  

Sino Land Co., Ltd.

     196,000        344,287  

SJM Holdings Ltd.

     169,000        154,704  

Sun Hung Kai Properties Ltd.

     59,000        958,570  

Swire Pacific Ltd. Class B

     135,000        234,025  

Television Broadcasts Ltd.

     23,300        77,411  

Wharf Holdings Ltd. (The)

     62,000        552,473  
     

 

 

 
Total Hong Kong               7,299,618  
Ireland – 0.1%      

C&C Group PLC

     32,683        117,845  

Smurfit Kappa Group PLC

     8,263        258,866  
     

 

 

 
Total Ireland               376,711  
Israel – 0.6%      

Amot Investments Ltd.

     41,742        232,071  

B Communications Ltd.*

     6,011        85,811  

Bezeq Israeli Telecommunication Corp., Ltd.

     177,543        253,855  

Delek Automotive Systems Ltd.

     17,906        133,816  

Israel Chemicals Ltd.

     45,221        200,720  

Oil Refineries Ltd.

     273,662        137,040  

Sella Capital Real Estate Ltd.

     117,985        235,095  

Teva Pharmaceutical Industries Ltd.

     47,751        834,825  
     

 

 

 
Total Israel               2,113,233  
Italy – 4.1%      

A2A SpA

     120,674        207,571  

ACEA SpA

     9,885        153,321  

Ascopiave SpA

     22,299        92,425  

Assicurazioni Generali SpA

     52,716        982,176  

Atlantia SpA

     31,108        982,283  

Azimut Holding SpA

     6,233        134,846  

Banca Generali SpA

     3,553        123,280  

Banca Mediolanum SpA

     27,419        239,869  

Ei Towers SpA

     1,505        89,049  

Enav SpA(b)

     32,098        147,080  

 

See Notes to Financial Statements.

 

92   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International High Dividend Fund (DTH)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Enel SpA

     497,192      $ 2,994,740  

Eni SpA

     208,187        3,445,660  

ERG SpA

     8,815        140,789  

FinecoBank Banca Fineco SpA

     17,897        158,684  

Hera SpA

     49,435        155,456  

Intesa Sanpaolo SpA RSP

     52,733        174,555  

Iren SpA

     43,118        115,711  

Italgas SpA

     37,173        208,743  

MARR SpA

     4,003        105,531  

Poste Italiane SpA(b)

     49,956        367,931  

Saras SpA

     48,736        130,672  

Snam SpA

     182,900        881,330  

Societa Iniziative Autostradali e Servizi SpA

     11,045        176,405  

Telecom Italia SpA RSP

     249,691        187,737  

Terna Rete Elettrica Nazionale SpA

     76,286        445,696  

Tod’s SpA(a)

     1,378        97,663  

UnipolSai Assicurazioni SpA

     130,115        303,952  
     

 

 

 
Total Italy        13,243,155  
Japan – 9.1%  

Aida Engineering Ltd.

     11,500        135,673  

Amada Holdings Co., Ltd.

     16,300        178,834  

Aozora Bank Ltd.

     3,600        136,881  

Bridgestone Corp.

     22,000        997,930  

Canon, Inc.

     47,700        1,629,339  

Chugoku Electric Power Co., Inc. (The)(a)

     17,700        187,905  

Daito Trust Construction Co., Ltd.

     2,000        364,234  

Daiwa Securities Group, Inc.

     46,000        260,434  

Dexerials Corp.

     8,900        108,794  

Fields Corp.(a)

     6,600        65,669  

Heiwa Corp.(a)

     4,900        97,116  

Hokuriku Electric Power Co.(a)

     12,100        101,474  

ITOCHU Corp.

     56,900        931,610  

Japan Post Holdings Co., Ltd.(a)

     98,500        1,162,941  

Japan Tobacco, Inc.

     60,400        1,978,903  

Konica Minolta, Inc.(a)

     23,800        195,364  

Kuroda Electric Co., Ltd.

     8,600        149,897  

Lawson, Inc.

     2,800        185,315  

Leopalace21 Corp.

     20,500        142,780  

Marubeni Corp.

     63,700        434,891  

Matsui Securities Co., Ltd.(a)

     10,500        79,101  

Mitsubishi Corp.

     56,500        1,312,804  

Mitsui & Co., Ltd.

     67,800        1,001,656  

Mizuho Financial Group, Inc.

     565,600        990,359  

MS&AD Insurance Group Holdings, Inc.

     11,800        379,793  

Nippon Commercial Development Co., Ltd.(a)

     6,400        97,736  

Nissan Motor Co., Ltd.

     184,100        1,822,764  

Nomura Holdings, Inc.

     72,500        405,766  

North Pacific Bank Ltd.

     30,700        97,092  

NSK Ltd.

     19,500        262,795  

Onward Holdings Co., Ltd.

     12,000        91,147  

Resona Holdings, Inc.

     47,700        244,930  

Ricoh Co., Ltd.

     32,100        311,974  

Sankyo Co., Ltd.

     4,700        149,896  

Sanrio Co., Ltd.(a)

     5,700      $ 108,111  

Sekisui House Ltd.

     23,000        387,505  

Senko Group Holdings Co., Ltd.

     18,200        129,671  

Showa Shell Sekiyu K.K.

     15,400        177,169  

SKY Perfect JSAT Holdings, Inc.(a)

     23,300        104,117  

Sony Financial Holdings, Inc.

     9,600        157,434  

Star Micronics Co., Ltd.

     7,100        122,239  

Subaru Corp.

     30,000        1,082,041  

Sumitomo Corp.

     46,600        670,032  

Sumitomo Mitsui Financial Group, Inc.

     29,700        1,139,821  

Sumitomo Mitsui Trust Holdings, Inc.

     8,500        306,654  

Sumitomo Rubber Industries Ltd.

     9,000        164,865  

Takaoka Toko Co., Ltd.

     5,900        105,248  

Takeda Pharmaceutical Co., Ltd.

     24,300        1,341,449  

Toyota Motor Corp.

     116,600        6,950,526  
     

 

 

 
Total Japan        29,640,679  
Netherlands – 1.8%  

ABN AMRO Group N.V. CVA(b)

     22,139        663,216  

Aegon N.V.

     80,353        468,127  

ASR Nederland N.V.

     3,883        155,365  

BE Semiconductor Industries N.V.

     1,671        116,255  

Beter Bed Holding N.V.

     4,467        84,626  

Boskalis Westminster

     6,455        225,690  

Corbion N.V.

     3,007        96,870  

Euronext N.V.(b)

     2,046        124,543  

ING Groep N.V.

     98,656        1,819,445  

Koninklijke KPN N.V.

     139,714        479,818  

NN Group N.V.

     10,059        421,087  

Philips Lighting N.V.(b)

     5,119        206,665  

Randstad Holding N.V.

     7,049        436,166  

Steinhoff International Holdings N.V.

     142,694        636,309  
     

 

 

 
Total Netherlands        5,934,182  
New Zealand – 0.9%  

Air New Zealand Ltd.

     91,432        222,744  

Auckland International Airport Ltd.

     38,635        179,864  

Chorus Ltd.

     38,070        107,882  

Contact Energy Ltd.

     42,022        167,077  

EBOS Group Ltd.

     8,553        105,914  

Fletcher Building Ltd.

     44,078        254,593  

Genesis Energy Ltd.

     110,644        191,163  

Investore Property Ltd.(a)

     383,127        371,130  

Mercury NZ Ltd.

     71,435        175,061  

Meridian Energy Ltd.

     120,907        248,664  

SKYCITY Entertainment Group Ltd.

     43,753        118,609  

Spark New Zealand Ltd.

     123,662        326,293  

Trade Me Group Ltd.

     25,121        82,991  

Trustpower Ltd.

     35,304        140,112  

Vector Ltd.(a)

     69,209        163,602  
     

 

 

 
Total New Zealand               2,855,699  
Norway – 2.7%      

Aker ASA Class A

     4,020        165,137  

Atea ASA*

     11,108        146,520  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      93  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International High Dividend Fund (DTH)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Austevoll Seafood ASA

     13,867      $ 144,588  

Borregaard ASA

     8,241        92,397  

DNB ASA

     41,275        832,209  

Europris ASA(b)

     27,912        134,295  

Gjensidige Forsikring ASA

     16,683        290,474  

Marine Harvest ASA*

     36,430        720,793  

Orkla ASA

     32,475        333,305  

Salmar ASA

     7,732        218,547  

Statoil ASA

     166,728        3,336,529  

Telenor ASA

     86,358        1,826,902  

Yara International ASA

     9,847        441,243  
     

 

 

 
Total Norway               8,682,939  
Portugal – 0.7%      

CTT-Correios de Portugal S.A.

     20,870        125,780  

EDP – Energias de Portugal S.A.

     181,354        682,853  

Galp Energia, SGPS, S.A.

     30,943        548,529  

Jeronimo Martins, SGPS, S.A.

     20,327        401,070  

Navigator Co. S.A. (The)

     49,395        240,820  

REN – Redes Energeticas Nacionais, SGPS, S.A.

     56,380        183,561  

Sonae, SGPS, S.A.

     135,626        163,704  
     

 

 

 
Total Portugal               2,346,317  
Singapore – 2.1%      

Accordia Golf Trust

     259,900        139,716  

Bukit Sembawang Estates Ltd.

     33,300        155,226  

ComfortDelGro Corp., Ltd.

     117,400        179,824  

DBS Group Holdings Ltd.

     43,700        670,006  

Frasers Centrepoint Ltd.(a)

     251,500        387,080  

Hutchison Port Holdings Trust

     936,823        402,834  

Keppel Corp., Ltd.

     69,900        334,071  

M1 Ltd.(a)

     65,600        85,988  

Olam International Ltd.

     105,000        156,191  

Oversea-Chinese Banking Corp., Ltd.

     73,447        603,607  

SATS Ltd.

     34,500        117,121  

Singapore Airlines Ltd.

     46,300        342,319  

Singapore Exchange Ltd.

     20,200        109,929  

Singapore Post Ltd.(a)

     137,500        126,569  

Singapore Technologies Engineering Ltd.

     138,600        351,106  

Singapore Telecommunications Ltd.

     698,200        1,892,099  

StarHub Ltd.(a)

     132,400        253,500  

United Overseas Bank Ltd.

     26,550        459,461  
     

 

 

 
Total Singapore               6,766,647  
Spain – 5.3%      

Abertis Infraestructuras S.A.

     40,714        823,058  

Acciona S.A.

     2,147        172,723  

Acerinox S.A.(a)

     12,301        177,415  

ACS Actividades de Construccion y Servicios S.A.

     11,126        412,417  

Atresmedia Corp. de Medios de Comunicacion S.A.

     12,979        136,406  

Banco Bilbao Vizcaya Argentaria S.A.

     195,107        1,743,985  

Banco Santander S.A.

     321,536        2,245,367  

Bolsas y Mercados Espanoles SHMSF S.A.

     3,081        106,357  

CaixaBank S.A.

     116,495        583,934  

Cia de Distribucion Integral Logista Holdings S.A.

     5,307        127,643  

Distribuidora Internacional de Alimentacion S.A.

     24,991      $ 145,801  

Enagas S.A.

     13,778        388,070  

Endesa S.A.

     60,393        1,361,890  

Ferrovial S.A.

     28,206        621,053  

Gas Natural SDG S.A.

     43,323        959,284  

Iberdrola S.A.

     237,276        1,843,496  

Mapfre S.A.

     89,810        292,401  

Mediaset Espana Comunicacion S.A.

     17,099        193,108  

Red Electrica Corp. S.A.

     19,947        419,276  

Repsol S.A.

     65,753        1,211,860  

Saeta Yield S.A.

     9,993        114,121  

Telefonica S.A.

     262,893        2,856,800  

Zardoya Otis S.A.

     21,869        241,989  
     

 

 

 
Total Spain               17,178,454  
Sweden – 2.4%      

Axfood AB

     9,013        154,259  

Clas Ohlson AB Class B

     5,527        102,247  

Holmen AB Class B

     2,761        128,979  

ICA Gruppen AB

     6,402        240,084  

JM AB

     3,388        106,218  

Kinnevik AB Class B

     6,503        211,605  

Modern Times Group MTG AB Class B

     4,130        149,265  

NetEnt AB*

     10,487        81,199  

Nordea Bank AB

     137,367        1,857,960  

Peab AB

     13,401        147,598  

Skandinaviska Enskilda Banken AB Class A

     71,310        937,422  

Skanska AB Class B

     20,211        467,245  

SKF AB Class B

     15,799        343,568  

Swedbank AB Class A

     44,458        1,226,600  

Tele2 AB Class B

     32,703        373,412  

Telia Co. AB

     271,564        1,276,250  
     

 

 

 
Total Sweden               7,803,911  
Switzerland – 7.9%      

ABB Ltd. Registered Shares

     70,488        1,743,988  

Ascom Holding AG Registered Shares

     5,190        114,249  

Baloise Holding AG Registered Shares

     1,574        249,211  

Credit Suisse Group AG Registered Shares*

     69,355        1,098,814  

Kuehne + Nagel International AG Registered Shares

     4,055        751,407  

LafargeHolcim Ltd. Registered Shares*

     21,627        1,265,077  

Mobilezone Holding AG Registered Shares

     10,422        131,406  

Novartis AG Registered Shares

     90,734        7,773,717  

Oriflame Holding AG

     2,239        76,148  

Roche Holding AG Genusschein

     23,061        5,891,566  

SGS S.A. Registered Shares

     260        624,204  

Sunrise Communications Group AG*(b)

     2,659        219,293  

Swiss Re AG

     12,016        1,089,090  

Swisscom AG Registered Shares

     2,385        1,223,064  

UBS Group AG Registered Shares*

     91,572        1,566,263  

VAT Group AG*(b)

     1,371        189,866  

Zurich Insurance Group AG

     5,279        1,611,633  
     

 

 

 
Total Switzerland               25,618,996  

 

See Notes to Financial Statements.

 

94   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International High Dividend Fund (DTH)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
United Kingdom – 21.6%      

Admiral Group PLC

     9,729      $ 237,171  

Aggreko PLC

     11,630        146,516  

Ashmore Group PLC

     27,693        126,027  

AstraZeneca PLC

     50,942        3,386,560  

Aviva PLC

     111,864        772,174  

Babcock International Group PLC

     24,081        267,351  

BAE Systems PLC

     105,273        891,927  

Barratt Developments PLC

     58,396        481,442  

BBA Aviation PLC

     51,096        204,562  

BCA Marketplace PLC

     53,276        156,894  

Beazley PLC

     20,787        133,727  

Bellway PLC

     5,826        257,708  

Berkeley Group Holdings PLC

     8,778        437,751  

BHP Billiton PLC

     76,185        1,343,598  

Booker Group PLC

     98,557        271,069  

Bovis Homes Group PLC

     10,067        147,760  

BP PLC

     1,312,894        8,407,372  

British American Tobacco PLC

     57,053        3,576,189  

Britvic PLC

     17,240        174,748  

BT Group PLC

     486,328        1,852,396  

Capita PLC

     44,009        333,602  

Card Factory PLC

     40,108        165,791  

Central Asia Metals PLC(a)

     32,101        99,918  

Centrica PLC

     336,727        844,809  

Crest Nicholson Holdings PLC

     16,051        119,088  

Dairy Crest Group PLC(a)

     15,229        125,555  

Direct Line Insurance Group PLC

     39,882        194,554  

Dixons Carphone PLC

     56,079        145,511  

DS Smith PLC

     35,508        234,814  

Dunelm Group PLC

     16,378        155,463  

easyJet PLC

     17,840        291,289  

Elementis PLC

     38,689        140,616  

Essentra PLC

     12,345        91,509  

esure Group PLC

     21,948        83,128  

Fidessa Group PLC

     2,886        87,004  

G4S PLC

     50,511        188,599  

Galliford Try PLC

     9,749        176,969  

Games Workshop Group PLC

     4,834        127,700  

GlaxoSmithKline PLC

     234,391        4,680,895  

HSBC Holdings PLC

     683,332        6,757,676  

Imperial Brands PLC

     42,506        1,815,777  

Inmarsat PLC

     24,278        209,605  

Investec PLC

     20,543        150,210  

ITV PLC

     287,878        674,746  

J Sainsbury PLC

     90,513        288,898  

Jupiter Fund Management PLC

     24,699        182,919  

Kcom Group PLC

     90,323        119,970  

Kingfisher PLC

     94,129        376,970  

Legal & General Group PLC

     203,948        711,156  

Lloyds Banking Group PLC

     1,583,545        1,438,966  

Man Group PLC

     74,655        168,170  

Marks & Spencer Group PLC

     92,096        436,663  

Meggitt PLC

     38,553        269,485  

National Express Group PLC

     33,602      $ 159,546  

National Grid PLC

     156,012        1,935,312  

NEX Group PLC

     16,796        149,177  

Next PLC

     6,043        426,459  

Old Mutual PLC

     105,026        273,644  

Pagegroup PLC

     22,194        148,258  

PayPoint PLC

     8,198        104,984  

Pearson PLC

     61,661        506,292  

Pennon Group PLC

     19,659        210,213  

Persimmon PLC

     18,134        628,187  

Rio Tinto PLC

     57,759        2,691,309  

Royal Dutch Shell PLC Class A

     311,353        9,392,584  

Royal Mail PLC

     61,310        316,030  

Saga PLC

     44,574        118,649  

Schroders PLC Non-Voting Shares

     3,728        121,741  

Severn Trent PLC

     8,767        255,594  

SSE PLC

     59,753        1,119,941  

Standard Life Aberdeen PLC

     116,806        679,350  

SThree PLC

     19,778        93,337  

Stock Spirits Group PLC

     18,166        58,494  

TalkTalk Telecom Group PLC(a)

     106,232        298,877  

Tate & Lyle PLC

     20,593        179,171  

Telecom Plus PLC

     5,656        82,410  

United Utilities Group PLC

     29,529        338,532  

Vodafone Group PLC

     1,591,196        4,457,520  

William Hill PLC

     53,793        182,161  
     

 

 

 
Total United Kingdom               70,088,739  

TOTAL COMMON STOCKS

(Cost: $307,994,586)

              323,970,488  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.2%  
United States – 1.2%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $3,859,071)(d)      3,859,071        3,859,071  

TOTAL INVESTMENTS IN SECURITIES – 100.9%

(Cost: $311,853,657)

        327,829,559  

Other Assets less Liabilities – (0.9)%

        (2,802,483
     

 

 

 
NET ASSETS – 100.0%             $ 325,027,076  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $4,856,900 and the total market value of the collateral held by the Fund was $5,236,427. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,377,356.

RSP – Risparmio Italian Savings Shares

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      95  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International High Dividend Fund (DTH)

September 30, 2017

 

 

 

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 Montreal     10/3/2017       43,148       USD       55,000       AUD     $     $ (8
Bank of Montreal     10/3/2017       14,785       USD       115,500       HKD             (2
                                            $     $ (10

 

CURRENCY LEGEND

AUD – Australian dollar

HKD – Hong Kong dollar

USD – U.S. dollar

 

See Notes to Financial Statements.

 

96   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International LargeCap Dividend Fund (DOL)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 6.3%      

Australia & New Zealand Banking Group Ltd.

     134,994      $ 3,135,321  

BHP Billiton Ltd.

     91,238        1,845,587  

Commonwealth Bank of Australia

     74,515        4,399,730  

CSL Ltd.

     6,722        706,561  

Macquarie Group Ltd.

     15,902        1,134,454  

National Australia Bank Ltd.

     143,349        3,543,081  

Rio Tinto Ltd.

     16,424        857,378  

Telstra Corp., Ltd.

     871,907        2,387,654  

Wesfarmers Ltd.

     57,159        1,853,642  

Westpac Banking Corp.

     171,572        4,297,196  

Woodside Petroleum Ltd.

     30,299        691,826  

Woolworths Ltd.

     29,265        578,892  
     

 

 

 
Total Australia               25,431,322  
Austria – 0.2%      

Erste Group Bank AG*

     11,152        481,805  

OMV AG

     9,034        526,417  
     

 

 

 
Total Austria               1,008,222  
Belgium – 2.1%      

Anheuser-Busch InBev S.A.

     61,373        7,349,834  

KBC Group N.V.

     13,900        1,178,215  
     

 

 

 
Total Belgium               8,528,049  
China – 2.7%      

China Mobile Ltd.

     674,986        6,839,994  

China Overseas Land & Investment Ltd.

     290,000        943,065  

CITIC Ltd.

     782,273        1,155,778  

CNOOC Ltd.

     1,739,529        2,244,927  
     

 

 

 
Total China               11,183,764  
Denmark – 1.3%      

Coloplast A/S Class B

     5,149        417,986  

Danske Bank A/S

     30,731        1,229,279  

DONG Energy A/S(a)

     9,528        545,512  

Novo Nordisk A/S Class B

     55,493        2,653,523  

Vestas Wind Systems A/S

     3,865        346,909  
     

 

 

 
Total Denmark               5,193,209  
Finland – 0.9%      

Kone Oyj Class B

     15,444        817,953  

Nokia Oyj

     179,232        1,076,391  

Sampo Oyj Class A

     22,308        1,179,378  

UPM-Kymmene Oyj

     20,011        542,455  
     

 

 

 
Total Finland               3,616,177  
France – 13.7%      

Aeroports de Paris

     2,011        325,229  

Air Liquide S.A.

     9,279        1,237,922  

Airbus SE

     14,889        1,415,358  

AXA S.A.

     95,085        2,876,557  

BNP Paribas S.A.

     43,149        3,481,482  

Bouygues S.A.

     14,877        706,141  

Capgemini SE

     3,387        397,047  

Carrefour S.A.

     24,068        486,407  

Christian Dior SE

     3,011      $ 964,474  

Cie de Saint-Gobain

     14,920        889,329  

Cie Generale des Etablissements Michelin

     4,844        707,232  

CNP Assurances

     22,385        524,772  

Credit Agricole S.A.

     99,642        1,811,713  

Danone S.A.

     16,942        1,329,313  

Electricite de France S.A.

     221,871        2,695,089  

Engie S.A.

     175,659        2,984,131  

Essilor International S.A.

     2,931        362,961  

Hermes International

     959        483,592  

Kering

     2,414        961,883  

L’Oreal S.A.

     9,726        2,068,503  

Legrand S.A.

     6,515        470,440  

LVMH Moet Hennessy Louis Vuitton SE

     9,538        2,632,340  

Natixis S.A.

     146,891        1,175,641  

Orange S.A.

     105,730        1,732,416  

Pernod Ricard S.A.

     4,274        591,421  

Peugeot S.A.

     22,428        534,264  

Publicis Groupe S.A.

     6,718        469,294  

Renault S.A.

     11,432        1,123,224  

Safran S.A.

     9,161        936,156  

Sanofi

     44,491        4,418,694  

Schneider Electric SE*

     16,368        1,424,758  

Societe Generale S.A.

     30,708        1,798,268  

Sodexo S.A.

     4,090        510,113  

Thales S.A.

     3,299        373,549  

TOTAL S.A.

     134,965        7,251,002  

Unibail-Rodamco SE

     3,514        854,737  

Valeo S.A.

     5,304        393,655  

Vinci S.A.

     15,969        1,517,835  

Vivendi S.A.

     31,300        792,601  
     

 

 

 
Total France               55,709,543  
Germany – 9.5%      

adidas AG

     2,601        588,536  

Allianz SE Registered Shares

     16,617        3,731,493  

BASF SE

     31,468        3,349,619  

Bayer AG Registered Shares

     19,118        2,605,929  

Bayerische Motoren Werke AG

     25,371        2,574,349  

Continental AG

     4,417        1,121,376  

Covestro AG(a)

     4,623        397,601  

Daimler AG Registered Shares

     54,202        4,323,314  

Deutsche Bank AG Registered Shares

     22,256        384,930  

Deutsche Boerse AG

     5,187        562,372  

Deutsche Post AG Registered Shares

     41,478        1,846,913  

Deutsche Telekom AG Registered Shares

     167,745        3,130,292  

E.ON SE

     47,265        535,075  

Evonik Industries AG

     16,086        574,689  

Fresenius Medical Care AG & Co. KGaA

     3,767        368,603  

Fresenius SE & Co. KGaA

     4,863        392,372  

HeidelbergCement AG

     4,336        445,810  

Henkel AG & Co. KGaA

     3,938        479,284  

Infineon Technologies AG

     16,213        407,682  

Innogy SE(a)

     25,409        1,131,100  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      97  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International LargeCap Dividend Fund (DOL)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Linde AG

     4,111      $ 857,551  

MAN SE

     3,970        448,166  

Muenchener Rueckversicherungs - Gesellschaft AG Registered Shares

     6,385        1,365,495  

SAP SE

     17,200        1,884,743  

Siemens AG Registered Shares

     24,398        3,438,121  

Telefonica Deutschland Holding AG

     176,072        988,307  

Volkswagen AG

     4,421        748,697  
     

 

 

 
Total Germany               38,682,419  
Hong Kong – 2.8%  

AIA Group Ltd.

     145,800        1,075,202  

BOC Hong Kong Holdings Ltd.

     303,715        1,475,666  

CLP Holdings Ltd.

     81,000        830,150  

Galaxy Entertainment Group Ltd.

     47,000        330,956  

Hang Seng Bank Ltd.

     56,795        1,384,481  

Henderson Land Development Co., Ltd.

     101,606        673,193  

Hong Kong & China Gas Co., Ltd.

     292,891        550,481  

Hong Kong Exchanges & Clearing Ltd.

     22,200        596,874  

I-CABLE Communications Ltd.*

     33,210        1,084  

MTR Corp., Ltd.

     154,500        901,993  

Power Assets Holdings Ltd.

     75,500        653,920  

Sun Hung Kai Properties Ltd.

     74,442        1,209,455  

Swire Properties Ltd.

     140,000        474,990  

Wharf Holdings Ltd. (The)

     86,000        766,333  

Wheelock & Co., Ltd.

     37,000        260,303  
     

 

 

 
Total Hong Kong               11,185,081  
Ireland – 0.2%      

CRH PLC

     18,166        693,133  
Israel – 0.2%      

Teva Pharmaceutical Industries Ltd.

     48,756        852,395  
Italy – 3.4%      

Assicurazioni Generali SpA

     72,970        1,359,538  

Atlantia SpA

     33,275        1,050,709  

Enel SpA

     531,958        3,204,146  

Eni SpA

     216,733        3,587,103  

Intesa Sanpaolo SpA

     900,561        3,185,411  

Luxottica Group SpA

     8,146        455,412  

Snam SpA

     192,201        926,148  
     

 

 

 
Total Italy               13,768,467  
Japan – 14.0%      

Asahi Group Holdings Ltd.

     7,900        319,748  

Astellas Pharma, Inc.

     59,900        761,754  

Bridgestone Corp.

     25,000        1,134,011  

Canon, Inc.

     54,100        1,847,950  

Chugai Pharmaceutical Co., Ltd.

     9,100        377,533  

Dai-ichi Life Holdings, Inc.

     22,600        405,360  

Daiichi Sankyo Co., Ltd.

     23,900        538,873  

Daikin Industries Ltd.

     4,400        445,414  

Daiwa House Industry Co., Ltd.

     15,500        534,958  

Denso Corp.

     21,300        1,077,252  

East Japan Railway Co.

     6,300        581,224  

Eisai Co., Ltd.

     8,900        456,682  

FANUC Corp.

     3,800      $ 769,351  

Fast Retailing Co., Ltd.

     1,000        294,852  

FUJIFILM Holdings Corp.

     12,400        481,062  

Hitachi Ltd.

     107,000        753,701  

Honda Motor Co., Ltd.

     57,600        1,704,999  

Hoya Corp.

     7,800        420,957  

ITOCHU Corp.

     59,500        974,179  

Japan Post Holdings Co., Ltd.(b)

     141,000        1,664,718  

Japan Tobacco, Inc.

     66,209        2,169,225  

JXTG Holdings, Inc.

     101,200        520,452  

Kao Corp.

     9,300        546,937  

KDDI Corp.

     76,300        2,011,123  

Kirin Holdings Co., Ltd.

     17,800        418,731  

Komatsu Ltd.

     23,300        662,580  

Kubota Corp.

     24,000        436,121  

Mitsubishi Corp.

     58,400        1,356,951  

Mitsubishi Electric Corp.

     42,400        662,188  

Mitsubishi UFJ Financial Group, Inc.

     291,900        1,894,828  

Mitsui & Co., Ltd.

     65,300        964,722  

Mitsui Fudosan Co., Ltd.

     14,000        303,469  

Mizuho Financial Group, Inc.

     754,498        1,321,117  

MS&AD Insurance Group Holdings, Inc.

     17,100        550,378  

Murata Manufacturing Co., Ltd.

     3,300        484,893  

Nintendo Co., Ltd.

     2,000        738,418  

Nippon Steel & Sumitomo Metal Corp.

     17,600        403,941  

Nippon Telegraph & Telephone Corp.

     49,500        2,267,770  

Nissan Motor Co., Ltd.

     197,200        1,952,467  

Nomura Holdings, Inc.

     89,800        502,590  

NTT DOCOMO, Inc.

     119,500        2,728,866  

Otsuka Holdings Co., Ltd.

     12,800        508,407  

Panasonic Corp.

     44,700        647,478  

Recruit Holdings Co., Ltd.

     21,300        461,139  

Secom Co., Ltd.

     5,100        371,609  

Seven & I Holdings Co., Ltd.

     18,600        717,958  

Shin-Etsu Chemical Co., Ltd.

     7,700        688,154  

SoftBank Group Corp.

     6,500        524,550  

Sompo Holdings, Inc.

     8,200        318,923  

Subaru Corp.

     31,500        1,136,144  

Sumitomo Corp.

     45,200        649,902  

Sumitomo Mitsui Financial Group, Inc.

     40,300        1,546,626  

Takeda Pharmaceutical Co., Ltd.

     27,400        1,512,580  

Tokio Marine Holdings, Inc.

     18,900        739,109  

Tokyo Electron Ltd.

     3,900        598,694  

Toyota Motor Corp.

     121,700        7,254,537  

Yahoo Japan Corp.(b)

     118,400        561,681  
     

 

 

 
Total Japan               56,679,836  
Netherlands – 2.1%      

ABN AMRO Group N.V. CVA(a)

     27,942        837,057  

Akzo Nobel N.V.

     5,863        541,468  

ASML Holding N.V.

     4,964        845,349  

Heineken Holding N.V.

     3,960        372,180  

Heineken N.V.

     9,824        971,505  

ING Groep N.V.

     142,480        2,627,660  

 

See Notes to Financial Statements.

 

98   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International LargeCap Dividend Fund (DOL)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Koninklijke Ahold Delhaize N.V.

     36,190      $ 676,840  

Koninklijke Philips N.V.

     25,556        1,055,315  

Steinhoff International Holdings N.V.

     147,526        657,856  
     

 

 

 
Total Netherlands               8,585,230  
Norway – 1.6%      

DNB ASA

     53,312        1,074,906  

Statoil ASA(b)

     170,384        3,409,692  

Telenor ASA

     88,451        1,871,180  
     

 

 

 
Total Norway               6,355,778  
Singapore – 1.2%      

DBS Group Holdings Ltd.

     57,600        883,119  

Oversea-Chinese Banking Corp., Ltd.

     110,055        904,462  

Singapore Telecommunications Ltd.

     770,100        2,086,946  

United Overseas Bank Ltd.

     38,886        672,942  

Wilmar International Ltd.

     127,500        298,575  
     

 

 

 
Total Singapore               4,846,044  
Spain – 4.8%      

Abertis Infraestructuras S.A.

     46,081        931,556  

Aena SME S.A.(a)

     3,330        601,335  

Amadeus IT Group S.A.

     11,815        768,083  

Banco Bilbao Vizcaya Argentaria S.A.

     262,146        2,343,221  

Banco Santander S.A.

     415,658        2,902,644  

CaixaBank S.A.

     168,805        846,139  

Endesa S.A.

     65,117        1,468,418  

Ferrovial S.A.

     30,360        668,481  

Gas Natural SDG S.A.

     47,310        1,047,566  

Iberdrola S.A.

     266,970        2,074,201  

Industria de Diseno Textil S.A.

     55,963        2,109,493  

Repsol S.A.

     56,755        1,046,022  

Telefonica S.A.

     247,268        2,687,006  
     

 

 

 
Total Spain               19,494,165  
Sweden – 2.8%      

Assa Abloy AB Class B

     18,932        431,414  

Atlas Copco AB Class A

     21,637        914,271  

Hennes & Mauritz AB Class B

     31,514        814,650  

Nordea Bank AB

     187,785        2,539,889  

Sandvik AB

     29,230        503,141  

Skandinaviska Enskilda Banken AB Class A

     87,378        1,148,647  

Svenska Handelsbanken AB Class A

     65,239        982,300  

Swedbank AB Class A

     55,134        1,521,152  

Telefonaktiebolaget LM Ericsson Class B

     58,174        333,335  

Telia Co. AB

     286,346        1,345,719  

Volvo AB Class B

     42,410        815,742  
     

 

 

 
Total Sweden               11,350,260  
Switzerland – 9.5%      

ABB Ltd. Registered Shares

     70,552        1,745,571  

Cie Financiere Richemont S.A. Registered Shares

     11,564        1,057,683  

Credit Suisse Group AG Registered Shares*

     76,590        1,213,440  

EMS-Chemie Holding AG Registered Shares

     598        398,008  

Geberit AG Registered Shares

     968        458,289  

Givaudan S.A. Registered Shares

     292        635,845  

Kuehne + Nagel International AG Registered Shares

     4,364      $ 808,666  

LafargeHolcim Ltd. Registered Shares*

     22,248        1,301,402  

Nestle S.A. Registered Shares

     90,077        7,549,860  

Novartis AG Registered Shares

     93,583        8,017,808  

Partners Group Holding AG

     638        433,202  

Roche Holding AG Bearer Shares

     5,112        1,302,303  

Roche Holding AG Genusschein

     23,972        6,124,306  

SGS S.A. Registered Shares

     246        590,593  

Swiss Re AG

     16,108        1,459,975  

Swisscom AG Registered Shares

     2,580        1,323,063  

UBS Group AG Registered Shares*

     119,116        2,037,381  

Zurich Insurance Group AG

     7,220        2,204,204  
     

 

 

 
Total Switzerland               38,661,599  
United Kingdom – 20.2%      

Associated British Foods PLC

     10,033        429,802  

AstraZeneca PLC

     52,792        3,509,546  

Aviva PLC

     140,088        966,998  

BAE Systems PLC

     114,587        970,840  

Barclays PLC

     184,371        478,273  

BHP Billiton PLC

     76,010        1,340,511  

BP PLC

     1,347,757        8,630,624  

British American Tobacco PLC

     60,682        3,803,662  

BT Group PLC

     509,395        1,940,257  

Coca-Cola European Partners PLC

     9,615        403,239  

Compass Group PLC

     43,627        926,564  

Diageo PLC

     67,700        2,228,052  

GlaxoSmithKline PLC

     236,662        4,726,248  

HSBC Holdings PLC

     935,204        9,248,513  

Imperial Brands PLC

     45,237        1,932,440  

Legal & General Group PLC

     258,972        903,022  

Lloyds Banking Group PLC

     2,164,737        1,967,095  

National Grid PLC

     169,731        2,105,495  

Prudential PLC

     52,929        1,268,633  

Reckitt Benckiser Group PLC

     15,173        1,386,912  

RELX N.V.

     27,794        591,774  

RELX PLC

     25,670        563,785  

Rio Tinto PLC

     61,341        2,858,214  

Royal Dutch Shell PLC Class A

     318,024        9,593,829  

Royal Dutch Shell PLC Class B

     273,452        8,417,989  

Smith & Nephew PLC

     19,720        356,645  

SSE PLC

     66,467        1,245,781  

Unilever N.V. CVA

     44,630        2,640,188  

Unilever PLC

     35,425        2,052,732  

Vodafone Group PLC

     1,666,079        4,667,295  
     

 

 

 
Total United Kingdom               82,154,958  

TOTAL COMMON STOCKS

(Cost: $364,853,751)

              403,979,651  
EXCHANGE-TRADED FUND – 0.2%      
United States – 0.2%      
WisdomTree International MidCap Dividend Fund(c)
(Cost: $786,085)
     12,397        822,293  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      99  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International LargeCap Dividend Fund (DOL)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.4%  
United States – 0.4%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(d)

     

(Cost: $1,791,492)(e)

     1,791,492      $ 1,791,492  

TOTAL INVESTMENTS IN SECURITIES – 100.1%

(Cost: $367,431,328)

        406,593,436  

Other Assets less Liabilities – (0.1)%

        (406,416
     

 

 

 
NET ASSETS – 100.0%             $ 406,187,020  

 

* 

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 September 30, 2017 (See Note 2).

 

(c) 

Affiliated company (See Note 3).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(e)

At September 30, 2017, the total market value of the Fund’s securities on loan was $2,134,922 and the total market value of the collateral held by the Fund was $2,362,770. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $571,278.

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
 
Bank of Montreal     10/3/2017       3,600       USD       3,050       EUR     $     $ (6
Bank of Montreal     10/3/2017       6,697       USD       5,000       GBP             (11
Citibank N.A.     10/3/2017       15,677       USD       20,000       AUD             (16
Standard Chartered Bank     10/4/2017       28,164       USD       220,000       HKD             (3

State Street Bank and Trust

    10/3/2017       6,156       USD       8,350       SGD       7        
                                            $ 7     $ (36

 

CURRENCY LEGEND

AUD – Australian dollar

EUR – Euro

GBP – British pound

HKD – Hong Kong dollar

SGD – Singapore dollar

USD – U.S. dollar

 

See Notes to Financial Statements.

 

100   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 8.4%      

AGL Energy Ltd.

     39,879      $ 731,272  

Alumina Ltd.

     231,315        399,303  

Amcor Ltd.

     73,051        871,829  

AMP Ltd.

     280,483        1,062,991  

Aristocrat Leisure Ltd.

     18,097        298,196  

ASX Ltd.

     13,156        541,227  

Aurizon Holdings Ltd.

     177,448        682,249  

Bank of Queensland Ltd.

     44,985        458,161  

Bendigo & Adelaide Bank Ltd.

     51,968        473,417  

Boral Ltd.

     60,902        323,516  

Brambles Ltd.

     84,001        593,202  

Caltex Australia Ltd.

     16,495        415,464  

Challenger Ltd.

     30,948        302,328  

CIMIC Group Ltd.

     17,205        596,831  

Coca-Cola Amatil Ltd.

     78,934        478,762  

Cochlear Ltd.

     2,175        271,710  

Computershare Ltd.

     28,555        324,210  

Crown Resorts Ltd.

     72,959        647,466  

Downer EDI Ltd.

     34,138        181,344  

Fortescue Metals Group Ltd.

     388,575        1,567,162  

Harvey Norman Holdings Ltd.(a)

     182,025        554,164  

Incitec Pivot Ltd.

     76,097        214,954  

Insurance Australia Group Ltd.

     157,746        788,449  

Magellan Financial Group Ltd.

     10,773        207,606  

Medibank Pvt Ltd.

     190,455        436,366  

Newcrest Mining Ltd.

     17,192        283,553  

Orica Ltd.

     15,594        241,902  

Qantas Airways Ltd.

     93,853        429,331  

QBE Insurance Group Ltd.

     98,152        770,920  

Qube Holdings Ltd.(a)

     66,179        128,261  

Ramsay Health Care Ltd.

     7,529        367,927  

REA Group Ltd.

     4,287        225,374  

Seek Ltd.

     18,478        240,824  

Sonic Healthcare Ltd.

     25,920        425,270  

South32 Ltd.

     234,272        601,096  

Star Entertainment Grp Ltd. (The)

     52,853        217,309  

Suncorp Group Ltd.

     108,716        1,113,217  

Tabcorp Holdings Ltd.

     80,012        268,077  

Tatts Group Ltd.

     118,704        370,701  

TPG Telecom Ltd.(a)

     51,368        196,290  

Treasury Wine Estates Ltd.

     30,070        323,008  

Washington H Soul Pattinson & Co., Ltd.(a)

     15,717        196,454  
     

 

 

 
Total Australia               19,821,693  
Austria – 0.8%      

Andritz AG

     6,248        361,231  

Lenzing AG

     1,387        201,192  

Oesterreichische Post AG

     6,735        311,000  

Telekom Austria AG*

     41,333        375,030  

Vienna Insurance Group AG Wiener Versicherung Gruppe

     5,562        164,451  

Voestalpine AG

     9,772        498,431  
     

 

 

 
Total Austria        1,911,335  
Belgium – 2.4%      

Ackermans & van Haaren N.V.

     1,277      $ 223,959  

Ageas

     18,025        847,252  

Bekaert S.A.

     2,855        136,965  

bpost S.A.

     22,590        671,653  

Colruyt S.A.(a)

     7,872        403,287  

Elia System Operator S.A./N.V.

     4,492        260,159  

Melexis N.V.

     2,925        282,859  

Proximus SADP

     31,545        1,087,262  

Solvay S.A.

     5,207        778,082  

UCB S.A.

     7,052        502,130  

Umicore S.A.

     5,374        444,656  
     

 

 

 
Total Belgium        5,638,264  
China – 2.7%      

Beijing Enterprises Holdings Ltd.

     67,200        361,350  

China Everbright International Ltd.

     211,000        264,739  

China Jinmao Holdings Group Ltd.

     759,242        382,017  

China Power International Development Ltd.

     753,000        247,764  

China Resources Pharmaceutical Group Ltd.(b)

     119,000        141,386  

China Resources Power Holdings Co., Ltd.

     484,000        873,725  

CSPC Pharmaceutical Group Ltd.

     172,000        288,036  

Fosun International Ltd.

     285,500        601,653  

Guangdong Investment Ltd.

     478,208        682,044  

Lenovo Group Ltd.

     1,126,000        621,335  

Shanghai Industrial Holdings Ltd.

     74,500        225,578  

Shenzhen Investment Ltd.

     590,000        267,402  

Sino-Ocean Group Holding Ltd.

     748,964        499,584  

Sun Art Retail Group Ltd.

     589,000        546,718  

Yangzijiang Shipbuilding Holdings Ltd.

     226,600        238,623  
     

 

 

 
Total China        6,241,954  
Denmark – 1.4%      

Chr Hansen Holding A/S

     4,383        375,996  

DSV A/S

     3,131        236,909  

H. Lundbeck A/S

     2,991        172,623  

ISS A/S

     10,236        411,730  

Jyske Bank A/S Registered Shares

     3,854        222,431  

Novozymes A/S Class B

     6,472        332,195  

Pandora A/S

     3,594        354,844  

TDC A/S

     43,063        252,366  

Tryg A/S

     41,289        953,711  
     

 

 

 
Total Denmark        3,312,805  
Finland – 3.0%      

Amer Sports Oyj*

     7,133        189,228  

Cargotec Oyj Class B

     1,959        123,092  

Elisa Oyj

     12,554        540,521  

Fortum Oyj

     124,238        2,480,703  

Huhtamaki Oyj

     3,896        157,290  

Kesko Oyj Class B

     6,857        367,785  

Konecranes Oyj

     4,042        179,478  

Metso Oyj

     10,992        403,356  

Neste Oyj

     17,993        785,975  

Nokian Renkaat Oyj

     9,864        438,811  

Orion Oyj Class B

     5,876        272,724  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      101  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Stora Enso Oyj Class R

     39,634      $ 559,921  

Valmet Oyj

     7,277        143,066  

Wartsila Oyj Abp

     5,827        412,632  
     

 

 

 
Total Finland        7,054,582  
France – 6.9%  

Accor S.A.

     13,359        663,859  

Amundi S.A.(b)

     12,996        1,080,387  

Arkema S.A.

     3,273        401,444  

Bollore S.A.

     87,938        439,648  

Bureau Veritas S.A.

     21,985        567,506  

Casino Guichard Perrachon S.A.

     11,566        686,127  

Cie Plastic Omnium S.A.

     4,184        179,032  

Edenred

     11,064        300,837  

Eiffage S.A.

     4,174        432,262  

Elior Group S.A.(b)

     5,700        150,943  

Eurazeo S.A.

     3,844        343,691  

Eutelsat Communications S.A.

     19,181        568,255  

Faurecia

     5,024        348,819  

Fonciere Des Regions

     5,957        618,953  

Groupe Eurotunnel SE Registered Shares

     25,972        313,182  

Havas S.A.(a)

     26,213        286,679  

ICADE

     6,736        600,990  

Imerys S.A.

     3,951        357,088  

Ingenico Group S.A.

     2,304        218,448  

Ipsen S.A.

     1,997        265,478  

JCDecaux S.A.

     8,432        315,796  

Klepierre S.A.

     24,787        973,158  

Lagardere SCA

     12,456        417,099  

Metropole Television S.A.

     9,278        214,598  

Nexity S.A.*

     4,743        289,891  

Orpea

     1,481        175,434  

Remy Cointreau S.A.

     1,969        233,240  

Rexel S.A.

     14,533        251,528  

Rubis SCA

     5,712        364,174  

SCOR SE

     16,524        692,992  

SEB S.A.

     1,366        250,630  

Societe BIC S.A.

     2,659        318,748  

SPIE S.A.

     7,829        215,467  

Suez

     40,081        731,842  

Teleperformance

     1,796        268,164  

Veolia Environnement S.A.

     44,354        1,025,109  

Vicat S.A.

     2,156        164,552  

Wendel S.A.

     1,962        317,884  

Zodiac Aerospace

     6,962        201,358  
     

 

 

 
Total France        16,245,292  
Germany – 5.8%  

Aurubis AG

     1,311        106,228  

Axel Springer SE

     7,472        480,272  

Brenntag AG

     5,522        307,572  

CECONOMY AG

     21,117        248,721  

CTS Eventim AG & Co. KGaA

     5,164        225,453  

Deutsche Lufthansa AG Registered Shares

     25,619        712,042  

Deutsche Wohnen SE Bearer Shares

     13,172        559,344  

DMG MORI AG

     4,242      $ 263,282  

Drillisch AG

     3,793        266,085  

Duerr AG

     1,936        258,971  

Fielmann AG

     4,207        364,608  

Fraport AG Frankfurt Airport Services Worldwide

     4,379        415,908  

Freenet AG

     14,338        479,526  

Fuchs Petrolub SE

     3,097        159,009  

GEA Group AG

     7,968        362,567  

Hannover Rueck SE

     9,088        1,095,333  

Hella KGaA Hueck & Co.

     5,437        320,577  

Hochtief AG

     2,393        403,840  

Hugo Boss AG(a)

     4,802        423,442  

K+S AG Registered Shares

     5,763        157,040  

KION Group AG

     3,101        296,836  

LANXESS AG

     2,059        162,504  

LEG Immobilien AG

     3,488        352,931  

MTU Aero Engines AG

     1,965        313,492  

OSRAM Licht AG

     3,697        295,059  

ProSiebenSat.1 Media SE

     22,390        763,246  

Rheinmetall AG

     1,782        200,893  

Stroeer SE & Co. KGaA

     2,284        149,426  

Suedzucker AG

     7,667        164,737  

Symrise AG

     3,312        251,646  

Talanx AG

     17,459        705,992  

TUI AG

     53,532        909,256  

Uniper SE

     22,591        619,604  

United Internet AG Registered Shares

     7,643        475,902  

Wacker Chemie AG

     1,869        268,016  
     

 

 

 
Total Germany        13,539,360  
Hong Kong – 2.3%  

Bank of East Asia Ltd. (The)

     85,122        367,812  

Dah Sing Banking Group Ltd.

     60,400        132,698  

Hang Lung Group Ltd.

     56,000        201,109  

Hang Lung Properties Ltd.

     308,000        731,089  

Hopewell Holdings Ltd.

     76,162        296,430  

Hysan Development Co., Ltd.

     70,000        329,356  

New World Development Co., Ltd.

     715,642        1,028,013  

PCCW Ltd.

     916,543        496,367  

Sino Land Co., Ltd.

     405,046        711,490  

SJM Holdings Ltd.

     311,000        284,693  

Swire Pacific Ltd. Class A

     45,000        436,709  

Swire Pacific Ltd. Class B

     120,000        208,022  

Techtronic Industries Co., Ltd.

     55,500        296,305  
     

 

 

 
Total Hong Kong        5,520,093  
Ireland – 0.5%  

DCC PLC

     2,921        283,929  

Kingspan Group PLC

     4,450        189,283  

Paddy Power Betfair PLC

     3,156        314,973  

Smurfit Kappa Group PLC

     13,843        433,677  
     

 

 

 
Total Ireland        1,221,862  
Israel – 0.9%  

Azrieli Group Ltd.

     4,712        261,704  

Bank Hapoalim BM

     61,166        428,193  

 

See Notes to Financial Statements.

 

102   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Bezeq Israeli Telecommunication Corp., Ltd.

     379,304      $ 542,338  

Elbit Systems Ltd.

     1,629        239,467  

Israel Chemicals Ltd.

     81,609        362,234  

Mizrahi Tefahot Bank Ltd.

     9,585        171,833  
     

 

 

 
Total Israel        2,005,769  
Italy – 3.9%  

A2A SpA

     218,911        376,549  

ACEA SpA

     18,181        281,995  

Azimut Holding SpA

     14,631        316,531  

Banca Generali SpA

     9,582        332,472  

Banca Mediolanum SpA

     68,502        599,274  

Brembo SpA

     11,469        194,160  

De’ Longhi SpA

     8,340        268,574  

FinecoBank Banca Fineco SpA

     44,623        395,650  

Hera SpA

     122,849        386,317  

Industria Macchine Automatiche SpA

     1,903        180,765  

Infrastrutture Wireless Italiane SpA(b)

     39,408        260,893  

Iren SpA

     85,456        229,329  

Italgas SpA

     68,925        387,045  

Leonardo SpA

     10,810        202,556  

Mediobanca SpA

     49,334        529,569  

Poste Italiane SpA(b)

     140,270        1,033,103  

Prysmian SpA

     9,261        312,904  

Recordati SpA

     9,678        446,212  

Salvatore Ferragamo SpA

     6,744        189,353  

Terna Rete Elettrica Nazionale SpA

     153,442        896,474  

Unione di Banche Italiane SpA

     57,177        296,470  

Unipol Gruppo Finanziario SpA

     70,952        325,284  

UnipolSai Assicurazioni SpA

     288,423        673,764  
     

 

 

 
Total Italy        9,115,243  
Japan – 23.4%  

ABC-Mart, Inc.

     3,978        209,917  

Aeon Co., Ltd.

     33,800        499,200  

Air Water, Inc.

     7,400        136,476  

Aisin Seiki Co., Ltd.

     12,900        679,581  

Ajinomoto Co., Inc.

     16,300        317,992  

Alfresa Holdings Corp.

     9,900        181,087  

Amada Holdings Co., Ltd.

     27,800        305,006  

ANA Holdings, Inc.

     12,000        454,031  

Aozora Bank Ltd.

     10,900        414,445  

Asahi Glass Co., Ltd.

     10,428        386,771  

Asahi Kasei Corp.

     64,000        787,456  

Bandai Namco Holdings, Inc.

     9,600        329,196  

Benesse Holdings, Inc.

     5,400        194,767  

Brother Industries Ltd.

     12,100        281,418  

Canon Marketing Japan, Inc.

     6,900        164,830  

Casio Computer Co., Ltd.(a)

     12,500        175,898  

Chiba Bank Ltd. (The)

     39,000        278,906  

Chubu Electric Power Co., Inc.

     33,000        409,550  

Chugoku Electric Power Co., Inc. (The)(a)

     25,400        269,649  

Concordia Financial Group Ltd.

     66,400        328,033  

Dai Nippon Printing Co., Ltd.

     22,479        537,787  

Daicel Corp.

     16,700        201,174  

Daito Trust Construction Co., Ltd.

     4,620      $ 841,381  

Daiwa Securities Group, Inc.

     127,000        719,025  

DIC Corp.

     5,000        181,007  

Disco Corp.

     1,800        366,029  

Electric Power Development Co., Ltd.

     9,500        238,502  

FamilyMart UNY Holdings Co., Ltd.

     4,900        258,135  

Fuji Electric Co., Ltd.

     30,876        171,160  

Fukuoka Financial Group, Inc.

     46,000        212,499  

Hachijuni Bank Ltd. (The)

     26,900        167,998  

Hakuhodo DY Holdings, Inc.

     15,600        204,831  

Hankyu Hanshin Holdings, Inc.

     5,900        223,808  

Haseko Corp.

     13,800        183,894  

Hikari Tsushin, Inc.

     2,100        263,048  

Hino Motors Ltd.

     21,100        257,927  

Hirose Electric Co., Ltd.

     1,500        211,078  

Hisamitsu Pharmaceutical Co., Inc.

     3,000        143,917  

Hitachi Chemical Co., Ltd.

     9,300        254,879  

Hitachi High-Technologies Corp.

     5,700        206,601  

Hitachi Metals Ltd.

     14,800        205,897  

Hulic Co., Ltd.

     22,900        224,392  

Idemitsu Kosan Co., Ltd.

     6,300        177,697  

Iida Group Holdings Co., Ltd.

     17,300        308,300  

Isuzu Motors Ltd.

     39,800        527,178  

Itochu Techno-Solutions Corp.

     7,300        272,376  

J. Front Retailing Co., Ltd.

     12,400        171,297  

Japan Airlines Co., Ltd.

     18,900        639,375  

Japan Exchange Group, Inc.

     28,200        498,789  

Japan Post Insurance Co., Ltd.

     26,700        571,880  

JFE Holdings, Inc.

     20,600        402,154  

JGC Corp.

     8,100        131,036  

JSR Corp.

     11,400        216,526  

JTEKT Corp.

     16,600        229,759  

Kajima Corp.

     51,953        515,999  

Kaken Pharmaceutical Co., Ltd.

     2,500        127,038  

Kansai Electric Power Co., Inc. (The)

     29,900        382,366  

Kawasaki Heavy Industries Ltd.

     6,357        210,632  

Kikkoman Corp.

     6,800        209,017  

Kintetsu Group Holdings Co., Ltd.

     5,800        215,635  

Koito Manufacturing Co., Ltd.

     4,100        257,149  

Konami Holdings Corp.

     3,100        148,989  

Konica Minolta, Inc.(a)

     36,100        296,330  

Kose Corp.

     1,300        148,865  

Kuraray Co., Ltd.

     19,800        370,090  

Kyowa Hakko Kirin Co., Ltd.

     15,800        268,655  

Kyushu Electric Power Co., Inc.

     12,400        131,640  

Lawson, Inc.

     7,000        463,288  

LIXIL Group Corp.

     16,300        432,388  

Mabuchi Motor Co., Ltd.

     3,200        160,050  

Makita Corp.

     8,358        336,726  

Marubeni Corp.

     102,100        697,054  

Marui Group Co., Ltd.(a)

     12,300        176,034  

Maruichi Steel Tube Ltd.

     5,300        154,200  

Mazda Motor Corp.

     27,600        422,956  

Mebuki Financial Group, Inc.

     45,300        175,059  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      103  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Medipal Holdings Corp.

     9,700      $ 168,381  

MEIJI Holdings Co., Ltd.

     4,500        356,594  

Mitsubishi Chemical Holdings Corp.

     73,300        698,064  

Mitsubishi Gas Chemical Co., Inc.

     11,800        276,432  

Mitsubishi Heavy Industries Ltd.

     18,400        727,239  

Mitsubishi Materials Corp.

     4,400        152,054  

Mitsubishi Motors Corp.

     30,300        239,568  

Mitsubishi Tanabe Pharma Corp.

     23,900        547,790  

Mitsui Chemicals, Inc.

     10,400        315,977  

Mixi, Inc.

     4,800        231,546  

NEC Corp.

     10,261        278,021  

NGK Insulators Ltd.

     13,000        243,450  

NGK Spark Plug Co., Ltd.

     7,700        163,830  

NH Foods Ltd.

     7,000        192,467  

Nifco, Inc.

     2,700        164,785  

Nippon Electric Glass Co., Ltd.

     5,400        208,919  

Nippon Express Co., Ltd.

     4,900        319,078  

Nippon Paint Holdings Co., Ltd.

     6,500        220,872  

Nissan Chemical Industries Ltd.

     5,500        193,488  

Nisshin Seifun Group, Inc.

     13,900        232,768  

Nissin Foods Holdings Co., Ltd.

     4,400        267,366  

Nitto Denko Corp.

     6,100        508,419  

NOK Corp.

     6,600        147,755  

Nomura Real Estate Holdings, Inc.

     9,668        205,960  

Nomura Research Institute Ltd.

     11,910        464,486  

NSK Ltd.

     31,900        429,905  

Obayashi Corp.

     33,600        402,669  

Obic Co., Ltd.

     4,800        301,906  

Odakyu Electric Railway Co., Ltd.

     8,100        153,631  

Oji Holdings Corp.

     54,862        295,840  

Olympus Corp.

     6,000        203,083  

Omron Corp.

     7,100        361,418  

Ono Pharmaceutical Co., Ltd.(a)

     21,400        484,692  

Oracle Corp.

     5,468        429,415  

Osaka Gas Co., Ltd.

     20,400        379,130  

Otsuka Corp.

     5,100        326,665  

Park24 Co., Ltd.

     8,300        202,034  

Pola Orbis Holdings, Inc.

     8,900        269,218  

Resona Holdings, Inc.

     128,700        660,850  

Ricoh Co., Ltd.

     55,860        542,894  

Rohm Co., Ltd.

     4,400        376,813  

Ryohin Keikaku Co., Ltd.

     700        206,148  

Sankyo Co., Ltd.

     7,500        239,195  

Santen Pharmaceutical Co., Ltd.

     15,700        247,289  

SBI Holdings, Inc.

     18,000        270,884  

SCSK Corp.

     5,300        224,826  

Sega Sammy Holdings, Inc.

     16,073        224,464  

Seibu Holdings, Inc.

     9,200        157,086  

Seiko Epson Corp.

     20,900        505,581  

Sekisui Chemical Co., Ltd.

     20,800        409,108  

Sekisui House Ltd.

     44,100        742,999  

Seven Bank Ltd.(a)

     44,700        161,224  

Shimamura Co., Ltd.

     1,300        155,910  

Shimano, Inc.

     1,900        253,018  

Shimizu Corp.

     41,600      $ 460,847  

Shiseido Co., Ltd.

     6,400        255,966  

Shizuoka Bank Ltd. (The)

     25,000        224,759  

Showa Shell Sekiyu K.K.

     27,209        313,025  

Skylark Co., Ltd.

     11,100        163,988  

Sojitz Corp.

     65,400        180,690  

Sony Financial Holdings, Inc.

     23,909        392,094  

Start Today Co., Ltd.

     6,200        196,358  

Sumitomo Chemical Co., Ltd.

     77,000        480,887  

Sumitomo Dainippon Pharma Co., Ltd.(a)

     8,990        116,922  

Sumitomo Electric Industries Ltd.

     35,912        586,383  

Sumitomo Heavy Industries Ltd.

     7,100        284,467  

Sumitomo Metal Mining Co., Ltd.

     5,000        160,529  

Sumitomo Mitsui Trust Holdings, Inc.

     22,700        818,946  

Sumitomo Realty & Development Co., Ltd.

     6,000        181,495  

Sumitomo Rubber Industries Ltd.

     14,800        271,111  

Sundrug Co., Ltd.

     5,000        206,992  

Sysmex Corp.

     4,300        274,277  

T&D Holdings, Inc.

     25,951        376,591  

Taiheiyo Cement Corp.

     5,100        196,860  

Taisei Corp.

     10,175        533,325  

Taiyo Nippon Sanso Corp.

     16,300        192,881  

TDK Corp.

     4,600        312,211  

Teijin Ltd.

     9,900        195,071  

Tobu Railway Co., Ltd.

     6,000        164,705  

Toho Co., Ltd.

     7,300        254,542  

Tohoku Electric Power Co., Inc.

     23,000        292,391  

Tokyo Gas Co., Ltd.

     20,000        490,028  

Tokyu Corp.

     14,500        205,201  

Tokyu Fudosan Holdings Corp.

     29,300        176,740  

Toppan Printing Co., Ltd.

     29,000        287,514  

Toray Industries, Inc.

     47,500        460,589  

Tosoh Corp.

     16,000        360,467  

TOTO Ltd.

     6,300        265,287  

Toyo Suisan Kaisha Ltd.

     6,000        220,406  

Toyoda Gosei Co., Ltd.

     6,000        141,731  

Toyota Boshoku Corp.

     9,300        196,881  

Toyota Tsusho Corp.

     16,300        535,055  

Trend Micro, Inc.

     8,030        395,205  

USS Co., Ltd.

     14,200        286,359  

West Japan Railway Co.

     6,976        484,753  

Yamada Denki Co., Ltd.(a)

     48,900        267,166  

Yamaha Corp.

     6,500        239,639  

Yamaha Motor Co., Ltd.

     15,660        468,833  

Yamato Holdings Co., Ltd.(a)

     11,200        226,010  

Yokogawa Electric Corp.

     12,700        216,170  

Yokohama Rubber Co., Ltd. (The)

     8,800        181,371  
     

 

 

 
Total Japan        54,862,627  
Netherlands – 3.4%  

Aalberts Industries N.V.

     4,952        239,468  

Aegon N.V.

     217,180        1,265,264  

ASR Nederland N.V.

     11,544        461,893  

Boskalis Westminster

     7,662        267,891  

Euronext N.V.(b)

     4,436        270,026  

 

See Notes to Financial Statements.

 

104   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

EXOR N.V.

     3,211      $ 203,658  

GrandVision N.V.(b)

     6,711        169,742  

Koninklijke DSM N.V.

     9,701        794,310  

Koninklijke KPN N.V.

     277,896        954,375  

Koninklijke Vopak N.V.

     6,667        292,451  

NN Group N.V.

     29,552        1,237,097  

Philips Lighting N.V.(b)

     9,446        381,355  

Randstad Holding N.V.

     12,901        798,266  

Wolters Kluwer N.V.

     13,178        609,062  
     

 

 

 
Total Netherlands        7,944,858  
New Zealand – 1.1%  

Auckland International Airport Ltd.

     69,517        323,635  

Fisher & Paykel Healthcare Corp., Ltd.

     26,757        247,199  

Fletcher Building Ltd.

     79,025        456,446  

Mercury NZ Ltd.

     125,196        306,809  

Meridian Energy Ltd.

     256,020        526,544  

Ryman Healthcare Ltd.

     27,475        184,118  

Spark New Zealand Ltd.

     247,960        654,263  
     

 

 

 
Total New Zealand        2,699,014  
Norway – 2.5%  

Aker ASA Class A

     7,775        319,388  

Aker BP ASA

     24,533        474,615  

Gjensidige Forsikring ASA

     40,690        708,470  

Leroy Seafood Group ASA

     36,240        231,955  

Marine Harvest ASA*

     67,232        1,330,231  

Norsk Hydro ASA

     100,620        731,869  

Orkla ASA

     63,417        650,876  

Salmar ASA

     12,942        365,809  

Storebrand ASA

     23,875        202,750  

Yara International ASA

     16,974        760,603  
     

 

 

 
Total Norway        5,776,566  
Portugal – 1.6%  

EDP - Energias de Portugal S.A.

     351,549        1,323,689  

Galp Energia, SGPS, S.A.

     55,149        977,631  

Jeronimo Martins, SGPS, S.A.

     42,663        841,780  

Navigator Co. S.A. (The)

     77,341        377,067  

NOS, SGPS, S.A.

     44,873        277,976  
     

 

 

 
Total Portugal        3,798,143  
Singapore – 2.9%  

CapitaLand Ltd.

     204,200        538,338  

City Developments Ltd.

     23,600        196,906  

ComfortDelGro Corp., Ltd.

     182,200        279,079  

Frasers Centrepoint Ltd.

     224,200        345,063  

Global Logistic Properties Ltd.

     198,700        482,868  

Hutchison Port Holdings Trust

     1,614,485        694,229  

Jardine Cycle & Carriage Ltd.

     17,211        498,605  

Keppel Corp., Ltd.

     94,800        453,074  

Olam International Ltd.

     174,900        260,170  

SATS Ltd.

     76,700        260,383  

Sembcorp Industries Ltd.

     69,100        150,621  

SIA Engineering Co., Ltd.

     63,536        163,291  

Singapore Airlines Ltd.

     94,361        697,658  

Singapore Exchange Ltd.

     77,000      $ 419,036  

Singapore Technologies Engineering Ltd.

     240,900        610,255  

StarHub Ltd.(a)

     237,594        454,909  

UOL Group Ltd.

     36,800        220,049  
     

 

 

 
Total Singapore        6,724,534  
Spain – 3.3%  

Acciona S.A.

     3,932        316,324  

Acerinox S.A.(a)

     15,451        222,847  

ACS Actividades de Construccion y Servicios S.A.

     20,793        770,752  

Atresmedia Corp. de Medios de Comunicacion S.A.

     19,983        210,016  

Banco de Sabadell S.A.

     295,795        617,550  

Bankia S.A.

     138,047        665,852  

Bankinter S.A.

     49,285        466,351  

Bolsas y Mercados Espanoles SHMSF S.A.

     6,912        238,604  

Cia de Distribucion Integral Logista Holdings S.A.

     9,618        231,331  

Distribuidora Internacional de Alimentacion S.A.

     45,383        264,772  

Ebro Foods S.A.(a)

     10,532        249,641  

Enagas S.A.

     22,465        632,747  

Grupo Catalana Occidente S.A.

     5,675        239,041  

Mapfre S.A.

     255,695        832,486  

Mediaset Espana Comunicacion S.A.

     29,597        334,255  

Prosegur Cia de Seguridad S.A.

     22,203        166,152  

Red Electrica Corp. S.A.

     41,618        874,790  

Viscofan S.A.

     3,000        183,820  

Zardoya Otis S.A.

     32,236        356,704  
     

 

 

 
Total Spain        7,874,035  
Sweden – 3.1%  

Alfa Laval AB

     20,793        506,683  

Axfood AB

     19,257        329,587  

BillerudKorsnas AB

     12,998        219,756  

Boliden AB

     12,629        426,570  

Castellum AB

     12,611        197,454  

Electrolux AB Series B(a)

     10,411        352,801  

Fabege AB

     10,880        222,603  

Hexpol AB

     13,215        138,750  

Holmen AB Class B

     3,995        186,624  

Husqvarna AB Class B

     22,236        228,289  

ICA Gruppen AB

     13,177        494,157  

Investment AB Latour Class B

     25,070        338,778  

JM AB

     5,173        162,180  

Kinnevik AB Class B

     12,293        400,010  

Peab AB

     18,593        204,783  

Saab AB Class B

     4,311        218,340  

Securitas AB Class B

     19,780        330,541  

Skanska AB Class B

     29,062        671,865  

SKF AB Class B

     22,225        483,309  

Swedish Match AB

     12,669        443,442  

Tele2 AB Class B

     46,486        530,790  

Trelleborg AB Class B

     11,165        279,045  
     

 

 

 
Total Sweden        7,366,357  
Switzerland – 3.1%  

Adecco Group AG Registered Shares

     7,096        552,954  

Baloise Holding AG Registered Shares

     3,333        527,713  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      105  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

BKW AG

     2,863      $ 172,058  

Cembra Money Bank AG*

     2,325        203,522  

Clariant AG Registered Shares*

     11,973        287,075  

Coca-Cola HBC AG*

     14,169        479,998  

DKSH Holding AG

     2,529        215,237  

Flughafen Zurich AG Registered Shares

     2,010        454,930  

Helvetia Holding AG Registered Shares

     536        291,377  

Julius Baer Group Ltd.*

     8,594        508,925  

Logitech International S.A. Registered Shares

     7,397        269,934  

OC Oerlikon Corp. AG Registered Shares*

     18,224        280,630  

Panalpina Welttransport Holding AG Registered Shares(a)

     1,189        174,369  

SFS Group AG*

     1,605        195,732  

Sonova Holding AG Registered Shares

     2,313        392,751  

Straumann Holding AG Registered Shares

     437        280,916  

Sulzer AG Registered Shares

     2,205        260,699  

Sunrise Communications Group AG*(b)

     3,958        326,424  

Swiss Life Holding AG Registered Shares*

     1,818        640,884  

VAT Group AG*(b)

     1,981        274,343  

Vifor Pharma AG

     2,337        275,339  

Vontobel Holding AG Registered Shares

     3,909        251,483  
     

 

 

 
Total Switzerland        7,317,293  
United Kingdom – 16.1%  

Admiral Group PLC

     27,270        664,782  

Aggreko PLC

     14,322        180,430  

Antofagasta PLC

     32,923        419,184  

Ashmore Group PLC

     57,480        261,584  

Ashtead Group PLC

     14,768        356,445  

Babcock International Group PLC

     32,273        358,300  

Barratt Developments PLC

     108,419        893,854  

BBA Aviation PLC

     64,809        259,462  

Beazley PLC

     54,435        350,192  

Bellway PLC

     9,447        417,880  

Berkeley Group Holdings PLC

     16,112        803,491  

Booker Group PLC

     176,906        486,559  

British Land Co. PLC (The)

     83,632        675,473  

Bunzl PLC

     12,438        378,304  

Burberry Group PLC

     20,147        475,732  

Capita PLC

     78,355        593,956  

Carnival PLC

     10,351        658,680  

Centrica PLC

     635,279        1,593,842  

Close Brothers Group PLC

     8,149        161,263  

Croda International PLC

     4,916        250,169  

Daily Mail & General Trust PLC Class A Non-Voting Shares

     17,315        150,651  

Derwent London PLC

     4,768        178,732  

Direct Line Insurance Group PLC

     98,071        478,414  

Dixons Carphone PLC

     76,916        199,578  

DS Smith PLC

     51,912        343,294  

easyJet PLC

     31,002        506,197  

Electrocomponents PLC

     21,464        178,830  

G4S PLC

     95,099        355,082  

GKN PLC

     69,722        323,657  

Greene King PLC

     28,619        209,838  

Halma PLC

     11,440      $ 171,903  

Hammerson PLC

     56,765        408,972  

Hargreaves Lansdown PLC

     23,233        461,324  

Hikma Pharmaceuticals PLC

     8,140        132,254  

Howden Joinery Group PLC

     33,705        194,900  

IMI PLC

     16,868        281,303  

Inchcape PLC

     24,127        279,353  

Informa PLC

     43,339        390,740  

Inmarsat PLC

     45,036        388,819  

InterContinental Hotels Group PLC

     7,645        404,943  

Intertek Group PLC

     5,281        352,987  

Intu Properties PLC

     126,027        389,739  

Investec PLC

     43,704        319,563  

ITV PLC

     514,571        1,206,084  

J Sainsbury PLC

     148,047        472,534  

Jardine Lloyd Thompson Group PLC

     12,730        209,049  

John Wood Group PLC

     33,073        301,954  

Johnson Matthey PLC

     8,409        385,842  

Jupiter Fund Management PLC

     43,133        319,439  

Kingfisher PLC

     152,558        610,968  

Ladbrokes Coral Group PLC

     101,296        165,939  

Land Securities Group PLC

     48,097        627,542  

Man Group PLC

     147,693        332,698  

Marks & Spencer Group PLC

     161,358        765,061  

Mediclinic International PLC

     16,859        147,023  

Meggitt PLC

     39,139        273,581  

Merlin Entertainments PLC(b)

     25,652        153,323  

Micro Focus International PLC

     11,274        361,052  

Mondi PLC

     18,992        510,886  

NEX Group PLC

     42,557        377,979  

Next PLC

     10,539        743,745  

Old Mutual PLC

     267,366        696,618  

Pearson PLC

     113,854        934,843  

Pennon Group PLC

     31,312        334,818  

Persimmon PLC

     33,764        1,169,632  

Rentokil Initial PLC

     74,291        299,616  

Rightmove PLC

     3,692        200,364  

Royal Mail PLC

     100,026        515,596  

RPC Group PLC

     17,400        231,229  

RSA Insurance Group PLC

     47,898        400,354  

Saga PLC

     86,734        230,871  

Sage Group PLC (The)

     51,665        484,175  

Schroders PLC

     10,390        467,678  

Segro PLC

     54,355        390,880  

Severn Trent PLC

     15,058        439,002  

Smiths Group PLC

     18,606        393,662  

Spectris PLC

     4,941        159,761  

Spirax-Sarco Engineering PLC

     2,814        208,591  

St. James’s Place PLC

     28,756        442,132  

Standard Life Aberdeen PLC

     294,750        1,714,281  

Tate & Lyle PLC

     35,363        307,679  

Taylor Wimpey PLC

     100,746        264,249  

Travis Perkins PLC

     14,782        287,171  

United Utilities Group PLC

     52,396        600,689  

 

See Notes to Financial Statements.

 

106   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Weir Group PLC (The)

     8,783      $ 231,550  

Whitbread PLC

     9,197        464,693  

William Hill PLC

     81,462        275,857  

WM Morrison Supermarkets PLC

     83,848        263,350  
     

 

 

 
Total United Kingdom               37,714,695  

TOTAL COMMON STOCKS

(Cost: $196,827,678)

              233,706,374  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.7%  
United States – 1.7%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $3,898,099)(d)      3,898,099        3,898,099  

TOTAL INVESTMENTS IN SECURITIES – 101.2%

(Cost: $200,725,777)

 

 

     237,604,473  

Other Assets less Liabilities – (1.2)%

 

     (2,784,900
     

 

 

 
NET ASSETS – 100.0%      $ 234,819,573  

 

* Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $4,893,572 and the total market value of the collateral held by the Fund was $5,153,546. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $1,255,447.

    

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      107  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International Quality Dividend Growth Fund (IQDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
Australia – 4.5%      

Aristocrat Leisure Ltd.

     1,525      $ 25,128  

BT Investment Management Ltd.

     3,520        30,520  

carsales.com Ltd.

     2,142        21,564  

Cochlear Ltd.

     291        36,353  

Crown Resorts Ltd.

     7,435        65,981  

CSL Ltd.

     1,751        184,051  

Domino’s Pizza Enterprises Ltd.(a)

     242        8,700  

JB Hi-Fi Ltd.(a)

     1,010        18,164  

Magellan Financial Group Ltd.

     1,460        28,136  

Medibank Pvt Ltd.

     32,520        74,509  

NIB Holdings Ltd.

     4,570        20,583  

Northern Star Resources Ltd.

     2,672        10,357  

Pact Group Holdings Ltd.

     4,172        17,153  

Ramsay Health Care Ltd.

     1,052        51,409  

REA Group Ltd.

     340        17,874  

Seek Ltd.

     2,682        34,955  

TPG Telecom Ltd.(a)

     7,188        27,467  
     

 

 

 
Total Australia               672,904  
Austria – 0.1%      

ams AG*

     149        10,810  
Belgium – 0.2%      

Melexis N.V.

     338        32,686  
China – 2.7%      

China Everbright International Ltd.

     29,000        36,386  

China Overseas Land & Investment Ltd.

     100,000        325,195  

CSPC Pharmaceutical Group Ltd.

     20,000        33,492  
     

 

 

 
Total China               395,073  
Denmark – 6.8%      

Chr Hansen Holding A/S

     566        48,554  

Coloplast A/S Class B

     1,382        112,188  

Dfds A/S

     299        17,086  

DSV A/S

     294        22,246  

Novo Nordisk A/S Class B

     15,671        749,344  

Pandora A/S

     308        30,410  

Royal Unibrew A/S

     383        20,991  

SimCorp A/S

     197        12,033  
     

 

 

 
Total Denmark               1,012,852  
Finland – 0.9%      

Konecranes Oyj

     650        28,862  

Nokian Renkaat Oyj

     1,036        46,088  

Uponor Oyj

     598        10,364  

Wartsila Oyj Abp(a)

     742        52,544  
     

 

 

 
Total Finland               137,858  
France – 7.5%      

Airbus SE

     4,043        384,330  

Altran Technologies S.A.

     1,427        26,250  

Cie Plastic Omnium S.A.

     577        24,690  

Hermes International

     161        81,187  

Iliad S.A.

     30        7,974  

Ipsen S.A.

     213      $ 28,316  

LVMH Moet Hennessy Louis Vuitton SE

     1,656        457,030  

Sartorius Stedim Biotech

     147        10,184  

SEB S.A.

     121        22,201  

Valeo S.A.

     954        70,804  
     

 

 

 
Total France               1,112,966  
Germany – 5.4%      

adidas AG

     460        104,086  

CompuGroup Medical SE

     215        12,180  

Continental AG

     807        204,879  

Covestro AG(b)

     1,354        116,451  

CTS Eventim AG & Co. KGaA

     583        25,453  

Fuchs Petrolub SE

     410        21,051  

Hella KGaA Hueck & Co.

     497        29,304  

Henkel AG & Co. KGaA

     901        109,658  

Infineon Technologies AG

     3,450        86,752  

Nemetschek SE

     201        16,341  

United Internet AG Registered Shares

     989        61,581  

Wirecard AG

     220        20,133  
     

 

 

 
Total Germany               807,869  
Hong Kong – 0.6%      

Galaxy Entertainment Group Ltd.

     8,000        56,333  

Techtronic Industries Co., Ltd.

     5,000        26,694  

Vitasoy International Holdings Ltd.

     6,000        13,366  
     

 

 

 
Total Hong Kong               96,393  
Ireland – 0.3%      

Glanbia PLC

     592        11,163  

Kerry Group PLC Class A

     400        38,440  
     

 

 

 
Total Ireland               49,603  
Israel – 0.7%      

Bezeq Israeli Telecommunication Corp., Ltd.

     59,052        84,434  

Shapir Engineering and Industry Ltd.

     5,359        18,417  
     

 

 

 
Total Israel               102,851  
Italy – 1.6%      

Anima Holding SpA(b)

     3,773        30,465  

Banca IFIS SpA

     513        28,055  

De’ Longhi SpA

     804        25,891  

DiaSorin SpA

     182        16,234  

Ferrari N.V.

     267        29,513  

Industria Macchine Automatiche SpA

     260        24,697  

Moncler SpA

     474        13,684  

Recordati SpA

     1,288        59,384  

Salvatore Ferragamo SpA

     552        15,499  
     

 

 

 
Total Italy               243,422  
Japan – 14.7%      

Asahi Intecc Co., Ltd.

     300        15,618  

Brother Industries Ltd.

     1,300        30,235  

Daikin Industries Ltd.

     1,000        101,230  

DeNA Co., Ltd.

     600        13,443  

Fast Retailing Co., Ltd.

     200        58,970  

Harmonic Drive Systems, Inc.(a)

     200        10,323  

 

See Notes to Financial Statements.

 

108   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Quality Dividend Growth Fund (IQDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Haseko Corp.

     1,400      $ 18,656  

Hikari Tsushin, Inc.

     200        25,052  

Hino Motors Ltd.

     3,400        41,562  

Hoya Corp.

     1,700        91,747  

Kakaku.com, Inc.

     1,100        14,013  

Kaken Pharmaceutical Co., Ltd.

     400        20,326  

Keyence Corp.

     100        53,080  

Kose Corp.

     100        11,451  

Kubota Corp.

     6,000        109,030  

M3, Inc.

     400        11,389  

Makita Corp.

     1,100        44,317  

Mixi, Inc.

     400        19,296  

MonotaRO Co., Ltd.(a)

     300        8,022  

Murata Manufacturing Co., Ltd.

     900        132,244  

Nabtesco Corp.

     600        22,280  

NGK Insulators Ltd.

     1,900        35,581  

Nidec Corp.

     700        85,942  

Nihon M&A Center, Inc.

     300        14,658  

Nippon Paint Holdings Co., Ltd.

     900        30,582  

Nitori Holdings Co., Ltd.

     100        14,294  

Obic Co., Ltd.

     400        25,159  

Open House Co., Ltd.

     700        24,439  

Oracle Corp.

     700        54,973  

Park24 Co., Ltd.

     1,100        26,776  

Persol Holdings Co., Ltd.

     800        18,642  

Pigeon Corp.

     400        13,663  

Relo Group, Inc.

     800        18,265  

Ryohin Keikaku Co., Ltd.

     100        29,450  

Seiko Epson Corp.

     3,100        74,990  

Shimano, Inc.

     200        26,634  

Shionogi & Co., Ltd.

     1,200        65,573  

Square Enix Holdings Co., Ltd.

     700        26,305  

Start Today Co., Ltd.

     600        19,002  

Subaru Corp.

     6,000        216,408  

Sundrug Co., Ltd.

     400        16,559  

Sysmex Corp.

     600        38,271  

T-Gaia Corp.

     700        13,600  

Tokyo Electron Ltd.

     1,000        153,511  

Trend Micro, Inc.

     1,000        49,216  

Tsuruha Holdings, Inc.

     100        11,949  

USS Co., Ltd.

     1,300        26,216  

Yahoo Japan Corp.

     31,600        149,908  

Yamaha Motor Co., Ltd.

     1,300        38,920  

Zenkoku Hosho Co., Ltd.

     300        12,593  
     

 

 

 
Total Japan               2,184,363  
Netherlands – 2.4%      

ASML Holding N.V.

     1,229        209,294  

BE Semiconductor Industries N.V.

     432        30,055  

Flow Traders(b)

     659        17,724  

GrandVision N.V.(b)

     574        14,518  

Koninklijke Vopak N.V.

     1,098        48,164  

TKH Group N.V. CVA

     508        33,007  
     

 

 

 
Total Netherlands               352,762  
New Zealand – 0.4%      

Fisher & Paykel Healthcare Corp., Ltd.

     3,395      $ 31,365  

Mainfreight Ltd.

     794        14,304  

Ryman Healthcare Ltd.

     2,323        15,567  
     

 

 

 
Total New Zealand               61,236  
Norway – 1.4%      

Borregaard ASA

     1,272        14,262  

Entra ASA(b)

     1,882        25,770  

Orkla ASA

     7,961        81,707  

Salmar ASA

     1,589        44,913  

Tomra Systems ASA

     877        13,166  

Veidekke ASA

     1,266        15,864  

XXL ASA(b)

     601        6,550  
     

 

 

 
Total Norway               202,232  
Portugal – 0.8%      

Jeronimo Martins, SGPS, S.A.

     5,695        112,367  
Singapore – 0.2%      

First Resources Ltd.

     7,200        10,021  

SIA Engineering Co., Ltd.

     7,100        18,247  
     

 

 

 
Total Singapore               28,268  
Spain – 4.2%      

Almirall S.A.(a)

     1,003        10,209  

Amadeus IT Group S.A.

     2,372        154,202  

Atresmedia Corp. de Medios de Comunicacion S.A.

     2,123        22,312  

Industria de Diseno Textil S.A.

     10,208        384,785  

Prosegur Cia de Seguridad S.A.

     4,532        33,915  

Tecnicas Reunidas S.A.(a)

     630        19,919  
     

 

 

 
Total Spain               625,342  
Sweden – 7.8%      

AAK AB

     207        15,635  

Assa Abloy AB Class B

     4,661        106,213  

Atlas Copco AB Class A

     4,712        199,105  

Atlas Copco AB Class B

     2,866        110,885  

Axfood AB

     2,268        38,817  

Boliden AB

     1,913        64,615  

Castellum AB

     993        15,548  

Fabege AB

     1,422        29,094  

Hemfosa Fastigheter AB

     1,978        25,081  

Hennes & Mauritz AB Class B

     6,311        163,142  

Hexpol AB

     2,405        25,251  

Indutrade AB

     779        20,510  

Intrum Justitia AB

     722        25,475  

Investment AB Latour Class B

     3,773        50,986  

JM AB

     543        17,024  

Lifco AB Class B

     377        12,267  

Loomis AB Class B

     598        23,715  

NetEnt AB*

     1,927        14,920  

Peab AB

     2,610        28,746  

Sandvik AB

     7,536        129,719  

Trelleborg AB Class B

     1,705        42,613  
     

 

 

 
Total Sweden               1,159,361  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      109  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International Quality Dividend Growth Fund (IQDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Switzerland – 13.1%      

EMS-Chemie Holding AG Registered Shares

     159      $ 105,825  

Geberit AG Registered Shares

     249        117,886  

Givaudan S.A. Registered Shares

     79        172,027  

Logitech International S.A. Registered Shares

     789        28,792  

Oriflame Holding AG

     497        16,903  

Partners Group Holding AG

     202        137,158  

Roche Holding AG Bearer Shares

     1,006        256,283  

Roche Holding AG Genusschein

     3,368        860,448  

Schindler Holding AG Participation Certificate

     80        17,685  

Schindler Holding AG Registered Shares

     434        93,429  

Sonova Holding AG Registered Shares

     277        47,035  

Straumann Holding AG Registered Shares

     40        25,713  

Swatch Group AG (The) Bearer Shares

     111        46,208  

Temenos Group AG Registered Shares*

     180        18,380  
     

 

 

 
Total Switzerland               1,943,772  
United Kingdom – 23.4%      

Ashtead Group PLC

     1,726        41,659  

Berkeley Group Holdings PLC

     1,268        63,234  

British American Tobacco PLC

     7,826        490,548  

Burberry Group PLC

     1,486        35,089  

Coca-Cola European Partners PLC

     2,215        92,894  

Compass Group PLC

     5,797        123,118  

Cranswick PLC

     350        13,862  

Crest Nicholson Holdings PLC

     1,940        14,393  

Croda International PLC

     607        30,889  

Diageo PLC

     12,898        424,482  

Domino’s Pizza Group PLC

     2,972        12,369  

Dunelm Group PLC

     1,710        16,232  

easyJet PLC

     3,436        56,103  

Electrocomponents PLC

     2,630        21,912  

Halma PLC

     1,116        16,770  

Hargreaves Lansdown PLC

     2,662        52,858  

Hays PLC

     6,134        15,587  

Hikma Pharmaceuticals PLC

     712        11,568  

HomeServe PLC

     1,675        18,697  

Howden Joinery Group PLC

     4,062        23,489  

Jardine Lloyd Thompson Group PLC

     1,852        30,413  

Johnson Matthey PLC

     1,084        49,739  

Mediclinic International PLC

     2,052        17,895  

Merlin Entertainments PLC(b)

     2,882      $ 17,226  

Moneysupermarket.com Group PLC

     4,551        19,417  

Pagegroup PLC

     3,581        23,921  

Persimmon PLC

     2,607        90,310  

Reckitt Benckiser Group PLC

     2,658        242,959  

RELX PLC

     5,389        118,358  

Renishaw PLC

     303        19,363  

Rightmove PLC

     271        14,707  

Sage Group PLC (The)

     5,099        47,785  

Savills PLC

     1,289        16,109  

Spirax-Sarco Engineering PLC

     338        25,055  

SuperGroup PLC

     724        16,503  

Taylor Wimpey PLC

     9,680        25,390  

Unilever N.V. CVA

     11,044        653,333  

Unilever PLC

     6,722        389,512  

Unite Group PLC (The)

     2,001        18,457  

Victrex PLC

     621        19,754  

WH Smith PLC

     674        18,275  

William Hill PLC

     7,026        23,792  
     

 

 

 
Total United Kingdom               3,474,026  

TOTAL COMMON STOCKS

(Cost: $13,197,013)

              14,819,016  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.8%  
United States – 0.8%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $121,556)(d)      121,556        121,556  

TOTAL INVESTMENTS IN SECURITIES – 100.5%

(Cost: $13,318,569)

        14,940,572  

Other Assets less Liabilities – (0.5)%

        (74,424
     

 

 

 
NET ASSETS – 100.0%             $ 14,866,148  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $139,189 and the total market value of the collateral held by the Fund was $146,284. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $24,728.

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
 
JP Morgan Chase Bank N.A.   10/2/2017     2,942       USD       2,496       EUR     $     $ (9

 

CURRENCY LEGEND

EUR – Euro

USD – U.S. dollar

 

See Notes to Financial Statements.

 

110   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%  
Australia – 12.6%  

Adelaide Brighton Ltd.(a)

     768,841      $ 3,517,069  

Ainsworth Game Technology Ltd.(a)

     575,575        1,151,643  

ALS Ltd.

     501,688        3,078,338  

Altium Ltd.

     264,538        2,243,828  

Amaysim Australia Ltd.(a)

     461,579        711,679  

Ansell Ltd.

     205,513        3,592,778  

AP Eagers Ltd.

     213,068        1,270,597  

APN Outdoor Group Ltd.

     262,716        970,920  

ARB Corp., Ltd.(a)

     68,008        923,171  

Asaleo Care Ltd.

     1,308,757        1,586,585  

AUB Group Ltd.

     76,217        767,879  

Austal Ltd.

     623,774        761,086  

Australian Pharmaceutical Industries Ltd.

     908,998        1,062,735  

Automotive Holdings Group Ltd.(a)

     787,344        2,051,060  

Baby Bunting Group Ltd.(a)

     721,927        1,042,286  

Bapcor Ltd.

     236,433        972,110  

Beach Energy Ltd.

     2,498,084        1,617,100  

Beacon Lighting Group Ltd.

     505,639        603,059  

Bega Cheese Ltd.(a)

     198,617        1,064,420  

Blackmores Ltd.(a)

     22,256        2,060,653  

Breville Group Ltd.

     188,431        1,673,688  

Brickworks Ltd.

     170,727        1,809,812  

BT Investment Management Ltd.

     524,246        4,545,412  

Cabcharge Australia Ltd.

     795,454        1,132,837  

carsales.com Ltd.

     316,745        3,188,690  

Cedar Woods Properties Ltd.

     225,666        1,002,209  

Cleanaway Waste Management Ltd.

     2,426,604        2,618,047  

Collins Foods Ltd.

     267,875        1,229,600  

Corporate Travel Management Ltd.(a)

     110,791        1,900,336  

CSG Ltd.(a)

     1,407,004        574,083  

CSR Ltd.

     1,427,383        5,297,580  

Dicker Data Ltd.

     332,894        676,521  

Dongfang Modern Agriculture Holding Group Ltd.

     757,703        457,789  

DuluxGroup Ltd.

     573,679        3,150,960  

Eclipx Group Ltd.

     462,495        1,469,731  

Elanor Investor Group

     434,586        733,145  

ERM Power Ltd.(a)

     559,167        592,313  

Estia Health Ltd.

     240,075        597,148  

Event Hospitality and Entertainment Ltd.

     238,404        2,345,778  

Fairfax Media Ltd.

     4,206,349        3,118,983  

Flight Centre Travel Group Ltd.(a)

     197,788        6,985,296  

G8 Education Ltd.(a)

     884,514        2,824,717  

Genworth Mortgage Insurance Australia Ltd.

     1,428,076        3,126,305  

GrainCorp Ltd. Class A

     126,555        810,299  

Greencross Ltd.

     198,846        825,369  

GUD Holdings Ltd.

     161,379        1,380,223  

GWA Group Ltd.

     546,344        1,118,877  

Healthscope Ltd.

     2,601,027        3,408,295  

HFA Holdings Ltd.

     750,664        1,578,542  

HT&E Ltd.

     418,951        677,183  

IDP Education Ltd.

     283,076        1,254,953  

IMF Bentham Ltd.

     426,004      $ 678,556  

Infomedia Ltd.

     809,406        501,729  

Invocare Ltd.

     149,068        1,836,369  

IOOF Holdings Ltd.(a)

     825,073        7,218,435  

IPH Ltd.(a)

     324,071        1,154,441  

IRESS Ltd.(a)

     300,117        2,682,194  

iSentia Group Ltd.(a)

     403,202        563,143  

IVE Group Ltd.

     471,606        736,391  

Japara Healthcare Ltd.(a)

     357,205        501,703  

JB Hi-Fi Ltd.(a)

     245,450        4,414,215  

Link Administration Holdings Ltd.(a)

     195,488        1,155,024  

MACA Ltd.

     1,779,673        2,988,339  

Mantra Group Ltd.

     375,753        940,522  

McMillan Shakespeare Ltd.

     177,590        2,048,385  

Mineral Resources Ltd.

     305,423        3,896,710  

Monadelphous Group Ltd.

     219,194        2,700,251  

Mortgage Choice Ltd.(a)

     522,938        923,227  

Myer Holdings Ltd.(a)

     3,216,700        1,956,087  

MYOB Group Ltd.(a)

     673,504        1,817,919  

MyState Ltd.

     299,737        1,128,905  

Navitas Ltd.(a)

     533,213        1,895,286  

NIB Holdings Ltd.

     788,232        3,550,110  

Nick Scali Ltd.

     156,272        793,344  

Nine Entertainment Co. Holdings Ltd.

     2,336,403        2,529,896  

Northern Star Resources Ltd.

     591,167        2,291,464  

Nufarm Ltd.

     241,335        1,569,823  

OFX Group Ltd.(a)

     389,463        531,730  

oOh!media Ltd.

     210,631        727,195  

Orora Ltd.

     1,703,726        4,144,167  

OZ Minerals Ltd.

     424,033        2,468,763  

Pact Group Holdings Ltd.

     522,184        2,146,993  

Peet Ltd.

     705,547        675,401  

Perpetual Ltd.

     105,351        4,283,630  

Platinum Asset Management Ltd.(a)

     1,707,124        8,117,336  

Premier Investments Ltd.

     334,063        3,410,213  

Primary Health Care Ltd.

     165,259        399,385  

Programmed Maintenance Services Ltd.

     378,286        893,434  

Quintis Ltd.

     423,797        49,880  

RCG Corp., Ltd.(a)

     2,657,413        1,595,131  

Regis Resources Ltd.

     719,722        2,033,027  

Retail Food Group Ltd.(a)

     424,254        1,424,773  

Sandfire Resources NL

     123,530        558,304  

Scottish Pacific Group Ltd.

     319,884        725,381  

SeaLink Travel Group Ltd.(a)

     219,913        738,534  

Seven Group Holdings Ltd.(a)

     873,945        8,222,031  

Seven West Media Ltd.

     4,508,858        2,352,686  

SG Fleet Group Ltd.

     439,290        1,361,521  

Sigma Healthcare Ltd.

     2,926,419        1,894,376  

Silver Chef Ltd.(a)

     154,718        874,076  

Sims Metal Management Ltd.

     202,515        2,142,017  

Sirtex Medical Ltd.

     60,261        631,711  

Southern Cross Media Group Ltd.

     1,989,750        1,842,283  

Steadfast Group Ltd.

     881,063        1,928,799  

Super Retail Group Ltd.(a)

     415,569        2,631,434  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      111  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Tassal Group Ltd.

     167,563      $ 506,191  

Villa World Ltd.

     684,583        1,326,780  

Village Roadshow Ltd.

     191,159        562,473  

Vita Group Ltd.

     972,913        1,293,956  

Viva Energy REIT

     434,113        718,722  

Vocus Group Ltd.(a)

     1,058,665        1,985,328  

WPP AUNZ Ltd.

     1,535,500        1,325,313  
     

 

 

 
Total Australia        212,149,159  
Austria – 1.1%  

Austria Technologie & Systemtechnik AG

     41,653        590,906  

Porr AG(a)

     38,510        1,216,696  

RHI AG

     52,236        2,182,981  

S IMMO AG

     120,420        2,131,848  

UNIQA Insurance Group AG

     1,056,267        11,068,638  

Zumtobel Group AG

     41,560        722,243  
     

 

 

 
Total Austria        17,913,312  
Belgium – 1.3%  

Cofinimmo S.A.

     52,557        6,750,734  

D’ieteren S.A./N.V.

     55,384        2,541,737  

EVS Broadcast Equipment S.A.

     16,767        634,203  

Exmar N.V.

     232,343        1,235,492  

Ion Beam Applications(a)

     37,602        1,277,581  

Orange Belgium S.A.

     101,644        2,350,398  

Recticel S.A.

     79,914        717,060  

Rezidor Hotel Group AB

     152,797        612,135  

Warehouses De Pauw CVA

     48,296        5,452,620  
     

 

 

 
Total Belgium        21,571,960  
China – 1.6%  

Beijing Tong Ren Tang Chinese Medicine Co., Ltd.

     378,000        489,759  

China Aerospace International Holdings Ltd.

     4,648,000        612,934  

China Agri-Industries Holdings Ltd.

     3,189,000        1,486,161  

China South City Holdings Ltd.

     11,930,000        3,406,084  

China Traditional Chinese Medicine Holdings Co., Ltd.(a)

     3,810,000        2,121,897  

China Travel International Investment Hong Kong Ltd.

     6,318,000        2,313,426  

CITIC Telecom International Holdings Ltd.

     6,189,822        1,783,080  

CPMC Holdings Ltd.

     1,534,109        903,491  

Goldpac Group Ltd.

     1,792,000        585,044  

Guotai Junan International Holdings Ltd.(a)

     9,239,000        2,945,333  

Rivera Holdings Ltd.

     9,626,000        714,799  

Shougang Fushan Resources Group Ltd.

     5,526,000        1,252,259  

Sinotruk Hong Kong Ltd.(a)

     1,731,000        2,397,918  

Yuexiu Property Co., Ltd.

     28,822,000        5,867,205  
     

 

 

 
Total China        26,879,390  
Denmark – 1.6%  

Alm Brand A/S

     215,566        2,123,196  

Matas A/S

     85,931        1,255,902  

NNIT A/S(b)

     20,838        628,967  

Per Aarsleff Holding A/S

     35,903        1,055,165  

Royal Unibrew A/S

     55,620        3,048,373  

Scandinavian Tobacco Group A/S Class A(b)

     199,231      $ 3,535,315  

Schouw & Co. AB

     27,049        2,941,323  

SimCorp A/S

     34,830        2,127,492  

Spar Nord Bank A/S

     333,651        4,155,531  

Sydbank A/S

     152,605        6,334,703  
     

 

 

 
Total Denmark        27,205,967  
Finland – 2.3%  

Aktia Bank Oyj

     58,335        639,293  

Citycon Oyj

     2,273,298        5,982,356  

Cramo Oyj

     59,390        1,559,382  

DNA Oyj

     193,999        3,394,313  

F-Secure Oyj

     210,143        1,060,800  

HKScan Oyj Class A

     330,306        1,335,467  

Kemira Oyj

     178,894        2,351,751  

Lassila & Tikanoja Oyj

     94,488        2,021,836  

Lehto Group Oyj

     34,390        517,549  

Metsa Board Oyj

     471,268        3,228,584  

Oriola Oyj Class B

     215,480        866,117  

Ramirent Oyj

     222,729        2,301,330  

Sanoma Oyj

     329,474        3,595,122  

Technopolis Oyj

     291,311        1,353,444  

Tieto Oyj

     142,859        4,355,617  

Tikkurila Oyj

     39,782        724,736  

Tokmanni Group Corp.

     124,966        1,056,303  

Uponor Oyj

     104,357        1,808,616  

YIT Oyj

     166,569        1,362,671  
     

 

 

 
Total Finland        39,515,287  
France – 2.0%  

Albioma S.A.

     33,741        761,074  

Coface S.A.

     388,398        4,173,800  

Europcar Groupe S.A.(b)

     166,522        2,524,758  

Gaztransport Et Technigaz S.A.(a)

     93,046        5,059,951  

IPSOS

     50,170        1,736,921  

Jacquet Metal Service

     44,978        1,494,160  

Kaufman & Broad S.A.

     43,832        2,114,181  

Korian S.A.

     63,804        2,101,076  

LISI

     15,684        822,135  

Neopost S.A.

     75,510        2,935,128  

Nexans S.A.

     21,189        1,256,740  

Rallye S.A.

     243,335        4,510,673  

Technicolor S.A. Registered Shares

     243,980        842,224  

Television Francaise 1

     203,407        2,973,382  
     

 

 

 
Total France        33,306,203  
Germany – 4.3%  

Aareal Bank AG

     138,832        5,879,854  

alstria office REIT-AG

     277,503        3,964,652  

AURELIUS Equity Opportunities SE & Co. KGaA(a)

     93,485        6,149,216  

Bechtle AG

     39,350        2,948,409  

Bertrandt AG(a)

     6,635        668,143  

Bilfinger SE(a)

     54,123        2,266,959  

Borussia Dortmund GmbH & Co. KGaA

     200,673        1,945,331  

Capital Stage AG(a)

     210,301        1,569,524  

 

See Notes to Financial Statements.

 

112   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Cewe Stiftung & Co. KGaA

     6,735      $ 640,234  

Comdirect Bank AG

     77,302        1,052,771  

CropEnergies AG

     108,793        1,348,528  

Deutz AG

     61,701        498,565  

Diebold Nixdorf AG

     19,928        1,675,036  

Elmos Semiconductor AG

     48,724        1,262,048  

Gerresheimer AG

     14,331        1,109,538  

Grammer AG

     20,035        1,306,722  

Hamburger Hafen und Logistik AG

     115,126        3,627,115  

Indus Holding AG

     31,518        2,331,393  

Jenoptik AG

     53,167        1,762,112  

Kloeckner & Co. SE

     112,632        1,444,715  

Leoni AG

     23,539        1,561,417  

MLP SE

     187,096        1,290,171  

NORMA Group SE

     27,056        1,779,678  

Pfeiffer Vacuum Technology AG

     15,731        2,480,864  

RHOEN-KLINIKUM AG

     95,270        3,208,776  

Sixt SE

     47,594        3,790,613  

Takkt AG

     68,720        1,576,070  

TLG Immobilien AG

     155,881        3,595,350  

VTG AG

     34,289        1,905,212  

Wacker Neuson SE

     92,076        3,055,481  

Washtec AG

     7,807        685,747  

Wuestenrot & Wuerttembergische AG

     141,734        3,853,830  

Zeal Network SE

     21,161        649,179  
     

 

 

 
Total Germany        72,883,253  
Hong Kong – 1.2%  

Chu Kong Shipping Enterprises Group Co., Ltd.

     2,360,000        610,342  

Dah Sing Financial Holdings Ltd.

     408,229        2,775,290  

Hong Kong Aircraft Engineering Co., Ltd.

     328,800        2,161,635  

Hongkong & Shanghai Hotels Ltd. (The)

     1,316,870        2,198,521  

Kowloon Development Co., Ltd.

     3,454,000        3,887,060  

Lai Sun Development Co., Ltd.

     770,934        1,387,754  

Miramar Hotel & Investment(a)

     465,000        1,023,980  

Television Broadcasts Ltd.

     872,800        2,899,761  

Vitasoy International Holdings Ltd.

     800,364        1,782,981  

Welling Holding Ltd.

     5,428,000        986,821  
     

 

 

 
Total Hong Kong        19,714,145  
Indonesia – 0.1%  

Bumitama Agri Ltd.

     2,095,100        1,133,988  
Ireland – 0.8%  

C&C Group PLC

     441,113        1,590,525  

Grafton Group PLC

     166,810        1,859,783  

Greencore Group PLC

     648,714        1,707,621  

Hostelworld Group PLC(b)

     228,579        1,101,722  

IFG Group PLC

     318,061        680,581  

Irish Continental Group PLC

     380,913        2,546,532  

Origin Enterprises PLC

     100,303        789,730  

UDG Healthcare PLC

     240,564        2,741,784  
     

 

 

 
Total Ireland        13,018,278  
Israel – 3.0%  

Amot Investments Ltd.

     730,709        4,062,482  

Ashtrom Properties Ltd.

     185,225        938,552  

Avgol Industries 1953 Ltd.

     1,163,773      $ 1,431,738  

B Communications Ltd.*

     77,505        1,106,431  

Delek Automotive Systems Ltd.

     492,320        3,679,230  

Delta-Galil Industries Ltd.

     33,410        1,054,525  

Direct Insurance Financial Investments Ltd.

     91,804        1,009,361  

Discount Investment Corp., Ltd. Registered Shares

     714,194        2,769,761  

El Al Israel Airlines

     1,620,042        1,091,921  

First International Bank of Israel Ltd.

     216,270        4,039,987  

Gazit-Globe Ltd.

     171,706        1,653,094  

Harel Insurance Investments & Financial Services Ltd.

     284,519        1,779,955  

Inrom Construction Industries Ltd.

     450,605        1,954,161  

Magic Software Enterprises Ltd.

     74,595        646,788  

Matrix IT Ltd.

     206,744        2,174,774  

Maytronics Ltd.

     232,448        1,088,348  

Mediterranean Towers Ltd.

     352,834        629,140  

Meitav Dash Investments Ltd.

     208,385        735,595  

Melisron Ltd.

     56,781        2,746,949  

Migdal Insurance & Financial Holding Ltd.

     672,594        701,420  

Nawi Brothers Ltd.

     78,875        430,702  

Oil Refineries Ltd.

     9,003,955        4,508,859  

Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.

     15,443        789,068  

Scope Metals Group Ltd.

     20,749        546,067  

Sella Capital Real Estate Ltd.

     937,561        1,868,169  

Shapir Engineering and Industry Ltd.

     311,392        1,070,118  

Shikun & Binui Ltd.

     548,596        1,343,304  

Shufersal Ltd.

     306,043        1,798,520  

Strauss Group Ltd.

     107,258        2,014,541  

ZUR Shamir Holdings Ltd.

     155,852        586,331  
     

 

 

 
Total Israel        50,249,891  
Italy – 4.5%  

Anima Holding SpA(b)

     440,511        3,556,872  

Ascopiave SpA

     782,021        3,241,314  

Astaldi SpA

     194,618        1,333,298  

ASTM SpA

     99,154        2,572,975  

Banca IFIS SpA

     86,283        4,718,692  

Banca Popolare di Sondrio SCPA

     431,482        1,856,756  

Banca Sistema SpA(a)(b)

     220,912        620,521  

Biesse SpA

     52,147        2,309,956  

BPER Banca

     268,711        1,607,410  

Cairo Communication SpA

     158,528        802,122  

Cerved Information Solutions SpA

     163,387        1,931,560  

CIR-Compagnie Industriali Riunite SpA

     813,345        1,257,689  

Cofide SpA

     1,371,385        1,023,820  

Credito Emiliano SpA

     300,610        2,702,672  

Datalogic SpA

     57,437        2,021,442  

Ei Towers SpA

     39,214        2,320,256  

Enav SpA(b)

     949,582        4,351,179  

ERG SpA

     224,449        3,584,790  

Esprinet SpA

     62,173        366,475  

Immobiliare Grande Distribuzione SIIQ SpA

     1,487,014        1,551,388  

IMMSI SpA*

     1,057,424        850,058  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      113  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Italmobiliare SpA

     31,944      $ 862,156  

Maire Tecnimont SpA(a)

     236,899        1,311,250  

MARR SpA

     130,334        3,436,001  

OVS SpA(b)

     215,302        1,644,263  

RAI Way SpA(b)

     354,919        1,917,504  

Saras SpA

     3,374,023        9,046,526  

Societa Cattolica di Assicurazioni SCRL

     368,908        3,205,503  

Societa Iniziative Autostradali e Servizi SpA

     296,265        4,731,800  

Tod’s SpA(a)

     52,998        3,756,119  

Zignago Vetro SpA

     134,586        1,291,953  
     

 

 

 
Total Italy        75,784,320  
Japan – 25.4%  

Adastria Co., Ltd.

     37,600        848,434  

ADEKA Corp.

     87,701        1,598,743  

Aeon Delight Co., Ltd.

     47,400        1,779,105  

Ai Holdings Corp.

     41,900        1,045,965  

Aica Kogyo Co., Ltd.

     43,100        1,447,324  

Aichi Corp.

     110,800        824,860  

Aida Engineering Ltd.

     79,500        937,911  

Aisan Industry Co., Ltd.

     125,400        1,205,373  

Akita Bank Ltd. (The)

     28,500        895,016  

Alinco, Inc.

     93,800        1,099,951  

Alpen Co., Ltd.

     47,400        923,029  

Alpine Electronics, Inc.

     60,600        1,102,014  

Amano Corp.

     86,000        2,034,540  

Aoyama Trading Co., Ltd.(a)

     65,701        2,349,278  

Arcs Co., Ltd.

     40,500        913,152  

Ariake Japan Co., Ltd.

     34,700        2,490,792  

Asahi Broadcasting Corp.

     105,400        831,477  

Asahi Holdings, Inc.

     42,700        878,164  

ASKUL Corp.(a)

     29,388        827,610  

Autobacs Seven Co., Ltd.

     51,603        836,174  

Avex Group Holdings, Inc.

     52,700        714,902  

Awa Bank Ltd. (The)

     86,000        566,890  

Bando Chemical Industries Ltd.

     87,200        925,723  

Bank of Saga Ltd. (The)

     17,100        413,505  

Bell System24 Holdings, Inc.

     79,100        864,327  

Belluna Co., Ltd.

     179,600        1,892,290  

BML, Inc.

     33,900        724,891  

C.I. Takiron Corp.

     122,000        780,349  

Capcom Co., Ltd.(a)

     49,700        1,221,252  

Central Glass Co., Ltd.

     52,400        1,141,428  

Chiyoda Co., Ltd.

     39,200        981,001  

Citizen Watch Co., Ltd.

     179,407        1,235,201  

CKD Corp.

     59,300        1,164,243  

COLOPL, Inc.(a)

     57,400        661,886  

CONEXIO Corp.

     79,500        1,377,911  

Cosmo Energy Holdings Co., Ltd.

     71,000        1,624,173  

Daido Metal Co., Ltd.

     78,200        697,489  

Daido Steel Co., Ltd.

     14,591        864,591  

Daiken Medical Co., Ltd.

     198,800        1,377,551  

Daikyo, Inc.

     37,600        738,205  

Daio Paper Corp.(a)

     56,900        671,285  

Daishi Bank Ltd. (The)

     28,191        1,327,328  

Daiwabo Holdings Co., Ltd.

     54,000      $ 2,276,285  

DCM Holdings Co., Ltd.

     145,000        1,308,755  

Denka Co., Ltd.

     94,600        3,113,694  

Denyo Co., Ltd.

     56,300        996,810  

Dexerials Corp.

     130,000        1,589,126  

DMG Mori Co., Ltd.

     74,100        1,329,738  

Doshisha Co., Ltd.

     41,000        919,327  

Doutor Nichires Holdings Co., Ltd.

     44,500        954,715  

Dowa Holdings Co., Ltd.

     36,600        1,341,225  

Dunlop Sports Co., Ltd.(a)

     75,600        1,077,266  

Eagle Industry Co., Ltd.

     72,800        1,335,513  

Earth Chemical Co., Ltd.

     34,500        1,556,967  

EDION Corp.(a)

     132,800        1,244,650  

Eighteenth Bank Ltd. (The)

     273,393        667,908  

Enplas Corp.

     27,800        1,286,705  

Exedy Corp.

     31,170        948,405  

Fancl Corp.

     57,100        1,232,648  

FIDEA Holdings Co., Ltd.

     708,400        1,296,410  

Fields Corp.(a)

     80,097        796,950  

Financial Products Group Co., Ltd.(a)

     63,800        707,913  

Foster Electric Co., Ltd.

     43,085        869,240  

France Bed Holdings Co., Ltd.

     142,100        1,309,090  

Fudo Tetra Corp.

     397,500        660,352  

Fuji Corp., Ltd.

     231,900        1,687,257  

Fuji Oil Co., Ltd.

     192,300        744,839  

Fuji Oil Holdings, Inc.

     54,400        1,420,349  

Fujikura Ltd.

     173,400        1,392,561  

Fujimi, Inc.

     58,141        1,353,774  

Fujimori Kogyo Co., Ltd.

     39,100        1,319,948  

Fujitec Co., Ltd.

     65,300        913,672  

Fujitsu General Ltd.

     46,600        942,225  

Fukuyama Transporting Co., Ltd.

     18,000        570,071  

Funai Soken Holdings, Inc.

     126,000        3,878,559  

GCA Corp.(a)

     80,200        735,276  

Geo Holdings Corp.(a)

     97,500        1,407,520  

Gfoot Co., Ltd.

     130,000        855,772  

Glory Ltd.

     19,377        685,980  

GMO Click Holdings, Inc.(a)

     151,500        958,273  

GMO Internet, Inc.(a)

     96,488        1,175,188  

Godo Steel Ltd.

     38,600        722,518  

GS Yuasa Corp.

     103,000        540,781  

GungHo Online Entertainment, Inc.(a)

     292,500        789,944  

Gunma Bank Ltd. (The)

     485,600        3,002,511  

Gunze Ltd.

     31,300        1,429,236  

Gurunavi, Inc.

     39,300        569,085  

H2O Retailing Corp.

     46,600        830,450  

Hanwa Co., Ltd.

     64,000        2,294,141  

Happinet Corp.

     135,100        2,201,158  

Hard Off Corp. Co., Ltd.

     85,600        867,673  

Hazama Ando Corp.

     125,200        875,338  

Heiwa Corp.(a)

     85,319        1,690,994  

Heiwado Co., Ltd.

     61,700        1,350,039  

Hiroshima Bank Ltd. (The)

     258,900        2,095,304  

Hitachi Kokusai Electric, Inc.

     76,100        2,082,246  

 

See Notes to Financial Statements.

 

114   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hitachi Transport System Ltd.

     44,431      $ 1,027,836  

Hitachi Zosen Corp.

     174,000        922,827  

Hokuetsu Bank Ltd. (The)

     42,800        972,235  

Hokuetsu Industries Co., Ltd.

     171,400        1,706,920  

Hokuetsu Kishu Paper Co., Ltd.(a)

     231,500        1,445,782  

Hokuhoku Financial Group, Inc.

     168,000        2,701,373  

Hokuriku Electric Power Co.(a)

     223,000        1,870,137  

Horiba Ltd.

     33,000        1,864,523  

Hosokawa Micron Corp.

     31,600        1,821,916  

Hyakugo Bank Ltd. (The)

     186,600        833,828  

Hyakujushi Bank Ltd. (The)

     176,000        609,781  

Ibiden Co., Ltd.(a)

     91,500        1,457,465  

Ichigo, Inc.(a)

     297,700        1,018,207  

Ichiyoshi Securities Co., Ltd.

     146,100        1,431,602  

Idec Corp.

     74,600        1,530,902  

Iino Kaiun Kaisha Ltd.

     212,400        988,741  

Imasen Electric Industrial

     98,600        1,228,066  

Inaba Denki Sangyo Co., Ltd.

     39,000        1,617,998  

Inabata & Co., Ltd.

     60,100        800,871  

Itochu Enex Co., Ltd.

     183,901        1,973,548  

Iwatani Corp.

     19,000        578,110  

Iyo Bank Ltd. (The)(a)

     213,500        1,727,877  

Japan Radio Co., Ltd.(a)

     36,400        550,917  

Japan Wool Textile Co., Ltd. (The)

     94,400        852,045  

K’s Holdings Corp.(a)

     77,401        1,714,216  

kabu.com Securities Co., Ltd.

     558,101        1,695,647  

Kaga Electronics Co., Ltd.

     58,200        1,721,725  

Kandenko Co., Ltd.

     143,000        1,500,315  

Kaneka Corp.

     153,000        1,187,954  

Kansai Urban Banking Corp.

     74,600        927,157  

Kasai Kogyo Co., Ltd.

     48,100        728,989  

Kato Sangyo Co., Ltd.

     45,800        1,377,275  

Kato Works Co., Ltd.

     47,300        1,411,878  

Keiyo Bank Ltd. (The)

     189,000        876,454  

Kintetsu World Express, Inc.

     59,200        981,364  

Kitagawa Iron Works Co., Ltd.

     48,300        1,136,647  

Kitano Construction Corp.

     305,000        1,240,972  

Kito Corp.

     71,700        893,025  

Kiyo Bank Ltd. (The)

     49,850        836,111  

Koa Corp.

     88,000        1,632,337  

Kobe Bussan Co., Ltd.(a)

     15,100        677,431  

Koei Tecmo Holdings Co., Ltd.

     57,700        1,211,257  

Kohnan Shoji Co., Ltd.

     73,600        1,381,573  

Kokuyo Co., Ltd.

     125,600        2,125,599  

Konoike Transport Co., Ltd.

     47,400        721,748  

Kumagai Gumi Co., Ltd.

     17,900        539,870  

Kurabo Industries Ltd.

     373,955        1,026,537  

Kuroda Electric Co., Ltd.

     56,200        979,562  

KYB Corp.

     15,080        910,964  

Kyoei Steel Ltd.

     36,900        574,980  

KYORIN Holdings, Inc.

     48,790        981,738  

Kyosan Electric Manufacturing Co., Ltd.

     315,000        1,648,248  

Kyoto Kimono Yuzen Co., Ltd.(a)

     195,800        1,589,848  

Kyowa Exeo Corp.

     91,300        1,812,779  

Kyudenko Corp.

     36,300      $ 1,406,014  

Leopalace21 Corp.

     246,200        1,714,750  

Lintec Corp.

     51,230        1,388,100  

Macnica Fuji Electronics Holdings, Inc.

     56,400        1,038,163  

Maeda Road Construction Co., Ltd.

     54,000        1,161,409  

Mandom Corp.

     60,460        1,662,361  

Marubun Corp.

     123,300        933,253  

Maruha Nichiro Corp.

     45,700        1,343,819  

Matsui Securities Co., Ltd.(a)

     134,640        1,014,300  

Max Co., Ltd.

     58,547        810,863  

MegaChips Corp.(a)

     40,100        1,314,520  

Megmilk Snow Brand Co., Ltd.

     49,200        1,337,467  

Meitec Corp.

     45,000        2,254,697  

Minato Bank Ltd. (The)(a)

     37,721        684,283  

Ministop Co., Ltd.

     42,800        830,791  

Miraca Holdings, Inc.

     34,700        1,612,233  

Mitsubishi Research Institute, Inc.

     27,600        812,810  

Mitsubishi Shokuhin Co., Ltd.

     37,700        1,100,204  

Mitsubishi Steel Manufacturing Co., Ltd.

     47,800        1,220,001  

Mitsui Matsushima Co., Ltd.

     56,500        760,929  

Mitsui Mining & Smelting Co., Ltd.

     46,564        2,411,667  

Miyazaki Bank Ltd. (The)

     17,265        625,768  

Morinaga Milk Industry Co., Ltd.

     60,600        2,314,929  

MTI Ltd.

     105,800        634,433  

Musashino Bank Ltd. (The)

     16,345        485,711  

Nachi-Fujikoshi Corp.

     279,000        1,568,933  

Nagaileben Co., Ltd.

     39,300        987,693  

Nagase & Co., Ltd.

     101,300        1,696,358  

Nanto Bank Ltd. (The)

     19,500        547,417  

NEC Networks & System Integration Corp.

     42,401        1,011,386  

NHK Spring Co., Ltd.

     144,100        1,552,821  

Nichi-iko Pharmaceutical Co., Ltd.(a)

     41,800        649,475  

Nichias Corp.

     131,000        1,616,479  

Nichiha Corp.

     62,401        2,339,379  

Nichireki Co., Ltd.

     125,000        1,594,634  

Nihon Kohden Corp.

     33,000        712,975  

Nihon Nohyaku Co., Ltd.

     139,200        779,070  

Nihon Parkerizing Co., Ltd.

     73,501        1,175,337  

Nihon Unisys Ltd.

     81,600        1,304,121  

Nikkon Holdings Co., Ltd.

     60,200        1,487,819  

Nippo Corp.

     45,000        962,244  

Nippon Denko Co., Ltd.(a)

     371,500        1,478,541  

Nippon Flour Mills Co., Ltd.

     136,897        2,084,497  

Nippon Kayaku Co., Ltd.

     98,699        1,519,525  

Nippon Koei Co., Ltd.

     40,200        1,366,011  

Nippon Light Metal Holdings Co., Ltd.

     542,200        1,541,367  

Nippon Paper Industries Co., Ltd.(a)

     93,038        1,729,094  

Nippon Shokubai Co., Ltd.

     26,200        1,850,398  

Nippon Steel & Sumikin Bussan Corp.

     35,873        1,975,859  

Nippon Thompson Co., Ltd.

     135,800        751,596  

Nipro Corp.(a)

     209,091        2,879,146  

Nishi-Nippon Railroad Co., Ltd.(a)

     56,600        1,361,140  

Nishimatsu Construction Co., Ltd.

     54,400        1,570,648  

Nishimatsuya Chain Co., Ltd.

     81,600        912,667  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      115  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Nishio Rent All Co., Ltd.

     17,300      $ 575,565  

Nisshinbo Holdings, Inc.

     128,900        1,524,150  

Nissin Electric Co., Ltd.

     58,000        714,147  

Nitta Corp.

     30,100        1,093,670  

Noevir Holdings Co., Ltd.

     42,100        2,318,838  

NOF Corp.

     46,900        1,324,941  

Noritake Co., Ltd.

     34,200        1,634,576  

North Pacific Bank Ltd.

     393,300        1,243,857  

NS Solutions Corp.

     87,000        1,918,305  

NS United Kaiun Kaisha Ltd.

     52,500        1,148,736  

NSD Co., Ltd.

     91,400        1,694,592  

NTN Corp.

     462,000        1,953,645  

Obara Group, Inc.

     12,500        707,369  

Ogaki Kyoritsu Bank Ltd. (The)

     31,400        878,692  

Ohsho Food Service Corp.

     39,800        1,598,152  

Oita Bank Ltd. (The)

     36,000        1,493,537  

Okamura Corp.

     60,600        691,787  

Okasan Securities Group, Inc.

     380,000        2,180,784  

Oki Electric Industry Co., Ltd.

     60,200        801,668  

OKUMA Corp.

     17,200        941,252  

Okumura Corp.

     51,000        1,948,208  

Okuwa Co., Ltd.

     69,000        712,282  

Onoken Co., Ltd.

     79,200        1,325,570  

Onward Holdings Co., Ltd.

     169,000        1,283,658  

Open House Co., Ltd.

     28,700        1,002,008  

OSG Corp.

     45,300        1,030,231  

Paltac Corp.

     91,276        3,555,681  

Paramount Bed Holdings Co., Ltd.

     27,800        1,194,092  

Penta-Ocean Construction Co., Ltd.

     118,900        749,958  

Plenus Co., Ltd.

     55,400        1,224,002  

Press Kogyo Co., Ltd.

     137,000        749,718  

Raysum Co., Ltd.

     74,100        628,663  

Rengo Co., Ltd.

     266,100        1,581,494  

Resorttrust, Inc.(a)

     58,900        1,053,309  

Riso Kagaku Corp.

     44,500        809,235  

Rohto Pharmaceutical Co., Ltd.

     49,400        1,112,504  

Roland DG Corp.

     38,500        985,373  

Round One Corp.

     129,900        1,746,002  

Ryobi Ltd.

     50,200        1,351,273  

Ryoden Corp.

     26,401        399,649  

Ryosan Co., Ltd.

     38,686        1,534,518  

Sac’s Bar Holdings, Inc.

     50,100        648,921  

Saibu Gas Co., Ltd.

     45,500        1,139,875  

Saizeriya Co., Ltd.

     47,801        1,314,299  

San-Ai Oil Co., Ltd.

     96,600        1,070,139  

San-In Godo Bank Ltd. (The)

     93,187        807,154  

Sangetsu Corp.

     72,200        1,239,840  

Sankyu, Inc.

     68,800        2,909,323  

Sanoh Industrial Co., Ltd.

     180,000        1,506,330  

Sanrio Co., Ltd.(a)

     53,673        1,018,006  

Sanshin Electronics Co., Ltd.

     58,500        867,379  

Sanwa Holdings Corp.

     229,500        2,632,119  

Sanyo Chemical Industries Ltd.

     18,000        1,047,395  

Sanyo Denki Co., Ltd.

     24,200        1,365,167  

Sanyo Housing Nagoya Co., Ltd.

     117,700      $ 1,132,404  

Sapporo Holdings Ltd.

     57,600        1,553,023  

Sato Holdings Corp.

     27,000        638,511  

Sawai Pharmaceutical Co., Ltd.(a)

     26,900        1,527,038  

Seiko Holdings Corp.(a)

     24,200        544,562  

Seino Holdings Co., Ltd.

     135,483        1,900,481  

Senko Group Holdings Co., Ltd.

     193,800        1,380,781  

Senshu Ikeda Holdings, Inc.

     321,200        1,235,549  

Shibusawa Warehouse Co., Ltd. (The)

     62,600        1,115,027  

Shiga Bank Ltd. (The)(a)

     133,000        739,644  

Shimachu Co., Ltd.

     59,600        1,565,119  

Shinko Plantech Co., Ltd.

     126,600        1,110,063  

Shinmaywa Industries Ltd.

     102,800        932,428  

Ship Healthcare Holdings, Inc.

     51,800        1,599,120  

Shoei Co., Ltd.

     37,000        1,140,585  

Sotetsu Holdings, Inc.(a)

     67,000        1,618,976  

St. Marc Holdings Co., Ltd.

     25,800        758,655  

Star Micronics Co., Ltd.

     43,500        748,927  

Starts Corp., Inc.

     47,500        1,220,784  

Sumitomo Bakelite Co., Ltd.

     353,000        2,599,716  

Sumitomo Osaka Cement Co., Ltd.

     392,000        1,734,251  

Sumitomo Riko Co., Ltd.

     76,950        773,841  

Sumitomo Seika Chemicals Co., Ltd.

     12,200        583,094  

T-Gaia Corp.

     80,900        1,571,788  

Tadano Ltd.

     56,100        655,368  

Taiho Kogyo Co., Ltd.

     44,800        680,169  

Taikisha Ltd.

     19,400        534,269  

Taiyo Holdings Co., Ltd.

     38,659        1,799,611  

Taiyo Yuden Co., Ltd.

     53,600        792,822  

Takara Leben Co., Ltd.(a)

     165,900        810,598  

Takasago Thermal Engineering Co., Ltd.

     122,601        2,023,654  

Tamron Co., Ltd.

     41,800        806,924  

Tatsuta Electric Wire and Cable Co., Ltd.

     333,800        2,544,311  

TechnoPro Holdings, Inc.

     41,000        1,941,367  

TIS, Inc.

     55,200        1,628,073  

Toagosei Co., Ltd.

     130,600        1,748,449  

Tocalo Co., Ltd.

     46,400        1,786,914  

Toda Corp.

     159,000        1,238,778  

Toei Co., Ltd.

     6,700        743,419  

Toho Bank Ltd. (The)

     144,472        542,901  

Toho Holdings Co., Ltd.

     39,400        752,893  

TOKAI Holdings Corp.

     196,400        1,517,950  

Tokai Rika Co., Ltd.

     41,722        825,063  

Tokai Tokyo Financial Holdings, Inc.

     467,500        2,770,155  

Tokyo Ohka Kogyo Co., Ltd.

     14,700        522,365  

Tokyo Seimitsu Co., Ltd.

     41,200        1,458,553  

Tokyu Construction Co., Ltd.

     92,800        760,933  

TOMONY Holdings, Inc.

     210,090        949,992  

Topcon Corp.

     53,000        933,203  

Toppan Forms Co., Ltd.

     101,300        1,074,510  

Topy Industries Ltd.

     18,100        604,593  

Toshiba Plant Systems & Services Corp.

     52,300        879,062  

Towa Bank Ltd. (The)

     93,400        1,000,670  

Toyo Ink SC Holdings Co., Ltd.

     360,001        2,024,436  

 

See Notes to Financial Statements.

 

116   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Toyo Kohan Co., Ltd.

     216,300      $ 1,006,896  

Toyo Tire & Rubber Co., Ltd.

     123,900        2,783,664  

Toyobo Co., Ltd.

     98,869        1,882,265  

TPR Co., Ltd.

     26,300        882,001  

Trusco Nakayama Corp.

     43,000        1,047,448  

TS Tech Co., Ltd.

     46,233        1,552,532  

Tsubaki Nakashima Co., Ltd.(a)

     39,700        832,337  

Tsubakimoto Chain Co.

     99,000        790,663  

Tsumura & Co.

     75,601        2,720,064  

Ube Industries Ltd.

     80,077        2,312,005  

UKC Holdings Corp.

     31,400        542,279  

Union Tool Co.

     15,100        468,165  

Universal Entertainment Corp.(a)

     31,700        932,146  

Unizo Holdings Co., Ltd.

     26,800        621,163  

Valor Holdings Co., Ltd.

     50,700        1,082,777  

Vital KSK Holdings, Inc.

     99,700        826,368  

VT Holdings Co., Ltd.

     124,100        709,993  

Wacoal Holdings Corp.

     45,168        1,288,049  

Wowow, Inc.

     25,400        804,433  

Xebio Holdings Co., Ltd.

     40,600        794,579  

YAMABIKO Corp.

     83,200        1,142,693  

Yamanashi Chuo Bank Ltd. (The)

     169,000        710,141  

Yamatane Corp.

     73,400        1,240,885  

Yamazen Corp.

     105,800        1,143,860  

Yorozu Corp.

     33,700        720,015  

Yuasa Trading Co., Ltd.

     27,348        965,738  

Yumeshin Holdings Co., Ltd.(a)

     146,900        1,016,613  

Zenrin Co., Ltd.

     51,800        1,573,811  

Zeon Corp.

     68,000        881,375  

Zojirushi Corp.(a)

     52,600        503,734  
     

 

 

 
Total Japan        426,332,221  
Netherlands – 1.6%  

Accell Group

     56,096        1,734,180  

Amsterdam Commodities N.V.

     42,903        1,256,839  

Arcadis N.V.

     68,780        1,482,718  

BE Semiconductor Industries N.V.

     91,801        6,386,819  

Beter Bed Holding N.V.

     55,604        1,053,404  

Corbion N.V.

     101,155        3,258,701  

Flow Traders(b)

     67,745        1,822,004  

Intertrust N.V.(b)

     109,546        1,779,402  

Koninklijke BAM Groep N.V.

     194,526        1,112,588  

PostNL N.V.

     540,198        2,327,138  

Refresco Group N.V.(b)

     80,848        1,628,657  

TKH Group N.V. CVA

     53,224        3,458,159  
     

 

 

 
Total Netherlands        27,300,609  
New Zealand – 4.2%  

Air New Zealand Ltd.

     3,503,869        8,536,032  

Chorus Ltd.(a)

     797,592        2,260,191  

Contact Energy Ltd.

     1,371,446        5,452,801  

EBOS Group Ltd.(a)

     290,037        3,591,609  

Fonterra Co-operative Group Ltd.(a)

     262,930        1,186,050  

Freightways Ltd.

     301,840        1,697,597  

Genesis Energy Ltd.

     4,504,667        7,782,854  

Heartland Bank Ltd.

     1,531,920      $ 2,015,514  

Infratil Ltd.

     1,332,643        3,005,707  

Investore Property Ltd.(a)

     1,118,583        1,083,556  

Kathmandu Holdings Ltd.

     895,917        1,534,951  

Kiwi Property Group Ltd.

     2,843,090        2,774,615  

Mainfreight Ltd.

     100,745        1,814,888  

Metro Performance Glass Ltd.(a)

     1,005,253        726,697  

Michael Hill International Ltd.

     927,771        797,133  

NZME Ltd.

     859,625        546,852  

NZX Ltd.(a)

     1,311,520        1,118,756  

Port of Tauranga Ltd.(a)

     419,750        1,298,712  

Restaurant Brands New Zealand Ltd.(a)

     346,547        1,708,539  

Scales Corp., Ltd.

     362,411        969,352  

Skellerup Holdings Ltd.(a)

     394,331        481,755  

SKY Network Television Ltd.

     1,400,121        2,732,799  

SKYCITY Entertainment Group Ltd.(a)

     1,265,258        3,429,957  

Steel & Tube Holdings Ltd.(a)

     298,439        457,372  

Tegel Group Holdings Ltd.(a)

     1,451,804        1,374,857  

Trade Me Group Ltd.(a)

     1,142,383        3,774,037  

Trustpower Ltd.

     757,777        3,007,406  

Z Energy Ltd.

     954,495        5,078,433  
     

 

 

 
Total New Zealand        70,239,022  
Norway – 3.3%  

American Shipping Co. ASA*

     440,187        1,271,849  

Arcus ASA(b)

     194,748        1,061,777  

Atea ASA*

     251,885        3,322,478  

Austevoll Seafood ASA

     796,638        8,306,340  

Borregaard ASA

     154,174        1,728,582  

Ekornes ASA

     105,513        1,497,804  

Entra ASA(b)

     298,353        4,085,333  

Europris ASA(b)

     511,184        2,459,499  

Grieg Seafood ASA

     293,009        2,885,809  

Norway Royal Salmon ASA

     119,452        2,513,500  

Ocean Yield ASA

     514,601        4,622,184  

Protector Forsikring ASA

     136,740        1,344,159  

Selvaag Bolig ASA

     257,767        1,100,973  

SpareBank 1 Nord Norge

     178,350        1,383,505  

SpareBank 1 SMN

     193,867        1,978,781  

SpareBank 1 SR-Bank ASA

     350,008        3,770,359  

Sparebanken Vest

     245,741        1,728,766  

TGS Nopec Geophysical Co. ASA

     129,708        3,087,781  

Tomra Systems ASA

     175,829        2,639,544  

Veidekke ASA

     234,541        2,939,018  

Weifa ASA

     212,675        929,750  
     

 

 

 
Total Norway        54,657,791  
Portugal – 1.2%  

Altri, SGPS, S.A.

     735,792        3,886,503  

CTT-Correios de Portugal S.A.

     319,254        1,924,097  

Mota-Engil, SGPS, S.A.

     488,767        1,832,845  

REN - Redes Energeticas Nacionais, SGPS, S.A.

     1,544,362        5,028,098  

Semapa-Sociedade de Investimento e Gestao

     116,297        2,228,652  

Sonae Capital, SGPS, S.A.

     927,836        955,389  

Sonae, SGPS, S.A.

     3,766,797        4,546,620  
     

 

 

 
Total Portugal        20,402,204  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      117  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Singapore – 3.7%  

Accordia Golf Trust

     1,138,200      $ 611,868  

Asian Pay Television Trust

     3,768,617        1,581,878  

Boustead Singapore Ltd.

     1,235,000        836,702  

Bukit Sembawang Estates Ltd.(a)

     530,500        2,472,893  

Centurion Corp., Ltd.

     2,057,200        765,040  

China Aviation Oil Singapore Corp., Ltd.(a)

     833,100        981,597  

Chip Eng Seng Corp., Ltd.

     992,260        558,989  

CITIC Envirotech Ltd.

     1,180,400        634,554  

CWT Ltd.(a)

     941,476        1,622,338  

Far East Orchard Ltd.

     1,206,300        1,301,395  

GuocoLand Ltd.(a)

     2,290,600        3,829,053  

Ho Bee Land Ltd.(a)

     616,700        1,058,147  

Hong Fok Corp., Ltd.

     823,800        494,420  

iFAST Corp., Ltd.

     1,238,700        848,331  

Indofood Agri Resources Ltd.

     1,403,100        464,962  

Japfa Ltd.(a)

     2,319,600        956,571  

Jumbo Group Ltd.(a)

     1,497,300        634,005  

Keppel Infrastructure Trust

     10,190,288        4,127,294  

Keppel Telecommunications & Transportation Ltd.

     771,600        846,632  

Lian Beng Group Ltd.

     2,304,600        1,077,669  

OUE Ltd.

     1,539,300        2,210,416  

Oxley Holdings Ltd.

     2,391,400        959,765  

Q&M Dental Group Singapore Ltd.(a)

     1,946,200        924,407  

QAF Ltd.

     1,011,800        901,563  

Raffles Medical Group Ltd.(a)

     1,828,500        1,514,829  

Sembcorp Marine Ltd.(a)

     2,193,300        2,818,446  

Sheng Siong Group Ltd.(a)

     2,751,500        1,864,119  

SIIC Environment Holdings Ltd.

     3,249,900        1,280,383  

Singapore Post Ltd.(a)

     4,943,800        4,550,794  

UMS Holdings Ltd.(a)

     2,681,568        1,974,718  

United Engineers Ltd.

     1,102,389        2,199,988  

UPP Holdings Ltd.(a)

     3,810,800        729,635  

Venture Corp., Ltd.

     733,744        9,531,459  

Wheelock Properties Singapore Ltd.

     1,530,300        2,118,608  

Wing Tai Holdings Ltd.

     862,300        1,371,603  

Yanlord Land Group Ltd.

     1,317,800        1,795,302  
     

 

 

 
Total Singapore        62,450,373  
Spain – 1.0%  

Applus Services S.A.

     90,056        1,128,520  

Construcciones y Auxiliar de Ferrocarriles S.A.

     18,222        737,384  

Elecnor S.A.

     49,205        685,826  

Ence Energia y Celulosa S.A.

     723,594        3,763,902  

Euskaltel S.A.(b)

     99,990        900,037  

Faes Farma S.A.

     415,815        1,391,161  

Obrascon Huarte Lain S.A.*(a)

     177,034        639,589  

Papeles y Cartones de Europa S.A.

     133,610        1,255,731  

Saeta Yield S.A.

     236,246        2,697,940  

Tecnicas Reunidas S.A.(a)

     120,528        3,810,845  
     

 

 

 
Total Spain        17,010,935  
Sweden – 5.1%  

Acando AB

     609,288        2,194,597  

AddTech AB Class B

     59,437        1,190,582  

AF AB Class B

     106,013      $ 2,470,327  

Alimak Group AB(b)

     56,069        1,020,080  

Atrium Ljungberg AB Class B

     186,632        3,246,828  

Avanza Bank Holding AB

     37,065        1,549,380  

Bergman & Beving AB Class B

     34,918        467,364  

Betsson AB*

     220,803        2,008,566  

Bilia AB Class A

     283,911        3,130,470  

Bravida Holding AB(b)

     146,140        1,067,983  

Bulten AB

     49,017        756,662  

Byggmax Group AB

     98,586        827,353  

Capio AB(b)

     91,408        534,180  

Clas Ohlson AB Class B

     104,687        1,936,665  

Com Hem Holding AB

     184,743        2,634,546  

Coor Service Management Holding AB(b)

     188,445        1,339,052  

Dometic Group AB(b)

     311,500        2,642,790  

Duni AB

     121,337        1,902,778  

Dustin Group AB(b)

     93,499        787,525  

Evolution Gaming Group AB(b)

     14,001        890,248  

Granges AB

     83,385        952,624  

Hemfosa Fastigheter AB

     319,320        4,049,032  

HIQ International AB*

     165,489        1,236,755  

Intrum Justitia AB(a)

     91,903        3,242,701  

Inwido AB

     60,978        775,079  

ITAB Shop Concept AB Class B

     100,927        788,265  

KappAhl AB

     124,736        783,196  

KNOW IT AB

     133,571        2,135,539  

Kungsleden AB

     245,950        1,688,913  

Lifco AB Class B

     35,871        1,167,230  

Loomis AB Class B

     90,726        3,597,984  

Magnolia Bostad AB(a)

     75,283        756,303  

Mekonomen AB

     45,659        1,032,066  

Modern Times Group MTG AB Class B

     126,331        4,565,798  

MQ Holding AB

     254,217        1,002,871  

Mycronic AB(a)

     225,933        3,093,228  

NetEnt AB*

     249,002        1,927,990  

Nobia AB

     245,082        2,438,104  

Nobina AB(b)

     225,879        1,317,248  

Nolato AB Class B

     51,989        2,503,161  

Nordax Group AB(b)

     239,166        1,406,454  

Nordic Waterproofing Holding A/S(b)

     51,362        585,207  

NP3 Fastigheter AB

     191,999        1,138,490  

Platzer Fastigheter Holding AB Class B

     150,194        933,842  

Recipharm AB Class B(a)

     32,504        384,281  

Resurs Holding AB(a)(b)

     521,091        3,677,230  

Rottneros AB

     670,067        545,915  

Scandi Standard AB

     110,470        808,662  

Thule Group AB(b)

     58,626        1,256,936  

Wihlborgs Fastigheter AB

     129,512        3,160,706  
     

 

 

 
Total Sweden        85,549,786  
Switzerland – 1.4%  

Ascom Holding AG Registered Shares

     50,909        1,120,671  

Daetwyler Holding AG Bearer Shares

     5,346        846,432  

EFG International AG*

     503,020        4,356,457  

GAM Holding AG*

     365,966        5,673,305  

 

See Notes to Financial Statements.

 

118   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Implenia AG Registered Shares

     24,198      $ 1,601,780  

Kudelski S.A. Bearer Shares

     55,253        690,948  

Mobilezone Holding AG Registered Shares

     138,701        1,748,814  

Oriflame Holding AG

     64,119        2,180,675  

Tecan Group AG Registered Shares

     8,264        1,711,560  

Valiant Holding AG Registered Shares

     20,681        2,248,492  

Zehnder Group AG

     16,606        583,510  
     

 

 

 
Total Switzerland        22,762,644  
United Kingdom – 16.1%  

A.G. Barr PLC

     87,012      $ 721,451  

AA PLC

     1,394,145        3,170,420  

Abcam PLC

     150,837        2,064,178  

Ascential PLC

     171,462        790,194  

AVEVA Group PLC

     18,536        605,556  

Balfour Beatty PLC

     356,269        1,286,744  

BCA Marketplace PLC(a)

     1,150,422        3,387,902  

BGEO Group PLC

     57,208        2,502,151  

Big Yellow Group PLC

     235,105        2,387,794  

Bodycote PLC

     107,984        1,327,795  

Bovis Homes Group PLC

     154,190        2,263,147  

Braemar Shipping Services PLC(a)

     191,660        809,993  

Brewin Dolphin Holdings PLC

     512,397        2,399,914  

Britvic PLC

     449,280        4,553,976  

Card Factory PLC

     429,155        1,773,965  

Carillion PLC(a)

     540,810        371,859  

Central Asia Metals PLC(a)

     403,905        1,257,206  

Chesnara PLC

     405,946        2,147,233  

Cineworld Group PLC

     311,099        2,827,790  

Clarkson PLC

     33,153        1,272,565  

Clinigen Group PLC*

     58,331        834,249  

CMC Markets PLC(b)

     872,095        1,895,475  

Communisis PLC

     912,249        709,873  

Computacenter PLC

     150,678        1,995,291  

Concentric AB

     51,709        872,655  

Connect Group PLC

     1,117,164        1,513,831  

Consort Medical PLC

     95,925        1,398,945  

Costain Group PLC

     212,338        1,276,989  

Countryside Properties PLC(b)

     385,550        1,795,972  

Cranswick PLC

     64,130        2,539,901  

Crest Nicholson Holdings PLC

     507,967        3,768,771  

Dairy Crest Group PLC(a)

     304,818        2,513,053  

De La Rue PLC

     81,067        705,331  

Debenhams PLC

     3,173,665        2,107,684  

Dechra Pharmaceuticals PLC

     98,643        2,699,825  

Devro PLC

     267,232        854,202  

DFS Furniture PLC

     296,875        876,265  

Dignity PLC

     17,089        528,707  

Diploma PLC

     125,422        1,790,418  

Domino’s Pizza Group PLC

     698,823        2,908,360  

Drax Group PLC

     108,905        454,848  

Dunelm Group PLC

     458,244        4,349,731  

Elegant Hotels Group PLC(a)

     982,580        1,146,902  

Elementis PLC

     870,742        3,164,737  

EMIS Group PLC

     79,937        989,358  

Epwin Group PLC

     410,285        432,110  

Equiniti Group PLC(b)

     302,230      $ 1,221,326  

Essentra PLC

     398,374        2,952,993  

esure Group PLC

     221,094        837,389  

Euromoney Institutional Investor PLC

     129,513        2,034,742  

FDM Group Holdings PLC

     139,470        1,800,093  

Fenner PLC

     737,113        3,335,225  

Ferrexpo PLC

     225,388        884,194  

Fidessa Group PLC

     34,036        1,026,079  

Galliford Try PLC

     191,613        3,478,259  

Games Workshop Group PLC

     93,191        2,461,834  

Gamma Communications PLC

     75,284        600,978  

Gattaca PLC

     177,078        715,106  

Genus PLC

     50,549        1,422,844  

Go-Ahead Group PLC

     101,339        2,315,423  

Greggs PLC

     193,729        3,241,158  

Halfords Group PLC

     279,429        1,314,010  

Hastings Group Holdings PLC(b)

     743,448        3,034,233  

Helical PLC

     157,154        633,591  

Henry Boot PLC

     276,363        1,116,055  

Hill & Smith Holdings PLC

     153,238        2,598,679  

Hilton Food Group PLC

     68,272        664,995  

Huntsworth PLC

     785,664        774,753  

Ibstock PLC(b)

     481,804        1,471,881  

ITE Group PLC

     392,196        945,826  

J D Wetherspoon PLC

     74,129        1,248,162  

James Fisher & Sons PLC

     57,053        1,190,277  

James Halstead PLC

     227,503        1,339,194  

John Laing Group PLC(b)

     399,245        1,527,665  

John Menzies PLC

     89,583        864,760  

Johnson Service Group PLC

     553,480        1,095,300  

Just Group PLC

     911,536        1,796,531  

Kcom Group PLC

     1,263,046        1,677,620  

Keller Group PLC

     71,955        790,167  

Kier Group PLC

     51,812        808,443  

Lookers PLC

     600,566        966,899  

Low & Bonar PLC

     983,712        1,045,939  

M&C Saatchi PLC

     115,781        502,517  

Marshalls PLC

     259,844        1,519,982  

Marston’s PLC

     1,286,867        1,876,732  

McBride PLC*

     279,413        789,111  

McCarthy & Stone PLC(b)

     816,937        1,638,585  

McColl’s Retail Group PLC

     397,127        1,439,906  

Millennium & Copthorne Hotels PLC

     189,833        1,146,102  

Mitchells & Butlers PLC

     343,577        1,161,619  

Moneysupermarket.com Group PLC

     668,116        2,850,481  

Morgan Advanced Materials PLC

     341,225        1,424,230  

Morgan Sindall Group PLC

     36,929        707,514  

N Brown Group PLC

     397,179        1,871,457  

National Express Group PLC

     904,806        4,296,108  

NCC Group PLC(a)

     296,617        861,575  

Northgate PLC

     211,376        1,230,083  

Novae Group PLC

     142,895        1,368,845  

Numis Corp. PLC

     260,902        982,735  

OneSavings Bank PLC

     293,556        1,587,607  

Oxford Instruments PLC

     48,818        634,990  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      119  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Pagegroup PLC

     1,035,709      $ 6,918,613  

Pan African Resources PLC

     6,624,217        1,155,359  

PayPoint PLC

     79,505        1,018,145  

Pendragon PLC

     2,100,065        901,617  

Pets at Home Group PLC(a)

     1,163,464        3,335,774  

Photo-Me International PLC

     1,050,754        2,452,954  

Polar Capital Holdings PLC

     132,342        788,795  

Polypipe Group PLC

     202,331        1,144,464  

QinetiQ Group PLC

     543,186        1,799,322  

Rank Group PLC

     721,828        2,149,938  

Redde PLC

     932,316        2,251,515  

Redrow PLC

     322,900        2,566,821  

Renewi PLC(a)

     800,752        1,093,129  

Restaurant Group PLC (The)

     351,564        1,423,989  

Ricardo PLC

     94,411        1,050,065  

Rotork PLC

     895,952        3,130,148  

RPS Group PLC

     186,833        723,167  

RWS Holdings PLC

     426,894        2,272,355  

Safestore Holdings PLC

     216,897        1,270,796  

Savills PLC

     186,419        2,329,765  

Senior PLC

     159,910        591,925  

Servelec Group PLC

     124,008        410,947  

SIG PLC

     629,667        1,502,886  

Soco International PLC

     947,869        1,468,823  

Spire Healthcare Group PLC(b)

     122,581        369,872  

Spirent Communications PLC

     652,320        840,178  

St. Modwen Properties PLC

     178,380        894,591  

SThree PLC

     293,488        1,385,044  

Stock Spirits Group PLC

     461,109        1,484,752  

SuperGroup PLC

     120,998        2,758,105  

Synthomer PLC

     354,134        2,320,030  

TalkTalk Telecom Group PLC(a)

     4,096,789        11,526,068  

TBC Bank Group PLC

     41,881        932,748  

Ted Baker PLC

     47,331        1,682,793  

Telecom Plus PLC

     155,134        2,260,351  

Thomas Cook Group PLC

     472,482        762,588  

Topps Tiles PLC

     606,513        614,365  

TT electronics PLC

     205,314        628,048  

Tyman PLC

     120,961        523,377  

U & I Group PLC

     264,684        660,511  

Ultra Electronics Holdings PLC

     82,843        1,998,410  

Unite Group PLC (The)

     351,575        3,242,872  

Vedanta Resources PLC

     784,727        9,180,667  

Vertu Motors PLC

     973,380        623,584  

Vesuvius PLC

     536,655        4,248,018  

Victrex PLC

     128,768        4,096,177  

Virgin Money Holdings UK PLC

     231,190        888,654  

Volution Group PLC

     324,673        866,839  

WH Smith PLC

     151,652        4,112,005  

Wincanton PLC

     147,334        466,009  

Xaar PLC

     183,004        1,093,824  

ZPG PLC(b)

     285,956        1,387,672  
     

 

 

 
Total United Kingdom        270,767,582  

TOTAL COMMON STOCKS

(Cost: $1,331,239,138)

 

 

     1,668,798,320  
RIGHTS – 0.0%  
United Kingdom – 0.0%  
Equiniti Group PLC, expiring 10/16/17*
(Cost $0)
     64,764      $ 99,924  
EXCHANGE-TRADED FUNDS – 0.2%  
United States – 0.2%  

WisdomTree Europe SmallCap Dividend Fund(a)(c)

     26,594        1,847,485  

WisdomTree Japan SmallCap Dividend Fund(c)

     20,009        1,501,075  

TOTAL EXCHANGE-TRADED FUNDS

(Cost: $2,869,435)

              3,348,560  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 6.5%  
United States – 6.5%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(d)

 

  
(Cost: $108,787,957)(e)      108,787,957        108,787,957  

TOTAL INVESTMENTS IN SECURITIES – 106.1%

(Cost: $1,442,896,530)

 

 

     1,781,034,761  

Other Assets less Liabilities – (6.1)%

        (101,744,070
     

 

 

 
NET ASSETS – 100.0%             $ 1,679,290,691  

 

* 

Non-income producing security.

 

 

Security is being fair valued using significant unobservable inputs by a pricing committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $49,880, which represent less than 0.01% of net assets.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 company (See Note 3).

 

(d)

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(e)

At September 30, 2017, the total market value of the Fund’s securities on loan was $148,527,341 and the total market value of the collateral held by the Fund was $156,736,335. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $47,948,378.

 

CVA – Certificaten Van Aandelen (Certificate of Stock)

 

See Notes to Financial Statements.

 

120   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.1%      
Japan – 99.1%      
Auto Components – 16.4%      

Aisin Seiki Co., Ltd.

     1,250      $ 65,851  

Bridgestone Corp.

     4,152        188,337  

Daikyonishikawa Corp.

     400        6,439  

Denso Corp.

     3,218        162,751  

Exedy Corp.

     200        6,085  

FCC Co., Ltd.

     268        5,966  

Futaba Industrial Co., Ltd.

     300        3,374  

Keihin Corp.

     377        6,451  

Koito Manufacturing Co., Ltd.

     786        49,297  

KYB Corp.

     200        12,082  

Mitsuba Corp.

     377        5,844  

Musashi Seimitsu Industry Co., Ltd.

     200        6,236  

NGK Spark Plug Co., Ltd.

     1,137        24,192  

NHK Spring Co., Ltd.

     1,713        18,459  

Nifco, Inc.

     300        18,309  

Nissin Kogyo Co., Ltd.(a)

     368        6,581  

NOK Corp.

     865        19,365  

Pacific Industrial Co., Ltd.

     600        8,001  

Piolax, Inc.

     200        5,659  

Press Kogyo Co., Ltd.

     700        3,831  

Showa Corp.

     400        4,911  

Stanley Electric Co., Ltd.

     968        33,151  

Sumitomo Electric Industries Ltd.

     4,919        80,319  

Sumitomo Rubber Industries Ltd.

     1,267        23,209  

Tachi-S Co., Ltd.

     300        5,554  

Tokai Rika Co., Ltd.

     324        6,407  

Topre Corp.

     279        8,564  

Toyo Tire & Rubber Co., Ltd.

     729        16,379  

Toyoda Gosei Co., Ltd.

     526        12,425  

Toyota Boshoku Corp.

     556        11,771  

TPR Co., Ltd.

     200        6,707  

TS Tech Co., Ltd.

     390        13,096  

Unipres Corp.

     263        7,313  

Yokohama Rubber Co., Ltd. (The)

     849        17,498  
     

 

 

 
Total Auto Components               870,414  
Automobiles – 28.1%      

Honda Motor Co., Ltd.

     10,930        323,535  

Isuzu Motors Ltd.

     3,836        50,810  

Mazda Motor Corp.

     3,836        58,785  

Mitsubishi Motors Corp.

     4,753        37,580  

Nissan Motor Co., Ltd.

     14,553        144,089  

Nissan Shatai Co., Ltd.

     562        6,201  

Subaru Corp.

     3,957        142,721  

Suzuki Motor Corp.

     2,609        136,795  

Toyota Motor Corp.

     8,934        532,556  

Yamaha Motor Co., Ltd.

     1,930        57,781  
     

 

 

 
Total Automobiles               1,490,853  
Building Products – 5.8%      

Aica Kogyo Co., Ltd.

     450        15,111  

Asahi Glass Co., Ltd.

     1,507        55,894  

Bunka Shutter Co., Ltd.

     436      $ 3,261  

Central Glass Co., Ltd.

     356        7,755  

Daikin Industries Ltd.

     1,768        178,975  

Nippon Sheet Glass Co., Ltd.*

     665        5,169  

Nitto Boseki Co., Ltd.

     193        5,921  

Noritz Corp.

     276        4,958  

Sanwa Holdings Corp.

     1,535        17,605  

Sekisui Jushi Corp.

     300        5,557  

Takasago Thermal Engineering Co., Ltd.

     412        6,801  
     

 

 

 
Total Building Products               307,007  
Chemicals – 2.0%      

Chugoku Marine Paints Ltd.

     500        4,180  

Kansai Paint Co., Ltd.

     1,732        43,575  

Nippon Paint Holdings Co., Ltd.

     1,220        41,456  

Sakata INX Corp.

     200        3,690  

Toyo Ink SC Holdings Co., Ltd.

     2,000        11,247  
     

 

 

 
Total Chemicals               104,148  
Construction & Engineering – 2.2%      

COMSYS Holdings Corp.

     776        18,537  

Hibiya Engineering Ltd.

     200        4,149  

JGC Corp.

     1,664        26,919  

Kandenko Co., Ltd.

     563        5,907  

Kinden Corp.

     900        14,488  

Kyowa Exeo Corp.

     579        11,496  

Kyudenko Corp.

     326        12,627  

Mirait Holdings Corp.

     419        5,036  

Nippon Densetsu Kogyo Co., Ltd.

     401        8,432  

Taikisha Ltd.

     259        7,133  

Toshiba Plant Systems & Services Corp.

     200        3,362  
     

 

 

 
Total Construction & Engineering               118,086  
Electrical Equipment – 10.0%      

Daihen Corp.

     470        4,167  

Fuji Electric Co., Ltd.

     4,547        25,206  

Fujikura Ltd.

     2,002        16,078  

Furukawa Electric Co., Ltd.

     409        22,455  

GS Yuasa Corp.

     3,000        15,751  

Idec Corp.

     100        2,052  

Mabuchi Motor Co., Ltd.

     400        20,006  

Mitsubishi Electric Corp.

     12,710        198,500  

Nidec Corp.

     1,652        202,822  

Nissin Electric Co., Ltd.

     300        3,694  

Nitto Kogyo Corp.

     200        3,534  

Sinfonia Technology Co., Ltd.

     1,000        4,282  

Ushio, Inc.

     735        9,801  
     

 

 

 
Total Electrical Equipment               528,348  
Machinery – 29.1%      

Aida Engineering Ltd.

     400        4,719  

Amada Holdings Co., Ltd.

     2,395        26,277  

CKD Corp.

     410        8,050  

Daifuku Co., Ltd.

     738        36,321  

DMG Mori Co., Ltd.

     816        14,643  

Ebara Corp.

     658        21,833  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      121  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

FANUC Corp.

     1,172      $ 237,284  

Fuji Machine Manufacturing Co., Ltd.

     700        13,034  

Fukushima Industries Corp.

     100        3,691  

Furukawa Co., Ltd.

     271        4,620  

Glory Ltd.

     431        15,258  

Harmonic Drive Systems, Inc.(a)

     200        10,323  

Hino Motors Ltd.

     1,700        20,781  

Hirata Corp.

     30        3,033  

Hitachi Construction Machinery Co., Ltd.

     658        19,495  

Hitachi Zosen Corp.

     853        4,524  

Hoshizaki Corp.

     300        26,358  

IHI Corp.

     793        27,528  

Japan Steel Works Ltd. (The)

     440        10,124  

JTEKT Corp.

     1,675        23,183  

Kawasaki Heavy Industries Ltd.

     797        26,423  

Kitz Corp.

     700        5,702  

Komatsu Ltd.

     5,523        157,057  

Kubota Corp.

     7,217        131,145  

Kurita Water Industries Ltd.

     700        20,211  

Kyokuto Kaihatsu Kogyo Co., Ltd.

     200        3,369  

Makino Milling Machine Co., Ltd.

     1,399        12,416  

Makita Corp.

     1,698        68,409  

Meidensha Corp.

     1,039        3,969  

MINEBEA MITSUMI, Inc.

     2,652        41,465  

Mitsubishi Heavy Industries Ltd.

     1,733        68,475  

Mitsui Engineering & Shipbuilding Co., Ltd.

     755        9,849  

Miura Co., Ltd.

     700        15,410  

Morita Holdings Corp.

     300        4,661  

Nabtesco Corp.

     778        28,890  

Nachi-Fujikoshi Corp.

     1,818        10,223  

NGK Insulators Ltd.

     1,903        35,637  

Nitta Corp.

     200        7,267  

Nittoku Engineering Co., Ltd.

     100        4,229  

Noritake Co., Ltd.

     100        4,779  

NSK Ltd.

     2,853        38,449  

NTN Corp.

     4,059        17,164  

Obara Group, Inc.

     100        5,659  

OKUMA Corp.

     111        6,085  

OSG Corp.

     564        12,827  

Ryobi Ltd.

     120        3,230  

Shibuya Corp.

     100        3,247  

Shima Seiki Manufacturing Ltd.

     200        10,518  

Shinmaywa Industries Ltd.

     651        5,905  

SMC Corp.

     412      $ 145,270  

Sodick Co., Ltd.

     300        3,710  

Star Micronics Co., Ltd.

     200        3,443  

Sumitomo Heavy Industries Ltd.

     665        26,660  

Tadano Ltd.

     912        10,654  

Takeuchi Manufacturing Co., Ltd.

     200        4,181  

Takuma Co., Ltd.

     600        7,292  

THK Co., Ltd.

     782        26,607  

Tocalo Co., Ltd.

     100        3,851  

Toshiba Machine Co., Ltd.

     1,000        5,455  

Tsubakimoto Chain Co.

     1,574        12,571  

Tsukishima Kikai Co., Ltd.

     300        3,630  
     

 

 

 
Total Machinery               1,547,073  
Metals & Mining – 5.5%      

Daido Steel Co., Ltd.

     271        16,064  

Hitachi Metals Ltd.

     1,298        18,058  

JFE Holdings, Inc.

     3,322        64,852  

Kobe Steel Ltd.

     2,260        25,819  

Maruichi Steel Tube Ltd.

     500        14,547  

Nippon Steel & Sumitomo Metal Corp.

     5,500        126,232  

Nisshin Steel Co., Ltd.

     400        5,114  

Sanyo Special Steel Co., Ltd.

     144        3,688  

Tokyo Steel Manufacturing Co., Ltd.

     669        5,509  

Topy Industries Ltd.

     100        3,340  

Yamato Kogyo Co., Ltd.

     391        10,577  
     

 

 

 
Total Metals & Mining               293,800  

TOTAL COMMON STOCKS

(Cost: $4,788,241)

              5,259,729  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.3%  
United States – 0.3%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(b)

     

(Cost: $15,966)(c)

     15,966        15,966  

TOTAL INVESTMENTS IN SECURITIES – 99.4%

(Cost: $4,804,207)

        5,275,695  

Other Assets less Liabilities – 0.6%

        33,489  
     

 

 

 
NET ASSETS – 100.0%             $ 5,309,184  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $15,190 and the total market value of the collateral held by the Fund was $15,966.

 

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 N.A.   10/4/2017     116,613,554       JPY       1,035,936       USD     $ 80     $  
Bank of America N.A.   10/4/2017     1,035,936       USD       113,855,996       JPY       24,419        
Bank of America N.A.   11/6/2017     1,118,971       USD       125,778,830       JPY             (119
Barclays Bank PLC   10/4/2017     116,613,243       JPY       1,035,936       USD       77        
Barclays Bank PLC   11/6/2017     1,118,971       USD       125,777,711       JPY             (109
Citibank N.A.   10/4/2017     116,607,442       JPY       1,035,936       USD       25        

 

See Notes to Financial Statements.

 

122   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

September 30, 2017

 

  

 

 

Counterparty   Settlement
Date
  Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 
Citibank N.A.   10/4/2017     1,035,936       USD       113,855,789       JPY     $ 24,421     $  
Citibank N.A.   11/6/2017     1,118,971       USD       125,770,550       JPY             (45
Credit Suisse International   10/4/2017     88,842,099       JPY       789,288       USD       1        
Credit Suisse International   10/4/2017     1,035,936       USD       113,857,861       JPY       24,402        
Credit Suisse International   11/6/2017     852,553       USD       95,825,934       JPY             (38
Goldman Sachs   10/4/2017     116,606,717       JPY       1,035,936       USD       19        
Goldman Sachs   10/4/2017     1,035,936       USD       113,855,789       JPY       24,421        
Goldman Sachs   11/6/2017     1,118,971       USD       125,768,871       JPY             (30
Morgan Stanley & Co. International   10/4/2017     789,288       USD       86,748,434       JPY       18,599        
                                        $ 116,464     $ (341

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      123  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 98.9%      
Japan – 98.9%      
Air Freight & Logistics – 0.1%      

Kintetsu World Express, Inc.

     178,300      $ 2,955,695  

Yusen Logistics Co., Ltd.

     170,300        1,553,752  
     

 

 

 
Total Air Freight & Logistics               4,509,447  
Airlines – 0.5%      

Japan Airlines Co., Ltd.

     1,284,900        43,467,323  
Auto Components – 6.5%      

Aisan Industry Co., Ltd.

     148,100        1,423,570  

Aisin Seiki Co., Ltd.

     810,408        42,692,839  

Bridgestone Corp.

     3,091,685        140,240,249  

Daikyonishikawa Corp.

     137,400        2,211,778  

Denso Corp.

     2,619,379        132,475,678  

Eagle Industry Co., Ltd.

     146,200        2,682,033  

Exedy Corp.

     160,000        4,868,298  

FCC Co., Ltd.

     147,200        3,277,068  

G-Tekt Corp.

     55,100        1,137,586  

H-One Co., Ltd.

     75,400        823,897  

Koito Manufacturing Co., Ltd.

     195,001        12,230,330  

KYB Corp.

     105,700        6,385,289  

Mitsuba Corp.

     77,200        1,196,766  

Musashi Seimitsu Industry Co., Ltd.

     103,400        3,224,217  

NGK Spark Plug Co., Ltd.(a)

     382,664        8,141,787  

NHK Spring Co., Ltd.

     368,700        3,973,110  

Nifco, Inc.(a)

     192,145        11,726,879  

Nissin Kogyo Co., Ltd.(a)

     302,700        5,413,184  

NOK Corp.

     287,400        6,434,043  

Pacific Industrial Co., Ltd.

     345,300        4,604,409  

Press Kogyo Co., Ltd.

     216,900        1,186,962  

Shoei Co., Ltd.

     31,700        977,204  

Stanley Electric Co., Ltd.

     293,107        10,038,000  

Sumitomo Electric Industries Ltd.

     2,488,383        40,631,173  

Sumitomo Riko Co., Ltd.

     228,600        2,298,896  

Sumitomo Rubber Industries Ltd.

     962,891        17,638,531  

Tachi-S Co., Ltd.

     95,000        1,758,806  

Taiho Kogyo Co., Ltd.

     84,500        1,282,908  

Tokai Rika Co., Ltd.

     164,414        3,251,327  

Topre Corp.(a)

     148,100        4,545,689  

Toyo Tire & Rubber Co., Ltd.

     303,500        6,818,740  

Toyoda Gosei Co., Ltd.

     370,200        8,744,830  

Toyota Boshoku Corp.

     605,336        12,814,958  

TPR Co., Ltd.

     64,294        2,156,175  

TS Tech Co., Ltd.

     231,532        7,774,983  

Unipres Corp.

     81,700        2,271,763  

Yokohama Rubber Co., Ltd. (The)

     485,300        10,002,185  

Yorozu Corp.

     146,600        3,132,173  
     

 

 

 
Total Auto Components               532,488,313  
Automobiles – 14.4%      

Honda Motor Co., Ltd.

     7,132,847        211,137,087  

Isuzu Motors Ltd.

     2,737,800        36,264,023  

Mazda Motor Corp.

     1,831,615        28,068,546  

Mitsubishi Motors Corp.(a)

     2,189,801        17,313,755  

Nissan Motor Co., Ltd.(a)

     25,524,504      $ 252,716,739  

Subaru Corp.(a)

     3,933,567        141,876,090  

Suzuki Motor Corp.

     547,236        28,692,639  

Toyota Motor Corp.

     7,353,970        438,370,175  

Yamaha Motor Co., Ltd.

     958,600        28,698,814  
     

 

 

 
Total Automobiles               1,183,137,868  
Banks – 9.3%      

Mitsubishi UFJ Financial Group, Inc.

     45,518,122        295,474,542  

Mizuho Financial Group, Inc.(a)

     125,275,544        219,356,014  

Sumitomo Mitsui Financial Group, Inc.

     6,527,900        250,526,611  
     

 

 

 
Total Banks               765,357,167  
Beverages – 0.9%      

Kirin Holdings Co., Ltd.

     1,986,545        46,731,854  

Suntory Beverage & Food Ltd.

     528,200        23,508,924  

Takara Holdings, Inc.

     209,700        1,913,222  
     

 

 

 
Total Beverages               72,154,000  
Building Products – 1.7%      

Aica Kogyo Co., Ltd.

     177,500        5,960,556  

Asahi Glass Co., Ltd.

     669,347        24,825,867  

Central Glass Co., Ltd.

     175,200        3,816,376  

Daikin Industries Ltd.

     447,749        45,325,811  

LIXIL Group Corp.

     1,031,600        27,365,146  

Nitto Boseki Co., Ltd.

     120,000        3,677,875  

Noritz Corp.

     106,200        1,907,666  

Okabe Co., Ltd.

     189,400        1,785,221  

Sanwa Holdings Corp.

     753,031        8,636,459  

Sinko Industries Ltd.

     49,600        831,036  

TOTO Ltd.

     444,700        18,725,874  
     

 

 

 
Total Building Products               142,857,887  
Capital Markets – 1.0%      

GCA Corp.(a)

     117,800        1,079,995  

Monex Group, Inc.

     975,796        2,617,957  

Nomura Holdings, Inc.

     14,449,745        80,871,846  
     

 

 

 
Total Capital Markets               84,569,798  
Chemicals – 7.0%      

ADEKA Corp.

     213,000        3,882,877  

Asahi Kasei Corp.

     3,854,522        47,426,047  

Chugoku Marine Paints Ltd.

     109,500        915,378  

Daicel Corp.

     1,127,442        13,581,587  

Denka Co., Ltd.

     292,415        9,624,646  

DIC Corp.

     364,153        13,182,814  

Fujimi, Inc.

     138,600        3,227,207  

Hitachi Chemical Co., Ltd.

     585,315        16,041,370  

JSP Corp.

     70,700        2,166,881  

JSR Corp.

     742,900        14,110,249  

Kaneka Corp.

     982,000        7,624,644  

Kansai Paint Co., Ltd.(a)

     289,800        7,291,020  

KH Neochem Co., Ltd.(a)

     43,400        1,063,746  

Kumiai Chemical Industry Co., Ltd.(a)

     135,700        975,270  

Kuraray Co., Ltd.

     1,137,037        21,252,839  

Kureha Corp.

     95,300        5,181,326  

Lintec Corp.

     185,247        5,019,352  

 

See Notes to Financial Statements.

 

124   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Mitsubishi Chemical Holdings Corp.

     4,438,363      $ 42,268,246  

Mitsubishi Gas Chemical Co., Inc.

     674,682        15,805,414  

Mitsui Chemicals, Inc.

     638,616        19,402,710  

Nihon Nohyaku Co., Ltd.

     441,700        2,472,092  

Nihon Parkerizing Co., Ltd.

     203,700        3,257,318  

Nippon Kayaku Co., Ltd.

     720,000        11,084,796  

Nippon Paint Holdings Co., Ltd.

     420,200        14,278,550  

Nippon Shokubai Co., Ltd.

     139,300        9,838,182  

Nippon Soda Co., Ltd.

     627,000        3,809,959  

Nissan Chemical Industries Ltd.

     224,453        7,896,183  

Nitto Denko Corp.

     388,174        32,353,293  

NOF Corp.

     180,500        5,099,187  

Okamoto Industries, Inc.

     68,000        707,396  

Osaka Soda Co., Ltd.(a)

     74,800        1,927,064  

Sakata INX Corp.

     59,100        1,090,487  

Sanyo Chemical Industries Ltd.

     128,600        7,483,054  

Shin-Etsu Chemical Co., Ltd.

     712,979        63,719,351  

Showa Denko K.K.

     228,331        7,109,671  

Sumitomo Bakelite Co., Ltd.

     935,000        6,885,933  

Sumitomo Chemical Co., Ltd.

     5,351,485        33,421,525  

Sumitomo Seika Chemicals Co., Ltd.

     16,800        802,949  

T Hasegawa Co., Ltd.(a)

     55,300        1,059,182  

Taiyo Holdings Co., Ltd.

     101,726        4,735,435  

Taiyo Nippon Sanso Corp.(a)

     1,090,653        12,905,875  

Teijin Ltd.

     705,600        13,903,263  

Tokai Carbon Co., Ltd.

     334,400        3,143,030  

Toray Industries, Inc.(a)

     3,171,418        30,752,034  

Tosoh Corp.

     941,407        21,209,152  

Toyo Ink SC Holdings Co., Ltd.

     1,115,000        6,270,111  

Toyobo Co., Ltd.

     264,151        5,028,883  

Ube Industries Ltd.

     326,900        9,438,325  

Zeon Corp.

     421,000        5,456,750  
     

 

 

 
Total Chemicals               577,182,653  
Commercial Services & Supplies – 0.0%      

Mitsubishi Pencil Co., Ltd.

     39,600        993,122  

Pilot Corp.

     26,800        1,280,895  

Sato Holdings Corp.(a)

     43,900        1,038,172  
     

 

 

 
Total Commercial Services & Supplies               3,312,189  
Communications Equipment – 0.1%      

Hitachi Kokusai Electric, Inc.

     206,400        5,647,510  

Japan Radio Co., Ltd.

     65,800        995,888  
     

 

 

 
Total Communications Equipment               6,643,398  
Construction & Engineering – 1.0%      

JGC Corp.

     619,000        10,013,761  

Kajima Corp.

     3,514,000        34,901,186  

Obayashi Corp.

     2,338,800        28,028,616  

Penta-Ocean Construction Co., Ltd.

     685,200        4,321,876  

Sumitomo Densetsu Co., Ltd.

     57,700        1,064,655  

Taikisha Ltd.

     148,100        4,078,621  

Toshiba Plant Systems & Services Corp.

     177,100        2,976,709  
     

 

 

 
Total Construction & Engineering               85,385,424  
Construction Materials – 0.2%      

Krosaki Harima Corp.

     21,400      $ 1,024,706  

Taiheiyo Cement Corp.

     309,000        11,927,375  
     

 

 

 
Total Construction Materials               12,952,081  
Consumer Finance – 0.0%      

J Trust Co., Ltd.(a)

     282,500        2,421,823  
Containers & Packaging – 0.1%      

Fuji Seal International, Inc.

     144,382        4,361,025  
Electrical Equipment – 2.0%      

Cosel Co., Ltd.

     67,900        880,682  

Daihen Corp.

     370,000        3,280,416  

Fuji Electric Co., Ltd.

     1,748,869        9,694,792  

Fujikura Ltd.

     468,977        3,766,315  

Furukawa Electric Co., Ltd.

     136,281        7,482,047  

GS Yuasa Corp.(a)

     1,334,920        7,008,730  

Mabuchi Motor Co., Ltd.

     147,700        7,387,296  

Mitsubishi Electric Corp.

     4,783,114        74,700,967  

Nidec Corp.

     299,158        36,728,677  

Nippon Carbon Co., Ltd.(a)

     54,000        2,108,382  

Nissin Electric Co., Ltd.

     304,800        3,752,968  

Sanyo Denki Co., Ltd.

     56,600        3,192,911  

Ushio, Inc.

     183,700        2,449,551  
     

 

 

 
Total Electrical Equipment               162,433,734  
Electronic Equipment, Instruments & Components – 4.6%  

Ai Holdings Corp.

     30,800        768,871  

Alps Electric Co., Ltd.

     249,500        6,580,780  

Amano Corp.

     229,633        5,432,529  

Anritsu Corp.

     441,300        3,657,735  

Canon Electronics, Inc.

     231,800        4,674,508  

Citizen Watch Co., Ltd.

     772,885        5,321,244  

Dexerials Corp.

     518,600        6,339,391  

ESPEC Corp.

     55,100        1,126,817  

Hakuto Co., Ltd.

     86,419        1,308,204  

Hamamatsu Photonics K.K.(a)

     237,300        7,167,592  

Hirose Electric Co., Ltd.

     109,400        15,394,625  

Hitachi High-Technologies Corp.

     288,819        10,468,454  

Hitachi Ltd.

     12,352,028        87,006,823  

Horiba Ltd.

     90,400        5,107,662  

Ibiden Co., Ltd.(a)

     447,601        7,129,646  

Iriso Electronics Co., Ltd.(a)

     25,800        1,349,993  

Japan Aviation Electronics Industry Ltd.

     275,000        4,297,295  

Keyence Corp.

     40,320        21,402,034  

Macnica Fuji Electronics Holdings, Inc.

     92,100        1,695,298  

Marubun Corp.

     47,800        361,796  

Murata Manufacturing Co., Ltd.(a)

     420,256        61,751,293  

Nippon Electric Glass Co., Ltd.

     367,160        14,204,964  

Nissha Printing Co., Ltd.(a)

     107,500        2,917,537  

Oki Electric Industry Co., Ltd.

     518,030        6,898,476  

Omron Corp.

     358,700        18,259,237  

Optex Group Co., Ltd.

     24,000        897,615  

Osaki Electric Co., Ltd.

     109,000        843,415  

Ryosan Co., Ltd.

     232,645        9,228,090  

Sanshin Electronics Co., Ltd.(a)

     147,454        2,186,299  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      125  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Satori Electric Co., Ltd.

     136,400      $ 1,205,686  

Shimadzu Corp.

     446,000        8,780,136  

Siix Corp.(a)

     60,900        2,678,053  

SMK Corp.

     479,000        2,212,766  

Sumida Corp.

     143,700        2,798,298  

Taiyo Yuden Co., Ltd.

     175,000        2,588,504  

TDK Corp.

     257,568        17,481,629  

Topcon Corp.

     180,300        3,174,651  

UKC Holdings Corp.

     47,100        813,418  

Vitec Holdings Co., Ltd.

     74,900        1,175,750  

Yaskawa Electric Corp.(a)

     307,000        9,722,871  

Yokogawa Electric Corp.

     664,838        11,316,392  
     

 

 

 
Total Electronic Equipment, Instruments & Components        377,726,377  
Energy Equipment & Services – 0.0%      

Modec, Inc.

     128,500        3,101,626  
Food & Staples Retailing – 1.1%      

Ministop Co., Ltd.

     166,200        3,226,110  

Seven & I Holdings Co., Ltd.

     2,277,424        87,908,384  
     

 

 

 
Total Food & Staples Retailing               91,134,494  
Food Products – 0.8%      

Ajinomoto Co., Inc.

     997,313        19,456,308  

Fuji Oil Holdings, Inc.

     130,500        3,407,271  

Kikkoman Corp.

     327,600        10,069,702  

Nippon Suisan Kaisha Ltd.

     293,000        1,637,250  

Nisshin Oillio Group Ltd. (The)

     192,182        6,299,923  

Nissin Foods Holdings Co., Ltd.

     152,000        9,236,264  

Sakata Seed Corp.

     60,439        1,718,161  

Toyo Suisan Kaisha Ltd.

     145,100        5,330,151  

Yakult Honsha Co., Ltd.(a)

     151,687        10,928,633  
     

 

 

 
Total Food Products               68,083,663  
Health Care Equipment & Supplies – 1.2%      

Asahi Intecc Co., Ltd.

     46,600        2,425,941  

Hoya Corp.

     759,957        41,013,981  

Jeol Ltd.

     231,000        1,173,829  

Nakanishi, Inc.

     43,500        1,966,997  

Nihon Kohden Corp.

     185,900        4,016,424  

Nikkiso Co., Ltd.

     148,200        1,375,818  

Nipro Corp.(a)

     515,700        7,101,097  

Olympus Corp.

     344,300        11,653,560  

Sysmex Corp.

     222,360        14,183,315  

Terumo Corp.

     323,656        12,723,118  
     

 

 

 
Total Health Care Equipment & Supplies               97,634,080  
Health Care Providers & Services – 0.1%      

Miraca Holdings, Inc.

     208,000        9,664,105  
Health Care Technology – 0.0%      

M3, Inc.

     127,500        3,630,236  
Hotels, Restaurants & Leisure – 0.0%      

Saizeriya Co., Ltd.

     101,400        2,788,016  
Household Durables – 2.1%      

Alpine Electronics, Inc.

     225,900        4,108,002  

Casio Computer Co., Ltd.(a)

     661,957        9,314,973  

Clarion Co., Ltd.

     383,000      $ 1,510,700  

Foster Electric Co., Ltd.

     147,896        2,983,803  

Fujitsu General Ltd.

     147,300        2,978,322  

JVC Kenwood Corp.

     840,000        2,425,265  

Nikon Corp.(a)

     517,500        8,969,418  

Panasonic Corp.

     5,501,170        79,684,251  

Rinnai Corp.

     78,000        6,672,945  

Sekisui Chemical Co., Ltd.

     1,234,800        24,286,832  

Sony Corp.

     837,700        31,151,887  

Tamron Co., Ltd.

     46,600        899,585  
     

 

 

 
Total Household Durables               174,985,983  
Household Products – 0.3%      

Lion Corp.

     261,300        4,768,003  

Pigeon Corp.

     169,900        5,803,451  

Unicharm Corp.

     481,100        11,009,760  
     

 

 

 
Total Household Products               21,581,214  
Independent Power & Renewable Electricity Producers – 0.2%  

Electric Power Development Co., Ltd.

     672,500        16,883,445  
Industrial Conglomerates – 0.1%      

Nisshinbo Holdings, Inc.(a)

     680,900        8,051,152  
Insurance – 2.1%      

Dai-ichi Life Holdings, Inc.

     3,446,300        61,813,883  

Tokio Marine Holdings, Inc.(a)

     2,825,800        110,506,566  
     

 

 

 
Total Insurance               172,320,449  
Internet & Catalog Retail – 0.1%      

Rakuten, Inc.

     688,900        7,509,264  
IT Services – 0.6%      

Fujitsu Ltd.

     3,276,328        24,329,788  

NTT Data Corp.

     2,359,100        25,233,033  
     

 

 

 
Total IT Services               49,562,821  
Leisure Products – 0.6%      

Bandai Namco Holdings, Inc.

     489,900        16,799,307  

Mizuno Corp.

     82,000        2,327,455  

Shimano, Inc.

     111,300        14,821,543  

Tomy Co., Ltd.

     148,000        2,044,508  

Yamaha Corp.

     378,307        13,947,266  
     

 

 

 
Total Leisure Products               49,940,079  
Machinery – 7.5%      

Aida Engineering Ltd.

     251,400        2,965,924  

Amada Holdings Co., Ltd.

     1,596,093        17,511,437  

Anest Iwata Corp.

     126,900        1,192,735  

Asahi Diamond Industrial Co., Ltd.

     114,100        1,096,755  

CKD Corp.

     54,100        1,062,151  

Daifuku Co., Ltd.

     258,200        12,707,573  

DMG Mori Co., Ltd.

     275,900        4,951,077  

Ebara Corp.

     241,131        8,000,926  

FANUC Corp.(a)

     447,489        90,598,981  

Fujitec Co., Ltd.

     161,800        2,263,892  

Furukawa Co., Ltd.

     123,400        2,100,426  

Glory Ltd.

     170,200        6,025,381  

Hino Motors Ltd.(a)

     1,047,510        12,804,813  

 

See Notes to Financial Statements.

 

126   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hitachi Construction Machinery Co., Ltd.

     214,100      $ 6,343,211  

Hitachi Zosen Corp.

     644,700        3,419,232  

Hoshizaki Corp.

     57,169        5,022,888  

Japan Steel Works Ltd. (The)

     262,000        6,028,339  

JTEKT Corp.

     790,878        10,946,457  

Juki Corp.

     148,100        2,115,620  

Kawasaki Heavy Industries Ltd.

     332,851        11,029,487  

Kito Corp.

     89,200        1,110,988  

Kitz Corp.

     451,000        3,674,028  

Komatsu Ltd.

     2,655,506        75,514,367  

Kubota Corp.

     2,682,002        48,736,597  

Kurita Water Industries Ltd.

     301,700        8,710,745  

Makino Milling Machine Co., Ltd.(a)

     562,000        4,987,678  

Makita Corp.

     466,638        18,799,834  

Meidensha Corp.(a)

     768,000        2,933,772  

MINEBEA MITSUMI, Inc.

     381,301        5,961,798  

Mitsubishi Heavy Industries Ltd.

     1,253,020        49,524,142  

Mitsui Engineering & Shipbuilding Co., Ltd.

     205,232        2,678,320  

Miura Co., Ltd.

     55,600        1,223,976  

Nabtesco Corp.

     267,000        9,914,805  

Nachi-Fujikoshi Corp.

     679,000        3,818,301  

NGK Insulators Ltd.

     815,475        15,271,366  

Nissei ASB Machine Co., Ltd.

     61,700        2,480,278  

Nitta Corp.

     109,300        3,971,368  

NSK Ltd.

     1,969,166        26,537,777  

NTN Corp.

     1,481,000        6,262,657  

Obara Group, Inc.

     77,600        4,391,347  

Oiles Corp.(a)

     130,900        2,424,612  

OKUMA Corp.

     84,800        4,640,590  

OSG Corp.(a)

     343,824        7,819,388  

Ryobi Ltd.

     131,000        3,526,229  

Shima Seiki Manufacturing Ltd.(a)

     71,600        3,765,575  

Shinmaywa Industries Ltd.

     177,900        1,613,609  

SMC Corp.

     74,551        26,286,405  

Sodick Co., Ltd.(a)

     271,800        3,361,130  

Star Micronics Co., Ltd.

     145,400        2,503,311  

Sumitomo Heavy Industries Ltd.

     354,637        14,208,802  

Tadano Ltd.

     373,900        4,367,952  

Takeuchi Manufacturing Co., Ltd.

     91,500        1,912,668  

THK Co., Ltd.

     276,179        9,396,931  

Toshiba Machine Co., Ltd.

     1,249,000        6,812,828  

Tsubaki Nakashima Co., Ltd.(a)

     231,000        4,843,069  

Tsubakimoto Chain Co.

     723,000        5,774,237  

Tsugami Corp.

     473,000        3,987,714  

Union Tool Co.

     35,700        1,106,854  

YAMABIKO Corp.

     75,600        1,038,312  

Yushin Precision Equipment Co., Ltd.(a)

     86,000        2,414,250  
     

 

 

 
Total Machinery               616,495,915  
Marine – 0.0%      

Iino Kaiun Kaisha Ltd.

     446,500        2,078,497  
Media – 0.3%      

Dentsu, Inc.

     568,800        24,962,217  
Metals & Mining – 1.8%      

Aichi Steel Corp.

     147,400      $ 5,787,838  

Alconix Corp.

     153,400        2,756,880  

Daido Steel Co., Ltd.

     135,500        8,029,006  

Hitachi Metals Ltd.

     853,318        11,871,328  

JFE Holdings, Inc.

     1,143,262        22,318,822  

Kyoei Steel Ltd.(a)

     276,300        4,305,337  

Maruichi Steel Tube Ltd.

     74,600        2,170,435  

Mitsubishi Materials Corp.

     298,000        10,298,228  

Mitsubishi Steel Manufacturing Co., Ltd.

     70,800        1,807,031  

Mitsui Mining & Smelting Co., Ltd.

     119,000        6,163,283  

Nippon Steel & Sumitomo Metal Corp.

     2,039,600        46,811,234  

Sanyo Special Steel Co., Ltd.

     192,600        4,932,846  

Sumitomo Metal Mining Co., Ltd.

     348,000        11,172,851  

Topy Industries Ltd.

     144,200        4,816,701  

UACJ Corp.(a)

     148,200        4,219,615  
     

 

 

 
Total Metals & Mining               147,461,435  
Multiline Retail – 0.1%      

Ryohin Keikaku Co., Ltd.

     33,800        9,953,982  
Oil, Gas & Consumable Fuels – 0.1%      

Idemitsu Kosan Co., Ltd.

     349,300        9,852,330  
Paper & Forest Products – 0.2%      

Oji Holdings Corp.

     2,671,000        14,403,207  
Personal Products – 0.9%      

Kao Corp.

     831,480        48,899,726  

Kose Corp.

     56,300        6,447,004  

Mandom Corp.

     153,000        4,206,769  

Shiseido Co., Ltd.

     279,522        11,179,390  
     

 

 

 
Total Personal Products               70,732,889  
Pharmaceuticals – 7.3%      

Astellas Pharma, Inc.

     7,399,004        94,093,850  

Chugai Pharmaceutical Co., Ltd.

     940,500        39,018,656  

Daiichi Sankyo Co., Ltd.

     2,781,821        62,721,643  

Eisai Co., Ltd.

     1,036,977        53,209,960  

Hisamitsu Pharmaceutical Co., Inc.

     177,800        8,529,472  

Kyowa Hakko Kirin Co., Ltd.

     833,370        14,170,214  

Mitsubishi Tanabe Pharma Corp.

     1,566,100        35,895,154  

Otsuka Holdings Co., Ltd.

     1,497,900        59,495,500  

Rohto Pharmaceutical Co., Ltd.

     48,300        1,087,732  

Santen Pharmaceutical Co., Ltd.

     938,700        14,785,369  

Seikagaku Corp.

     142,400        2,573,105  

Shionogi & Co., Ltd.

     475,877        26,003,815  

Sumitomo Dainippon Pharma Co., Ltd.(a)

     719,800        9,361,588  

Takeda Pharmaceutical Co., Ltd.(a)

     3,241,563        178,946,142  

ZERIA Pharmaceutical Co., Ltd.(a)

     203,900        3,642,721  
     

 

 

 
Total Pharmaceuticals               603,534,921  
Professional Services – 0.7%      

Outsourcing, Inc.(a)

     85,000        1,181,762  

Recruit Holdings Co., Ltd.

     2,470,200        53,479,122  

Weathernews, Inc.

     53,900        1,707,045  
     

 

 

 
Total Professional Services               56,367,929  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      127  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Road & Rail – 0.2%      

Hitachi Transport System Ltd.

     160,200      $ 3,705,955  

Nippon Express Co., Ltd.

     225,200        14,664,558  
     

 

 

 
Total Road & Rail               18,370,513  
Semiconductors & Semiconductor Equipment – 1.6%  

Advantest Corp.(a)

     280,900        5,252,916  

Disco Corp.

     111,500        22,673,433  

Lasertec Corp.

     153,000        3,141,145  

MegaChips Corp.(a)

     65,000        2,130,769  

NuFlare Technology, Inc.

     18,200        983,041  

Rohm Co., Ltd.

     141,700        12,135,104  

SCREEN Holdings Co., Ltd.

     69,460        4,813,112  

Shinko Electric Industries Co., Ltd.

     178,700        1,203,346  

SUMCO Corp.(a)

     184,800        2,905,841  

Tokyo Electron Ltd.

     454,753        69,809,726  

Tokyo Seimitsu Co., Ltd.

     132,800        4,701,355  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        129,749,788  
Software – 1.6%      

Capcom Co., Ltd.(a)

     147,900        3,634,268  

Koei Tecmo Holdings Co., Ltd.

     294,100        6,173,840  

Konami Holdings Corp.

     133,200        6,401,741  

Nintendo Co., Ltd.

     222,500        82,148,981  

Square Enix Holdings Co., Ltd.

     147,500        5,542,797  

Trend Micro, Inc.

     491,808        24,204,827  
     

 

 

 
Total Software               128,106,454  
Specialty Retail – 0.8%      

ABC-Mart, Inc.

     229,400        12,105,326  

Fast Retailing Co., Ltd.

     120,900        35,647,590  

Honeys Holdings Co., Ltd.

     158,900        1,832,294  

Sanrio Co., Ltd.(a)

     621,600        11,789,775  

VT Holdings Co., Ltd.

     451,300        2,581,950  
     

 

 

 
Total Specialty Retail               63,956,935  
Technology Hardware, Storage & Peripherals – 4.8%  

Brother Industries Ltd.

     695,743        16,181,363  

Canon, Inc.

     6,667,497        227,748,643  

FUJIFILM Holdings Corp.

     1,229,095        47,683,186  

Hitachi Maxell Ltd.

     118,600        2,661,428  

Konica Minolta, Inc.(a)

     1,596,038        13,101,223  

MCJ Co., Ltd.

     74,300        803,957  

NEC Corp.

     741,300        20,085,861  

Ricoh Co., Ltd.(a)

     3,016,678        29,318,578  

Riso Kagaku Corp.

     148,100        2,693,206  

Roland DG Corp.

     34,200        875,318  

Seiko Epson Corp.(a)

     1,397,900        33,815,855  

Toshiba TEC Corp.

     310,000        1,707,458  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        396,676,076  
Textiles, Apparel & Luxury Goods – 0.3%      

Asics Corp.

     195,092        2,904,759  

Descente Ltd.

     169,181        2,307,048  

Gunze Ltd.

     24,100        1,100,466  

Kurabo Industries Ltd.

     319,472        876,976  

Onward Holdings Co., Ltd.(a)

     827,000      $ 6,281,571  

Seiko Holdings Corp.(a)

     127,800        2,875,827  

Seiren Co., Ltd.

     115,310        2,123,552  

Wacoal Holdings Corp.

     221,000        6,302,225  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               24,772,424  
Tobacco – 3.4%      

Japan Tobacco, Inc.

     8,415,931        275,733,607  
Trading Companies & Distributors – 7.9%      

Daiichi Jitsugyo Co., Ltd.

     30,000        868,831  

Hanwa Co., Ltd.

     230,600        8,266,077  

Inabata & Co., Ltd.

     99,286        1,323,049  

ITOCHU Corp.

     7,611,394        124,619,545  

Kuroda Electric Co., Ltd.

     262,187        4,569,901  

Marubeni Corp.

     7,757,278        52,960,229  

MISUMI Group, Inc.

     264,800        6,970,216  

Mitsubishi Corp.

     7,388,200        171,668,255  

Mitsui & Co., Ltd.

     8,701,789        128,557,501  

Nagase & Co., Ltd.

     433,100        7,252,641  

Nippon Steel & Sumikin Bussan Corp.

     118,400        6,521,388  

Sojitz Corp.

     5,610,421        15,500,741  

Sumitomo Corp.(a)

     5,727,877        82,357,473  

Toyota Tsusho Corp.

     1,051,310        34,509,754  
     

 

 

 
Total Trading Companies & Distributors               645,945,601  
Wireless Telecommunication Services – 0.7%  

SoftBank Group Corp.(a)

     705,200        56,909,668  

TOTAL COMMON STOCKS

(Cost: $7,490,996,240)

              8,133,895,522  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.7%  
United States – 1.7%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(b)

 

  
(Cost: $140,253,869)(c)      140,253,869        140,253,869  

TOTAL INVESTMENTS IN SECURITIES – 100.6%

(Cost: $7,631,250,109)

 

 

     8,274,149,391  

Other Assets less Liabilities – (0.6)%

        (51,786,333
     

 

 

 
NET ASSETS – 100.0%             $ 8,222,363,058  

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $274,807,424 and the total market value of the collateral held by the Fund was $289,497,619. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $149,243,750.

 

See Notes to Financial Statements.

 

128   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2017

 

 

 

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 N.A.   10/4/2017     7,995,184,810       JPY       72,308,611       USD     $     $ (1,277,959
Bank of America N.A.   10/4/2017     61,088,939,525       JPY       543,399,213       USD             (674,148
Bank of America N.A.   10/4/2017     479,715,986       USD       52,893,004,900       JPY       9,805,070        
Bank of America N.A.   10/4/2017     77,473,512       USD       8,668,402,794       JPY       461,871        
Bank of America N.A.   11/6/2017     543,399,213       USD       61,000,637,153       JPY       659,222        
Bank of Montreal   10/4/2017     61,186,751,383       JPY       543,399,213       USD       194,830        
Bank of Montreal   10/4/2017     479,715,986       USD       52,874,295,976       JPY       9,971,283        
Bank of Montreal   11/6/2017     543,399,213       USD       61,098,122,972       JPY             (208,137
Barclays Bank PLC   10/4/2017     34,901,755,166       JPY       310,513,836       USD             (440,400
Barclays Bank PLC   10/4/2017     559,668,650       USD       61,747,682,485       JPY       11,091,194        
Barclays Bank PLC   11/6/2017     310,513,836       USD       34,850,768,794       JPY       436,649        
Citibank N.A.   10/4/2017     61,213,921,344       JPY       543,399,213       USD       436,213        
Citibank N.A.   10/4/2017     479,715,986       USD       52,821,287,360       JPY       10,442,221        
Citibank N.A.   11/6/2017     543,399,213       USD       61,123,988,774       JPY             (438,273
Commonwealth Bank of Australia   10/4/2017     319,810,657       USD       35,249,434,671       JPY       6,648,375        
Credit Suisse International   10/4/2017     1,122,718,288       JPY       10,329,802       USD             (355,372
Credit Suisse International   10/4/2017     34,961,373,822       JPY       310,513,836       USD       89,262        
Credit Suisse International   10/4/2017     479,715,986       USD       52,875,255,408       JPY       9,962,759        
Credit Suisse International   11/6/2017     310,513,836       USD       34,910,760,067       JPY             (97,110
Goldman Sachs   10/4/2017     6,811,719,134       JPY       61,978,810       USD             (1,462,279
Goldman Sachs   10/4/2017     61,096,547,114       JPY       543,399,213       USD             (606,560
Goldman Sachs   10/4/2017     559,668,650       USD       61,679,794,678       JPY       11,694,322        
Goldman Sachs   11/6/2017     543,399,213       USD       61,007,157,943       JPY       601,205        
HSBC Holdings PLC   10/4/2017     69,927,715,867       JPY       621,027,672       USD       222,663        
HSBC Holdings PLC   10/4/2017     479,715,986       USD       52,888,687,456       JPY       9,843,427        
HSBC Holdings PLC   11/6/2017     621,027,672       USD       69,825,246,301       JPY             (227,373
JP Morgan Chase Bank N.A.   10/4/2017     69,878,033,653       JPY       621,027,672       USD             (218,722
JP Morgan Chase Bank N.A.   10/4/2017     399,763,321       USD       44,024,135,606       JPY       8,645,026        
JP Morgan Chase Bank N.A.   11/6/2017     621,027,672       USD       69,775,874,601       JPY       211,901        
Morgan Stanley & Co. International   10/4/2017     69,890,454,206       JPY       621,027,672       USD             (108,376
Morgan Stanley & Co. International   10/4/2017     399,763,321       USD       44,073,506,376       JPY       8,206,407        
Morgan Stanley & Co. International   11/6/2017     621,027,672       USD       69,788,605,668       JPY       98,629        
Nomura International PLC   10/4/2017     34,939,016,826       JPY       310,513,836       USD             (109,361
Nomura International PLC   10/4/2017     479,715,986       USD       52,888,207,740       JPY       9,847,689        
Nomura International PLC   11/6/2017     310,513,836       USD       34,887,937,300       JPY       105,951        
Nomura International PLC   11/6/2017     474,238,135       USD       53,304,603,493       JPY             (28,059
Royal Bank of Canada   10/4/2017     61,197,619,368       JPY       543,399,213       USD       291,384        
Royal Bank of Canada   10/4/2017     399,763,321       USD       44,069,308,862       JPY       8,243,699        
Royal Bank of Canada   11/6/2017     543,399,213       USD       61,108,230,197       JPY             (298,064
Societe Generale   10/4/2017     26,215,906,888       JPY       232,885,377       USD       21,429        
Societe Generale   10/4/2017     319,810,657       USD       35,243,134,401       JPY       6,704,347        
Societe Generale   11/6/2017     232,885,377       USD       26,177,946,572       JPY             (27,247
Standard Chartered Bank   10/4/2017     26,190,289,497       JPY       232,885,377       USD             (206,161
Standard Chartered Bank   10/4/2017     319,810,657       USD       35,287,907,893       JPY       6,306,572        
Standard Chartered Bank   11/6/2017     232,885,377       USD       26,151,979,852       JPY       203,786        
State Street Bank and Trust   10/4/2017     61,165,015,415       JPY       543,399,213       USD       1,724        
State Street Bank and Trust   10/4/2017     399,763,321       USD       44,113,482,709       JPY       7,851,250        
State Street Bank and Trust   11/6/2017     543,399,213       USD       61,074,974,165       JPY             (2,176
UBS AG   10/4/2017     1,136,699,675       JPY       10,329,802       USD             (231,159
UBS AG   10/4/2017     7,794,166,872       JPY       72,308,611       USD             (3,063,838
UBS AG   10/4/2017     3,933,038,947       JPY       36,154,306       USD             (1,212,485
UBS AG   10/4/2017     5,135,708,242       JPY       46,484,107       USD             (857,556
UBS AG   10/4/2017     69,921,505,590       JPY       621,027,672       USD       167,490        
UBS AG   10/4/2017     479,715,995       USD       52,796,966,750       JPY       10,658,299        
UBS AG   11/6/2017     621,027,672       USD       69,819,657,052       JPY             (177,644
Wells Fargo Bank N.A.   10/4/2017     69,909,085,149       JPY       621,027,673       USD       57,144        

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      129  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2017

 

 

 

Counterparty   Settlement
Date
  Amount and Description of
Currency to be Purchased
    Amount and Description of
Currency to be Sold
    Unrealized
Appreciation
    Unrealized
Depreciation
 
Wells Fargo Bank N.A.   10/4/2017     479,715,986       USD       52,831,121,538       JPY     $ 10,354,853     $  
Wells Fargo Bank N.A.   11/6/2017     621,027,673       USD       69,807,236,611       JPY             (67,134
Westpac Banking Corp.   10/4/2017     479,715,986       USD       52,883,554,495       JPY       9,889,029        
                                        $ 170,427,175     $ (12,395,593

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

130   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Financials Fund (DXJF)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 98.8%      
Japan – 98.8%      
Banks – 51.7%      

77 Bank Ltd. (The)

     4,684      $ 115,717  

Akita Bank Ltd. (The)

     1,130        35,487  

Aomori Bank Ltd. (The)

     1,200        41,896  

Aozora Bank Ltd.

     6,463        245,739  

Awa Bank Ltd. (The)

     14,000        92,284  

Bank of Iwate Ltd. (The)

     1,200        48,452  

Bank of Kyoto Ltd. (The)

     4,503        228,841  

Bank of Nagoya Ltd. (The)

     1,270        49,868  

Bank of Okinawa Ltd. (The)

     1,564        62,871  

Bank of the Ryukyus Ltd.

     2,600        40,190  

Chiba Bank Ltd. (The)

     46,781        334,551  

Chugoku Bank Ltd. (The)

     12,050        165,070  

Concordia Financial Group Ltd.

     71,800        354,710  

Daishi Bank Ltd. (The)

     2,065        97,228  

Fukui Bank Ltd. (The)

     1,200        31,811  

Fukuoka Financial Group, Inc.

     50,133        231,592  

Gunma Bank Ltd. (The)

     26,850        166,016  

Hachijuni Bank Ltd. (The)

     30,509        190,537  

Hiroshima Bank Ltd. (The)

     18,600        150,532  

Hokkoku Bank Ltd. (The)

     1,870        81,900  

Hokuetsu Bank Ltd. (The)

     1,700        38,617  

Hokuhoku Financial Group, Inc.

     7,980        128,315  

Hyakugo Bank Ltd. (The)

     15,690        70,111  

Hyakujushi Bank Ltd. (The)

     20,390        70,645  

Iyo Bank Ltd. (The)(a)

     19,650        159,029  

Japan Post Bank Co., Ltd.

     22,986        283,841  

Juroku Bank Ltd. (The)

     2,275        74,779  

Keiyo Bank Ltd. (The)

     16,350        75,820  

Kiyo Bank Ltd. (The)

     4,620        77,489  

Kyushu Financial Group, Inc.

     28,700        176,435  

Mebuki Financial Group, Inc.

     57,062        220,512  

Minato Bank Ltd. (The)

     2,050        37,188  

Mitsubishi UFJ Financial Group, Inc.

     120,320        781,040  

Miyazaki Bank Ltd. (The)

     1,200        43,495  

Mizuho Financial Group, Inc.

     432,679        757,616  

Musashino Bank Ltd. (The)

     2,250        66,861  

Nanto Bank Ltd. (The)

     2,242        62,939  

Nishi-Nippon Financial Holdings, Inc.

     9,934        108,637  

North Pacific Bank Ltd.

     19,900        62,936  

Ogaki Kyoritsu Bank Ltd. (The)

     2,505        70,100  

Oita Bank Ltd. (The)

     1,080        44,806  

Resona Holdings, Inc.

     124,550        639,541  

San-In Godo Bank Ltd. (The)

     9,370        81,160  

Senshu Ikeda Holdings, Inc.

     17,030        65,509  

Seven Bank Ltd.(a)

     43,870        158,231  

Shiga Bank Ltd. (The)(a)

     16,340        90,871  

Shikoku Bank Ltd. (The)

     3,000        45,360  

Shinsei Bank Ltd.

     12,235        195,756  

Shizuoka Bank Ltd. (The)

     33,740        303,335  

Sumitomo Mitsui Financial Group, Inc.

     19,640        753,741  

Sumitomo Mitsui Trust Holdings, Inc.

     21,361        770,639  

Suruga Bank Ltd.

     13,300      $ 286,642  

Toho Bank Ltd. (The)

     14,700        55,240  

Tokyo TY Financial Group, Inc.

     2,100        53,673  

TOMONY Holdings, Inc.

     10,400        47,027  

Yamagata Bank Ltd. (The)(a)

     2,260        52,442  

Yamaguchi Financial Group, Inc.

     14,511        169,777  

Yamanashi Chuo Bank Ltd. (The)

     11,700        49,164  
     

 

 

 
Total Banks               9,994,611  
Capital Markets – 11.9%      

Daiwa Securities Group, Inc.

     93,330        528,399  

Japan Exchange Group, Inc.

     30,780        544,423  

Matsui Securities Co., Ltd.(a)

     7,400        55,747  

Monex Group, Inc.

     14,500        38,902  

Nomura Holdings, Inc.

     140,861        788,366  

Okasan Securities Group, Inc.

     13,700        78,623  

SBI Holdings, Inc.

     11,750        176,827  

Tokai Tokyo Financial Holdings, Inc.

     15,050        89,178  
     

 

 

 
Total Capital Markets               2,300,465  
Consumer Finance – 3.9%      

Acom Co., Ltd.*(a)

     28,950        112,132  

AEON Financial Service Co., Ltd.

     7,150        149,333  

Aiful Corp.*(a)

     19,400        64,629  

Credit Saison Co., Ltd.

     9,550        198,101  

Hitachi Capital Corp.

     3,150        74,829  

J Trust Co., Ltd.

     5,200        44,579  

Jaccs Co., Ltd.

     1,880        46,413  

Orient Corp.(a)

     36,600        59,502  
     

 

 

 
Total Consumer Finance               749,518  
Diversified Financial Services – 3.7%      

Financial Products Group Co., Ltd.(a)

     4,400        48,821  

Fuyo General Lease Co., Ltd.

     1,367        89,138  

IBJ Leasing Co., Ltd.

     2,432        65,788  

Japan Securities Finance Co., Ltd.

     7,000        37,685  

Mitsubishi UFJ Lease & Finance Co., Ltd.

     32,000        169,431  

Ricoh Leasing Co., Ltd.

     1,000        37,578  

Tokyo Century Corp.

     3,120        140,250  

Zenkoku Hosho Co., Ltd.

     3,100        130,125  
     

 

 

 
Total Diversified Financial Services               718,816  
Insurance – 27.6%      

Dai-ichi Life Holdings, Inc.

     45,140        809,645  

Japan Post Holdings Co., Ltd.(a)

     27,559        325,375  

Japan Post Insurance Co., Ltd.

     4,167        89,252  

MS&AD Insurance Group Holdings, Inc.

     28,560        919,228  

Sompo Holdings, Inc.

     22,600        878,984  

Sony Financial Holdings, Inc.

     10,300        168,914  

T&D Holdings, Inc.

     35,910        521,112  

Tokio Marine Holdings, Inc.

     41,840        1,636,207  
     

 

 

 
Total Insurance               5,348,717  

TOTAL COMMON STOCKS

(Cost: $20,532,895)

              19,112,127  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      131  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Financials Fund (DXJF)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2%  
United States – 2.2%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(b)

     
(Cost: $420,330)(c)      420,330      $ 420,330  

TOTAL INVESTMENTS IN SECURITIES – 101.0%

(Cost: $20,953,225)

        19,532,457  

Other Assets less Liabilities – (1.0)%

        (192,072
     

 

 

 
NET ASSETS – 100.0%             $ 19,340,385  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $925,189 and the total market value of the collateral held by the Fund was $955,417. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $535,087.

 

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 N.A.     10/4/2017       424,857,416       JPY       3,774,219       USD     $ 290     $  
Bank of America N.A.     10/4/2017       4,481,886       USD       492,587,955       JPY       105,647        
Bank of America N.A.     11/6/2017       4,055,143       USD       455,821,593       JPY             (431
Barclays Bank PLC     10/4/2017       424,856,284       JPY       3,774,219       USD       280        
Barclays Bank PLC     11/6/2017       4,055,143       USD       455,817,537       JPY             (395
Citibank N.A.     10/4/2017       424,835,148       JPY       3,774,219       USD       92        
Citibank N.A.     10/4/2017       4,481,886       USD       492,587,059       JPY       105,654        
Citibank N.A.     11/6/2017       4,055,143       USD       455,791,584       JPY             (164
Credit Suisse International     10/4/2017       323,676,960       JPY       2,875,600       USD       4        
Credit Suisse International     10/4/2017       4,481,886       USD       492,596,022       JPY       105,575        
Credit Suisse International     11/6/2017       3,089,634       USD       347,271,154       JPY             (136
Goldman Sachs     10/3/2017       8,200       USD       922,696       JPY       3        
Goldman Sachs     10/4/2017       424,832,506       JPY       3,774,219       USD       69        
Goldman Sachs     10/4/2017       4,481,886       USD       492,587,059       JPY       105,655        
Goldman Sachs     11/6/2017       4,055,143       USD       455,785,502       JPY             (110
Morgan Stanley & Co. International     10/4/2017       3,414,771       USD       375,307,919       JPY       80,468        

UBS AG

    10/4/2017       375,405,793       JPY       3,369,839       USD             (34,667
                                            $ 503,737     $ (35,903

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

 

See Notes to Financial Statements.

 

132   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Health Care Fund (DXJH)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Japan – 99.2%      
Biotechnology – 1.4%      

GNI Group Ltd.*

     3,000      $ 12,393  

PeptiDream, Inc.*

     1,400        43,157  

Takara Bio, Inc.

     1,000        13,761  
     

 

 

 
Total Biotechnology               69,311  
Food & Staples Retailing – 6.9%      

Ain Holdings, Inc.

     475        32,745  

Cocokara fine, Inc.

     450        25,665  

Cosmos Pharmaceutical Corp.

     160        35,706  

Create SD Holdings Co., Ltd.

     500        13,223  

Kusuri no Aoki Holdings Co., Ltd.

     200        11,869  

Matsumotokiyoshi Holdings Co., Ltd.

     770        51,509  

Sugi Holdings Co., Ltd.

     550        29,219  

Sundrug Co., Ltd.

     1,120        46,366  

Tsuruha Holdings, Inc.

     635        75,874  

Welcia Holdings Co., Ltd.

     800        30,098  
     

 

 

 
Total Food & Staples Retailing               352,274  
Health Care Equipment & Supplies – 21.7%      

Asahi Intecc Co., Ltd.

     900        46,853  

CYBERDYNE, Inc.*

     1,200        15,980  

Eiken Chemical Co., Ltd.

     200        7,782  

Hogy Medical Co., Ltd.

     180        12,761  

Hoya Corp.

     6,400        345,400  

Mani, Inc.

     400        9,580  

Menicon Co., Ltd.

     200        7,906  

Nagaileben Co., Ltd.

     400        10,053  

Nakanishi, Inc.

     260        11,757  

Nihon Kohden Corp.

     1,300        28,087  

Nikkiso Co., Ltd.

     1,350        12,533  

Nipro Corp.(a)

     2,425        33,392  

Olympus Corp.

     5,440        184,128  

Paramount Bed Holdings Co., Ltd.

     350        15,033  

Sysmex Corp.

     2,610        166,480  

Terumo Corp.

     5,230        205,595  
     

 

 

 
Total Health Care Equipment & Supplies               1,113,320  
Health Care Providers & Services – 5.7%      

Alfresa Holdings Corp.

     3,640        66,582  

As One Corp.

     200        10,643  

Japan Lifeline Co., Ltd.

     400        19,758  

Medipal Holdings Corp.

     3,350        58,152  

Miraca Holdings, Inc.

     920        42,745  

Ship Healthcare Holdings, Inc.

     780        24,079  

Suzuken Co., Ltd.

     1,350        47,972  

Toho Holdings Co., Ltd.

     1,250        23,886  
     

 

 

 
Total Health Care Providers & Services               293,817  
Health Care Technology – 1.8%      

M3, Inc.

     3,150        89,688  
Life Sciences Tools & Services – 0.2%      

EPS Holdings, Inc.

     600        11,514  
Pharmaceuticals – 61.5%      

Astellas Pharma, Inc.

     35,560      $ 452,220  

Chugai Pharmaceutical Co., Ltd.

     3,600        149,354  

Daiichi Sankyo Co., Ltd.

     10,652        240,170  

Eisai Co., Ltd.

     5,110        262,207  

Hisamitsu Pharmaceutical Co., Inc.

     1,510        72,438  

JCR Pharmaceuticals Co., Ltd.

     400        12,295  

Kaken Pharmaceutical Co., Ltd.

     500        25,408  

KYORIN Holdings, Inc.

     1,350        27,164  

Kyowa Hakko Kirin Co., Ltd.

     4,720        80,257  

Mitsubishi Tanabe Pharma Corp.

     4,150        95,118  

Mochida Pharmaceutical Co., Ltd.

     370        27,183  

Nichi-iko Pharmaceutical Co., Ltd.(a)

     1,240        19,267  

Nippon Shinyaku Co., Ltd.

     1,028        71,325  

Ono Pharmaceutical Co., Ltd.

     7,700        174,398  

Otsuka Holdings Co., Ltd.

     8,845        351,317  

Rohto Pharmaceutical Co., Ltd.

     1,821        41,009  

Santen Pharmaceutical Co., Ltd.

     6,400        100,806  

Sawai Pharmaceutical Co., Ltd.

     530        30,087  

Seikagaku Corp.

     950        17,166  

Shionogi & Co., Ltd.

     5,050        275,952  

Sosei Group Corp.*

     180        15,191  

Sumitomo Dainippon Pharma Co., Ltd.

     2,500        32,515  

Takeda Pharmaceutical Co., Ltd.

     9,347        515,989  

Tsumura & Co.

     1,245        44,794  

ZERIA Pharmaceutical Co., Ltd.

     950        16,972  
     

 

 

 
Total Pharmaceuticals               3,150,602  

TOTAL COMMON STOCKS

(Cost: $5,231,503)

              5,080,526  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1%  
United States – 0.1%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(b)

     

(Cost: $4,905)(c)

     4,905        4,905  

TOTAL INVESTMENTS IN SECURITIES – 99.3%

(Cost: $5,236,408)

        5,085,431  

Other Assets less Liabilities – 0.7%

        34,107  
     

 

 

 
NET ASSETS – 100.0%             $ 5,119,538  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $36,332 and the total market value of the collateral held by the Fund was $38,241. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $33,336.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      133  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Health Care Fund (DXJH)

September 30, 2017

 

  

 

 

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 N.A.     10/4/2017       116,986,380       JPY       1,039,248       USD     $ 80     $  
Bank of America N.A.     10/4/2017       1,039,248       USD       114,220,006       JPY       24,497        
Bank of America N.A.     11/6/2017       1,070,662       USD       120,348,618       JPY             (114
Barclays Bank PLC     10/4/2017       116,986,068       JPY       1,039,248       USD       77        
Barclays Bank PLC     11/6/2017       1,070,662       USD       120,347,547       JPY             (104
Citibank N.A.     10/4/2017       116,980,249       JPY       1,039,248       USD       25        
Citibank N.A.     10/4/2017       1,039,248       USD       114,219,798       JPY       24,499        
Citibank N.A.     11/6/2017       1,070,662       USD       120,340,695       JPY             (43
Credit Suisse International     10/4/2017       89,125,750       JPY       791,808       USD       1        
Credit Suisse International     10/4/2017       1,039,248       USD       114,221,877       JPY       24,480        
Credit Suisse International     11/6/2017       815,743       USD       91,688,534       JPY             (36
Goldman Sachs     10/4/2017       116,979,521       JPY       1,039,248       USD       19        
Goldman Sachs     10/4/2017       1,039,248       USD       114,219,798       JPY       24,499        
Goldman Sachs     11/6/2017       1,070,662       USD       120,339,089       JPY             (29

Morgan Stanley & Co. International

    10/4/2017       791,808       USD       87,025,400       JPY       18,659        
                                            $ 116,836     $ (326

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

 

See Notes to Financial Statements.

 

134   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.0%      
Japan – 99.0%      
Auto Components – 6.3%      

Aisin Seiki Co., Ltd.

     1,581      $ 83,288  

Bridgestone Corp.

     5,792        262,728  

Denso Corp.

     5,164        261,170  

Koito Manufacturing Co., Ltd.

     400        25,088  

NGK Spark Plug Co., Ltd.

     777        16,532  

Nifco, Inc.

     400        24,413  

NOK Corp.

     716        16,029  

Stanley Electric Co., Ltd.

     476        16,301  

Sumitomo Electric Industries Ltd.

     4,491        73,331  

Sumitomo Rubber Industries Ltd.

     1,822        33,376  

Topre Corp.

     200        6,139  

TS Tech Co., Ltd.

     500        16,790  

Yokohama Rubber Co., Ltd. (The)

     800        16,488  
     

 

 

 
Total Auto Components               851,673  
Automobiles – 11.9%      

Isuzu Motors Ltd.

     5,088        67,394  

Mazda Motor Corp.

     3,383        51,843  

Nissan Motor Co., Ltd.

     47,084        466,176  

Subaru Corp.

     7,400        266,904  

Suzuki Motor Corp.

     1,358        71,202  

Toyota Motor Corp.

     10,911        650,405  

Yamaha Motor Co., Ltd.

     1,715        51,344  
     

 

 

 
Total Automobiles               1,625,268  
Banks – 0.3%      

Seven Bank Ltd.(a)

     7,900        28,494  

Suruga Bank Ltd.

     541        11,659  
     

 

 

 
Total Banks               40,153  
Beverages – 0.5%      

Asahi Group Holdings Ltd.

     1,674        67,754  
Building Products – 1.1%      

Aica Kogyo Co., Ltd.

     648        21,760  

Daikin Industries Ltd.

     986        99,813  

Nichias Corp.

     1,000        12,340  

Sanwa Holdings Corp.

     1,574        18,052  
     

 

 

 
Total Building Products               151,965  
Capital Markets – 1.6%      

Ichigo, Inc.

     400        1,368  

Nomura Holdings, Inc.

     32,700        183,015  

Tokai Tokyo Financial Holdings, Inc.

     4,800        28,442  
     

 

 

 
Total Capital Markets               212,825  
Chemicals – 6.9%      

Air Water, Inc.

     1,044        19,254  

Asahi Kasei Corp.

     9,383        115,448  

Daicel Corp.

     2,500        30,116  

DIC Corp.

     794        28,744  

Hitachi Chemical Co., Ltd.

     1,000        27,406  

Kansai Paint Co., Ltd.

     597        15,020  

Kuraray Co., Ltd.

     2,500        46,729  

Mitsubishi Gas Chemical Co., Inc.

     1,500      $ 35,140  

Mitsui Chemicals, Inc.

     1,400        42,535  

Nihon Parkerizing Co., Ltd.

     431        6,892  

Nippon Kayaku Co., Ltd.

     1,000        15,396  

Nippon Paint Holdings Co., Ltd.

     859        29,189  

Nippon Shokubai Co., Ltd.

     300        21,188  

Nissan Chemical Industries Ltd.

     600        21,108  

Nitto Denko Corp.

     800        66,678  

NOF Corp.

     350        9,874  

Shin-Etsu Chemical Co., Ltd.

     1,770        158,186  

Sumitomo Chemical Co., Ltd.

     11,000        68,698  

Taiyo Holdings Co., Ltd.

     200        9,310  

Taiyo Nippon Sanso Corp.

     2,200        26,033  

Tokyo Ohka Kogyo Co., Ltd.

     200        7,107  

Toray Industries, Inc.

     7,400        71,755  

Tosoh Corp.

     2,000        45,058  

Zeon Corp.

     1,554        20,142  
     

 

 

 
Total Chemicals               937,006  
Commercial Services & Supplies – 1.0%      

Aeon Delight Co., Ltd.

     400        15,014  

Park24 Co., Ltd.

     1,005        24,463  

Secom Co., Ltd.

     1,210        88,166  

Sohgo Security Services Co., Ltd.

     300        13,752  
     

 

 

 
Total Commercial Services & Supplies               141,395  
Construction & Engineering – 2.0%      

Hazama Ando Corp.

     1,700        11,886  

Kajima Corp.

     7,332        72,822  

Kumagai Gumi Co., Ltd.

     300        9,048  

Kyudenko Corp.

     400        15,493  

Maeda Corp.

     1,000        12,215  

Maeda Road Construction Co., Ltd.

     790        16,991  

Nippo Corp.

     691        14,776  

SHO-BOND Holdings Co., Ltd.

     200        11,389  

Taisei Corp.

     1,400        73,380  

Toda Corp.

     2,000        15,582  

Toshiba Plant Systems & Services Corp.

     800        13,446  
     

 

 

 
Total Construction & Engineering               267,028  
Construction Materials – 0.2%      

Sumitomo Osaka Cement Co., Ltd.

     2,664        11,786  

Taiheiyo Cement Corp.

     579        22,361  
     

 

 

 
Total Construction Materials               34,147  
Diversified Financial Services – 0.1%      

Zenkoku Hosho Co., Ltd.

     300        12,593  
Electric Utilities – 0.3%      

Tohoku Electric Power Co., Inc.

     3,000        38,138  
Electrical Equipment – 2.3%      

Fuji Electric Co., Ltd.

     4,000        22,174  

Mabuchi Motor Co., Ltd.

     400        20,006  

Mitsubishi Electric Corp.

     10,610        165,703  

Nidec Corp.

     738        90,607  

Nissin Electric Co., Ltd.

     900        11,082  
     

 

 

 
Total Electrical Equipment               309,572  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      135  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Electronic Equipment, Instruments & Components – 3.2%  

Ai Holdings Corp.

     200      $ 4,993  

Alps Electric Co., Ltd.

     336        8,862  

Amano Corp.

     500        11,829  

Citizen Watch Co., Ltd.

     2,100        14,458  

Hamamatsu Photonics K.K.

     500        15,102  

Hirose Electric Co., Ltd.

     230        32,365  

Hitachi High-Technologies Corp.

     700        25,372  

Horiba Ltd.

     200        11,300  

Japan Aviation Electronics Industry Ltd.

     1,000        15,627  

Keyence Corp.

     36        19,109  

Murata Manufacturing Co., Ltd.

     881        129,452  

Oki Electric Industry Co., Ltd.

     500        6,658  

Omron Corp.

     900        45,814  

Shimadzu Corp.

     780        15,356  

TDK Corp.

     600        40,723  

Yaskawa Electric Corp.

     840        26,603  

Yokogawa Electric Corp.

     1,045        17,787  
     

 

 

 
Total Electronic Equipment, Instruments & Components        441,410  
Energy Equipment & Services – 0.1%      

Modec, Inc.

     300        7,241  
Food & Staples Retailing – 2.4%      

Create SD Holdings Co., Ltd.

     300        7,934  

FamilyMart UNY Holdings Co., Ltd.

     577        30,397  

Kobe Bussan Co., Ltd.

     100        4,486  

Life Corp.

     300        7,686  

Matsumotokiyoshi Holdings Co., Ltd.

     300        20,068  

Seven & I Holdings Co., Ltd.

     4,985        192,421  

Sugi Holdings Co., Ltd.

     200        10,625  

Sundrug Co., Ltd.

     450        18,629  

Tsuruha Holdings, Inc.

     100        11,949  

Valor Holdings Co., Ltd.

     600        12,814  

Welcia Holdings Co., Ltd.

     200        7,525  
     

 

 

 
Total Food & Staples Retailing               324,534  
Food Products – 1.5%      

Ajinomoto Co., Inc.

     2,169        42,314  

Calbee, Inc.

     400        14,054  

Ezaki Glico Co., Ltd.

     123        6,491  

Kewpie Corp.

     800        19,288  

Kikkoman Corp.

     572        17,582  

MEIJI Holdings Co., Ltd.

     500        39,622  

Morinaga & Co., Ltd.

     100        5,561  

NH Foods Ltd.

     616        16,937  

Toyo Suisan Kaisha Ltd.

     400        14,694  

Yakult Honsha Co., Ltd.

     364        26,225  
     

 

 

 
Total Food Products               202,768  
Health Care Equipment & Supplies – 1.7%      

Hoya Corp.

     1,895        102,271  

Nakanishi, Inc.

     200        9,044  

Nihon Kohden Corp.

     400        8,642  

Olympus Corp.

     700        23,693  

Paramount Bed Holdings Co., Ltd.

     200      $ 8,590  

Sysmex Corp.

     528        33,679  

Terumo Corp.

     1,062        41,748  
     

 

 

 
Total Health Care Equipment & Supplies               227,667  
Health Care Providers & Services – 0.1%      

Japan Lifeline Co., Ltd.

     100        4,939  

Ship Healthcare Holdings, Inc.

     400        12,349  
     

 

 

 
Total Health Care Providers & Services               17,288  
Health Care Technology – 0.1%      

M3, Inc.

     300        8,542  
Hotels, Restaurants & Leisure – 0.4%      

Ichibanya Co., Ltd.

     200        8,315  

Oriental Land Co., Ltd.

     449        34,200  

Skylark Co., Ltd.

     1,000        14,774  
     

 

 

 
Total Hotels, Restaurants & Leisure               57,289  
Household Durables – 3.2%      

Casio Computer Co., Ltd.

     1,521        21,403  

Fujitsu General Ltd.

     200        4,044  

Haseko Corp.

     1,522        20,282  

Iida Group Holdings Co., Ltd.

     2,100        37,424  

Panasonic Corp.

     12,000        173,819  

Rinnai Corp.

     96        8,213  

Sekisui Chemical Co., Ltd.

     2,375        46,713  

Sekisui House Ltd.

     5,855        98,645  

Starts Corp., Inc.

     300        7,710  

Sumitomo Forestry Co., Ltd.

     900        14,072  
     

 

 

 
Total Household Durables               432,325  
Household Products – 0.3%      

Pigeon Corp.

     518        17,694  

Unicharm Corp.

     1,000        22,884  
     

 

 

 
Total Household Products               40,578  
Internet & Catalog Retail – 0.2%      

Rakuten, Inc.

     1,200        13,081  

Start Today Co., Ltd.

     600        19,002  
     

 

 

 
Total Internet & Catalog Retail               32,083  
Internet Software & Services – 1.5%      

DeNA Co., Ltd.

     600        13,443  

GMO Internet, Inc.

     700        8,526  

Kakaku.com, Inc.

     900        11,465  

Mixi, Inc.

     623        30,053  

Yahoo Japan Corp.(a)

     29,614        140,486  
     

 

 

 
Total Internet Software & Services               203,973  
IT Services – 1.5%      

Fujitsu Ltd.

     9,000        66,833  

Itochu Techno-Solutions Corp.

     800        29,849  

Nihon Unisys Ltd.

     700        11,187  

NS Solutions Corp.

     600        13,230  

Obic Co., Ltd.

     400        25,159  

Otsuka Corp.

     475        30,425  

SCSK Corp.

     549        23,289  
     

 

 

 
Total IT Services               199,972  

 

See Notes to Financial Statements.

 

136   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Leisure Products – 0.5%      

Bandai Namco Holdings, Inc.

     1,065      $ 36,520  

Heiwa Corp.

     1,002        19,859  

Shimano, Inc.

     143        19,043  
     

 

 

 
Total Leisure Products               75,422  
Machinery – 7.9%      

CKD Corp.

     400        7,853  

Daifuku Co., Ltd.

     500        24,608  

Ebara Corp.

     587        19,477  

FANUC Corp.

     1,061        214,811  

Fujitec Co., Ltd.

     1,000        13,992  

Harmonic Drive Systems, Inc.(a)

     100        5,161  

Hino Motors Ltd.

     3,288        40,193  

Hoshizaki Corp.

     152        13,355  

Komatsu Ltd.

     6,722        191,153  

Kubota Corp.

     5,919        107,558  

Kurita Water Industries Ltd.

     600        17,323  

Makita Corp.

     998        40,207  

MINEBEA MITSUMI, Inc.

     1,548        24,204  

Mitsubishi Heavy Industries Ltd.

     2,800        110,667  

Nabtesco Corp.

     625        23,209  

NGK Insulators Ltd.

     1,723        32,267  

NSK Ltd.

     2,862        38,570  

Obara Group, Inc.

     100        5,659  

OSG Corp.

     900        20,468  

SMC Corp.

     143        50,421  

Sumitomo Heavy Industries Ltd.

     800        32,053  

THK Co., Ltd.

     748        25,450  

Tsubakimoto Chain Co.

     2,000        15,973  
     

 

 

 
Total Machinery               1,074,632  
Media – 0.7%      

CyberAgent, Inc.(a)

     196        5,711  

Daiichikosho Co., Ltd.

     290        13,861  

Dentsu, Inc.

     1,100        48,274  

Toho Co., Ltd.

     648        22,595  
     

 

 

 
Total Media               90,441  
Metals & Mining – 1.5%      

Dowa Holdings Co., Ltd.

     470        17,223  

Hitachi Metals Ltd.

     2,300        31,998  

Mitsubishi Materials Corp.

     800        27,646  

Nippon Steel & Sumitomo Metal Corp.

     5,200        119,346  

Tokyo Steel Manufacturing Co., Ltd.

     600        4,941  
     

 

 

 
Total Metals & Mining               201,154  
Multiline Retail – 0.5%      

Izumi Co., Ltd.

     200        10,252  

Marui Group Co., Ltd.(a)

     1,400        20,036  

Ryohin Keikaku Co., Ltd.

     112        32,984  
     

 

 

 
Total Multiline Retail               63,272  
Oil, Gas & Consumable Fuels – 0.0%      

Nippon Gas Co., Ltd.

     200        6,210  
Personal Products – 1.6%      

Kao Corp.

     2,087      $ 122,738  

Kobayashi Pharmaceutical Co., Ltd.

     188        10,639  

Kose Corp.

     100        11,451  

Noevir Holdings Co., Ltd.

     300        16,524  

Pola Orbis Holdings, Inc.

     1,000        30,249  

Shiseido Co., Ltd.

     700        27,996  
     

 

 

 
Total Personal Products               219,597  
Pharmaceuticals – 5.7%      

Astellas Pharma, Inc.

     15,824        201,235  

Chugai Pharmaceutical Co., Ltd.

     2,035        84,426  

Daiichi Sankyo Co., Ltd.

     6,000        135,282  

Hisamitsu Pharmaceutical Co., Inc.

     433        20,772  

Kaken Pharmaceutical Co., Ltd.

     400        20,326  

Kyowa Hakko Kirin Co., Ltd.

     2,100        35,707  

Nippon Shinyaku Co., Ltd.

     100        6,938  

Otsuka Holdings Co., Ltd.

     3,300        131,074  

Santen Pharmaceutical Co., Ltd.

     2,300        36,227  

Sawai Pharmaceutical Co., Ltd.

     400        22,707  

Shionogi & Co., Ltd.

     1,195        65,300  

Tsumura & Co.

     378        13,600  
     

 

 

 
Total Pharmaceuticals               773,594  
Professional Services – 1.3%      

Benefit One, Inc.

     200        3,939  

Meitec Corp.

     411        20,593  

Nihon M&A Center, Inc.

     200        9,772  

Nomura Co., Ltd.

     300        6,644  

Persol Holdings Co., Ltd.

     467        10,882  

Recruit Holdings Co., Ltd.

     5,100        110,414  

TechnoPro Holdings, Inc.

     400        18,940  
     

 

 

 
Total Professional Services               181,184  
Real Estate Management & Development – 2.9%      

Daito Trust Construction Co., Ltd.

     761        138,591  

Daiwa House Industry Co., Ltd.

     5,100        176,018  

Hulic Co., Ltd.

     3,292        32,258  

Kenedix, Inc.

     600        3,332  

Leopalace21 Corp.

     3,100        21,591  

Open House Co., Ltd.

     400        13,965  

Relo Group, Inc.

     300        6,849  
     

 

 

 
Total Real Estate Management & Development               392,604  
Road & Rail – 1.6%      

Central Japan Railway Co.

     478        83,782  

East Japan Railway Co.

     1,397        128,884  

Keisei Electric Railway Co., Ltd.

     200        5,535  
     

 

 

 
Total Road & Rail               218,201  
Semiconductors & Semiconductor Equipment – 1.8%     

Advantest Corp.

     700        13,090  

Disco Corp.

     244        49,617  

SCREEN Holdings Co., Ltd.

     100        6,930  

SUMCO Corp.

     1,700        26,731  

Tokyo Electron Ltd.

     1,000        153,511  
     

 

 

 
Total Semiconductors & Semiconductor Equipment               249,879  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      137  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Software – 2.4%      

Capcom Co., Ltd.(a)

     400      $ 9,829  

COLOPL, Inc.(a)

     700        8,072  

Koei Tecmo Holdings Co., Ltd.

     800        16,794  

Nintendo Co., Ltd.

     500        184,604  

Oracle Corp.

     600        47,119  

Square Enix Holdings Co., Ltd.

     485        18,226  

Trend Micro, Inc.

     1,011        49,757  
     

 

 

 
Total Software               334,401  
Specialty Retail – 1.7%      

ABC-Mart, Inc.

     400        21,108  

Fast Retailing Co., Ltd.

     223        65,752  

Hikari Tsushin, Inc.

     277        34,697  

K’s Holdings Corp.(a)

     822        18,205  

Nitori Holdings Co., Ltd.

     200        28,588  

Shimamura Co., Ltd.

     170        20,388  

T-Gaia Corp.

     582        11,308  

USS Co., Ltd.

     1,625        32,770  
     

 

 

 
Total Specialty Retail               232,816  
Technology Hardware, Storage & Peripherals – 0.8%     

Brother Industries Ltd.

     1,813        42,166  

Seiko Epson Corp.

     3,000        72,572  
     

 

 

 
Total Technology Hardware, Storage & Peripherals               114,738  
Tobacco – 4.5%      

Japan Tobacco, Inc.

     18,773        615,065  
Investments    Shares      Value  
Trading Companies & Distributors – 3.0%      

ITOCHU Corp.

     16,499      $ 270,134  

Marubeni Corp.

     16,955        115,755  

MISUMI Group, Inc.

     600        15,793  

MonotaRO Co., Ltd.(a)

     200        5,348  
     

 

 

 
Total Trading Companies & Distributors               407,030  
Wireless Telecommunication Services – 9.9%      

KDDI Corp.

     21,987        579,536  

NTT DOCOMO, Inc.

     27,946        638,166  

SoftBank Group Corp.

     1,595        128,717  
     

 

 

 
Total Wireless Telecommunication Services               1,346,419  

TOTAL COMMON STOCKS

(Cost: $12,272,224)

              13,481,846  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5%  
United States – 0.5%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(b)

     
(Cost: $64,048)(c)      64,048        64,048  

TOTAL INVESTMENTS IN SECURITIES – 99.5%

(Cost: $12,336,272)

        13,545,894  

Other Assets less Liabilities – 0.5%

        63,323  
     

 

 

 
NET ASSETS – 100.0%             $ 13,609,217  

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $222,443 and the total market value of the collateral held by the Fund was $234,614. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $170,566.

 

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 N.A.

    10/4/2017       306,625,918       JPY       2,723,910       USD     $ 209     $  

Bank of America N.A.

    10/4/2017       2,723,910       USD       299,375,142       JPY       64,208        

Bank of America N.A.

    11/6/2017       2,861,613       USD       321,661,898       JPY             (304

Barclays Bank PLC

    10/4/2017       306,625,100       JPY       2,723,910       USD       202        

Barclays Bank PLC

    11/6/2017       2,861,613       USD       321,659,036       JPY             (279

Citibank N.A.

    10/4/2017       306,609,846       JPY       2,723,910       USD       67        

Citibank N.A.

    10/4/2017       2,723,910       USD       299,374,597       JPY       64,213        

Citibank N.A.

    11/6/2017       2,861,613       USD       321,640,722       JPY             (116

Credit Suisse International

    10/4/2017       233,602,331       JPY       2,075,362       USD       3        

Credit Suisse International

    10/4/2017       2,723,910       USD       299,380,045       JPY       64,164        

Credit Suisse International

    11/6/2017       2,180,277       USD       245,060,518       JPY             (96

Goldman Sachs

    10/4/2017       306,607,940       JPY       2,723,910       USD       50        

Goldman Sachs

    10/4/2017       2,723,910       USD       299,374,597       JPY       64,213        

Goldman Sachs

    11/6/2017       2,861,613       USD       321,636,430       JPY             (78

Morgan Stanley & Co. International

    10/4/2017       2,075,362       USD       228,097,226       JPY       48,905        
                                            $ 306,234     $ (873

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

138   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.1%      
Japan – 99.1%      
Building Products – 5.5%      

LIXIL Group Corp.

     3,736      $ 99,105  

Nichias Corp.

     2,146        26,481  

Nichiha Corp.

     400        14,996  

Takara Standard Co., Ltd.

     643        11,070  

TOTO Ltd.

     2,141        90,155  
     

 

 

 
Total Building Products               241,807  
Capital Markets – 0.2%      

Ichigo, Inc.(a)

     2,600        8,893  
Construction & Engineering – 16.9%      

Hazama Ando Corp.

     2,406        16,822  

Kajima Corp.

     12,082        119,999  

Kumagai Gumi Co., Ltd.

     504        15,198  

Maeda Corp.

     2,640        32,248  

Maeda Road Construction Co., Ltd.

     978        21,034  

Nippo Corp.

     986        21,084  

Nishimatsu Construction Co., Ltd.

     762        22,012  

Obayashi Corp.

     9,183        110,051  

Okumura Corp.

     580        22,171  

Penta-Ocean Construction Co., Ltd.

     3,791        23,912  

Raito Kogyo Co., Ltd.

     622        6,178  

Shimizu Corp.

     9,048        100,234  

SHO-BOND Holdings Co., Ltd.

     267        15,204  

Sumitomo Mitsui Construction Co., Ltd.

     2,069        11,948  

Taisei Corp.

     2,842        148,950  

Toda Corp.

     3,026        23,576  

Tokyu Construction Co., Ltd.

     1,109        9,093  

Totetsu Kogyo Co., Ltd.

     460        15,141  

Yokogawa Bridge Holdings Corp.

     500        9,697  
     

 

 

 
Total Construction & Engineering               744,552  
Construction Materials – 2.0%      

Sumitomo Osaka Cement Co., Ltd.

     5,747        25,426  

Taiheiyo Cement Corp.

     1,579        60,953  
     

 

 

 
Total Construction Materials               86,379  
Equity Real Estate Investment Trusts (REITs) – 26.5%  

Activia Properties, Inc.

     8        33,190  

Advance Residence Investment Corp.

     17        41,803  

AEON REIT Investment Corp.

     21        21,249  

Comforia Residential REIT, Inc.

     7        14,794  

Daiwa House REIT Investment Corp.

     19        45,472  

Daiwa Office Investment Corp.

     4        20,006  

Frontier Real Estate Investment Corp.

     6        24,333  

Fukuoka REIT Corp.

     10        14,232  

Global One Real Estate Investment Corp.

     3        9,768  

GLP J-REIT

     36        37,514  

Hankyu REIT, Inc.

     8        9,516  

Hoshino Resorts REIT, Inc.

     2        9,950  

Hulic REIT, Inc.

     12        17,696  

Ichigo Office REIT Investment

     20        13,503  

Industrial & Infrastructure Fund Investment Corp.

     5        21,188  

Invesco Office J-Reit, Inc.(a)

     12      $ 11,428  

Invincible Investment Corp.

     43        17,744  

Japan Excellent, Inc.

     17        20,192  

Japan Hotel REIT Investment Corp.

     54        34,108  

Japan Logistics Fund, Inc.

     12        22,334  

Japan Prime Realty Investment Corp.

     12        40,083  

Japan Real Estate Investment Corp.

     15        72,092  

Japan Rental Housing Investments, Inc.

     21        14,813  

Japan Retail Fund Investment Corp.

     33        59,190  

Kenedix Office Investment Corp.

     5        27,495  

Kenedix Residential Investment Corp.

     5        12,850  

Kenedix Retail REIT Corp.

     7        14,539  

LaSalle Logiport REIT

     14        13,631  

MCUBS MidCity Investment Corp.

     4        12,189  

Mitsui Fudosan Logistics Park, Inc.

     2        5,819  

Mori Hills REIT Investment Corp.

     18        21,572  

Mori Trust Sogo REIT, Inc.

     12        17,952  

Nippon Accommodations Fund, Inc.

     6        23,293  

Nippon Building Fund, Inc.

     18        89,708  

Nippon Prologis REIT, Inc.

     26        54,765  

NIPPON REIT Investment Corp.

     5        14,369  

Nomura Real Estate Master Fund, Inc.

     54        70,183  

Orix JREIT, Inc.

     34        48,781  

Premier Investment Corp.

     15        14,232  

Sekisui House REIT, Inc.

     11        12,704  

Sekisui House Residential Investment Corp.

     14        13,706  

Tokyu REIT, Inc.

     13        15,834  

United Urban Investment Corp.

     39        57,098  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)               1,166,918  
Household Durables – 9.3%      

Haseko Corp.

     3,676        48,985  

Iida Group Holdings Co., Ltd.

     2,229        39,723  

Sekisui Chemical Co., Ltd.

     5,768        113,449  

Sekisui House Ltd.

     8,528        143,680  

Starts Corp., Inc.

     500        12,850  

Sumitomo Forestry Co., Ltd.

     2,215        34,632  

Token Corp.

     145        17,248  
     

 

 

 
Total Household Durables               410,567  
Real Estate Management & Development – 37.0%  

Aeon Mall Co., Ltd.

     1,567        27,883  

Daibiru Corp.

     800        8,834  

Daikyo, Inc.

     400        7,853  

Daito Trust Construction Co., Ltd.

     964        175,561  

Daiwa House Industry Co., Ltd.

     8,885        306,652  

Heiwa Real Estate Co., Ltd.

     500        8,515  

Hulic Co., Ltd.

     6,295        61,683  

Kenedix, Inc.

     3,203        17,784  

Leopalace21 Corp.

     3,367        23,451  

Mitsubishi Estate Co., Ltd.

     18,364        319,186  

Mitsui Fudosan Co., Ltd.

     13,173        285,543  

Nomura Real Estate Holdings, Inc.

     1,679        35,768  

NTT Urban Development Corp.

     1,339        13,323  

Open House Co., Ltd.

     470        16,409  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      139  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Relo Group, Inc.

     1,570      $ 35,845  

Sumitomo Realty & Development Co., Ltd.

     6,075        183,764  

TOC Co., Ltd.

     1,000        8,795  

Tokyo Tatemono Co., Ltd.

     2,948        37,686  

Tokyu Fudosan Holdings Corp.

     7,037        42,448  

Unizo Holdings Co., Ltd.

     357        8,274  
     

 

 

 
Total Real Estate Management & Development               1,625,257  
Transportation Infrastructure – 1.7%      

Kamigumi Co., Ltd.

     1,499        34,678  

Mitsubishi Logistics Corp.

     1,075        26,731  

Sumitomo Warehouse Co., Ltd. (The)

     1,897        12,589  
     

 

 

 
Total Transportation Infrastructure               73,998  

TOTAL COMMON STOCKS

(Cost: $4,620,875)

              4,358,371  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.3%  
United States – 0.3%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(b)

     

(Cost: $14,134)(c)

     14,134      $ 14,134  

TOTAL INVESTMENTS IN SECURITIES – 99.4%

(Cost: $4,635,009)

        4,372,505  

Other Assets less Liabilities – 0.6%

        24,729  
     

 

 

 
NET ASSETS – 100.0%             $ 4,397,234  

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $13,445 and the total market value of the collateral held by the Fund was $14,134.

 

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 N.A.     10/4/2017       100,560,864       JPY       893,332       USD     $ 69     $  
Bank of America N.A.     10/4/2017       893,332       USD       98,182,904       JPY       21,058        
Bank of America N.A.     11/6/2017       923,280       USD       103,782,027       JPY             (98
Barclays Bank PLC     10/4/2017       100,560,596       JPY       893,332       USD       66        
Barclays Bank PLC     11/6/2017       923,280       USD       103,781,103       JPY             (90
Citibank N.A.     10/4/2017       100,555,593       JPY       893,332       USD       22        
Citibank N.A.     10/4/2017       893,332       USD       98,182,725       JPY       21,059        
Citibank N.A.     11/6/2017       923,280       USD       103,775,194       JPY             (37
Credit Suisse International     10/4/2017       76,612,477       JPY       680,638       USD       1        
Credit Suisse International     10/4/2017       893,332       USD       98,184,512       JPY       21,043        
Credit Suisse International     11/6/2017       703,455       USD       79,067,497       JPY             (31
Goldman Sachs     10/4/2017       100,554,968       JPY       893,332       USD       16        
Goldman Sachs     10/4/2017       893,332       USD       98,182,725       JPY       21,059        
Goldman Sachs     11/6/2017       923,280       USD       103,773,809       JPY             (25

Morgan Stanley & Co. International

    10/4/2017       680,638       USD       74,807,016       JPY       16,039        
                                            $ 100,432     $ (281

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

 

See Notes to Financial Statements.

 

140   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Japan – 99.2%      
Air Freight & Logistics – 0.4%      

Kintetsu World Express, Inc.

     10,100      $ 167,429  

Konoike Transport Co., Ltd.

     12,200        185,767  

Maruwa Unyu Kikan Co., Ltd.(a)

     5,200        121,679  

SBS Holdings, Inc.

     4,500        34,860  

Shibusawa Warehouse Co., Ltd. (The)

     4,200        74,810  

Yusen Logistics Co., Ltd.

     400        3,649  
     

 

 

 
Total Air Freight & Logistics               588,194  
Auto Components – 5.5%      

Aisan Industry Co., Ltd.

     6,500        62,479  

Daido Metal Co., Ltd.

     8,200        73,138  

Daikyonishikawa Corp.

     10,800        173,852  

Eagle Industry Co., Ltd.

     12,000        220,139  

Exedy Corp.

     9,000        273,842  

FCC Co., Ltd.

     6,900        153,613  

G-Tekt Corp.

     6,298        130,028  

H-One Co., Ltd.

     4,300        46,986  

Imasen Electric Industrial

     8,900        110,850  

Kasai Kogyo Co., Ltd.

     7,800        118,214  

Keihin Corp.

     20,300        347,335  

KYB Corp.

     4,800        289,966  

Mitsuba Corp.

     4,000        62,009  

Musashi Seimitsu Industry Co., Ltd.

     5,100        159,028  

NHK Spring Co., Ltd.

     38,600        415,953  

Nifco, Inc.

     9,800        598,108  

Nissin Kogyo Co., Ltd.(a)

     10,700        191,348  

Pacific Industrial Co., Ltd.

     8,700        116,010  

Piolax, Inc.

     2,300        65,078  

Press Kogyo Co., Ltd.

     23,300        127,507  

Sanoh Industrial Co., Ltd.

     11,700        97,911  

Shoei Co., Ltd.

     5,200        160,299  

Sumitomo Riko Co., Ltd.

     14,300        143,807  

Tachi-S Co., Ltd.

     3,000        55,541  

Taiho Kogyo Co., Ltd.

     5,500        83,503  

Tokai Rika Co., Ltd.

     20,825        411,819  

Topre Corp.

     6,400        196,438  

Toyo Tire & Rubber Co., Ltd.

     25,300        568,416  

Toyoda Gosei Co., Ltd.

     23,400        552,753  

TPR Co., Ltd.

     4,706        157,821  

TS Tech Co., Ltd.

     13,900        466,770  

Unipres Corp.

     6,200        172,398  

Yokohama Rubber Co., Ltd. (The)

     35,700        735,788  

Yorozu Corp.

     9,700        207,245  
     

 

 

 
Total Auto Components               7,745,992  
Automobiles – 0.1%      

Nissan Shatai Co., Ltd.

     11,800        130,197  
Banks – 7.5%      

77 Bank Ltd. (The)

     8,600        212,469  

Akita Bank Ltd. (The)

     1,000        31,404  

Aomori Bank Ltd. (The)

     4,400        153,618  

Awa Bank Ltd. (The)

     31,000        204,344  

Bank of Iwate Ltd. (The)

     1,700      $ 68,640  

Bank of Kyoto Ltd. (The)(a)

     9,400        477,662  

Bank of Nagoya Ltd. (The)(a)

     4,600        180,624  

Bank of Okinawa Ltd. (The)

     4,940        198,583  

Bank of Saga Ltd. (The)

     2,100        50,781  

Bank of the Ryukyus Ltd.

     4,700        72,651  

Chugoku Bank Ltd. (The)

     23,500        321,921  

Daishi Bank Ltd. (The)

     6,300        296,629  

Ehime Bank Ltd. (The)(a)

     11,300        145,058  

Eighteenth Bank Ltd. (The)

     28,000        68,405  

FIDEA Holdings Co., Ltd.

     86,900        159,032  

First Bank of Toyama Ltd. (The)

     31,900        151,898  

Fukui Bank Ltd. (The)

     3,600        95,433  

Gunma Bank Ltd. (The)

     85,500        528,655  

Hachijuni Bank Ltd. (The)

     100,300        626,402  

Hiroshima Bank Ltd. (The)

     53,500        432,981  

Hokkoku Bank Ltd. (The)

     6,300        275,921  

Hokuetsu Bank Ltd. (The)

     6,100        138,566  

Hokuhoku Financial Group, Inc.

     25,200        405,206  

Hyakugo Bank Ltd. (The)

     28,100        125,566  

Hyakujushi Bank Ltd. (The)

     38,000        131,657  

Iyo Bank Ltd. (The)(a)

     47,900        387,660  

Jimoto Holdings, Inc.

     63,700        117,706  

Juroku Bank Ltd. (The)

     4,300        141,341  

Kansai Urban Banking Corp.

     13,500        167,783  

Keiyo Bank Ltd. (The)

     34,000        157,669  

Kiyo Bank Ltd. (The)

     13,998        234,782  

Kyushu Financial Group, Inc.

     75,900        466,600  

Michinoku Bank Ltd. (The)(a)

     1,900        32,695  

Minato Bank Ltd. (The)

     6,058        109,896  

Miyazaki Bank Ltd. (The)

     3,500        126,860  

Musashino Bank Ltd. (The)

     4,600        136,694  

Nanto Bank Ltd. (The)

     4,200        117,905  

Nishi-Nippon Financial Holdings, Inc.

     30,300        331,358  

North Pacific Bank Ltd.

     76,700        242,573  

Ogaki Kyoritsu Bank Ltd. (The)

     5,300        148,314  

Oita Bank Ltd. (The)

     3,800        157,651  

San-In Godo Bank Ltd. (The)

     14,700        127,326  

Senshu Ikeda Holdings, Inc.

     65,100        250,418  

Shiga Bank Ltd. (The)(a)

     18,000        100,102  

Shikoku Bank Ltd. (The)

     9,800        148,177  

Tochigi Bank Ltd. (The)

     30,700        130,911  

Toho Bank Ltd. (The)

     25,200        94,697  

Tokyo TY Financial Group, Inc.

     4,500        115,014  

TOMONY Holdings, Inc.

     32,400        146,507  

Towa Bank Ltd. (The)

     12,800        137,137  

Yamagata Bank Ltd. (The)(a)

     7,000        162,431  

Yamaguchi Financial Group, Inc.

     36,000        421,197  

Yamanashi Chuo Bank Ltd. (The)

     14,000        58,828  
     

 

 

 
Total Banks               10,524,338  
Beverages – 0.2%      

Sapporo Holdings Ltd.

     6,200        167,166  

Takara Holdings, Inc.

     17,700        161,488  
     

 

 

 
Total Beverages               328,654  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      141  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Building Products – 1.6%      

Aica Kogyo Co., Ltd.

     10,900      $ 366,029  

Bunka Shutter Co., Ltd.

     4,900        36,653  

Central Glass Co., Ltd.

     4,200        91,488  

Nichias Corp.

     22,000        271,470  

Nichiha Corp.

     5,000        187,447  

Nitto Boseki Co., Ltd.

     6,000        183,894  

Noritz Corp.

     5,200        93,407  

Okabe Co., Ltd.

     11,500        108,395  

Sankyo Tateyama, Inc.(a)

     4,900        69,605  

Sanwa Holdings Corp.

     37,400        428,938  

Shin Nippon Air Technologies Co., Ltd.

     4,400        63,245  

Sinko Industries Ltd.

     4,900        82,098  

Takara Standard Co., Ltd.

     6,417        110,480  

Takasago Thermal Engineering Co., Ltd.

     11,100        183,217  
     

 

 

 
Total Building Products               2,276,366  
Capital Markets – 2.8%      

GCA Corp.(a)

     17,200        157,690  

Ichigo, Inc.(a)

     60,800        207,951  

Ichiyoshi Securities Co., Ltd.(a)

     11,700        114,646  

IwaiCosmo Holdings, Inc.

     15,300        183,494  

kabu.com Securities Co., Ltd.

     81,600        247,921  

Kyokuto Securities Co., Ltd.

     9,600        130,399  

Marusan Securities Co., Ltd.(a)

     23,200        191,470  

Matsui Securities Co., Ltd.(a)

     75,100        565,760  

Monex Group, Inc.

     40,665        109,100  

Okasan Securities Group, Inc.

     62,000        355,812  

SBI Holdings, Inc.

     67,700        1,018,823  

Sparx Group Co., Ltd.

     25,800        47,445  

Tokai Tokyo Financial Holdings, Inc.

     92,200        546,328  
     

 

 

 
Total Capital Markets               3,876,839  
Chemicals – 7.9%      

Achilles Corp.

     6,300        126,431  

ADEKA Corp.

     18,200        331,776  

Arakawa Chemical Industries Ltd.

     6,400        149,929  

C.I. Takiron Corp.

     24,000        153,511  

Chugoku Marine Paints Ltd.

     5,400        45,142  

Dainichiseika Color & Chemicals Manufacturing Co., Ltd.

     4,400        200,524  

Denka Co., Ltd.

     17,200        566,126  

DIC Corp.

     20,100        727,646  

Fujimi, Inc.

     5,700        132,721  

Fujimori Kogyo Co., Ltd.

     3,600        121,530  

Fuso Chemical Co., Ltd.

     4,900        156,492  

JCU Corp.

     1,300        57,975  

JSP Corp.

     4,717        144,571  

Kaneka Corp.

     53,240        413,377  

KH Neochem Co., Ltd.

     8,300        203,435  

Konishi Co., Ltd.

     3,900        68,982  

Kumiai Chemical Industry Co., Ltd.(a)

     2,194        15,768  

Kureha Corp.

     3,600        195,727  

Lintec Corp.

     15,000        406,432  

Nihon Nohyaku Co., Ltd.

     16,500        92,347  

Nihon Parkerizing Co., Ltd.

     12,100      $ 193,488  

Nippon Kayaku Co., Ltd.

     30,000        461,867  

Nippon Shokubai Co., Ltd.

     8,000        565,007  

Nippon Soda Co., Ltd.

     16,000        97,224  

Nippon Valqua Industries Ltd.

     5,900        143,982  

NOF Corp.

     12,500        353,129  

Okamoto Industries, Inc.

     8,000        83,223  

Osaka Soda Co., Ltd.

     3,777        97,306  

Riken Technos Corp.

     13,800        84,101  

Sakai Chemical Industry Co., Ltd.

     5,200        132,997  

Sakata INX Corp.

     7,500        138,387  

Sanyo Chemical Industries Ltd.

     4,000        232,754  

Sekisui Plastics Co., Ltd.

     16,100        202,242  

Shikoku Chemicals Corp.

     7,000        105,841  

Showa Denko K.K.

     18,500        576,045  

Sumitomo Bakelite Co., Ltd.

     35,000        257,762  

Sumitomo Seika Chemicals Co., Ltd.

     2,500        119,487  

T Hasegawa Co., Ltd.

     4,000        76,614  

Taiyo Holdings Co., Ltd.

     6,600        307,236  

Toagosei Co., Ltd.

     20,900        279,806  

Tokai Carbon Co., Ltd.

     31,100        292,309  

Tokyo Ohka Kogyo Co., Ltd.

     6,100        216,764  

Toyo Ink SC Holdings Co., Ltd.

     77,000        433,003  

Toyobo Co., Ltd.

     12,700        241,781  

Ube Industries Ltd.

     20,180        582,641  

Zeon Corp.

     33,000        427,726  
     

 

 

 
Total Chemicals               11,013,164  
Commercial Services & Supplies – 1.4%      

Aeon Delight Co., Ltd.

     6,100        228,957  

Bell System24 Holdings, Inc.(a)

     19,100        208,706  

Daiseki Co., Ltd.

     4,900        123,365  

Itoki Corp.

     11,500        96,647  

Kokuyo Co., Ltd.

     16,000        270,777  

Mitsubishi Pencil Co., Ltd.

     3,500        87,776  

Nippon Air Conditioning Services Co., Ltd.(a)

     15,200        96,954  

Nippon Parking Development Co., Ltd.(a)

     44,300        65,329  

Okamura Corp.

     15,100        172,376  

Pilot Corp.

     2,200        105,148  

Relia, Inc.(a)

     14,200        163,742  

Sato Holdings Corp.

     5,500        130,067  

Toppan Forms Co., Ltd.

     14,900        158,047  
     

 

 

 
Total Commercial Services & Supplies               1,907,891  
Communications Equipment – 0.2%      

Hitachi Kokusai Electric, Inc.

     11,400        311,926  
Construction & Engineering – 5.8%      

Asunaro Aoki Construction Co., Ltd.

     8,800        77,239  

COMSYS Holdings Corp.

     17,600        420,436  

Dai-Dan Co., Ltd.

     3,000        73,904  

Fudo Tetra Corp.

     24,300        40,369  

Hazama Ando Corp.

     40,500        283,156  

Hibiya Engineering Ltd.

     8,100        168,023  

Kandenko Co., Ltd.

     23,000        241,309  

Kitano Construction Corp.

     37,000        150,544  

 

See Notes to Financial Statements.

 

142   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Kumagai Gumi Co., Ltd.

     6,100      $ 183,978  

Kyowa Exeo Corp.

     22,400        444,756  

Kyudenko Corp.

     8,900        344,725  

Maeda Corp.

     17,000        207,658  

Maeda Road Construction Co., Ltd.

     17,000        365,629  

Matsui Construction Co., Ltd.

     9,200        80,913  

Meisei Industrial Co., Ltd.

     10,800        71,863  

Mirait Holdings Corp.(a)

     10,044        120,726  

Nichireki Co., Ltd.

     8,800        112,262  

Nippo Corp.

     14,000        299,365  

Nippon Densetsu Kogyo Co., Ltd.

     5,800        121,962  

Nippon Koei Co., Ltd.

     4,100        139,320  

Nippon Road Co., Ltd. (The)

     2,700        149,434  

Nishimatsu Construction Co., Ltd.

     12,400        358,015  

Okumura Corp.

     16,000        611,202  

OSJB Holdings Corp.

     25,800        76,095  

Penta-Ocean Construction Co., Ltd.

     42,200        266,175  

Raito Kogyo Co., Ltd.

     10,500        104,286  

Sanki Engineering Co., Ltd.

     11,800        132,293  

Seikitokyu Kogyo Co., Ltd.

     16,700        97,027  

Shinnihon Corp.

     8,100        62,460  

SHO-BOND Holdings Co., Ltd.

     3,800        216,391  

Sumitomo Densetsu Co., Ltd.

     9,000        166,064  

Sumitomo Mitsui Construction Co., Ltd.

     19,940        115,142  

Taihei Dengyo Kaisha Ltd.

     5,500        144,676  

Taikisha Ltd.

     5,700        156,976  

Toda Corp.

     47,000        366,180  

Toenec Corp.

     5,200        155,217  

Tokyo Energy & Systems, Inc.

     12,800        137,592  

Tokyu Construction Co., Ltd.

     21,600        177,114  

Toshiba Plant Systems & Services Corp.

     14,600        245,398  

Totetsu Kogyo Co., Ltd.

     3,000        98,743  

Toyo Construction Co., Ltd.

     9,000        41,336  

Yahagi Construction Co., Ltd.

     3,100        26,631  

Yokogawa Bridge Holdings Corp.

     5,700        110,541  

Yurtec Corp.

     22,000        172,185  
     

 

 

 
Total Construction & Engineering               8,135,310  
Construction Materials – 0.4%      

Krosaki Harima Corp.

     2,600        124,497  

Shinagawa Refractories Co., Ltd.

     3,700        123,098  

Sumitomo Osaka Cement Co., Ltd.

     72,000        318,536  
     

 

 

 
Total Construction Materials               566,131  
Consumer Finance – 0.2%      

J Trust Co., Ltd.

     10,200        87,443  

Pocket Card Co., Ltd.

     18,600        176,143  
     

 

 

 
Total Consumer Finance               263,586  
Containers & Packaging – 0.6%      

FP Corp.

     4,200        214,543  

Fuji Seal International, Inc.

     5,600        169,147  

Nihon Yamamura Glass Co., Ltd.

     64,000        113,143  

Rengo Co., Ltd.

     49,781        295,860  
     

 

 

 
Total Containers & Packaging               792,693  
Distributors – 0.9%      

Arata Corp.

     1,000      $ 42,642  

Canon Marketing Japan, Inc.

     26,600        635,432  

Doshisha Co., Ltd.

     6,300        141,262  

Happinet Corp.

     6,300        102,645  

Paltac Corp.

     9,003        350,714  
     

 

 

 
Total Distributors               1,272,695  
Diversified Consumer Services – 0.3%      

Gakkyusha Co., Ltd.

     6,500        88,522  

Meiko Network Japan Co., Ltd.

     5,100        72,265  

Riso Kyoiku Co., Ltd.(a)

     8,100        62,892  

Studio Alice Co., Ltd.

     3,800        91,890  

Tokyo Individualized Educational Institute, Inc.(a)

     12,400        111,150  
     

 

 

 
Total Diversified Consumer Services               426,719  
Diversified Financial Services – 0.7%      

Financial Products Group Co., Ltd.(a)

     35,100        389,463  

Ricoh Leasing Co., Ltd.

     5,300        199,165  

Zenkoku Hosho Co., Ltd.

     9,100        381,979  
     

 

 

 
Total Diversified Financial Services               970,607  
Electric Utilities – 0.6%      

Hokkaido Electric Power Co., Inc.

     7,300        52,076  

Hokuriku Electric Power Co.(a)

     41,400        347,191  

Okinawa Electric Power Co., Inc. (The)

     7,175        157,695  

Shikoku Electric Power Co., Inc.(a)

     28,700        337,317  
     

 

 

 
Total Electric Utilities               894,279  
Electrical Equipment – 1.8%      

Daihen Corp.

     20,000        177,320  

Denyo Co., Ltd.

     6,200        109,773  

Fujikura Ltd.

     28,500        228,881  

Furukawa Electric Co., Ltd.

     6,726        369,268  

GS Yuasa Corp.

     52,000        273,015  

Idec Corp.(a)

     10,000        205,215  

Nippon Carbon Co., Ltd.

     2,500        97,610  

Nissin Electric Co., Ltd.

     19,000        233,945  

Nitto Kogyo Corp.

     11,300        199,669  

Sanyo Denki Co., Ltd.

     1,400        78,976  

Sinfonia Technology Co., Ltd.

     33,000        141,305  

Takaoka Toko Co., Ltd.

     8,000        142,709  

Ushio, Inc.

     19,200        256,023  
     

 

 

 
Total Electrical Equipment               2,513,709  
Electronic Equipment, Instruments & Components – 4.9%  

Ai Holdings Corp.

     4,600        114,831  

Amano Corp.

     14,100        333,570  

Anritsu Corp.

     23,300        193,123  

Azbil Corp.

     11,800        505,797  

Canon Electronics, Inc.

     11,100        223,844  

Citizen Watch Co., Ltd.

     62,000        426,864  

CONEXIO Corp.

     13,600        235,718  

Daiwabo Holdings Co., Ltd.

     3,800        160,183  

Dexerials Corp.

     25,300        309,268  

Enplas Corp.(a)

     2,629        121,682  

ESPEC Corp.

     1,700        34,766  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      143  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

FTGroup Co., Ltd.

     9,700      $ 78,589  

Hakuto Co., Ltd.

     5,700        86,286  

Horiba Ltd.

     4,000        226,003  

Ibiden Co., Ltd.(a)

     24,100        383,879  

Iriso Electronics Co., Ltd.

     1,700        88,953  

Japan Aviation Electronics Industry Ltd.

     15,000        234,398  

Kaga Electronics Co., Ltd.

     9,900        292,871  

Koa Corp.

     1,300        24,114  

Kyosan Electric Manufacturing Co., Ltd.

     23,000        120,348  

Macnica Fuji Electronics Holdings, Inc.

     15,100        277,948  

Marubun Corp.

     12,700        96,126  

Nippon Signal Co., Ltd.

     5,900        63,421  

Nissha Printing Co., Ltd.(a)

     4,300        116,701  

Nohmi Bosai Ltd.

     4,166        65,692  

Oki Electric Industry Co., Ltd.

     17,300        230,380  

Optex Group Co., Ltd.

     2,300        86,021  

Osaki Electric Co., Ltd.

     12,600        97,496  

Ryoden Corp.

     6,500        98,396  

Ryosan Co., Ltd.

     10,300        408,560  

Sanshin Electronics Co., Ltd.

     9,000        133,443  

Satori Electric Co., Ltd.

     10,300        91,045  

Siix Corp.

     2,600        114,334  

Sumida Corp.

     6,600        128,523  

Taiyo Yuden Co., Ltd.

     12,900        190,810  

Tamura Corp.

     22,000        133,487  

Topcon Corp.

     10,900        191,923  

UKC Holdings Corp.

     500        8,635  

Vitec Holdings Co., Ltd.

     6,300        98,895  
     

 

 

 
Total Electronic Equipment, Instruments & Components        6,826,923  
Energy Equipment & Services – 0.3%      

Modec, Inc.

     6,900        166,546  

Shinko Plantech Co., Ltd.

     27,300        239,374  
     

 

 

 
Total Energy Equipment & Services               405,920  
Food & Staples Retailing – 2.5%      

Ain Holdings, Inc.

     1,400        96,513  

Arcs Co., Ltd.

     9,000        202,923  

Axial Retailing, Inc.

     2,500        96,056  

Belc Co., Ltd.

     800        40,084  

Cawachi Ltd.

     2,800        66,962  

Cocokara fine, Inc.

     2,600        148,288  

Create SD Holdings Co., Ltd.

     7,900        208,931  

Heiwado Co., Ltd.

     4,900        107,215  

Inageya Co., Ltd.

     5,100        84,090  

Kato Sangyo Co., Ltd.

     7,100        213,508  

Kobe Bussan Co., Ltd.

     4,500        201,883  

Life Corp.

     5,300        135,790  

Matsumotokiyoshi Holdings Co., Ltd.

     6,400        428,126  

Ministop Co., Ltd.

     5,000        97,055  

Mitsubishi Shokuhin Co., Ltd.

     6,800        198,445  

Okuwa Co., Ltd.

     14,000        144,521  

Qol Co., Ltd.

     5,400        94,362  

San-A Co., Ltd.

     2,500        111,269  

Sogo Medical Co., Ltd.

     1,100      $ 50,229  

United Super Markets Holdings, Inc.(a)

     9,500        90,894  

Valor Holdings Co., Ltd.

     11,200        239,193  

Yamatane Corp.

     7,800        131,865  

Yaoko Co., Ltd.

     2,600        120,339  

Yokohama Reito Co., Ltd.

     15,200        143,135  
     

 

 

 
Total Food & Staples Retailing               3,451,676  
Food Products – 3.0%      

Ariake Japan Co., Ltd.

     2,200        157,918  

Feed One Co., Ltd.

     62,500        146,027  

Fuji Oil Holdings, Inc.

     12,351        322,477  

Fujicco Co., Ltd.

     4,500        106,379  

Hokuto Corp.

     11,600        201,878  

House Foods Group, Inc.

     8,300        246,644  

Itoham Yonekyu Holdings, Inc.

     45,400        408,969  

Kagome Co., Ltd.

     5,500        172,478  

Kameda Seika Co., Ltd.(a)

     1,400        61,813  

Marudai Food Co., Ltd.

     25,000        118,376  

Maruha Nichiro Corp.

     6,300        185,253  

Megmilk Snow Brand Co., Ltd.

     7,700        209,319  

Mitsui Sugar Co., Ltd.

     8,200        275,725  

Morinaga & Co., Ltd.

     3,300        183,521  

Morinaga Milk Industry Co., Ltd.

     4,100        156,621  

Nippon Flour Mills Co., Ltd.

     13,900        211,652  

Nippon Suisan Kaisha Ltd.

     21,900        122,375  

Nisshin Oillio Group Ltd. (The)

     5,800        190,130  

Prima Meat Packers Ltd.

     25,000        169,013  

S Foods, Inc.

     3,000        116,599  

Sakata Seed Corp.

     3,100        88,127  

Showa Sangyo Co., Ltd.

     5,400        139,455  

Starzen Co., Ltd.

     2,300        112,175  

Warabeya Nichiyo Holdings Co., Ltd.

     2,700        68,840  
     

 

 

 
Total Food Products               4,171,764  
Gas Utilities – 0.3%      

Saibu Gas Co., Ltd.

     7,900        197,912  

Shizuoka Gas Co., Ltd.

     20,100        159,100  
     

 

 

 
Total Gas Utilities               357,012  
Health Care Equipment & Supplies – 1.4%      

Asahi Intecc Co., Ltd.

     3,200        166,588  

Eiken Chemical Co., Ltd.

     3,100        120,624  

Hogy Medical Co., Ltd.

     2,400        170,142  

Jeol Ltd.

     11,000        55,896  

Mani, Inc.

     4,500        107,778  

Nagaileben Co., Ltd.

     8,900        223,676  

Nakanishi, Inc.

     3,000        135,655  

Nihon Kohden Corp.

     11,100        239,819  

Nikkiso Co., Ltd.

     13,100        121,614  

Nipro Corp.(a)

     29,823        410,657  

Paramount Bed Holdings Co., Ltd.

     4,503        193,417  
     

 

 

 
Total Health Care Equipment & Supplies               1,945,866  

 

See Notes to Financial Statements.

 

144   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Health Care Providers & Services – 1.4%      

As One Corp.

     3,900      $ 207,533  

BML, Inc.

     7,700        164,651  

Japan Lifeline Co., Ltd.(a)

     2,100        103,727  

Miraca Holdings, Inc.

     12,400        576,129  

NichiiGakkan Co., Ltd.

     16,000        164,740  

Ship Healthcare Holdings, Inc.

     8,059        248,790  

Solasto Corp.

     7,900        153,908  

Toho Holdings Co., Ltd.

     11,000        210,199  

Vital KSK Holdings, Inc.

     18,500        153,338  
     

 

 

 
Total Health Care Providers & Services               1,983,015  
Hotels, Restaurants & Leisure – 2.7%  

Create Restaurants Holdings, Inc.(a)

     14,800        153,437  

Doutor Nichires Holdings Co., Ltd.

     5,800        124,435  

Hiday Hidaka Corp.

     3,700        102,883  

Hiramatsu, Inc.

     16,100        87,247  

HIS Co., Ltd.

     3,000        94,612  

Ichibanya Co., Ltd.

     3,100        128,885  

KFC Holdings Japan Ltd.

     9,800        174,122  

KOMEDA Holdings Co., Ltd.(a)

     11,100        185,090  

Kyoritsu Maintenance Co., Ltd.(a)

     4,000        119,398  

MOS Food Services, Inc.

     2,900        90,299  

Ohsho Food Service Corp.

     4,800        192,742  

Plenus Co., Ltd.

     9,900        218,729  

Resorttrust, Inc.(a)

     22,600        404,156  

Round One Corp.

     17,200        231,187  

Saizeriya Co., Ltd.

     3,300        90,734  

SFP Holdings Co., Ltd.

     2,700        42,048  

Skylark Co., Ltd.

     35,900        530,375  

St. Marc Holdings Co., Ltd.

     4,900        144,086  

Tokyo Dome Corp.

     16,000        147,826  

Tokyotokeiba Co., Ltd.

     5,500        165,393  

Toridoll Holdings Corp.(a)

     2,800        84,076  

Yoshinoya Holdings Co., Ltd.

     7,500        123,529  

Zensho Holdings Co., Ltd.(a)

     9,600        173,212  
     

 

 

 
Total Hotels, Restaurants & Leisure               3,808,501  
Household Durables – 2.3%      

Alpine Electronics, Inc.

     12,600        229,132  

Clarion Co., Ltd.

     19,000        74,943  

Cleanup Corp.

     16,900        135,572  

ES-Con Japan Ltd.(a)

     19,700        88,030  

Foster Electric Co., Ltd.

     3,906        78,804  

France Bed Holdings Co., Ltd.

     13,700        126,211  

Fuji Corp., Ltd.(a)

     21,100        153,519  

Fujitsu General Ltd.

     8,200        165,799  

JVC Kenwood Corp.

     23,500        67,850  

Ki-Star Real Estate Co., Ltd.

     3,100        57,668  

Meiwa Estate Co., Ltd.

     10,000        81,286  

Misawa Homes Co., Ltd.(a)

     8,300        69,606  

Mitsui Home Co., Ltd.

     11,000        71,630  

Nihon House Holdings Co., Ltd.

     24,100        139,378  

Nissei Build Kogyo Co., Ltd.(a)

     11,500        124,333  

Pressance Corp.

     6,600        89,298  

Sanei Architecture Planning Co., Ltd.

     2,300      $ 46,280  

Sangetsu Corp.

     18,700        321,122  

Starts Corp., Inc.

     8,300        213,316  

Sumitomo Forestry Co., Ltd.

     28,300        442,482  

Tamron Co., Ltd.

     6,600        127,409  

TOA Corp.(a)

     4,200        44,177  

Token Corp.

     1,300        154,639  

Zojirushi Corp.(a)

     11,000        105,344  
     

 

 

 
Total Household Durables               3,207,828  
Household Products – 0.1%      

Earth Chemical Co., Ltd.

     3,300        148,927  
Independent Power & Renewable Electricity Producers – 0.0%  

West Holdings Corp.(a)

     9,300        64,856  
Industrial Conglomerates – 0.5%      

Nisshinbo Holdings, Inc.

     36,800        435,134  

TOKAI Holdings Corp.

     33,300        257,371  
     

 

 

 
Total Industrial Conglomerates               692,505  
Internet & Catalog Retail – 0.2%      

ASKUL Corp.(a)

     5,900        166,153  

Belluna Co., Ltd.

     14,700        154,881  
     

 

 

 
Total Internet & Catalog Retail               321,034  
Internet Software & Services – 0.9%  

COOKPAD, Inc.(a)

     7,500        51,904  

Dip Corp.

     7,700        175,869  

F@N Communications, Inc.

     12,200        136,561  

GMO Internet, Inc.(a)

     18,400        224,105  

Gurunavi, Inc.

     9,600        139,013  

Infomart Corp.

     13,000        93,315  

Internet Initiative Japan, Inc.

     4,000        74,659  

Kakaku.com, Inc.(a)

     32,900        419,123  
     

 

 

 
Total Internet Software & Services               1,314,549  
IT Services – 1.8%      

Digital Garage, Inc.

     2,500        53,103  

DTS Corp.

     5,100        139,772  

Future Corp.

     8,400        75,967  

GMO Payment Gateway, Inc.(a)

     1,200        75,050  

Information Services International-Dentsu Ltd.

     4,900        111,177  

Kanematsu Electronics Ltd.

     4,300        127,015  

Mitsubishi Research Institute, Inc.

     5,700        167,863  

NEC Networks & System Integration Corp.

     13,000        310,087  

NET One Systems Co., Ltd.

     25,100        265,349  

Nihon Unisys Ltd.

     17,900        286,076  

NS Solutions Corp.

     17,700        390,276  

TIS, Inc.

     7,700        227,104  

Transcosmos, Inc.

     11,900        274,335  
     

 

 

 
Total IT Services               2,503,174  
Leisure Products – 1.8%  

Daikoku Denki Co., Ltd.(a)

     3,900        58,345  

Dunlop Sports Co., Ltd.(a)

     12,200        173,844  

Fields Corp.(a)

     14,600        145,267  

Furyu Corp.

     5,100        50,699  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      145  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Heiwa Corp.(a)

     26,700      $ 529,185  

Mizuno Corp.

     4,200        119,211  

Sankyo Co., Ltd.

     32,900        1,049,269  

Tomy Co., Ltd.

     7,500        103,607  

Universal Entertainment Corp.(a)

     9,100        267,588  
     

 

 

 
Total Leisure Products               2,497,015  
Life Sciences Tools & Services – 0.1%      

EPS Holdings, Inc.

     6,200        118,971  
Machinery – 6.3%      

Aichi Corp.

     10,600        78,913  

Aida Engineering Ltd.

     12,400        146,291  

Alinco, Inc.

     11,700        137,201  

Anest Iwata Corp.

     2,700        25,377  

Asahi Diamond Industrial Co., Ltd.

     600        5,767  

Bando Chemical Industries Ltd.

     15,100        160,303  

CKD Corp.

     12,600        247,377  

DMG Mori Co., Ltd.

     12,900        231,493  

Ebara Corp.

     11,700        388,216  

Fujitec Co., Ltd.

     18,500        258,850  

Furukawa Co., Ltd.

     3,900        66,383  

Giken Ltd.(a)

     2,400        65,775  

Glory Ltd.

     8,300        293,835  

Harmonic Drive Systems, Inc.(a)

     3,900        201,297  

Hirata Corp.(a)

     400        40,439  

Hitachi Zosen Corp.

     19,935        105,727  

Japan Steel Works Ltd. (The)

     8,203        188,742  

Juki Corp.

     7,200        102,853  

Kato Works Co., Ltd.

     4,900        146,262  

Kitagawa Iron Works Co., Ltd.

     4,100        96,486  

Kito Corp.

     8,400        104,622  

Kitz Corp.

     18,900        153,967  

Kurita Water Industries Ltd.

     11,900        343,579  

Kyokuto Kaihatsu Kogyo Co., Ltd.

     9,000        151,592  

Makino Milling Machine Co., Ltd.

     16,000        141,998  

Max Co., Ltd.

     9,000        124,648  

Meidensha Corp.(a)

     16,000        61,120  

METAWATER Co., Ltd.

     4,300        118,038  

Mitsubishi Nichiyu Forklift Co., Ltd.(a)

     8,400        59,997  

Mitsuboshi Belting Ltd.

     10,000        120,464  

Mitsui Engineering & Shipbuilding Co., Ltd.

     800        10,440  

Miura Co., Ltd.

     7,500        165,105  

Morita Holdings Corp.

     4,800        74,581  

Nachi-Fujikoshi Corp.

     43,000        241,807  

Nippon Thompson Co., Ltd.

     16,200        89,660  

Nissei ASB Machine Co., Ltd.

     2,800        112,557  

Nitta Corp.

     4,100        148,972  

Noritake Co., Ltd.

     2,500        119,487  

NTN Corp.

     88,000        372,123  

Obara Group, Inc.

     2,400        135,815  

Oiles Corp.

     2,900        53,716  

OKUMA Corp.

     3,800        207,951  

OSG Corp.(a)

     11,800        268,361  

Ryobi Ltd.

     6,400        172,274  

Shibuya Corp.

     2,700      $ 87,669  

Shima Seiki Manufacturing Ltd.

     3,600        189,331  

Shinmaywa Industries Ltd.

     6,800        61,678  

Sodick Co., Ltd.

     8,900        110,059  

Star Micronics Co., Ltd.

     11,500        197,992  

Tadano Ltd.

     12,900        150,700  

Takeuchi Manufacturing Co., Ltd.

     3,500        73,162  

Takuma Co., Ltd.

     9,700        117,884  

Tocalo Co., Ltd.

     4,600        177,151  

Toshiba Machine Co., Ltd.

     41,000        223,640  

Tsubaki Nakashima Co., Ltd.(a)

     11,900        249,491  

Tsubakimoto Chain Co.

     36,000        287,514  

Tsugami Corp.

     6,000        50,584  

Union Tool Co.

     3,100        96,113  

YAMABIKO Corp.

     7,700        105,754  

Yushin Precision Equipment Co., Ltd.(a)

     3,100        87,025  
     

 

 

 
Total Machinery               8,806,208  
Marine – 0.1%      

Iino Kaiun Kaisha Ltd.

     22,500        104,739  
Media – 1.5%      

Asahi Broadcasting Corp.

     14,500        114,387  

Avex Group Holdings, Inc.

     17,500        237,396  

D.A. Consortium Holdings, Inc.

     3,600        60,893  

Daiichikosho Co., Ltd.

     9,500        454,049  

Kadokawa Dwango*

     8,000        97,082  

LIFULL Co., Ltd.

     10,000        86,883  

SKY Perfect JSAT Holdings, Inc.(a)

     119,200        532,649  

Toei Co., Ltd.

     1,000        110,958  

Tri-Stage, Inc.(a)

     11,600        58,739  

Tv Tokyo Holdings Corp.

     4,000        82,761  

Wowow, Inc.

     4,900        155,186  

Zenrin Co., Ltd.

     4,600        139,759  
     

 

 

 
Total Media               2,130,742  
Metals & Mining – 3.0%      

Aichi Steel Corp.

     1,500        58,899  

Alconix Corp.

     10,900        195,893  

Asahi Holdings, Inc.

     9,200        189,206  

Daido Steel Co., Ltd.

     6,700        397,006  

Dowa Holdings Co., Ltd.

     9,400        344,468  

Godo Steel Ltd.

     4,400        82,360  

Kyoei Steel Ltd.

     9,000        140,239  

Maruichi Steel Tube Ltd.

     21,300        619,709  

Mitsubishi Steel Manufacturing Co., Ltd.

     2,600        66,360  

Mitsui Mining & Smelting Co., Ltd.

     9,400        486,848  

Nippon Denko Co., Ltd.(a)

     33,600        133,725  

Nippon Light Metal Holdings Co., Ltd.

     159,500        453,427  

Nittetsu Mining Co., Ltd.

     2,100        152,978  

Sanyo Special Steel Co., Ltd.

     7,000        179,283  

Toho Zinc Co., Ltd.

     2,000        86,172  

Tokyo Rope Manufacturing Co., Ltd.

     3,400        51,288  

Tokyo Steel Manufacturing Co., Ltd.

     14,400        118,588  

Topy Industries Ltd.

     4,800        160,334  

 

See Notes to Financial Statements.

 

146   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Toyo Kohan Co., Ltd.

     23,400      $ 108,929  

UACJ Corp.(a)

     6,053        172,349  
     

 

 

 
Total Metals & Mining               4,198,061  
Multiline Retail – 0.6%      

H2O Retailing Corp.

     17,900        318,992  

Parco Co., Ltd.(a)

     16,600        203,362  

Takashimaya Co., Ltd.

     38,000        355,812  
     

 

 

 
Total Multiline Retail               878,166  
Oil, Gas & Consumable Fuels – 1.0%      

BP Castrol K.K.

     8,000        137,378  

Cosmo Energy Holdings Co., Ltd.

     18,600        425,488  

Fuji Oil Co., Ltd.

     31,500        122,010  

Itochu Enex Co., Ltd.

     40,800        437,848  

Nippon Gas Co., Ltd.

     4,000        124,195  

San-Ai Oil Co., Ltd.

     15,800        175,033  
     

 

 

 
Total Oil, Gas & Consumable Fuels               1,421,952  
Paper & Forest Products – 0.7%      

Chuetsu Pulp & Paper Co., Ltd.(a)

     4,200        79,325  

Daiken Corp.

     6,200        156,315  

Daio Paper Corp.(a)

     10,200        120,336  

Hokuetsu Kishu Paper Co., Ltd.(a)

     21,900        136,772  

Nippon Paper Industries Co., Ltd.(a)

     27,100        503,648  
     

 

 

 
Total Paper & Forest Products               996,396  
Personal Products – 0.9%      

Artnature, Inc.

     21,400        134,600  

Ci:z Holdings Co., Ltd.

     6,200        218,389  

Fancl Corp.

     13,600        293,590  

Mandom Corp.

     5,800        159,472  

Milbon Co., Ltd.

     2,100        127,420  

Noevir Holdings Co., Ltd.

     6,900        380,047  
     

 

 

 
Total Personal Products               1,313,518  
Pharmaceuticals – 2.0%      

Fuji Pharma Co., Ltd.

     3,200        109,164  

JCR Pharmaceuticals Co., Ltd.

     2,800        86,066  

Kaken Pharmaceutical Co., Ltd.

     10,700        543,721  

KYORIN Holdings, Inc.

     12,500        251,521  

Mochida Pharmaceutical Co., Ltd.

     3,200        235,100  

Nichi-iko Pharmaceutical Co., Ltd.(a)

     8,300        128,963  

Rohto Pharmaceutical Co., Ltd.

     10,000        225,203  

Sawai Pharmaceutical Co., Ltd.(a)

     8,000        454,138  

Seikagaku Corp.

     5,900        106,610  

Torii Pharmaceutical Co., Ltd.

     2,700        76,756  

Towa Pharmaceutical Co., Ltd.

     2,300        116,057  

Tsumura & Co.

     10,900        392,173  

ZERIA Pharmaceutical Co., Ltd.

     7,000        125,057  
     

 

 

 
Total Pharmaceuticals               2,850,529  
Professional Services – 1.7%      

Altech Corp.

     2,200        72,411  

Benefit One, Inc.(a)

     6,600        129,989  

en-japan, Inc.

     3,400        124,595  

FULLCAST Holdings Co., Ltd.

     4,800        87,203  

Funai Soken Holdings, Inc.

     5,660      $ 174,227  

JAC Recruitment Co., Ltd.(a)

     4,800        74,794  

Japan Asia Group Ltd.

     7,000        26,989  

Meitec Corp.

     8,200        410,856  

Nihon M&A Center, Inc.

     3,900        190,556  

Nomura Co., Ltd.

     6,200        137,313  

Pasco Corp.(a)

     16,000        49,465  

Space Co., Ltd.

     8,800        132,354  

Tanseisha Co., Ltd.

     5,600        68,902  

TechnoPro Holdings, Inc.

     7,600        359,863  

Weathernews, Inc.

     2,700        85,511  

World Holdings Co., Ltd.

     3,100        94,186  

Yumeshin Holdings Co., Ltd.(a)

     24,700        170,935  
     

 

 

 
Total Professional Services               2,390,149  
Real Estate Management & Development – 2.9%      

Airport Facilities Co., Ltd.

     6,800        35,883  

Daibiru Corp.

     14,500        160,116  

Daikyo, Inc.

     21,400        420,148  

Goldcrest Co., Ltd.

     6,700        158,802  

Heiwa Real Estate Co., Ltd.

     2,400        40,872  

Investors Cloud Co., Ltd.

     1,100        65,376  

Keihanshin Building Co., Ltd.

     21,900        147,667  

Kenedix, Inc.

     21,100        117,155  

Leopalace21 Corp.

     83,800        583,656  

Nippon Commercial Development Co., Ltd.

     5,100        77,883  

NTT Urban Development Corp.

     47,300        470,626  

Open House Co., Ltd.

     11,100        387,536  

Raysum Co., Ltd.

     10,700        90,779  

Relo Group, Inc.

     8,980        205,025  

SAMTY Co., Ltd.

     7,200        114,750  

Sun Frontier Fudousan Co., Ltd.

     8,700        93,906  

Takara Leben Co., Ltd.(a)

     25,400        124,106  

TOC Co., Ltd.

     10,600        93,226  

Tokyo Tatemono Co., Ltd.

     29,400        375,841  

Tosei Corp.

     21,000        184,320  

Unizo Holdings Co., Ltd.

     5,100        118,206  
     

 

 

 
Total Real Estate Management & Development               4,065,879  
Road & Rail – 2.2%      

Fukuyama Transporting Co., Ltd.

     6,400        202,692  

Hitachi Transport System Ltd.

     12,200        282,226  

Ichinen Holdings Co., Ltd.

     10,900        149,897  

Maruzen Showa Unyu Co., Ltd.

     32,000        150,100  

Nankai Electric Railway Co., Ltd.(a)

     8,800        217,645  

Nikkon Holdings Co., Ltd.

     14,200        350,948  

Nishi-Nippon Railroad Co., Ltd.(a)

     5,400        129,861  

Sakai Moving Service Co., Ltd.

     2,300        121,370  

Sankyu, Inc.

     7,800        329,836  

Seino Holdings Co., Ltd.

     32,300        453,087  

Senko Group Holdings Co., Ltd.

     27,900        198,781  

Sotetsu Holdings, Inc.(a)

     16,600        401,119  

Tonami Holdings Co., Ltd.

     2,600        125,421  
     

 

 

 
Total Road & Rail               3,112,983  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      147  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Semiconductors & Semiconductor Equipment – 0.9%  

Japan Material Co., Ltd.

     2,100      $ 55,333  

Lasertec Corp.

     9,600        197,091  

MegaChips Corp.(a)

     4,592        150,531  

Mimasu Semiconductor Industry Co., Ltd.

     6,900        110,888  

NuFlare Technology, Inc.

     1,800        97,224  

Shindengen Electric Manufacturing Co., Ltd.

     1,200        76,756  

Shinko Electric Industries Co., Ltd.

     34,300        230,972  

Tokyo Seimitsu Co., Ltd.

     6,600        233,652  

Ulvac, Inc.

     900        56,527  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        1,208,974  
Software – 1.5%      

Broadleaf Co., Ltd.

     11,000        94,497  

Capcom Co., Ltd.(a)

     10,500        258,011  

COLOPL, Inc.(a)

     16,800        193,723  

Fuji Soft, Inc.

     2,600        75,876  

GungHo Online Entertainment, Inc.(a)

     95,100        256,833  

Koei Tecmo Holdings Co., Ltd.

     19,900        417,747  

Marvelous, Inc.(a)

     9,400        79,749  

Miroku Jyoho Service Co., Ltd.

     2,800        65,022  

MTI Ltd.

     16,600        99,543  

NSD Co., Ltd.

     7,500        139,053  

OBIC Business Consultants Co., Ltd.

     3,600        181,015  

SRA Holdings

     2,900        76,876  

Systena Corp.

     5,600        139,596  
     

 

 

 
Total Software               2,077,541  
Specialty Retail – 4.8%      

Adastria Co., Ltd.

     10,322        232,913  

Alpen Co., Ltd.

     10,200        198,627  

AOKI Holdings, Inc.

     17,100        224,222  

Aoyama Trading Co., Ltd.(a)

     21,900        783,081  

Arcland Sakamoto Co., Ltd.

     7,100        106,912  

Autobacs Seven Co., Ltd.

     22,000        356,487  

Bic Camera, Inc.(a)

     13,500        150,033  

Chiyoda Co., Ltd.

     8,300        207,712  

DCM Holdings Co., Ltd.

     26,200        236,478  

EDION Corp.(a)

     27,300        255,866  

Geo Holdings Corp.(a)

     20,200        291,609  

Gfoot Co., Ltd.(a)

     16,800        110,592  

Hard Off Corp. Co., Ltd.

     10,600        107,445  

IDOM, Inc.(a)

     17,500        108,049  

Joshin Denki Co., Ltd.

     3,500        118,776  

K’s Holdings Corp.(a)

     24,434        541,145  

Keiyo Co., Ltd.(a)

     15,700        107,117  

Kohnan Shoji Co., Ltd.

     5,400        101,365  

Komeri Co., Ltd.

     6,400        184,214  

Konaka Co., Ltd.

     16,900        86,778  

Nishimatsuya Chain Co., Ltd.

     16,200        181,191  

Nojima Corp.

     4,900        99,162  

PAL GROUP Holdings Co., Ltd.

     4,000        124,017  

PC Depot Corp.(a)

     12,000        91,574  

Right On Co., Ltd.(a)

     9,900        83,728  

Sanrio Co., Ltd.(a)

     26,557      $ 503,702  

Shimachu Co., Ltd.

     12,200        320,377  

T-Gaia Corp.

     16,500        320,575  

United Arrows Ltd.

     5,200        188,940  

VT Holdings Co., Ltd.

     26,354        150,775  

Xebio Holdings Co., Ltd.

     5,900        115,468  

Yellow Hat Ltd.

     3,400        96,353  
     

 

 

 
Total Specialty Retail               6,785,283  
Technology Hardware, Storage & Peripherals – 0.6%  

Elecom Co., Ltd.(a)

     6,100        122,688  

Hitachi Maxell Ltd.

     9,300        208,695  

MCJ Co., Ltd.

     9,600        103,876  

Riso Kagaku Corp.

     11,800        214,584  

Roland DG Corp.

     2,200        56,307  

Wacom Co., Ltd.(a)

     22,800        106,136  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        812,286  
Textiles, Apparel & Luxury Goods – 1.5%      

Descente Ltd.

     7,500        102,274  

Fujibo Holdings, Inc.

     2,000        68,938  

Goldwin, Inc.

     800        57,069  

Gunze Ltd.

     4,300        196,349  

Japan Wool Textile Co., Ltd. (The)

     25,400        229,258  

Kurabo Industries Ltd.

     55,000        150,979  

Onward Holdings Co., Ltd.

     49,639        377,039  

Seiko Holdings Corp.(a)

     8,400        189,021  

Seiren Co., Ltd.

     10,100        186,002  

Wacoal Holdings Corp.

     13,500        384,978  

Yondoshi Holdings, Inc.

     5,400        153,511  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               2,095,418  
Trading Companies & Distributors – 3.4%      

Advan Co., Ltd.(a)

     7,500        65,362  

Daiichi Jitsugyo Co., Ltd.

     1,400        40,545  

Gecoss Corp.

     10,700        115,398  

Hanwa Co., Ltd.

     8,000        286,768  

Inaba Denki Sangyo Co., Ltd.

     7,500        311,154  

Inabata & Co., Ltd.

     17,600        234,531  

Iwatani Corp.

     4,600        139,964  

Japan Pulp & Paper Co., Ltd.

     2,800        113,801  

Kamei Corp.

     8,500        139,169  

Kanamoto Co., Ltd.

     3,200        100,919  

Kanematsu Corp.

     12,400        158,078  

Kuroda Electric Co., Ltd.

     9,100        158,612  

Mitsui Matsushima Co., Ltd.

     6,600        88,887  

Nagase & Co., Ltd.

     22,800        381,806  

Nippon Steel & Sumikin Bussan Corp.

     8,596        473,462  

Nishio Rent All Co., Ltd.

     3,100        103,136  

Onoken Co., Ltd.

     6,600        110,464  

Sanyo Trading Co., Ltd.

     4,400        102,217  

Seika Corp.

     4,200        113,987  

Sojitz Corp.

     310,000        856,483  

Trusco Nakayama Corp.

     6,700        163,207  

Wakita & Co., Ltd.

     8,500        102,621  

 

See Notes to Financial Statements.

 

148   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Yamazen Corp.

     20,800      $ 224,880  

Yuasa Trading Co., Ltd.

     6,600        233,065  
     

 

 

 
Total Trading Companies & Distributors               4,818,516  
Transportation Infrastructure – 0.5%      

Japan Airport Terminal Co., Ltd.(a)

     4,400        156,745  

Kamigumi Co., Ltd.

     12,000        277,706  

Mitsubishi Logistics Corp.(a)

     4,000        99,463  

Nissin Corp.

     4,600        119,204  
     

 

 

 
Total Transportation Infrastructure               653,118  

TOTAL COMMON STOCKS

(Cost: $115,185,891)

              139,079,284  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 7.3%  
United States – 7.3%  

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(b)

 

  
(Cost: $10,245,789)(c)      10,245,789        10,245,789  

TOTAL INVESTMENTS IN SECURITIES – 106.5%

(Cost: $125,431,680)

      $ 149,325,073  

Other Assets less Liabilities – (6.5)%

        (9,095,049
     

 

 

 
NET ASSETS – 100.0%             $ 140,230,024  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $16,966,621 and the total market value of the collateral held by the Fund was $17,618,738. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $7,372,949.

 

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 N.A.     10/4/2017       3,153,053,617       JPY       28,010,138       USD     $ 2,154     $  
Bank of America N.A.     10/4/2017       28,858,931       USD       3,171,781,214       JPY       680,259        
Bank of America N.A.     11/6/2017       29,399,089       USD       3,304,628,118       JPY             (3,126
Barclays Bank PLC     10/4/2017       3,153,045,214       JPY       28,010,138       USD       2,080        
Barclays Bank PLC     11/6/2017       29,399,089       USD       3,304,598,719       JPY             (2,864
Citibank N.A.     10/4/2017       453,545,979       JPY       4,041,867       USD             (12,484
Citibank N.A.     10/4/2017       3,152,888,357       JPY       28,010,138       USD       686        
Citibank N.A.     10/4/2017       28,858,931       USD       3,171,775,442       JPY       680,311        
Citibank N.A.     11/6/2017       29,399,089       USD       3,304,410,565       JPY             (1,190
Credit Suisse International     10/4/2017       2,402,145,670       JPY       21,341,062       USD       30        
Credit Suisse International     10/4/2017       28,858,931       USD       3,171,833,160       JPY       679,798        
Credit Suisse International     11/6/2017       22,399,310       USD       2,517,655,564       JPY             (987
Goldman Sachs     10/4/2017       3,152,868,750       JPY       28,010,138       USD       512        
Goldman Sachs     10/4/2017       28,858,931       USD       3,171,775,442       JPY       680,311        
Goldman Sachs     11/6/2017       29,399,089       USD       3,304,366,466       JPY             (798
UBS AG     10/4/2017       21,987,757       USD       2,416,722,744       JPY       517,160        
                                            $ 3,243,301     $ (21,449

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      149  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Japan – 99.2%      
Air Freight & Logistics – 0.4%      

AIT Corp.

     32,200      $ 330,110  

Kintetsu World Express, Inc.

     29,800        493,997  

Konoike Transport Co., Ltd.

     51,000        776,565  

Maruwa Unyu Kikan Co., Ltd.(a)

     18,400        430,556  

SBS Holdings, Inc.

     12,000        92,960  

Shibusawa Warehouse Co., Ltd. (The)

     24,400        434,611  
     

 

 

 
Total Air Freight & Logistics               2,558,799  
Auto Components – 5.5%      

Aisan Industry Co., Ltd.

     43,500        418,132  

Daido Metal Co., Ltd.

     18,700        166,791  

Daikyonishikawa Corp.

     32,400        521,555  

Eagle Industry Co., Ltd.

     45,100        827,358  

Exedy Corp.

     43,725        1,330,415  

FCC Co., Ltd.

     37,700        839,303  

G-Tekt Corp.

     18,600        384,013  

H-One Co., Ltd.

     21,800        238,209  

Imasen Electric Industrial

     33,200        413,507  

Kasai Kogyo Co., Ltd.

     31,500        477,404  

Keihin Corp.

     80,821        1,382,857  

KYB Corp.

     14,740        890,437  

Mitsuba Corp.

     18,300        283,689  

Musashi Seimitsu Industry Co., Ltd.

     22,500        701,595  

NHK Spring Co., Ltd.

     178,300        1,921,360  

Nifco, Inc.

     36,786        2,245,101  

Nissin Kogyo Co., Ltd.(a)

     43,300        774,334  

Pacific Industrial Co., Ltd.

     38,700        516,046  

Piolax, Inc.

     11,400        322,560  

Press Kogyo Co., Ltd.

     94,900        519,330  

Sanoh Industrial Co., Ltd.

     77,100        645,211  

Shoei Co., Ltd.

     23,100        712,095  

Sumitomo Riko Co., Ltd.

     50,700        509,860  

Tachi-S Co., Ltd.

     16,300        301,774  

Taiho Kogyo Co., Ltd.

     47,000        713,570  

Tokai Rika Co., Ltd.

     85,258        1,685,997  

Topre Corp.

     31,900        979,119  

Toyo Tire & Rubber Co., Ltd.

     111,800        2,511,813  

Toyoda Gosei Co., Ltd.

     102,500        2,421,245  

TPR Co., Ltd.

     22,200        744,503  

TS Tech Co., Ltd.

     57,800        1,940,959  

Unipres Corp.

     27,203        756,411  

Yokohama Rubber Co., Ltd. (The)

     157,700        3,250,246  

Yorozu Corp.

     39,400        841,798  
     

 

 

 
Total Auto Components               33,188,597  
Automobiles – 0.1%      

Nissan Shatai Co., Ltd.

     41,700        460,102  
Banks – 7.7%      

77 Bank Ltd. (The)

     37,200        919,053  

Akita Bank Ltd. (The)

     4,200        131,897  

Aomori Bank Ltd. (The)

     19,062        665,522  

Awa Bank Ltd. (The)

     141,378        931,928  

Bank of Iwate Ltd. (The)

     11,500      464,332  

Bank of Kyoto Ltd. (The)

     40,200        2,042,766  

Bank of Nagoya Ltd. (The)

     12,669        497,464  

Bank of Okinawa Ltd. (The)

     20,380        819,256  

Bank of Saga Ltd. (The)

     14,245        344,462  

Bank of the Ryukyus Ltd.

     35,608        550,419  

Chugoku Bank Ltd. (The)

     110,200        1,509,602  

Daishi Bank Ltd. (The)

     30,055        1,415,116  

Ehime Bank Ltd. (The)(a)

     31,999        410,772  

Eighteenth Bank Ltd. (The)

     132,046        322,593  

FIDEA Holdings Co., Ltd.

     373,000        682,610  

Fukui Bank Ltd. (The)

     11,667        309,285  

Gunma Bank Ltd. (The)

     387,400        2,395,331  

Hachijuni Bank Ltd. (The)

     442,000        2,760,414  

Hiroshima Bank Ltd. (The)

     254,500        2,059,694  

Hokkoku Bank Ltd. (The)

     25,662        1,123,921  

Hokuetsu Bank Ltd. (The)

     22,000        499,747  

Hokuhoku Financial Group, Inc.

     130,100        2,091,956  

Hyakugo Bank Ltd. (The)

     136,400        609,507  

Hyakujushi Bank Ltd. (The)

     166,000        575,134  

Iyo Bank Ltd. (The)(a)

     207,500        1,679,319  

Jimoto Holdings, Inc.

     316,500        584,835  

Juroku Bank Ltd. (The)

     19,400        637,676  

Kansai Urban Banking Corp.

     84,000        1,043,983  

Keiyo Bank Ltd. (The)

     178,684        828,615  

Kiyo Bank Ltd. (The)

     64,490        1,081,661  

Kyushu Financial Group, Inc.

     305,200        1,876,235  

Minato Bank Ltd. (The)(a)

     19,400        351,928  

Miyazaki Bank Ltd. (The)

     18,200        659,672  

Musashino Bank Ltd. (The)

     34,600        1,028,179  

Nanto Bank Ltd. (The)

     12,800        359,330  

Nishi-Nippon Financial Holdings, Inc.

     142,900        1,562,741  

North Pacific Bank Ltd.

     334,915        1,059,208  

Ogaki Kyoritsu Bank Ltd. (The)

     18,442        516,086  

Oita Bank Ltd. (The)

     15,300        634,753  

San-In Godo Bank Ltd. (The)

     64,800        561,276  

Senshu Ikeda Holdings, Inc.

     274,240        1,054,910  

Shiga Bank Ltd. (The)(a)

     168,923        939,420  

Shikoku Bank Ltd. (The)

     52,200        789,272  

Tochigi Bank Ltd. (The)

     52,543        224,054  

Toho Bank Ltd. (The)

     184,000        691,440  

Tokyo TY Financial Group, Inc.

     12,700        324,594  

TOMONY Holdings, Inc.

     79,077        357,573  

Towa Bank Ltd. (The)

     44,700        478,907  

Yamagata Bank Ltd. (The)(a)

     28,800        668,286  

Yamaguchi Financial Group, Inc.

     143,000        1,673,087  

Yamanashi Chuo Bank Ltd. (The)

     193,000        810,989  
     

 

 

 
Total Banks               46,610,810  
Beverages – 0.3%      

Sapporo Holdings Ltd.

     36,098        973,282  

Takara Holdings, Inc.

     79,611        726,340  
     

 

 

 
Total Beverages               1,699,622  

 

See Notes to Financial Statements.

 

150   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Building Products – 1.7%      

Aica Kogyo Co., Ltd.

     46,815      $ 1,572,076  

Bunka Shutter Co., Ltd.

     23,100        172,791  

Central Glass Co., Ltd.

     20,587        448,437  

Nichias Corp.

     109,827        1,355,214  

Nichiha Corp.

     20,100        753,538  

Nitto Boseki Co., Ltd.

     29,399        901,055  

Noritz Corp.

     26,600        477,815  

Okabe Co., Ltd.

     20,100        189,456  

Sankyo Tateyama, Inc.(a)

     18,500        262,795  

Sanwa Holdings Corp.

     176,166        2,020,435  

Shin Nippon Air Technologies Co., Ltd.

     12,100        173,924  

Sinko Industries Ltd.

     13,000        217,812  

Takara Standard Co., Ltd.

     30,231        520,479  

Takasago Thermal Engineering Co., Ltd.

     65,172        1,075,730  
     

 

 

 
Total Building Products               10,141,557  
Capital Markets – 2.9%      

GCA Corp.(a)

     92,200        845,293  

Ichigo, Inc.

     360,000        1,231,289  

Ichiyoshi Securities Co., Ltd.

     82,688        810,242  

IwaiCosmo Holdings, Inc.

     65,900        790,343  

kabu.com Securities Co., Ltd.

     346,200        1,051,840  

Kyokuto Securities Co., Ltd.

     61,200        831,296  

Marusan Securities Co., Ltd.

     101,800        840,156  

Matsui Securities Co., Ltd.(a)

     308,900        2,327,075  

Monex Group, Inc.

     82,994        222,664  

Okasan Securities Group, Inc.

     321,000        1,842,189  

SBI Holdings, Inc.

     256,800        3,864,604  

Sparx Group Co., Ltd.

     139,700        256,900  

Tokai Tokyo Financial Holdings, Inc.

     452,800        2,683,051  
     

 

 

 
Total Capital Markets               17,596,942  
Chemicals – 8.0%      

Achilles Corp.

     31,700        636,169  

ADEKA Corp.

     81,625        1,487,980  

Arakawa Chemical Industries Ltd.

     30,200        707,479  

C.I. Takiron Corp.

     107,000        684,405  

Chugoku Marine Paints Ltd.

     74,200        620,283  

Dainichiseika Color & Chemicals Manufacturing Co., Ltd.

     11,743        535,163  

Denka Co., Ltd.

     72,000        2,369,831  

DIC Corp.

     82,100        2,972,127  

Fujimi, Inc.

     19,300        449,388  

Fujimori Kogyo Co., Ltd.

     5,900        199,174  

Fuso Chemical Co., Ltd.

     21,100        673,873  

JCU Corp.

     4,500        200,684  

JSP Corp.

     21,323        653,528  

Kaneka Corp.

     278,000        2,158,504  

KH Neochem Co., Ltd.

     32,900        806,388  

Konishi Co., Ltd.

     22,600        399,739  

Kumiai Chemical Industry Co., Ltd.(a)

     12,124        87,135  

Kureha Corp.

     14,764        802,698  

Lintec Corp.

     63,165        1,711,485  

Nihon Nohyaku Co., Ltd.

     76,900        430,391  

Nihon Parkerizing Co., Ltd.

     76,000      1,215,298  

Nippon Kayaku Co., Ltd.

     148,000        2,278,541  

Nippon Shokubai Co., Ltd.

     28,500        2,012,837  

Nippon Soda Co., Ltd.

     98,091        596,049  

Nippon Valqua Industries Ltd.

     22,337        545,105  

NOF Corp.

     66,000        1,864,523  

Okamoto Industries, Inc.

     36,436        379,039  

Osaka Soda Co., Ltd.(a)

     23,600        608,004  

Riken Technos Corp.

     64,400        392,470  

Sakata INX Corp.

     50,200        926,268  

Sanyo Chemical Industries Ltd.

     16,135        938,873  

Sekisui Plastics Co., Ltd.

     76,500        960,965  

Shikoku Chemicals Corp.

     46,000        695,527  

Showa Denko K.K.

     81,700        2,543,939  

Sumitomo Bakelite Co., Ltd.

     157,092        1,156,925  

Sumitomo Seika Chemicals Co., Ltd.

     13,700        654,786  

T Hasegawa Co., Ltd.

     18,800        360,084  

Taiyo Holdings Co., Ltd.

     27,591        1,284,385  

Toagosei Co., Ltd.

     117,500        1,573,069  

Tokai Carbon Co., Ltd.

     138,500        1,301,763  

Tokyo Ohka Kogyo Co., Ltd.

     28,800        1,023,409  

Toyo Ink SC Holdings Co., Ltd.

     295,512        1,661,787  

Toyobo Co., Ltd.

     50,053        952,905  

Ube Industries Ltd.

     75,293        2,173,875  

Zeon Corp.

     128,000        1,659,059  
     

 

 

 
Total Chemicals               48,345,909  
Commercial Services & Supplies – 1.3%      

Aeon Delight Co., Ltd.

     32,800        1,231,111  

Bell System24 Holdings, Inc.

     80,500        879,625  

Daiseki Co., Ltd.

     16,007        403,001  

Itoki Corp.

     52,700        442,893  

Kokuyo Co., Ltd.

     54,003        913,923  

Kyodo Printing Co., Ltd.

     14,305        485,450  

Mitsubishi Pencil Co., Ltd.

     6,800        170,536  

Nippon Air Conditioning Services Co., Ltd.

     47,700        304,256  

Nippon Parking Development Co., Ltd.(a)

     320,600        472,790  

Okamura Corp.

     80,876        923,250  

Pilot Corp.

     300        14,338  

Relia, Inc.(a)

     51,600        595,006  

Sato Holdings Corp.

     28,638        677,248  

Toppan Forms Co., Ltd.

     50,700        537,785  
     

 

 

 
Total Commercial Services & Supplies               8,051,212  
Communications Equipment – 0.2%      

Hitachi Kokusai Electric, Inc.

     49,948        1,366,676  
Construction & Engineering – 5.5%      

Asunaro Aoki Construction Co., Ltd.

     74,600        654,775  

COMSYS Holdings Corp.

     86,800        2,073,515  

Dai-Dan Co., Ltd.

     3,000        73,904  

Fudo Tetra Corp.

     52,500        87,216  

Hazama Ando Corp.

     147,300        1,029,850  

Hibiya Engineering Ltd.

     27,500        570,448  

Kandenko Co., Ltd.

     125,138        1,312,912  

Kitano Construction Corp.

     156,651        637,375  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      151  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Kumagai Gumi Co., Ltd.

     25,600      $ 772,105  

Kyowa Exeo Corp.

     96,466        1,915,351  

Kyudenko Corp.

     37,790        1,463,727  

Maeda Corp.

     60,087        733,973  

Maeda Road Construction Co., Ltd.

     94,694        2,036,638  

Matsui Construction Co., Ltd.

     51,100        449,420  

Meisei Industrial Co., Ltd.

     61,800        411,213  

Mirait Holdings Corp.

     51,900        623,824  

Nichireki Co., Ltd.

     41,800        533,246  

Nippo Corp.

     55,358        1,183,731  

Nippon Densetsu Kogyo Co., Ltd.

     26,000        546,724  

Nippon Koei Co., Ltd.

     17,200        584,462  

Nippon Road Co., Ltd. (The)

     10,000        553,458  

Nishimatsu Construction Co., Ltd.

     58,807        1,697,899  

Okumura Corp.

     58,171        2,222,126  

OSJB Holdings Corp.(a)

     95,000        280,194  

Penta-Ocean Construction Co., Ltd.

     168,693        1,064,025  

Raito Kogyo Co., Ltd.

     41,500        412,180  

Sanki Engineering Co., Ltd.

     46,600        522,447  

Shinnihon Corp.

     35,000        269,889  

SHO-BOND Holdings Co., Ltd.

     14,900        848,479  

Sumitomo Densetsu Co., Ltd.

     28,900        533,250  

Sumitomo Mitsui Construction Co., Ltd.

     103,360        596,846  

Taihei Dengyo Kaisha Ltd.

     18,000        473,486  

Taikisha Ltd.

     35,165        968,432  

Toda Corp.

     215,549        1,679,354  

Toenec Corp.

     5,800        173,127  

Tokyu Construction Co., Ltd.

     63,900        523,961  

Toshiba Plant Systems & Services Corp.

     54,000        907,636  

Totetsu Kogyo Co., Ltd.

     15,979        525,938  

Toyo Construction Co., Ltd.

     34,600        158,914  

Yahagi Construction Co., Ltd.(a)

     51,700        444,134  

Yokogawa Bridge Holdings Corp.

     13,800        267,627  

Yurtec Corp.

     97,000        759,179  
     

 

 

 
Total Construction & Engineering               33,576,990  
Construction Materials – 0.4%      

Krosaki Harima Corp.

     9,900        474,046  

Shinagawa Refractories Co., Ltd.

     15,300        509,026  

Sumitomo Osaka Cement Co., Ltd.

     295,404        1,306,900  
     

 

 

 
Total Construction Materials               2,289,972  
Consumer Finance – 0.1%      

J Trust Co., Ltd.

     22,000        188,602  

Pocket Card Co., Ltd.(a)

     52,500        497,180  
     

 

 

 
Total Consumer Finance               685,782  
Containers & Packaging – 0.5%      

FP Corp.

     20,200        1,031,849  

Fuji Seal International, Inc.

     27,510        830,933  

Nihon Yamamura Glass Co., Ltd.

     61,000        107,840  

Rengo Co., Ltd.

     150,700        895,645  
     

 

 

 
Total Containers & Packaging               2,866,267  
Distributors – 0.9%      

Arata Corp.

     4,500        191,889  

Canon Marketing Japan, Inc.

     109,800        2,622,949  

Doshisha Co., Ltd.

     36,200      811,698  

Happinet Corp.

     27,200        443,164  

Paltac Corp.

     39,157        1,525,372  
     

 

 

 
Total Distributors               5,595,072  
Diversified Consumer Services – 0.3%      

Meiko Network Japan Co., Ltd.

     28,386        402,218  

Riso Kyoiku Co., Ltd.

     34,500        267,872  

Studio Alice Co., Ltd.

     19,660        475,410  

Tokyo Individualized Educational Institute, Inc.(a)

     54,200        485,833  
     

 

 

 
Total Diversified Consumer Services               1,631,333  
Diversified Financial Services – 0.6%      

Financial Products Group Co., Ltd.(a)

     119,100        1,321,511  

Ricoh Leasing Co., Ltd.

     19,200        721,503  

Zenkoku Hosho Co., Ltd.

     32,400        1,360,014  
     

 

 

 
Total Diversified Financial Services               3,403,028  
Electric Utilities – 0.7%      

Hokkaido Electric Power Co., Inc.

     32,700        233,270  

Hokuriku Electric Power Co.(a)

     222,000        1,861,751  

Okinawa Electric Power Co., Inc. (The)

     31,380        689,683  

Shikoku Electric Power Co., Inc.(a)

     131,500        1,545,547  
     

 

 

 
Total Electric Utilities               4,330,251  
Electrical Equipment – 2.0%      

Daihen Corp.

     98,000        868,867  

Denyo Co., Ltd.

     27,200        481,585  

Fujikura Ltd.

     126,215        1,013,622  

Furukawa Electric Co., Ltd.

     29,900        1,641,558  

GS Yuasa Corp.

     282,000        1,480,584  

Idec Corp.

     48,136        987,822  

Nippon Carbon Co., Ltd.

     13,400        523,191  

Nissin Electric Co., Ltd.

     82,765        1,019,076  

Nitto Kogyo Corp.

     37,200        657,316  

Sanyo Denki Co., Ltd.

     11,400        643,095  

Sinfonia Technology Co., Ltd.

     132,000        565,220  

Takaoka Toko Co., Ltd.

     34,800        620,783  

Tatsuta Electric Wire and Cable Co., Ltd.

     101,600        774,422  

Ushio, Inc.

     74,400        992,088  
     

 

 

 
Total Electrical Equipment               12,269,229  
Electronic Equipment, Instruments & Components – 5.1%  

Ai Holdings Corp.

     23,000        574,157  

Amano Corp.

     68,135        1,611,900  

Anritsu Corp.

     102,200        847,089  

Azbil Corp.

     57,754        2,475,575  

Canon Electronics, Inc.

     53,900        1,086,954  

Citizen Watch Co., Ltd.

     272,900        1,878,892  

CONEXIO Corp.

     62,000        1,074,597  

Daiwabo Holdings Co., Ltd.

     21,140        891,107  

Dexerials Corp.

     120,000        1,466,886  

Enplas Corp.

     16,600        768,321  

ESPEC Corp.

     12,600        257,675  

FTGroup Co., Ltd.

     43,800        354,867  

Hakuto Co., Ltd.

     30,334        459,194  

 

See Notes to Financial Statements.

 

152   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Horiba Ltd.

     21,400      $ 1,209,115  

Ibiden Co., Ltd.(a)

     107,000        1,704,357  

Iriso Electronics Co., Ltd.

     7,600        397,672  

Japan Aviation Electronics Industry Ltd.

     42,000        656,314  

Kaga Electronics Co., Ltd.

     37,900        1,121,192  

Koa Corp.

     35,147        651,952  

Kyosan Electric Manufacturing Co., Ltd.

     40,000        209,301  

Macnica Fuji Electronics Holdings, Inc.

     66,400        1,222,234  

Marubun Corp.

     53,200        402,669  

Nippon Signal Co., Ltd.

     32,900        353,653  

Nissha Printing Co., Ltd.(a)

     15,900        431,524  

Nohmi Bosai Ltd.

     34,691        547,031  

Oki Electric Industry Co., Ltd.

     78,300        1,042,702  

Optex Group Co., Ltd.

     3,200        119,682  

Osaki Electric Co., Ltd.

     48,000        371,412  

Ryoden Corp.

     24,362        368,782  

Ryosan Co., Ltd.

     45,900        1,820,668  

Sanshin Electronics Co., Ltd.

     36,600        542,668  

Satori Electric Co., Ltd.

     36,700        324,404  

Siix Corp.

     12,500        549,682  

Sumida Corp.

     28,000        545,249  

Taiyo Yuden Co., Ltd.

     54,500        806,134  

Tamura Corp.

     48,000        291,245  

Topcon Corp.

     48,200        848,687  

UKC Holdings Corp.

     15,700        271,139  

Vitec Holdings Co., Ltd.

     21,700        340,638  
     

 

 

 
Total Electronic Equipment, Instruments & Components        30,897,320  
Energy Equipment & Services – 0.3%      

Modec, Inc.

     19,004        458,702  

Shinko Plantech Co., Ltd.

     117,300        1,028,518  
     

 

 

 
Total Energy Equipment & Services               1,487,220  
Food & Staples Retailing – 2.3%      

Ain Holdings, Inc.

     6,600        454,991  

Arcs Co., Ltd.

     27,094        610,888  

Axial Retailing, Inc.

     6,800        261,271  

Belc Co., Ltd.

     6,700        335,699  

Cawachi Ltd.

     25,500        609,834  

Cocokara fine, Inc.

     11,400        650,184  

Create SD Holdings Co., Ltd.

     28,500        753,738  

Heiwado Co., Ltd.

     33,963        743,134  

Kato Sangyo Co., Ltd.

     31,016        932,698  

Kobe Bussan Co., Ltd.(a)

     19,200        861,369  

Life Corp.

     23,100        591,839  

Matsumotokiyoshi Holdings Co., Ltd.

     29,000        1,939,946  

Ministop Co., Ltd.

     26,500        514,392  

Mitsubishi Shokuhin Co., Ltd.

     22,000        642,029  

Okuwa Co., Ltd.

     52,000        536,792  

Qol Co., Ltd.

     28,600        499,766  

San-A Co., Ltd.

     9,900        440,625  

Sogo Medical Co., Ltd.

     5,000        228,313  

United Super Markets Holdings, Inc.

     70,500        674,530  

Valor Holdings Co., Ltd.

     18,191        388,497  

Yaoko Co., Ltd.

     18,700      865,518  

Yokohama Reito Co., Ltd.(a)

     64,700        609,266  
     

 

 

 
Total Food & Staples Retailing               14,145,319  
Food Products – 3.0%      

Ariake Japan Co., Ltd.

     12,228        877,735  

Feed One Co., Ltd.

     264,900        618,920  

Fuji Oil Holdings, Inc.

     48,900        1,276,748  

Fujicco Co., Ltd.

     23,100        546,076  

Hokuto Corp.

     20,291        353,130  

House Foods Group, Inc.

     41,700        1,239,164  

Itoham Yonekyu Holdings, Inc.

     198,300        1,786,312  

Kagome Co., Ltd.

     19,100        598,969  

Kameda Seika Co., Ltd.(a)

     9,300        410,616  

Kenko Mayonnaise Co., Ltd.(a)

     11,700        286,147  

Marudai Food Co., Ltd.

     132,000        625,025  

Maruha Nichiro Corp.

     18,932        556,700  

Megmilk Snow Brand Co., Ltd.

     36,100        981,353  

Mitsui Sugar Co., Ltd.

     33,698        1,133,096  

Morinaga & Co., Ltd.

     16,787        933,564  

Morinaga Milk Industry Co., Ltd.

     18,282        698,383  

Nippon Flour Mills Co., Ltd.

     61,683        939,232  

Nippon Suisan Kaisha Ltd.

     115,800        647,077  

Nisshin Oillio Group Ltd. (The)

     26,800        878,532  

Prima Meat Packers Ltd.

     50,000        338,027  

S Foods, Inc.

     17,100        664,616  

Sakata Seed Corp.

     12,500        355,350  

Showa Sangyo Co., Ltd.

     29,400        759,257  

Starzen Co., Ltd.

     13,600        663,297  
     

 

 

 
Total Food Products               18,167,326  
Gas Utilities – 0.3%      

Hokkaido Gas Co., Ltd.

     198,000        499,551  

Saibu Gas Co., Ltd.

     34,600        866,806  

Shizuoka Gas Co., Ltd.

     20,392        161,412  
     

 

 

 
Total Gas Utilities               1,527,769  
Health Care Equipment & Supplies – 1.4%      

Asahi Intecc Co., Ltd.

     13,900        723,617  

Eiken Chemical Co., Ltd.

     14,235        553,896  

Hogy Medical Co., Ltd.

     11,200        793,995  

Jeol Ltd.

     55,000        279,483  

Mani, Inc.

     18,800        450,271  

Nagaileben Co., Ltd.

     33,426        840,067  

Nakanishi, Inc.

     15,000        678,275  

Nihon Kohden Corp.

     50,100        1,082,425  

Nikkiso Co., Ltd.

     44,700        414,974  

Nipro Corp.(a)

     142,900        1,967,707  

Paramount Bed Holdings Co., Ltd.

     21,821        937,277  
     

 

 

 
Total Health Care Equipment & Supplies               8,721,987  
Health Care Providers & Services – 1.4%      

As One Corp.

     14,700        782,242  

BML, Inc.

     36,400        778,349  

Japan Lifeline Co., Ltd.(a)

     11,700        577,906  

Miraca Holdings, Inc.

     43,700        2,030,391  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      153  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

NichiiGakkan Co., Ltd.

     84,700      $ 872,094  

Ship Healthcare Holdings, Inc.

     28,707        886,215  

Solasto Corp.

     30,400        592,255  

Toho Holdings Co., Ltd.

     49,900        953,537  

Vital KSK Holdings, Inc.

     81,600        676,345  
     

 

 

 
Total Health Care Providers & Services               8,149,334  
Hotels, Restaurants & Leisure – 2.7%      

Create Restaurants Holdings, Inc.(a)

     29,600        306,873  

Doutor Nichires Holdings Co., Ltd.

     33,253        713,419  

Fuji Kyuko Co., Ltd.(a)

     13,701        305,143  

Hiday Hidaka Corp.

     16,800        467,143  

Hiramatsu, Inc.

     87,700        475,254  

HIS Co., Ltd.

     20,600        649,669  

Ichibanya Co., Ltd.

     16,836        699,973  

KFC Holdings Japan Ltd.

     34,200        607,649  

KOMEDA Holdings Co., Ltd.(a)

     50,400        840,410  

Kyoritsu Maintenance Co., Ltd.(a)

     3,900        116,413  

MOS Food Services, Inc.

     12,700        395,447  

Ohsho Food Service Corp.

     18,900        758,922  

Plenus Co., Ltd.

     35,468        783,627  

Resorttrust, Inc.(a)

     98,108        1,754,465  

Round One Corp.

     81,337        1,093,261  

Royal Holdings Co., Ltd.

     16,000        402,683  

Saizeriya Co., Ltd.

     19,300        530,658  

SFP Holdings Co., Ltd.

     2,700        42,048  

Skylark Co., Ltd.

     166,800        2,464,251  

St. Marc Holdings Co., Ltd.

     18,000        529,294  

Tokyo Dome Corp.

     78,000        720,650  

Tokyotokeiba Co., Ltd.

     10,842        326,035  

Toridoll Holdings Corp.(a)

     12,300        369,333  

Yoshinoya Holdings Co., Ltd.(a)

     30,100        495,762  

Zensho Holdings Co., Ltd.(a)

     39,100        705,478  
     

 

 

 
Total Hotels, Restaurants & Leisure               16,553,860  
Household Durables – 2.2%      

Alpine Electronics, Inc.

     30,000        545,551  

Clarion Co., Ltd.

     100,000        394,439  

Cleanup Corp.

     75,200        603,257  

ES-Con Japan Ltd.(a)

     83,500        373,122  

Foster Electric Co., Ltd.

     42,600        859,455  

France Bed Holdings Co., Ltd.

     71,600        659,612  

Fuji Corp., Ltd.

     92,300        671,556  

Fujitsu General Ltd.

     43,700        883,589  

JVC Kenwood Corp.

     93,500        269,955  

Ki-Star Real Estate Co., Ltd.

     17,700        329,266  

Misawa Homes Co., Ltd.(a)

     66,300        556,009  

Mitsui Home Co., Ltd.

     30,000        195,354  

Nihon House Holdings Co., Ltd.

     97,400        563,296  

Nissei Build Kogyo Co., Ltd.(a)

     28,000        302,723  

Pressance Corp.

     35,000        473,549  

Sangetsu Corp.

     55,000        944,476  

Starts Corp., Inc.

     38,000        976,627  

Sumitomo Forestry Co., Ltd.

     109,800        1,716,768  

Tamron Co., Ltd.

     12,166        234,857  

TOA Corp.(a)

     55,152      580,109  

Token Corp.

     4,500        535,291  

Zojirushi Corp.(a)

     55,000        526,718  
     

 

 

 
Total Household Durables               13,195,579  
Household Products – 0.1%      

Earth Chemical Co., Ltd.

     17,900        807,818  
Independent Power & Renewable Electricity Producers – 0.0%  

West Holdings Corp.(a)

     21,100        147,146  
Industrial Conglomerates – 0.4%      

Nisshinbo Holdings, Inc.

     131,300        1,552,528  

TOKAI Holdings Corp.

     118,100        912,779  
     

 

 

 
Total Industrial Conglomerates               2,465,307  
Internet & Catalog Retail – 0.2%      

ASKUL Corp.

     13,165        370,746  

Belluna Co., Ltd.

     64,684        681,520  
     

 

 

 
Total Internet & Catalog Retail               1,052,266  
Internet Software & Services – 0.9%      

COOKPAD, Inc.(a)

     9,700        67,128  

Dip Corp.

     31,300        714,896  

F@N Communications, Inc.

     43,400        485,799  

GMO Internet, Inc.(a)

     81,372        991,081  

Gurunavi, Inc.

     44,000        637,143  

Infomart Corp.

     49,600        356,033  

Internet Initiative Japan, Inc.

     13,200        246,375  

Kakaku.com, Inc.(a)

     135,200        1,722,354  
     

 

 

 
Total Internet Software & Services               5,220,809  
IT Services – 1.7%      

Digital Garage, Inc.

     14,700        312,244  

DTS Corp.

     20,191        553,362  

Future Corp.

     42,100        380,738  

GMO Payment Gateway, Inc.(a)

     3,600        225,150  

Information Services International-Dentsu Ltd.

     22,100        501,430  

Kanematsu Electronics Ltd.

     18,400        543,508  

Mitsubishi Research Institute, Inc.

     22,500        662,617  

NEC Networks & System Integration Corp.

     50,979        1,215,996  

NET One Systems Co., Ltd.

     111,158        1,175,126  

Nihon Unisys Ltd.

     71,000        1,134,713  

NS Solutions Corp.

     77,380        1,706,189  

TIS, Inc.

     37,700        1,111,927  

Transcosmos, Inc.

     44,600        1,028,179  
     

 

 

 
Total IT Services               10,551,179  
Leisure Products – 1.6%      

Daikoku Denki Co., Ltd.(a)

     30,700        459,279  

Fields Corp.(a)

     27,900        277,600  

Furyu Corp.

     21,500        213,730  

Heiwa Corp.(a)

     107,300        2,126,649  

Mizuno Corp.

     21,523        610,906  

Sankyo Co., Ltd.

     138,900        4,429,894  

Tomy Co., Ltd.

     43,900        606,445  

Universal Entertainment Corp.(a)

     35,900        1,055,648  
     

 

 

 
Total Leisure Products               9,780,151  

 

See Notes to Financial Statements.

 

154   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Life Sciences Tools & Services – 0.1%      

EPS Holdings, Inc.

     21,300      $ 408,724  
Machinery – 6.5%      

Aichi Corp.

     85,600        637,257  

Aida Engineering Ltd.

     97,200        1,146,729  

Alinco, Inc.

     51,300        601,572  

Anest Iwata Corp.

     27,700        260,353  

Bando Chemical Industries Ltd.

     31,493        334,333  

CKD Corp.

     47,541        933,377  

DMG Mori Co., Ltd.

     78,200        1,403,314  

Ebara Corp.

     50,700        1,682,268  

Fujitec Co., Ltd.

     93,061        1,302,102  

Furukawa Co., Ltd.

     17,100        291,064  

Giken Ltd.(a)

     11,400        312,433  

Glory Ltd.

     31,600        1,118,696  

Harmonic Drive Systems, Inc.(a)

     16,000        825,834  

Hirata Corp.(a)

     1,800        181,975  

Hitachi Zosen Corp.

     64,300        341,022  

Hokuetsu Industries Co., Ltd.

     42,018        418,444  

Japan Steel Works Ltd. (The)

     16,504        379,739  

Juki Corp.

     30,600        437,123  

Kato Works Co., Ltd.

     20,900        623,853  

Kitagawa Iron Works Co., Ltd.

     14,200        334,170  

Kito Corp.

     16,100        200,526  

Kitz Corp.

     83,189        677,691  

Kurita Water Industries Ltd.

     52,200        1,507,129  

Kyokuto Kaihatsu Kogyo Co., Ltd.

     26,780        451,072  

Makino Milling Machine Co., Ltd.

     62,578        555,372  

Max Co., Ltd.

     41,000        567,841  

Meidensha Corp.(a)

     64,000        244,481  

METAWATER Co., Ltd.

     15,600        428,233  

Mitsubishi Nichiyu Forklift Co., Ltd.(a)

     46,700        333,557  

Mitsuboshi Belting Ltd.

     44,092        531,149  

Mitsui Engineering & Shipbuilding Co., Ltd.

     31,740        414,220  

Miura Co., Ltd.

     29,500        649,411  

Morita Holdings Corp.

     30,005        466,208  

Nachi-Fujikoshi Corp.

     177,000        995,345  

Nissei ASB Machine Co., Ltd.

     12,100        486,408  

Nitta Corp.

     16,500        599,520  

Noritake Co., Ltd.

     15,600        745,596  

NTN Corp.

     382,000        1,615,351  

Obara Group, Inc.

     15,379        870,290  

Oiles Corp.

     18,400        340,816  

OKUMA Corp.

     19,570        1,070,969  

OSG Corp.

     52,000        1,182,606  

Ryobi Ltd.

     26,000        699,862  

Shibuya Corp.

     15,600        506,534  

Shima Seiki Manufacturing Ltd.(a)

     15,900        836,210  

Shinmaywa Industries Ltd.

     57,685        523,221  

Sodick Co., Ltd.

     37,300        461,259  

Star Micronics Co., Ltd.

     58,934        1,014,650  

Tadano Ltd.

     66,100        772,189  

Takeuchi Manufacturing Co., Ltd.

     18,500        386,714  

Takuma Co., Ltd.

     30,400        369,451  

Tocalo Co., Ltd.

     15,800      608,475  

Toshiba Machine Co., Ltd.

     174,806        953,501  

Tsubaki Nakashima Co., Ltd.(a)

     51,100        1,071,345  

Tsubakimoto Chain Co.

     126,228        1,008,120  

Tsugami Corp.

     25,000        210,767  

Union Tool Co.

     14,400        446,462  

YAMABIKO Corp.

     45,700        627,657  

Yushin Precision Equipment Co., Ltd.(a)

     15,600        437,934  
     

 

 

 
Total Machinery               39,433,800  
Marine – 0.1%      

Iino Kaiun Kaisha Ltd.

     119,200        554,886  

Japan Transcity Corp.

     67,000        283,916  
     

 

 

 
Total Marine               838,802  
Media – 1.5%      

Asahi Broadcasting Corp.

     77,700        612,958  

Avex Group Holdings, Inc.

     35,199        477,492  

D.A. Consortium Holdings, Inc.

     17,500        296,007  

Daiichikosho Co., Ltd.

     45,000        2,150,757  

Kadokawa Dwango*

     14,900        180,814  

LIFULL Co., Ltd.

     42,800        371,860  

Shochiku Co., Ltd.

     2,700        384,498  

SKY Perfect JSAT Holdings, Inc.(a)

     499,200        2,230,690  

Toei Co., Ltd.

     4,731        524,976  

Tri-Stage, Inc.(a)

     57,800        292,684  

Tv Tokyo Holdings Corp.

     26,800        554,499  

Wowow, Inc.

     18,600        589,073  

Zenrin Co., Ltd.

     21,987        668,019  
     

 

 

 
Total Media               9,334,327  
Metals & Mining – 3.0%      

Aichi Steel Corp.

     10,600        416,222  

Alconix Corp.

     37,200        668,552  

Asahi Holdings, Inc.

     26,500        544,996  

Daido Steel Co., Ltd.

     31,100        1,842,820  

Dowa Holdings Co., Ltd.

     39,800        1,458,491  

Godo Steel Ltd.

     31,900        597,107  

Kurimoto Ltd.

     23,000        478,532  

Kyoei Steel Ltd.

     11,314        176,296  

Maruichi Steel Tube Ltd.

     83,800        2,438,103  

Mitsubishi Steel Manufacturing Co., Ltd.

     13,800        352,218  

Mitsui Mining & Smelting Co., Ltd.

     42,200        2,185,635  

Nippon Denko Co., Ltd.(a)

     147,741        587,998  

Nippon Light Metal Holdings Co., Ltd.

     695,700        1,977,737  

Nittetsu Mining Co., Ltd.

     10,100        735,753  

Sanyo Special Steel Co., Ltd.

     25,600        655,664  

Toho Zinc Co., Ltd.

     4,897        210,980  

Tokyo Rope Manufacturing Co., Ltd.

     15,000        226,269  

Tokyo Steel Manufacturing Co., Ltd.

     29,400        242,116  

Topy Industries Ltd.

     30,500        1,018,789  

Toyo Kohan Co., Ltd.

     112,600        524,163  

UACJ Corp.(a)

     21,363        608,262  
     

 

 

 
Total Metals & Mining               17,946,703  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      155  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Multiline Retail – 0.7%      

H2O Retailing Corp.

     93,700      $ 1,669,810  

Parco Co., Ltd.(a)

     86,400        1,058,460  

Takashimaya Co., Ltd.

     168,000        1,573,065  
     

 

 

 
Total Multiline Retail               4,301,335  
Oil, Gas & Consumable Fuels – 1.0%      

BP Castrol K.K.

     35,000        601,031  

Cosmo Energy Holdings Co., Ltd.

     76,200        1,743,126  

Fuji Oil Co., Ltd.

     160,100        620,118  

Itochu Enex Co., Ltd.

     166,581        1,787,677  

Nippon Gas Co., Ltd.

     18,500        574,401  

San-Ai Oil Co., Ltd.

     65,316        723,574  
     

 

 

 
Total Oil, Gas & Consumable Fuels               6,049,927  
Paper & Forest Products – 0.7%      

Chuetsu Pulp & Paper Co., Ltd.(a)

     21,500        406,068  

Daiken Corp.

     21,900        552,145  

Daio Paper Corp.(a)

     42,178        497,600  

Hokuetsu Kishu Paper Co., Ltd.(a)

     126,532        790,228  

Nippon Paper Industries Co., Ltd.(a)

     117,500        2,183,716  
     

 

 

 
Total Paper & Forest Products               4,429,757  
Personal Products – 0.9%      

Artnature, Inc.

     9,900        62,268  

Ci:z Holdings Co., Ltd.

     26,100        919,349  

Fancl Corp.

     59,200        1,277,982  

Mandom Corp.

     28,506        783,779  

Milbon Co., Ltd.

     10,600        643,166  

Noevir Holdings Co., Ltd.

     31,600        1,740,505  
     

 

 

 
Total Personal Products               5,427,049  
Pharmaceuticals – 2.0%      

Fuji Pharma Co., Ltd.

     12,900        440,066  

Kaken Pharmaceutical Co., Ltd.

     43,100        2,190,130  

KYORIN Holdings, Inc.

     54,385        1,094,319  

Mochida Pharmaceutical Co., Ltd.

     15,811        1,161,613  

Nichi-iko Pharmaceutical Co., Ltd.(a)

     54,000        839,035  

Rohto Pharmaceutical Co., Ltd.

     38,400        864,780  

Sawai Pharmaceutical Co., Ltd.(a)

     34,724        1,971,184  

Seikagaku Corp.

     27,800        502,334  

Torii Pharmaceutical Co., Ltd.

     9,100        258,695  

Towa Pharmaceutical Co., Ltd.

     5,000        252,299  

Tsumura & Co.

     47,800        1,719,806  

ZERIA Pharmaceutical Co., Ltd.

     32,200        575,261  
     

 

 

 
Total Pharmaceuticals               11,869,522  
Professional Services – 1.8%      

Altech Corp.

     12,600        414,720  

Benefit One, Inc.(a)

     25,000        492,382  

en-japan, Inc.

     12,200        447,075  

FULLCAST Holdings Co., Ltd.

     30,500        554,102  

Funai Soken Holdings, Inc.

     26,640        820,038  

JAC Recruitment Co., Ltd.(a)

     22,300        347,481  

Japan Asia Group Ltd.

     116,500        449,172  

Meitec Corp.

     35,200        1,763,674  

Nihon M&A Center, Inc.

     20,732        1,012,979  

Nomura Co., Ltd.

     33,800      748,576  

Pasco Corp.

     131,000        404,993  

Space Co., Ltd.

     26,600        400,069  

Tanseisha Co., Ltd.

     19,400        238,698  

TechnoPro Holdings, Inc.

     33,400        1,581,504  

Weathernews, Inc.

     10,200        323,040  

World Holdings Co., Ltd.

     14,100        428,392  

Yumeshin Holdings Co., Ltd.(a)

     82,800        573,013  
     

 

 

 
Total Professional Services               10,999,908  
Real Estate Management & Development – 2.9%      

Airport Facilities Co., Ltd.

     54,519        287,694  

Daibiru Corp.

     37,800        417,407  

Daikyo, Inc.

     82,800        1,625,621  

Goldcrest Co., Ltd.

     28,500        675,503  

Heiwa Real Estate Co., Ltd.

     21,668        369,009  

Investors Cloud Co., Ltd.(a)

     5,200        309,048  

Keihanshin Building Co., Ltd.

     96,900        653,374  

Kenedix, Inc.

     67,600        375,339  

Leopalace21 Corp.

     353,100        2,459,294  

Nippon Commercial Development Co., Ltd.(a)

     2,400        36,651  

NTT Urban Development Corp.

     197,400        1,964,092  

Open House Co., Ltd.

     45,900        1,602,514  

Raysum Co., Ltd.

     49,700        421,654  

Relo Group, Inc.

     48,260        1,101,836  

Shinoken Group Co., Ltd.(a)

     13,700        306,216  

Sun Frontier Fudousan Co., Ltd.

     42,200        455,497  

Takara Leben Co., Ltd.(a)

     175,400        857,016  

TOC Co., Ltd.

     48,600        427,433  

Tokyo Tatemono Co., Ltd.

     129,400        1,654,214  

Tosei Corp.

     76,800        674,085  

Unizo Holdings Co., Ltd.

     33,100        767,183  
     

 

 

 
Total Real Estate Management & Development               17,440,680  
Road & Rail – 2.2%      

Fukuyama Transporting Co., Ltd.

     25,412        804,807  

Hitachi Transport System Ltd.

     51,200        1,184,425  

Ichinen Holdings Co., Ltd.

     29,300        402,935  

Maruzen Showa Unyu Co., Ltd.

     135,000        633,234  

Nankai Electric Railway Co., Ltd.

     28,800        712,292  

Nikkon Holdings Co., Ltd.

     58,660        1,449,759  

Nishi-Nippon Railroad Co., Ltd.(a)

     24,800        596,399  

Sakai Moving Service Co., Ltd.

     6,800        358,833  

Sankyu, Inc.

     40,306        1,704,424  

Seino Holdings Co., Ltd.

     142,760        2,002,559  

Senko Group Holdings Co., Ltd.

     180,556        1,286,420  

Sotetsu Holdings, Inc.

     61,400        1,483,658  

Tonami Holdings Co., Ltd.

     10,800        520,979  
     

 

 

 
Total Road & Rail               13,140,724  
Semiconductors & Semiconductor Equipment – 0.8%  

Lasertec Corp.

     42,300        868,434  

MegaChips Corp.(a)

     19,500        639,231  

Mimasu Semiconductor Industry Co., Ltd.

     22,127        355,597  

NuFlare Technology, Inc.

     9,200        496,922  

 

See Notes to Financial Statements.

 

156   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Shindengen Electric Manufacturing Co., Ltd.

     9,100      $ 582,064  

Shinko Electric Industries Co., Ltd.

     103,753        698,661  

Tokyo Seimitsu Co., Ltd.

     32,300        1,143,477  

Ulvac, Inc.

     4,100        257,513  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        5,041,899  
Software – 1.6%      

Broadleaf Co., Ltd.

     43,200        371,114  

Capcom Co., Ltd.(a)

     46,913        1,152,768  

COLOPL, Inc.(a)

     75,400        869,446  

Fuji Soft, Inc.

     16,700        487,358  

GungHo Online Entertainment, Inc.(a)

     371,500        1,003,296  

Koei Tecmo Holdings Co., Ltd.

     87,500        1,836,828  

Marvelous, Inc.(a)

     54,300        460,681  

Miroku Jyoho Service Co., Ltd.

     9,800        227,577  

MTI Ltd.

     81,900        491,116  

NSD Co., Ltd.

     47,300        876,961  

OBIC Business Consultants Co., Ltd.

     15,200        764,287  

SRA Holdings

     13,400        355,222  

Systena Corp.

     26,000        648,123  
     

 

 

 
Total Software               9,544,777  
Specialty Retail – 4.8%      

Adastria Co., Ltd.

     45,100        1,017,670  

Alpen Co., Ltd.

     34,800        677,667  

AOKI Holdings, Inc.

     75,754        993,319  

Aoyama Trading Co., Ltd.

     87,400        3,125,172  

Arcland Sakamoto Co., Ltd.

     32,016        482,096  

Autobacs Seven Co., Ltd.

     116,500        1,887,763  

Bic Camera, Inc.(a)

     59,100        656,812  

Chiyoda Co., Ltd.

     35,191        880,674  

DCM Holdings Co., Ltd.

     97,245        877,723  

EDION Corp.(a)

     117,839        1,104,430  

Geo Holdings Corp.(a)

     78,600        1,134,678  

Gfoot Co., Ltd.

     79,800        525,312  

Hard Off Corp. Co., Ltd.

     700        7,095  

Honeys Holdings Co., Ltd.

     36,300        418,579  

IDOM, Inc.(a)

     26,060        160,900  

Joshin Denki Co., Ltd.

     16,000        542,975  

K’s Holdings Corp.(a)

     102,148        2,262,293  

Kohnan Shoji Co., Ltd.

     27,600        518,090  

Komeri Co., Ltd.

     26,237        755,189  

Konaka Co., Ltd.

     90,900        466,754  

Kyoto Kimono Yuzen Co., Ltd.

     13,200        107,181  

Nishimatsuya Chain Co., Ltd.

     29,600        331,066  

Nojima Corp.

     18,200        368,317  

PAL GROUP Holdings Co., Ltd.

     10,600        328,646  

PC Depot Corp.(a)

     60,200        459,395  

Right On Co., Ltd.(a)

     52,900        447,393  

Sac’s Bar Holdings, Inc.

     46,900        607,473  

Sanrio Co., Ltd.(a)

     128,342        2,434,239  

Shimachu Co., Ltd.

     71,364        1,874,046  

T-Gaia Corp.

     77,800        1,511,559  

United Arrows Ltd.

     16,129        586,040  

VT Holdings Co., Ltd.

     78,600      449,682  

Xebio Holdings Co., Ltd.

     48,900        957,018  

Yellow Hat Ltd.

     13,300        376,911  
     

 

 

 
Total Specialty Retail               29,334,157  
Technology Hardware, Storage & Peripherals – 0.5%     

Elecom Co., Ltd.

     28,400        571,204  

Hitachi Maxell Ltd.

     34,300        769,705  

MCJ Co., Ltd.

     36,100        390,617  

Riso Kagaku Corp.

     61,400        1,116,562  

Roland DG Corp.

     2,500        63,985  

Wacom Co., Ltd.(a)

     35,411        164,841  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        3,076,914  
Textiles, Apparel & Luxury Goods – 1.5%      

Descente Ltd.

     23,153        315,727  

Fujibo Holdings, Inc.

     16,400        565,291  

Goldwin, Inc.

     4,900        349,549  

Gunze Ltd.

     16,183        738,975  

Japan Wool Textile Co., Ltd. (The)

     99,225        895,595  

Kurabo Industries Ltd.

     158,766        435,825  

Onward Holdings Co., Ltd.

     201,433        1,530,007  

Seiko Holdings Corp.(a)

     56,200        1,264,643  

Seiren Co., Ltd.

     46,811        862,073  

Wacoal Holdings Corp.

     62,500        1,782,304  

Yondoshi Holdings, Inc.(a)

     21,500        611,202  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               9,351,191  
Trading Companies & Distributors – 3.4%      

Advan Co., Ltd.(a)

     27,700        241,405  

Daiichi Jitsugyo Co., Ltd.

     11,800        341,740  

Gecoss Corp.

     42,800        461,593  

Hanwa Co., Ltd.

     39,223        1,405,979  

Inaba Denki Sangyo Co., Ltd.

     31,794        1,319,042  

Inabata & Co., Ltd.

     57,741        769,435  

Iwatani Corp.

     23,433        712,999  

Japan Pulp & Paper Co., Ltd.

     14,458        587,611  

Kamei Corp.

     42,600        697,480  

Kanamoto Co., Ltd.

     18,028        568,555  

Kanematsu Corp.

     67,000        854,129  

Kuroda Electric Co., Ltd.

     39,265        684,386  

Mitsui Matsushima Co., Ltd.

     35,200        474,066  

Nagase & Co., Ltd.

     91,604        1,533,990  

Nippon Steel & Sumikin Bussan Corp.

     34,600        1,905,743  

Nishio Rent All Co., Ltd.

     13,400        445,814  

Onoken Co., Ltd.

     28,900        483,699  

Sanyo Trading Co., Ltd.

     14,900        346,142  

Seika Corp.

     20,200        548,225  

Sojitz Corp.

     1,232,600        3,405,487  

Trusco Nakayama Corp.

     19,600        477,441  

Wakita & Co., Ltd.

     32,100        387,544  

Yamazen Corp.

     82,606        893,097  

Yuasa Trading Co., Ltd.

     29,600        1,045,263  
     

 

 

 
Total Trading Companies & Distributors               20,590,865  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      157  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Transportation Infrastructure – 0.5%      

Japan Airport Terminal Co., Ltd.(a)

     16,600      $ 591,356  

Kamigumi Co., Ltd.

     56,000        1,295,962  

Mitsubishi Logistics Corp.(a)

     32,500        808,133  

Nissin Corp.

     11,600        300,602  
     

 

 

 
Total Transportation Infrastructure               2,996,053  

TOTAL COMMON STOCKS

(Cost: $503,597,725)

              601,095,654  
EXCHANGE-TRADED FUND – 0.0%      
United States – 0.0%      

WisdomTree Japan Hedged Equity Fund(b)

     
(Cost: $224,606)      4,392        240,242  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 5.9%  
United States – 5.9%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

 

  
(Cost: $35,755,309)(d)      35,755,309      35,755,309  

TOTAL INVESTMENTS IN SECURITIES – 105.1%

(Cost: $539,577,640)

 

 

     637,091,205  

Other Assets less Liabilities – (5.1)%

        (31,195,457
     

 

 

 
NET ASSETS – 100.0%             $ 605,895,748  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $56,550,543 and the total market value of the collateral held by the Fund was $58,428,730. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $22,673,421.

 

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
 

Goldman Sachs

     10/2/2017        137,920       USD        15,500,000       JPY     $ 222     $  

 

CURRENCY LEGEND

JPY – Japanese yen

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

158   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.1%      
United Kingdom – 100.1%      
Aerospace & Defense – 2.4%      

BAE Systems PLC

     24,457      $ 207,212  

Meggitt PLC

     6,123        42,800  

QinetiQ Group PLC

     3,385        11,213  

Rolls-Royce Holdings PLC*

     5,816        69,213  

Senior PLC

     1,487        5,504  

Ultra Electronics Holdings PLC

     411        9,915  
     

 

 

 
Total Aerospace & Defense               345,857  
Air Freight & Logistics – 0.5%      

Royal Mail PLC

     13,228        68,185  
Airlines – 0.4%      

easyJet PLC

     3,909        63,826  
Auto Components – 0.4%      

GKN PLC

     11,260        52,270  
Banks – 6.1%      

Barclays PLC

     63,834        165,590  

BGEO Group PLC

     337        14,740  

HSBC Holdings PLC

     69,144        683,786  

TBC Bank Group PLC

     555        12,361  
     

 

 

 
Total Banks               876,477  
Beverages – 3.8%      

Britvic PLC

     2,247        22,776  

Diageo PLC

     15,873        522,391  

Fevertree Drinks PLC

     114        3,345  
     

 

 

 
Total Beverages               548,512  
Biotechnology – 0.1%      

Abcam PLC

     528        7,225  

Genus PLC

     65        1,830  
     

 

 

 
Total Biotechnology               9,055  
Building Products – 0.1%      

James Halstead PLC

     782        4,603  

Polypipe Group PLC

     1,425        8,061  
     

 

 

 
Total Building Products               12,664  
Capital Markets – 2.2%      

Investec PLC

     6,537        47,798  

London Stock Exchange Group PLC

     1,116        57,346  

Man Group PLC

     20,120        45,323  

NEX Group PLC

     5,680        50,448  

Schroders PLC

     1,759        79,177  

Schroders PLC Non-Voting Shares

     679        22,173  

TP ICAP PLC

     2,644        18,588  
     

 

 

 
Total Capital Markets               320,853  
Chemicals – 1.1%      

Croda International PLC

     632        32,161  

Elementis PLC

     5,399        19,623  

Essentra PLC

     2,290        16,975  

Johnson Matthey PLC

     1,178        54,052  

Synthomer PLC

     2,063        13,515  

Victrex PLC

     529      16,828  
     

 

 

 
Total Chemicals               153,154  
Commercial Services & Supplies – 1.0%      

Aggreko PLC

     2,021        25,461  

Babcock International Group PLC

     3,779        41,955  

G4S PLC

     10,585        39,522  

HomeServe PLC

     1,389        15,505  

Rentokil Initial PLC

     5,753        23,202  
     

 

 

 
Total Commercial Services & Supplies               145,645  
Construction & Engineering – 0.1%      

Balfour Beatty PLC

     2,039        7,364  

Carillion PLC(a)

     7,698        5,293  
     

 

 

 
Total Construction & Engineering               12,657  
Construction Materials – 0.1%      

Ibstock PLC(b)

     3,347        10,225  
Containers & Packaging – 0.5%      

DS Smith PLC

     7,246        47,918  

RPC Group PLC

     2,046        27,189  
     

 

 

 
Total Containers & Packaging               75,107  
Distributors – 0.2%      

Inchcape PLC

     2,914        33,740  
Diversified Telecommunication Services – 3.5%      

BT Group PLC

     118,747        452,301  

Inmarsat PLC

     5,590        48,261  
     

 

 

 
Total Diversified Telecommunication Services               500,562  
Electrical Equipment – 0.1%      

Melrose Industries PLC

     4,122        11,768  
Electronic Equipment, Instruments & Components – 0.5%  

Electrocomponents PLC

     2,285        19,038  

Halma PLC

     1,126        16,920  

Renishaw PLC

     258        16,487  

Spectris PLC

     465        15,035  
     

 

 

 
Total Electronic Equipment, Instruments & Components        67,480  
Energy Equipment & Services – 0.2%      

John Wood Group PLC

     3,443        31,434  
Equity Real Estate Investment Trusts (REITs) – 0.9%     

Hammerson PLC

     8,057        58,048  

Safestore Holdings PLC

     1,458        8,542  

Segro PLC

     7,673        55,179  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        121,769  
Food Products – 1.0%      

Associated British Foods PLC

     2,479        106,198  

Tate & Lyle PLC

     3,881        33,767  
     

 

 

 
Total Food Products               139,965  
Health Care Equipment & Supplies – 0.5%  

Smith & Nephew PLC

     3,761        68,019  
Health Care Providers & Services – 0.2%  

Mediclinic International PLC

     1,854        16,168  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      159  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

NMC Health PLC

     257      $ 9,486  
     

 

 

 
Total Health Care Providers & Services        25,654  
Hotels, Restaurants & Leisure – 2.6%  

Carnival PLC

     1,205        76,680  

Compass Group PLC

     10,076        213,997  

InterContinental Hotels Group PLC

     871        46,135  

Merlin Entertainments PLC(b)

     2,792        16,688  

SSP Group PLC

     1,606        11,581  

Thomas Cook Group PLC

     1,731        2,794  
     

 

 

 
Total Hotels, Restaurants & Leisure        367,875  
Household Products – 2.3%  

PZ Cussons PLC

     2,774        11,895  

Reckitt Benckiser Group PLC

     3,403        311,056  
     

 

 

 
Total Household Products        322,951  
Industrial Conglomerates – 0.3%  

Smiths Group PLC

     2,107        44,580  
Insurance – 6.0%  

Aviva PLC

     44,418        306,608  

Jardine Lloyd Thompson Group PLC

     1,736        28,508  

Old Mutual PLC

     37,626        98,034  

Prudential PLC

     15,392        368,925  

RSA Insurance Group PLC

     6,687        55,893  
     

 

 

 
Total Insurance        857,968  
IT Services – 0.2%  

Computacenter PLC

     550        7,283  

FDM Group Holdings PLC

     642        8,286  

Worldpay Group PLC(b)

     2,924        15,967  
     

 

 

 
Total IT Services        31,536  
Life Sciences Tools & Services – 0.0%  

Clinigen Group PLC*

     122        1,745  
Machinery – 0.9%  

Bodycote PLC

     670        8,239  

IMI PLC

     1,888        31,486  

Morgan Advanced Materials PLC

     1,383        5,772  

Rotork PLC

     4,038        14,107  

Spirax-Sarco Engineering PLC

     271        20,088  

Vesuvius PLC

     2,182        17,272  

Weir Group PLC (The)

     1,171        30,872  
     

 

 

 
Total Machinery        127,836  
Marine – 0.0%  

Clarkson PLC

     177        6,794  
Media – 2.6%  

Ascential PLC

     1,194        5,503  

Cineworld Group PLC

     1,855        16,861  

Daily Mail & General Trust PLC Class A Non-Voting Shares

     2,878        25,040  

Euromoney Institutional Investor PLC

     669        10,511  

Informa PLC

     5,465        49,272  

ITV PLC

     64,881        152,072  

Pearson PLC

     14,265        117,128  
     

 

 

 
Total Media        376,387  
Metals & Mining – 7.9%  

Antofagasta PLC

     4,181      53,234  

BHP Billiton PLC

     17,764        313,286  

Ferrexpo PLC

     2,033        7,976  

Fresnillo PLC

     2,347        44,241  

Hill & Smith Holdings PLC

     375        6,359  

Hochschild Mining PLC

     696        2,143  

Rio Tinto PLC

     13,940        649,541  

Vedanta Resources PLC

     4,248        49,698  
     

 

 

 
Total Metals & Mining        1,126,478  
Multi-Utilities – 4.8%  

Centrica PLC

     79,869        200,382  

National Grid PLC

     39,191        486,160  
     

 

 

 
Total Multi-Utilities        686,542  
Oil, Gas & Consumable Fuels – 16.4%  

BP PLC

     118,577        759,331  

Royal Dutch Shell PLC Class A

     26,518        799,968  

Royal Dutch Shell PLC Class B

     25,456        783,642  
     

 

 

 
Total Oil, Gas & Consumable Fuels        2,342,941  
Paper & Forest Products – 0.4%  

Mondi PLC

     2,219        59,691  
Personal Products – 3.3%  

Unilever PLC

     8,200        475,156  
Pharmaceuticals – 9.5%  

AstraZeneca PLC

     10,360        688,720  

Dechra Pharmaceuticals PLC

     256        7,006  

GlaxoSmithKline PLC

     32,642        651,876  

Hikma Pharmaceuticals PLC

     939        15,256  
     

 

 

 
Total Pharmaceuticals        1,362,858  
Professional Services – 1.4%  

Hays PLC

     5,956        15,135  

Intertek Group PLC

     587        39,236  

Pagegroup PLC

     2,651        17,709  

RELX PLC

     5,687        124,902  

RWS Holdings PLC

     819        4,359  
     

 

 

 
Total Professional Services        201,341  
Real Estate Management & Development – 0.1%  

Savills PLC

     1,110        13,872  
Road & Rail – 0.2%  

National Express Group PLC

     4,687        22,254  
Software – 0.8%  

AVEVA Group PLC

     326        10,650  

Fidessa Group PLC

     226        6,813  

Micro Focus International PLC

     1,257        40,256  

Sage Group PLC (The)

     5,120        47,982  

Sophos Group PLC(b)

     391        2,882  
     

 

 

 
Total Software        108,583  
Specialty Retail – 0.8%  

Dixons Carphone PLC

     8,979        23,298  

JD Sports Fashion PLC

     808        4,060  

 

See Notes to Financial Statements.

 

160   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Kingfisher PLC

     18,702      $ 74,898  

SuperGroup PLC

     590        13,449  
     

 

 

 
Total Specialty Retail        115,705  
Textiles, Apparel & Luxury Goods – 0.4%  

Burberry Group PLC

     2,211        52,209  

Coats Group PLC

     2,854        2,994  

Ted Baker PLC

     193        6,862  
     

 

 

 
Total Textiles, Apparel & Luxury Goods        62,065  
Tobacco – 7.5%  

British American Tobacco PLC

     10,042        629,452  

Imperial Brands PLC

     10,440        445,977  
     

 

 

 
Total Tobacco        1,075,429  
Trading Companies & Distributors – 0.7%  

Ashtead Group PLC

     1,823        44,001  

Bunzl PLC

     1,348        41,000  

Diploma PLC

     637        9,093  

SIG PLC

     2,976        7,103  
     

 

 

 
Total Trading Companies & Distributors        101,197  
Transportation Infrastructure – 0.2%  

BBA Aviation PLC

     8,734        34,966  
Wireless Telecommunication Services – 4.9%      

Vodafone Group PLC

     252,457      707,224  

TOTAL COMMON STOCKS

(Cost: $15,243,838)

              14,328,852  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1%  
United States – 0.1%      

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(c)

     
(Cost: $4,741)(d)      4,741        4,741  

TOTAL INVESTMENTS IN SECURITIES – 100.2%

(Cost: $15,248,579)

        14,333,593  

Other Assets less Liabilities – (0.2)%

        (22,465
     

 

 

 
NET ASSETS – 100.0%             $ 14,311,128  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $5,028 and the total market value of the collateral held by the Fund was $5,643. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $902.

 

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 N.A.

    10/3/2017        2,235,925       GBP        2,999,739        USD     $ 89     $  

Bank of America N.A.

    10/3/2017        3,057,486       USD        2,370,208        GBP             (122,504

Bank of America N.A.

    11/2/2017        2,982,343       USD        2,220,838        GBP             (167

Barclays Bank PLC

    10/3/2017        2,235,908       GBP        2,999,739        USD       67        

Barclays Bank PLC

    10/3/2017        2,329,516       USD        1,806,122        GBP             (93,667

Barclays Bank PLC

    11/2/2017        2,982,343       USD        2,220,815        GBP             (136

Citibank N.A.

    10/3/2017        204,871       GBP        274,984        USD             (119

Citibank N.A.

    10/3/2017        2,235,925       GBP        2,999,739        USD       89        

Citibank N.A.

    10/3/2017        3,057,486       USD        2,370,440        GBP             (122,814

Citibank N.A.

    11/2/2017        2,982,343       USD        2,220,806        GBP             (125

Credit Suisse International

    10/3/2017        2,235,915       GBP        2,999,739        USD       75        

Credit Suisse International

    10/3/2017        3,057,486       USD        2,370,453        GBP             (122,832

Credit Suisse International

    11/2/2017        2,982,343       USD        2,220,846        GBP             (179

Royal Bank of Canada

    10/3/2017        1,703,514       GBP        2,285,520        USD              

Royal Bank of Canada

    10/3/2017        3,057,486       USD        2,370,493        GBP             (122,886

Royal Bank of Canada

    11/2/2017        2,272,266       USD        1,692,011        GBP             (48
                                               $ 320     $ (585,477

 

CURRENCY LEGEND

GBP – British pound

USD – U.S. dollar

    

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      161  


Table of Contents

Statements of Assets and Liabilities (unaudited)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

September 30, 2017

 

  

 

 

     

WisdomTree
Australia

Dividend Fund

    

WisdomTree

Europe Hedged

Equity Fund

     WisdomTree
Europe Hedged
SmallCap
Equity Fund
     WisdomTree
Europe Quality
Dividend
Growth Fund
    

WisdomTree
Europe

SmallCap

Dividend Fund

 

ASSETS:

              

Investments, at cost

   $ 36,611,002      $ 8,184,793,594      $ 128,999,755      $ 34,927,354      $ 1,087,930,431  

Investment in affiliates, at cost (Note 3)

                                 494,272  

Foreign currency, at cost

     7,413        1,787,304        57,675        1,701         

Investments in securities, at value1,2 (Note 2)

     39,226,862        9,008,849,843        158,297,644        38,309,409        1,193,183,462  

Investment in affiliates, at value (Note 3)

                                 512,267  

Cash

     6,139        5,088,270        663        4,897        416,994  

Foreign currency, at value

     7,413        1,798,329        57,792        1,700         

Unrealized appreciation on foreign currency contracts

            47,222,943        1,070,452        50        41  

Receivables:

              

Investment securities sold

            15,920,528               14,730        186,947  

Dividends

     264,646        587,277        39,206        27,625        1,340,933  

Securities lending income

     8,402        45,456        6,666        230        202,513  

Foreign tax reclaims

            19,054,409        218,620        47,248        1,200,280  

Total Assets

     39,513,462        9,098,567,055        159,691,043        38,405,889        1,197,043,437  

LIABILITIES:

              

Foreign currency due to custodian, at value

                                 33,638  

Unrealized depreciation on foreign currency contracts

     8        8,619,288        7,014               125  

Payables:

              

Cash collateral for securities loaned (Note 2)

     3,444,532        26,291,802        3,273,457        63,895        84,102,116  

Investment securities purchased

            17,804,579        1,133,814               12,153  

Capital shares redeemed

            16,059,071                       

Advisory fees (Note 3)

     17,789        4,217,513        72,400        17,613        520,982  

Service fees (Note 2)

     135        31,994        549        134        3,954  

Total Liabilities

     3,462,464        73,024,247        4,487,234        81,642        84,672,968  

NET ASSETS

   $ 36,050,998      $ 9,025,542,808      $ 155,203,809      $ 38,324,247      $ 1,112,370,469  

NET ASSETS:

              

Paid-in capital

   $ 57,318,516      $ 10,193,564,306      $ 147,208,210      $ 36,603,463      $ 1,109,517,774  

Undistributed (Distributions in excess of) net investment income

     42,582        2,434,883        79,376        16,468        (1,010,008

Accumulated net realized loss on investments, futures contracts, foreign currency contracts and foreign currency related transactions

     (23,921,381      (2,034,365,301      (22,457,567      (1,680,069      (101,452,214

Net unrealized appreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     2,611,281        863,908,920        30,373,790        3,384,385        105,314,917  

NET ASSETS

   $ 36,050,998      $ 9,025,542,808      $ 155,203,809      $ 38,324,247      $ 1,112,370,469  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     650,000        139,550,000        5,050,000        1,450,000        16,050,000  

Net asset value per share

   $ 55.46      $ 64.68      $ 30.73      $ 26.43      $ 69.31  

1    Includes market value of securities out on loan of:

   $ 4,159,253      $ 43,400,747      $ 3,465,670      $ 60,719      $ 84,449,177  

2     Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

      

 

See Notes to Financial Statements.

 

162   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

September 30, 2017

 

  

 

 

     

WisdomTree
Germany

Hedged Equity

Fund

     WisdomTree
Global ex-U.S.
Hedged
Dividend  Fund
     WisdomTree
Global ex-U.S.
Hedged Real
Estate Fund
    

WisdomTree

International
Dividend ex-

Financials Fund

     WisdomTree
International
Equity Fund
 

ASSETS:

              

Investments, at cost

   $ 103,836,244      $ 7,034,801      $ 2,429,922      $ 211,138,934      $ 730,673,586  

Investment in affiliates, at cost (Note 3)

                          885,959         

Foreign currency, at cost

     49,155        1,598        1,107        112,436        74,564  

Investments in securities, at value1,2 (Note 2)

     115,779,513        7,723,120        2,909,047        202,833,419        838,956,456  

Investment in affiliates, at value (Note 3)

                          975,296         

Cash

     532               284        10,368        93,893  

Foreign currency, at value

     49,155        1,587        1,089        112,233        74,462  

Unrealized appreciation on foreign currency contracts

     823,722        76,371        15,928               3  

Receivables:

              

Investment securities sold

                                 168,031  

Dividends

     12,059        21,705        11,471        468,658        2,235,625  

Securities lending income

     2,753        58        53        705        12,404  

Foreign tax reclaims

     602,005        4,028        22        429,786        897,602  

Total Assets

     117,269,739        7,826,869        2,937,894        204,830,465        842,438,476  

LIABILITIES:

              

Due to custodian

            382                       

Unrealized depreciation on foreign currency contracts

     66,948        44,258        9,278        264        526  

Payables:

              

Cash collateral for securities loaned (Note 2)

     1,422,824        964        92,258        42,585        6,443,084  

Investment securities purchased

     670,610                              

Advisory fees (Note 3)

     45,563        2,778        1,009        96,983        323,255  

Service fees (Note 2)

     418        28        11        742        2,967  

Total Liabilities

     2,206,363        48,410        102,556        140,574        6,769,832  

NET ASSETS

   $ 115,063,376      $ 7,778,459      $ 2,835,338      $ 204,689,891      $ 835,668,644  

NET ASSETS:

              

Paid-in capital

   $ 136,772,386      $ 7,514,982      $ 2,488,164      $ 340,648,785      $ 957,656,730  

Undistributed (Distributions in excess of) net investment income

     21,072        21,045        (71,595      473,241        1,843,749  

Accumulated net realized loss on investments, foreign currency contracts and foreign currency related transactions

     (34,471,689      (478,130      (66,989      (128,224,633      (232,146,576

Net unrealized appreciation (depreciation) on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     12,741,607        720,562        485,758        (8,207,502      108,314,741  

NET ASSETS

   $ 115,063,376      $ 7,778,459      $ 2,835,338      $ 204,689,891      $ 835,668,644  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     3,650,000        300,000        100,004        4,800,000        15,400,000  

Net asset value per share

   $ 31.52      $ 25.93      $ 28.35      $ 42.64      $ 54.26  

1    Includes market value of securities out on loan of:

   $ 1,354,577      $ 32,152      $ 87,070      $ 989,109      $ 10,430,034  

2     Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

      

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      163  


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

September 30, 2017

 

  

 

 

      WisdomTree
International
Hedged Quality
Dividend
Growth Fund
    

WisdomTree
International
High Dividend

Fund

    

WisdomTree
International

LargeCap
Dividend Fund

     WisdomTree
International
MidCap
Dividend Fund
     WisdomTree
International
Quality
Dividend
Growth Fund
 

ASSETS:

              

Investments, at cost

   $ 438,995,158      $ 311,853,657      $ 366,645,243      $ 200,725,777      $ 13,318,569  

Investment in affiliates, at cost (Note 3)

                   786,085                

Foreign currency, at cost

     186,554        29,652        49,695        100,208        2,812  

Investments in securities, at value1,2 (Note 2)

     500,829,461        327,829,559        405,771,143        237,604,473        14,940,572  

Investment in affiliates, at value (Note 3)

                   822,293                

Cash

     64,560        15,715        12,061        75,402        4,775  

Foreign currency, at value

     186,900        29,735        49,718        100,361        2,812  

Unrealized appreciation on foreign currency contracts

     4,912,992               7                

Receivables:

              

Investment securities sold

                                 2,951  

Dividends

     1,091,149        758,663        890,582        913,951        32,344  

Securities lending income

     4,534        5,809        1,404        2,527        121  

Foreign tax reclaims

     918,181        401,617        591,472        133,477        8,813  

Total Assets

     508,007,777        329,041,098        408,138,680        238,830,191        14,992,388  

LIABILITIES:

              

Unrealized depreciation on foreign currency contracts

     3,729,797        10        36               9  

Payables:

              

Cash collateral for securities loaned (Note 2)

     2,270,062        3,859,071        1,791,492        3,898,099        121,556  

Advisory fees (Note 3)

     236,620        153,773        158,672        111,671        4,622  

Service fees (Note 2)

     1,795        1,168        1,460        848        53  

Total Liabilities

     6,238,274        4,014,022        1,951,660        4,010,618        126,240  

NET ASSETS

   $ 501,769,503      $ 325,027,076      $ 406,187,020      $ 234,819,573      $ 14,866,148  

NET ASSETS:

              

Paid-in capital

   $ 467,462,963      $ 388,253,716      $ 432,852,124      $ 259,800,289      $ 13,024,571  

Undistributed net investment income

     585,567        660,129        820,802        619,126        21,993  

Accumulated net realized gain (loss) on investments, futures contracts, foreign currency contracts and foreign currency related transactions

     (29,336,535      (79,874,574      (66,671,673      (62,478,806      197,118  

Net unrealized appreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     63,057,508        15,987,805        39,185,767        36,878,964        1,622,466  

NET ASSETS

   $ 501,769,503      $ 325,027,076      $ 406,187,020      $ 234,819,573      $ 14,866,148  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     16,400,000        7,450,000        8,200,000        3,550,000        500,004  

Net asset value per share

   $ 30.60      $ 43.63      $ 49.54      $ 66.15      $ 29.73  

1    Includes market value of securities out on loan of:

   $ 4,550,322      $ 4,856,900      $ 2,134,922      $ 4,893,572      $ 139,189  

2     Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

      

 

See Notes to Financial Statements.

 

164   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

September 30, 2017

 

  

 

 

     

WisdomTree
International

SmallCap
Dividend Fund

    

WisdomTree

Japan Hedged

Capital Goods

Fund

    

WisdomTree

Japan Hedged

Equity Fund

    

WisdomTree

Japan Hedged

Financials Fund

    

WisdomTree
Japan Hedged
Health Care

Fund

 

ASSETS:

              

Investments, at cost

   $ 1,440,027,095      $ 4,804,207      $ 7,631,250,109      $ 20,953,225      $ 5,236,408  

Investment in affiliates, at cost (Note 3)

     2,869,435                              

Foreign currency, at cost

     188,167        328        604,830        15,265        232  

Investments in securities, at value1,2 (Note 2)

     1,777,686,201        5,275,695        8,274,149,391        19,532,457        5,085,431  

Investment in affiliates, at value (Note 3)

     3,348,560                              

Cash

     133,384        146        2,341,386        118        249  

Foreign currency, at value

     187,982        328        599,587        15,180        231  

Unrealized appreciation on foreign currency contracts

            116,464        170,427,175        503,737        116,836  

Receivables:

              

Dividends

     6,478,502        38,153        69,000,813        194,960        31,579  

Securities lending income

     213,929        29        79,114        92        62  

Foreign tax reclaims

     819,224               6,766,118                

Total Assets

     1,788,867,782        5,430,815        8,523,363,584        20,246,544        5,234,388  

LIABILITIES:

              

Unrealized depreciation on foreign currency contracts

            341        12,395,593        35,903        326  

Payables:

              

Cash collateral for securities loaned (Note 2)

     108,787,957        15,966        140,253,869        420,330        4,905  

Investment securities purchased

            103,283        145,164,802        441,696        107,620  

Advisory fees (Note 3)

     783,163        2,022        3,157,320        8,155        1,981  

Service fees (Note 2)

     5,971        19        28,942        75        18  

Total Liabilities

     109,577,091        121,631        301,000,526        906,159        114,850  

NET ASSETS

   $ 1,679,290,691      $ 5,309,184      $ 8,222,363,058      $ 19,340,385      $ 5,119,538  

NET ASSETS:

              

Paid-in capital

   $ 1,554,166,479      $ 6,427,214      $ 8,946,518,556      $ 25,857,110      $ 8,044,716  

Undistributed net investment income

     1,548,377        30,124        63,550,794        150,369        27,677  

Accumulated net realized loss on investments, foreign currency contracts and foreign currency related transactions

     (214,562,978      (1,735,669      (1,587,952,358      (5,713,590      (2,918,279

Net unrealized appreciation (depreciation) on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     338,138,813        587,515        800,246,066        (953,504      (34,576

NET ASSETS

   $ 1,679,290,691      $ 5,309,184      $ 8,222,363,058      $ 19,340,385      $ 5,119,538  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     22,800,000        200,000        150,300,000        800,000        150,000  

Net asset value per share

   $ 73.65      $ 26.55      $ 54.71      $ 24.18      $ 34.13  

1    Includes market value of securities out on loan of:

   $ 148,527,341      $ 15,190      $ 274,807,424      $ 925,189      $ 36,332  

2     Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

      

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      165  


Table of Contents

Statements of Assets and Liabilities (unaudited) (concluded)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

September 30, 2017

 

  

 

 

     

WisdomTree
Japan Hedged
Quality

Dividend
Growth Fund

     WisdomTree
Japan Hedged
Real Estate
Fund
     WisdomTree
Japan Hedged
SmallCap
Equity Fund
    

WisdomTree
Japan

SmallCap
Dividend Fund

    

WisdomTree
United Kingdom
Hedged Equity

Fund

 

ASSETS:

              

Investments, at cost

   $ 12,336,272      $ 4,635,009      $ 125,431,680      $ 539,353,034      $ 15,248,579  

Investment in affiliates, at cost (Note 3)

                          224,606         

Foreign currency, at cost

     2,718        766        6,410        407,016        5,539  

Investments in securities, at value1,2 (Note 2)

     13,545,894        4,372,505        149,325,073        636,850,963        14,333,593  

Investment in affiliates, at value (Note 3)

                          240,242         

Cash

     6,000        10        77,058        223,097        4,889  

Foreign currency, at value

     2,719        766        6,410        398,244        5,526  

Unrealized appreciation on foreign currency contracts

     306,234        100,432        3,243,301        222        320  

Receivables:

              

Investment securities sold

                                 537,745  

Dividends

     105,673        31,468        920,877        4,054,312        24,857  

Securities lending income

     93        16        11,032        37,494        40  

Foreign tax reclaims

                   9,223        125,894        136  

Total Assets

     13,966,613        4,505,197        153,592,974        641,930,468        14,907,106  

LIABILITIES:

              

Unrealized depreciation on foreign currency contracts

     873        281        21,449               585,477  

Payables:

              

Cash collateral for securities loaned (Note 2)

     64,048        14,134        10,245,789        35,755,309        4,741  

Investment securities purchased

     287,749        91,839        3,028,967                

Advisory fees (Note 3)

     4,678        1,693        66,242        277,306        5,708  

Service fees (Note 2)

     48        16        503        2,105        52  

Total Liabilities

     357,396        107,963        13,362,950        36,034,720        595,978  

NET ASSETS

   $ 13,609,217      $ 4,397,234      $ 140,230,024      $ 605,895,748      $ 14,311,128  

NET ASSETS:

              

Paid-in capital

   $ 14,475,317      $ 25,431,838      $ 131,260,482      $ 516,384,909      $ 18,859,957  

Undistributed net investment income

     102,783        24,083        745,859        3,406,950        4,994  

Accumulated net realized loss on investments, futures contracts, foreign currency contracts and foreign currency related transactions

     (2,483,820      (20,896,075      (18,889,267      (11,382,733      (3,054,317

Net unrealized appreciation (depreciation) on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     1,514,937        (162,612      27,112,950        97,486,622        (1,499,506

NET ASSETS

   $ 13,609,217      $ 4,397,234      $ 140,230,024      $ 605,895,748      $ 14,311,128  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     500,000        300,000        3,300,000        8,100,000        600,000  

Net asset value per share

   $ 27.22      $ 14.66      $ 42.49      $ 74.80      $ 23.85  

1    Includes market value of securities out on loan of:

   $ 222,443      $ 13,445      $ 16,966,621      $ 56,550,543      $ 5,028  

2     Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

      

 

See Notes to Financial Statements.

 

166   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Operations (unaudited)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
Australia
Dividend Fund
    

WisdomTree
Europe

Hedged Equity
Fund

    

WisdomTree
Europe

Hedged

SmallCap
Equity Fund

     WisdomTree
Europe Quality
Dividend
Growth Fund
     WisdomTree
Europe
SmallCap
Dividend Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 798,637      $ 134,357,624      $ 3,486,782      $ 355,917      $ 20,689,961  

Dividends from affiliates (Note 3)

                                 53,787  

Non-cash dividends

            23,976,238        203,881        3,516        1,100,428  

Interest

            2,624                       

Securities lending income (Note 2)

     28,884        2,635,255        72,201        2,343        844,956  

Total investment income

     827,521        160,971,741        3,762,864        361,776        22,689,132  

EXPENSES:

              

Advisory fees (Note 3)

     106,070        27,088,997        452,204        75,113        2,741,896  

Service fees (Note 2)

     805        205,503        3,431        570        20,800  

Total expenses

     106,875        27,294,500        455,635        75,683        2,762,696  

Expense waivers (Note 3)

                                 (5,001

Net expenses

     106,875        27,294,500        455,635        75,683        2,757,695  

Net investment income

     720,646        133,677,241        3,307,229        286,093        19,931,437  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     (595,775      30,818,460        (2,018,814      (227,294      (1,561,974

Investment transactions in affiliates (Note 3)

                                 194,731  

In-kind redemptions

            147,401,338        8,952,821        680,197        31,901,417  

Futures contracts

            888,111                       

Foreign currency contracts

     71        (967,775,556      (16,061,827      (23      (15,033

Foreign currency related transactions

     1,809        503,304        6,184        3,604        52,119  

Net realized gain (loss)

     (593,895      (788,164,343      (9,121,636      456,484        30,571,260  

Net increase (decrease) in unrealized appreciation/depreciation:

              

Investment transactions

     382,328        986,895,388        18,622,460        2,725,213        114,777,399  

Foreign currency contracts

     (28      96,643,659        1,960,115        50        549  

Translation of assets and liabilities denominated in foreign currencies

     (4,310      2,266,026        28,594        2,993        127,909  

Net increase in unrealized appreciation/depreciation

     377,990        1,085,805,073        20,611,169        2,728,256        114,905,857  

Net realized and unrealized gain (loss) on investments

     (215,905      297,640,730        11,489,533        3,184,740        145,477,117  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 504,741      $ 431,317,971      $ 14,796,762      $ 3,470,833      $ 165,408,554  

1     Net of foreign withholding tax of:

   $ 6,460      $ 22,972,133      $ 572,957      $ 38,077      $ 2,183,965  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      167  


Table of Contents

Statements of Operations (unaudited) (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
Germany
Hedged Equity
Fund
     WisdomTree
Global ex-U.S.
Hedged
Dividend  Fund
     WisdomTree
Global ex-U.S.
Hedged Real
Estate Fund
     WisdomTree
International
Dividend  ex-
Financials
Fund
     WisdomTree
International
Equity Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 3,479,356      $ 110,523      $ 68,678      $ 4,935,241      $ 16,741,061  

Dividends from affiliates (Note 3)

                          77,462        81,991  

Non-cash dividends

            4,768        326        466,971        964,669  

Securities lending income (Note 2)

     18,006        683        468        122,749        235,038  

Total investment income

     3,497,362        115,974        69,472        5,602,423        18,022,759  

EXPENSES:

              

Advisory fees (Note 3)

     295,782        12,169        7,963        599,676        1,848,679  

Service fees (Note 2)

     2,711        122        60        4,549        16,946  

Total expenses

     298,493        12,291        8,023        604,225        1,865,625  

Expense waivers (Note 3)

                   (2,059      (4,932      (2,751

Net expenses

     298,493        12,291        5,964        599,293        1,862,874  

Net investment income

     3,198,869        103,683        63,508        5,003,130        16,159,885  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     (1,110,616      (33,681      30,038        (5,373,175      (4,166,764

Investment transactions in affiliates (Note 3)

                          (41,630      19,251  

In-kind redemptions

     1,533,065                      792,986         

Foreign currency contracts

     (12,901,605      (230,525      (76,364      (5,635      7,477  

Foreign currency related transactions

     25,864        542        338        1,232        68,194  

Net realized loss

     (12,453,292      (263,664      (45,988      (4,626,222      (4,071,842

Net increase (decrease) in unrealized appreciation/depreciation:

              

Investment transactions

     15,302,911        495,954        322,508        19,139,069        72,527,070  

Foreign currency contracts

     1,360,787        45,229        6,188        (264      (7,911

Translation of assets and liabilities denominated in foreign currencies

     83,561        8        61        34,484        71,776  

Net increase in unrealized appreciation/depreciation

     16,747,259        541,191        328,757        19,173,289        72,590,935  

Net realized and unrealized gain on investments

     4,293,967        277,527        282,769        14,547,067        68,519,093  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 7,492,836      $ 381,210      $ 346,277      $ 19,550,197      $ 84,678,978  

1    Net of foreign withholding tax of:

   $ 393,749      $ 13,102      $ 5,619      $ 424,615      $ 1,432,994  

 

See Notes to Financial Statements.

 

168   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Operations (unaudited) (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

For the Six Months Ended September 30, 2017

 

  

 

 

     

WisdomTree
International
Hedged

Quality
Dividend
Growth Fund

    

WisdomTree
International

High Dividend
Fund

    

WisdomTree
International

LargeCap

Dividend Fund

    

WisdomTree

International

MidCap
Dividend Fund

    

WisdomTree
International
Quality

Dividend

Growth Fund

 

INVESTMENT INCOME:

              

Dividends1

   $ 6,548,318      $ 7,612,428      $ 8,455,972      $ 4,726,411      $ 152,792  

Dividends from affiliates (Note 3)

            73,739        82,917        30,671         

Non-cash dividends

     144,411        536,665        547,758        120,985        3,246  

Interest

     99                              

Securities lending income (Note 2)

     57,796        113,874        108,965        44,720        949  

Total investment income

     6,750,624        8,336,706        9,195,612        4,922,787        156,987  

EXPENSES:

              

Advisory fees (Note 3)

     1,445,638        863,789        931,199        613,353        29,432  

Service fees (Note 2)

     10,967        6,553        8,536        4,653        270  

Total expenses

     1,456,605        870,342        939,735        618,006        29,702  

Expense waivers (Note 3)

            (1,900      (4,309      (1,649      (6,132

Net expenses

     1,456,605        868,442        935,426        616,357        23,570  

Net investment income

     5,294,019        7,468,264        8,260,186        4,306,430        133,417  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     (5,742,478      (3,332,064      (5,893,167      4,054,796        (166,991

Investment transactions in affiliates (Note 3)

            (72,688      66,199        2,058         

In-kind redemptions

     16,207,306                             366,527  

Futures contracts

     142,741                              

Foreign currency contracts

     (29,584,757      (8,654      (6,357      9,608        (1,045

Foreign currency related transactions

     82,772        33,257        39,464        14,045        1,487  

Net realized gain (loss)

     (18,894,416      (3,380,149      (5,793,861      4,080,507        199,978  

Net increase (decrease) in unrealized appreciation/depreciation:

              

Investment transactions

     51,273,251        25,715,190        38,873,532        15,726,664        1,186,685  

Foreign currency contracts

     2,284,331        61        45        58        (8

Translation of assets and liabilities denominated in foreign currencies

     43,829        33,572        50,754        7,915        373  

Net increase in unrealized appreciation/depreciation

     53,601,411        25,748,823        38,924,331        15,734,637        1,187,050  

Net realized and unrealized gain on investments

     34,706,995        22,368,674        33,130,470        19,815,144        1,387,028  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 40,001,014      $ 29,836,938      $ 41,390,656      $ 24,121,574      $ 1,520,445  

1    Net of foreign withholding tax of:

   $ 625,735      $ 647,706      $ 727,169      $ 391,702      $ 15,260  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      169  


Table of Contents

Statements of Operations (unaudited) (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
International
SmallCap
Dividend Fund
    

WisdomTree

Japan Hedged
Capital Goods
Fund

     WisdomTree
Japan Hedged
Equity Fund
     WisdomTree
Japan Hedged
Financials
Fund
     WisdomTree
Japan Hedged
Health Care
Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 29,571,453      $ 82,771      $ 93,574,611      $ 219,227      $ 38,473  

Dividends from affiliates (Note 3)

     278,470                              

Non-cash dividends

     778,238                              

Securities lending income (Note 2)

     904,991        554        348,526        945        1,268  

Total investment income

     31,533,152        83,325        93,923,137        220,172        39,741  

EXPENSES:

              

Advisory fees (Note 3)

     4,287,805        16,538        19,902,796        68,532        11,953  

Service fees (Note 2)

     32,528        152        182,442        628        110  

Total expenses

     4,320,333        16,690        20,085,238        69,160        12,063  

Expense waivers (Note 3)

     (21,297                            

Net expenses

     4,299,036        16,690        20,085,238        69,160        12,063  

Net investment income

     27,234,116        66,635        73,837,899        151,012        27,678  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions2

     24,075,863        7,670        27,457,061        (499,753      (57,813

Investment transactions in affiliates (Note 3)

     391,506                              

In-kind redemptions

            317,949        199,787,867        507,804         

Foreign currency contracts

     31,067        (524,586      (82,528,034      (322,678      (46,526

Foreign currency related transactions

     50,143        (1,460      (25,517      (3,374      (123

Net realized gain (loss)

     24,548,579        (200,427      144,691,377        (318,001      (104,462

Net increase (decrease) in unrealized appreciation/depreciation:

              

Investment transactions

     157,626,391        (500,775      381,761,967        1,047,487        333,754  

Foreign currency contracts

     (1,454      189,667        190,539,151        627,076        129,541  

Translation of assets and liabilities denominated in foreign currencies

     78,584        1,974        182,553        4,313        191  

Net increase (decrease) in unrealized appreciation/depreciation

     157,703,521        (309,134      572,483,671        1,678,876        463,486  

Net realized and unrealized gain (loss) on investments

     182,252,100        (509,561      717,175,048        1,360,875        359,024  

NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS

   $ 209,486,216      $ (442,926    $ 791,012,947      $ 1,511,887      $ 386,702  

1    Net of foreign withholding tax of:

   $ 3,094,372      $ 9,197      $ 10,355,678      $ 24,359      $ 4,275  

2    Net of foreign capital gains tax withheld of:

   $ 1,373                        —                        —                        —                        —  

 

See Notes to Financial Statements.

 

170   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Operations (unaudited) (concluded)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
Japan Hedged
Quality
Dividend
Growth Fund
    

WisdomTree
Japan Hedged

Real Estate
Fund

    

WisdomTree
Japan Hedged

SmallCap
Equity Fund

    

WisdomTree

Japan

SmallCap
Dividend Fund

    

WisdomTree
United Kingdom
Hedged Equity

Fund

 

INVESTMENT INCOME:

              

Dividends1

   $ 140,434      $ 48,881      $ 1,123,071      $ 4,834,385      $ 407,962  

Dividends from affiliates (Note 3)

                          78,716         

Non-cash dividends

                                 29,733  

Interest

                          54         

Securities lending income (Note 2)

     718        254        46,526        154,744        196  

Total investment income

     141,152        49,135        1,169,597        5,067,899        437,891  

EXPENSES:

              

Advisory fees (Note 3)

     31,040        10,785        376,648        1,500,836        39,287  

Service fees (Note 2)

     284        99        2,857        11,386        360  

Total expenses

     31,324        10,884        379,505        1,512,222        39,647  

Expense waivers (Note 3)

     (3,233                    (2,501       

Net expenses

     28,091        10,884        379,505        1,509,721        39,647  

Net investment income

     113,061        38,251        790,092        3,558,178        398,244  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     16,979        (3,028      (659,834      (1,317,986      (653,883

Investment transactions in affiliates (Note 3)

                          137,648         

In-kind redemptions

            (24,840      3,520,319        21,145,946        59,892  

Futures contracts

                          136,825         

Foreign currency contracts

     (121,483      (14,355      (986,240      109,965        (553,747

Foreign currency related transactions

     (53      75        (2,959      (14,890      5,641  

Net realized gain (loss)

     (104,557      (42,148      1,871,286        20,197,508        (1,142,097

Net increase (decrease) in unrealized appreciation/depreciation:

              

Investment transactions

     1,091,075        394,309        12,731,164        42,041,986        1,705,859  

Foreign currency contracts

     338,461        79,493        3,482,727        (238      (513,078

Translation of assets and liabilities denominated in foreign currencies

     191        (232      2,015        (1,869      518  

Net increase in unrealized appreciation/depreciation

     1,429,727        473,570        16,215,906        42,039,879        1,193,299  

Net realized and unrealized gain on investments

     1,325,170        431,422        18,087,192        62,237,387        51,202  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 1,438,231      $ 469,673      $ 18,877,284      $ 65,795,565      $ 449,446  

1    Net of foreign withholding tax of:

   $ 15,518      $ 5,448      $ 123,507      $ 530,717      $ 540  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      171  


Table of Contents

Statements of Changes in Net Assets

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

    

WisdomTree

Australia Dividend Fund

   

WisdomTree Europe Hedged

Equity Fund

   

WisdomTree Europe Hedged

SmallCap Equity Fund

 
     For the Six
Months Ended
September 30,
2017
(unaudited)
   

For the

Year Ended
March 31, 2017

   

For the Six

Months Ended
September 30,
2017

(unaudited)

   

For the

Year Ended

March 31, 2017

   

For the Six
Months Ended
September 30,
2017

(unaudited)

   

For the

Year Ended

March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 720,646     $ 1,347,638     $ 133,677,241     $ 316,504,070     $ 3,307,229     $ 6,793,205  

Net realized gain (loss) on investments, futures contracts, foreign currency contracts and foreign currency related transactions

    (593,895     (144,971     (788,164,343     (138,232,513     (9,121,636     12,099,059  

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    377,990       5,535,849       1,085,805,073       1,796,540,063       20,611,169       16,778,331  

Net increase in net assets resulting from operations

    504,741       6,738,516       431,317,971       1,974,811,620       14,796,762       35,670,595  

DIVIDENDS:

           

Net investment income

    (728,000     (1,434,229     (174,951,000     (315,544,643     (2,413,250     (5,737,894

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

                384,224,794       518,423,439       24,042,875        

Cost of shares redeemed

          (2,846,902     (915,223,378     (6,594,469,002     (36,816,638     (142,046,457

Net decrease in net assets resulting from capital share transactions

          (2,846,902     (530,998,584     (6,076,045,563     (12,773,763     (142,046,457

Net Increase (Decrease) in Net Assets

    (223,259     2,457,385       (274,631,613     (4,416,778,586     (390,251     (112,113,756

NET ASSETS:

           

Beginning of period

  $ 36,274,257     $ 33,816,872     $ 9,300,174,421     $ 13,716,953,007     $ 155,594,060     $ 267,707,816  

End of period

  $ 36,050,998     $ 36,274,257     $ 9,025,542,808     $ 9,300,174,421     $ 155,203,809     $ 155,594,060  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 42,582     $ 49,936     $ 2,434,883     $ 43,708,642     $ 79,376     $ (814,603

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    650,000       700,000       148,100,000       263,600,000       5,500,000       11,200,000  

Shares created

                5,900,000       9,600,000       800,000        

Shares redeemed

          (50,000     (14,450,000     (125,100,000     (1,250,000     (5,700,000

Shares outstanding, end of period

    650,000       650,000       139,550,000       148,100,000       5,050,000       5,500,000  

 

See Notes to Financial Statements.

 

172   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

     WisdomTree Europe Quality
Dividend Growth Fund
    WisdomTree Europe SmallCap
Dividend Fund
    WisdomTree Germany Hedged
Equity Fund
 
    

For the Six
Months Ended
September 30,
2017

(unaudited)

   

For the
Year Ended

March 31, 2017

   

For the
Six Months Ended
September 30,
2017

(unaudited)

   

For the

Year Ended

March 31, 2017

   

For the Six
Months Ended
September 30,
2017

(unaudited)

   

For the

Year Ended
March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 286,093     $ 349,868     $ 19,931,437     $ 30,324,067     $ 3,198,869     $ 4,800,847  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

    456,484       (747,262     30,571,260       2,930,614       (12,453,292     (168,544

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    2,728,256       1,412,476       114,905,857       5,634,582       16,747,259       25,059,818  

Net increase in net assets resulting from operations

    3,470,833       1,015,082       165,408,554       38,889,263       7,492,836       29,692,121  

DIVIDENDS:

           

Net investment income

    (289,250     (368,213     (22,106,250     (33,816,718     (3,354,750     (6,533,500

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    21,587,455       1,099,916       269,309,551       91,461,683              

Cost of shares redeemed

    (3,821,291     (2,223,996     (75,240,524     (447,469,871     (13,723,057     (99,011,496

Net increase (decrease) in net assets resulting from capital share transactions

    17,766,164       (1,124,080     194,069,027       (356,008,188     (13,723,057     (99,011,496

Net Increase (Decrease) in Net Assets

    20,947,747       (477,211     337,371,331       (350,935,643     (9,584,971     (75,852,875

NET ASSETS:

           

Beginning of period

  $ 17,376,500     $ 17,853,711     $ 774,999,138     $ 1,125,934,781     $ 124,648,347     $ 200,501,222  

End of period

  $ 38,324,247     $ 17,376,500     $ 1,112,370,469     $ 774,999,138     $ 115,063,376     $ 124,648,347  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 16,468     $ 19,625     $ (1,010,008   $ 1,164,805     $ 21,072     $ 176,953  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    750,000       800,000       13,100,000       19,750,000       4,100,000       7,850,000  

Shares created

    850,000       50,000       4,100,000       1,650,000              

Shares redeemed

    (150,000     (100,000     (1,150,000     (8,300,000     (450,000     (3,750,000

Shares outstanding, end of period

    1,450,000       750,000       16,050,000       13,100,000       3,650,000       4,100,000  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      173  


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

     WisdomTree Global ex-U.S. Hedged
Dividend Fund
    WisdomTree Global ex-U.S. Hedged
Real Estate Fund
    WisdomTree International Dividend
ex-Financials Fund
 
    

For the Six
Months Ended

September 30,
2017

(unaudited)

   

For the

Year Ended
March 31, 2017

   

For the Six

Months Ended

September 30,
2017

(unaudited)

   

For the

Year Ended
March 31, 2017

    For the Six
Months Ended
September 30,
2017
(unaudited)
   

For the

Year Ended

March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 103,683     $ 143,498     $ 63,508     $ 95,162     $ 5,003,130     $ 8,574,987  

Net realized loss on investments, foreign currency contracts and foreign currency related transactions

    (263,664     (98,526     (45,988     (62,544     (4,626,222     (3,579,886

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    541,191       691,759       328,757       252,292       19,173,289       9,887,682  

Net increase in net assets resulting from operations

    381,210       736,731       346,277       284,910       19,550,197       14,882,783  

DIVIDENDS:

           

Net investment income

    (67,000     (108,490     (95,004     (137,747     (5,048,250     (8,722,068

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    2,537,480                               7,774,853  

Cost of shares redeemed

                            (10,379,877     (43,850,783

Net increase (decrease) in net assets resulting from capital share transactions

    2,537,480                         (10,379,877     (36,075,930

Net Increase (Decrease) in Net Assets

    2,851,690       628,241       251,273       147,163       4,122,070       (29,915,215

NET ASSETS:

           

Beginning of period

  $ 4,926,769     $ 4,298,528     $ 2,584,065     $ 2,436,902     $ 200,567,821     $ 230,483,036  

End of period

  $ 7,778,459     $ 4,926,769     $ 2,835,338     $ 2,584,065     $ 204,689,891     $ 200,567,821  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 21,045     $ (15,638   $ (71,595   $ (40,099   $ 473,241     $ 518,361  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    200,000       200,000       100,004       100,004       5,050,000       6,000,000  

Shares created

    100,000                               200,000  

Shares redeemed

                            (250,000     (1,150,000

Shares outstanding, end of period

    300,000       200,000       100,004       100,004       4,800,000       5,050,000  

 

See Notes to Financial Statements.

 

174   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

     

WisdomTree International

Equity Fund

     WisdomTree International Hedged
Quality Dividend Growth Fund
    

WisdomTree International

High Dividend Fund

 
     

For the Six
Months Ended

September 30,
2017

(unaudited)

    

For the

Year Ended
March 31, 2017

    

For the Six
Months Ended
September 30,
2017

(unaudited)

    

For the

Year Ended
March 31, 2017

     For the Six
Months Ended
September 30,
2017
(unaudited)
    

For the

Year Ended
March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

              

Net investment income

   $ 16,159,885      $ 21,770,680      $ 5,294,019      $ 10,570,354      $ 7,468,264      $ 10,640,745  

Net realized gain (loss) on investments, futures contracts, foreign currency contracts and foreign currency related transactions

     (4,071,842      5,660,506        (18,894,416      18,101,046        (3,380,149      (1,193,429

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     72,590,935        43,938,893        53,601,411        33,716,316        25,748,823        18,860,097  

Net increase in net assets resulting from operations

     84,678,978        71,370,079        40,001,014        62,387,716        29,836,938        28,307,413  

DIVIDENDS:

                 

Net investment income

     (16,628,000      (21,780,815      (2,883,500      (12,264,750      (7,643,750      (10,595,744

CAPITAL SHARE TRANSACTIONS:

                 

Net proceeds from sale of shares

     63,669,463        65,281,232        60,127,815        110,117,578        52,441,699         

Cost of shares redeemed

            (32,853,925      (75,202,823      (412,563,478             (24,786,176

Net increase (decrease) in net assets resulting from capital share transactions

     63,669,463        32,427,307        (15,075,008      (302,445,900      52,441,699        (24,786,176

Net Increase (Decrease) in Net Assets

     131,720,441        82,016,571        22,042,506        (252,322,934      74,634,887        (7,074,507

NET ASSETS:

                 

Beginning of period

   $ 703,948,203      $ 621,931,632      $ 479,726,997      $ 732,049,931      $ 250,392,189      $ 257,466,696  

End of period

   $ 835,668,644      $ 703,948,203      $ 501,769,503      $ 479,726,997      $ 325,027,076      $ 250,392,189  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

   $ 1,843,749      $ 2,311,864      $ 585,567      $ (1,824,952    $ 660,129      $ 835,615  

SHARES CREATED AND REDEEMED:

                 

Shares outstanding, beginning of period

     14,200,000        13,550,000        16,900,000        28,450,000        6,200,000        6,850,000  

Shares created

     1,200,000        1,350,000        2,000,000        4,150,000        1,250,000         

Shares redeemed

            (700,000      (2,500,000      (15,700,000             (650,000

Shares outstanding, end of period

     15,400,000        14,200,000        16,400,000        16,900,000        7,450,000        6,200,000  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      175  


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

     WisdomTree International LargeCap
Dividend Fund
    WisdomTree International MidCap
Dividend Fund
    WisdomTree International Quality
Dividend Growth Fund
 
     For the Six
Months Ended
September 30,
2017
(unaudited)
   

For the

Year Ended
March 31, 2017

    For the Six
Months Ended
September 30,
2017
(unaudited)
   

For the

Year Ended
March 31, 2017

    For the Six
Months Ended
September 30,
2017
(unaudited)
   

For the Period

April 7, 2016*

through
March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 8,260,186     $ 12,880,831     $ 4,306,430     $ 4,491,909     $ 133,417     $ 105,434  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

    (5,793,861     3,212,366       4,080,507       1,663,455       199,978       (3,479

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    38,924,331       23,394,524       15,734,637       9,684,162       1,187,050       435,416  

Net increase in net assets resulting from operations

    41,390,656       39,487,721       24,121,574       15,839,526       1,520,445       537,371  

DIVIDENDS:

           

Net investment income

    (8,569,000     (13,027,235     (4,364,250     (4,427,444     (128,251     (87,988

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    14,291,695       4,131,310       35,436,632       14,701,222       7,183,971       8,699,615  

Cost of shares redeemed

          (38,131,413                 (2,859,115      

Net increase (decrease) in net assets resulting from capital share transactions

    14,291,695       (34,000,103     35,436,632       14,701,222       4,324,856       8,699,615  

Net Increase (Decrease) in Net Assets

    47,113,351       (7,539,617     55,193,956       26,113,304       5,717,050       9,148,998  

NET ASSETS:

           

Beginning of period

  $ 359,073,669     $ 366,613,286     $ 179,625,617     $ 153,512,313     $ 9,149,098     $ 100  

End of period

  $ 406,187,020     $ 359,073,669     $ 234,819,573     $ 179,625,617     $ 14,866,148     $ 9,149,098  

Undistributed net investment income included in net assets at end of period

  $ 820,802     $ 1,129,616     $ 619,126     $ 676,946     $ 21,993     $ 16,827  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    7,900,000       8,700,000       3,000,000       2,750,000       350,004       4  

Shares created

    300,000       100,000       550,000       250,000       250,000       350,000  

Shares redeemed

          (900,000                 (100,000      

Shares outstanding, end of period

    8,200,000       7,900,000       3,550,000       3,000,000       500,004       350,004  
* Commencement of operations.

 

See Notes to Financial Statements.

 

176   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

     WisdomTree International SmallCap
Dividend Fund
   

WisdomTree Japan Hedged

Capital Goods Fund

   

WisdomTree Japan Hedged

Equity Fund

 
    

For the Six

Months Ended
September 30,
2017

(unaudited)

   

For the Year
Ended

March 31, 2017

    For the Six
Months Ended
September 30,
2017
(unaudited)
    For the Year
Ended
March 31, 2017
   

For the Six

Months Ended
September 30,
2017

(unaudited)

   

For the

Year Ended

March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 27,234,116     $ 37,404,267     $ 66,635     $ 252,612     $ 73,837,899     $ 150,343,523  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

    24,548,579       (5,491,624     (200,427     (997,387     144,691,377       (218,685,156

Net increase (decrease) in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    157,703,521       125,044,787       (309,134     1,195,309       572,483,671       1,139,266,388  

Net increase (decrease) in net assets resulting from operations

    209,486,216       156,957,430       (442,926     450,534       791,012,947       1,070,924,755  

DIVIDENDS:

           

Net investment income

    (32,087,000     (37,730,923     (261,000     (81,448     (139,605,000     (163,798,365

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    217,855,195       79,833,957             26,173,303       530,877,072       2,351,903,284  

Cost of shares redeemed

          (15,001,116     (21,381,651     (2,303,451     (1,371,592,142     (4,584,491,599

Net increase (decrease) in net assets resulting from capital share transactions

    217,855,195       64,832,841       (21,381,651     23,869,852       (840,715,070     (2,232,588,315

Net Increase (Decrease) in Net Assets

    395,254,411       184,059,348       (22,085,577     24,238,938       (189,307,123     (1,325,461,925

NET ASSETS:

           

Beginning of period

  $ 1,284,036,280     $ 1,099,976,932     $ 27,394,761     $ 3,155,823     $ 8,411,670,181     $ 9,737,132,106  

End of period

  $ 1,679,290,691     $ 1,284,036,280     $ 5,309,184     $ 27,394,761     $ 8,222,363,058     $ 8,411,670,181  

Undistributed net investment income included in net assets at end of period

  $ 1,548,377     $ 6,401,261     $ 30,124     $ 224,489     $ 63,550,794     $ 129,317,895  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    19,700,000       18,650,000       1,100,000       150,000       166,900,000       222,050,000  

Shares created

    3,100,000       1,300,000             1,050,000       10,150,000       52,250,000  

Shares redeemed

          (250,000     (900,000     (100,000     (26,750,000     (107,400,000

Shares outstanding, end of period

    22,800,000       19,700,000       200,000       1,100,000       150,300,000       166,900,000  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      177  


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

    

WisdomTree Japan Hedged

Financials Fund

   

WisdomTree Japan Hedged

Health Care Fund

   

WisdomTree Japan Hedged

Quality Dividend Growth Fund

 
    

For the Six

Months Ended

September 30,

2017
(unaudited)

    For the
Year Ended
March 31, 2017
    For the Six
Months Ended
September 30,
2017
(unaudited)
    For the
Year Ended
March 31,
2017
   

For the Six
Months Ended

September 30,

2017
(unaudited)

   

For the

Year Ended
March 31,

2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 151,012     $ 534,877     $ 27,678     $ 94,581     $ 113,061     $ 217,391  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

    (318,001     (2,351,313     (104,462     485,748       (104,557     (279,412

Net increase (decrease) in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    1,678,876       1,705,284       463,486       (509,478     1,429,727       1,304,555  

Net increase (decrease) in net assets resulting from operations

    1,511,887       (111,152     386,702       70,851       1,438,231       1,242,534  

DIVIDENDS:

           

Net investment income

    (526,160     (270,439     (106,487     (163,276     (155,000     (251,560

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    5,993,411       67,183,520             4,833,393             2,457,814  

Cost of shares redeemed

    (22,897,121     (44,389,804           (17,835,880           (6,779,603

Net increase (decrease) in net assets resulting from capital share transactions

    (16,903,710     22,793,716             (13,002,487           (4,321,789

Net Increase (Decrease) in Net Assets

    (15,917,983     22,412,125       280,215       (13,094,912     1,283,231       (3,330,815

NET ASSETS:

           

Beginning of period

  $ 35,258,368     $ 12,846,243     $ 4,839,323     $ 17,934,235     $ 12,325,986     $ 15,656,801  

End of period

  $ 19,340,385     $ 35,258,368     $ 5,119,538     $ 4,839,323     $ 13,609,217     $ 12,325,986  

Undistributed net investment income included in net assets at end of period

  $ 150,369     $ 525,517     $ 27,677     $ 106,486     $ 102,783     $ 144,722  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    1,500,000       650,000       150,000       550,000       500,000       700,000  

Shares created

    250,000       2,750,000             150,000             100,000  

Shares redeemed

    (950,000     (1,900,000           (550,000           (300,000

Shares outstanding, end of period

    800,000       1,500,000       150,000       150,000       500,000       500,000  

 

See Notes to Financial Statements.

 

178   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

     WisdomTree Japan Hedged
Real Estate Fund
   

WisdomTree Japan Hedged

SmallCap Equity Fund

   

WisdomTree Japan SmallCap

Dividend Fund

 
    

For the Six
Months Ended

September 30,
2017
(unaudited)

   

For the

Year Ended

March 31, 2017

   

For the Six

Months Ended

September 30,

2017
(unaudited)

   

For the

Year Ended

March 31, 2017

   

For the Six
Months Ended

September 30,

2017
(unaudited)

   

For the

Year Ended

March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 38,251     $ 757,558     $ 790,092     $ 1,748,987     $ 3,558,178     $ 7,944,600  

Net realized gain (loss) on investments, futures contracts, foreign currency contracts and foreign currency related transactions

    (42,148     7,361,480       1,871,286       318,061       20,197,508       46,785,001  

Net increase (decrease) in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    473,570       (13,349,272     16,215,906       12,055,530       42,039,879       30,712,413  

Net increase (decrease) in net assets resulting from operations

    469,673       (5,230,234     18,877,284       14,122,578       65,795,565       85,442,014  

DIVIDENDS:

           

Net investment income

    (10,500     (8,603,684     (1,840,046     (1,523,152     (4,749,446     (7,628,997

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

          13,712,759       19,701,958       45,432,986       144,012,162       168,620,716  

Cost of shares redeemed

    (706,016     (146,227,993     (12,069,719     (33,055,673     (74,466,034     (194,160,996

Net increase (decrease) in net assets resulting from capital share transactions

    (706,016     (132,515,234     7,632,239       12,377,313       69,546,128       (25,540,280

Net Increase (Decrease) in Net Assets

    (246,843     (146,349,152     24,669,477       24,976,739       130,592,247       52,272,737  

NET ASSETS:

           

Beginning of period

  $ 4,644,077     $ 150,993,229     $ 115,560,547     $ 90,583,808     $ 475,303,501     $ 423,030,764  

End of period

  $ 4,397,234     $ 4,644,077     $ 140,230,024     $ 115,560,547     $ 605,895,748     $ 475,303,501  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 24,083     $ (3,668   $ 745,859     $ 1,795,813     $ 3,406,950     $ 4,598,218  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    350,000       5,850,000       3,100,000       2,900,000       7,150,000       7,650,000  

Shares created

          550,000       500,000       1,300,000       2,000,000       2,700,000  

Shares redeemed

    (50,000     (6,050,000     (300,000     (1,100,000     (1,050,000     (3,200,000

Shares outstanding, end of period

    300,000       350,000       3,300,000       3,100,000       8,100,000       7,150,000  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      179  


Table of Contents

Statements of Changes in Net Assets (concluded)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

 

  

 

 

      WisdomTree United Kingdom Hedged
Equity Fund
 
     

For the Six

Months Ended

September 30,
2017
(unaudited)

    

For the

Year Ended

March 31, 2017

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

  

Net investment income

   $ 398,244      $ 1,017,348  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

     (1,142,097      1,069,376  

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     1,193,299        3,089,831  

Net increase in net assets resulting from operations

     449,446        5,176,555  

DIVIDENDS AND DISTRIBUTIONS:

     

Net investment income

     (393,250      (913,136

Capital gains

            (3,638,511

Return of capital

            (187,114

Total dividends and distributions

     (393,250      (4,738,761

CAPITAL SHARE TRANSACTIONS:

     

Net proceeds from sale of shares

            3,632,623  

Cost of shares redeemed

     (3,646,356      (14,071,228

Net decrease in net assets resulting from capital share transactions

     (3,646,356      (10,438,605

Net Decrease in Net Assets

     (3,590,160      (10,000,811

NET ASSETS:

     

Beginning of period

   $ 17,901,288      $ 27,902,099  

End of period

   $ 14,311,128      $ 17,901,288  

Undistributed net investment income included in net assets at end of period

   $ 4,994      $  

SHARES CREATED AND REDEEMED:

     

Shares outstanding, beginning of period

     750,000        1,200,000  

Shares created

            150,000  

Shares redeemed

     (150,000      (600,000

Shares outstanding, end of period

     600,000        750,000  

 

See Notes to Financial Statements.

 

180   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Financial Highlights

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Australia Dividend Fund   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

  $ 55.81     $ 48.31     $ 54.04     $ 61.26     $ 64.33     $ 55.87  

Investment operations:

           

Net investment income1

    1.11       1.93       1.71       2.37       2.32       2.60  

Net realized and unrealized gain (loss)

    (0.34     7.68       (5.70     (7.40     (2.81     8.44  

Total from investment operations

    0.77       9.61       (3.99     (5.03     (0.49     11.04  

Dividends to shareholders:

           

Net investment income

    (1.12     (2.11     (1.74     (2.19     (2.58     (2.58

Net asset value, end of period

  $ 55.46     $ 55.81     $ 48.31     $ 54.04     $ 61.26     $ 64.33  

TOTAL RETURN2

    1.39     20.24     (7.17 )%      (8.30 )%      (0.59 )%      20.49

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 36,051     $ 36,274     $ 33,817     $ 48,638     $ 55,138     $ 77,193  

Ratios to average net assets of:

           

Expenses

    0.58 %3      0.58     0.58     0.59 %4      0.58 %3      0.58 %3 

Net investment income

    3.94 %3      3.73     3.58     4.09     3.86 %3      4.71 %3 

Portfolio turnover rate5

    27     30     41     26     27     31

 

             
WisdomTree Europe Hedged Equity
Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 20136
 

Net asset value, beginning of period

  $ 62.80     $ 52.04     $ 66.16     $ 56.40     $ 49.86     $ 43.93  

Investment operations:

           

Net investment income1

    0.91       1.70       1.29       1.14       1.31       0.89  

Net realized and unrealized gain (loss)

    2.14       10.59       (10.26     11.83       6.35       5.96  

Total from investment operations

    3.05       12.29       (8.97     12.97       7.66       6.85  

Dividends and distributions to shareholders:

           

Net investment income

    (1.17     (1.53     (1.35     (1.19     (1.12     (0.92

Capital gains

                (3.80     (2.02            

Total dividends and distributions to shareholders

    (1.17     (1.53     (5.15     (3.21     (1.12     (0.92

Net asset value, end of period

  $ 64.68     $ 62.80     $ 52.04     $ 66.16     $ 56.40     $ 49.86  

TOTAL RETURN2

    4.86     24.20     (13.85 )%      24.02     15.73     16.06

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 9,025,543     $ 9,300,174     $ 13,716,953     $ 17,544,485     $ 1,060,319     $ 164,527  

Ratios to average net assets of:

           

Expenses, net of expense waivers

    0.58 %3      0.58     0.58     0.59 %4      0.58 %3      0.58 %3,7 

Expenses, prior to expense waivers

    0.58 %3      0.58     0.58     0.59 %4      0.58 %3      0.73 %3,7 

Net investment income

    2.86 %3      3.13     2.19     1.91     2.43 %3      2.01 %3,7 

Portfolio turnover rate5

    13     24     29     12     28     43
1 

Based on average shares outstanding.

 

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree Europe Hedged Equity Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

5 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

6 

The information reflects the investment objective and strategy of the WisdomTree International Hedged Equity Fund through August 29, 2012 and the investment objective and strategy of the WisdomTree Europe Hedged Equity Fund thereafter.

 

7 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      181  


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Europe Hedged SmallCap Equity Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the Period
March 4, 2015*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 28.29      $ 23.90      $ 25.94      $ 24.87  

Investment operations:

           

Net investment income1

     0.63        0.81        0.61        0.13  

Net realized and unrealized gain (loss)

     2.27        4.25        (1.57      0.94  

Total from investment operations

     2.90        5.06        (0.96      1.07  

Dividends and distributions to shareholders:

           

Net investment income

     (0.46      (0.67      (1.02       

Capital gains

                   (0.06       

Total dividends and distributions to shareholders

     (0.46      (0.67      (1.08       

Net asset value, end of period

   $ 30.73      $ 28.29      $ 23.90      $ 25.94  

TOTAL RETURN2

     10.27      21.62      (3.79 )%       4.30

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 155,204      $ 155,594      $ 267,708      $ 125,829  

Ratios to average net assets of:

           

Expenses

     0.58 %3       0.58      0.58      0.58 %3 

Net investment income

     4.24 %3       3.27      2.47      6.87 %3 

Portfolio turnover rate4

     32      41      39      1

 

         
WisdomTree Europe Quality Dividend Growth Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the Period
May 7, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 23.17      $ 22.32      $ 23.18      $ 25.10  

Investment operations:

           

Net investment income1

     0.28        0.48        0.48        0.37  

Net realized and unrealized gain (loss)

     3.29        0.88        (0.89      (1.96

Total from investment operations

     3.57        1.36        (0.41      (1.59

Dividends to shareholders:

           

Net investment income

     (0.31      (0.51      (0.45      (0.33

Net asset value, end of period

   $ 26.43      $ 23.17      $ 22.32      $ 23.18  

TOTAL RETURN2

     15.44      6.24      (1.83 )%       (6.35 )% 

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 38,324      $ 17,377      $ 17,854      $ 11,591  

Ratios to average net assets of:

           

Expenses

     0.58 %3       0.58      0.58 %5       0.58 %3 

Net investment income

     2.21 %3       2.19      2.13      1.75 %3 

Portfolio turnover rate4

     27      35      54      21
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized.

 

3 

Annualized.

 

4 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

5 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

See Notes to Financial Statements.

 

182   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Europe SmallCap
Dividend Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

  $ 59.16     $ 57.01     $ 55.63     $ 62.23     $ 41.98     $ 38.22  

Investment operations:

           

Net investment income1

    1.38       2.04       1.45       1.94       0.73       1.32  

Net realized and unrealized gain (loss)

    10.26       2.32       1.49       (7.03     20.90       3.82  

Total from investment operations

    11.64       4.36       2.94       (5.09     21.63       5.14  

Dividends to shareholders:

           

Net investment income

    (1.49     (2.21     (1.56     (1.51     (1.38     (1.38

Net asset value, end of period

  $ 69.31     $ 59.16     $ 57.01     $ 55.63     $ 62.23     $ 41.98  

TOTAL RETURN2

    19.84     7.97     5.25     (8.26 )%      53.06     14.33

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 1,112,370     $ 774,999     $ 1,125,935     $ 853,874     $ 1,446,871     $ 60,874  

Ratios to average net assets3 of:

           

Expenses, net of expense waivers

    0.58 %4      0.58     0.58 %5      0.59 %6      0.58 %4      0.58 %4 

Expenses, prior to expense waivers

    0.58 %4      0.58     0.59 %5      0.59 %6      0.58 %4      0.58 %4 

Net investment income

    4.22 %4      3.68     2.59     3.40     1.29 %4      3.52 %4 

Portfolio turnover rate7

    35     45     50     42     24     48

 

           
WisdomTree Germany Hedged Equity Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the
Year Ended
March 31, 2015
    For the Period
October 17, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 30.40     $ 25.54      $ 31.38      $ 26.98     $ 25.01  

Investment operations:

            

Net investment income (loss)1

     0.80       0.84        0.60        0.16       (0.00 )8 

Net realized and unrealized gain (loss)

     1.18       4.99        (5.05      5.90       1.97  

Total from investment operations

     1.98       5.83        (4.45      6.06       1.97  

Dividends and distributions to shareholders:

            

Net investment income

     (0.86     (0.97      (0.73      (0.41      

Capital gains

                  (0.66      (1.25      

Total dividends and distributions to shareholders

     (0.86     (0.97      (1.39      (1.66      

Net asset value, end of period

   $ 31.52     $ 30.40      $ 25.54      $ 31.38     $ 26.98  

TOTAL RETURN2

     6.55     23.62      (14.44 )%       23.70     7.88

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 115,063     $ 124,648      $ 200,501      $ 291,816     $ 9,443  

Ratios to average net assets of:

            

Expenses

     0.48 %4      0.48      0.48      0.49 %9      0.48 %4 

Net investment income (loss)

     5.19 %4      3.14      2.18      0.55     (0.00 )%4,10 

Portfolio turnover rate7

     15     28      38      11     4
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree Europe SmallCap Dividend Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

Annualized.

 

5 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio (net of expense waivers) would have been 0.58% and the expense ratio (prior to expense waivers) would have been 0.58%.

 

6 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

7 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

8 

Amount represents less than $0.005.

 

9 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.48%.

 

10 

Amount represents less than 0.005%.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      183  


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Global ex-U.S. Hedged Dividend Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the Period
June 4, 2015*
through
March 31, 2016
 

Net asset value, beginning of period

   $ 24.63      $ 21.49      $ 24.76  

Investment operations:

        

Net investment income1

     0.47        0.72        0.42  

Net realized and unrealized gain (loss)

     1.10        2.96        (3.39

Total from investment operations

     1.57        3.68        (2.97

Dividends to shareholders:

        

Net investment income

     (0.27      (0.54      (0.30

Net asset value, end of period

   $ 25.93      $ 24.63      $ 21.49  

TOTAL RETURN2

     6.39      17.36      (12.02 )% 

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 7,778      $ 4,927      $ 4,299  

Ratios to average net assets of:

        

Expenses

     0.44 %3       0.44      0.44 %3,4 

Net investment income

     3.75 %3       3.15      2.29 %3 

Portfolio turnover rate5

     6      30      61

 

       
WisdomTree Global ex-U.S. Hedged Real Estate Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the Period
October 29, 2015*
through
March 31, 2016
 

Net asset value, beginning of period

   $ 25.84      $ 24.37      $ 24.79  

Investment operations:

        

Net investment income1

     0.64        0.95        0.28  

Net realized and unrealized gain (loss)

     2.82        1.90        (0.55

Total from investment operations

     3.46        2.85        (0.27

Dividends to shareholders:

        

Net investment income

     (0.95      (1.38      (0.15

Net asset value, end of period

   $ 28.35      $ 25.84      $ 24.37  

TOTAL RETURN2

     13.56      12.17 %6       (1.06 )% 

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 2,835      $ 2,584      $ 2,437  

Ratios to average net assets of:

        

Expenses, net of expense waivers

     0.43 %3       0.43      0.43 %3 

Expenses, prior to expense waivers

     0.58 %3       0.58      0.58 %3 

Net investment income

     4.63 %3       3.83      2.78 %3 

Portfolio turnover rate5

     8      28      4
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree Global ex-U.S. Hedged Real Estate Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

5 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

6 

Includes a voluntary reimbursement from the sub-advisor for investment losses on certain foreign exchange transactions during the year. Excluding this voluntary reimbursement, total return would have been unchanged.

 

See Notes to Financial Statements.

 

184   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree International
Dividend ex-Financials Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

  $ 39.72     $ 38.41     $ 43.79     $ 49.23     $ 42.13     $ 41.64  

Investment operations:

           

Net investment income1

    1.00       1.48       1.64       2.00       2.06       1.82  

Net realized and unrealized gain (loss)

    2.94       1.34       (5.41     (5.53     7.11       0.45  

Total from investment operations

    3.94       2.82       (3.77     (3.53     9.17       2.27  

Dividends to shareholders:

           

Net investment income

    (1.02     (1.51     (1.61     (1.91     (2.07     (1.78

Net asset value, end of period

  $ 42.64     $ 39.72     $ 38.41     $ 43.79     $ 49.23     $ 42.13  

TOTAL RETURN2

    10.00     7.56     (8.83 )%      (7.41 )%      22.58     5.98

RATIOS/SUPPLEMENTAL DATA:

 

         

Net assets, end of period (000’s omitted)

  $ 204,690     $ 200,568     $ 230,483     $ 324,083     $ 349,545     $ 349,681  

Ratios to average net assets3 of:

           

Expenses4

    0.58 %5      0.58     0.58 %6      0.59 %7      0.58 %5      0.58 %5 

Net investment income

    4.84 %5      3.86     3.99     4.23     4.54 %5      4.58 %5 

Portfolio turnover rate8

    34     30     40     44     36     50

 

             
WisdomTree International Equity
Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

  $ 49.57     $ 45.90     $ 51.67     $ 54.47     $ 47.77     $ 44.53  

Investment operations:

           

Net investment income1

    1.10       1.59       1.68       1.92       2.27       1.63  

Net realized and unrealized gain (loss)

    4.72       3.68       (5.79     (2.86     6.72       3.22  

Total from investment operations

    5.82       5.27       (4.11     (0.94     8.99       4.85  

Dividends to shareholders:

           

Net investment income

    (1.13     (1.60     (1.66     (1.86     (2.29     (1.61

Net asset value, end of period

  $ 54.26     $ 49.57     $ 45.90     $ 51.67     $ 54.47     $ 47.77  

TOTAL RETURN2

    11.83     11.75     (8.15 )%      (1.83 )%      19.43     11.42

RATIOS/SUPPLEMENTAL DATA:

 

         

Net assets, end of period (000’s omitted)

  $ 835,669     $ 703,948     $ 621,932     $ 645,832     $ 569,188     $ 458,607  

Ratios to average net assets3 of:

           

Expenses4

    0.48 %5      0.48     0.48 %6      0.49 %9      0.48 %5      0.48 %5 

Net investment income

    4.20 %5      3.41     3.47     3.63     4.41 %5      3.75 %5 

Portfolio turnover rate8

    20     14     13     19     21     20
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

5 

Annualized.

 

6 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

7 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

9 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.48%.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      185  


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree International Hedged Quality Dividend
Growth Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the Period
May 7, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 28.39      $ 25.73      $ 26.99      $ 24.90  

Investment operations:

           

Net investment income1

     0.32        0.56        0.71        0.90  

Net realized and unrealized gain (loss)

     2.07        2.80        (1.17      2.18  

Total from investment operations

     2.39        3.36        (0.46      3.08  

Dividends and distributions to shareholders:

           

Net investment income

     (0.18      (0.70      (0.55      (0.23

Capital gains

                   (0.25      (0.76

Total dividends and distributions to shareholders

     (0.18      (0.70      (0.80      (0.99

Net asset value, end of period

   $ 30.60      $ 28.39      $ 25.73      $ 26.99  

TOTAL RETURN2

     8.41      13.26      (1.73 )%       12.78

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 501,770      $ 479,727      $ 732,050      $ 206,452  

Ratios to average net assets of:

           

Expenses

     0.58 %3       0.58      0.58 %4       0.58 %3 

Net investment income

     2.12 %3       2.14      2.75      3.89 %3 

Portfolio turnover rate5

     37      53      48      14

 

             
WisdomTree International High
Dividend Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 40.39     $ 37.59      $ 43.28     $ 47.62     $ 41.39     $ 38.64  

Investment operations:

             

Net investment income1

     1.06       1.63        1.65       1.94       2.57       1.74  

Net realized and unrealized gain (loss)

     3.23       2.79        (5.70     (4.41     6.14       2.70  

Total from investment operations

     4.29       4.42        (4.05     (2.47     8.71       4.44  

Dividends to shareholders:

             

Net investment income

     (1.05     (1.62      (1.64     (1.87     (2.48     (1.69

Net asset value, end of period

   $ 43.63     $ 40.39      $ 37.59     $ 43.28     $ 47.62     $ 41.39  

TOTAL RETURN2

     10.73     12.09      (9.60 )%      (5.41 )%      21.82     12.08

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 325,027     $ 250,392      $ 257,467     $ 337,620     $ 304,753     $ 209,010  

Ratios to average net assets6 of:

             

Expenses7

     0.58 %3      0.58      0.58 %4      0.59 %8      0.58 %3      0.58 %3 

Net investment income

     5.01 %3      4.28      4.09     4.24     5.71 %3      4.58 %3 

Portfolio turnover rate5

     26     29      21     20     26     31
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree International High Dividend Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

5 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

6 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

7 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

8 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

See Notes to Financial Statements.

 

186   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree International
LargeCap Dividend Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 45.45     $ 42.14      $ 48.67     $ 51.68     $ 45.77     $ 42.89  

Investment operations:

             

Net investment income1

     1.02       1.54        1.59       1.88       2.35       1.59  

Net realized and unrealized gain (loss)

     4.12       3.32        (6.58     (3.09     5.79       2.84  

Total from investment operations

     5.14       4.86        (4.99     (1.21     8.14       4.43  

Dividends to shareholders:

             

Net investment income

     (1.05     (1.55      (1.54     (1.80     (2.23     (1.55

Net asset value, end of period

   $ 49.54     $ 45.45      $ 42.14     $ 48.67     $ 51.68     $ 45.77  

TOTAL RETURN2

     11.40     11.79      (10.49 )%      (2.47 )%      18.35     10.80

RATIOS/SUPPLEMENTAL DATA:

 

          

Net assets, end of period (000’s omitted)

   $ 406,187     $ 359,074      $ 366,613     $ 355,273     $ 315,276     $ 210,541  

Ratios to average net assets3 of:

             

Expenses4

     0.48 %5      0.48      0.48 %6      0.49 %7      0.48 %5      0.48 %5 

Net investment income

     4.26 %5      3.59      3.51     3.72     4.77 %5      3.77 %5 

Portfolio turnover rate8

     15     15      19     12     15     19

 

             
WisdomTree International
MidCap Dividend Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 59.88     $ 55.82      $ 58.65     $ 60.03     $ 51.77     $ 48.10  

Investment operations:

             

Net investment income1

     1.31       1.60        1.64       1.81       1.83       1.51  

Net realized and unrealized gain (loss)

     6.27       4.03        (2.85     (1.45     8.31       3.68  

Total from investment operations

     7.58       5.63        (1.21     0.36       10.14       5.19  

Dividends to shareholders:

             

Net investment income

     (1.31     (1.57      (1.62     (1.74     (1.88     (1.52

Net asset value, end of period

   $ 66.15     $ 59.88      $ 55.82     $ 58.65     $ 60.03     $ 51.77  

TOTAL RETURN2

     12.73     10.34      (2.12 )%      0.57     20.22     11.32

RATIOS/SUPPLEMENTAL DATA:

 

          

Net assets, end of period (000’s omitted)

   $ 234,820     $ 179,626      $ 153,512     $ 155,414     $ 141,082     $ 119,069  

Ratios to average net assets3 of:

             

Expenses4

     0.58 %5      0.58      0.58 %6      0.59 %9      0.58 %5      0.58 %5 

Net investment income

     4.07 %5      2.87      2.91     3.09     3.27 %5      3.23 %5 

Portfolio turnover rate8

     23     31      24     29     22     38
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

5 

Annualized.

 

6 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

7 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.48%.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

9 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      187  


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree International Quality Dividend Growth Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the Period
April 7, 2016*
through
March 31, 2017
 

Net asset value, beginning of period

   $ 26.14      $ 24.86  

Investment operations:

     

Net investment income1

     0.31        0.73  

Net realized and unrealized gain

     3.56        1.02  

Total from investment operations

     3.87        1.75  

Dividends to shareholders:

     

Net investment income

     (0.28      (0.47

Net asset value, end of period

   $ 29.73      $ 26.14  

TOTAL RETURN2

     14.82      7.12

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 14,866      $ 9,149  

Ratios to average net assets of:

     

Expenses, net of expense waivers

     0.38 %3       0.38 %3 

Expenses, prior to expense waivers

     0.48 %3       0.48 %3 

Net investment income

     2.18 %3       2.97 %3 

Portfolio turnover rate4

     43      38

 

             
WisdomTree International
SmallCap Dividend Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 65.18     $ 58.98      $ 59.21     $ 64.84     $ 55.38     $ 49.33  

Investment operations:

             

Net investment income1

     1.29       1.97        1.64       1.91       1.91       1.82  

Net realized and unrealized gain (loss)

     8.68       6.22        (0.31     (5.67     9.97       6.09  

Total from investment operations

     9.97       8.19        1.33       (3.76     11.88       7.91  

Dividends to shareholders:

             

Net investment income

     (1.50     (1.99      (1.56     (1.87     (2.42     (1.86

Net asset value, end of period

   $ 73.65     $ 65.18      $ 58.98     $ 59.21     $ 64.84     $ 55.38  

TOTAL RETURN2

     15.42     14.24      2.26     (5.87 )%      22.26     16.78

RATIOS/SUPPLEMENTAL DATA:

 

          

Net assets, end of period (000’s omitted)

   $ 1,679,291     $ 1,284,036      $ 1,099,977     $ 917,778     $ 923,997     $ 562,133  

Ratios to average net assets5 of:

             

Expenses6

     0.58 %3      0.58      0.58 %7      0.59 %8      0.58 %3      0.58 %3 

Net investment income

     3.68 %3      3.27      2.82     3.16     3.20 %3      3.76 %3 

Portfolio turnover rate4

     29     38      48     25     42     56
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

5 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

6 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

7 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

8 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

See Notes to Financial Statements.

 

188   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Japan Hedged Capital Goods Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 24.90     $ 21.04      $ 27.77     $ 24.11  

Investment operations:

         

Net investment income1

     0.24       0.66        0.45       0.38  

Net realized and unrealized gain (loss)

     2.72       3.49        (6.01     6.51  

Total from investment operations

     2.96       4.15        (5.56     6.89  

Dividends and distributions to shareholders:

         

Net investment income

     (1.31     (0.29      (0.36     (0.34

Capital gains

                  (0.81     (2.89

Total dividends and distributions to shareholders

     (1.31     (0.29      (1.17     (3.23

Net asset value, end of period

   $ 26.55     $ 24.90      $ 21.04     $ 27.77  

TOTAL RETURN2

     12.43     20.06      (20.72 )%      29.47

RATIOS/SUPPLEMENTAL DATA:

         

Net assets, end of period (000’s omitted)

   $ 5,309     $ 27,395      $ 3,156     $ 2,777  

Ratios to average net assets of:

         

Expenses, net of expense waivers

     0.48 %3      0.48      0.47 %4      0.43 %3 

Expenses, prior to expense waivers

     0.48 %3      0.48      0.48     0.48 %3 

Net investment income

     1.93 %3      2.73      1.79     1.47 %3 

Portfolio turnover rate5

     9     12      13     35

 

             
WisdomTree Japan Hedged Equity Fund   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

  $ 50.40     $ 43.85     $ 55.03     $ 47.50     $ 42.95     $ 36.66  

Investment operations:

           

Net investment income1

    0.46       0.86       0.80       0.91       0.88       1.54  

Net realized and unrealized gain (loss)

    4.73       6.67       (9.00     12.34       4.91       5.30  

Total from investment operations

    5.19       7.53       (8.20     13.25       5.79       6.84  

Dividends and distributions to shareholders:

           

Net investment income

    (0.88     (0.98     (0.76     (0.94     (0.62     (0.55

Capital gains

                (2.22     (4.78     (0.62      

Total dividends and distributions to shareholders

    (0.88     (0.98     (2.98     (5.72     (1.24     (0.55

Net asset value, end of period

  $ 54.71     $ 50.40     $ 43.85     $ 55.03     $ 47.50     $ 42.95  

TOTAL RETURN2

    10.40     17.45     (15.64 )%      29.30     13.48     19.12

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 8,222,363     $ 8,411,670     $ 9,737,132     $ 15,806,850     $ 11,441,824     $ 5,632,633  

Ratios to average net assets of:

           

Expenses

    0.48 %3      0.48     0.48     0.49 %6      0.48 %3      0.48 %3 

Net investment income

    1.78 %3      1.91     1.52     1.81     1.84 %3      4.22 %3 

Portfolio turnover rate5

    15     37     27     31     24     36
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree Japan Hedged Capital Goods Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

During the period, the investment advisor had contractually agreed to limit the advisory fee to 0.43% through July 31, 2015. On July 31, 2015, the contractual waiver expired and was not renewed.

 

5 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

6 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.48%.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      189  


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Japan Hedged Financials Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 23.51      $ 19.76      $ 26.29      $ 23.83  

Investment operations:

           

Net investment income1

     0.13        0.49        0.39        0.45  

Net realized and unrealized gain (loss)

     0.96        3.57        (6.72      5.44  

Total from investment operations

     1.09        4.06        (6.33      5.89  

Dividends and distributions to shareholders:

           

Net investment income

     (0.42      (0.31      (0.15      (0.22

Capital gains

                   (0.05      (3.21

Total dividends and distributions to shareholders

     (0.42      (0.31      (0.20      (3.43

Net asset value, end of period

   $ 24.18      $ 23.51      $ 19.76      $ 26.29  

TOTAL RETURN2

     4.67      20.99      (24.30 )%       25.94

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 19,340      $ 35,258      $ 12,846      $ 7,887  

Ratios to average net assets of:

           

Expenses, net of expense waivers

     0.48 %3       0.48      0.47 %4       0.43 %3 

Expenses, prior to expense waivers

     0.48 %3       0.48      0.48      0.48 %3 

Net investment income

     1.06 %3       2.16      1.46      1.80 %3 

Portfolio turnover rate5

     29      20      21      29

 

         
WisdomTree Japan Hedged Health Care Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 32.26      $ 32.61      $ 31.01      $ 24.20  

Investment operations:

           

Net investment income1

     0.18        0.28        0.43        0.32  

Net realized and unrealized gain (loss)

     2.40        (0.03      1.49        10.50  

Total from investment operations

     2.58        0.25        1.92        10.82  

Dividends and distributions to shareholders:

           

Net investment income

     (0.71      (0.60      (0.18      (0.13

Capital gains

                   (0.14      (3.88

Total dividends and distributions to shareholders

     (0.71      (0.60      (0.32      (4.01

Net asset value, end of period

   $ 34.13      $ 32.26      $ 32.61      $ 31.01  

TOTAL RETURN2

     8.03      0.79      6.16      48.27

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 5,120      $ 4,839      $ 17,934      $ 3,101  

Ratios to average net assets of:

           

Expenses, net of expense waivers

     0.48 %3       0.48      0.48 %4       0.43 %3 

Expenses, prior to expense waivers

     0.48 %3       0.48      0.48      0.48 %3 

Net investment income

     1.11 %3       0.87      1.32      1.24 %3 

Portfolio turnover rate5

     8      27      25      29
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

During the period, the investment advisor had contractually agreed to limit the advisory fee to 0.43% through July 31, 2015. On July 31, 2015, the contractual waiver expired and was not renewed.

 

5 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

See Notes to Financial Statements.

 

190   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Japan Hedged Quality Dividend Growth Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the Period
April 9, 2015*
through
March 31, 2016
 

Net asset value, beginning of period

   $ 24.65      $ 22.37      $ 25.59  

Investment operations:

        

Net investment income1

     0.23        0.41        0.45  

Net realized and unrealized gain (loss)

     2.65        2.37        (3.43

Total from investment operations

     2.88        2.78        (2.98

Dividends to shareholders:

        

Net investment income

     (0.31      (0.50      (0.24

Net asset value, end of period

   $ 27.22      $ 24.65      $ 22.37  

TOTAL RETURN2

     11.74      12.60      (11.73 )% 

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 13,609      $ 12,326      $ 15,657  

Ratios to average net assets of:

        

Expenses, net of expense waivers

     0.43 %3       0.43      0.43 %3 

Expenses, prior to expense waivers

     0.48 %3       0.48      0.48 %3 

Net investment income

     1.75 %3       1.77      1.88 %3 

Portfolio turnover rate4

     28      37      40

 

         
WisdomTree Japan Hedged Real Estate Fund    For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 13.27      $ 25.81      $ 27.81      $ 24.32  

Investment operations:

           

Net investment income1

     0.12        0.28        0.63        0.42  

Net realized and unrealized gain (loss)

     1.31        0.25        (1.21      4.98  

Total from investment operations

     1.43        0.53        (0.58      5.40  

Dividends and distributions to shareholders:

           

Net investment income

     (0.04      (13.07      (0.48      (0.21

Capital gains

                   (0.94      (1.70

Total dividends and distributions to shareholders

     (0.04      (13.07      (1.42      (1.91

Net asset value, end of period

   $ 14.66      $ 13.27      $ 25.81      $ 27.81  

TOTAL RETURN2

     10.74      (0.02 )%       (2.21 )%       22.59

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 4,397      $ 4,644      $ 150,993      $ 31,979  

Ratios to average net assets of:

           

Expenses, net of expense waivers

     0.48 %3       0.48      0.47 %5       0.43 %3 

Expenses, prior to expense waivers

     0.48 %3       0.48      0.48      0.48 %3 

Net investment income

     1.70 %3       1.15      2.43      1.59 %3 

Portfolio turnover rate4

     5      22      14      20
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

5 

During the period, the investment advisor had contractually agreed to limit the advisory fee to 0.43% through July 31, 2015. On July 31, 2015, the contractual waiver expired and was not renewed.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      191  


Table of Contents

Financial Highlights (continued)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Japan Hedged SmallCap Equity
Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
June 28, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 37.28     $ 31.24      $ 33.65     $ 29.08     $ 26.17  

Investment operations:

           

Net investment income1

     0.24       0.70        0.41       0.47       0.59  

Net realized and unrealized gain (loss)

     5.51       5.94        (1.59     6.74       2.38  

Total from investment operations

     5.75       6.64        (1.18     7.21       2.97  

Dividends and distributions to shareholders:

           

Net investment income

     (0.54     (0.60      (0.35     (0.41     (0.06

Capital gains

                  (0.88     (2.23      

Total dividends and distributions to shareholders

     (0.54     (0.60      (1.23     (2.64     (0.06

Net asset value, end of period

   $ 42.49     $ 37.28      $ 31.24     $ 33.65     $ 29.08  

TOTAL RETURN2

     15.54     21.64      (3.83 )%3      25.86     11.37

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 140,230     $ 115,561      $ 90,584     $ 117,762     $ 75,614  

Ratios to average net assets of:

           

Expenses

     0.58 %4      0.58      0.58     0.59 %5      0.58 %4 

Net investment income

     1.22 %4      2.11      1.20     1.52     2.75 %4 

Portfolio turnover rate6

     25     48      45     41     19

 

             
WisdomTree Japan SmallCap
Dividend Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 66.48     $ 55.30      $ 54.09      $ 50.28     $ 48.84     $ 45.45  

Investment operations:

              

Net investment income1

     0.49       1.11        0.91        0.71       0.72       0.78  

Net realized and unrealized gain

     8.47       11.16        1.00        3.89       1.84       3.58  

Total from investment operations

     8.96       12.27        1.91        4.60       2.56       4.36  

Dividends to shareholders:

              

Net investment income

     (0.64     (1.09      (0.70      (0.79     (1.12     (0.97

Net asset value, end of period

   $ 74.80     $ 66.48      $ 55.30      $ 54.09     $ 50.28     $ 48.84  

TOTAL RETURN2

     13.54     22.43      3.51      9.26     5.41     9.97

RATIOS/SUPPLEMENTAL DATA:

              

Net assets, end of period (000’s omitted)

   $ 605,896     $ 475,304      $ 423,031      $ 286,651     $ 284,106     $ 192,914  

Ratios to average net assets7 of:

              

Expenses8

     0.58 %4      0.58      0.58      0.59 %5      0.58 %4      0.58 %4 

Net investment income

     1.38 %4      1.84      1.65      1.40     1.44 %4      1.84 %4 

Portfolio turnover rate6

     17     33      29      36     21     41
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree Japan SmallCap Dividend Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Includes a voluntary reimbursement from the sub-advisor for investment losses on certain foreign exchange transactions during the period. Excluding this voluntary reimbursement, total return would have been 0.95% lower.

 

4 

Annualized.

 

5 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

6 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

7 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

8 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

See Notes to Financial Statements.

 

192   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Financial Highlights (concluded)

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree United Kingdom
Hedged Equity Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the
Year Ended
March 31, 2015
     For the Period
June 28, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 23.87      $ 23.25      $ 25.82      $ 25.52      $ 24.99  

Investment operations:

              

Net investment income1

     0.59        1.01        1.08        0.97        1.40  

Net realized and unrealized gain (loss)

     0.03        4.30        (2.42      0.23        0.91  

Total from investment operations

     0.62        5.31        (1.34      1.20        2.31  

Dividends and distributions to shareholders:

              

Net investment income

     (0.64      (0.99      (0.92      (0.90      (1.78

Capital gains

            (3.51      (0.31              

Return of capital

            (0.19                     

Total dividends and distributions to shareholders

     (0.64      (4.69      (1.23      (0.90      (1.78

Net asset value, end of period

   $ 23.85      $ 23.87      $ 23.25      $ 25.82      $ 25.52  

TOTAL RETURN2

     2.61      24.74      (5.15 )%       4.71      9.36

RATIOS/SUPPLEMENTAL DATA:

              

Net assets, end of period (000’s omitted)

   $ 14,311      $ 17,901      $ 27,902      $ 28,407      $ 16,590  

Ratios to average net assets of:

              

Expenses

     0.48 %3       0.48      0.49 %4       0.49 %5       0.48 %3 

Net investment income

     4.87 %3       4.09      4.45      3.75      6.98 %3 

Portfolio turnover rate6

     20      44      30      20      12
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized.

 

3 

Annualized.

 

4 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been 0.48%.

 

5 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.48%.

 

6 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

See Notes to Financial Statements.

 

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Table of Contents

Notes to Financial Statements (unaudited)

 

1. ORGANIZATION

WisdomTree Trust (the “Trust”) is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Delaware statutory trust on December 15, 2005. As of September 30, 2017, the Trust consisted of 86 operational investment funds (each a “Fund”, collectively, the “Funds”). In accordance with Accounting Standards Update (“ASU”) 2013-08, Financial Services-Investment Companies, each Fund listed below qualifies as an investment company and is applying the accounting and reporting guidance for investment companies. These notes relate only to the Funds listed in the table below:

 

Fund    Commencement
of Operations
 

WisdomTree Australia Dividend Fund (“Australia Dividend Fund”)

     June 16, 2006  

WisdomTree Europe Hedged Equity Fund (“Europe Hedged Equity Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     December 31, 2009  

WisdomTree Europe Hedged SmallCap Equity Fund (“Europe Hedged SmallCap Equity Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     March 4, 2015  

WisdomTree Europe Quality Dividend Growth Fund (“Europe Quality Dividend Growth Fund’’)

     May 7, 2014  

WisdomTree Europe SmallCap Dividend Fund (“Europe SmallCap Dividend Fund”)

     June 16, 2006  

WisdomTree Germany Hedged Equity Fund (“Germany Hedged Equity Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     October 17, 2013  

WisdomTree Global ex-U.S. Hedged Dividend Fund (“Global ex-U.S. Hedged Dividend Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     June 4, 2015  

WisdomTree Global ex-U.S. Hedged Real Estate Fund (“Global ex-U.S. Hedged Real Estate Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     October 29, 2015  

WisdomTree International Dividend ex-Financials Fund (“International Dividend ex-Financials Fund”)

     June 16, 2006  

WisdomTree International Equity Fund (“International Equity Fund”)

     June 16, 2006  

WisdomTree International Hedged Quality Dividend Growth Fund (“International Hedged Quality Dividend Growth Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     May 7, 2014  

WisdomTree International High Dividend Fund (“International High Dividend Fund”)

     June 16, 2006  

WisdomTree International LargeCap Dividend Fund (“International LargeCap Dividend Fund”)

     June 16, 2006  

WisdomTree International MidCap Dividend Fund (“International MidCap Dividend Fund”)

     June 16, 2006  

WisdomTree International Quality Dividend Growth Fund (“International Quality Dividend Growth Fund”)

     April 7, 2016  

WisdomTree International SmallCap Dividend Fund (“International SmallCap Dividend Fund”)

     June 16, 2006  

WisdomTree Japan Hedged Capital Goods Fund (“Japan Hedged Capital Goods Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     April 8, 2014  

WisdomTree Japan Hedged Equity Fund (“Japan Hedged Equity Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     June 16, 2006  

WisdomTree Japan Hedged Financials Fund (“Japan Hedged Financials Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     April 8, 2014  

WisdomTree Japan Hedged Health Care Fund (“Japan Hedged Health Care Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     April 8, 2014  

WisdomTree Japan Hedged Quality Dividend Growth Fund (“Japan Hedged Quality Dividend Growth Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     April 9, 2015  

WisdomTree Japan Hedged Real Estate Fund (“Japan Hedged Real Estate Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     April 8, 2014  

WisdomTree Japan Hedged SmallCap Equity Fund (“Japan Hedged SmallCap Equity Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     June 28, 2013  

WisdomTree Japan SmallCap Dividend Fund (“Japan SmallCap Dividend Fund”)

     June 16, 2006  

WisdomTree United Kingdom Hedged Equity Fund (“United Kingdom Hedged Equity Fund” and also referred to herein as “Currency Hedged Equity Fund”)

     June 28, 2013  

Each Fund seeks to track the price and yield performance, before fees and expenses, of a particular index (“Index”) developed by WisdomTree Investments, Inc. (“WisdomTree Investments”). WisdomTree Investments is the parent company of WisdomTree Asset Management, Inc. (“WTAM”), the investment adviser to each Fund and the Trust. “WisdomTree” is a registered trademark of WisdomTree Investments and has been licensed for use by the Trust. Each Fund described herein is considered to be non-diversified.

In the normal course of business, the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds’ maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and believes such exposure to be remote.

 

194   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


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Notes to Financial Statements (unaudited) (continued)

 

2. SIGNIFICANT ACCOUNTING POLICIES

The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (the “Codification”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission (“SEC”) under authority of federal laws are also sources of authoritative GAAP for SEC registrants.

The following is a summary of significant accounting policies followed by the Funds:

Use of Estimates — The preparation of financial statements in conformity with GAAP, requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates.

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 or large investors 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 or system on which they are principally traded. Unlisted equity securities (including preferred stock) are valued at the last quoted sale price or, if no sale price is available, at the mean between the highest bid and lowest ask price. 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. Fixed income securities (including short-term debt securities with remaining maturities of 60 days or less), if any, 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 broker-dealers yields and quoted prices on similar securities, and market sentiment for the type of security. Foreign currency contracts are valued daily using WM/Reuters closing spot and forward rates as of 4:00 p.m. London time, except for the Global ex-U.S. Hedged Dividend Growth Fund and Global ex-U.S. Hedged Real Estate Fund, which values forward foreign currency contracts daily using WM/Reuters closing spot and forward rates as of 2:00 p.m. Singapore time. 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.

In certain instances, such as when reliable market valuations are not readily available or are not deemed to reflect current market values, a Fund’s investments, which include derivatives, will be fair valued in accordance with the Fund’s pricing policy. The Board of Trustees has established a pricing committee (the “Pricing Committee”) which is comprised of senior representatives of WTAM and which 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 a national securities exchange, independent pricing service provider or broker-dealer quotation, or such prices are deemed to not reflect current market value, the Pricing Committee 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.

Fair Value Measurement — In accordance with Codification Topic 820 (“ASC 820”), Fair Value Measurements and Disclosures, fair value is defined as the price that each Fund would receive upon selling an investment in an orderly transaction to an independent buyer in the principal or most advantageous market of the investment. 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

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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 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 on 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, 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. Over-the-counter financial derivative instruments derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These instruments are normally valued on the basis of broker-dealer quotations or prices obtained from independent pricing service providers. Depending on the product and the terms of the transaction, the value of the financial derivative instruments can be estimated by an independent pricing service provider using a series of techniques including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as issuer details, indices, credit risks/spreads, interest rates, yield curves, default and exchange rates. Derivative contracts that use 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 Pricing Committee may include significant unobservable inputs and therefore would be reflected as a Level 3 of the fair value hierarchy. The Pricing Committee 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 Pricing Committee may also use an income-based valuation approach in which anticipated future cash flows of the financial instrument are discounted to calculate fair value. The Pricing Committee meets at least on a monthly basis to review and discuss the appropriateness of such fair values using more current information such as, recent security news, recent market transactions, updated corporate action information and/or other macro or security specific events. Also, when observable inputs become available, the Pricing Committee conducts back testing of the methodologies used to value Level 3 financial instruments to substantiate the unobservable inputs used to value those investments. Such back testing includes comparing Level 3 investment values to observable inputs such as exchange-traded prices, transaction prices, and/or vendor prices.

The following is a summary of the fair valuations according to the inputs used as of September 30, 2017 in valuing each Fund’s assets:

 

Australia Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 35,782,330      $      $  

Investment of Cash Collateral for Securities Loaned

            3,444,532         

Total

   $ 35,782,330      $ 3,444,532      $  

Unrealized Depreciation on Foreign Currency Contracts

            (8       

Total - Net

   $ 35,782,330      $ 3,444,524      $  

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

 

Europe Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 8,982,558,041      $      $  

Investment of Cash Collateral for Securities Loaned

            26,291,802         

Total

   $ 8,982,558,041      $ 26,291,802      $  

Unrealized Appreciation on Foreign Currency Contracts

            47,222,943         

Unrealized Depreciation on Foreign Currency Contracts

            (8,619,288       

Total - Net

   $ 8,982,558,041      $ 64,895,457      $  
        
Europe Hedged SmallCap Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 155,024,187      $      $  

Investment of Cash Collateral for Securities Loaned

            3,273,457         

Total

   $ 155,024,187      $ 3,273,457      $  

Unrealized Appreciation on Foreign Currency Contracts

            1,070,452         

Unrealized Depreciation on Foreign Currency Contracts

            (7,014       

Total - Net

   $ 155,024,187      $ 4,336,895      $  
        
Europe Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 38,245,514      $      $  

Investment of Cash Collateral for Securities Loaned

            63,895         

Total

   $ 38,245,514      $ 63,895      $  

Unrealized Appreciation on Foreign Currency Contracts

            50         

Total - Net

   $ 38,245,514      $ 63,945      $  
        
Europe SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,108,958,703      $      $  

Rights

     122,643                

Exchange-Traded Fund

     512,267                

Investment of Cash Collateral for Securities Loaned

            84,102,116         

Total

   $ 1,109,593,613      $ 84,102,116      $  

Unrealized Appreciation on Foreign Currency Contracts

            41         

Unrealized Depreciation on Foreign Currency Contracts

            (125       

Total - Net

   $ 1,109,593,613      $ 84,102,032      $  
        
Germany Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 114,356,689      $      $  

Investment of Cash Collateral for Securities Loaned

            1,422,824         

Total

   $ 114,356,689      $ 1,422,824      $  

Unrealized Appreciation on Foreign Currency Contracts

            823,722         

Unrealized Depreciation on Foreign Currency Contracts

            (66,948       

Total - Net

   $ 114,356,689      $ 2,179,598      $  
        
Global ex-U.S. Hedged Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 7,593,982      $      $  

Exchange-Traded Note

     128,174                

Investment of Cash Collateral for Securities Loaned

            964         

Total

   $ 7,722,156      $ 964      $  

Unrealized Appreciation on Foreign Currency Contracts

            76,371         

Unrealized Depreciation on Foreign Currency Contracts

            (44,258       

Total - Net

   $ 7,722,156      $ 33,077      $  

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

 

Global ex-U.S. Hedged Real Estate Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 2,814,309      $      $  

Rights

            595         

Warrants*

            1,252         

Exchange-Traded Note

     633                

Investment of Cash Collateral for Securities Loaned

            92,258         

Total

   $ 2,814,942      $ 94,105      $  

Unrealized Appreciation on Foreign Currency Contracts

            15,928         

Unrealized Depreciation on Foreign Currency Contracts

            (9,278       

Total - Net

   $ 2,814,942      $ 100,755      $  
        
International Dividend ex-Financials Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 202,790,834      $      $  

Exchange-Traded Fund

     975,296                

Investment of Cash Collateral for Securities Loaned

            42,585         

Total

   $ 203,766,130      $ 42,585      $  

Unrealized Depreciation on Foreign Currency Contracts

            (264       

Total - Net

   $ 203,766,130      $ 42,321      $  
        
International Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 832,470,656      $      $  

Rights

     42,716                

Investment of Cash Collateral for Securities Loaned

            6,443,084         

Total

   $ 832,513,372      $ 6,443,084      $  

Unrealized Appreciation on Foreign Currency Contracts

            3         

Unrealized Depreciation on Foreign Currency Contracts

            (526       

Total - Net

   $ 832,513,372      $ 6,442,561      $  
        
International Hedged Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 498,559,399      $      $  

Investment of Cash Collateral for Securities Loaned

            2,270,062         

Total

   $ 498,559,399      $ 2,270,062      $  

Unrealized Appreciation on Foreign Currency Contracts

            4,912,992         

Unrealized Depreciation on Foreign Currency Contracts

            (3,729,797       

Total - Net

   $ 498,559,399      $ 3,453,257      $  
        
International High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 323,970,488      $      $  

Investment of Cash Collateral for Securities Loaned

            3,859,071         

Total

   $ 323,970,488      $ 3,859,071      $  

Unrealized Depreciation on Foreign Currency Contracts

            (10       

Total - Net

   $ 323,970,488      $ 3,859,061      $  

 

198   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

 

International LargeCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 403,979,651      $      $  

Exchange-Traded Fund

     822,293                

Investment of Cash Collateral for Securities Loaned

            1,791,492         

Total

   $ 404,801,944      $ 1,791,492      $  

Unrealized Appreciation on Foreign Currency Contracts

            7         

Unrealized Depreciation on Foreign Currency Contracts

            (36       

Total - Net

   $ 404,801,944      $ 1,791,463      $  
        
International MidCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 233,706,374      $      $  

Investment of Cash Collateral for Securities Loaned

            3,898,099         

Total

   $ 233,706,374      $ 3,898,099      $  
        
International Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 14,819,016      $      $  

Investment of Cash Collateral for Securities Loaned

            121,556         

Total

   $ 14,819,016      $ 121,556      $  

Unrealized Depreciation on Foreign Currency Contracts

            (9       

Total - Net

   $ 14,819,016      $ 121,547      $  
        
International SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Australia

   $ 210,482,179      $ 1,617,100      $ 49,880 ** 

Japan

     425,781,304        550,917         

Other*

     1,030,316,940                

Rights

     99,924                

Exchange-Traded Funds

     3,348,560                

Investment of Cash Collateral for Securities Loaned

            108,787,957         

Total

   $ 1,670,028,907      $ 110,955,974      $ 49,880  
        
Japan Hedged Capital Goods Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 5,259,729      $      $  

Investment of Cash Collateral for Securities Loaned

            15,966         

Total

   $ 5,259,729      $ 15,966      $  

Unrealized Appreciation on Foreign Currency Contracts

            116,464         

Unrealized Depreciation on Foreign Currency Contracts

            (341       

Total - Net

   $ 5,259,729      $ 132,089      $  
        
Japan Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Communications Equipment

   $ 5,647,510      $ 995,888      $  

Other*

     8,127,252,124                

Investment of Cash Collateral for Securities Loaned

            140,253,869         

Total

   $ 8,132,899,634      $ 141,249,757      $  

Unrealized Appreciation on Foreign Currency Contracts

            170,427,175         

Unrealized Depreciation on Foreign Currency Contracts

            (12,395,593       

Total - Net

   $ 8,132,899,634      $ 299,281,339      $  

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

 

Japan Hedged Financials Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 19,112,127      $      $  

Investment of Cash Collateral for Securities Loaned

            420,330         

Total

   $ 19,112,127      $ 420,330      $  

Unrealized Appreciation on Foreign Currency Contracts

            503,737         

Unrealized Depreciation on Foreign Currency Contracts

            (35,903       

Total - Net

   $ 19,112,127      $ 888,164      $  
        
Japan Hedged Health Care Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 5,080,526      $      $  

Investment of Cash Collateral for Securities Loaned

            4,905         

Total

   $ 5,080,526      $ 4,905      $  

Unrealized Appreciation on Foreign Currency Contracts

            116,836         

Unrealized Depreciation on Foreign Currency Contracts

            (326       

Total - Net

   $ 5,080,526      $ 121,415      $  
        
Japan Hedged Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 13,481,846      $      $  

Investment of Cash Collateral for Securities Loaned

            64,048         

Total

   $ 13,481,846      $ 64,048      $  

Unrealized Appreciation on Foreign Currency Contracts

            306,234         

Unrealized Depreciation on Foreign Currency Contracts

            (873       

Total - Net

   $ 13,481,846      $ 369,409      $  
        
Japan Hedged Real Estate Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 4,358,371      $      $  

Investment of Cash Collateral for Securities Loaned

            14,134         

Total

   $ 4,358,371      $ 14,134      $  

Unrealized Appreciation on Foreign Currency Contracts

            100,432         

Unrealized Depreciation on Foreign Currency Contracts

            (281       

Total - Net

   $ 4,358,371      $ 114,285      $  
        
Japan Hedged SmallCap Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 139,079,284      $      $  

Investment of Cash Collateral for Securities Loaned

            10,245,789         

Total

   $ 139,079,284      $ 10,245,789      $  

Unrealized Appreciation on Foreign Currency Contracts

            3,243,301         

Unrealized Depreciation on Foreign Currency Contracts

            (21,449       

Total - Net

   $ 139,079,284      $ 13,467,641      $  
        
Japan SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 601,095,654      $      $  

Exchange-Traded Fund

     240,242                

Investment of Cash Collateral for Securities Loaned

            35,755,309         

Total

   $ 601,335,896      $ 35,755,309      $  

Unrealized Appreciation on Foreign Currency Contracts

            222         

Total - Net

   $ 601,335,896      $ 35,755,531      $  

 

200   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

 

United Kingdom Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 14,328,852      $      $  

Investment of Cash Collateral for Securities Loaned

            4,741         

Total

   $ 14,328,852      $ 4,741      $  

Unrealized Appreciation on Foreign Currency Contracts

            320         

Unrealized Depreciation on Foreign Currency Contracts

            (585,477       

Total - Net

   $ 14,328,852      $ (580,416    $  
* Please refer to the Schedule of Investments for a breakdown of the valuation by industry type and/or country.

 

** Security is being fair valued using significant unobservable inputs by the Pricing Committee.

The Funds have elected to use the beginning of period method for transfers between fair value measurement levels.

During the six months ended September 30, 2017, International SmallCap Dividend Fund transferred securities with a fair value of $482,803 from Level 1 to Level 2 primarily due to the unavailability of a quoted price in an active market for identical investments.

During the six months ended September 30, 2017, there were no significant transfers into or out of Level 3 of the fair value hierarchy.

Derivatives and Hedging Disclosure — Codification Topic 815 (“ASC 815”), Derivatives and Hedging, requires qualitative disclosures about objectives and strategies for using derivatives, quantitative disclosures about fair value amounts of gains and losses on derivative instruments, and disclosures about credit-risk-related contingent features in derivative agreements. The Funds have invested in derivatives, specifically foreign currency contracts during the period ended September 30, 2017 and open positions in such derivatives as of September 30, 2017 are detailed in each Fund’s Schedule of Investments. All of the derivative instruments disclosed and described herein are subject to risk. Risks may arise upon entering into foreign currency contracts from potential inability of a counterparty to meet the terms of their contracts and from unanticipated movements in the value of the foreign currencies relative to the U.S. dollar or each other. The Funds’ derivative agreements also contain credit-risk related contingent features which include, but are not limited to, a percentage decline in the Funds’ NAV over a specified time period. If an event occurred at September 30, 2017 that triggered a contingent feature, the counterparty to the agreement may require the Funds to post additional collateral or terminate the derivative positions and demand payment. Any collateral posted with respect to the derivative positions would be used to offset or reduce the payment. The maximum exposure to derivatives agreements with credit-risk related contingent features would be the total value of derivatives in net liability positions for each Fund, as disclosed on pages 208 and 209. At September 30, 2017, the Funds did not receive or post collateral with any counterparty for derivatives and no event occurred that triggered a credit-risk-related contingent feature. Information with respect to the amounts and types of collateral received and/or posted for derivative instruments as of September 30, 2017, if any, is reflected as a footnote below the respective derivatives tables on each Fund’s Schedule of Investments.

As of September 30, 2017, the effects of such derivative instruments on each Fund’s financial position as reflected in the Statements of Assets and Liabilities are presented in the summary below:

 

Fund    Asset Derivatives      Liability Derivatives  
   Balance Sheet Location    Value      Balance Sheet Location    Value  

Australia Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts    $      Unrealized depreciation on foreign currency contracts    $ 8  

Europe Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      47,222,943      Unrealized depreciation on foreign currency contracts      8,619,288  

Europe Hedged SmallCap Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      1,070,452      Unrealized depreciation on foreign currency contracts      7,014  

Europe Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      50      Unrealized depreciation on foreign currency contracts       

Europe SmallCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      41      Unrealized depreciation on foreign currency contracts      125  

Germany Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      823,722      Unrealized depreciation on foreign currency contracts      66,948  

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      201  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Asset Derivatives      Liability Derivatives  
   Balance Sheet Location    Value      Balance Sheet Location    Value  

Global ex-U.S. Hedged Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts    $ 76,371      Unrealized depreciation on foreign currency contracts    $ 44,258  

Global ex-U.S. Hedged Real Estate Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      15,928      Unrealized depreciation on foreign currency contracts      9,278  

International Dividend ex-Financials Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts           Unrealized depreciation on foreign currency contracts      264  

International Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      3      Unrealized depreciation on foreign currency contracts      526  

International Hedged Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      4,912,992      Unrealized depreciation on foreign currency contracts      3,729,797  

International High Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts           Unrealized depreciation on foreign currency contracts      10  

International LargeCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      7      Unrealized depreciation on foreign currency contracts      36  

International Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts           Unrealized depreciation on foreign currency contracts      9  

Japan Hedged Capital Goods Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      116,464      Unrealized depreciation on foreign currency contracts      341  

Japan Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      170,427,175      Unrealized depreciation on foreign currency contracts      12,395,593  

Japan Hedged Financials Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      503,737      Unrealized depreciation on foreign currency contracts      35,903  

Japan Hedged Health Care Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      116,836      Unrealized depreciation on foreign currency contracts      326  

Japan Hedged Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      306,234      Unrealized depreciation on foreign currency contracts      873  

Japan Hedged Real Estate Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      100,432      Unrealized depreciation on foreign currency contracts      281  

Japan Hedged SmallCap Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      3,243,301      Unrealized depreciation on foreign currency contracts      21,449  

Japan SmallCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      222      Unrealized depreciation on foreign currency contracts       

United Kingdom Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts      320      Unrealized depreciation on foreign currency contracts      585,477  

 

202   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

For the six months ended September 30, 2017, the effects of derivative instruments on each Fund’s financial performance as reflected in the Statements of Operations are presented in the summary below:

 

Fund    Amount of Realized Gain
or (Loss) on  Derivatives
Recognized1
     Change in Unrealized
Appreciation or
(Depreciation)  on
Derivatives Recognized2
 

Australia Dividend Fund

     

Foreign exchange contracts

   $ 71      $ (28

Europe Hedged Equity Fund

     

Foreign exchange contracts

     (967,775,556      96,643,659  

Equity contracts

     888,111         

Europe Hedged SmallCap Equity Fund

     

Foreign exchange contracts

     (16,061,827      1,960,115  

Europe Quality Dividend Growth Fund

     

Foreign exchange contracts

     (23      50  

Europe SmallCap Dividend Fund

     

Foreign exchange contracts

     (15,033      549  

Germany Hedged Equity Fund

     

Foreign exchange contracts

     (12,901,605      1,360,787  

Global ex-U.S. Hedged Dividend Fund

     

Foreign exchange contracts

     (230,525      45,229  

Global ex-U.S. Hedged Real Estate Fund

     

Foreign exchange contracts

     (76,364      6,188  

International Dividend ex-Financials Fund

     

Foreign exchange contracts

     (5,635      (264

International Equity Fund

     

Foreign exchange contracts

     7,477        (7,911

International Hedged Quality Dividend Growth Fund

     

Foreign exchange contracts

     (29,584,757      2,284,331  

Equity contracts

     142,741         

International High Dividend Fund

     

Foreign exchange contracts

     (8,654      61  

International LargeCap Dividend Fund

     

Foreign exchange contracts

     (6,357      45  

International MidCap Dividend Fund

     

Foreign exchange contracts

     9,608        58  

International Quality Dividend Growth Fund

     

Foreign exchange contracts

     (1,045      (8

International SmallCap Dividend Fund

     

Foreign exchange contracts

     31,067        (1,454

Japan Hedged Capital Goods Fund

     

Foreign exchange contracts

     (524,586      189,667  

Japan Hedged Equity Fund

     

Foreign exchange contracts

     (82,528,034      190,539,151  

Japan Hedged Financials Fund

     

Foreign exchange contracts

     (322,678      627,076  

Japan Hedged Health Care Fund

     

Foreign exchange contracts

     (46,526      129,541  

Japan Hedged Quality Dividend Growth Fund

     

Foreign exchange contracts

     (121,483      338,461  

Japan Hedged Real Estate Fund

     

Foreign exchange contracts

     (14,355      79,493  

Japan Hedged SmallCap Equity Fund

     

Foreign exchange contracts

     (986,240      3,482,727  

Japan SmallCap Dividend Fund

     

Foreign exchange contracts

     109,965        (238

Equity contracts

     136,825         

United Kingdom Hedged Equity Fund

     

Foreign exchange contracts

     (553,747      (513,078

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      203  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

 

  1 

Realized gains (losses) on derivatives are located on the Statements of Operations as follows:

 

Foreign exchange contracts

   Net realized gain (loss) from foreign currency contracts

Equity contracts

   Net realized gain (loss) from futures contracts

 

  2 

Change in unrealized appreciation (depreciation) is located on the Statements of Operations as follows:

 

Foreign exchange contracts

   Net increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts

During the six months ended September 30, 2017, the volume of derivative activity (based on the average of month-end balances, except where footnoted) for each Fund was as follows:

 

      Average Notional  
Fund    Foreign currency
contracts
(to deliver)
     Foreign currency
contracts
(to receive)
     Futures
contracts
(long)
 

Australia Dividend Fund

 

Foreign exchange contracts

   $      $ 9,851      $  

Europe Hedged Equity Fund

 

Equity contracts

                   20,091,154 1 

Foreign exchange contracts

     9,297,186,263        18,549,927,685         

Europe Hedged SmallCap Equity Fund

 

Foreign exchange contracts

     158,644,963        312,678,566         

Europe Quality Dividend Growth Fund

 

Foreign exchange contracts

            6,020         

Europe SmallCap Dividend Fund

 

Foreign exchange contracts

     650,538        230,559         

Germany Hedged Equity Fund

 

Foreign exchange contracts

     123,681,830        244,575,644         

Global ex-U.S. Hedged Dividend Fund

        

Foreign exchange contracts

     5,697,063        11,411,660         

Global ex-U.S. Hedged Real Estate Fund

        

Foreign exchange contracts

     2,677,027        5,386,353         

International Dividend ex-Financials Fund

        

Foreign exchange contracts

            129,572         

International Equity Fund

        

Foreign exchange contracts

     566,857        218,919         

International Hedged Quality Dividend Growth Fund

        

Equity contracts

                   2,866,201 1 

Foreign exchange contracts

     498,555,292        992,621,653         

International High Dividend Fund

        

Foreign exchange contracts

     15,278        155,544         

International LargeCap Dividend Fund

        

Foreign exchange contracts

     98,788        93,939         

International MidCap Dividend Fund

        

Foreign exchange contracts

            87,413         

International Quality Dividend Growth Fund

        

Foreign exchange contracts

            3,111         

International SmallCap Dividend Fund

        

Foreign exchange contracts

     236,753        609,161         

Japan Hedged Capital Goods Fund

        

Foreign exchange contracts

     11,402,368        19,661,245         

Japan Hedged Equity Fund

        

Foreign exchange contracts

     8,460,603,367        16,766,739,363         

Japan Hedged Financials Fund

        

Foreign exchange contracts

     33,278,942        61,785,670         

Japan Hedged Health Care Fund

        

Foreign exchange contracts

     4,942,948        9,922,825         

 

204   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

      Average Notional  
Fund    Foreign currency
contracts
(to deliver)
     Foreign currency
contracts
(to receive)
     Futures
contracts
(long)
 

Japan Hedged Quality Dividend Growth Fund

        

Foreign exchange contracts

   $ 12,752,950      $ 25,696,617      $  

Japan Hedged Real Estate Fund

        

Foreign exchange contracts

     4,761,427        9,281,152         

Japan Hedged SmallCap Equity Fund

        

Foreign exchange contracts

     127,935,203        257,137,569         

Japan SmallCap Dividend Fund

        

Equity contracts

                   2,448,449 1 

Foreign exchange contracts

     203        155,225         

United Kingdom Hedged Equity Fund

        

Foreign exchange contracts

     16,865,049        33,018,996         
  1 

The volume of derivative activity for the period is based on intra-month balances.

Investment Transactions and Investment Income Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. Dividend income (net of foreign taxes withheld, if any) is recognized on the ex-dividend date or as soon as practicable after the existence of a dividend declaration has been determined. Non-cash dividend income is recognized at the fair value of securities received on the ex-dividend date or as soon as practicable after the existence of a dividend declaration has been determined. Interest income (including amortization of premiums and accretion of discounts), net of any foreign taxes withheld, is accrued daily. Generally, amortization of premiums and accretion of discounts are recognized daily using the interest method (also known as the scientific amortization method). Income earned from securities lending activities (i.e. Securities lending income), net of fees payable to the securities borrower and/or securities lending agent, is accrued daily.

Foreign Currency Translation — The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies, as well as investment securities and other assets and liabilities denominated in foreign currencies, are translated into U.S. dollars using exchange rates prevailing on the respective dates of such transactions that are deemed appropriate by WTAM. Realized and unrealized foreign exchange gains and losses on investments are included as a component of net realized gain (loss) from investment transactions and net increase (decrease) in unrealized appreciation/depreciation from investment transactions, respectively, on the Statements of Operations. Net realized and unrealized gains or losses of foreign currency contracts are included in the net realized gain (loss) from foreign currency contracts and/or increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts in the Statements of Operations. Net realized and unrealized foreign exchange gains or losses arising from sales of foreign currencies and the difference between the amounts of dividends/interest and foreign withholding taxes recorded on the Funds’ books and the U.S. dollar equivalent of the amounts actually received or paid are included in net realized gain (loss) from foreign currency related transactions and/or increase (decrease) in unrealized appreciation/depreciation from translation of assets and liabilities denominated in foreign currencies in the Statements of Operations. Certain foreign exchange gains and losses included in realized and unrealized gains or losses are included in, or are a reduction of, ordinary income in accordance with U.S. Federal income tax regulations.

Expenses/Reimbursements — Under the investment advisory agreement for each Fund, except for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of trustees who are not interested persons of the Funds (“Independent Trustees”); (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust’s Chief Compliance Officer (“CCO”); (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM.

Under the investment advisory agreement for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other fees, charges, taxes, levies or expenses (such as stamp taxes) incurred in connection with the execution of portfolio transactions or in connection with creation and redemption transactions (including without limitation any fees, charges, taxes, levies or expenses related to the purchase or sale of an amount of any currency, or the partition or repatriation of any security or other asset, related to the execution of portfolio transactions or any creation or redemption transactions); (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust’s CCO; (vi) extraordinary expenses (in each case as determined by a majority of the Independent Trustees);

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      205  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

(vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; (viii) interest and taxes of any kind or nature (including, but not limited to, income, excise, transfer and withholding taxes); (ix) fees and expenses related to the provision of securities lending services; and (x) the advisory fee payable to WTAM.

Acquired fund fees and expenses (which are fees and expenses incurred indirectly by a Fund through its investments in certain underlying investment companies) are not operating expenses of the Funds and are not paid by WTAM.

Pursuant to a separate contractual arrangement, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees. WTAM receives a fee, as shown on the Statements of Operations under “Service fees”, of up to 0.0044% of each Fund’s average daily net assets for providing such services and paying such expenses. WTAM provides CCO services to the Trust.

Currency Transactions — The Funds may enter into foreign currency forward and foreign currency futures contracts to facilitate local securities settlements or to protect against currency exposure. The Funds, other than the Currency Hedged Equity Funds, do not expect to engage in currency transactions for the purpose of hedging against declines in the value of the Fund’s assets that are denominated in one or more foreign currencies. The Funds may not enter into such contracts for speculative purposes.

Forward Foreign Currency Contracts — The Funds, other than the Currency Hedged Equity Funds, utilized forward foreign currency contracts (“Forward Contracts”) primarily to facilitate foreign security settlements. The Currency Hedged Equity Funds utilized Forward Contracts to dynamically obtain either a net long or net short exposure to foreign currencies consistent with each Currency Hedged Equity Fund’s investment objective. A Forward Contract involves an obligation to purchase or sell a specific currency at a future date, which may be any fixed number of days from the date of the contract agreed upon by the parties, at a price set at the time of the contract. These contracts are principally traded in the inter-bank market conducted directly between currency traders (usually large, commercial banks) and their customers. A Forward Contract generally does not require an initial margin deposit and no commissions are charged at any stage for trades. However, if a Fund is in an unrealized loss position on a Forward Contract, it may be required to pledge collateral (or additional collateral) to the counterparty. If a Fund is in an unrealized gain position on a Forward Contract, it may receive collateral from the counterparty.

Risks may arise upon entering into Forward Contracts from the potential inability of counterparties to meet the terms of their contracts and from unanticipated movements in the value of foreign currencies relative to the U.S. dollar or each other.

Fluctuations in the value of open Forward Contracts are recorded for book purposes as unrealized gains or losses on Forward Contracts by the Funds and included in net increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts on the Statements of Operations. Realized gains and losses on Forward Contracts include net gains or losses recognized by the Funds on contracts which have matured or were sold and included in net realized gain (loss) from foreign currency contracts on the Statements of Operations.

Futures Contracts — Europe Hedged Equity Fund, International Hedged Quality Dividend Growth Fund and Japan SmallCap Dividend Fund utilized equity futures contracts on a temporary basis during the period to obtain market exposure consistent with its investment objective during the Funds’ annual portfolio rebalance. When a Fund purchases a listed futures contract, it agrees to purchase a specified reference asset (e.g., commodity, currency or Treasury security) at a specified future date. When a Fund sells a listed futures contract, it agrees to sell a specified reference asset (e.g., commodity, currency or Treasury security) at a specified future date. The price at which the purchase and sale will take place is fixed when the Fund enters into the contract. The exchange clearing corporation is the ultimate counterparty for all exchange-listed contracts, so credit risk is limited to the creditworthiness of the exchange’s clearing corporation.

Upon entering into a futures contract, a Fund is required to deliver to a broker an amount of cash and/or government securities equal to a certain percentage of the contract amount. This amount is known as the “initial margin”. Subsequent payments, known as “variation margin”, generally are made or received by the Fund each day or at other agreed-upon time periods depending on the fluctuations in the value of the underlying futures contracts, except that in the case of certain futures contracts payments may be made or received at settlement. Such variation margin is recorded for financial statement purposes on a daily basis as an unrealized gain or loss on futures until the financial futures contract is closed, at which time the net gain or loss is reclassified to realized gain or loss on futures. When a Fund purchases or sells a futures contract, the Fund is required to “cover” its position in order to limit the risk associated with the use of leverage and other related risks. To cover its position, a Fund will segregate assets consisting of, or take other measures with respect to, cash or liquid securities that, when added to any amounts deposited with a futures commission merchant as margin, will “cover” its position in a manner consistent with the 1940 Act or the rules and SEC interpretations thereunder. This will function as a practical limit on the amount of leverage which a Fund may undertake and on the potential increase in the speculative character of a Fund’s outstanding portfolio securities.

Securities Lending — Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds’ securities lending agent. It is the Funds’ policy that, at origination, all loans are secured by collateral of at least 102% of the value of U.S.

 

206   WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

securities loaned and 105% of the value of foreign securities loaned. Collateral in the form of cash and/or high-grade debt obligations, equivalent to at least 100% of the market value of securities, is maintained at all times. The cash collateral can be invested in certain money market mutual funds which also have exposure to the fluctuations of the market. The values of the investments of cash collateral for securities on loan along with the obligations to return such collateral are included on the Statements of Assets and Liabilities. The total value of securities received as collateral for securities on loan is included in a footnote following each Schedule of Investments, but is not included within the Statements of Assets and Liabilities because the receiving Fund does not have the right to sell or repledge the securities received as collateral. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash or U.S. government securities held as collateral, net of fee rebates paid to the borrower plus reasonable administrative and custody fees, all of which are included in the securities lending income earned by the Funds and disclosed on the Statements of Operations. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any dividends or interest received on loaned securities. Dividends received while a security is out on loan are not considered Qualified Dividend Income (“QDI”) under the specific criteria issued by the Internal Revenue Service and are subject to taxation at the shareholder’s ordinary income tax rate instead of the lower long-term capital gains tax rate. Lending portfolio securities could result in a loss or delay in recovering each Fund’s securities if the borrower defaults.

Master Netting Arrangements — ASU No. 2011-11 “Disclosures about Offsetting Assets and Liabilities” (“ASU 2011-11”) is generally intended to (i) help investors and other financial statement users to better assess the effect or potential effect of offsetting arrangements on a company’s financial position, (ii) improve transparency in the reporting of how companies mitigate credit risk, and (iii) facilitate comparisons between those entities that prepare their financial statements on the basis of GAAP and those entities that prepare their financial statements on the basis of international financial reporting standards. ASU 2011-11 requires entities to disclose (i) gross and net information about both instruments and transactions eligible for offset in the financial statements, and (ii) instruments and transactions subject to an agreement similar to a master netting agreement. ASU 2011-11 is limited in scope to the following financial instruments, to the extent they are offset in the financial statements or subject to an enforceable master netting arrangement or similar agreement: (i) recognized derivative instruments accounted for under ASC 815 (Derivatives and Hedging); (ii) repurchase agreements and reverse repurchase agreements; and (iii) securities borrowing and securities lending transactions.

In order to better define its contractual rights and to secure rights that will help a Fund mitigate its counterparty risk, a Fund may enter into an International Swaps and Derivatives Association, Inc. Master Agreement (“ISDA Master Agreement”) or similar agreement with its counterparties. An ISDA Master Agreement is a bilateral agreement between a Fund and a counterparty that governs over-the-counter derivatives (“OTC”), including Forward Contracts, and typically contains, among other things, collateral posting terms, netting and rights of set-off provisions in the event of a default and/or termination event. Under an ISDA Master Agreement, a Fund may, under certain circumstances, offset with the counterparty certain derivative financial instruments’ payables and receivables to create a single net payment. The provisions of the ISDA Master Agreement typically permit a single net payment in the event of a default (close-out netting) or similar event, including the bankruptcy or insolvency of the counterparty.

Collateral requirements generally differ by type of derivative. Collateral terms are contract-specific for OTC derivatives (e.g. foreign exchange contracts, options and certain swaps). Generally, for transactions traded under an ISDA Master Agreement, the collateral requirements are calculated by netting the marked to market amount for each transaction under such agreement and comparing that amount to the value of any collateral currently pledged by a Fund and the counterparty. Generally, the amount of collateral due from or to a counterparty must exceed a minimum transfer amount threshold before a transfer is required to be made. To the extent amounts due to a Fund from its derivatives counterparties are not fully collateralized, contractually or otherwise, the Fund bears the risk of loss from a counterparty’s non-performance.

A Fund’s security lending activities are governed by a Securities Lending Authorization Agreement (“Lending Agreement”) between the Fund and the lending agent. The Lending Agreement authorizes the lending agent to lend qualifying U.S. and foreign securities held by a Fund to approved borrowers (each a “Borrower”). To mitigate borrower risk, a Fund typically receives from a Borrower, collateral in the form of U.S. dollar cash and/or securities issued or guaranteed by the U.S. government or its agencies in excess of the market value of the securities loaned. Under the provisions of the Lending Agreement, a Fund shall have, as to the collateral, all of the rights and remedies of a secured party under applicable law. A Fund is exposed to risk of loss if a Borrower defaults on its obligation to return borrowed securities and the value of the collateral a Fund received is insufficient to cover the market value of the securities loaned. Also, the lending agent is permitted to invest the cash collateral it receives from a Borrower into a money market fund which is subject to market fluctuation. Therefore, a Fund is exposed to risk of loss if the value of invested cash collateral is insufficient to satisfy the Fund’s obligation to return the full amount owed to such Borrower.

 

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Notes to Financial Statements (unaudited) (continued)

 

For financial reporting purposes, the Funds elect to not offset assets and liabilities subject to an ISDA Master Agreement or Lending Agreement, if any, in the Statements of Assets and Liabilities. Therefore, all qualifying transactions are presented on a gross basis in the Statements of Assets and Liabilities. As of September 30, 2017, the impact of netting of assets and liabilities and the offsetting of collateral pledged or received based on contractual netting/set-off provisions in the ISDA Master Agreement and the Lending Agreement are detailed in the following table:

 

     Assets     Liabilities  

Fund

  Gross Amounts
in the
Statements of
Assets and
Liabilities
    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
   

Net Amount

    Gross
Amounts
in the
Statements
of Assets and
Liabilities
    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
   

Net
Amount

 
    Financial
Instruments
    Collateral
Received
        Financial
Instruments
    Collateral
Posted
   

Australia Dividend Fund

 

           

Securities Lending

  $ 4,159,253     $     $ (4,159,253 )1    $     $     $     $     $  

Foreign Currency Contracts

                            8                   8  

Europe Hedged Equity Fund

 

           

Securities Lending

    43,400,747             (43,400,747 )1                               

Foreign Currency Contracts

    47,222,943       (8,619,288           38,603,655       8,619,288       (8,619,288            

Europe Hedged SmallCap Equity Fund

 

           

Securities Lending

    3,465,670             (3,465,670 )1                               

Foreign Currency Contracts

    1,070,452       (6,588           1,063,864       7,014       (6,588           426  

Europe Quality Dividend Growth Fund

 

           

Securities Lending

    60,719             (60,719 )1                               

Foreign Currency Contracts

    50                   50                          

Europe SmallCap Dividend Fund

 

           

Securities Lending

    84,449,177             (84,449,177 )1                               

Foreign Currency Contracts

    41       (41                 125       (41           84  

Germany Hedged Equity Fund

 

           

Securities Lending

    1,354,577             (1,354,577 )1                               

Foreign Currency Contracts

    823,722       (66,553           757,169       66,948       (66,553           395  

Global ex-U.S. Hedged Dividend Fund

 

           

Securities Lending

    32,152             (32,152 )1                               

Foreign Currency Contracts

    76,371       (44,229           32,142       44,258       (44,229           29  

Global ex-U.S. Hedged Real Estate Fund

 

           

Securities Lending

    87,070             (87,070 )1                               

Foreign Currency Contracts

    15,928       (9,260           6,668       9,278       (9,260           18  

International Dividend ex-Financials Fund

 

           

Securities Lending

    989,109             (989,109 )1                               

Foreign Currency Contracts

                            264                   264  

International Equity Fund

 

           

Securities Lending

    10,430,034             (10,430,034 )1                               

Foreign Currency Contracts

    3                   3       526                   526  

International Hedged Quality Dividend Growth Fund

 

           

Securities Lending

    4,550,322             (4,550,322 )1                               

Foreign Currency Contracts

    4,912,992       (3,727,475           1,185,517       3,729,797       (3,727,475           2,322  

International High Dividend Fund

 

           

Securities Lending

    4,856,900             (4,856,900 )1                               

Foreign Currency Contracts

                            10                   10  

International LargeCap Dividend Fund

 

           

Securities Lending

    2,134,922             (2,134,922 )1                               

Foreign Currency Contracts

    7                   7       36                   36  

International MidCap Dividend Fund

 

           

Securities Lending

    4,893,572             (4,893,572 )1                               

International Quality Dividend Growth Fund

 

           

Securities Lending

    139,189             (139,189 )1                               

Foreign Currency Contracts

                            9                   9  

 

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Notes to Financial Statements (unaudited) (continued)

 

     Assets     Liabilities  

Fund

  Gross Amounts
in the
Statements of
Assets and
Liabilities
    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
   

Net Amount

    Gross Amounts
in the
Statements of
Assets and
Liabilities
    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
   

Net
Amount

 
    Financial
Instruments
    Collateral
Received
        Financial
Instruments
    Collateral
Posted
   

International SmallCap Dividend Fund

 

           

Securities Lending

  $ 148,527,341     $     $ (148,527,341 )1    $     $     $     $     $  

Japan Hedged Capital Goods Fund

 

           

Securities Lending

    15,190             (15,190 )1                               

Foreign Currency Contracts

    116,464       (309           116,155       341       (309           32  

Japan Hedged Equity Fund

 

           

Securities Lending

    274,807,424             (274,807,424 )1                               

Foreign Currency Contracts

    170,427,175       (12,395,593           158,031,582       12,395,593       (12,395,593            

Japan Hedged Financials Fund

 

           

Securities Lending

    925,189             (925,189 )1                               

Foreign Currency Contracts

    503,737       (1,121           502,616       35,903       (1,121           34,782  

Japan Hedged Health Care Fund

 

           

Securities Lending

    36,332             (36,332 )1                               

Foreign Currency Contracts

    116,836       (299           116,537       326       (299           27  

Japan Hedged Quality Dividend Growth Fund

 

           

Securities Lending

    222,443             (222,443 )1                               

Foreign Currency Contracts

    306,234       (796           305,438       873       (796           77  

Japan Hedged Real Estate Fund

 

           

Securities Lending

    13,445             (13,445 )1                               

Foreign Currency Contracts

    100,432       (257           100,175       281       (257           24  

Japan Hedged SmallCap Equity Fund

 

           

Securities Lending

    16,966,621             (16,966,621 )1                               

Foreign Currency Contracts

    3,243,301       (20,665           3,222,636       21,449       (20,665           784  

Japan SmallCap Dividend Fund

 

           

Securities Lending

    56,550,543             (56,550,543 )1                               

Foreign Currency Contracts

    222                   222                          

United Kingdom Hedged Equity Fund

 

           

Securities Lending

    5,028             (5,028 )1                               

Foreign Currency Contracts

    320       (320                 585,477       (320           585,157  
1

The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero.

Short-Term Investments — Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments include short-term obligations issued by the U.S. government, its agencies, non-U.S. government agencies, negotiable certificates of deposit (“CDs”), fixed time deposits and bankers’ acceptances of U.S. and foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker’s acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions.

Tax Information and Dividends and Distributions to Shareholders — It is each Fund’s policy to comply with all requirements of the Internal Revenue Code of 1986, as amended (the “Code”). Each Fund intends to qualify for and to elect treatment as a separate Regulated Investment Company (“RIC”) under Subchapter M of the Code. In order to qualify for the special tax treatment accorded RICs and their shareholders, each Fund must, among other things, distribute with respect to each taxable year an amount equal to or greater than the sum of 90% of its investment company taxable income and 90% of its net tax-exempt interest income. There can be no guarantee that a Fund will pay dividends. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. The Funds may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains are determined in accordance with the requirements of the Code and the U.S. Treasury regulations. These book/tax differences are either considered temporary or permanent in nature. To

 

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Notes to Financial Statements (unaudited) (continued)

 

the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their Federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions that exceed earnings and profit for tax purposes are reported for tax purposes as a return of capital.

3. ADVISORY FEES AND OTHER TRANSACTIONS WITH AFFILIATES

WTAM has overall responsibility for the general management and administration of the Trust. WTAM provides an investment program for each Fund. WTAM has arranged for Mellon Capital Management Corporation (‘‘MCM’’) to provide sub-advisory services to the Funds. MCM is compensated by WTAM at no additional cost to the Funds. WTAM also arranges for transfer agency, custody, fund accounting, fund administration, securities lending and all other non-distribution related services necessary for the Funds to operate, which are generally under separate agreements entered into between the Trust on behalf of the Funds and the applicable service provider. Under the investment advisory agreement for each Fund, WTAM agrees to pay all expenses of the Funds, except for certain expenses described in Note 2.

Pursuant to a separate contractual arrangement, as also described in Note 2, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees in exchange for an annual fee, accrued daily and paid monthly in arrears, of up to 0.0044% of each Fund’s average daily net assets. WTAM expects to receive advisory fees from each Fund, based on a percentage of the Fund’s average daily net assets, as shown in the following table:

 

Fund   

Advisory

Fee Rate

(before fee waiver)

    

Advisory

Fee Waiver1

    

Advisory Fee
Waiver

Expiration Date

 

Australia Dividend Fund

     0.58              

Europe Hedged Equity Fund

     0.58              

Europe Hedged SmallCap Equity Fund

     0.58              

Europe Quality Dividend Growth Fund

     0.58              

Europe SmallCap Dividend Fund

     0.58              

Germany Hedged Equity Fund

     0.48              

Global ex-U.S. Hedged Dividend Fund

     0.44              

Global ex-U.S. Hedged Real Estate Fund

     0.58      (0.15 )%       July 31, 2018  

International Dividend ex-Financials Fund

     0.58              

International Equity Fund

     0.48              

International Hedged Quality Dividend Growth Fund

     0.58              

International High Dividend Fund

     0.58              

International LargeCap Dividend Fund

     0.48              

International MidCap Dividend Fund

     0.58              

International Quality Dividend Growth Fund

     0.48      (0.10 )%       July 31, 2018  

International SmallCap Dividend Fund

     0.58              

Japan Hedged Capital Goods Fund

     0.48              

Japan Hedged Equity Fund

     0.48              

Japan Hedged Financials Fund

     0.48              

Japan Hedged Health Care Fund

     0.48              

Japan Hedged Quality Dividend Growth Fund

     0.48      (0.05 )%       July 31, 2018  

Japan Hedged Real Estate Fund

     0.48              

Japan Hedged SmallCap Equity Fund

     0.58              

Japan SmallCap Dividend Fund

     0.58              

United Kingdom Hedged Equity Fund

     0.48              

 

  1 

WTAM has contractually agreed to waive a portion of its advisory fee by the waiver amount listed per annum based on the average daily net assets through the expiration date listed, unless earlier terminated by the Board of Trustees of the Trust for any reason. The dollar amount of contractual fee waivers are included in “Expense waivers” on the Statements of Operations.

Each Fund may purchase shares of affiliated ETFs in secondary market transactions to reduce cash balances. For these transactions, WTAM waives its advisory fees for each Fund’s investment in affiliated funds. The waivers may be reduced to offset the incremental costs related to these investments (fund accounting, safekeeping, transaction fees, etc.) that are paid by WTAM out of its advisory fee. The dollar amount of advisory fees waived during the period for the Funds, if any, are shown in the Statements of Operations.

 

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Notes to Financial Statements (unaudited) (continued)

 

Affiliated holdings are funds which are managed by, or an affiliate of, WTAM. Transactions with affiliated funds during the six months ended September 30, 2017 are as follows:

 

Fund   Value at
3/31/2017
    Purchases/
Additions
    Sales/
Reductions
    Realized
Gain/(Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Value at
9/30/2017
    Dividend
Income
 

Europe SmallCap Dividend Fund

                                                       

International MidCap Dividend Fund

  $ 3,682,595     $ 5,041,047     $ 8,303,228     $ 194,731     $ (102,878   $ 512,267     $ 53,787  

International Dividend ex-Financials Fund

                                                       

International LargeCap Dividend Fund

  $ 149,230     $ 4,626,841     $ 3,843,255     $ (41,630   $ 84,110     $ 975,296     $ 77,462  

International Equity Fund

                                                       

International Dividend ex-Financials Fund

  $ 2,084,743     $ 5,361,179     $ 7,441,804     $ 19,251     $ (23,369   $     $ 81,991  

International High Dividend Fund

                                                       

International LargeCap Dividend Fund

  $     $ 5,644,380     $ 5,571,692     $ (72,688   $     $     $ 73,739  

International LargeCap Dividend Fund

                                                       

International MidCap Dividend Fund

  $ 864,125     $ 5,727,978     $ 5,850,414     $ 66,199     $ 14,405     $ 822,293     $ 82,917  

International MidCap Dividend Fund

                                                       

Australia Dividend Fund

  $     $ 1,018,730     $ 1,014,157     $ (4,573   $     $     $ 7,363  

Japan Hedged Equity Fund

          1,554,647       1,561,278       6,631                   23,308  

Total

  $     $ 2,573,377     $ 2,575,435     $ 2,058     $     $     $ 30,671  

International SmallCap Dividend Fund

                                                       

Europe SmallCap Dividend Fund

  $ 3,487,375     $ 12,775,167     $ 14,735,730     $ 160,097     $ 160,576     $ 1,847,485     $ 202,402  

Japan SmallCap Dividend Fund

    2,809,050       8,820,500       10,482,188       231,409       122,304       1,501,075       76,068  

Total

  $ 6,296,425     $ 21,595,667     $ 25,217,918     $ 391,506     $ 282,880     $ 3,348,560     $ 278,470  

Japan SmallCap Dividend Fund

                                                       

Japan Hedged Equity Fund

  $ 134,092     $ 20,599,207     $ 20,649,231     $ 137,648     $ 18,526     $ 240,242     $ 78,716  

During the six months ended September 30, 2017, certain Funds engaged in purchase and sale transactions with funds that have a common investment adviser, WTAM. These interfund purchase and sale transactions were effected in accordance with Rule 17a-7 under the 1940 Act. For the six months ended September 30, 2017, the cost of purchases, proceeds from sales and the net realized gain or loss recognized upon the disposal of securities resulting from interfund transactions are shown in the following table:

 

Fund    Purchases      Sales      Net Realized
Gain/Loss
 

Australia Dividend Fund

   $ 1,100,919      $ 2,397,245      $ 317,856  

Europe Hedged Equity Fund

     40,136,466        13,224,941        (1,584,345

Europe Hedged SmallCap Equity Fund

     5,785,088        4,791,553        (838,654

Europe Quality Dividend Growth Fund

     2,089,153        954,378        (77,356

Europe SmallCap Dividend Fund

     26,543,323        27,745,073        1,210,499  

Germany Hedged Equity Fund

     2,004,826        2,246,810        64,442  

International Dividend ex-Financials Fund

     9,762,994        9,486,647        (639,494

International Equity Fund

     31,925,005        20,517,006        308,253  

International Hedged Quality Dividend Growth Fund

     37,140,291        40,230,665        (1,118,461

International High Dividend Fund

     9,317,692        10,468,775        181,641  

International LargeCap Dividend Fund

     10,927,089        8,732,393        (935,254

International MidCap Dividend Fund

     18,496,085        17,110,340        3,169,903  

International Quality Dividend Growth Fund

     1,155,370        464,722        (16,194

International SmallCap Dividend Fund

     24,965,369        50,510,501        (8,081,836

Japan Hedged Equity Fund

     19,619,691        35,981,224        4,486,110  

Japan Hedged Quality Dividend Growth Fund

     655,460        1,261,276        (28,720

Japan Hedged SmallCap Equity Fund

     4,389,763        4,196,687        (330,329

Japan SmallCap Dividend Fund

     11,654,580        13,776,501        (1,436,720

United Kingdom Hedged Equity Fund

     469,777        290,099        (22,449

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

WTAM or its affiliates may from time to time own shares of a Fund. As of September 30, 2017, WTAM held shares of the following Funds which were purchased through an unaffiliated broker in ordinary brokerage transactions in the secondary market in which the Funds’ shares trade:

 

Fund   

Fund Shares

held by
WTAM

     Market Value
of Fund
Shares held
by WTAM
     Divideds
paid to
WTAM on
Fund Shares
 

Europe Hedged Equity Fund*

          $      $ 143  

Europe SmallCap Dividend Fund

     7        486        29  

International Equity Fund

     142        7,733        157  

International High Dividend Fund

     44        1,926        46  

International Quality Dividend Growth Fund

     339        10,126        31  

International SmallCap Dividend Fund

     231        17,082        230  

Japan Hedged Equity Fund

     79        4,321        72  

Japan SmallCap Dividend Fund

     98        7,352        0 ** 
  * No shares were held in this Fund by WTAM at the end of the period.

 

  ** Amount represents less than $1.

At September 30, 2017, approximately 82% of the International Quality Dividend Growth Fund was held by an affiliated Fund.

4. CAPITAL SHARE TRANSACTIONS

As of September 30, 2017, there were an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in creation units or multiples thereof. Except when aggregated in creation units, shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of creation units of a Fund generally consists of the in-kind contribution of a portfolio of equity securities and an amount of cash. Investors purchasing and redeeming creation units may be charged a purchase transaction fee and a redemption transaction fee to offset transfer and other transaction costs associated with the issuance and redemption of creation units.

5. INVESTMENT PORTFOLIO TRANSACTIONS

Purchases and sales of investments (excluding purchases and sales resulting from in-kind capital share transactions and short-term investments) and the cost of purchases and the proceeds from sales resulting from in-kind capital share transactions (excluding short-term investments) for the six months ended September 30, 2017 are shown in the following table. Realized gains and losses on sales resulting from in-kind capital share redemptions, as shown on the Statements of Operations, are not recognized by the Funds for tax purposes.

 

                      In-kind Capital Share Transactions  
Fund    Purchases      Sales      Purchases      Sales  

Australia Dividend Fund

   $ 9,786,794      $ 9,872,269      $      $  

Europe Hedged Equity Fund

     1,245,731,053        2,001,767,478        205,790,713        919,436,439  

Europe Hedged SmallCap Equity Fund

     50,558,754        49,108,872        8,993,103        36,651,982  

Europe Quality Dividend Growth Fund

     7,261,522        7,168,874        21,503,516        3,832,889  

Europe SmallCap Dividend Fund

     405,231,940        331,823,771        193,643,903        75,381,342  

Germany Hedged Equity Fund

     18,388,460        31,003,182               13,779,485  

Global ex-U.S. Hedged Dividend Fund

     336,291        423,727        2,443,910         

Global ex-U.S. Hedged Real Estate Fund

     205,463        311,715                

International Dividend ex-Financials Fund

     68,954,297        68,718,046               10,387,840  

International Equity Fund

     151,209,219        149,405,615        59,841,518         

International Hedged Quality Dividend Growth Fund

     193,999,697        181,202,201        19,341,947        73,942,010  

International High Dividend Fund

     76,620,645        75,420,596        51,534,067         

International LargeCap Dividend Fund

     58,707,003        57,832,049        14,131,460         

International MidCap Dividend Fund

     48,375,029        48,848,497        35,210,637         

International Quality Dividend Growth Fund

     5,171,430        5,616,968        7,046,375        2,282,525  

International SmallCap Dividend Fund

     431,043,125        429,704,864        215,939,708         

Japan Hedged Capital Goods Fund

     693,088        944,979               21,455,554  

 

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Notes to Financial Statements (unaudited) (concluded)

 

                      In-kind Capital Share Transactions  
Fund    Purchases      Sales      Purchases      Sales  

Japan Hedged Equity Fund

     1,278,022,910      $ 1,292,757,580      $ 495,058,842      $ 1,306,895,620  

Japan Hedged Financials Fund

     8,400,483        8,206,500        5,916,753        22,785,024  

Japan Hedged Health Care Fund

     412,285        417,134                

Japan Hedged Quality Dividend Growth Fund

     3,709,957        3,542,120                

Japan Hedged Real Estate Fund

     332,086        223,059               694,084  

Japan Hedged SmallCap Equity Fund

     41,563,393        31,829,405        11,900,468        12,072,844  

Japan SmallCap Dividend Fund

     122,895,500        89,005,641        108,021,484        72,626,432  

United Kingdom Hedged Equity Fund

     3,208,002        4,223,159               3,605,730  

6. FEDERAL INCOME TAXES

At September 30, 2017, the cost of investments (including securities on loan and derivatives) for Federal income tax purposes was as follows:

 

Fund    Tax Cost      Gross Unrealized
Appreciation
     Gross Unrealized
Depreciation
     Net Unrealized
Appreciation/
(Depreciation)
 

Australia Dividend Fund

   $ 37,054,590      $ 5,016,129      $ (2,843,865    $ 2,172,264  

Europe Hedged Equity Fund

     8,337,779,216        1,207,785,532        (498,111,250      709,674,282  

Europe Hedged SmallCap Equity Fund

     130,588,279        31,510,977        (2,738,174      28,772,803  

Europe Quality Dividend Growth Fund

     34,929,210        3,873,276        (493,027      3,380,249  

Europe SmallCap Dividend Fund

     1,091,758,023        154,374,496        (52,436,874      101,937,622  

Germany Hedged Equity Fund

     104,972,306        16,706,396        (5,142,415      11,563,981  

Global ex-U.S. Hedged Dividend Fund

     7,096,103        813,419        (154,289      659,130  

Global ex-U.S. Hedged Real Estate Fund

     2,519,966        543,957        (148,226      395,731  

International Dividend ex-Financials Fund

     212,257,791        15,193,889        (23,643,229      (8,449,340

International Equity Fund

     731,140,388        136,303,698        (28,488,153      107,815,545  

International Hedged Quality Dividend Growth Fund

     441,650,038        71,650,077        (11,287,459      60,362,618  

International High Dividend Fund

     312,956,259        36,381,610        (21,508,320      14,873,290  

International LargeCap Dividend Fund

     367,883,769        56,311,157        (17,601,519      38,709,638  

International MidCap Dividend Fund

     200,846,535        42,872,798        (6,114,860      36,757,938  

International Quality Dividend Growth Fund

     13,318,615        1,733,194        (111,246      1,621,948  

International SmallCap Dividend Fund

     1,447,330,702        371,605,749        (37,901,690      333,704,059  

Japan Hedged Capital Goods Fund

     4,933,729        611,531        (153,442      458,089  

Japan Hedged Equity Fund

     7,847,475,659        922,227,072        (337,521,758      584,705,314  

Japan Hedged Financials Fund

     21,424,578        127,063        (1,551,350      (1,424,287

Japan Hedged Health Care Fund

     5,355,160        307,193        (460,412      (153,219

Japan Hedged Quality Dividend Growth Fund

     12,654,223        1,546,320        (349,288      1,197,032  

Japan Hedged Real Estate Fund

     4,801,343        296,609        (625,296      (328,687

Japan Hedged SmallCap Equity Fund

     128,980,761        25,376,480        (1,810,316      23,566,164  

Japan SmallCap Dividend Fund

     540,169,033        105,177,084        (8,254,690      96,922,394  

United Kingdom Hedged Equity Fund

     14,952,878        622,312        (1,826,754      (1,204,442

 

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Table of Contents

Approval of Investment Advisory and Sub-Advisory Agreements (unaudited)

 

Consideration of the Renewal of Investment Advisory and Sub-Investment Advisory Agreements

At a meeting of the Board of Trustees (the “Board” or the “Trustees”) of the WisdomTree Trust (the “Trust”) held on September 26-27, 2017 (the “Meeting”), the Trustees, including those Trustees who are not “interested persons” (as defined in the Investment Company Act of 1940, as amended) of the Trust (the “Independent Trustees”), considered the renewal of the Investment Advisory Agreements between WisdomTree Asset Management, Inc. (“WTAM”) and the Trust, on behalf of its series (each, a “Fund,” and, collectively, the “Funds”), pursuant to which WTAM provides the Funds with investment advisory services (the “Advisory Agreements”), the Sub-Advisory Agreement (the “MCM Sub-Advisory Agreement” or “Sub-Advisory Agreement), pursuant to which Mellon Capital Management Corporation (“MCM”) coordinates the investment and reinvestment of the assets of the Funds.

The Trustees requested, and WTAM provided, such information as the Trustees, with advice from counsel to the Trust and independent legal counsel, deemed reasonably necessary to evaluate the Agreements. At a meeting of a committee of Independent Trustees (the “Contracts Review Committee”) held on August 3, 2017, representatives from WTAM presented preliminary information to the Trustees relating to the continuance of the Agreements, and the Trustees, including the Independent Trustees, reviewed and discussed such information. Further information was presented at the Board’s request at the Meeting.

The Independent Trustees were assisted in their review by independent legal counsel and met with counsel in executive session separate from WTAM representatives and the Sub-Adviser. In considering the renewal of the Agreements, the Board considered all factors that it believed to be relevant, including those discussed below. The Board did not identify any one factor as dispositive, and each Trustee may have attributed different weights to the factors considered.

Analysis of Nature, Extent, and Quality of Services Provided to the Funds.

The Board considered information provided to them at the Meeting and in previous presentations throughout the year from WTAM representatives regarding the nature, extent, and quality of the services provided to the Funds, recognizing WTAM’s and the Sub-Adviser’s operational capabilities and resources. The Board also discussed the role of WisdomTree Investments, Inc. (“WTI”), the parent of WTAM, as index provider to certain Funds, which comprise the substantial majority of assets in the WisdomTree fund complex. The Board noted that the strategies represented by those Funds tracking affiliated WTI indexes are unique, based on WTI’s intellectual property and are only available for use by applicable Funds through WTAM. The Board noted WTAM’s belief that shareholders have invested in such Funds on the strength of WTI’s intellectual property and WTAM’s industry standing and reputation and with the expectation that WTAM will have a continuing role in providing advisory services to the Funds based on the WTI indexes. The Board also noted the extensive responsibilities that WTAM has as investment adviser to the Funds, including: the selection of, and supervisory responsibilities and activities over, the Sub-Adviser, including oversight of the Sub-Adviser’s adherence to each Fund’s investment strategy and restrictions, monitoring of the Sub-Adviser’s buying and selling of securities and derivatives transactions, review of Sub-Adviser performance, review of proxies voted by the Sub-Adviser and oversight of, and the provision of consultation to, the Sub-Adviser with respect to the creation of custom creation or redemption baskets for authorized participants; oversight of the daily valuation of the Funds’ portfolio holdings; oversight of general Fund compliance with federal and state laws; and implementation of Board directives as they relate to the Funds. The Board also considered research support available to, and management capabilities of, the Funds’ management personnel and that WTAM provides oversight of day-to-day Fund operations, including fund accounting, tax matters, administration and legal assistance in meeting disclosure and regulatory requirements. Based on management’s representations, the Board expected that there would be no reduction in the scope of services required by or provided by WTAM and the Sub-Adviser under the relevant Agreements. The Board noted that WTAM has continued to commit significant resources toward the fund complex and has made substantial investments to improve the services offered by WTAM, which benefit Fund shareholders.

Based on review of this information and the other factors considered at the Meeting, the Board concluded that the nature, extent and quality of services provided by WTAM and the Sub-Adviser under the Advisory Agreements and Sub-Advisory Agreements, respectively, are adequate and appropriate and supported the Board’s approval of the renewal of the Agreements.

Comparative Analysis of the Funds’ Performance and Management Fee and Expense Ratio.

The Board reviewed reports prepared by Broadridge Financial Solutions, Inc. (“Broadridge”), an independent provider of investment company data, which included information (1) measuring each index Fund’s performance by how well it tracked the relevant benchmark index and (2) comparing each Fund’s actual management fees and total expenses with those of a group of comparable funds (the “Expense Group”) and, with respect to total expenses, with a broader group of funds (the “Expense Universe”), the information for which was derived in part from fund financial statements available to Broadridge as of the date of its analysis. The Contracts Review Committee and the Independent Trustees previously had reviewed and discussed the methodology Broadridge used to select the Expense Groups and Expense Universes. The Board noted that the Expense Groups and Expense Universes included only pure-index and index-based exchange traded funds (“ETFs”) as comparison funds. The Board also noted that due to the special characteristics of certain Funds, there are limitations in providing comparable funds in the Performance Groups, Expense Groups and Expense Universes, and the information in the Broadridge reports may or may not provide meaningful

 

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Approval of Investment Advisory and Sub-Advisory Agreements (unaudited) (continued)

 

direct comparisons to the Funds. The Board also reviewed reports prepared by WTAM presenting performance data for Funds with ten years of performance history and for WisdomTree indexes with at least three years of performance history that are tracked by an index Fund.

The Board discussed the index Funds’ performance, noting that the substantial majority of index Funds seek to track their own WisdomTree benchmark index. During the prior year, the Board received periodic reports on the Funds’ performance in comparison to their relevant benchmark indexes. In response to questions from the Independent Trustees, WTAM representatives discussed the relative performance of the Funds and the factors affecting such performance. On that basis, the Board determined to monitor carefully in the coming year disparities in performance — both positive and negative — but did not believe that the disparities in the past reflected any characteristics requiring immediate action by WTAM or the Sub-Adviser.

The Board also reviewed the range of actual management fees and total expenses of the Expense Group funds and, with respect to total expenses, Expense Universe funds, as well as the advisory fees and total expenses of certain funds not included in the Broadridge reports that WTAM considers to be significant competitors of the Funds, and discussed the results of the comparisons. With respect to comparisons of actual management fees, the Board noted the Funds’ unitary fee structure and that the Expense Groups and Expense Universes generally included both ETFs with and without a unitary fee structure. The Board also noted that certain comparison funds in certain Expense Groups and Expense Universes benefited from waivers of all or a portion of their management fees and reimbursement of certain operating expenses. The Board noted that the total expenses of many of the Funds were within five basis points of the median or average total expenses of the funds in the Funds’ respective Expense Groups. In those specific instances where a Fund’s total expenses departed more significantly from comparative funds, the Independent Trustees sought explanations from WTAM, which generally attributed the disparities to the limitations within peer data and/or the unique attributes of a Fund.

The Board considered the fees to the Sub-Adviser in relation to the fees paid to WTAM by the Funds and the respective services provided by the Sub-Adviser and WTAM. The Board also noted that the Sub-Adviser’s fees are paid by WTAM (out of its fee paid by the relevant Funds) and not the Funds. The Board considered the meaningful differences in the services that WTAM provides to the Funds as compared to the Sub-Adviser, including that the role of the Sub-Adviser in making investment recommendations with respect to a Fund tracking an index is a rules-based function, with oversight by WTAM in seeking to ensure compliance with such rules. The Board also considered the entrepreneurial and expense risk borne by WTAM that is associated with Funds’ unitary fee structure, which frequently includes minimum fees (such as those to the Sub-Adviser), regardless of whether the asset size of a Fund has grown to a sufficient size.

Based on this review and the other factors considered at the Meeting, the Board concluded that, with respect to each Fund, the Fund’s performance, the fees paid to WTAM and the Sub-Adviser and the Fund’s total expenses supported the Board’s approval of the renewal of the relevant Agreements.

Analysis of Profitability and Economies of Scale.

WTAM representatives reviewed the expenses allocated and profit received by WTAM and the resulting profitability percentage for managing each Fund and the aggregate profitability percentage to WTAM for managing the WisdomTree fund complex, and the method used to determine the expenses and profit.

The Board considered the profitability analysis (1) as part of its evaluation of whether the fees under the Agreements bear a reasonable relationship to the mix of services provided by WTAM and the Sub-Adviser, including the nature, extent and quality of such services, and (2) in light of the relevant circumstances for each Fund and the extent to which economies of scale would be realized if the Fund grows and whether fee levels reflect these economies of scale for the benefit of Fund shareholders. WTAM representatives noted that a discussion of economies of scale is predicated on a Fund having achieved a substantial size and that, if a Fund’s assets had been decreasing, the possibility that WTAM may have realized any economies of scale would be less. WTAM representatives also noted that, as a result of shared and allocated costs among the WisdomTree funds, the extent of economies of scale could depend substantially on the level of assets in the fund complex as a whole. The Board noted that certain Funds had grown rapidly over a relatively short period of time after longer periods of slow or no growth, during which there were years of losses for WTAM in managing such Funds that had only recently turned profitable and years of substantial cumulative losses to WTAM in managing the fund complex as a whole. WTAM representatives stated that there has been significant volatility in the assets of individual Funds and in the fund complex as a whole over time (including volatility in profitability) and that it was not clear that current asset levels will be maintained. WTAM representatives noted that assets in certain Funds have diminished at times at a rapid rate (including during the last year) and could continue to do so. WTAM representatives also noted that economies of scale currently are shared with the Funds by way of the unitary fee structure of the Trust, as well as through additional investment in the WisdomTree business. The Board noted that the Contracts Review Committee had focused on the issue of economies of scale during its meetings. The Board also noted that it would continue to monitor the sharing of economies of scale, focusing in particular on Funds that have experienced significant asset growth, to determine the appropriateness of adding breakpoints in the future. The Board also considered potential benefits to WTAM and the Sub-Adviser from acting as investment adviser and sub-investment adviser,

 

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Approval of Investment Advisory and Sub-Advisory Agreements (unaudited) (concluded)

 

respectively, and noted that there were no soft dollar arrangements in effect for trading the Funds’ investments. Based on this review, the Board concluded that the profitability results were consistent with the services rendered and service levels provided by WTAM and the entrepreneurial risk WTAM has undertaken over time.

*    *    *    *    *    *

At the conclusion of these discussions, the Board agreed that it had been furnished with sufficient information to make an informed business decision with respect to the renewal of the Agreements. In evaluating the Agreements, the Board considered the conclusions and determinations discussed above and also relied on its previous knowledge, gained through meetings and other interactions with WTAM and the Sub-Adviser, of the Funds and the services provided to the Funds by WTAM and the Sub-Adviser. The Board also relied on information received on a routine and regular basis throughout the year relating to the operations of the Funds and the investment advisory and other services provided under the Agreements. In light of the foregoing, the Board, including a majority of the Independent Trustees, determined to approve the renewal of the Agreements.

 

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General Information (unaudited)

 

Proxy Voting Policies, Procedures and Record

A complete copy of the Proxy Voting Policy may be obtained upon request, at no charge, by calling 1-866-909-WISE (9473) or writing to: WisdomTree Trust, c/o Foreside Fund Services, LLC, Three Canal Plaza Suite 100, Portland, ME, 04101.

The Trust is required to disclose annually the Funds’ complete proxy voting record on Form N-PX covering the most recent 12-month period ended June 30 and to file Form N-PX with the SEC no later than August 31 of each year. The current Form N-PX for the Funds is available at no charge upon request by calling 1-866-909-WISE (9473) or through the Trust’s website at www.wisdomtree.com. The Funds’ Form N-PX is also available on the SEC’s website at www.sec.gov.

Shareholder Reports and Quarterly Portfolio Disclosure

The Funds are required to file their complete schedule of portfolio holdings with the SEC for their first and third fiscal quarters on Form N-Q. Copies of the filings are available, without charge, on the SEC’s website at www.sec.gov and are also available by calling the Trust at 1-866-909-WISE (9473). You can also obtain copies of Form N-Q by (i) visiting the SEC’s Public Reference Room in Washington, DC (information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330); (ii) sending your request and a duplicating fee to the SEC’s Public Reference Room, Washington, DC 20549-0102; or (iii) sending your request electronically to publicinfo@sec.gov.

Information about each Fund’s portfolio holdings is available daily, without charge, at www.wisdomtree.com.

The Statement of Additional Information (“SAI”) has additional information about the Funds’ Trustees and Officers and is available without charge upon request. Contact your financial representative for a free prospectus or SAI.

Frequency Distribution of Discounts & Premiums

Information about differences between the per share net asset value of each Fund and the market trading price of shares of each Fund are available, without charge, at www.wisdomtree.com.

 

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The WisdomTree Family of Funds

The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols, as of September 30, 2017:

 

WisdomTree Domestic Equity Funds

 

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

 

WisdomTree U.S. Earnings 500 Fund (EPS)

 

WisdomTree U.S. High Dividend Fund (DHS)

 

WisdomTree U.S. LargeCap Dividend Fund (DLN)

 

WisdomTree U.S. LargeCap Value Fund (EZY)

 

WisdomTree U.S. MidCap Dividend Fund (DON)

 

WisdomTree U.S. MidCap Earnings Fund (EZM)

 

WisdomTree U.S. Multifactor Fund (USMF)

 

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

 

WisdomTree U.S. SmallCap Dividend Fund (DES)

 

WisdomTree U.S. SmallCap Earnings Fund (EES)

 

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

 

WisdomTree U.S. Total Dividend Fund (DTD)

 

WisdomTree U.S. Total Earnings Fund (EXT)

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

WisdomTree Australia Dividend Fund (AUSE)

 

WisdomTree Dynamic Currency Hedged Europe Equity Fund (DDEZ)

 

WisdomTree Dynamic Currency Hedged International Equity Fund (DDWM)

 

WisdomTree Dynamic Currency Hedged International Quality Dividend Growth Fund (DHDG)

 

WisdomTree Dynamic Currency Hedged International SmallCap Equity Fund (DDLS)

 

WisdomTree Dynamic Currency Hedged Japan Equity Fund (DDJP)

 

WisdomTree Europe Hedged Equity Fund (HEDJ)

 

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

 

WisdomTree Europe Domestic Economy Fund (EDOM)

 

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

 

WisdomTree Europe SmallCap Dividend Fund (DFE)

 

WisdomTree Germany Hedged Equity Fund (DXGE)

 

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

 

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

 

WisdomTree Global Hedged SmallCap Dividend Fund (HGSD)

 

WisdomTree International Dividend ex-Financials Fund (DOO)

 

WisdomTree International Equity Fund (DWM)

 

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

 

WisdomTree International High Dividend Fund (DTH)

 

WisdomTree International LargeCap Dividend Fund (DOL)

 

WisdomTree International MidCap Dividend Fund (DIM)

 

WisdomTree International Quality Dividend Growth Fund (IQDG)

 

WisdomTree International SmallCap Dividend Fund (DLS)

 

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

 

WisdomTree Japan Hedged Equity Fund (DXJ)

 

WisdomTree Japan Hedged Financials Fund (DXJF)

 

WisdomTree Japan Hedged Health Care Fund (DXJH)

 

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

 

WisdomTree Japan Hedged Real Estate Fund (DXJR)

 

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

 

WisdomTree Japan SmallCap Dividend Fund (DFJ)

 

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

 

  

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets

 

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

 

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

 

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

 

WisdomTree Emerging Markets Dividend Fund (DVEM)

 

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

 

WisdomTree Emerging Markets High Dividend Fund (DEM)

 

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

 

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

 

WisdomTree Global ex-Mexico Equity Fund (XMX)

 

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

 

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

 

WisdomTree Global High Dividend Fund (DEW)

 

WisdomTree Global SmallCap Dividend Fund (GSD)

 

WisdomTree India Earnings Fund (EPI)

 

WisdomTree Middle East Dividend Fund (GULF)

 

WisdomTree Dollar Sensitive Equity Funds

 

WisdomTree Strong Dollar Emerging Markets Equity Fund (EMSD)

 

WisdomTree U.S. Domestic Economy Fund (WUSA)

 

WisdomTree U.S. Export and Multinational Fund (WEXP)

 

WisdomTree Currency Strategy Funds

 

WisdomTree Bloomberg U.S. Dollar Bullish Fund (USDU)

 

WisdomTree Brazilian Real Strategy Fund (BZF)

 

WisdomTree Chinese Yuan Strategy Fund (CYB)

 

WisdomTree Emerging Currency Strategy Fund (CEW)

 

WisdomTree Fixed Income Funds

 

WisdomTree Asia Local Debt Fund (ALD)

 

WisdomTree Barclays Yield Enhanced U.S. Aggregate Bond Fund (AGGY)

 

WisdomTree Barclays Yield Enhanced U.S. Short-Term Aggregate Bond Fund (SHAG)

 

WisdomTree Barclays Negative Duration U.S. Aggregate Bond Fund (AGND)

 

WisdomTree Barclays Interest Rate Hedged U.S. Aggregate Bond Fund (AGZD)

 

WisdomTree Bloomberg Floating Rate Treasury Fund (USFR)

 

WisdomTree Negative Duration High Yield Bond Fund (HYND)

 

WisdomTree Interest Rate Hedged High Yield Bond Fund (HYZD)

 

WisdomTree Emerging Markets Corporate Bond Fund (EMCB)

 

WisdomTree Emerging Markets Local Debt Fund (ELD)

 

WisdomTree Fundamental U.S. Corporate Bond Fund (WFIG)

 

WisdomTree Fundamental U.S. High Yield Corporate Bond Fund (WFHY)

 

WisdomTree Fundamental U.S. Short-Term Corporate Bond Fund (SFIG)

 

WisdomTree Fundamental U.S. Short-Term High Yield Corporate Bond Fund (SFHY)

 

WisdomTree Alternative Funds

 

WisdomTree CBOE S&P 500 PutWrite Strategy Fund (PUTW)

 

WisdomTree Continuous Commodity Index Fund (GCC)

 

WisdomTree Dynamic Bearish U.S. Equity Fund (DYB)

 

WisdomTree Dynamic Long/Short U.S. Equity Fund (DYLS)

 

WisdomTree Managed Futures Strategy Fund (WDTI)


Table of Contents

The WisdomTree Funds are exchange traded funds (“ETFs”) registered with the United States Securities and Exchange Commission as separate series (“Funds”) of WisdomTree Trust (“Trust”). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree Investments, Inc., serves as the investment adviser to the Trust. None of the WisdomTree entities are affiliated with Foreside Fund Services, LLC, the Funds’ distributor. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, delays, or for any actions taken in reliance on information contained herein.

Investors should consider the investment objectives, risks, charges and expenses of the Funds carefully before investing. A prospectus, containing this and other information, is available at www.wisdomtree.com, or by calling 1-866-909-WISE (9473). Investors should read the prospectus carefully before investing. There are risks associated with investing, including possible loss of principal. Past performance does not guarantee future results. Indexes are unmanaged and you cannot invest directly in an index.

There are risks associated with investing including possible loss of principal. Foreign investing involves special risks, such as risk of loss from currency fluctuation or political or economic uncertainty. Investments in real estate involve additional special risks, such as credit risk, interest rate fluctuations and the effect of varied economic conditions. Funds that focus their investments in one country or region may be significantly impacted by events and developments associated with the region which can adversely affect performance. Funds focusing on a single sector and/or smaller companies generally experience greater price volatility. Investments in emerging, offshore or frontier markets are generally less liquid and less efficient than investments in developed markets and are subject to additional risks, such as risks of adverse governmental regulation and intervention or political developments. Inflation protected securities do not eliminate risks associated with inflation or deflation. Investments in currency involve additional special risks, such as credit risk and interest rate fluctuations. Derivative investments can be volatile and these investments may be less liquid than other securities, and more sensitive to the effect of varied economic conditions. As these Funds can have a high concentration in some issuers the Funds can be adversely impacted by changes affecting such issuers. Due to the investment strategy of certain Funds they may make higher capital gain distributions than other ETFs. Please read the Fund’s prospectus for specific details regarding the Fund’s risk profile.

Transactions in Fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the Funds only by Authorized Participants in large Creation Unit size aggregations of shares.


Table of Contents

WisdomTree Trust

245 Park Avenue, 35th Floor

New York, NY 10167

 

LOGO

 

LOGO

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

WisdomTree Australia Dividend Fund (AUSE)

WisdomTree Europe Hedged Equity Fund (HEDJ)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

WisdomTree Europe SmallCap Dividend Fund (DFE)

WisdomTree Germany Hedged Equity Fund (DXGE)

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

WisdomTree International Dividend ex-Financials Fund (DOO)

WisdomTree International Equity Fund (DWM)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

WisdomTree International High Dividend Fund (DTH)

WisdomTree International LargeCap Dividend Fund (DOL)

WisdomTree International MidCap Dividend Fund (DIM)

WisdomTree International Quality Dividend Growth Fund (IQDG)

WisdomTree International SmallCap Dividend Fund (DLS)

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

WisdomTree Japan Hedged Equity Fund (DXJ)

WisdomTree Japan Hedged Financials Fund (DXJF)

WisdomTree Japan Hedged Health Care Fund (DXJH)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

WisdomTree Fund shares are distributed by Foreside Fund Services, LLC, in the U.S. only.

WTGM-0040


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LOGO

 

LOGO

 

WisdomTree Trust

Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Semi-Annual Report

September 30, 2017

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

WisdomTree Emerging Markets High Dividend Fund (DEM)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

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

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

WisdomTree Global High Dividend Fund (DEW)

WisdomTree India Earnings Fund (EPI)

WisdomTree Middle East Dividend Fund (GULF)


Table of Contents

Table of Contents

 

Performance Summaries (unaudited)

       1  

Description of Indexes (unaudited)

       13  

Shareholder Expense Examples (unaudited)

       16  
Schedules of Investments (unaudited)     

WisdomTree Asia Pacific ex-Japan Fund

       18  

WisdomTree China ex-State-Owned Enterprises Fund

       21  

WisdomTree Emerging Markets Consumer Growth Fund

       24  

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund

       28  

WisdomTree Emerging Markets High Dividend Fund

       34  

WisdomTree Emerging Markets Quality Dividend Growth Fund

       38  

WisdomTree Emerging Markets SmallCap Dividend Fund

       42  

WisdomTree Global ex-U.S. Quality Dividend Growth Fund

       50  

WisdomTree Global ex-U.S. Real Estate Fund

       54  

WisdomTree Global High Dividend Fund

       58  

WisdomTree India Earnings Fund (consolidated)

       66  

WisdomTree Middle East Dividend Fund

       70  

Statements of Assets and Liabilities (unaudited)

       71  

Statements of Operations (unaudited)

       74  

Statements of Changes in Net Assets (unaudited)

       77  

Financial Highlights (unaudited)

       81  

Notes to Financial Statements (unaudited)

       87  

Approval of Investment Advisory and Sub-Advisory Agreements (unaudited)

       102  

General Information (unaudited)

       105  

“WisdomTree” is a registered mark of WisdomTree Investments, Inc. and is licensed for use by the WisdomTree Trust.


Table of Contents

Performance Summary (unaudited)

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    22.8%  

Information Technology

    17.5%  

Telecommunication Services

    14.4%  

Consumer Staples

    8.0%  

Materials

    7.7%  

Energy

    7.4%  

Industrials

    6.6%  

Utilities

    5.5%  

Consumer Discretionary

    4.7%  

Real Estate

    3.6%  

Health Care

    1.4%  

Investment Company

    0.1%  

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Taiwan Semiconductor Manufacturing Co., Ltd.

    4.9%  

China Mobile Ltd.

    4.5%  

Samsung Electronics Co., Ltd.

    3.9%  

China Construction Bank Corp., Class H

    3.3%  

Hon Hai Precision Industry Co., Ltd.

    2.2%  

Commonwealth Bank of Australia

    1.9%  

Telstra Corp., Ltd.

    1.7%  

Singapore Telecommunications Ltd.

    1.7%  

Westpac Banking Corp.

    1.6%  

CNOOC Ltd.

    1.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Asia Pacific ex-Japan Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Asia Pacific ex-Japan Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     6.72     13.55     3.28     3.91     2.19     6.85

Fund Market Price Returns

     7.39     13.63     3.48     4.21     2.20     6.93

WisdomTree Pacific ex-Japan Dividend/Asia Pacific ex-Japan Spliced Index2

     7.00     14.24     3.68     4.36     2.97     7.70

MSCI Pacific ex-Japan/MSCI AC Asia Pacific ex-Japan Spliced Index3

     12.50     20.67     6.82     6.71     2.92     7.30
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

2 

WisdomTree Pacific ex-Japan Dividend Index through June 17, 2011; WisdomTree Asia Pacific ex-Japan Index thereafter.

3 

MSCI Pacific ex-Japan Index through June 17, 2011; MSCI AC Asia Pacific ex-Japan Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      1  


Table of Contents

Performance Summary (unaudited)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    34.5%  

Consumer Discretionary

    23.6%  

Financials

    14.4%  

Real Estate

    8.2%  

Health Care

    5.6%  

Industrials

    5.6%  

Consumer Staples

    4.2%  

Materials

    2.6%  

Utilities

    0.7%  

Telecommunication Services

    0.4%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Alibaba Group Holding Ltd., ADR

    9.4%  

Tencent Holdings Ltd.

    8.9%  

Baidu, Inc., ADR

    6.2%  

Ping An Insurance Group Co. of China Ltd., Class A

    5.2%  

Ping An Insurance Group Co. of China Ltd., Class H

    4.7%  

JD.com, Inc., ADR

    4.1%  

Ctrip.com International Ltd., ADR

    3.0%  

China Minsheng Banking Corp., Ltd., Class A

    2.6%  

Yum China Holdings, Inc.

    2.0%  

Geely Automobile Holdings Ltd.

    2.0%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree China ex-State-Owned Enterprises Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree China ex-State-Owned Enterprises Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s net and gross annual expense ratios were 0.32% and 0.63%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.32% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*      1 Year      3 Year      5 Year      Since
Inception1
 

Fund NAV Returns

     37.65      50.69      16.30      11.50      11.41

Fund Market Price Returns

     38.59      50.84      16.52      11.83      11.42

WisdomTree China Dividend ex-Financials/China ex-State-Owned Enterprises Spliced Index2

     38.00      51.25      17.72      12.42      12.33

MSCI China Index

     26.78      33.04      12.58      10.96      10.93

FTSE China 50 Index

     14.91      20.23      7.99      7.91      7.80
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on September 19, 2012.

2 

WisdomTree China Dividend ex-Financials Index through June 30, 2015; WisdomTree China ex-State-Owned Enterprises Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

2   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Staples

    29.7%  

Consumer Discretionary

    28.2%  

Real Estate

    9.2%  

Financials

    8.9%  

Industrials

    8.5%  

Information Technology

    5.6%  

Utilities

    5.1%  

Telecommunication Services

    2.7%  

Health Care

    1.9%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Ambev S.A.

    7.9%  

SK Holdings Co., Ltd.

    4.8%  

Korea Electric Power Corp.

    3.4%  

Wal-Mart de Mexico S.A.B. de C.V.

    3.3%  

Ping An Insurance Group Co. of China Ltd., Class H

    2.8%  

Baidu, Inc., ADR

    2.6%  

Country Garden Holdings Co., Ltd.

    1.9%  

Samsung C&T Corp.

    1.9%  

Magnit PJSC, GDR Reg S

    1.8%  

KT&G Corp.

    1.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Emerging Markets Consumer Growth Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets Consumer Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s net and gross annual expense ratios were 0.32% and 0.63%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.32% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      Since
Inception1
 

Fund NAV Returns

       12.72      13.35      2.26      2.40

Fund Market Price Returns

       13.10      13.87      2.47      2.40

WisdomTree Emerging Markets Consumer Growth Index

       13.11      14.14      3.09      3.15

MSCI Emerging Markets Index

       14.66      22.46      4.90      4.42
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on September 27, 2013.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      3  


Table of Contents

Performance Summary (unaudited)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    33.1%  

Financials

    17.0%  

Consumer Discretionary

    13.6%  

Consumer Staples

    8.8%  

Materials

    6.5%  

Industrials

    5.2%  

Energy

    5.2%  

Health Care

    3.5%  

Telecommunication Services

    3.0%  

Real Estate

    2.9%  

Utilities

    1.1%  

Other Assets less Liabilities

    0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Tencent Holdings Ltd.

    6.7

Alibaba Group Holding Ltd., ADR

    5.5

Samsung Electronics Co., Ltd.

    4.7

Taiwan Semiconductor Manufacturing Co., Ltd.

    2.9

Naspers Ltd., Class N

    2.2

Baidu, Inc., ADR

    1.9

Ping An Insurance Group Co. of China Ltd., Class H

    1.6

Lukoil PJSC, ADR

    1.3

Hon Hai Precision Industry Co., Ltd.

    1.1

Reliance Industries Ltd., GDR

    1.1
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets ex-State-Owned Enterprises Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s net and gross annual expense ratios were 0.32% and 0.58%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.32% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      Since
Inception1
 

Fund NAV Returns

       19.34      27.36      8.62

Fund Market Price Returns

       19.68      27.98      9.08

WisdomTree Emerging Markets ex-State-Owned Enterprises Index

       19.74      28.15      10.29

MSCI Emerging Markets Index

       14.66      22.46      6.97
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on December 10, 2014.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

4   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Emerging Markets High Dividend Fund (DEM)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    22.1%  

Telecommunication Services

    14.8%  

Energy

    13.7%  

Materials

    13.2%  

Information Technology

    13.1%  

Utilities

    8.0%  

Industrials

    4.6%  

Consumer Discretionary

    4.5%  

Real Estate

    3.9%  

Consumer Staples

    1.3%  

Health Care

    0.5%  

Investment Company

    0.1%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Gazprom PJSC, ADR

    3.7%  

Hon Hai Precision Industry Co., Ltd.

    3.5%  

Lukoil PJSC, ADR

    3.4%  

China Construction Bank Corp., Class H

    2.9%  

CNOOC Ltd.

    2.4%  

MTN Group Ltd.

    2.2%  

Industrial & Commercial Bank of China Ltd., Class H

    2.1%  

MMC Norilsk Nickel PJSC, ADR

    2.0%  

Chunghwa Telecom Co., Ltd.

    1.8%  

Korea Electric Power Corp.

    1.7%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Emerging Markets High Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets High Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.63%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      10 Year      Since
Inception1
 

Fund NAV Returns

       8.58      19.19      0.32      -0.41      2.32      2.51

Fund Market Price Returns

       8.74      19.12      0.69      -0.27      2.27      2.28

WisdomTree Emerging Markets High Dividend Index

       8.84      20.03      1.38      0.57      3.34      3.53

MSCI Emerging Markets Index

       14.66      22.46      4.90      3.99      1.32      1.84
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on July 13, 2007.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      5  


Table of Contents

Performance Summary (unaudited)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    22.1%  

Consumer Staples

    18.7%  

Consumer Discretionary

    16.7%  

Telecommunication Services

    7.1%  

Energy

    6.7%  

Real Estate

    6.6%  

Industrials

    6.0%  

Materials

    5.7%  

Financials

    4.9%  

Health Care

    3.2%  

Utilities

    2.0%  

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Taiwan Semiconductor Manufacturing Co., Ltd.

    5.6%  

Ambev S.A.

    4.6%  

MMC Norilsk Nickel PJSC, ADR

    4.1%  

Wal-Mart de Mexico S.A.B. de C.V.

    3.5%  

China Overseas Land & Investment Ltd.

    2.7%  

Vodacom Group Ltd.

    2.5%  

BB Seguridade Participacoes S.A.

    2.5%  

Tencent Holdings Ltd.

    2.4%  

Formosa Petrochemical Corp.

    2.4%  

America Movil S.A.B. de C.V., Series L

    2.4%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Emerging Markets Quality Dividend Growth Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s net and gross annual expense ratios were 0.32% and 0.63%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.32% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      Since
Inception1
 

Fund NAV Returns

       12.61      15.31      2.64      2.84

Fund Market Price Returns

       12.06      14.02      2.64      2.49

WisdomTree Emerging Markets Quality Dividend Growth Index

       12.58      15.81      3.48      3.70

MSCI Emerging Markets Index

       14.66      22.46      4.90      5.53
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on August 1, 2013.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

6   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    15.9%  

Real Estate

    15.9%  

Information Technology

    15.6%  

Industrials

    14.0%  

Financials

    10.3%  

Materials

    8.6%  

Consumer Staples

    5.7%  

Utilities

    5.3%  

Health Care

    3.7%  

Energy

    3.2%  

Telecommunication Services

    1.4%  

Other Assets less Liabilities

    0.4%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Sunac China Holdings Ltd.

    2.5%  

Guangzhou R&F Properties Co., Ltd., Class H

    1.2%  

Transmissora Alianca de Energia Eletrica S.A.

    1.1%  

CIFI Holdings Group Co., Ltd.

    0.9%  

KWG Property Holding Ltd.

    0.9%  

Highwealth Construction Corp.

    0.7%  

Sihuan Pharmaceutical Holdings Group Ltd.

    0.7%  

Kingboard Laminates Holdings Ltd.

    0.7%  

Novatek Microelectronics Corp.

    0.7%  

Smiles S.A.

    0.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Emerging Markets SmallCap Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets SmallCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.63%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      Since
Inception1
 

Fund NAV Returns

       12.20      22.02      4.87      4.40      2.90

Fund Market Price Returns

       12.01      21.19      5.23      4.54      2.95

WisdomTree Emerging Markets SmallCap Dividend Index

       12.05      22.23      5.97      5.39      3.99

MSCI Emerging Markets Small Cap Index

       8.41      14.89      3.14      4.60      1.13
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on October 30, 2007.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      7  


Table of Contents

Performance Summary (unaudited)

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

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    20.6%  

Consumer Staples

    18.6%  

Information Technology

    18.5%  

Health Care

    10.4%  

Industrials

    8.4%  

Materials

    6.7%  

Financials

    5.0%  

Real Estate

    4.0%  

Energy

    3.7%  

Telecommunication Services

    2.7%  

Utilities

    0.9%  

Investment Company

    0.2%  

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Taiwan Semiconductor Manufacturing Co., Ltd.

    5.5%  

Novo Nordisk A/S, Class B

    5.2%  

British American Tobacco PLC

    3.7%  

Industria de Diseno Textil S.A.

    3.1%  

Diageo PLC

    3.0%  

Deutsche Post AG, Registered Shares

    2.6%  

Ambev S.A.

    2.5%  

MMC Norilsk Nickel PJSC, ADR

    2.3%  

Formosa Petrochemical Corp.

    2.0%  

Wal-Mart de Mexico S.A.B. de C.V.

    1.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Global ex-U.S. Quality Dividend Growth Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Global ex-U.S. Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      10 Year      Since
Inception1
 

Fund NAV Returns

       14.27      17.58      5.81      5.22      2.80      3.54

Fund Market Price Returns

       14.59      17.36      5.92      5.31      2.90      3.61

WisdomTree Japan Equity Income/Global ex-U.S. Quality Dividend Growth Spliced Index2

       14.59      18.49      6.50      5.90      3.43      4.15

MSCI Japan Value/MSCI AC World ex-USA Growth Spliced Index3

       14.38      17.68      6.43      7.87      4.31      5.08
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

2 

WisdomTree Japan Equity Income Index through June 19, 2009; WisdomTree Global ex-U.S. Quality Dividend Growth Index thereafter.

3 

MSCI Japan Value Index through June 19, 2009; MSCI AC World ex-USA Growth Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

8   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

 

Industry Breakdown† as of 9/30/17

 

Industry   % of Net Assets  

Real Estate Management & Development

    56.2%  

Equity Real Estate Investment Trusts (REITs)

    43.3%  

Media

    0.0%

Other Assets less Liabilities

    0.5%  

Total

    100.0%  

 

The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

 

* Represents less than 0.1%.

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Sun Hung Kai Properties Ltd.

    3.4%  

Country Garden Holdings Co., Ltd.

    3.2%  

Unibail-Rodamco SE

    2.5%  

China Overseas Land & Investment Ltd.

    2.5%  

Wharf Holdings Ltd. (The)

    2.3%  

Henderson Land Development Co., Ltd.

    1.9%  

Scentre Group

    1.9%  

Daiwa House Industry Co., Ltd.

    1.9%  

Link REIT

    1.6%  

Sunac China Holdings Ltd.

    1.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Global ex-U.S. Real Estate Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Global ex-U.S. Real Estate Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      10 Year      Since
Inception1
 

Fund NAV Returns

       16.18      17.86      9.23      7.75      1.22      1.36

Fund Market Price Returns

       16.54      17.94      9.51      7.90      1.16      1.28

WisdomTree International Real Estate/Global ex-U.S. Real Estate Spliced Index2

       16.25      18.03      9.48      7.96      1.37      1.52

Dow Jones Global ex-U.S. Select Real Estate Securities Index

       4.77      0.83      2.48      5.00      0.33      -0.35
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 5, 2007.

2 

WisdomTree International Real Estate Index through June 17, 2011; WisdomTree Global ex-U.S. Real Estate Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      9  


Table of Contents

Performance Summary (unaudited)

WisdomTree Global High Dividend Fund (DEW)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    21.5%  

Energy

    14.4%  

Telecommunication Services

    9.4%  

Utilities

    8.8%  

Consumer Discretionary

    8.3%  

Industrials

    7.8%  

Consumer Staples

    7.4%  

Health Care

    7.0%  

Information Technology

    5.7%  

Real Estate

    5.4%  

Materials

    4.0%  

Other Assets less Liabilities

    0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Exxon Mobil Corp.

    2.7%  

AT&T, Inc.

    2.7%  

Chevron Corp.

    2.2%  

Verizon Communications, Inc.

    2.1%  

Pfizer, Inc.

    1.8%  

Procter & Gamble Co. (The)

    1.7%  

Philip Morris International, Inc.

    1.7%  

General Electric Co.

    1.7%  

Wells Fargo & Co.

    1.6%  

Coca-Cola Co. (The)

    1.4%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Global High Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Global High Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      10 Year      Since
Inception1
 

Fund NAV Returns

       6.94      14.10      4.12      6.54      1.09      3.83

Fund Market Price Returns

       6.92      13.86      4.29      6.53      1.04      3.77

WisdomTree Europe Equity Income/Global High Dividend Spliced Index2

       6.92      14.14      4.00      6.65      1.26      4.05

MSCI Europe Value/MSCI AC World Spliced Index3

       9.68      18.65      7.43      10.20      2.42      5.22
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

2 

WisdomTree Europe Equity Income Index through June 19, 2009; WisdomTree Global High Dividend Index thereafter.

3 

MSCI Europe Value Index through June 19, 2009; MSCI AC World Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

10   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree India Earnings Fund (EPI)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    24.2%  

Energy

    18.9%  

Information Technology

    16.3%  

Consumer Discretionary

    9.6%  

Materials

    8.3%  

Health Care

    6.0%  

Industrials

    5.6%  

Utilities

    5.5%  

Consumer Staples

    4.2%  

Telecommunication Services

    1.5%  

Real Estate

    0.4%  

Other Assets less Liabilities

    -0.5%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Reliance Industries Ltd.

    8.3%  

Infosys Ltd.

    7.1%  

Housing Development Finance Corp., Ltd.

    6.4%  

Tata Consultancy Services Ltd.

    3.6%  

ICICI Bank Ltd.

    2.9%  

Oil & Natural Gas Corp., Ltd.

    2.6%  

Indian Oil Corp., Ltd.

    2.2%  

HCL Technologies Ltd.

    1.9%  

Sun Pharmaceutical Industries Ltd.

    1.9%  

Hindustan Petroleum Corp., Ltd.

    1.8%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree India Earnings Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree India Earnings Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.83%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      Since
Inception1
 

Fund NAV Returns

       4.63      17.12      5.50      6.77      0.92

Fund Market Price Returns

       4.87      17.60      5.80      6.97      0.90

WisdomTree India Earnings Index

       5.88      19.13      6.80      8.08      2.33

MSCI India Index

       5.95      14.18      4.48      6.57      1.40
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on February 22, 2008.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      11  


Table of Contents

Performance Summary (unaudited)

WisdomTree Middle East Dividend Fund (GULF)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    52.2%  

Telecommunication Services

    26.7%  

Industrials

    10.3%  

Real Estate

    7.3%  

Utilities

    1.3%  

Energy

    0.9%  

Health Care

    0.5%  

Materials

    0.4%  

Consumer Discretionary

    0.3%  

Consumer Staples

    0.1%  

Other Assets less Liabilities

    0.0%

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries. It does not include derivatives (if any).

 

Other assets includes investment of cash collateral for securities on loan (if any).

 

* Represents less than 0.1%.

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

National Bank of Kuwait SAKP

    8.5%  

Mobile Telecommunications Co. KSC

    8.1%  

Maroc Telecom

    7.7%  

First Abu Dhabi Bank PJSC

    7.4%  

Emirates Telecommunications Group Co. PJSC

    5.7%  

Kuwait Finance House KSCP

    4.7%  

Industries Qatar QSC

    4.0%  

Attijariwafa Bank

    3.7%  

Qatar National Bank QPSC

    3.3%  

Agility Public Warehousing Co. KSC

    3.1%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree Middle East Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Middle East Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.88%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      Since
Inception1
 

Fund NAV Returns

       2.05      6.90      -6.01      7.56      0.31

Fund Market Price Returns

       1.84      6.31      -6.57      7.51      0.00

WisdomTree Middle East Dividend Index

       2.54      9.64      -4.50      8.52      1.70

MSCI Arabian Markets ex-Saudi Arabia Index

       -0.23      3.87      -7.43      3.62      -3.73
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on July 16, 2008.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

12   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Description of Indexes (unaudited)

 

Below are descriptions of each Index referenced in this report:

The Dow Jones Global ex-U.S. Select Real Estate Securities Index is a float-adjusted market capitalization weighted index that defines and measures the investable universe of publicly traded real estate securities in countries outside the U.S.

The FTSE China 50 Index is a capitalization weighted index that is comprised of the 50 largest and most liquid Chinese securities.

The MSCI AC Asia Pacific ex-Japan Index is comprised of large- and mid-capitalization segments of emerging market and developed market countries in the Asia Pacific region, excluding Japan.

The MSCI AC World ex-USA Growth Index is comprised of growth stocks in the

developed and emerging markets covered by MSCI, excluding the U.S.

The MSCI AC World Index is comprised of the world stock market indexes covered by MSCI.

The MSCI ACWI ex-USA Index is comprised of large- and mid-capitalization segments of the developed and emerging markets covered by MSCI, excluding the U.S.

The MSCI Arabian Markets ex-Saudi Arabia Index is a free float-adjusted market capitalization index that aims to represent the universe of companies in the Gulf Cooperation Council (GCC) countries, excluding Saudi Arabia, plus Jordan, Egypt, Morocco, Tunisia and Lebanon.

The MSCI China Index is a free float-adjusted market capitalization weighted index designed to measure the performance of the Chinese equity market.

The MSCI Emerging Markets Index is a free float-adjusted market capitalization index that is designed to measure emerging markets equity performance.

The MSCI Emerging Markets Small Cap Index is a free float-adjusted market capitalization index that is designed to measure the performance of small capitalization equities in the emerging markets.

The MSCI Europe Value Index is comprised of value stocks in the MSCI Europe Index.

The MSCI India Index is a free float-adjusted market capitalization index that is designed to measure the performance of the Indian equity market.

The MSCI Japan Value Index is comprised of value stocks in the MSCI Japan Index.

The MSCI Pacific ex-Japan Index is a subset of the MSCI EAFE Index that is comprised of stocks in Australia, Hong Kong, Singapore and New Zealand.

The S&P 500® Index is a capitalization-weighted index of 500 stocks selected by Standard & Poor’s Index Committee, designed to represent the performance of the leading industries in the United States economy.

The WisdomTree Asia Pacific ex-Japan Index is comprised of dividend-paying companies incorporated in emerging market and developed countries in the Pacific region, excluding Japan.

The WisdomTree China Dividend ex-Financials Index is comprised of Chinese dividend paying stocks outside the Financials sector.

The WisdomTree China ex-State-Owned Enterprises Index measures the performance of Chinese stocks that are not state-owned enterprises. WisdomTree Investments, Inc., as index provider, defines state-owned enterprises as companies with over 20% government ownership.

The WisdomTree Emerging Markets Consumer Growth Index consists of stocks that best exemplify growth trends in emerging market consumers and their local economies.

The WisdomTree Emerging Markets ex-State-Owned Enterprises Index is a modified market capitalization weighted index that consists of common stocks in emerging markets, excluding common stocks of “state-owned enterprises.” WisdomTree Investments, Inc., as index provider, defines state-owned enterprises as companies with over 20% government ownership.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      13  


Table of Contents

Description of Indexes (unaudited) (continued)

 

 

The WisdomTree Emerging Markets High Dividend Index is comprised of the highest dividend-yielding stocks selected from the WisdomTree Emerging Markets Dividend Index.

The WisdomTree Emerging Markets Quality Dividend Growth Index consists of dividend paying stocks with growth characteristics selected from the WisdomTree Emerging Markets Dividend Index.

The WisdomTree Emerging Markets SmallCap Dividend Index is comprised of primarily small-capitalization stocks selected from the WisdomTree Emerging Markets Dividend Index.

The WisdomTree Europe Equity Income Index is comprised of companies with high dividend yields selected from the WisdomTree Europe Dividend Index.

The WisdomTree Global ex-U.S. Quality Dividend Growth Index is comprised of growth companies selected from developed and emerging markets outside the U.S.

The WisdomTree Global ex-U.S. Real Estate Index is comprised of companies in developed and emerging markets outside of Canada and the U.S., which WisdomTree classifies as being Global Real Estate securities.

The WisdomTree Global High Dividend Index is comprised of high dividend-paying companies selected from the WisdomTree Global Dividend Index.

The WisdomTree India Earnings Index is a fundamentally weighted index that is comprised of companies incorporated and traded in India that are profitable and that are eligible to be purchased by foreign investors as of the index measurement date.

The WisdomTree International Real Estate Index is comprised of companies in

developed markets outside of the U.S. and Canada that pay regular cash dividends and that WisdomTree Investments classifies as being part of the International Real Estate sector.

The WisdomTree Japan Equity Income Index is comprised of companies with high dividend yields selected from the WisdomTree Japan Dividend Index.

The WisdomTree Middle East Dividend Index is comprised of companies in the Middle East region that pay regular cash dividends on shares of common stock and that meet specified requirements as of the index measurement date.

The WisdomTree Pacific ex-Japan Dividend Index is comprised of dividend-paying companies incorporated in the Pacific region, excluding Japan.

The Dow Jones Global ex-U.S. Select Real Estate Securities Index is calculated, distributed and marketed by Dow Jones Indexes, a licensed trademark of CME Group Index Services LLC, and has been licensed for use.

The Global Industry Classification Standard (“GICS”) was developed by and is the exclusive property and a service mark of MSCI Inc. (“MSCI”) and Standard & Poor’s (“S&P”), a division of The McGraw-Hill Companies, Inc. and is licensed for use by WisdomTree Investments, Inc. Neither MSCI, S&P nor any other party involved in making or compiling the GICS or any GICS classifications makes any express or implied warranties or representations with respect to such standard or classification (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability and fitness for a particular purpose with respect to any such standard or classification. Without limiting any of the foregoing, in no event shall MSCI, S&P, any of their affiliates or any third party involved in making or compiling the GICS or any GICS classifications have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of

 

14   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Description of Indexes (unaudited) (concluded)

 

its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI’s express written consent.

WisdomTree Investments, Inc. and WisdomTree Asset Management, Inc. (together, “WisdomTree”) and the Funds make no representation or warranty, express or implied, to the owners of shares of the Funds or any member of the public regarding the advisability of investing in securities generally or in the Funds particularly or the ability of the underlying Indexes to track the performance of their underlying securities. WisdomTree Investments is the licensor of certain trademarks, service marks and trade names of the Funds. WisdomTree Investments has no obligation to take the needs of the Funds or the owners of shares of the Funds into consideration in determining, composing, or calculating the underlying WisdomTree Indexes of the applicable Funds. WisdomTree Investments is not responsible for, and has not participated in, the determination of the timing of, prices of, or quantities of shares of the Funds to be issued or in the determination or calculation of the equation by which the shares of the Funds are redeemable. WisdomTree and the Funds do not guarantee the accuracy, completeness, or performance of the underlying Indexes or the data included therein and shall have no liability in connection with the underlying Indexes or their calculation.

Index performance information assumes the reinvestment of dividends and excludes management fees, transaction costs and expenses. You cannot directly invest in an index.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      15  


Table of Contents

Shareholder Expense Examples (unaudited)

 

 

As a shareholder of a WisdomTree Fund, you incur two types of cost: (1) transaction costs, including brokerage commissions on purchases and sales of your Fund shares and (2) ongoing costs, including management fees and other Fund expenses. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds.

The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from April 1, 2017 to September 30, 2017.

Actual expenses

The first line under each Fund in the table on the next page provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line for your Fund under the heading entitled “Expenses Paid During the Period 4/1/17 to 9/30/17” to estimate the expenses you paid on your account during the period.

Hypothetical example for comparison purposes

The second line under each Fund in the table on the next page provides information about hypothetical account values and hypothetical expenses based on each Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

16   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Shareholder Expense Examples (unaudited) (concluded)

 

 

     Beginning
Account
Value
4/1/17
    Ending
Account
Value
9/30/17
    Annualized
Expense Ratio
Based on the
Period
4/1/17 to
9/30/17
    Expenses Paid
During the
Period†
4/1/17 to
9/30/17
 

WisdomTree Asia Pacific ex-Japan Fund

       

Actual

  $ 1,000.00     $ 1,067.20       0.48   $ 2.49  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,022.66       0.48   $ 2.43  

WisdomTree China ex-State-Owned Enterprises Fund

       

Actual

  $ 1,000.00     $ 1,376.50       0.38 %1    $ 2.26  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38 %1    $ 1.93  

WisdomTree Emerging Markets Consumer Growth Fund

       

Actual

  $ 1,000.00     $ 1,127.20       0.46 %1    $ 2.45  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,022.76       0.46 %1    $ 2.33  

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund

       

Actual

  $ 1,000.00     $ 1,193.40       0.36 %1    $ 1.98  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.26       0.36 %1    $ 1.83  

WisdomTree Emerging Markets High Dividend Fund

       

Actual

  $ 1,000.00     $ 1,085.80       0.63   $ 3.29  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,021.91       0.63   $ 3.19  

WisdomTree Emerging Markets Quality Dividend Growth Fund

       

Actual

  $ 1,000.00     $ 1,126.10       0.47 %1    $ 2.51  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,022.71       0.47 %1    $ 2.38  

WisdomTree Emerging Markets SmallCap Dividend Fund

       

Actual

  $ 1,000.00     $ 1,122.00       0.63   $ 3.35  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,021.91       0.63   $ 3.19  

WisdomTree Global ex-U.S. Quality Dividend Growth Fund

       

Actual

  $ 1,000.00     $ 1,142.70       0.58   $ 3.12  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,022.16       0.58   $ 2.94  

WisdomTree Global ex-U.S. Real Estate Fund

       

Actual

  $ 1,000.00     $ 1,161.80       0.58   $ 3.14  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,022.16       0.58   $ 2.94  

WisdomTree Global High Dividend Fund

       

Actual

  $ 1,000.00     $ 1,069.40       0.58   $ 3.01  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,022.16       0.58   $ 2.94  

WisdomTree India Earnings Fund (consolidated)

       

Actual

  $ 1,000.00     $ 1,046.30       0.84   $ 4.31  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,020.86       0.84   $ 4.26  

WisdomTree Middle East Dividend Fund

       

Actual

  $ 1,000.00     $ 1,020.50       0.88   $ 4.46  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,020.66       0.88   $ 4.46  
Expenses are calculated using each Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/365 (to reflect the one-half year period).

 

1 

WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.32% effective June 30, 2017 through July 31, 2018, unless earlier terminated by the Board of Trustees of the WisdomTree Trust for any reason.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      17  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%  
Australia – 18.0%  

AGL Energy Ltd.

     11,341      $ 207,963  

Amcor Ltd.

     17,251        205,882  

AMP Ltd.

     22,358        84,734  

Aurizon Holdings Ltd.

     37,769        145,214  

Australia & New Zealand Banking Group Ltd.

     25,367        589,165  

BHP Billiton Ltd.

     23,083        466,929  

Brambles Ltd.

     15,893        112,234  

Caltex Australia Ltd.

     4,146        104,426  

CIMIC Group Ltd.

     4,093        141,984  

Coca-Cola Amatil Ltd.

     13,326        80,827  

Commonwealth Bank of Australia

     13,596        802,774  

Crown Resorts Ltd.

     16,048        142,416  

CSL Ltd.

     2,914        306,295  

Fortescue Metals Group Ltd.

     33,553        135,323  

Insurance Australia Group Ltd.

     15,347        76,708  

Macquarie Group Ltd.

     2,489        177,566  

National Australia Bank Ltd.

     25,919        640,626  

QBE Insurance Group Ltd.

     9,122        71,647  

Ramsay Health Care Ltd.

     1,715        83,809  

REA Group Ltd.

     1,320        69,394  

Rio Tinto Ltd.

     7,279        379,984  

Sonic Healthcare Ltd.

     6,147        100,854  

Suncorp Group Ltd.

     6,564        67,213  

Telstra Corp., Ltd.

     267,199        731,705  

Treasury Wine Estates Ltd.

     5,817        62,485  

Wesfarmers Ltd.

     16,917        548,611  

Westpac Banking Corp.

     28,502        713,862  

Woodside Petroleum Ltd.

     10,303        235,252  

Woolworths Ltd.

     15,260        301,858  
     

 

 

 
Total Australia        7,787,740  
China – 20.8%  

AAC Technologies Holdings, Inc.

     7,500        125,981  

Agricultural Bank of China Ltd. Class H

     208,000        93,205  

ANTA Sports Products Ltd.

     32,000        134,585  

Bank of China Ltd. Class H

     613,255        302,282  

Bank of Communications Co., Ltd. Class H

     243,955        178,031  

Beijing Enterprises Holdings Ltd.

     11,000        59,150  

China CITIC Bank Corp., Ltd. Class H

     84,000        53,342  

China Construction Bank Corp. Class H

     1,737,100        1,441,152  

China Life Insurance Co., Ltd. Class H

     34,396        102,386  

China Merchants Bank Co., Ltd. Class H

     30,904        108,609  

China Merchants Port Holdings Co., Ltd.

     39,238        121,069  

China Minsheng Banking Corp., Ltd. Class H

     59,000        54,085  

China Mobile Ltd.

     193,234        1,958,143  

China Overseas Land & Investment Ltd.

     47,065        153,053  

China Pacific Insurance Group Co., Ltd. Class H

     20,200        87,026  

China Petroleum & Chemical Corp. Class H

     262,261        196,426  

China Resources Land Ltd.

     38,000        116,276  

China Resources Power Holdings Co., Ltd.

     96,218        173,694  

China Shenhua Energy Co., Ltd. Class H

     35,736        84,002  

China State Construction International Holdings Ltd.

     46,000        67,021  

China Telecom Corp., Ltd. Class H

     143,038      73,252  

CITIC Ltd.

     263,000        388,572  

CNOOC Ltd.

     524,561        676,966  

Country Garden Holdings Co., Ltd.

     123,000        195,586  

Dali Foods Group Co., Ltd.(a)(b)

     149,500        107,186  

Fosun International Ltd.

     51,500        108,529  

Guangdong Investment Ltd.

     78,000        111,247  

Hengan International Group Co., Ltd.

     16,000        148,105  

Industrial & Commercial Bank of China Ltd. Class H

     648,270        481,387  

Lenovo Group Ltd.

     193,000        106,499  

PetroChina Co., Ltd. Class H

     124,919        79,167  

Ping An Insurance Group Co. of China Ltd. Class H

     22,646        173,816  

Shenzhou International Group Holdings Ltd.

     11,000        86,189  

Sun Art Retail Group Ltd.

     116,725        108,346  

Tencent Holdings Ltd.

     8,100        348,653  

Want Want China Holdings Ltd.

     136,000        95,592  

WH Group Ltd.(b)

     112,000        119,016  
     

 

 

 
Total China        9,017,626  
Hong Kong – 7.7%  

AIA Group Ltd.

     26,925        198,559  

BOC Hong Kong Holdings Ltd.

     64,389        312,848  

Chow Tai Fook Jewellery Group Ltd.

     95,400        114,445  

CLP Holdings Ltd.

     32,104        329,026  

Galaxy Entertainment Group Ltd.

     19,000        133,791  

Hang Lung Properties Ltd.

     41,000        97,321  

Hang Seng Bank Ltd.

     11,703        285,282  

Henderson Land Development Co., Ltd.

     20,476        135,664  

Hong Kong & China Gas Co., Ltd.

     130,314        244,922  

Hong Kong Exchanges & Clearing Ltd.

     5,835        156,881  

I-CABLE Communications Ltd.*

     5,366        175  

MTR Corp., Ltd.

     54,265        316,807  

New World Development Co., Ltd.

     77,409        111,197  

Power Assets Holdings Ltd.

     31,079        269,181  

Sino Land Co., Ltd.

     18,924        33,241  

Sun Hung Kai Properties Ltd.

     14,534        236,133  

Swire Pacific Ltd. Class A

     9,500        92,194  

Swire Properties Ltd.

     34,600        117,390  

Wharf Holdings Ltd. (The)

     19,350        172,425  
     

 

 

 
Total Hong Kong        3,357,482  
India – 3.8%  

Ambuja Cements Ltd.

     10,157        41,432  

Asian Paints Ltd.

     2,045        35,431  

Axis Bank Ltd. GDR Reg S

     1,484        57,282  

Bajaj Auto Ltd.

     489        23,278  

Bharat Petroleum Corp., Ltd.

     4,942        35,658  

Bharti Airtel Ltd.

     8,369        49,898  

Bharti Infratel Ltd.

     3,406        20,774  

Coal India Ltd.

     34,897        144,701  

Dr Reddy’s Laboratories Ltd. ADR

     621        22,157  

GAIL India Ltd. GDR Reg S

     324        12,458  

HCL Technologies Ltd.

     6,584        88,176  

Hero MotoCorp Ltd.

     662        38,254  

Hindustan Unilever Ltd.

     6,625        119,061  

 

See Notes to Financial Statements.

 

18   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

IndusInd Bank Ltd.

     1,199      $ 30,878  

Infosys Ltd.

     440        6,062  

Infosys Ltd. ADR

     13,760        200,758  

ITC Ltd.

     19,871        78,577  

Larsen & Toubro Ltd. GDR Reg S

     3,160        55,774  

Lupin Ltd.

     1,380        21,423  

NTPC Ltd.

     14,858        38,089  

Oil & Natural Gas Corp., Ltd.

     33,625        88,001  

Reliance Industries Ltd. GDR(b)

     4,776        113,908  

State Bank of India GDR Reg S

     406        15,590  

Tata Consultancy Services Ltd.

     3,508        130,822  

Tech Mahindra Ltd.

     6,101        42,764  

Wipro Ltd.

     9,174        39,360  

Yes Bank Ltd.

     9,025        48,358  

Zee Entertainment Enterprises Ltd.

     4,266        33,967  
     

 

 

 
Total India        1,632,891  
Indonesia – 3.5%  

Astra International Tbk PT

     315,161        184,852  

Bank Central Asia Tbk PT

     95,075        143,294  

Bank Mandiri Persero Tbk PT

     229,448        114,562  

Bank Rakyat Indonesia Persero Tbk PT

     97,300        110,347  

Gudang Garam Tbk PT

     26,500        129,460  

Hanjaya Mandala Sampoerna Tbk PT

     1,234,700        353,845  

Telekomunikasi Indonesia Persero Tbk PT

     878,100        305,109  

Unilever Indonesia Tbk PT

     51,535        187,388  
     

 

 

 
Total Indonesia        1,528,857  
Malaysia – 4.0%  

Axiata Group Bhd

     114,700        142,339  

DiGi.Com Bhd

     128,800        149,466  

Genting Malaysia Bhd

     30,040        38,275  

IOI Corp. Bhd

     67,900        73,006  

Kuala Lumpur Kepong Bhd

     13,300        77,359  

Malayan Banking Bhd

     93,794        211,689  

Maxis Bhd

     101,700        139,694  

MISC Bhd

     59,200        102,347  

Petronas Chemicals Group Bhd

     78,308        135,196  

Petronas Gas Bhd

     24,600        104,284  

Public Bank Bhd

     29,190        141,301  

Sime Darby Bhd

     77,000        164,485  

Telekom Malaysia Bhd

     62,900        96,827  

Tenaga Nasional Bhd

     49,100        166,516  
     

 

 

 
Total Malaysia        1,742,784  
New Zealand – 0.2%  

Auckland International Airport Ltd.

     17,107        79,641  
Philippines – 1.7%  

Aboitiz Power Corp.

     122,600        103,415  

Globe Telecom, Inc.

     2,310        93,219  

Manila Electric Co.

     22,560        125,680  

PLDT, Inc.

     5,365        176,160  

SM Investments Corp.

     9,064        157,551  

Universal Robina Corp.

     21,160        63,647  
     

 

 

 
Total Philippines        719,672  
Singapore – 5.1%     

CapitaLand Ltd.

     43,900      115,734  

DBS Group Holdings Ltd.

     15,617        239,439  

Jardine Cycle & Carriage Ltd.

     3,578        103,655  

Keppel Corp., Ltd.

     34,584        165,286  

Oversea-Chinese Banking Corp., Ltd.

     29,101        239,160  

Singapore Airlines Ltd.

     18,757        138,680  

Singapore Technologies Engineering Ltd.

     53,425        135,338  

Singapore Telecommunications Ltd.

     269,077        729,190  

United Overseas Bank Ltd.

     11,398        197,248  

Wilmar International Ltd.

     61,100        143,082  
     

 

 

 
Total Singapore        2,206,812  
South Korea – 12.0%  

Coway Co., Ltd.

     1,145        93,971  

Hanon Systems

     6,630        72,937  

Hyundai Motor Co.

     2,593        340,722  

Kangwon Land, Inc.

     3,531        107,901  

Kia Motors Corp.

     4,182        115,563  

Korea Electric Power Corp.

     14,520        494,417  

KT&G Corp.

     1,617        148,944  

LG Chem Ltd.

     583        199,534  

LG Corp.

     1,859        130,821  

LG Display Co., Ltd.

     3,192        85,140  

LG Household & Health Care Ltd.

     74        60,474  

NCSoft Corp.

     213        86,383  

POSCO

     1,146        317,180  

S-Oil Corp.

     1,246        138,704  

Samsung Electronics Co., Ltd.

     764        1,710,303  

Samsung Life Insurance Co., Ltd.

     806        79,520  

Shinhan Financial Group Co., Ltd.

     2,723        119,585  

SK Holdings Co., Ltd.

     493        123,966  

SK Hynix, Inc.

     3,882        280,978  

SK Innovation Co., Ltd.

     1,112        193,206  

SK Telecom Co., Ltd.

     443        98,629  

SK Telecom Co., Ltd. ADR

     8,264        203,212  
     

 

 

 
Total South Korea        5,202,090  
Taiwan – 17.8%  

Advanced Semiconductor Engineering, Inc.

     119,053        145,656  

Asustek Computer, Inc.

     12,740        104,822  

Catcher Technology Co., Ltd.

     10,000        93,161  

Cathay Financial Holding Co., Ltd.

     84,614        134,494  

Cheng Shin Rubber Industry Co., Ltd.

     57,948        115,995  

China Steel Corp.

     175,078        140,587  

Chunghwa Telecom Co., Ltd.

     137,436        473,620  

CTBC Financial Holding Co., Ltd.

     139,389        87,337  

Delta Electronics, Inc.

     32,415        166,757  

Far EasTone Telecommunications Co., Ltd.

     56,000        133,149  

First Financial Holding Co., Ltd.

     97,619        62,613  

Formosa Chemicals & Fibre Corp.

     86,685        263,565  

Formosa Petrochemical Corp.

     145,511        501,448  

Formosa Plastics Corp.

     107,444        325,266  

Fubon Financial Holding Co., Ltd.

     65,803        102,641  

Hon Hai Precision Industry Co., Ltd.

     270,532        936,745  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      19  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hotai Motor Co., Ltd.

     7,000      $ 80,679  

Largan Precision Co., Ltd.

     1,000        175,768  

MediaTek, Inc.

     27,000        253,314  

Mega Financial Holding Co., Ltd.

     137,827        107,720  

Nan Ya Plastics Corp.

     153,537        378,222  

Pegatron Corp.

     56,000        145,337  

President Chain Store Corp.

     11,000        92,682  

Quanta Computer, Inc.

     74,000        170,334  

Taiwan Mobile Co., Ltd.

     65,100        231,856  

Taiwan Semiconductor Manufacturing Co., Ltd.

     300,241        2,143,589  

Uni-President Enterprises Corp.

     71,346        149,402  
     

 

 

 
Total Taiwan        7,716,759  
Thailand – 5.0%  

Advanced Info Service PCL

     47,800        273,757  

Advanced Info Service PCL NVDR

     28,800        164,942  

Airports of Thailand PCL NVDR

     78,740        139,300  

Bangkok Bank PCL NVDR

     20,500        114,640  

Bangkok Dusit Medical Services PCL NVDR

     132,700        81,570  

Charoen Pokphand Foods PCL NVDR

     96,100        77,082  

CP ALL PCL

     61,800        121,840  

Kasikornbank PCL NVDR

     15,300        94,965  

Krung Thai Bank PCL NVDR

     163,900        92,393  

PTT Exploration & Production PCL

     58,913        158,102  

PTT Global Chemical PCL

     71,994        166,223  

PTT PCL

     29,000        354,783  

PTT PCL NVDR

     6,800        83,190  

Siam Cement PCL (The) NVDR

     9,371        140,495  

Siam Commercial Bank PCL (The)

     21,300        97,718  
     

 

 

 
Total Thailand        2,161,000  

TOTAL COMMON STOCKS

(Cost: $39,239,659)

 

 

     43,153,354  
EXCHANGE-TRADED FUND – 0.1%     
United States – 0.1%  

WisdomTree Global ex-U.S. Real Estate Fund(a)(c)

     
(Cost: $57,233)      1,973      62,367  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1%  
United States – 0.1%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(d)

     
(Cost: $35,475)(e)      35,475        35,475  
TOTAL INVESTMENTS IN SECURITIES – 99.8%
(Cost: $39,332,367)
       43,251,196  

Other Assets less Liabilities – 0.2%

        86,488  
     

 

 

 
NET ASSETS – 100.0%             $ 43,337,684  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 company (See Note 3).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(e) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $125,879 and the total market value of the collateral held by the Fund was $132,927. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $97,452.

ADR – American Depositary Receipt

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

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     10/3/2017        5,010        USD        6,800        SGD     $ 3     $  
State Street Bank and Trust     10/2/2017        2,741        USD        140,000        PHP             (15

State Street Bank and Trust

    10/2/2017        7,512        USD        250,000        THB       16        
                                                $ 19     $ (15

 

CURRENCY LEGEND
PHP   Philippine peso
SGD   Singapore dollar
THB   Thai baht
USD   U.S. dollar

 

See Notes to Financial Statements.

 

20   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%  
China – 97.5%  
Air Freight & Logistics – 0.5%  

ZTO Express Cayman, Inc. ADR*(a)

     15,860      $ 222,674  
Auto Components – 1.6%  

Fuyao Glass Industry Group Co., Ltd. Class A

     61,700        235,428  

Fuyao Glass Industry Group Co., Ltd. Class H(a)(b)

     20,400        74,040  

Minth Group Ltd.

     44,000        230,389  

Xinyi Glass Holdings Ltd.*

     180,000        177,900  
     

 

 

 
Total Auto Components        717,757  
Automobiles – 3.9%  

BYD Co., Ltd. Class A

     22,500        230,042  

BYD Co., Ltd. Class H(a)

     44,000        408,109  

Geely Automobile Holdings Ltd.

     315,000        887,193  

Great Wall Motor Co., Ltd. Class H(a)

     182,500        224,295  
     

 

 

 
Total Automobiles        1,749,639  
Banks – 3.7%  

China Minsheng Banking Corp., Ltd. Class A

     987,130        1,185,094  

China Minsheng Banking Corp., Ltd. Class H

     66,000        60,498  

Ping An Bank Co., Ltd. Class A

     251,800        418,768  
     

 

 

 
Total Banks        1,664,360  
Biotechnology – 0.4%  

3SBio, Inc.*(a)(b)

     46,500        74,532  

China Biologic Products Holdings, Inc.*

     1,154        106,480  
     

 

 

 
Total Biotechnology        181,012  
Capital Markets – 0.8%  

Anxin Trust Co., Ltd. Class A

     48,400        91,652  

Pacific Securities Co., Ltd. (The) Class A

     244,500        152,256  

Sinolink Securities Co., Ltd. Class A

     73,400        128,884  
     

 

 

 
Total Capital Markets        372,792  
Chemicals – 1.4%  

Huabao International Holdings Ltd.

     91,000        56,269  

Kangde Xin Composite Material Group Co., Ltd. Class A

     82,600        262,256  

Tianqi Lithium Corp. Class A

     17,600        185,187  

Zhejiang Longsheng Group Co., Ltd. Class A

     87,000        133,750  
     

 

 

 
Total Chemicals        637,462  
Commercial Services & Supplies – 0.3%  

Beijing Originwater Technology Co., Ltd. Class A

     47,300        127,520  
Communications Equipment – 1.3%  

BYD Electronic International Co., Ltd.

     20,000        59,146  

Hengtong Optic-electric Co., Ltd. Class A

     22,400        115,382  

Shenzhen Sunway Communication Co., Ltd. Class A

     13,300        83,619  

ZTE Corp. Class A*

     50,000        211,817  

ZTE Corp. Class H*

     40,400        132,147  
     

 

 

 
Total Communications Equipment        602,111  
Diversified Consumer Services – 2.9%  

New Oriental Education & Technology Group, Inc. ADR

     7,643        674,571  

TAL Education Group ADR

     18,554      625,456  
     

 

 

 
Total Diversified Consumer Services        1,300,027  
Diversified Telecommunication Services – 0.4%  

Dr Peng Telecom & Media Group Co., Ltd. Class A

     59,192        175,707  
Electrical Equipment – 1.4%  

Fangda Carbon New Material Co., Ltd. Class A

     29,400        134,450  

Jiangsu Zhongtian Technology Co., Ltd. Class A

     77,200        165,141  

Luxshare Precision Industry Co., Ltd. Class A

     33,800        104,532  

TBEA Co., Ltd. Class A

     137,562        203,245  
     

 

 

 
Total Electrical Equipment        607,368  
Electronic Equipment, Instruments & Components – 2.8%  

AAC Technologies Holdings, Inc.

     25,500        428,311  

Chaozhou Three-Circle Group Co., Ltd. Class A

     29,300        107,853  

GoerTek, Inc. Class A

     39,200        118,768  

Shenzhen O-film Tech Co., Ltd. Class A

     34,500        109,434  

Sunny Optical Technology Group Co., Ltd.

     25,000        397,509  

Zhejiang Dahua Technology Co., Ltd. Class A

     23,300        83,953  
     

 

 

 
Total Electronic Equipment, Instruments & Components        1,245,828  
Food & Staples Retailing – 0.6%  

Sun Art Retail Group Ltd.

     135,000        125,302  

Yonghui Superstores Co., Ltd. Class A

     120,000        143,706  
     

 

 

 
Total Food & Staples Retailing        269,008  
Food Products – 2.6%  

China Huishan Dairy Holdings Co., Ltd.*

     106,000        0  

Dali Foods Group Co., Ltd.(a)(b)

     172,000        123,311  

Henan Shuanghui Investment & Development Co., Ltd. Class A

     32,300        120,394  

Tingyi Cayman Islands Holding Corp.

     128,000        192,709  

Uni-President China Holdings Ltd.

     50,000        49,225  

Want Want China Holdings Ltd.

     367,000        257,943  

WH Group Ltd.(b)

     401,000        426,096  
     

 

 

 
Total Food Products        1,169,678  
Gas Utilities – 0.7%  

ENN Energy Holdings Ltd.

     45,000        326,072  
Health Care Equipment & Supplies – 0.3%  

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

     168,000        118,938  
Hotels, Restaurants & Leisure – 0.7%  

China Lodging Group Ltd. ADR*

     1,599        189,993  

MGM China Holdings Ltd.(a)

     46,000        110,243  
     

 

 

 
Total Hotels, Restaurants & Leisure        300,236  
Household Durables – 2.1%  

Midea Group Co., Ltd. Class A

     130,400        862,592  

Skyworth Digital Holdings Ltd.

     8,000        4,087  

Suofeiya Home Collection Co., Ltd. Class A

     13,900        78,652  
     

 

 

 
Total Household Durables        945,331  
Industrial Conglomerates – 0.6%  

Fosun International Ltd.

     138,000        290,800  
Insurance – 9.9%  

Ping An Insurance Group Co. of China Ltd. Class A

     285,400        2,313,858  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      21  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Ping An Insurance Group Co. of China Ltd. Class H

     277,000      $ 2,125,954  
     

 

 

 
Total Insurance        4,439,812  
Internet & Catalog Retail – 7.5%  

Ctrip.com International Ltd. ADR*

     25,709        1,355,893  

JD.com, Inc. ADR*

     47,757        1,824,317  

Vipshop Holdings Ltd. ADR*

     22,322        196,210  
     

 

 

 
Total Internet & Catalog Retail        3,376,420  
Internet Software & Services – 28.6%  

58.com, Inc. ADR*

     3,784        238,922  

Alibaba Group Holding Ltd. ADR*

     24,334        4,202,725  

Autohome, Inc. ADR*

     2,648        159,092  

Baidu, Inc. ADR*

     11,170        2,766,697  

Bitauto Holdings Ltd. ADR*(a)

     1,944        86,858  

East Money Information Co., Ltd. Class A

     38,800        80,326  

Momo, Inc. ADR*

     1,818        56,976  

NetEase, Inc. ADR

     2,960        780,878  

Sohu.com, Inc.*

     1,018        55,430  

Tencent Holdings Ltd.

     93,100        4,007,121  

Weibo Corp. ADR*

     2,299        227,463  

YY, Inc. ADR*

     1,776        154,121  
     

 

 

 
Total Internet Software & Services        12,816,609  
IT Services – 0.1%  

Chinasoft International Ltd.*

     90,000        49,890  
Machinery – 2.1%  

China Conch Venture Holdings Ltd.

     129,863        252,705  

Haitian International Holdings Ltd.

     45,000        129,334  

Han’s Laser Technology Industry Group Co., Ltd. Class A

     29,000        189,273  

Sany Heavy Industry Co., Ltd. Class A

     93,000        106,500  

Shenzhen Inovance Technology Co., Ltd. Class A

     29,800        128,919  

Zhengzhou Yutong Bus Co., Ltd. Class A

     41,500        152,823  
     

 

 

 
Total Machinery        959,554  
Marine – 0.2%  

SITC International Holdings Co., Ltd.

     95,000        86,108  
Media – 0.5%  

Alibaba Pictures Group Ltd.*(a)

     850,000        136,024  

China Media Group Class A

     66,100        99,739  
     

 

 

 
Total Media        235,763  
Metals & Mining – 0.7%  

GEM Co., Ltd. Class A

     94,900        123,023  

Jiangxi Ganfeng Lithium Co., Ltd. Class A

     14,000        182,956  
     

 

 

 
Total Metals & Mining        305,979  
Multiline Retail – 0.2%  

Nanjing Xinjiekou Department Store Co., Ltd. Class A

     13,400        77,267  
Paper & Forest Products – 0.5%  

Nine Dragons Paper Holdings Ltd.

     107,000        210,407  
Personal Products – 0.9%  

Hengan International Group Co., Ltd.

     46,000        425,776  
Pharmaceuticals – 5.0%     

China Medical System Holdings Ltd.

     74,000      129,220  

CSPC Pharmaceutical Group Ltd.

     324,000        542,547  

Jiangsu Hengrui Medicine Co., Ltd. Class A

     40,820        366,508  

Kangmei Pharmaceutical Co., Ltd. Class A

     94,200        283,151  

Luye Pharma Group Ltd.(a)

     80,607        47,057  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class A

     32,200        164,801  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     23,000        95,402  

Sihuan Pharmaceutical Holdings Group Ltd.

     324,000        117,801  

Sino Biopharmaceutical Ltd.

     302,000        319,354  

Tasly Pharmaceutical Group Co., Ltd. Class A

     11,900        62,704  

Tonghua Dongbao Pharmaceutical Co., Ltd. Class A

     36,292        104,688  
     

 

 

 
Total Pharmaceuticals        2,233,233  
Professional Services – 0.4%  

51job, Inc. ADR*

     806        48,852  

Beijing Orient Landscape & Environment Co., Ltd. Class A

     36,100        113,537  
     

 

 

 
Total Professional Services        162,389  
Real Estate Management & Development – 8.2%  

Agile Group Holdings Ltd.

     46,000        67,135  

China Evergrande Group*(a)

     254,000        886,105  

China Fortune Land Development Co., Ltd. Class A

     24,700        114,916  

CIFI Holdings Group Co., Ltd.

     156,000        86,876  

Country Garden Holdings Co., Ltd.

     507,000        806,148  

Guangzhou R&F Properties Co., Ltd. Class H

     107,200        248,404  

KWG Property Holding Ltd.

     90,000        96,209  

Logan Property Holdings Co., Ltd.(a)

     10,000        10,318  

Longfor Properties Co., Ltd.

     102,000        257,248  

Red Star Macalline Group Corp., Ltd. Class H(b)

     69,800        86,679  

Shimao Property Holdings Ltd.

     57,000        123,615  

SOHO China Ltd.*

     12,000        6,867  

Sunac China Holdings Ltd.(a)

     159,000        727,710  

Zall Group Ltd.*(a)

     178,000        123,966  

Zhongtian Financial Group Co., Ltd. Class A

     49,100        54,022  
     

 

 

 
Total Real Estate Management & Development        3,696,218  
Semiconductors & Semiconductor Equipment – 0.8%  

GCL-Poly Energy Holdings Ltd.*(a)

     478,000        65,478  

Hanergy Thin Film Power Group Ltd.*

     502,000        0  

LONGi Green Energy Technology Co., Ltd. Class A

     22,600        99,632  

Sanan Optoelectronics Co., Ltd. Class A

     43,740        151,250  

Xinyi Solar Holdings Ltd.(a)

     140,000        49,826  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        366,186  
Software – 0.7%  

Hundsun Technologies, Inc. Class A

     6,900        52,719  

Iflytek Co., Ltd. Class A

     18,200        146,165  

Kingsoft Corp., Ltd.

     42,000        97,860  
     

 

 

 
Total Software        296,744  
Specialty Retail – 0.5%  

GOME Retail Holdings Ltd.(a)

     42,000        4,732  

 

See Notes to Financial Statements.

 

22   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Suning Commerce Group Co., Ltd. Class A

     76,900      $ 150,800  

Zhongsheng Group Holdings Ltd.

     25,500        55,236  
     

 

 

 
Total Specialty Retail        210,768  
Technology Hardware, Storage & Peripherals – 0.2%  

Meitu, Inc.*(a)(b)

     58,000        82,421  
Textiles, Apparel & Luxury Goods – 1.5%  

ANTA Sports Products Ltd.

     68,000        285,976  

Li Ning Co., Ltd.*

     88,000        78,411  

Shenzhou International Group Holdings Ltd.

     42,000        329,068  
     

 

 

 
Total Textiles, Apparel & Luxury Goods        693,455  
Total China        43,749,319  
Hong Kong – 0.3%  
Auto Components – 0.1%  

China First Capital Group Ltd.*

     140,000        56,099  
Electrical Equipment – 0.1%  

China High Speed Transmission Equipment Group Co., Ltd.(a)

     28,000        35,918  
Electronic Equipment, Instruments & Components – 0.1%  

Kingboard Laminates Holdings Ltd.

     23,000        37,160  
Total Hong Kong        129,177  
United States – 2.0%  
Hotels, Restaurants & Leisure – 2.0%  

Yum China Holdings, Inc.*

     22,717        907,998  

TOTAL COMMON STOCKS

(Cost: $39,418,485)

 

 

     44,786,494  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.7%  
United States – 3.7%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $1,645,577)(d)      1,645,577        1,645,577  
TOTAL INVESTMENTS IN SECURITIES – 103.5%
(Cost: $41,064,062)
       46,432,071  

Other Assets less Liabilities – (3.5)%

        (1,569,190
     

 

 

 
NET ASSETS – 100.0%             $ 44,862,881  
* 

Non-income producing security.

 

 

Security is being fair valued using significant unobservable inputs by a pricing committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $54,022, which represents 0.12% of net assets.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $2,584,651 and the total market value of the collateral held by the Fund was $2,738,594. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,093,017.

ADR – American Depositary Receipt

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      23  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%  
Brazil – 18.3%  

Ambev S.A.

     433,518      $ 2,883,587  

Arezzo Industria e Comercio S.A.

     5,079        80,284  

BB Seguridade Participacoes S.A.

     46,842        423,972  

Cia Hering

     14,414        129,642  

Cielo S.A.

     55,368        384,739  

CVC Brasil Operadora e Agencia de Viagens S.A.

     8,469        109,639  

Direcional Engenharia S.A.*

     14,633        27,016  

Engie Brasil Energia S.A.

     14,309        163,983  

Estacio Participacoes S.A.

     11,552        113,177  

GAEC Educacao S.A.

     8,465        61,819  

Grendene S.A.

     16,159        136,551  

Guararapes Confeccoes S.A.

     880        41,731  

Hypermarcas S.A.

     35,824        364,679  

Kroton Educacional S.A.

     81,541        516,857  

Lojas Renner S.A.

     23,913        272,609  

M. Dias Branco S.A.

     11,784        185,152  

MRV Engenharia e Participacoes S.A.

     45,837        199,395  

Multiplus S.A.

     6,460        79,853  

Natura Cosmeticos S.A.

     7,396        72,951  

Ser Educacional S.A.(a)

     11,308        111,537  

Smiles S.A.

     7,212        183,495  

Transmissora Alianca de Energia Eletrica S.A.

     13,446        94,581  
     

 

 

 
Total Brazil        6,637,249  
Chile – 0.1%  

Forus S.A.

     6,619        27,753  
China – 27.2%  

ANTA Sports Products Ltd.

     35,000        147,202  

Autohome, Inc. ADR*

     913        54,853  

BAIC Motor Corp., Ltd. Class H(a)(b)

     187,000        177,407  

Baidu, Inc. ADR*

     3,809        943,451  

Boer Power Holdings Ltd.*

     7,000        1,837  

Boyaa Interactive International Ltd.*(b)

     1,000        399  

BYD Co., Ltd. Class H(b)

     30,500        282,910  

CGN Power Co., Ltd. Class H(a)

     500,000        138,272  

Chaowei Power Holdings Ltd.

     16,000        9,259  

China Aoyuan Property Group Ltd.

     56,000        31,260  

China Conch Venture Holdings Ltd.

     16,500        32,110  

China Harmony New Energy Auto Holding Ltd.*(b)

     63,500        36,910  

China Jinmao Holdings Group Ltd.

     284,000        142,896  

China Lesso Group Holdings Ltd.

     54,000        36,849  

China Lilang Ltd.

     50,000        41,674  

China Medical System Holdings Ltd.

     19,000        33,180  

China Pacific Insurance Group Co., Ltd. Class H

     99,600        429,096  

China Shengmu Organic Milk Ltd.*(a)(b)

     78,000        13,881  

China Singyes Solar Technologies Holdings Ltd.*(b)

     10,000        3,342  

China South City Holdings Ltd.

     390,000        111,347  

China Yongda Automobiles Services Holdings Ltd.(b)

     56,000        75,568  

China ZhengTong Auto Services Holdings Ltd.

     86,000        93,369  

CIFI Holdings Group Co., Ltd.

     154,000        85,767  

Country Garden Holdings Co., Ltd.

     439,000        698,065  

Future Land Development Holdings Ltd.

     132,000        64,896  

Fuyao Glass Industry Group Co., Ltd. Class H(a)(b)

     54,000      196,000  

Geely Automobile Holdings Ltd.

     117,000        329,548  

Golden Eagle Retail Group Ltd.

     6,000        7,060  

Great Wall Motor Co., Ltd. Class H(b)

     334,000        410,514  

Guangzhou Automobile Group Co., Ltd. Class H

     198,000        458,325  

Guorui Properties Ltd.

     97,000        33,158  

Health and Happiness H&H International Holdings Ltd.*(b)

     5,500        26,864  

Hengan International Group Co., Ltd.

     18,500        171,246  

Hisense Kelon Electrical Holdings Co., Ltd. Class H

     40,000        43,786  

Huaneng Renewables Corp., Ltd. Class H

     280,000        92,488  

Jiangnan Group Ltd.(b)

     20,000        1,191  

Jiangsu Expressway Co., Ltd. Class H

     42,000        64,312  

KWG Property Holding Ltd.

     145,500        155,546  

Livzon Pharmaceutical Group, Inc. Class H

     3,170        18,345  

Logan Property Holdings Co., Ltd.(b)

     162,000        167,171  

Longfor Properties Co., Ltd.

     150,000        378,327  

MGM China Holdings Ltd.(b)

     69,600        166,811  

Minth Group Ltd.

     18,000        94,255  

NetEase, Inc. ADR

     1,018        268,559  

New China Life Insurance Co., Ltd. Class H

     31,200        176,358  

New Oriental Education & Technology Group, Inc. ADR

     1,406        124,094  

PICC Property & Casualty Co., Ltd. Class H

     254,000        448,119  

Ping An Insurance Group Co. of China Ltd. Class H

     131,500        1,009,311  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     24,478        101,539  

Shanghai Jin Jiang International Hotels Group Co., Ltd. Class H

     82,000        30,655  

Shenguan Holdings Group Ltd.*

     42,000        2,232  

Shimao Property Holdings Ltd.

     106,500        230,979  

Sihuan Pharmaceutical Holdings Group Ltd.

     176,000        63,994  

Sinopec Engineering Group Co., Ltd. Class H

     106,500        93,946  

Sinopharm Group Co., Ltd. Class H

     22,000        96,893  

TAL Education Group ADR

     1,630        54,947  

Tianneng Power International Ltd.

     48,000        49,593  

Times Property Holdings Ltd.(b)

     68,000        69,822  

TravelSky Technology Ltd. Class H

     36,000        93,794  

Tsingtao Brewery Co., Ltd. Class H

     10,000        38,281  

Vipshop Holdings Ltd. ADR*

     4,741        41,673  

Want Want China Holdings Ltd.

     269,000        189,075  

Xinhua Winshare Publishing and Media Co., Ltd. Class H

     61,000        49,983  

Xinyi Solar Holdings Ltd.(b)

     78,000        27,762  

XTEP International Holdings Ltd.

     68,000        23,419  

YY, Inc. ADR*

     320        27,770  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

     13,500        75,617  
     

 

 

 
Total China        9,889,162  
Hong Kong – 0.5%  

Chow Tai Fook Jewellery Group Ltd.

     150,000        179,945  
India – 4.3%     

Apollo Tyres Ltd.

     37,891        142,555  

Bajaj Auto Ltd.

     9,805        466,743  

Ceat Ltd.

     1,711        44,912  

 

See Notes to Financial Statements.

 

24   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Dabur India Ltd.

     32,796      $ 153,135  

Hero MotoCorp Ltd.

     6,349        366,880  

JSW Energy Ltd.

     75,490        85,233  

Jubilant Foodworks Ltd.

     1,610        34,284  

Kaveri Seed Co., Ltd.

     3,597        28,484  

Kwality Ltd.

     8,183        12,296  

Sun TV Network Ltd.

     12,445        145,189  

Zee Entertainment Enterprises Ltd.

     12,820        102,077  
     

 

 

 
Total India        1,581,788  
Indonesia – 4.1%  

Ace Hardware Indonesia Tbk PT

     366,700        33,079  

Blue Bird Tbk PT

     89,100        32,282  

Gudang Garam Tbk PT

     79,200        386,915  

Hanjaya Mandala Sampoerna Tbk PT

     1,388,900        398,037  

Media Nusantara Citra Tbk PT

     296,900        29,097  

Sri Rejeki Isman Tbk PT

     2,120,800        54,795  

Surya Citra Media Tbk PT

     369,400        60,063  

Tiphone Mobile Indonesia Tbk PT

     441,600        36,721  

Tower Bersama Infrastructure Tbk PT

     96,600        47,156  

Unilever Indonesia Tbk PT

     112,600        409,428  
     

 

 

 
Total Indonesia        1,487,573  
Malaysia – 1.4%  

Astro Malaysia Holdings Bhd

     141,400        94,434  

Berjaya Sports Toto Bhd

     131,400        76,864  

Bermaz Auto Bhd

     75,300        37,628  

British American Tobacco Malaysia Bhd

     6,700        69,404  

Carlsberg Brewery Malaysia Bhd

     20,400        71,696  

Dutch Lady Milk Industries Bhd

     2,000        28,590  

Lingkaran Trans Kota Holdings Bhd

     8,200        11,263  

Mitrajaya Holdings Bhd

     16,700        4,153  

Nestle Malaysia Bhd

     3,300        66,273  

Padini Holdings Bhd

     32,000        34,482  
     

 

 

 
Total Malaysia        494,787  
Mexico – 6.7%  

Coca-Cola Femsa S.A.B. de C.V. Series L

     43,321        335,680  

El Puerto de Liverpool S.A.B. de C.V. Class C1(b)

     28,448        230,288  

Grupo Lala S.A.B. de C.V.

     65,461        111,029  

Industrias Bachoco S.A.B. de C.V. Series B

     36,426        203,661  

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     62,672        127,868  

Megacable Holdings S.A.B. de C.V. Series CPO

     47,495        198,122  

Unifin Financiera S.A.B. de C.V. SOFOM ENR

     16,085        54,316  

Wal-Mart de Mexico S.A.B. de C.V.

     520,532        1,195,324  
     

 

 

 
Total Mexico        2,456,288  
Philippines – 1.2%  

Cebu Air, Inc.

     19,710        42,563  

DMCI Holdings, Inc.

     412,900        126,797  

Universal Robina Corp.

     61,390        184,655  

Vista Land & Lifescapes, Inc.

     678,600        84,960  
     

 

 

 
Total Philippines        438,975  
Poland – 0.4%  

CCC S.A.

     1,685        127,625  

Eurocash S.A.

     3,685      39,055  
     

 

 

 
Total Poland        166,680  
Russia – 3.7%     

Magnit PJSC GDR Reg S

     16,311        667,935  

MegaFon PJSC GDR Reg S

     18,466        212,174  

Mobile TeleSystems PJSC ADR

     43,640        455,602  
     

 

 

 
Total Russia        1,335,711  
South Africa – 5.8%  

Astral Foods Ltd.

     3,984        50,773  

AVI Ltd.

     12,477        90,465  

City Lodge Hotels Ltd.

     3,844        39,572  

Clicks Group Ltd.

     12,592        147,374  

Foschini Group Ltd. (The)

     13,721        137,947  

Hyprop Investments Ltd.

     5,610        43,924  

Imperial Holdings Ltd.

     10,216        144,685  

Lewis Group Ltd.

     12,027        26,722  

Massmart Holdings Ltd.

     3,586        29,628  

Metair Investments Ltd.

     23,795        32,056  

Mr. Price Group Ltd.

     11,933        159,113  

Murray & Roberts Holdings Ltd.

     39,147        46,388  

Pick n Pay Stores Ltd.

     21,429        91,429  

Resilient REIT Ltd.

     16,402        161,657  

RMB Holdings Ltd.

     59,941        281,892  

Shoprite Holdings Ltd.

     14,336        219,661  

SPAR Group Ltd. (The)

     9,211        113,977  

Truworths International Ltd.

     20,780        118,886  

Woolworths Holdings Ltd.

     37,220        165,088  
     

 

 

 
Total South Africa        2,101,237  
South Korea – 16.5%  

Amorepacific Corp.

     1,272        288,195  

Com2uS Corp.

     497        54,241  

Dongwon Development Co., Ltd.

     7,096        34,075  

Gamevil, Inc.*

     473        27,215  

Grand Korea Leisure Co., Ltd.

     2,380        49,248  

Hansae Yes24 Holdings Co., Ltd.

     3,992        31,647  

Hanssem Co., Ltd.

     495        65,476  

Hy-Lok Corp.

     1,016        18,717  

Hyundai Wia Corp.

     1,976        112,658  

Kangwon Land, Inc.

     8,812        269,280  

Korea Electric Power Corp.

     36,387        1,239,004  

Korea Real Estate Investment & Trust Co., Ltd.

     10,121        29,249  

KT Skylife Co., Ltd.

     3,144        39,528  

KT&G Corp.

     6,424        591,725  

LG Household & Health Care Ltd.

     425        347,317  

Loen Entertainment, Inc.

     278        21,214  

Modetour Network, Inc.

     1,490        31,547  

Nexen Corp.

     10,003        71,877  

Samsung C&T Corp.

     5,841        688,467  

Seohan Co., Ltd.

     7,215        13,229  

Shinsegae, Inc.

     1,027        174,851  

Silicon Works Co., Ltd.

     850        32,802  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      25  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

SK Holdings Co., Ltd.

     6,972      $ 1,753,120  
     

 

 

 
Total South Korea        5,984,682  
Taiwan – 2.7%     

Charoen Pokphand Enterprise

     23,000        48,770  

Cheng Shin Rubber Industry Co., Ltd.

     139,000        278,238  

Elite Advanced Laser Corp.

     8,400        31,164  

Highwealth Construction Corp.

     64,000        84,949  

momo.com, Inc.

     5,000        35,780  

Novatek Microelectronics Corp.

     28,000        105,263  

Ruentex Development Co., Ltd.*

     130,800        119,913  

Ruentex Industries Ltd.*

     115,000        170,278  

Taiwan Land Development Corp.*

     174,000        58,815  

Yulon Nissan Motor Co., Ltd.

     5,000        41,716  
     

 

 

 
Total Taiwan        974,886  
Thailand – 3.7%  

Amata Corp. PCL NVDR

     80,800        53,059  

AP Thailand PCL NVDR

     332,370        78,234  

Beauty Community PCL NVDR

     55,800        26,771  

BEC World PCL NVDR

     85,200        41,642  

CP ALL PCL NVDR

     144,400        289,016  

GFPT PCL NVDR

     111,300        66,413  

Home Product Center PCL NVDR

     230,359        84,269  

Jasmine International PCL NVDR

     276,600        68,010  

Karmarts PCL NVDR

     31,866        7,835  

LPN Development PCL NVDR

     137,700        51,199  

Major Cineplex Group PCL NVDR

     70,600        64,567  

Malee Group PCL NVDR

     15,500        18,126  

Minor International PCL NVDR

     106,820        130,522  

Pruksa Holding PCL NVDR

     44,000        31,004  

Quality Houses PCL NVDR

     939,900        77,785  

Robinson PCL NVDR

     40,900        79,102  

SPCG PCL NVDR

     72,900        44,592  

Supalai PCL NVDR

     97,000        67,478  

Thai Vegetable Oil PCL NVDR

     63,200        54,483  
     

 

 

 
Total Thailand        1,334,107  
Turkey – 3.2%  

Aksa Akrilik Kimya Sanayii AS

     15,489        51,832  

Albaraka Turk Katilim Bankasi AS

     117,755        46,690  

BIM Birlesik Magazalar AS

     11,346        236,900  

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS*

     5,762        11,310  

Dogus Otomotiv Servis ve Ticaret AS*

     1,769        4,179  

Emlak Konut Gayrimenkul Yatirim Ortakligi AS*

     177,091        133,462  

Is Gayrimenkul Yatirim Ortakligi AS

     167,926      64,694  

Tat Gida Sanayi AS

     9,679        14,480  

Turk Telekomunikasyon AS*

     94,334        180,121  

Turk Traktor ve Ziraat Makineleri AS

     1,836        40,090  

Yapi ve Kredi Bankasi AS*

     308,851        375,196  
     

 

 

 
Total Turkey        1,158,954  

TOTAL COMMON STOCKS

(Cost: $32,654,965)

 

 

     36,249,777  
RIGHTS – 0.0%  
Brazil – 0.0%  

Ser Educacional S.A., expiring 10/17/17*

 

(Cost $0)      1,258        951  
WARRANTS – 0.0%     
South Africa – 0.0%  

Adcock Ingram Holdings Ltd., expiring 7/26/19*

     182        148  
Thailand – 0.0%  

Supalai PCL, expiring 10/19/18*

     24,250        13,961  

TOTAL WARRANTS

(Cost: $10,533)

 

 

     14,109  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.5%  
United States – 1.5%  

State Street Navigator Securities Lending
Government Money Market Portfolio, 1.02%(c)

 

(Cost: $527,120)(d)      527,120        527,120  

TOTAL INVESTMENTS IN SECURITIES – 101.3%

(Cost: $33,192,618)

 

 

     36,791,957  

Other Assets less Liabilities – (1.3)%

 

     (467,440
     

 

 

 
NET ASSETS – 100.0%      $ 36,324,517  
* 

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 September 30, 2017 (See Note 2).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $1,493,814 and the total market value of the collateral held by the Fund was $1,586,705. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,059,585.

ADR – American Depositary Receipt

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

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     10/3/2017        6,401        USD        50,000        HKD     $     $ (1
State Street Bank and Trust     10/3/2017        6,313        USD        20,000        BRL             (10

State Street Bank and Trust

    10/3/2017        2,071        USD        28,000        ZAR             (2
                                                $     $ (13

 

See Notes to Financial Statements.

 

26   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

September 30, 2017

 

  

 

 

 

CURRENCY LEGEND
BRL   Brazilian real
HKD   Hong Kong dollar
USD   U.S. dollar
ZAR   South African rand

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      27  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.9%      
Brazil – 5.2%      

Ambev S.A.

     29,532      $ 196,435  

B3 SA – Brasil Bolsa Balcao

     16,747        126,801  

Banco Bradesco S.A.

     6,003        63,386  

Banco Santander Brasil S.A.

     4,004        34,987  

BR Malls Participacoes S.A.

     7,245        32,227  

BRF S.A.*

     4,539        65,535  

CCR S.A.

     7,335        41,068  

Cia Siderurgica Nacional S.A.*

     6,410        19,474  

Cielo S.A.

     8,491        59,002  

Cosan S.A. Industria e Comercio

     1,462        16,732  

Cyrela Brazil Realty S.A. Empreendimentos e Participacoes

     2,811        12,264  

Embraer S.A.

     5,048        28,550  

Equatorial Energia S.A.

     1,691        32,744  

Estacio Participacoes S.A.

     2,699        26,443  

Fleury S.A.

     900        8,385  

Hypermarcas S.A.

     2,136        21,744  

Itau Unibanco Holding S.A.

     2,970        36,055  

Itausa – Investimentos Itau S.A.

     9,621        31,906  

JBS S.A.

     8,122        21,825  

Klabin S.A.

     5,583        32,388  

Kroton Educacional S.A.

     10,155        64,369  

Localiza Rent a Car S.A.

     1,507        27,494  

Lojas Renner S.A.

     5,488        62,563  

M. Dias Branco S.A.

     1,012        15,901  

MRV Engenharia e Participacoes S.A.

     3,112        13,538  

Multiplan Empreendimentos Imobiliarios S.A.

     1,890        43,815  

Odontoprev S.A.

     2,700        13,171  

Qualicorp S.A.

     1,687        20,213  

Raia Drogasil S.A.

     1,466        34,760  

Sul America S.A.

     2,079        11,758  

TIM Participacoes S.A.

     5,697        20,802  

Transmissora Alianca de Energia Eletrica S.A.

     1,799        12,654  

Ultrapar Participacoes S.A.

     4,117        98,020  

WEG S.A.

     5,497        37,189  
     

 

 

 
Total Brazil               1,384,198  
Chile – 1.5%      

Aguas Andinas S.A. Class A

     29,343        18,696  

Banco de Chile

     232,217        35,472  

Banco de Credito e Inversiones

     395        25,017  

Banco Santander Chile

     473,333        35,245  

Cencosud S.A.

     5,045        15,444  

Cia Cervecerias Unidas S.A.

     1,654        22,300  

Colbun S.A.

     27,195        6,585  

Empresa Nacional de Telecomunicaciones S.A.

     2,776        28,752  

Empresas CMPC S.A.

     5,402        14,240  

Empresas COPEC S.A.

     4,810        63,069  

Enel Americas S.A.

     163,906        33,608  

Latam Airlines Group S.A.

     3,087        40,688  

S.A.C.I. Falabella

     5,837        57,006  
     

 

 

 
Total Chile               396,122  
China – 30.8%      

3SBio, Inc.*(a)

     8,000      12,823  

58.com, Inc. ADR*

     685        43,251  

AAC Technologies Holdings, Inc.

     5,000        83,987  

Alibaba Group Holding Ltd. ADR*

     8,457        1,460,609  

Alibaba Pictures Group Ltd.*

     100,000        16,004  

ANTA Sports Products Ltd.

     8,000        33,646  

Autohome, Inc. ADR*

     364        21,869  

Baidu, Inc. ADR*

     2,054        508,755  

Beijing Orient Landscape & Environment Co., Ltd. Class A

     7,000        22,140  

Beijing Originwater Technology Co., Ltd. Class A

     7,900        21,419  

Bitauto Holdings Ltd. ADR*(b)

     273        12,198  

BYD Co., Ltd. Class A

     2,200        22,620  

BYD Co., Ltd. Class H(b)

     5,000        46,379  

BYD Electronic International Co., Ltd.

     4,000        11,830  

Chaozhou Three-Circle Group Co., Ltd. Class A

     6,700        24,802  

China Biologic Products Holdings, Inc.*

     138        12,733  

China Conch Venture Holdings Ltd.

     9,900        19,266  

China Evergrande Group*

     33,000        115,131  

China Fortune Land Development Co., Ltd. Class A

     2,800        13,101  

China Huishan Dairy Holdings Co., Ltd.*

     3,000        0  

China Lodging Group Ltd. ADR*

     231        27,447  

China Media Group Class A

     10,900        16,540  

China Medical System Holdings Ltd.

     10,000        17,463  

China Minsheng Banking Corp., Ltd. Class A

     105,981        127,953  

China Minsheng Banking Corp., Ltd. Class H

     44,500        40,793  

Country Garden Holdings Co., Ltd.

     90,000        143,111  

CSPC Pharmaceutical Group Ltd.

     34,000        56,937  

Ctrip.com International Ltd. ADR*

     3,197        168,610  

Dali Foods Group Co., Ltd.(a)

     17,500        12,547  

Dr Peng Telecom & Media Group Co., Ltd. Class A

     10,796        32,228  

East Money Information Co., Ltd. Class A

     7,800        16,239  

ENN Energy Holdings Ltd.

     6,000        43,479  

Fangda Carbon New Material Co., Ltd. Class A

     4,200        19,316  

Fosun International Ltd.

     14,000        29,503  

Fuyao Glass Industry Group Co., Ltd. Class A

     7,100        27,244  

GCL-Poly Energy Holdings Ltd.*(b)

     132,000        18,083  

Geely Automobile Holdings Ltd.

     44,000        123,933  

GEM Co., Ltd. Class A

     14,300        18,642  

GoerTek, Inc. Class A

     6,000        18,281  

GOME Retail Holdings Ltd.(b)

     151,000        17,013  

Great Wall Motor Co., Ltd. Class H(b)

     27,000        33,185  

Guangzhou R&F Properties Co., Ltd. Class H

     12,400        28,735  

Haitian International Holdings Ltd.

     3,000        8,623  

Han’s Laser Technology Industry Group Co., Ltd. Class A

     3,700        24,285  

Hanergy Thin Film Power Group Ltd.*

     102,000        0  

Henan Shuanghui Investment & Development Co., Ltd. Class A

     3,000        11,245  

Hengan International Group Co., Ltd.

     5,000        46,283  

Hengtong Optic-electric Co., Ltd. Class A

     4,700        24,346  

Hundsun Technologies, Inc. Class A

     3,000        23,051  

Iflytek Co., Ltd. Class A

     4,300        34,729  

 

See Notes to Financial Statements.

 

28   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

JD.com, Inc. ADR*

     6,591      $ 251,776  

Jiangsu Hengrui Medicine Co., Ltd. Class A

     3,820        34,492  

Jiangsu Zhongtian Technology Co., Ltd. Class A

     6,400        13,768  

Jiangxi Ganfeng Lithium Co., Ltd. Class A

     1,700        22,342  

Kangde Xin Composite Material Group Co., Ltd. Class A

     9,000        28,736  

Kangmei Pharmaceutical Co., Ltd. Class A

     9,200        27,810  

Kingsoft Corp., Ltd.

     7,000        16,311  

Longfor Properties Co., Ltd.

     18,000        45,399  

LONGi Green Energy Technology Co., Ltd. Class A

     4,000        17,734  

Luxshare Precision Industry Co., Ltd. Class A

     3,500        10,886  

Luye Pharma Group Ltd.

     18,000        10,509  

Meitu, Inc.*(a)

     2,000        2,842  

MGM China Holdings Ltd.(b)

     8,800        21,091  

Midea Group Co., Ltd. Class A

     10,800        71,845  

Minth Group Ltd.

     6,000        31,418  

Momo, Inc. ADR*

     462        14,479  

Nanjing Xinjiekou Department Store Co., Ltd. Class A

     2,400        13,917  

NetEase, Inc. ADR

     540        142,457  

New Oriental Education & Technology Group, Inc. ADR

     951        83,935  

Nine Dragons Paper Holdings Ltd.

     11,000        21,632  

Pacific Securities Co., Ltd. (The) Class A

     29,200        18,286  

Ping An Bank Co., Ltd. Class A

     22,200        37,129  

Ping An Insurance Group Co. of China Ltd. Class A

     32,700        266,609  

Ping An Insurance Group Co. of China Ltd. Class H

     55,000        422,145  

Sanan Optoelectronics Co., Ltd. Class A

     5,700        19,821  

Sany Heavy Industry Co., Ltd. Class A

     14,100        16,238  

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

     12,000        8,496  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class A

     3,600        18,529  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     4,249        17,626  

Shenzhen O-film Tech Co., Ltd. Class A

     7,900        25,200  

Shenzhen Sunway Communication Co., Ltd. Class A

     2,400        15,174  

Shenzhou International Group Holdings Ltd.

     4,000        31,342  

Shimao Property Holdings Ltd.

     4,000        8,675  

Sihuan Pharmaceutical Holdings Group Ltd.

     35,000        12,726  

Sino Biopharmaceutical Ltd.

     38,000        40,186  

Sinolink Securities Co., Ltd. Class A

     12,300        21,720  

SOHO China Ltd.*

     17,000        9,729  

Sohu.com, Inc.*

     314        17,097  

Sunac China Holdings Ltd.(b)

     25,000        114,426  

Suning Commerce Group Co., Ltd. Class A

     12,700        25,045  

Sunny Optical Technology Group Co., Ltd.

     7,000        111,309  

Suofeiya Home Collection Co., Ltd. Class A

     2,100        11,950  

TAL Education Group ADR

     2,550        85,961  

Tasly Pharmaceutical Group Co., Ltd. Class A

     2,400        12,718  

TBEA Co., Ltd. Class A

     7,100        10,549  

Tencent Holdings Ltd.

     40,900        1,760,480  

Tianqi Lithium Corp. Class A

     2,400        25,395  

Tingyi Cayman Islands Holding Corp.

     18,000        27,101  

Tonghua Dongbao Pharmaceutical Co., Ltd. Class A

     5,792        16,802  

Uni-President China Holdings Ltd.

     10,000      9,845  

Vipshop Holdings Ltd. ADR*

     2,362        20,762  

Want Want China Holdings Ltd.

     54,000        37,956  

Weibo Corp. ADR*

     362        35,816  

WH Group Ltd.(a)

     50,500        53,664  

Xinyi Glass Holdings Ltd.*

     24,000        23,721  

Xinyi Solar Holdings Ltd.(b)

     30,000        10,678  

YY, Inc. ADR*

     268        23,257  

Zall Group Ltd.*

     30,000        20,894  

Zhejiang Dahua Technology Co., Ltd. Class A

     6,200        22,466  

Zhejiang Longsheng Group Co., Ltd. Class A

     6,500        10,049  

Zhengzhou Yutong Bus Co., Ltd. Class A

     1,500        5,555  

Zhongtian Financial Group Co., Ltd. Class A

     9,500        10,511  

ZTE Corp. Class A*

     13,500        57,513  
     

 

 

 
Total China               8,146,937  
Czech Republic – 0.2%      

Komercni Banka AS

     832        36,329  

Moneta Money Bank AS(a)

     4,735        16,670  
     

 

 

 
Total Czech Republic        52,999  
Hong Kong – 0.1%  

China First Capital Group Ltd.*

     22,000        8,816  

China High Speed Transmission Equipment Group Co., Ltd.(b)

     7,000        8,980  
     

 

 

 
Total Hong Kong               17,796  
Hungary – 0.4%      

OTP Bank PLC

     2,882        108,521  
India – 9.2%      

ABB India Ltd.

     554        11,865  

ACC Ltd.

     513        13,013  

Adani Ports & Special Economic Zone Ltd.

     5,814        33,534  

Ambuja Cements Ltd.

     6,876        28,048  

Apollo Hospitals Enterprise Ltd.

     379        5,831  

Ashok Leyland Ltd.

     9,450        17,809  

Asian Paints Ltd.

     2,186        37,873  

Aurobindo Pharma Ltd.

     2,244        23,761  

Bajaj Auto Ltd.

     452        21,516  

Bharat Forge Ltd.

     1,354        12,208  

Bharti Airtel Ltd.

     8,900        53,063  

Bharti Infratel Ltd.

     3,051        18,609  

Bosch Ltd.

     38        11,952  

Cadila Healthcare Ltd.

     1,700        12,241  

Cipla Ltd.

     2,771        24,863  

Colgate-Palmolive India Ltd.

     855        13,963  

Dabur India Ltd.

     5,338        24,925  

DLF Ltd.

     4,175        10,501  

Dr. Reddy’s Laboratories Ltd.

     639        22,781  

Eicher Motors Ltd.

     90        43,007  

Federal Bank Ltd.

     11,736        20,240  

Glenmark Pharmaceuticals Ltd.

     493        4,516  

Godrej Consumer Products Ltd.

     1,912        26,905  

Havells India Ltd.

     2,781        20,570  

HCL Technologies Ltd.

     3,204        42,910  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      29  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hero MotoCorp Ltd.

     685      $ 39,583  

Hindalco Industries Ltd.

     6,026        22,196  

Hindustan Unilever Ltd.

     5,281        94,908  

ICICI Bank Ltd. ADR

     10,143        86,824  

Idea Cellular Ltd.*

     11,625        13,784  

IndusInd Bank Ltd.

     2,794        71,954  

Infosys Ltd. ADR

     9,975        145,535  

ITC Ltd.

     18,379        72,678  

JSW Steel Ltd.

     6,930        26,359  

Kotak Mahindra Bank Ltd.

     5,803        89,039  

Larsen & Toubro Ltd.

     1,304        22,799  

Larsen & Toubro Ltd. GDR Reg S

     640        11,296  

Lupin Ltd.

     1,889        29,324  

Mahindra & Mahindra Ltd.

     2,250        43,204  

Marico Ltd.

     4,406        20,961  

Maruti Suzuki India Ltd.

     774        94,537  

Motherson Sumi Systems Ltd.

     4,766        24,545  

Nestle India Ltd.

     180        19,886  

Oracle Financial Services Software Ltd.

     356        19,810  

Page Industries Ltd.

     61        17,219  

Piramal Enterprises Ltd.

     522        20,956  

Reliance Industries Ltd. GDR(a)

     12,524        298,697  

Reliance Infrastructure Ltd.

     1,083        7,710  

Shree Cement Ltd.

     78        22,187  

Siemens Ltd.

     1,204        21,913  

Sun Pharmaceutical Industries Ltd.

     7,502        57,798  

Tata Consultancy Services Ltd.

     2,687        100,205  

Tata Motors Ltd. ADR*

     1,600        50,032  

Tata Power Co., Ltd. (The)

     18,124        21,587  

Tata Steel Ltd.

     1,359        13,576  

Tech Mahindra Ltd.

     2,120        14,860  

UltraTech Cement Ltd.

     525        30,978  

United Spirits Ltd.*

     308        11,305  

UPL Ltd.

     2,412        28,747  

Vakrangee Ltd.

     1,867        14,120  

Vedanta Ltd.

     13,314        64,053  

Wipro Ltd.

     6,834        29,321  

Yes Bank Ltd.

     13,665        73,220  

Zee Entertainment Enterprises Ltd.

     4,914        39,127  
     

 

 

 
Total India               2,443,337  
Indonesia – 2.5%      

Adaro Energy Tbk PT

     182,800        24,769  

Astra International Tbk PT

     197,400        115,781  

Bank Central Asia Tbk PT

     146,600        220,950  

Bumi Serpong Damai Tbk PT

     114,600        15,060  

Charoen Pokphand Indonesia Tbk PT

     55,800        11,351  

Gudang Garam Tbk PT

     4,300        21,007  

Hanjaya Mandala Sampoerna Tbk PT

     66,800        19,144  

Indocement Tunggal Prakarsa Tbk PT

     12,400        17,400  

Indofood CBP Sukses Makmur Tbk PT

     26,100        16,907  

Indofood Sukses Makmur Tbk PT

     45,000        28,148  

Kalbe Farma Tbk PT

     206,100        25,478  

Matahari Department Store Tbk PT

     13,900        9,572  

Mayora Indah Tbk PT

     93,800      13,650  

Pakuwon Jati Tbk PT

     213,300        9,660  

Sarana Menara Nusantara Tbk PT

     67,400        22,368  

Surya Citra Media Tbk PT

     44,300        7,203  

Unilever Indonesia Tbk PT

     7,400        26,907  

United Tractors Tbk PT

     19,700        46,804  
     

 

 

 
Total Indonesia               652,159  
Malaysia – 2.4%      

AirAsia Bhd

     26,200        21,407  

Astro Malaysia Holdings Bhd

     55,800        37,266  

British American Tobacco Malaysia Bhd

     2,000        20,718  

Dialog Group Bhd

     125,400        59,396  

Genting Malaysia Bhd

     33,300        42,428  

Hartalega Holdings Bhd

     9,000        14,835  

Hong Leong Bank Bhd

     2,708        10,171  

IOI Corp. Bhd

     50,900        54,727  

Maxis Bhd

     25,200        34,615  

Press Metal Aluminium Holdings Bhd

     31,100        27,767  

Public Bank Bhd

     31,400        151,999  

Sapura Energy Bhd

     84,200        30,310  

Westports Holdings Bhd

     65,800        59,372  

YTL Corp. Bhd

     102,900        33,143  

YTL Power International Bhd

     91,500        29,687  
     

 

 

 
Total Malaysia               627,841  
Mexico – 3.5%      

Alfa S.A.B. de C.V. Class A

     23,905        30,264  

Alsea S.A.B. de C.V.

     4,503        16,607  

America Movil S.A.B. de C.V. Series L

     134,881        120,031  

Arca Continental S.A.B. de C.V.

     1,463        10,029  

Cemex S.A.B. de C.V. Series CPO*

     80,797        73,637  

Coca-Cola Femsa S.A.B. de C.V. Series L

     2,704        20,952  

Fomento Economico Mexicano S.A.B. de C.V.

     11,352        108,799  

Gruma S.A.B. de C.V. Class B

     2,214        32,459  

Grupo Aeroportuario del Centro Norte S.A.B. de C.V.

     4,048        22,490  

Grupo Aeroportuario del Pacifico S.A.B. de C.V. Class B

     2,763        28,361  

Grupo Aeroportuario del Sureste S.A.B. de C.V. Class B

     1,618        30,881  

Grupo Bimbo S.A.B. de C.V. Series A

     9,125        22,095  

Grupo Elektra S.A.B. de C.V.

     596        27,028  

Grupo Financiero Banorte S.A.B. de C.V. Class O

     15,750        108,919  

Grupo Mexico S.A.B. de C.V. Series B

     16,294        49,970  

Grupo Televisa S.A.B. Series CPO

     14,619        72,253  

Industrias Penoles S.A.B. de C.V.

     540        13,450  

Infraestructura Energetica Nova S.A.B. de C.V.

     3,036        17,046  

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     13,569        27,685  

Megacable Holdings S.A.B. de C.V. Series CPO

     3,598        15,009  

Mexichem S.A.B. de C.V.

     7,647        20,247  

Wal-Mart de Mexico S.A.B. de C.V.

     21,471        49,305  
     

 

 

 
Total Mexico               917,517  
Netherlands – 0.3%      

Steinhoff International Holdings N.V.

     18,968        84,329  

 

See Notes to Financial Statements.

 

30   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Philippines – 1.4%      

Aboitiz Equity Ventures, Inc.

     20,420      $ 29,465  

Ayala Corp.

     1,860        35,516  

Ayala Land, Inc.

     41,200        35,280  

Bank of the Philippine Islands

     6,800        13,312  

BDO Unibank, Inc.

     12,793        32,915  

JG Summit Holdings, Inc.

     21,120        31,181  

Jollibee Foods Corp.

     3,910        18,765  

Metro Pacific Investments Corp.

     157,900        20,826  

Metropolitan Bank & Trust Co.

     7,080        12,056  

PLDT, Inc.

     540        17,731  

Security Bank Corp.

     2,930        14,027  

SM Investments Corp.

     3,055        53,102  

SM Prime Holdings, Inc.

     70,300        47,674  

Universal Robina Corp.

     6,110        18,378  
     

 

 

 
Total Philippines               380,228  
Poland – 1.4%      

Alior Bank S.A.*

     2,596        48,793  

Bank Millennium S.A.*

     14,266        27,444  

Bank Pekao S.A.

     2,096        73,626  

Bank Zachodni WBK S.A.

     462        44,286  

CCC S.A.

     392        29,691  

CD Projekt S.A.

     951        30,339  

Cyfrowy Polsat S.A.

     3,380        24,070  

LPP S.A.

     24        53,823  

mBank S.A.*

     240        27,597  
     

 

 

 
Total Poland               359,669  
Russia – 4.2%      

Lenta Ltd. GDR Reg S*

     3,675        22,712  

Lukoil PJSC ADR

     6,624        350,608  

Magnit PJSC GDR Reg S

     3,481        142,547  

Mail.ru Group Ltd. GDR Reg S*

     1,218        40,145  

MegaFon PJSC GDR Reg S

     1,466        16,844  

MMC Norilsk Nickel PJSC ADR

     7,378        127,012  

Mobile TeleSystems PJSC ADR

     5,439        56,783  

Novatek PJSC GDR Reg S

     1,297        152,138  

Novolipetsk Steel PJSC GDR

     1,168        26,572  

Polymetal International PLC

     3,386        38,251  

Severstal PJSC GDR Reg S

     1,646        24,608  

X5 Retail Group N.V. GDR Reg S*

     1,070        48,032  

Yandex N.V. Class A*

     2,385        78,586  
     

 

 

 
Total Russia               1,124,838  
South Africa – 6.4%      

AngloGold Ashanti Ltd.

     3,347        31,555  

Aspen Pharmacare Holdings Ltd.

     1,980        44,518  

AVI Ltd.

     1,670        12,108  

Barclays Africa Group Ltd.

     2,265        23,317  

Barloworld Ltd.

     2,698        24,879  

Bid Corp., Ltd.

     1,941        43,686  

Bidvest Group Ltd. (The)

     2,394        30,613  

Capitec Bank Holdings Ltd.

     517        32,893  

Clicks Group Ltd.

     1,214        14,208  

Discovery Ltd.

     2,926        30,481  

FirstRand Ltd.

     20,831      80,269  

Foschini Group Ltd. (The)

     2,104        21,153  

Gold Fields Ltd.

     4,570        19,962  

Hyprop Investments Ltd.

     2,013        15,761  

Impala Platinum Holdings Ltd.*

     5,795        13,305  

Imperial Holdings Ltd.

     1,169        16,556  

Life Healthcare Group Holdings Ltd.

     14,078        24,710  

Mondi Ltd.

     816        21,845  

Mr. Price Group Ltd.

     1,511        20,147  

MTN Group Ltd.

     11,020        101,512  

Naspers Ltd. Class N

     2,660        575,242  

Nedbank Group Ltd.

     1,259        18,896  

Netcare Ltd.

     11,505        20,279  

Novus Holdings Ltd.

     920        445  

Pick n Pay Stores Ltd.

     2,871        12,249  

Rand Merchant Investment Holdings Ltd.

     5,328        16,364  

Remgro Ltd.

     3,187        48,466  

Resilient REIT Ltd.

     1,954        19,259  

RMB Holdings Ltd.

     5,098        23,975  

Sanlam Ltd.

     9,074        45,469  

Sappi Ltd.

     3,650        24,886  

Shoprite Holdings Ltd.

     2,727        41,784  

Sibanye-Stillwater

     12,064        13,599  

SPAR Group Ltd. (The)

     1,784        22,075  

Standard Bank Group Ltd.

     7,275        85,026  

Tiger Brands Ltd.

     1,097        30,658  

Truworths International Ltd.

     2,314        13,239  

Vodacom Group Ltd.

     2,480        29,597  

Woolworths Holdings Ltd.

     7,054        31,288  
     

 

 

 
Total South Africa               1,696,274  
South Korea – 15.1%      

Amorepacific Corp.

     211        47,806  

Amorepacific Group

     207        22,320  

BGF retail Co., Ltd.

     207        15,001  

BNK Financial Group, Inc.

     1,811        15,812  

Celltrion, Inc.*

     639        79,223  

Cheil Worldwide, Inc.

     823        13,078  

CJ CheilJedang Corp.

     98        30,332  

CJ Corp.

     139        20,692  

Coway Co., Ltd.

     353        28,971  

Daelim Industrial Co., Ltd.

     281        19,652  

DGB Financial Group, Inc.

     1,291        11,835  

Dongbu Insurance Co., Ltd.

     242        15,424  

Doosan Corp.

     75        9,298  

Doosan Heavy Industries & Construction Co., Ltd.

     744        11,108  

E-Mart, Inc.

     151        27,488  

GS Holdings Corp.

     365        20,905  

GS Retail Co., Ltd.

     316        9,532  

Hana Financial Group, Inc.

     1,759        72,719  

Hankook Tire Co., Ltd.

     573        30,117  

Hanmi Pharm Co., Ltd.*

     47        18,651  

Hanmi Science Co., Ltd.*

     225        18,053  

Hanssem Co., Ltd.

     73        9,656  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      31  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hanwha Chemical Corp.

     614      $ 17,396  

Hanwha Corp.

     360        13,830  

Hanwha Techwin Co., Ltd.*

     367        10,638  

Hotel Shilla Co., Ltd.

     313        15,905  

Hyosung Corp.

     126        16,006  

Hyundai Department Store Co., Ltd.

     197        15,205  

Hyundai Development Co-Engineering & Construction

     308        9,600  

Hyundai Engineering & Construction Co., Ltd.

     586        19,621  

Hyundai Glovis Co., Ltd.

     219        28,299  

Hyundai Marine & Fire Insurance Co., Ltd.

     504        19,934  

Hyundai Motor Co.

     848        111,428  

Hyundai Steel Co.

     368        16,965  

Kakao Corp.

     252        31,683  

KB Financial Group, Inc.

     2,576        126,174  

Kia Motors Corp.

     1,074        29,678  

Korea Investment Holdings Co., Ltd.

     353        18,862  

Korea Zinc Co., Ltd.

     81        35,042  

KT&G Corp.

     701        64,570  

Kumho Petrochemical Co., Ltd.

     178        11,205  

LG Chem Ltd.

     262        89,670  

LG Corp.

     697        49,049  

LG Display Co., Ltd.

     1,258        33,555  

LG Electronics, Inc.

     698        50,216  

LG Household & Health Care Ltd.

     58        47,399  

LG Uplus Corp.

     1,331        15,514  

Lotte Chemical Corp.

     99        32,673  

Lotte Confectionery Co., Ltd.

     72        10,435  

Lotte Shopping Co., Ltd.

     72        15,496  

LS Corp.

     236        16,237  

Medy-Tox, Inc.

     36        15,543  

Mirae Asset Daewoo Co., Ltd.

     3,708        31,824  

NAVER Corp.

     149        96,918  

NCSoft Corp.

     112        45,422  

NH Investment & Securities Co., Ltd.

     1,097        13,026  

NongShim Co., Ltd.

     29        8,685  

OCI Co., Ltd.

     139        12,439  

Ottogi Corp.

     21        13,458  

POSCO

     495        137,002  

S-1 Corp.

     222        17,289  

Samsung Biologics Co., Ltd.*(a)

     101        29,762  

Samsung C&T Corp.

     446        52,569  

Samsung Electro-Mechanics Co., Ltd.

     406        36,157  

Samsung Electronics Co., Ltd.

     552        1,235,717  

Samsung Fire & Marine Insurance Co., Ltd.

     192        46,938  

Samsung Heavy Industries Co., Ltd.*

     1,691        16,536  

Samsung Life Insurance Co., Ltd.

     506        49,922  

Samsung SDS Co., Ltd.

     229        33,690  

Samsung Securities Co., Ltd.

     392        11,825  

Shinhan Financial Group Co., Ltd.

     3,275        143,827  

SK Holdings Co., Ltd.

     216        54,313  

SK Hynix, Inc.

     3,283        237,622  

SK Innovation Co., Ltd.

     427        74,190  

SK Telecom Co., Ltd.

     207        46,086  

Yuhan Corp.

     63      11,358  
     

 

 

 
Total South Korea               3,992,076  
Taiwan – 11.3%  

Acer, Inc.*

     37,000        18,485  

Advanced Semiconductor Engineering, Inc.

     39,124        47,866  

Advantech Co., Ltd.

     3,000        21,369  

Asia Cement Corp.

     16,000        14,114  

Asustek Computer, Inc.

     4,000        32,911  

AU Optronics Corp.

     54,000        21,636  

Catcher Technology Co., Ltd.

     4,000        37,264  

Cathay Financial Holding Co., Ltd.

     47,000        74,707  

Chailease Holding Co., Ltd.

     11,000        26,517  

Chang Hwa Commercial Bank Ltd.

     56,478        30,545  

Cheng Shin Rubber Industry Co., Ltd.

     18,000        36,031  

Chicony Electronics Co., Ltd.

     7,010        16,644  

China Development Financial Holding Corp.

     103,000        30,910  

China Life Insurance Co., Ltd.

     27,877        26,246  

Compal Electronics, Inc.

     30,000        21,320  

CTBC Financial Holding Co., Ltd.

     105,672        66,211  

Delta Electronics, Inc.

     13,052        67,145  

E.Sun Financial Holding Co., Ltd.

     91,858        54,829  

Eclat Textile Co., Ltd.

     1,000        12,152  

Epistar Corp.*

     10,000        12,729  

Far Eastern New Century Corp.

     29,080        23,015  

Far EasTone Telecommunications Co., Ltd.

     10,000        23,777  

Formosa Chemicals & Fibre Corp.

     22,000        66,891  

Formosa Petrochemical Corp.

     12,000        41,353  

Formosa Plastics Corp.

     33,000        99,901  

Foxconn Technology Co., Ltd.

     9,020        26,027  

Fubon Financial Holding Co., Ltd.

     55,000        85,790  

Hon Hai Precision Industry Co., Ltd.

     87,085        301,541  

Hotai Motor Co., Ltd.

     2,000        23,051  

HTC Corp.*

     6,000        14,998  

Innolux Corp.

     55,000        25,664  

Inventec Corp.

     27,000        19,945  

King Yuan Electronics Co., Ltd.

     13,000        12,754  

Lite-On Technology Corp.

     17,015        24,296  

Macronix International*

     19,806        30,241  

MediaTek, Inc.

     10,000        93,820  

Nan Ya Plastics Corp.

     36,000        88,682  

Novatek Microelectronics Corp.

     4,000        15,038  

Pegatron Corp.

     11,000        28,548  

Pou Chen Corp.

     24,000        30,115  

Powertech Technology, Inc.

     8,000        23,058  

President Chain Store Corp.

     3,000        25,277  

Quanta Computer, Inc.

     13,000        29,924  

Shin Kong Financial Holding Co., Ltd.

     81,449        24,389  

Siliconware Precision Industries Co., Ltd.

     12,000        19,193  

SinoPac Financial Holdings Co., Ltd.

     73,738        22,080  

Standard Foods Corp.

     8,280        20,206  

Synnex Technology International Corp.

     15,000        18,006  

Taishin Financial Holding Co., Ltd.

     102,265        44,010  

Taiwan Cement Corp.

     18,000        20,063  

 

See Notes to Financial Statements.

 

32   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Taiwan Mobile Co., Ltd.

     10,000      $ 35,615  

Taiwan Semiconductor Manufacturing Co., Ltd.

     107,000        763,933  

Teco Electric and Machinery Co., Ltd.

     16,000        14,325  

Tripod Technology Corp.

     5,000        17,313  

Uni-President Enterprises Corp.

     28,160        58,968  

United Microelectronics Corp.

     81,000        40,468  

Wistron Corp.

     15,621        12,492  

WPG Holdings Ltd.

     18,000        23,951  

Yuanta Financial Holding Co., Ltd.

     62,236        26,783  
     

 

 

 
Total Taiwan        2,985,132  
Thailand – 2.4%  

Advanced Info Service PCL NVDR

     11,700        67,007  

Bangkok Bank PCL NVDR

     6,100        34,112  

Bangkok Dusit Medical Services PCL NVDR

     46,800        28,768  

Bank of Ayudhya PCL NVDR

     23,600        26,714  

Banpu PCL NVDR

     39,500        20,846  

BTS Group Holdings PCL NVDR

     70,800        18,151  

Bumrungrad Hospital PCL NVDR

     4,000        25,787  

Central Pattana PCL NVDR

     13,600        31,808  

Charoen Pokphand Foods PCL NVDR

     38,100        30,560  

CP ALL PCL NVDR

     45,900        91,869  

Energy Absolute PCL NVDR

     21,300        24,430  

Glow Energy PCL NVDR

     8,900        23,818  

Home Product Center PCL NVDR

     44,400        16,242  

Indorama Ventures PCL NVDR

     24,400        30,912  

Kasikornbank PCL NVDR

     13,700        85,034  

Minor International PCL NVDR

     29,210        35,691  

Thai Union Group PCL NVDR

     21,600        12,954  

True Corp. PCL NVDR*

     120,800        22,095  
     

 

 

 
Total Thailand        626,798  
Turkey – 1.2%  

Akbank Turk AS

     16,503        43,623  

Anadolu Efes Biracilik ve Malt Sanayii AS

     2,656        15,625  

Arcelik AS

     2,241        14,318  

BIM Birlesik Magazalar AS

     1,718        35,871  

Enka Insaat ve Sanayi AS

     10,165        14,807  

Haci Omer Sabanci Holding AS

     12,015        33,855  

KOC Holding AS

     8,594        39,513  

Tupras Turkiye Petrol Rafinerileri AS

     1,199        40,999  

Turkcell Iletisim Hizmetleri AS

     5,426        19,363  

Turkiye Garanti Bankasi AS

     18,852        51,317  

Turkiye Is Bankasi Group C

     10,176        19,401  
     

 

 

 
Total Turkey               328,692  
United States – 0.4%      

Yum China Holdings, Inc.*

     2,682        107,200  
TOTAL COMMON STOCKS
(Cost: $24,816,308)
              26,432,663  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5%  
United States – 0.5%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $132,311)(d)      132,311      $ 132,311  

TOTAL INVESTMENTS IN SECURITIES – 100.4%

(Cost: $24,948,619)

 

 

     26,564,974  

Other Assets less Liabilities – (0.4)%

 

     (95,318
     

 

 

 
NET ASSETS – 100.0%      $ 26,469,656  
* 

Non-income producing security.

 

 

Security is being fair valued using significant unobservable inputs by a pricing committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $10,511, which represents 0.04% 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 September 30, 2017 (See Note 2).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $256,217 and the total market value of the collateral held by the Fund was $271,529. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $139,218.

ADR – American Depositary Receipt

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      33  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets High Dividend Fund (DEM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
Brazil – 5.3%      

Alupar Investimento S.A.

     269,194      $ 1,598,237  

B3 SA – Brasil Bolsa Balcao

     848,626        6,425,428  

Banco do Brasil S.A.

     1,489,673        16,436,017  

Banco Santander Brasil S.A.

     1,739,080        15,196,298  

BB Seguridade Participacoes S.A.

     1,240,771        11,230,347  

CCR S.A.

     2,159,280        12,089,483  

Cia Hering

     237,185        2,133,289  

Engie Brasil Energia S.A.

     726,567        8,326,527  

Ez Tec Empreendimentos e Participacoes S.A.

     281,116        1,999,624  

Grendene S.A.

     430,042        3,634,043  

Mahle-Metal Leve S.A.

     271,884        1,710,476  

Multiplus S.A.

     300,655        3,716,425  

Porto Seguro S.A.

     147,640        1,758,247  

Qualicorp S.A.

     282,316        3,382,633  

Smiles S.A.

     165,429        4,209,009  

Transmissora Alianca de Energia Eletrica S.A.

     1,015,013        7,139,731  

Wiz Solucoes e Corretagem de Seguros S.A.

     131,178        713,296  
     

 

 

 
Total Brazil               101,699,110  
Chile – 2.3%      

AES Gener S.A.

     18,078,067        6,334,239  

Aguas Andinas S.A. Class A

     7,213,169        4,595,965  

Banco de Chile

     55,303,850        8,447,913  

Banco Santander Chile

     118,172,958        8,799,229  

Enel Americas S.A.

     51,933,081        10,648,585  

Engie Energia Chile S.A.

     1,250,987        2,698,764  

Inversiones Aguas Metropolitanas S.A.

     1,361,396        2,417,424  

Inversiones La Construccion S.A.

     68,136        1,079,400  
     

 

 

 
Total Chile               45,021,519  
China – 19.0%      

361 Degrees International Ltd.(a)

     2,577,000        1,131,667  

Agricultural Bank of China Ltd. Class H

     20,553,000        9,209,866  

Bank of China Ltd. Class H

     54,975,084        27,097,965  

Bank of Communications Co., Ltd. Class H

     20,029,287        14,616,736  

China CITIC Bank Corp., Ltd. Class H

     7,866,000        4,995,117  

China Construction Bank Corp. Class H

     68,006,054        56,419,941  

China Everbright Bank Co., Ltd. Class H

     3,992,000        1,845,048  

China Galaxy Securities Co., Ltd. Class H

     2,231,500        1,957,030  

China Lilang Ltd.

     2,332,000        1,943,657  

China Merchants Bank Co., Ltd. Class H

     2,214,932        7,784,179  

China Minsheng Banking Corp., Ltd. Class H

     3,605,000        3,304,672  

China Pacific Insurance Group Co., Ltd. Class H

     1,208,200        5,205,158  

China Power International Development Ltd.

     15,649,000        5,149,081  

China Resources Power Holdings Co., Ltd.

     7,060,000        12,744,824  

China Shineway Pharmaceutical Group Ltd.

     1,422,000        1,265,303  

China Vanke Co., Ltd. Class H

     677,700        2,229,876  

China ZhengTong Auto Services Holdings Ltd.

     2,090,500        2,269,635  

China Zhongwang Holdings Ltd.(a)

     5,846,400        2,986,562  

Chongqing Rural Commercial Bank Co., Ltd. Class H

     1,748,991      1,108,416  

CIFI Holdings Group Co., Ltd.

     5,694,000        3,171,150  

CITIC Telecom International Holdings Ltd.

     3,307,000        952,635  

CNOOC Ltd.

     36,493,000        47,095,579  

Country Garden Holdings Co., Ltd.(a)

     9,567,000        15,212,739  

FIH Mobile Ltd.

     15,606,000        4,935,130  

Fuyao Glass Industry Group Co., Ltd. Class H(a)(b)

     482,000        1,749,485  

GF Securities Co., Ltd. Class H

     1,039,800        2,260,464  

Greatview Aseptic Packaging Co., Ltd.

     2,149,000        1,320,650  

Guangzhou R&F Properties Co., Ltd. Class H

     1,538,800        3,565,913  

Haitong Securities Co., Ltd. Class H

     1,464,400        2,366,078  

Huadian Power International Corp., Ltd. Class H(a)

     4,292,000        1,736,428  

Huaneng Power International, Inc. Class H

     12,214,000        7,552,924  

Huishang Bank Corp., Ltd. Class H

     2,218,000        1,093,282  

Industrial & Commercial Bank of China Ltd. Class H

     54,940,823        40,797,467  

Jiangsu Expressway Co., Ltd. Class H

     1,432,527        2,193,532  

KWG Property Holding Ltd.

     2,627,500        2,808,919  

Lenovo Group Ltd.

     13,010,000        7,179,011  

Logan Property Holdings Co., Ltd.(a)

     3,062,000        3,159,732  

Red Star Macalline Group Corp., Ltd. Class H(b)

     792,200        983,822  

Shanghai Industrial Holdings Ltd.

     945,000        2,861,363  

Shenzhen Expressway Co., Ltd. Class H

     920,000        892,827  

Shenzhen Investment Ltd.

     5,446,000        2,468,260  

Shimao Property Holdings Ltd.

     2,484,000        5,387,348  

Sihuan Pharmaceutical Holdings Group Ltd.

     12,750,000        4,635,948  

Sino-Ocean Group Holding Ltd.

     3,705,000        2,471,360  

Sinopec Engineering Group Co., Ltd. Class H

     1,550,000        1,367,291  

SITC International Holdings Co., Ltd.

     4,336,000        3,930,362  

Skyworth Digital Holdings Ltd.

     3,312,000        1,691,894  

Sunac China Holdings Ltd.(a)

     1,629,000        7,456,022  

Tianneng Power International Ltd.

     1,406,000        1,452,676  

Times Property Holdings Ltd.(a)

     1,207,000        1,239,343  

Xinjiang Goldwind Science & Technology Co., Ltd. Class H(a)

     803,620        1,004,178  

Xinyi Glass Holdings Ltd.*

     4,350,000        4,299,487  

Xinyi Solar Holdings Ltd.(a)

     8,068,000        2,871,579  

XTEP International Holdings Ltd.

     4,427,500        1,524,828  

Yuexiu Property Co., Ltd.

     8,056,000        1,639,935  

Yuexiu Transport Infrastructure Ltd.(a)

     2,482,000        1,865,305  

Yuzhou Properties Co., Ltd.

     3,282,000        1,773,214  

Zhejiang Expressway Co., Ltd. Class H

     1,592,398        1,979,616  

Zoomlion Heavy Industry Science and Technology Co., Ltd. Class H(a)

     1,940,200        854,506  
     

 

 

 
Total China               367,067,015  
Czech Republic – 1.9%      

CEZ AS

     1,195,659        23,999,432  

Komercni Banka AS

     166,128        7,253,937  

O2 Czech Republic AS

     465,416        5,715,639  
     

 

 

 
Total Czech Republic               36,969,008  

 

See Notes to Financial Statements.

 

34   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets High Dividend Fund (DEM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Hong Kong – 0.2%      

CP Pokphand Co., Ltd.(a)

     28,810,000      $ 2,323,774  

Ju Teng International Holdings Ltd.

     2,158,000        850,966  

Wasion Group Holdings Ltd.(a)

     1,608,000        815,251  
     

 

 

 
Total Hong Kong               3,989,991  
Indonesia – 0.7%      

Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT

     5,564,900        1,074,225  

Gudang Garam Tbk PT

     1,938,700        9,471,116  

Indo Tambangraya Megah Tbk PT

     1,866,300        2,805,893  
     

 

 

 
Total Indonesia               13,351,234  
Malaysia – 3.4%      

Alliance Bank Malaysia Bhd

     1,118,900        1,033,442  

AMMB Holdings Bhd

     1,756,100        1,813,285  

Astro Malaysia Holdings Bhd

     5,803,900        3,876,139  

Berjaya Sports Toto Bhd

     2,187,272        1,279,470  

Bermaz Auto Bhd

     2,732,300        1,365,341  

British American Tobacco Malaysia Bhd

     401,397        4,157,988  

Bursa Malaysia Bhd

     446,900        1,058,378  

Carlsberg Brewery Malaysia Bhd

     421,436        1,481,139  

DiGi.Com Bhd

     8,444,847        9,799,823  

Globetronics Technology Bhd

     418,000        608,810  

Malakoff Corp. Bhd

     6,740,857        1,708,163  

Malayan Banking Bhd

     7,848,165        17,712,969  

MISC Bhd

     4,904,100        8,478,373  

SP Setia Bhd Group

     1,960,300        1,689,874  

UOA Development Bhd

     1,402,659        860,364  

YTL Corp. Bhd

     15,362,300        4,947,952  

YTL Power International Bhd

     9,698,800        3,146,798  
     

 

 

 
Total Malaysia               65,018,308  
Mexico – 0.2%      

Concentradora Fibra Danhos S.A. de C.V.

     1,027,240        1,764,369  

Grupo Financiero Interacciones S.A. de C.V.

     188,403        1,129,946  

Macquarie Mexico Real Estate Management S.A. de C.V.*

     557,273        739,890  
     

 

 

 
Total Mexico               3,634,205  
Philippines – 1.1%      

Energy Development Corp.

     20,899,700        2,312,155  

Globe Telecom, Inc.

     156,155        6,301,593  

PLDT, Inc.

     361,294        11,863,077  
     

 

 

 
Total Philippines               20,476,825  
Poland – 1.6%      

Asseco Poland S.A.

     120,585        1,531,821  

Bank Handlowy w Warszawie S.A.

     95,224        1,805,727  

Bank Pekao S.A.

     226,405        7,952,864  

Bank Zachodni WBK S.A.

     51,141        4,902,249  

Energa S.A.

     694,098        2,552,426  

Powszechny Zaklad Ubezpieczen S.A.(a)

     881,479        11,127,495  
     

 

 

 
Total Poland               29,872,582  
Russia – 15.2%      

Gazprom PJSC ADR

     17,245,112        72,257,019  

LSR Group PJSC GDR Reg S

     578,210      1,699,937  

Lukoil PJSC ADR

     1,224,854        64,831,522  

MegaFon PJSC GDR Reg S

     1,857,886        21,347,110  

MMC Norilsk Nickel PJSC ADR

     2,281,764        39,280,567  

Mobile TeleSystems PJSC ADR

     2,792,712        29,155,913  

Novolipetsk Steel PJSC GDR

     1,120,058        25,481,320  

PhosAgro PJSC GDR Reg S

     875,512        12,476,046  

Severstal PJSC GDR Reg S

     1,586,460        23,717,577  

Sistema PJSC FC GDR Reg S

     509,418        2,445,207  
     

 

 

 
Total Russia               292,692,218  
South Africa – 8.9%      

Assore Ltd.

     142,655        2,927,584  

Astral Foods Ltd.

     116,893        1,489,720  

Barclays Africa Group Ltd.

     725,854        7,472,224  

Barloworld Ltd.

     235,282        2,169,595  

Bidvest Group Ltd. (The)

     405,464        5,184,774  

Coronation Fund Managers Ltd.

     293,161        1,461,191  

DataTec Ltd.(a)

     306,762        1,301,112  

FirstRand Ltd.(a)

     3,456,335        13,318,505  

Foschini Group Ltd. (The)

     294,054        2,956,329  

Hudaco Industries Ltd.

     48,542        456,210  

Hyprop Investments Ltd.

     157,514        1,233,281  

Imperial Holdings Ltd.

     264,349        3,743,859  

Investec Ltd.

     223,876        1,624,873  

Lewis Group Ltd.(a)

     365,466        811,996  

Liberty Holdings Ltd.

     222,193        1,731,797  

MMI Holdings Ltd.(a)

     1,309,299        1,682,380  

Mr. Price Group Ltd.

     311,439        4,152,674  

MTN Group Ltd.

     4,628,675        42,637,630  

Nedbank Group Ltd.

     332,492        4,990,150  

Resilient REIT Ltd.

     214,687        2,115,945  

Reunert Ltd.

     337,236        1,691,363  

RMB Holdings Ltd.

     933,773        4,391,378  

Santam Ltd.

     99,439        1,892,674  

Sasol Ltd.

     632,943        17,390,991  

Standard Bank Group Ltd.

     1,025,808        11,989,095  

Telkom S.A. SOC Ltd.

     635,504        2,790,523  

Truworths International Ltd.

     783,676        4,483,538  

Vodacom Group Ltd.

     2,052,246        24,491,681  
     

 

 

 
Total South Africa               172,583,072  
South Korea – 3.3%      

GOLFZONNEWDIN Co., Ltd.

     77,516        355,314  

Hanmi Semiconductor Co., Ltd.

     54,584        421,288  

Hite Jinro Co., Ltd.

     99,874        2,293,348  

Korea Electric Power Corp.

     984,984        33,539,421  

Meritz Securities Co., Ltd.

     437,233        1,679,683  

Mirae Asset Daewoo Co., Ltd.

     189,411        1,625,626  

NH Investment & Securities Co., Ltd.

     153,325        1,820,596  

SK Telecom Co., Ltd.

     94,568        21,054,560  

Tongyang Life Insurance Co., Ltd.

     84,545        564,692  
     

 

 

 
Total South Korea               63,354,528  
Taiwan – 26.2%      

Accton Technology Corp.

     612,000        1,967,748  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      35  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets High Dividend Fund (DEM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Advanced Semiconductor Engineering, Inc.

     8,182,343      $ 10,010,715  

Asia Cement Corp.

     3,506,158        3,092,921  

Asustek Computer, Inc.

     1,015,000        8,351,223  

Aten International Co., Ltd.

     354,000        908,231  

Cathay Financial Holding Co., Ltd.

     7,388,000        11,743,226  

Cheng Shin Rubber Industry Co., Ltd.(a)

     3,921,000        7,848,724  

Cheng Uei Precision Industry Co., Ltd.

     969,000        1,340,507  

Chicony Electronics Co., Ltd.

     1,013,967        2,407,520  

Chin-Poon Industrial Co., Ltd.

     504,000        967,313  

China Airlines Ltd.*

     7,221,000        2,726,568  

China Bills Finance Corp.

     1,118,000        545,654  

China Development Financial Holding Corp.

     13,565,000        4,070,752  

China Metal Products

     974,000        958,775  

China Steel Chemical Corp.

     241,000        929,857  

China Synthetic Rubber Corp.

     925,084        1,369,749  

Chung-Hsin Electric & Machinery Manufacturing Corp.

     1,531,750        1,060,769  

Chunghwa Telecom Co., Ltd.

     9,837,000        33,899,436  

Cleanaway Co., Ltd.

     189,000        1,059,557  

Compal Electronics, Inc.

     5,899,000        4,192,173  

Compeq Manufacturing Co., Ltd.

     2,334,000        2,536,120  

CTBC Financial Holding Co., Ltd.

     10,165,000        6,369,048  

CTCI Corp.

     1,223,000        1,964,124  

Elan Microelectronics Corp.

     897,000        1,239,424  

Elite Material Co., Ltd.

     478,000        2,269,885  

Eternal Materials Co., Ltd.

     1,370,105        1,393,871  

Everlight Electronics Co., Ltd.

     676,000        1,067,814  

Far Eastern Department Stores Ltd.(a)

     2,227,000        1,119,963  

Far Eastern New Century Corp.

     5,699,402        4,510,805  

Far EasTone Telecommunications Co., Ltd.

     3,586,000        8,526,270  

Farglory Land Development Co., Ltd.

     1,288,000        1,452,632  

Feng Hsin Steel Co., Ltd.

     1,166,000        2,026,388  

First Financial Holding Co., Ltd.

     7,932,540        5,087,980  

Flytech Technology Co., Ltd.

     323,098        964,265  

Formosa Chemicals & Fibre Corp.

     5,978,000        18,176,085  

Formosa International Hotels Corp.

     201,000        1,020,776  

Formosa Petrochemical Corp.

     9,643,000        33,230,890  

Formosa Plastics Corp.

     7,200,000        21,796,597  

Formosan Rubber Group, Inc.

     1,906,111        961,730  

Foxsemicon Integrated Technology, Inc.

     138,000        926,098  

Fubon Financial Holding Co., Ltd.

     5,437,000        8,480,745  

Getac Technology Corp.

     882,000        1,221,607  

Gigabyte Technology Co., Ltd.

     1,442,000        1,818,906  

Grand Pacific Petrochemical

     1,647,000        1,235,630  

Greatek Electronics, Inc.

     861,000        1,428,186  

Highwealth Construction Corp.

     1,830,000        2,429,017  

Holtek Semiconductor, Inc.

     608,000        1,162,907  

Hon Hai Precision Industry Co., Ltd.

     19,558,000        67,721,607  

Inventec Corp.

     4,875,000        3,601,108  

Kenda Rubber Industrial Co., Ltd.

     1,137,543        1,603,679  

Kinsus Interconnect Technology Corp.(a)

     644,000        1,514,220  

Lien Hwa Industrial Corp.(a)

     1,292,085        1,256,975  

Lite-On Technology Corp.

     2,916,651        4,164,721  

Long Chen Paper Co., Ltd.(a)

     1,442,772        2,131,519  

Lotes Co., Ltd.

     184,000      1,122,543  

Makalot Industrial Co., Ltd.(a)

     391,000        1,708,465  

MediaTek, Inc.

     1,855,000        17,403,624  

Mega Financial Holding Co., Ltd.

     11,480,302        8,972,535  

Nan Ya Plastics Corp.

     10,626,000        26,176,039  

Nantex Industry Co., Ltd.

     1,303,950        950,313  

Nanya Technology Corp.(a)

     5,133,314        14,524,414  

Novatek Microelectronics Corp.

     1,224,000        4,601,504  

OptoTech Corp.

     1,973,000        1,408,635  

Pegatron Corp.

     4,122,000        10,697,843  

Primax Electronics Ltd.

     731,000        1,807,974  

Qisda Corp.

     2,538,000        1,791,096  

Quanta Computer, Inc.

     5,925,990        13,640,486  

Radiant Opto-Electronics Corp.(a)

     1,261,170        2,952,878  

Rechi Precision Co., Ltd.

     918,000        917,273  

Run Long Construction Co., Ltd.(a)

     991,000        1,153,618  

Sampo Corp.

     1,845,000        897,433  

Sercomm Corp.(a)

     550,000        1,481,830  

Siliconware Precision Industries Co., Ltd.

     4,777,724        7,641,459  

SinoPac Financial Holdings Co., Ltd.

     6,699,451        2,006,035  

Syncmold Enterprise Corp.

     633,324        1,449,436  

Synnex Technology International Corp.

     1,794,875        2,154,513  

Taiwan Cement Corp.

     3,457,485        3,853,812  

Taiwan Cogeneration Corp.

     1,584,000        1,214,484  

Taiwan Fertilizer Co., Ltd.

     1,712,000        2,215,934  

Taiwan Mobile Co., Ltd.

     4,226,253        15,051,950  

Taiwan PCB Techvest Co., Ltd.

     928,000        976,230  

Taiwan Secom Co., Ltd.

     495,538        1,454,389  

Taiwan Styrene Monomer(a)

     754,000        483,620  

Test Research, Inc.

     883,000        1,217,168  

Test Rite International Co., Ltd.

     1,523,000        1,125,023  

Tong Hsing Electronic Industries Ltd.

     282,000        1,162,446  

Topco Scientific Co., Ltd.

     414,192        1,010,757  

Transcend Information, Inc.

     896,000        2,532,225  

Tripod Technology Corp.

     627,000        2,171,053  

TSRC Corp.(a)

     885,584        934,530  

Tung Ho Steel Enterprise Corp.

     2,196,000        1,748,892  

TXC Corp.

     763,000        988,850  

U-Ming Marine Transport Corp.*

     1,166,048        1,318,937  

United Microelectronics Corp.(a)

     16,137,000        8,062,114  

Visual Photonics Epitaxy Co., Ltd.(a)

     450,000        894,836  

Wan Hai Lines Ltd.(a)

     4,746,000        2,895,429  

Wistron Corp.(a)

     3,406,223        2,723,945  

WPG Holdings Ltd.

     2,783,000        3,703,141  

WT Microelectronics Co., Ltd.

     924,943        1,462,571  

Yulon Nissan Motor Co., Ltd.(a)

     420,000        3,504,155  

Yungtay Engineering Co., Ltd.

     715,000        1,329,838  
     

 

 

 
Total Taiwan        505,359,285  
Thailand – 6.7%  

Advanced Info Service PCL

     3,387,761        19,402,169  

Advanced Info Service PCL NVDR

     2,513,600        14,395,730  

Bangchak Corp. PCL NVDR

     2,251,100        2,699,970  

Bangkok Land PCL NVDR

     21,755,700        1,174,221  

 

See Notes to Financial Statements.

 

36   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Emerging Markets High Dividend Fund (DEM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Banpu PCL NVDR

     3,576,533      $ 1,887,466  

BEC World PCL NVDR(a)

     3,253,055        1,589,949  

BJC Heavy Industries PCL NVDR(a)

     4,206,507        527,232  

BTS Group Holdings PCL NVDR

     25,652,643        6,576,615  

Glow Energy PCL NVDR

     1,746,800        4,674,720  

Hana Microelectronics PCL NVDR

     1,370,000        1,951,274  

Ichitan Group PCL NVDR(a)

     2,980,200        714,891  

Intouch Holdings PCL NVDR

     7,125,059        12,284,584  

IRPC PCL NVDR

     23,667,700        4,470,960  

Jasmine International PCL NVDR(a)

     14,004,200        3,443,311  

Kiatnakin Bank PCL NVDR

     906,100        1,895,067  

Krung Thai Bank PCL NVDR

     7,537,100        4,248,800  

Land & Houses PCL NVDR

     11,452,553        3,399,708  

PTT Global Chemical PCL NVDR

     4,606,434        10,635,545  

Quality Houses PCL NVDR

     14,064,900        1,163,992  

Ratchaburi Electricity Generating Holding PCL NVDR

     1,703,600        2,745,682  

Sansiri PCL NVDR

     25,889,900        1,769,984  

Siam City Cement PCL NVDR(a)

     332,865        2,814,631  

Siam Commercial Bank PCL (The) NVDR

     1,513,600        6,943,952  

SPCG PCL NVDR

     1,734,908        1,061,233  

Star Petroleum Refining PCL NVDR

     7,045,138        3,739,099  

Thai Oil PCL NVDR

     2,640,000        7,322,339  

Thai Vegetable Oil PCL NVDR(a)

     1,696,097        1,462,153  

Thanachart Capital PCL NVDR

     965,600        1,411,484  

Tipco Asphalt PCL NVDR(a)

     2,205,100        1,593,490  

TTW PCL NVDR

     5,883,677        1,905,359  
     

 

 

 
Total Thailand        129,905,610  
Turkey – 3.7%  

Aksa Akrilik Kimya Sanayii AS

     462,641        1,548,165  

Bolu Cimento Sanayii AS

     486,172        780,642  

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS*

     672,030        1,319,077  

Cimsa Cimento Sanayi ve Ticaret AS

     357,532        1,425,664  

Enka Insaat ve Sanayi AS(a)

     4,720,362        6,875,925  

Eregli Demir ve Celik Fabrikalari TAS

     6,400,563        13,913,094  

Ford Otomotiv Sanayi AS

     434,416        5,570,532  

Goodyear Lastikleri TAS

     660,680        823,040  

Petkim Petrokimya Holding AS

     2,865,342        4,818,409  

Soda Sanayii AS

     1,824,538      2,611,540  

TAV Havalimanlari Holding AS

     706,623        3,507,184  

Trakya Cam Sanayii AS

     1,184,080        1,208,687  

Tupras Turkiye Petrol Rafinerileri AS

     707,780        24,202,370  

Turk Traktor ve Ziraat Makineleri AS

     96,204        2,100,683  

Vestel Beyaz Esya Sanayi ve Ticaret AS(a)

     314,711        873,484  
     

 

 

 
Total Turkey        71,578,496  
TOTAL COMMON STOCKS
(Cost: $1,893,206,899)
              1,922,573,006  
EXCHANGE-TRADED FUND – 0.1%  
United States – 0.1%  
WisdomTree Global High Dividend Fund(a)(c)
(Cost: $1,433,633)
     31,178        1,468,796  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.2%  
United States – 1.2%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(d)

     
(Cost: $24,404,793)(e)      24,404,793        24,404,793  

TOTAL INVESTMENTS IN SECURITIES – 101.0%

(Cost: $1,919,045,325)

 

 

     1,948,446,595  

Other Assets less Liabilities – (1.0)%

        (19,441,320
     

 

 

 
NET ASSETS – 100.0%             $ 1,929,005,275  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 company (See Note 3).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(e) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $80,122,295 and the total market value of the collateral held by the Fund was $92,569,313. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $68,164,520.

ADR – American Depositary Receipt

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

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 N.A.     10/2/2017        167,872        USD        5,101,643        TWD       $—     $ (365
Deutsche Bank     10/2/2017        68,893        USD        931,971        ZAR             (129

State Street Bank and Trust

    10/2/2017        115,299        USD        1,560,197        ZAR             (250
                                                  $—     $ (744

 

CURRENCY LEGEND
TWD   New Taiwan dollar
USD   U.S. dollar
ZAR   South African rand

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      37  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%  
Brazil – 12.9%  

AES Tiete Energia S.A.

     20,487      $ 92,359  

Ambev S.A.

     438,047        2,913,712  

Arezzo Industria e Comercio S.A.

     4,844        76,569  

BB Seguridade Participacoes S.A.

     177,441        1,606,037  

Cia Hering

     12,508        112,499  

Cielo S.A.

     73,605        511,464  

CVC Brasil Operadora e Agencia de Viagens S.A.

     7,031        91,023  

Engie Brasil Energia S.A.

     49,728        569,888  

Grendene S.A.

     27,280        230,528  

Localiza Rent a Car S.A.

     6,363        116,090  

Lojas Renner S.A.

     18,306        208,689  

M. Dias Branco S.A.

     5,702        89,591  

Multiplus S.A.

     19,889        245,850  

Natura Cosmeticos S.A.

     6,310        62,239  

Odontoprev S.A.

     29,065        141,780  

Ser Educacional S.A.(a)

     3,263        32,185  

Smiles S.A.

     10,671        271,502  

Ultrapar Participacoes S.A.

     20,152        479,790  

Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao S.A.

     2,663        17,141  

WEG S.A.

     52,731        356,747  
     

 

 

 
Total Brazil        8,225,683  
Chile – 0.1%  

Forus S.A.

     12,635        52,977  
China – 17.3%  

AAC Technologies Holdings, Inc.

     35,000        587,911  

ANTA Sports Products Ltd.

     154,000        647,688  

BAIC Motor Corp., Ltd. Class H(a)(b)

     78,500        74,473  

Best Pacific International Holdings Ltd.(b)

     40,000        22,533  

Brilliance China Automotive Holdings Ltd.

     104,000        276,953  

China Conch Venture Holdings Ltd.

     64,500        125,520  

China Everbright International Ltd.

     168,000        210,788  

China Gas Holdings Ltd.

     146,000        437,400  

China Lesso Group Holdings Ltd.

     108,000        73,699  

China Medical System Holdings Ltd.

     77,000        134,467  

China Overseas Land & Investment Ltd.

     536,000        1,743,045  

China State Construction International Holdings Ltd.

     230,000        335,104  

China Yongda Automobiles Services Holdings Ltd.(b)

     86,500        116,726  

CIFI Holdings Group Co., Ltd.

     732,000        407,672  

Consun Pharmaceutical Group Ltd.

     45,000        37,910  

CSPC Pharmaceutical Group Ltd.

     140,000        234,448  

CT Environmental Group Ltd.(b)

     114,000        16,347  

Fu Shou Yuan International Group Ltd.

     48,000        31,587  

Fuyao Glass Industry Group Co., Ltd. Class H(a)

     28,800        104,533  

Geely Automobile Holdings Ltd.

     81,000        228,149  

Golden Eagle Retail Group Ltd.(b)

     43,000        50,593  

Guangzhou R&F Properties Co., Ltd. Class H

     217,200        503,325  

Guorui Properties Ltd.

     127,000        43,413  

Haitian International Holdings Ltd.

     56,000        160,959  

Hengan International Group Co., Ltd.

     62,500        578,533  

Logan Property Holdings Co., Ltd.(b)

     396,000        408,639  

Luye Pharma Group Ltd.(b)

     72,500      42,327  

MGM China Holdings Ltd.(b)

     99,200        237,754  

Minth Group Ltd.

     42,000        219,929  

Shenzhou International Group Holdings Ltd.

     50,000        391,770  

Sino Biopharmaceutical Ltd.

     130,000        137,478  

Sunny Optical Technology Group Co., Ltd.

     14,000        222,618  

Tencent Holdings Ltd.

     36,000        1,549,567  

Xinyi Glass Holdings Ltd.*

     316,000        312,330  

Xinyi Solar Holdings Ltd.(b)

     518,000        184,368  

Yestar Healthcare Holdings Co., Ltd.(b)

     45,000        19,877  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

     12,864        72,055  
     

 

 

 
Total China        10,982,488  
Hong Kong – 0.2%  

CP Pokphand Co., Ltd.

     1,548,000        124,859  
India – 7.3%  

ACC Ltd.

     2,100        53,268  

Adani Ports & Special Economic Zone Ltd.

     6,313        36,412  

Asian Paints Ltd.

     4,112        71,242  

Bajaj Auto Ltd.

     2,648        126,052  

Bharat Forge Ltd.

     5,558        50,108  

Cadila Healthcare Ltd.

     5,233        37,681  

Castrol India Ltd.

     8,047        43,931  

Cipla Ltd.

     3,373        30,265  

Coal India Ltd.

     180,115        746,849  

Cummins India Ltd.

     3,424        48,453  

Dr. Reddy’s Laboratories Ltd.

     1,202        42,853  

Havells India Ltd.

     6,825        50,482  

HCL Technologies Ltd.

     25,108        336,260  

Hero MotoCorp Ltd.

     3,278        189,421  

Hexaware Technologies Ltd.

     10,961        45,282  

Hindustan Unilever Ltd.

     20,445        367,428  

Infosys Ltd. ADR

     71,777        1,047,226  

ITC Ltd.

     75,403        298,172  

Lupin Ltd.

     2,798        43,435  

Pidilite Industries Ltd.

     4,485        54,552  

Sun Pharmaceutical Industries Ltd.

     3,509        27,035  

Tata Consultancy Services Ltd.

     14,287        532,799  

Tech Mahindra Ltd.

     14,398        100,921  

Titan Co., Ltd.

     5,791        51,824  

UPL Ltd.

     4,135        49,282  

Wipro Ltd. ADR(b)

     18,680        106,102  

Zee Entertainment Enterprises Ltd.

     6,246        49,733  
     

 

 

 
Total India        4,637,068  
Indonesia – 7.2%  

Ace Hardware Indonesia Tbk PT

     687,007        61,973  

Adhi Karya Persero Tbk PT

     102,200        15,176  

Astra Agro Lestari Tbk PT

     36,900        40,752  

Astra International Tbk PT

     1,382,900        811,115  

Blue Bird Tbk PT

     120,600        43,695  

Charoen Pokphand Indonesia Tbk PT

     221,700        45,100  

Gudang Garam Tbk PT

     118,400        578,419  

Indofood CBP Sukses Makmur Tbk PT

     218,800        141,735  

Kalbe Farma Tbk PT

     768,131        94,954  

 

See Notes to Financial Statements.

 

38   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Media Nusantara Citra Tbk PT

     502,600      $ 49,256  

Mitra Keluarga Karyasehat Tbk PT

     236,900        35,705  

Pakuwon Jati Tbk PT

     708,500        32,087  

Pembangunan Perumahan Persero Tbk PT

     115,264        19,768  

Sawit Sumbermas Sarana Tbk PT

     231,300        26,103  

Semen Indonesia Persero Tbk PT

     310,300        233,261  

Surya Citra Media Tbk PT

     815,800        132,646  

Tambang Batubara Bukit Asam Persero Tbk PT

     96,700        75,025  

Telekomunikasi Indonesia Persero Tbk PT

     3,790,100        1,316,925  

Tower Bersama Infrastructure Tbk PT

     210,000        102,513  

Unilever Indonesia Tbk PT

     197,365        717,644  

Waskita Karya Persero Tbk PT

     173,129        22,816  
     

 

 

 
Total Indonesia        4,596,668  
Malaysia – 2.1%  

Bursa Malaysia Bhd

     44,900        106,335  

Carlsberg Brewery Malaysia Bhd

     15,800        55,529  

Datasonic Group Bhd

     69,500        20,574  

Dutch Lady Milk Industries Bhd

     4,900        70,045  

Fraser & Neave Holdings Bhd

     12,700        74,170  

HAP Seng Consolidated Bhd

     109,900        236,848  

Hartalega Holdings Bhd

     59,600        98,239  

Inari Amertron Bhd

     145,350        87,434  

Kossan Rubber Industries

     28,100        45,918  

Lingkaran Trans Kota Holdings Bhd

     24,600        33,790  

My EG Services Bhd

     86,950        42,214  

Nestle Malaysia Bhd

     5,100        102,423  

Padini Holdings Bhd

     49,600        53,447  

Scientex Bhd

     22,700        47,309  

Top Glove Corp. Bhd

     64,300        84,515  

Westports Holdings Bhd

     173,200        156,280  
     

 

 

 
Total Malaysia        1,315,070  
Mexico – 6.8%  

America Movil S.A.B. de C.V. Series L

     1,704,277        1,516,644  

Grupo Aeroportuario del Centro Norte S.A.B. de C.V.

     14,843        82,465  

Grupo Aeroportuario del Sureste S.A.B. de C.V. Class B

     9,866        188,304  

Grupo Lala S.A.B. de C.V.

     53,911        91,439  

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     80,542        164,329  

Unifin Financiera S.A.B. de C.V. SOFOM ENR

     14,998        50,645  

Wal-Mart de Mexico S.A.B. de C.V.

     977,928        2,245,665  
     

 

 

 
Total Mexico        4,339,491  
Philippines – 0.8%  

D&L Industries, Inc.

     232,100        46,146  

Jollibee Foods Corp.

     15,510        74,437  

Semirara Mining & Power Corp.

     226,070        207,826  

Universal Robina Corp.

     55,590        167,209  
     

 

 

 
Total Philippines        495,618  
Poland – 0.2%  

CCC S.A.

     744        56,352  

Eurocash S.A.

     6,942        73,574  
     

 

 

 
Total Poland        129,926  
Russia – 7.2%     

Magnit PJSC GDR Reg S

     17,556      718,918  

MMC Norilsk Nickel PJSC ADR

     152,991        2,633,740  

Novatek PJSC GDR Reg S

     10,373        1,216,753  
     

 

 

 
Total Russia        4,569,411  
South Africa – 9.8%  

Aspen Pharmacare Holdings Ltd.

     6,833        153,633  

Astral Foods Ltd.

     4,911        62,587  

AVI Ltd.

     23,487        170,293  

Capitec Bank Holdings Ltd.

     3,390        215,682  

City Lodge Hotels Ltd.

     3,645        37,523  

Clicks Group Ltd.

     11,047        129,292  

EOH Holdings Ltd.

     4,376        31,012  

Foschini Group Ltd. (The)

     19,574        196,791  

Life Healthcare Group Holdings Ltd.

     20,524        36,024  

Massmart Holdings Ltd.

     6,885        56,885  

Mr. Price Group Ltd.

     19,038        253,849  

Naspers Ltd. Class N

     1,731        374,340  

Netcare Ltd.

     47,137        83,085  

Novus Holdings Ltd.

     599        290  

Oceana Group Ltd.

     9,079        55,358  

Pick n Pay Stores Ltd.

     22,836        97,433  

Pioneer Foods Group Ltd.

     8,705        72,689  

Rand Merchant Investment Holdings Ltd.

     84,225        258,679  

Resilient REIT Ltd.

     31,783        313,252  

RMB Holdings Ltd.

     129,260        607,888  

Santam Ltd.

     11,848        225,509  

Shoprite Holdings Ltd.

     21,638        331,545  

SPAR Group Ltd. (The)

     11,287        139,665  

Truworths International Ltd.

     49,284        281,962  

Tsogo Sun Holdings Ltd.

     72,852        109,312  

Vodacom Group Ltd.

     135,458        1,616,568  

Woolworths Holdings Ltd.

     68,673        304,597  
     

 

 

 
Total South Africa        6,215,743  
South Korea – 4.2%  

Amorepacific Corp.

     308        69,783  

Coway Co., Ltd.

     3,829        314,250  

Dongwon Development Co., Ltd.

     4,812        23,107  

Grand Korea Leisure Co., Ltd.

     3,124        64,643  

Hanmi Semiconductor Co., Ltd.

     2,290        17,675  

Hanon Systems

     22,965        252,638  

Hansae Co., Ltd.

     1,246        26,436  

Hansol Chemical Co., Ltd.

     301        19,106  

Hanssem Co., Ltd.

     278        36,772  

Hyundai Glovis Co., Ltd.

     1,083        139,943  

Kakao Corp.

     458        57,582  

KEPCO Plant Service & Engineering Co., Ltd.

     2,549        92,248  

Korea Aerospace Industries Ltd.

     829        31,630  

Korea Real Estate Investment & Trust Co., Ltd.

     9,851        28,469  

LEENO Industrial, Inc.

     599        25,626  

LG Household & Health Care Ltd.

     156        127,486  

Medy-Tox, Inc.

     80        34,540  

NAVER Corp.

     70        45,532  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      39  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

NCSoft Corp.

     348      $ 141,132  

NICE Information Service Co., Ltd.

     3,149        22,682  

SK Hynix, Inc.

     15,192        1,099,591  

SPC Samlip Co., Ltd.

     132        14,925  
     

 

 

 
Total South Korea        2,685,796  
Taiwan – 16.6%  

Advantech Co., Ltd.

     28,399        202,288  

Aerospace Industrial Development Corp.

     59,998        66,974  

Aten International Co., Ltd.

     18,000        46,181  

Chaun-Choung Technology Corp.

     4,000        12,017  

Cleanaway Co., Ltd.

     10,000        56,061  

Cub Elecparts, Inc.

     4,199        49,365  

Delta Electronics, Inc.

     136,000        699,644  

Eclat Textile Co., Ltd.

     16,483        200,303  

Elite Advanced Laser Corp.

     11,000        40,809  

Elite Material Co., Ltd.

     29,000        137,713  

Ennoconn Corp.

     2,050        29,407  

Feng TAY Enterprise Co., Ltd.

     43,680        198,781  

FLEXium Interconnect, Inc.

     19,263        73,688  

Flytech Technology Co., Ltd.

     15,000        44,767  

Formosa Petrochemical Corp.

     441,000        1,519,737  

Grape King Bio Ltd.

     3,000        18,104  

Greatek Electronics, Inc.

     50,000        82,938  

Highwealth Construction Corp.

     272,000        361,034  

Holiday Entertainment Co., Ltd.

     31,000        51,421  

Holtek Semiconductor, Inc.

     29,000        55,468  

Hota Industrial Manufacturing Co., Ltd.

     6,383        30,101  

Hotai Motor Co., Ltd.

     30,000        345,766  

IEI Integration Corp.

     25,000        35,244  

Iron Force Industrial Co., Ltd.

     2,000        8,805  

Kenda Rubber Industrial Co., Ltd.

     68,860        97,077  

King Slide Works Co., Ltd.

     4,000        54,478  

Kung Long Batteries Industrial Co., Ltd.

     3,000        14,592  

Largan Precision Co., Ltd.

     3,000        527,305  

Makalot Industrial Co., Ltd.

     23,784        103,924  

MediaTek, Inc.

     127,000        1,191,515  

Merry Electronics Co., Ltd.

     7,000        44,090  

momo.com, Inc.

     5,000        35,780  

Nan Liu Enterprise Co., Ltd.

     3,000        15,433  

Novatek Microelectronics Corp.

     83,000        312,030  

Sitronix Technology Corp.

     8,000        23,216  

Standard Foods Corp.

     33,408        81,526  

Swancor Holding Co., Ltd.*

     7,000        17,752  

Taiwan Semiconductor Manufacturing Co., Ltd.

     497,291        3,550,439  

Visual Photonics Epitaxy Co., Ltd.

     20,000        39,770  

Vivotek, Inc.

     7,175        23,141  

Voltronic Power Technology Corp.

     3,150        56,510  

Zeng Hsing Industrial Co., Ltd.

     6,000        26,019  
     

 

 

 
Total Taiwan        10,581,213  
Thailand – 4.9%  

Airports of Thailand PCL NVDR

     327,500        579,385  

Bangkok Aviation Fuel Services PCL NVDR

     47,300        68,433  

Bangkok Dusit Medical Services PCL NVDR

     435,900        267,945  

Beauty Community PCL NVDR

     175,700        84,294  

BEC World PCL NVDR

     193,011      94,335  

Berli Jucker PCL NVDR

     40,300        63,743  

Bumrungrad Hospital PCL NVDR

     17,990        115,978  

Central Pattana PCL NVDR

     107,616        251,696  

CH Karnchang PCL NVDR

     51,900        43,574  

Chularat Hospital PCL NVDR

     530,800        39,153  

CP ALL PCL NVDR

     204,417        409,140  

Energy Absolute PCL NVDR

     49,300        56,543  

Home Product Center PCL NVDR

     584,500        213,820  

KCE Electronics PCL NVDR

     23,000        68,966  

Major Cineplex Group PCL NVDR

     65,800        60,177  

Minor International PCL NVDR

     64,700        79,056  

PTG Energy PCL NVDR

     32,000        21,877  

Robinson PCL NVDR

     34,700        67,111  

SPCG PCL NVDR

     93,800        57,377  

STP & I PCL NVDR

     207,810        41,749  

Supalai PCL NVDR

     118,100        82,157  

SVI PCL NVDR

     183,800        27,832  

Thai Vegetable Oil PCL NVDR

     93,900        80,948  

Tipco Asphalt PCL NVDR

     120,600        87,150  

TTW PCL NVDR

     364,000        117,877  

VGI Global Media PCL NVDR

     342,480        59,048  
     

 

 

 
Total Thailand               3,139,364  
Turkey – 2.1%      

Arcelik AS

     20,588        131,537  

BIM Birlesik Magazalar AS

     10,460        218,401  

Bolu Cimento Sanayii AS

     22,802        36,613  

EGE Endustri VE Ticaret AS

     350        26,820  

Ford Otomotiv Sanayi AS

     28,927        370,932  

Otokar Otomotiv Ve Savunma Sanayi AS

     1,577        44,790  

Soda Sanayii AS

     120,577        172,587  

Tofas Turk Otomobil Fabrikasi AS

     28,333        246,034  

Turk Traktor ve Ziraat Makineleri AS

     5,040        110,052  
     

 

 

 
Total Turkey               1,357,766  

TOTAL COMMON STOCKS

(Cost: $54,930,609)

              63,449,141  
RIGHTS – 0.0%      
Brazil – 0.0%      
Ser Educacional S.A., expiring 10/17/17*
(Cost $0)
     348        263  
WARRANTS – 0.0%      
Thailand – 0.0%      
Supalai PCL, expiring 10/19/18*
(Cost: $13,406)
     28,350        16,321  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.1%  
United States – 1.1%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $680,357)(d)      680,357        680,357  

TOTAL INVESTMENTS IN SECURITIES – 100.8%

(Cost: $55,624,372)

        64,146,082  

Other Assets less Liabilities – (0.8)%

        (504,379
     

 

 

 
NET ASSETS – 100.0%             $ 63,641,703  

 

See Notes to Financial Statements.

 

40   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

September 30, 2017

 

  

 

 

* 

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 September 30, 2017 (See Note 2).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $1,068,270 and the total market value of the collateral held by the Fund was $1,150,650. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $470,293.

ADR – American Depositary Receipt

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      41  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%      
Brazil – 8.1%      

AES Tiete Energia S.A.

     717,912      $ 3,236,465  

Alupar Investimento S.A.

     518,473        3,078,236  

Arezzo Industria e Comercio S.A.

     154,639        2,444,383  

Cia de Saneamento de Minas Gerais-COPASA

     88,254        1,194,149  

Cia Hering

     405,841        3,650,215  

CVC Brasil Operadora e Agencia de Viagens S.A.

     243,909        3,157,635  

Cyrela Brazil Realty S.A. Empreendimentos e Participacoes

     539,757        2,354,819  

Direcional Engenharia S.A.*

     440,467        813,217  

Duratex S.A.

     1,119,507        3,351,637  

EDP – Energias do Brasil S.A.

     1,092,420        5,228,724  

Estacio Participacoes S.A.

     330,503        3,238,003  

Even Construtora e Incorporadora S.A.*

     608,908        1,068,378  

Ez Tec Empreendimentos e Participacoes S.A.

     508,866        3,619,647  

Fleury S.A.

     155,964        1,453,064  

Grendene S.A.

     816,266        6,897,804  

Guararapes Confeccoes S.A.

     32,295        1,531,464  

Iguatemi Empresa de Shopping Centers S.A.

     113,136        1,404,208  

Localiza Rent a Car S.A.

     179,615        3,276,981  

Mahle-Metal Leve S.A.

     336,499        2,116,982  

MRV Engenharia e Participacoes S.A.

     856,101        3,724,120  

Multiplus S.A.

     612,232        7,567,858  

Odontoprev S.A.

     938,390        4,577,512  

Qualicorp S.A.

     539,130        6,459,708  

Sao Martinho S.A.

     150,083        844,088  

SLC Agricola S.A.

     249,469        1,948,022  

Smiles S.A.

     343,644        8,743,332  

Sul America S.A.

     525,577        2,972,534  

TOTVS S.A.

     269,242        2,664,203  

Transmissora Alianca de Energia Eletrica S.A.

     2,173,895        15,291,454  

Tupy S.A.

     187,589        1,055,620  

Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao S.A.

     204,583        1,316,823  

Wiz Solucoes e Corretagem de Seguros S.A.

     457,200        2,486,079  
     

 

 

 
Total Brazil               112,767,364  
Chile – 1.6%      

CAP S.A.

     99,473        1,040,192  

Engie Energia Chile S.A.

     2,800,886        6,042,373  

Forus S.A.

     285,609        1,197,526  

Inversiones Aguas Metropolitanas S.A.

     1,283,779        2,279,600  

Inversiones La Construccion S.A.

     174,757        2,768,474  

Parque Arauco S.A.

     903,106        2,473,357  

Ripley Corp. S.A.

     3,325,772        3,172,890  

SONDA S.A.

     935,177        1,821,542  

Vina Concha y Toro S.A.

     1,261,793        2,099,994  
     

 

 

 
Total Chile               22,895,948  
China – 21.9%      

361 Degrees International Ltd.

     4,509,000        1,980,088  

Anhui Expressway Co., Ltd. Class H

     1,183,666        901,688  

BAIC Motor Corp., Ltd. Class H(a)(b)

     2,405,000        2,281,620  

Bank of Chongqing Co., Ltd. Class H

     1,235,000      1,005,620  

Bank of Jinzhou Co., Ltd. Class H(a)

     1,251,000        1,292,531  

Beijing Capital International Airport Co., Ltd. Class H

     2,128,000        3,171,280  

Beijing Capital Land Ltd. Class H

     4,006,000        2,236,184  

Beijing Jingneng Clean Energy Co., Ltd. Class H

     4,684,000        1,307,325  

Beijing Tong Ren Tang Chinese Medicine Co., Ltd.

     647,000        838,291  

Best Pacific International Holdings Ltd.(a)

     1,266,000        713,176  

BYD Electronic International Co., Ltd.

     1,560,000        4,613,671  

CECEP COSTIN New Materials Group Ltd.*

     4,614,000        1  

Central China Securities Co., Ltd. Class H(a)

     6,303,000        2,921,231  

Chaowei Power Holdings Ltd.

     907,000        524,875  

China Aoyuan Property Group Ltd.

     8,516,000        4,753,705  

China BlueChemical Ltd. Class H

     6,696,000        2,177,505  

China Communications Services Corp., Ltd. Class H

     3,904,000        2,009,305  

China International Marine Containers Group Co., Ltd. Class H(a)

     2,446,000        4,622,244  

China Lesso Group Holdings Ltd.

     3,725,000        2,541,930  

China Lilang Ltd.

     3,250,000        2,708,784  

China Machinery Engineering Corp. Class H

     2,632,000        1,644,431  

China Maple Leaf Educational Systems Ltd.(a)

     1,034,000        1,155,699  

China National Building Material Co., Ltd. Class H(a)

     2,352,000        1,629,088  

China Oilfield Services Ltd. Class H

     1,550,000        1,418,887  

China Reinsurance Group Corp. Class H

     11,864,000        2,627,770  

China Shineway Pharmaceutical Group Ltd.

     1,506,000        1,340,046  

China South City Holdings Ltd.(a)

     12,796,000        3,653,332  

China Southern Airlines Co., Ltd. Class H

     3,042,000        2,095,326  

China Travel International Investment Hong Kong Ltd.(a)

     11,396,000        4,172,809  

China Yongda Automobiles Services Holdings Ltd.(a)

     2,501,000        3,374,927  

China ZhengTong Auto Services Holdings Ltd.

     4,970,000        5,395,880  

Chongqing Rural Commercial Bank Co., Ltd. Class H

     6,593,000        4,178,287  

CIFI Holdings Group Co., Ltd.

     23,678,000        13,186,949  

CITIC Telecom International Holdings Ltd.

     6,551,000        1,887,123  

Consun Pharmaceutical Group Ltd.

     1,751,000        1,475,102  

COSCO SHIPPING Energy Transportation Co., Ltd. Class H

     1,790,000        992,318  

Cosmo Lady China Holdings Co., Ltd.(a)(b)

     4,475,000        1,758,901  

CT Environmental Group Ltd.(a)

     994,000        142,533  

Dah Chong Hong Holdings Ltd.

     3,485,000        1,722,266  

Dalian Port PDA Co., Ltd. Class H(a)

     7,252,000        1,253,434  

Fantasia Holdings Group Co., Ltd.

     9,934,500        1,411,819  

Fufeng Group Ltd.*(a)

     1,645,000        1,126,756  

Future Land Development Holdings Ltd.

     11,260,565        5,536,068  

Fuyao Glass Industry Group Co., Ltd. Class H(a)(b)

     992,400        3,602,051  

Golden Eagle Retail Group Ltd.(a)

     915,000        1,076,581  

Goldpac Group Ltd.

     3,088,000        1,008,155  

Greatview Aseptic Packaging Co., Ltd.

     3,786,000        2,326,654  

 

See Notes to Financial Statements.

 

42   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Guangshen Railway Co., Ltd. Class H(a)

     2,630,665      $ 1,542,556  

Guangzhou Automobile Group Co., Ltd. Class H

     2,478,000        5,736,008  

Guangzhou R&F Properties Co., Ltd. Class H

     7,138,000        16,541,129  

Guorui Properties Ltd.(a)

     4,746,000        1,622,367  

Guotai Junan International Holdings Ltd.(a)

     8,450,000        2,693,805  

Hisense Kelon Electrical Holdings Co., Ltd. Class H(a)

     667,000        730,133  

Huadian Fuxin Energy Corp., Ltd. Class H

     3,630,000        836,545  

Huadian Power International Corp., Ltd. Class H

     7,494,000        3,031,872  

Huaneng Renewables Corp., Ltd. Class H

     3,028,000        1,000,197  

Huishang Bank Corp., Ltd. Class H

     3,953,000        1,948,487  

Jiangsu Expressway Co., Ltd. Class H

     2,801,933        4,290,412  

Jiangxi Copper Co., Ltd. Class H

     1,103,000        1,742,612  

KWG Property Holding Ltd.

     12,142,500        12,980,895  

Legend Holdings Corp. Class H(b)

     290,900        724,764  

Lonking Holdings Ltd.

     4,049,000        1,705,508  

Luye Pharma Group Ltd.(a)

     1,405,500        820,551  

Metallurgical Corp. of China Ltd. Class H

     3,782,000        1,244,413  

Powerlong Real Estate Holdings Ltd.

     7,463,000        3,802,827  

Qingdao Port International Co., Ltd. Class H(b)

     1,482,000        944,904  

Red Star Macalline Group Corp., Ltd. Class H(b)

     4,019,400        4,991,637  

Shandong Chenming Paper Holdings Ltd. Class H(a)

     897,000        1,699,668  

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

     1,564,000        1,107,317  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     331,000        1,373,040  

Shanghai Jin Jiang International Hotels Group Co., Ltd. Class H

     2,635,587        985,304  

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

     766,600        1,872,653  

Shenzhen Expressway Co., Ltd. Class H

     1,909,697        1,853,291  

Shougang Fushan Resources Group Ltd.

     9,002,000        2,039,963  

Shui On Land Ltd.

     8,856,000        2,278,997  

Sihuan Pharmaceutical Holdings Group Ltd.

     27,493,000        9,996,559  

Sinopec Engineering Group Co., Ltd. Class H

     3,795,000        3,347,658  

Sinopec Kantons Holdings Ltd.(a)

     4,450,000        2,996,786  

Sinopec Shanghai Petrochemical Co., Ltd. Class H

     5,448,000        3,243,397  

Sinotrans Ltd. Class H

     3,732,000        1,896,890  

Sinotruk Hong Kong Ltd.(a)

     1,543,000        2,137,486  

SITC International Holdings Co., Ltd.

     4,371,000        3,962,088  

Skyworth Digital Holdings Ltd.

     7,624,000        3,894,627  

Sunac China Holdings Ltd.(a)

     7,739,000        35,421,825  

Tian Ge Interactive Holdings Ltd.(a)(b)

     876,000        638,155  

Tianjin Port Development Holdings Ltd.*

     8,202,000        1,302,121  

Tianneng Power International Ltd.

     2,760,000        2,851,627  

Times Property Holdings Ltd.(a)

     4,831,000        4,960,454  

Tong Ren Tang Technologies Co., Ltd. Class H

     684,888        875,982  

TravelSky Technology Ltd. Class H

     564,000        1,469,446  

Weichai Power Co., Ltd. Class H

     2,235,076        2,449,492  

Xingda International Holdings Ltd.

     2,786,000        1,045,102  

Xinjiang Goldwind Science & Technology Co., Ltd. Class H(a)

     1,619,580      2,023,775  

XTEP International Holdings Ltd.

     6,937,500        2,389,270  

Yestar Healthcare Holdings Co., Ltd.(a)

     1,872,500        827,087  

Yuexiu Property Co., Ltd.

     30,202,000        6,148,128  

Yuexiu Transport Infrastructure Ltd.(a)

     3,242,000        2,436,470  

Yuzhou Properties Co., Ltd.

     12,363,000        6,679,537  

Zhejiang Expressway Co., Ltd. Class H

     3,444,000        4,281,465  

Zhongsheng Group Holdings Ltd.

     729,000        1,579,203  

Zoomlion Heavy Industry Science and Technology Co., Ltd. Class H(a)

     4,858,400        2,139,744  
     

 

 

 
Total China               306,930,475  
Hong Kong – 1.6%      

Bosideng International Holdings Ltd.

     14,106,000        1,300,308  

China High Speed Transmission Equipment Group Co., Ltd.(a)

     2,515,000        3,226,382  

China Water Affairs Group Ltd.

     1,326,000        940,510  

Concord New Energy Group Ltd.

     22,390,000        1,031,969  

Dawnrays Pharmaceutical Holdings Ltd.(a)

     1,445,000        832,512  

Hua Han Health Industry Holdings Ltd.*(a)

     8,880,000        301,279  

Joy City Property Ltd.

     8,860,000        1,633,451  

Ju Teng International Holdings Ltd.

     3,620,000        1,427,478  

Kingboard Laminates Holdings Ltd.

     5,876,000        9,494,043  

Vinda International Holdings Ltd.(a)

     389,000        731,115  

Wasion Group Holdings Ltd.(a)

     1,906,000        966,336  
     

 

 

 
Total Hong Kong               21,885,383  
Hungary – 0.3%      

Magyar Telekom Telecommunications PLC

     2,248,628        4,107,375  
India – 0.6%      

Apollo Tyres Ltd.

     443,590        1,668,895  

Balrampur Chini Mills Ltd.

     340,103        837,761  

Federal Bank Ltd.

     716,920        1,236,391  

Hexaware Technologies Ltd.

     284,455        1,175,140  

IRB Infrastructure Developers Ltd.

     245,705        800,648  

JSW Energy Ltd.

     796,772        899,601  

Reliance Infrastructure Ltd.

     133,949        953,659  
     

 

 

 
Total India               7,572,095  
Indonesia – 2.4%      

Ace Hardware Indonesia Tbk PT

     21,960,600        1,981,003  

Adaro Energy Tbk PT

     36,617,900        4,961,591  

AKR Corporindo Tbk PT

     3,032,445        1,598,512  

Astra Agro Lestari Tbk PT

     704,566        778,114  

Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT

     25,967,300        5,012,620  

Bank Tabungan Negara Persero Tbk PT

     11,091,016        2,593,860  

Blue Bird Tbk PT

     3,069,700        1,112,194  

Elnusa Tbk PT

     18,601,900        419,851  

Indo Tambangraya Megah Tbk PT

     2,194,200        3,298,875  

Japfa Comfeed Indonesia Tbk PT

     5,016,300        472,990  

Matahari Putra Prima Tbk PT*

     7,355,000        357,675  

Media Nusantara Citra Tbk PT

     15,616,940        1,530,504  

Pakuwon Jati Tbk PT

     17,743,700        803,598  

Pembangunan Perumahan Persero Tbk PT

     2,363,700        405,386  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      43  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Perusahaan Perkebunan London Sumatra Indonesia Tbk PT

     5,394,652      $ 564,738  

Ramayana Lestari Sentosa Tbk PT

     9,852,800        658,365  

Sawit Sumbermas Sarana Tbk PT

     7,114,000        802,827  

Tambang Batubara Bukit Asam Persero Tbk PT

     3,036,300        2,355,731  

Total Bangun Persada Tbk PT

     11,225,800        625,091  

Tower Bersama Infrastructure Tbk PT

     6,300,603        3,075,690  

Waskita Karya Persero Tbk PT

     5,035,800        663,638  
     

 

 

 
Total Indonesia               34,072,853  
Malaysia – 5.3%      

AirAsia Bhd

     2,125,900        1,736,970  

Alliance Bank Malaysia Bhd

     2,322,347        2,144,974  

Berjaya Corp. Bhd*

     12,990,524        1,061,393  

Berjaya Sports Toto Bhd

     3,055,300        1,787,233  

Bermaz Auto Bhd

     4,918,980        2,458,034  

BIMB Holdings Bhd

     1,766,000        1,836,054  

Bumi Armada Bhd*

     6,621,000        1,144,661  

Bursa Malaysia Bhd

     1,231,100        2,915,571  

Datasonic Group Bhd

     2,714,100        803,464  

Dialog Group Bhd

     6,104,776        2,891,546  

DRB-Hicom Bhd

     1,851,500        714,729  

Dutch Lady Milk Industries Bhd

     140,600        2,009,856  

Felda Global Ventures Holdings Bhd

     3,371,600        1,349,439  

Fraser & Neave Holdings Bhd

     556,000        3,247,119  

Globetronics Technology Bhd

     904,600        1,317,535  

Hartalega Holdings Bhd

     1,579,044        2,602,758  

Inari Amertron Bhd

     2,750,150        1,654,324  

IOI Properties Group Bhd

     7,855,800        3,758,133  

Kossan Rubber Industries

     670,500        1,095,666  

Lingkaran Trans Kota Holdings Bhd

     954,500        1,311,095  

Mah Sing Group Bhd

     5,314,977        1,875,504  

Malakoff Corp. Bhd

     12,856,663        3,257,935  

Malaysian Resources Corp. Bhd

     2,275,143        571,143  

MMC Corp. Bhd

     2,889,500        1,423,365  

Padini Holdings Bhd

     1,380,200        1,487,249  

Pos Malaysia Bhd

     871,000        1,082,949  

Press Metal Aluminium Holdings Bhd

     3,948,180        3,525,077  

Scientex Bhd

     603,100        1,256,905  

SP Setia Bhd Group

     7,268,800        6,266,059  

Sunway Bhd

     9,095,160        3,963,314  

Sunway Construction Group Bhd

     3,264,900        1,762,930  

Supermax Corp. Bhd

     1,337,567        538,511  

Top Glove Corp. Bhd

     1,872,480        2,461,164  

UEM Sunrise Bhd*

     3,528,900        952,740  

Unisem M Bhd

     1,919,700        1,713,977  

UOA Development Bhd

     4,868,760        2,986,403  

VS Industry Bhd

     2,570,400        1,619,245  
     

 

 

 
Total Malaysia               74,585,024  
Mexico – 1.6%      

Banregio Grupo Financiero S.A.B. de C.V.

     196,478        1,173,182  

Bolsa Mexicana de Valores S.A.B. de C.V.

     1,064,815        1,785,515  

Concentradora Hipotecaria SAPI de C.V.

     1,494,633        1,735,854  

Corp. Inmobiliaria Vesta S.A.B. de C.V.

     1,067,580      1,529,713  

Grupo Aeroportuario del Centro Norte S.A.B. de C.V.

     586,033        3,255,909  

Grupo Financiero Interacciones S.A. de C.V.

     700,078        4,198,714  

Grupo Herdez S.A.B. de C.V.(a)

     549,130        1,331,454  

Macquarie Mexico Real Estate Management S.A. de C.V.*

     3,209,398        4,261,111  

Megacable Holdings S.A.B. de C.V. Series CPO

     310,581        1,295,566  

Rassini S.A.B. de C.V.

     281,044        1,170,652  

Unifin Financiera S.A.B. de C.V. SOFOM ENR(a)

     324,276        1,095,013  
     

 

 

 
Total Mexico               22,832,683  
Philippines – 1.2%      

Cebu Air, Inc.

     589,270        1,272,511  

D&L Industries, Inc.

     7,099,300        1,411,489  

Filinvest Land, Inc.

     45,430,000        1,815,429  

First Gen Corp.

     2,912,600        1,084,782  

First Philippine Holdings Corp.

     799,386        1,069,268  

Lopez Holdings Corp.

     7,215,312        857,892  

Manila Water Co., Inc.

     1,594,945        968,593  

Nickel Asia Corp.

     4,589,848        596,325  

Petron Corp.

     5,189,500        1,070,600  

Premium Leisure Corp.

     34,014,000        1,078,014  

Puregold Price Club, Inc.

     1,206,700        1,238,780  

Robinsons Land Corp.

     2,829,760        1,409,324  

Robinsons Retail Holdings, Inc.

     730,050        1,422,749  

Vista Land & Lifescapes, Inc.

     15,574,600        1,949,910  
     

 

 

 
Total Philippines               17,245,666  
Poland – 1.1%      

Asseco Poland S.A.

     259,785        3,300,113  

CCC S.A.

     21,820        1,652,690  

Energa S.A.

     1,564,622        5,753,629  

Eurocash S.A.

     179,351        1,900,832  

Grupa Azoty S.A.

     69,471        1,521,367  

Warsaw Stock Exchange

     137,312        1,680,625  
     

 

 

 
Total Poland               15,809,256  
South Africa – 7.9%      

Aeci Ltd.

     253,313        1,902,310  

African Rainbow Minerals Ltd.

     393,120        2,970,563  

Alexander Forbes Group Holdings Ltd.

     3,489,439        1,744,396  

Assore Ltd.

     169,799        3,484,636  

Astral Foods Ltd.

     187,186        2,385,556  

AVI Ltd.

     783,631        5,681,724  

Barloworld Ltd.

     497,393        4,586,588  

Blue Label Telecoms Ltd.

     889,375        1,152,680  

Capevin Holdings Ltd.

     1,415,498        901,558  

Cashbuild Ltd.(a)

     33,745        962,179  

City Lodge Hotels Ltd.

     99,304        1,022,274  

Clicks Group Ltd.(a)

     276,817        3,239,799  

Coronation Fund Managers Ltd.

     1,295,614        6,457,680  

DataTec Ltd.(a)

     601,517        2,551,296  

DRDGOLD Ltd.(a)

     2,596,365        992,205  

 

See Notes to Financial Statements.

 

44   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Exxaro Resources Ltd.

     347,189      $ 3,158,835  

Foschini Group Ltd. (The)

     630,865        6,342,524  

Harmony Gold Mining Co., Ltd.

     289,760        517,609  

Hudaco Industries Ltd.

     101,931        957,974  

Hyprop Investments Ltd.

     683,709        5,353,210  

Investec Ltd.

     926,379        6,723,580  

JSE Ltd.

     191,754        1,758,840  

KAP Industrial Holdings Ltd.

     3,229,327        2,025,729  

Lewis Group Ltd.

     624,985        1,388,598  

Massmart Holdings Ltd.

     198,914        1,643,462  

Metair Investments Ltd.

     468,734        631,459  

Mondi Ltd.

     219,981        5,889,186  

Mpact Ltd.

     334,854        637,345  

Murray & Roberts Holdings Ltd.

     1,118,644        1,325,555  

Oceana Group Ltd.

     242,749        1,480,135  

Omnia Holdings Ltd.

     49,695        512,205  

Peregrine Holdings Ltd.

     701,202        1,521,067  

Pick n Pay Stores Ltd.

     731,090        3,119,281  

Reunert Ltd.

     587,187        2,944,959  

Santam Ltd.

     240,001        4,568,062  

SPAR Group Ltd. (The)

     357,004        4,417,569  

Tongaat Hulett Ltd.

     76,634        652,687  

Truworths International Ltd.(a)

     1,505,632        8,613,966  

Tsogo Sun Holdings Ltd.

     1,867,879        2,802,683  

Wilson Bayly Holmes-Ovcon Ltd.

     114,501        1,248,932  
     

 

 

 
Total South Africa               110,270,896  
South Korea – 8.4%      

Binggrae Co., Ltd.

     16,169        847,025  

Bukwang Pharmaceutical Co., Ltd.

     64,740        1,260,490  

Cheil Worldwide, Inc.

     123,289        1,959,104  

Chong Kun Dang Pharmaceutical Corp.

     6,292        596,047  

Daeduck Electronics Co.

     157,852        1,495,346  

Daesang Corp.

     33,196        643,429  

Daewoong Pharmaceutical Co., Ltd.

     7,845        726,040  

Daishin Securities Co., Ltd.

     153,318        1,766,969  

DGB Financial Group, Inc.

     314,801        2,885,939  

Doosan Heavy Industries & Construction Co., Ltd.(a)

     186,041        2,777,580  

GOLFZONNEWDIN Co., Ltd.(a)

     190,803        874,594  

Grand Korea Leisure Co., Ltd.(a)

     126,706        2,621,847  

Green Cross Corp.

     9,182        1,607,361  

Green Cross Holdings Corp.

     43,005        1,434,314  

Halla Holdings Corp.

     13,229        726,506  

Hana Tour Service, Inc.

     15,797        1,187,516  

Hancom, Inc.

     43,738        664,462  

Hankook Tire Worldwide Co., Ltd.

     77,899        1,486,090  

Hanmi Semiconductor Co., Ltd.

     153,886        1,187,718  

Hansae Co., Ltd.(a)

     28,909        613,340  

Hanwha Corp.

     60,179        2,311,849  

Hite Jinro Co., Ltd.

     183,500        4,213,603  

Hotel Shilla Co., Ltd.

     18,379        933,913  

Huchems Fine Chemical Corp.

     57,324        1,198,681  

Hyundai Corp.

     36,687        669,453  

Hyundai Home Shopping Network Corp.

     12,862      1,358,800  

Hyundai Wia Corp.(a)

     20,922        1,192,829  

IlDong Holdings Co., Ltd.

     18,189        223,918  

iMarketKorea, Inc.

     86,499        725,765  

Innocean Worldwide, Inc.

     17,580        1,026,849  

IS Dongseo Co., Ltd.

     15,793        452,962  

It’s Hanbul Co., Ltd.

     20,138        505,494  

Jeju Air Co., Ltd.

     27,485        863,893  

KIWOOM Securities Co., Ltd.

     15,011        948,877  

Kolon Industries, Inc.

     12,145        750,745  

Korea Investment Holdings Co., Ltd.

     78,370        4,187,579  

Korea Petrochemical Ind Co., Ltd.

     5,706        1,235,507  

Korea Real Estate Investment & Trust Co., Ltd.

     427,407        1,235,183  

Korean Reinsurance Co.

     223,272        2,212,544  

KT Skylife Co., Ltd.

     58,833        739,682  

Kumho Petrochemical Co., Ltd.

     19,729        1,241,944  

LEENO Industrial, Inc.

     21,269        909,924  

LF Corp.

     59,764        1,338,409  

LG Hausys Ltd.

     5,783        450,381  

LIG Nex1 Co., Ltd.

     15,993        1,016,537  

Lock&Lock Co., Ltd.

     63,018        984,871  

LOTTE Fine Chemical Co., Ltd.

     32,060        1,157,446  

LS Corp.

     39,074        2,688,288  

LS Industrial Systems Co., Ltd.

     43,371        2,048,606  

Mando Corp.

     10,145        2,254,248  

Medy-Tox, Inc.

     1,704        735,695  

Meritz Financial Group, Inc.

     128,513        1,845,758  

Meritz Fire & Marine Insurance Co., Ltd.

     220,252        4,740,221  

Meritz Securities Co., Ltd.

     1,789,665        6,875,214  

Moorim P&P Co., Ltd.

     243,970        907,419  

NH Investment & Securities Co., Ltd.

     597,326        7,092,708  

NongShim Co., Ltd.

     5,596        1,675,844  

Paradise Co., Ltd.(a)

     158,857        2,101,265  

Partron Co., Ltd.

     139,585        1,130,963  

Poongsan Corp.

     32,248        1,444,382  

POSCO Chemtech Co., Ltd.(a)

     73,918        1,913,536  

S&T Motiv Co., Ltd.

     24,011        1,006,267  

SAMHWA Paints Industrial Co., Ltd.

     70,719        480,372  

Samyang Corp.

     5,685        466,077  

Samyang Holdings Corp.

     13,120        1,013,769  

Seah Besteel Corp.

     89,127        2,447,325  

Shinsegae, Inc.

     7,077        1,204,885  

Silicon Works Co., Ltd.

     38,903        1,501,299  

SK Materials Co., Ltd.

     10,293        1,587,064  

SK Networks Co., Ltd.

     296,900        1,868,991  

SKC Co., Ltd.

     62,403        2,247,456  

Sungwoo Hitech Co., Ltd.

     114,272        605,606  

Tongyang Life Insurance Co., Ltd.

     344,918        2,303,770  

Tongyang, Inc.(a)

     417,134        668,303  

Yuhan Corp.

     6,253        1,127,380  
     

 

 

 
Total South Korea               117,432,066  
Taiwan – 23.5%      

AcBel Polytech, Inc.(a)

     1,323,303        1,008,056  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      45  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Accton Technology Corp.

     1,198,633      $ 3,853,935  

Adlink Technology, Inc.(a)

     502,000        1,109,154  

Aerospace Industrial Development Corp.

     1,037        1,158  

Arcadyan Technology Corp.

     312,000        503,126  

Asia Vital Components Co., Ltd.(a)

     900,000        759,794  

Aten International Co., Ltd.

     538,000        1,380,306  

Chang Wah Electromaterials, Inc.(a)

     243,000        1,097,843  

Charoen Pokphand Enterprise

     773,000        1,639,094  

Chaun-Choung Technology Corp.

     195,000        585,823  

Cheng Uei Precision Industry Co., Ltd.

     1,672,820        2,314,167  

Chicony Electronics Co., Ltd.

     1,999,550        4,747,645  

Chilisin Electronics Corp.(a)

     308,000        869,437  

Chin-Poon Industrial Co., Ltd.

     864,650        1,659,498  

China Airlines Ltd.*(a)

     15,159,000        5,723,867  

China Bills Finance Corp.

     5,343,000        2,607,717  

China General Plastics Corp.

     1,413,530        1,405,419  

China Metal Products

     1,594,000        1,569,084  

China Steel Chemical Corp.(a)

     559,726        2,159,608  

China Synthetic Rubber Corp.

     2,023,609        2,996,308  

Chong Hong Construction Co., Ltd.(a)

     616,000        1,417,913  

Chroma ATE, Inc.

     594,132        2,096,429  

Cleanaway Co., Ltd.

     335,161        1,878,953  

Clevo Co.

     1,095,000        1,063,440  

Compeq Manufacturing Co., Ltd.

     4,011,000        4,358,345  

CTCI Corp.

     2,356,190        3,784,014  

Cub Elecparts, Inc.

     116,494        1,369,546  

CyberPower Systems, Inc.

     233,000        739,939  

CyberTAN Technology, Inc.(a)

     1,206,000        733,765  

De Licacy Industrial Co., Ltd.(a)

     1,310,423        1,101,958  

Elan Microelectronics Corp.

     1,151,156        1,590,603  

Elite Advanced Laser Corp.(a)

     368,920        1,368,668  

Elite Material Co., Ltd.(a)

     885,163        4,203,386  

Ennoconn Corp.(a)

     57,000        817,669  

Eternal Materials Co., Ltd.

     2,658,509        2,704,624  

Eva Airways Corp.(a)

     4,317,840        2,107,375  

Everest Textile Co., Ltd.

     1,791,120        891,898  

Everlight Electronics Co., Ltd.

     1,459,165        2,304,907  

Far Eastern Department Stores Ltd.(a)

     4,502,841        2,264,488  

Far Eastern International Bank

     8,172,676        2,549,582  

Faraday Technology Corp.(a)

     943,200        1,309,482  

Farglory Land Development Co., Ltd.

     3,971,640        4,479,293  

Feng Hsin Steel Co., Ltd.

     1,020,950        1,774,306  

FLEXium Interconnect, Inc.(a)

     480,028        1,836,276  

Flytech Technology Co., Ltd.

     478,655        1,428,515  

Formosa International Hotels Corp.

     372,976        1,894,153  

Foxsemicon Integrated Technology, Inc.(a)

     254,950        1,710,933  

Getac Technology Corp.

     1,664,292        2,305,114  

Gigabyte Technology Co., Ltd.

     2,270,000        2,863,326  

Global Unichip Corp.

     257,000        1,631,464  

Grand Pacific Petrochemical

     2,593,000        1,945,349  

Grape King Bio Ltd.

     170,988        1,031,882  

Great Wall Enterprise Co., Ltd.

     1,125,446        1,187,649  

Greatek Electronics, Inc.

     1,657,000        2,748,552  

Highwealth Construction Corp.

     7,702,613        10,223,921  

Hiwin Technologies Corp.

     233,040      2,055,738  

Holiday Entertainment Co., Ltd.

     665,000        1,103,070  

Holtek Semiconductor, Inc.

     920,773        1,761,141  

Hong Pu Real Estate Development Co., Ltd.

     1,902,000        1,320,311  

Hota Industrial Manufacturing Co., Ltd.(a)

     285,427        1,345,999  

Huaku Development Co., Ltd.(a)

     1,475,296        3,220,703  

IEI Integration Corp.

     823,620        1,161,118  

Inventec Corp.

     10,422,992        7,699,348  

Iron Force Industrial Co., Ltd.

     88,000        387,416  

ITEQ Corp.

     933,000        1,796,834  

Kenda Rubber Industrial Co., Ltd.

     2,012,039        2,836,521  

Kindom Construction Corp.

     2,058,187        1,201,356  

King Slide Works Co., Ltd.(a)

     119,004        1,620,784  

King’s Town Bank Co., Ltd.

     1,377,000        1,453,106  

Kinik Co.

     659,495        1,655,045  

Kinpo Electronics, Inc.

     3,672,000        1,247,250  

Kinsus Interconnect Technology Corp.(a)

     1,174,368        2,761,260  

Kung Long Batteries Industrial Co., Ltd.

     255,000        1,240,354  

LCY Chemical Corp.(a)

     1,819,000        2,423,414  

Lien Hwa Industrial Corp.

     3,116,300        3,031,620  

Long Chen Paper Co., Ltd.(a)

     3,499,242        5,169,702  

Lotes Co., Ltd.

     326,233        1,990,275  

Makalot Industrial Co., Ltd.(a)

     677,667        2,961,050  

Merida Industry Co., Ltd.(a)

     610,043        2,655,510  

Merry Electronics Co., Ltd.

     277,146        1,745,643  

Micro-Star International Co., Ltd.

     1,363,877        2,932,488  

MIN AIK Technology Co., Ltd.

     974,000        870,446  

Mirle Automation Corp.(a)

     690,560        954,177  

momo.com, Inc.

     233,000        1,667,359  

Namchow Holdings Co., Ltd.

     639,086        1,281,375  

Nantex Industry Co., Ltd.

     2,180,300        1,588,993  

Novatek Microelectronics Corp.

     2,434,000        9,150,376  

Nuvoton Technology Corp.

     666,000        1,346,320  

OptoTech Corp.

     2,645,000        1,888,413  

Posiflex Technology, Inc.

     191,727        866,198  

Powertech Technology, Inc.

     1,233,000        3,553,759  

Primax Electronics Ltd.

     1,141,000        2,822,022  

Prince Housing & Development Corp.

     3,185,460        1,181,784  

Qisda Corp.

     4,582,000        3,233,571  

Radiant Opto-Electronics Corp.(a)

     2,565,252        6,006,229  

Realtek Semiconductor Corp.

     743,770        2,563,117  

Rechi Precision Co., Ltd.

     1,264,000        1,263,000  

Run Long Construction Co., Ltd.

     1,496,000        1,741,485  

Sampo Corp.

     1,920,000        933,914  

SCI Pharmtech, Inc.(a)

     274,000        560,216  

SDI Corp.

     615,000        1,594,084  

Sercomm Corp.

     790,488        2,129,761  

Sinbon Electronics Co., Ltd.

     587,120        1,552,797  

Sitronix Technology Corp.

     322,000        934,441  

Standard Foods Corp.

     900,896        2,198,467  

Sunny Friend Environmental Technology Co., Ltd.

     205,000        1,291,221  

Sunonwealth Electric Machine Industry Co., Ltd.(a)

     1,105,000        1,840,209  

 

See Notes to Financial Statements.

 

46   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Swancor Holding Co., Ltd.*

     320,000      $ 811,502  

Syncmold Enterprise Corp.

     859,220        1,966,425  

Synnex Technology International Corp.

     3,894,600        4,674,958  

Systex Corp.

     777,000        1,463,089  

Taichung Commercial Bank Co., Ltd.

     11,040,027        3,513,265  

Taiwan Cogeneration Corp.(a)

     1,827,970        1,401,540  

Taiwan Fertilizer Co., Ltd.

     2,790,000        3,611,249  

Taiwan FU Hsing Industrial Co., Ltd.

     817,000        1,052,099  

Taiwan Hon Chuan Enterprise Co., Ltd.

     663,692        1,203,768  

Taiwan Paiho Ltd.(a)

     297,000        1,366,294  

Taiwan PCB Techvest Co., Ltd.

     1,341,302        1,411,012  

Taiwan Secom Co., Ltd.

     630,674        1,851,009  

Taiwan Styrene Monomer(a)

     2,076,000        1,331,559  

Teco Electric and Machinery Co., Ltd.

     3,208,683        2,872,832  

Test Research, Inc.

     1,103,115        1,520,585  

Ton Yi Industrial Corp.

     3,372,538        1,545,913  

Tong Hsing Electronic Industries Ltd.(a)

     464,918        1,916,461  

Tong Yang Industry Co., Ltd.(a)

     594,685        1,213,923  

Topco Scientific Co., Ltd.

     484,387        1,182,055  

Transcend Information, Inc.

     1,373,479        3,881,650  

Tripod Technology Corp.

     1,349,928        4,674,266  

TSRC Corp.(a)

     1,723,011        1,818,241  

Tung Ho Steel Enterprise Corp.

     3,482,153        2,773,183  

TXC Corp.

     1,111,549        1,440,571  

TYC Brother Industrial Co., Ltd.

     870,000        926,692  

U-Ming Marine Transport Corp.*(a)

     1,810,420        2,047,797  

USI Corp.

     2,318,540        1,139,238  

Visual Photonics Epitaxy Co., Ltd.(a)

     668,750        1,329,825  

Vivotek, Inc.(a)

     296,625        956,666  

Voltronic Power Technology Corp.(a)

     112,315        2,014,885  

Walsin Lihwa Corp.

     4,204,000        1,920,110  

Wan Hai Lines Ltd.

     9,046,000        5,518,764  

Winbond Electronics Corp.(a)

     2,575,000        2,241,789  

Wistron Corp.(a)

     6,888,748        5,508,908  

Wistron NeWeb Corp.

     869,648        2,495,033  

WPG Holdings Ltd.

     5,848,759        7,782,530  

WT Microelectronics Co., Ltd.

     1,971,017        3,116,682  

Yageo Corp.

     543,731        3,783,381  

Yulon Motor Co., Ltd.

     3,340,000        2,858,231  

Yungtay Engineering Co., Ltd.

     1,623,790        3,020,108  

Zeng Hsing Industrial Co., Ltd.

     244,000        1,058,106  

Zinwell Corp.(a)

     1,045,186        954,744  
     

 

 

 
Total Taiwan        328,670,484  
Thailand – 10.8%  

Amata Corp. PCL NVDR(a)

     4,651,000        3,054,180  

Ananda Development PCL NVDR

     6,510,400        1,102,961  

Asia Plus Group Holdings PCL NVDR(a)

     9,477,900        1,091,308  

Bangchak Corp. PCL

     2,725,739        3,269,252  

Bangkok Aviation Fuel Services PCL NVDR

     1,367,500        1,978,467  

Bangkok Chain Hospital PCL NVDR(a)

     2,492,200        1,135,875  

Bangkok Land PCL NVDR

     59,778,614        3,226,432  

Bangkok Life Assurance PCL NVDR

     1,413,100        1,896,139  

Banpu PCL NVDR

     7,546,186        3,982,395  

Beauty Community PCL NVDR

     3,943,300      1,891,838  

BEC World PCL NVDR(a)

     5,500,200        2,688,254  

BJC Heavy Industries PCL NVDR(a)

     9,761,600        1,223,493  

Carabao Group PCL NVDR(a)

     891,200        2,331,550  

Central Plaza Hotel PCL NVDR

     1,344,000        1,793,343  

CH Karnchang PCL NVDR(a)

     1,964,525        1,649,376  

Dhipaya Insurance PCL NVDR(a)

     1,861,122        2,553,113  

Eastern Polymer Group PCL NVDR(a)

     3,242,900        1,118,241  

Forth Smart Service PCL NVDR

     1,445,605        827,918  

GFPT PCL NVDR(a)

     1,793,700        1,070,304  

Global Power Synergy PCL NVDR(a)

     2,931,500        4,065,424  

Gunkul Engineering PCL NVDR(a)

     7,179,433        865,407  

Hana Microelectronics PCL

     2,620,347        3,732,128  

Ichitan Group PCL NVDR(a)

     3,456,900        829,241  

Inter Far East Energy Corp. NVDR*

     4,230,700        393,258  

IRPC PCL NVDR(a)

     30,143,400        5,694,256  

Jasmine International PCL(a)

     13,582,096        3,339,526  

Jasmine International PCL

     1,311,900        322,566  

Jasmine International PCL NVDR(a)

     13,963,000        3,433,181  

Jay Mart PCL NVDR(a)

     3,017,783        1,502,105  

KCE Electronics PCL NVDR

     642,200        1,925,637  

Kiatnakin Bank PCL

     634,323        1,326,658  

Kiatnakin Bank PCL NVDR

     2,360,306        4,936,472  

LPN Development PCL NVDR(a)

     7,743,118        2,879,000  

Malee Group PCL NVDR(a)

     435,000        508,696  

MC Group PCL NVDR(a)

     2,570,200        1,179,132  

MK Restaurants Group PCL NVDR(a)

     1,333,300        2,428,725  

Platinum Group PCL (The) NVDR

     5,595,300        1,526,754  

PTG Energy PCL NVDR(a)

     1,167,500        798,171  

Quality Houses PCL NVDR

     43,600,844        3,608,346  

Ratchaburi Electricity Generating Holding PCL

     107,500        173,257  

Ratchaburi Electricity Generating Holding PCL(a)

     1,111,890        1,792,027  

Ratchaburi Electricity Generating Holding PCL NVDR

     1,811,800        2,920,067  

Robinson PCL NVDR(a)

     1,273,900        2,463,765  

Sahamitr Pressure Container PCL NVDR(a)

     1,316,750        544,862  

Sansiri PCL

     46,508,224        3,179,572  

SC Asset Corp. PCL NVDR

     19,654,600        2,015,554  

Siam City Cement PCL NVDR(a)

     535,554        4,528,523  

Siam Future Development PCL NVDR

     6,539,200        1,254,899  

Siamgas & Petrochemicals PCL NVDR(a)

     2,997,900        1,788,852  

Sino-Thai Engineering & Construction PCL NVDR(a)

     1,373,400        1,060,421  

SPCG PCL NVDR

     4,201,100        2,569,788  

Sri Trang Agro-Industry PCL NVDR(a)

     4,206,600        1,601,914  

Star Petroleum Refining PCL NVDR

     11,909,070        6,320,556  

STP & I PCL NVDR(a)

     3,264,100        655,756  

Supalai PCL

     4,542,027        3,159,671  

Taokaenoi Food & Marketing PCL NVDR(a)

     1,145,380        783,048  

Thai Union Group PCL NVDR

     7,351,220        4,408,528  

Thai Vegetable Oil PCL NVDR(a)

     3,391,200        2,923,448  

Thaicom PCL NVDR(a)

     1,154,100        574,455  

Thanachart Capital PCL

     3,086,266        4,511,409  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      47  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

TICON Industrial Connection PCL NVDR

     2,631,215      $ 1,270,242  

Tipco Asphalt PCL NVDR(a)

     4,270,500        3,086,029  

Tisco Financial Group PCL NVDR

     2,308,657        5,330,333  

TPI Polene PCL NVDR(a)

     13,322,310        894,812  

TTCL PCL NVDR(a)

     1,145,900        563,501  

TTW PCL

     8,709,324        2,820,411  

Unique Engineering & Construction PCL NVDR

     1,761,500        977,144  

Vanachai Group PCL NVDR

     3,487,400        1,348,949  

VGI Global Media PCL NVDR(a)

     9,125,900        1,573,431  

Vibhavadi Medical Center PCL NVDR

     12,973,900        1,097,043  
     

 

 

 
Total Thailand        151,371,389  
Turkey – 3.3%  

Aksa Akrilik Kimya Sanayii AS

     876,281        2,932,354  

Alarko Holding AS(a)

     964,887        1,782,657  

Albaraka Turk Katilim Bankasi AS

     2,511,307        995,738  

Anadolu Cam Sanayii AS

     1        1  

Aselsan Elektronik Sanayi ve Ticaret AS

     1        6  

Bolu Cimento Sanayii AS

     598,467        960,953  

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS*

     380,811        747,465  

Cimsa Cimento Sanayi ve Ticaret AS

     312,793        1,247,267  

EGE Endustri VE Ticaret AS

     11,307        866,443  

Goodyear Lastikleri TAS(a)

     923,362        1,150,275  

Is Gayrimenkul Yatirim Ortakligi AS

     4,156,557        1,601,328  

Kordsa Teknik Tekstil AS

     500,851        1,002,801  

Otokar Otomotiv Ve Savunma Sanayi AS(a)

     40,017        1,136,559  

Selcuk Ecza Deposu Ticaret ve Sanayi AS

     832,057        767,455  

Soda Sanayii AS

     3,823,978        5,473,426  

TAV Havalimanlari Holding AS

     1,451,388        7,203,678  

Tekfen Holding AS

     435,646        1,434,553  

Torunlar Gayrimenkul Yatirim Ortakligi AS

     662,727        1,228,135  

Trakya Cam Sanayii AS

     2,590,234        2,644,063  

Turk Traktor ve Ziraat Makineleri AS

     173,195        3,781,837  

Turkiye Sise ve Cam Fabrikalari AS

     4,901,725        5,651,437  

Ulker Biskuvi Sanayi AS

     249,841        1,359,473  

Vestel Beyaz Esya Sanayi ve Ticaret AS(a)

     540,772        1,500,919  
     

 

 

 
Total Turkey        45,468,823  
TOTAL COMMON STOCKS
(Cost: $1,184,143,448)
              1,393,917,780  
RIGHTS – 0.0%     
Thailand – 0.0%  

Sri Trang Agro-Industry PCL, expiring 10/4/17*

     
(Cost $0)      755,020        61,126  
WARRANTS – 0.0%  
Malaysia – 0.0%  

Sunway Bhd, expiring 10/3/24*

     1,074,453        0  
Thailand – 0.0%     

Supalai PCL, expiring 10/19/18*

     1,035,557      $ 596,182  
TOTAL WARRANTS
(Cost: $351,395)
              596,182  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 4.1%  
United States – 4.1%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $56,678,425)(d)      56,678,425        56,678,425  
TOTAL INVESTMENTS IN SECURITIES – 103.7%
(Cost: $1,241,173,268)
       1,451,253,513  

Other Assets less Liabilities – (3.7)%

        (51,173,524
     

 

 

 
NET ASSETS – 100.0%             $ 1,400,079,989  
* 

Non-income producing security.

 

 

Security is being fair valued using significant unobservable inputs by a pricing committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $694,538, which represents 0.05% of net assets.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $139,153,015 and the total market value of the collateral held by the Fund was $154,850,895. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $98,172,470. Total securities on loan may not correspond with the amounts identified in the Schedule of Investments because pending sales of securities on loan may be in the process of recall from the borrower.

NVDR – Non-Voting Depositary Receipt

 

See Notes to Financial Statements.

 

48   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2017

 

  

 

 

 

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
 

Banco De Investimentos Credit Suisse (Brasil) S.A.

    10/4/2017       7,554,711       BRL       2,389,597       USD     $     $ (1,247

Banco De Investimentos Credit Suisse (Brasil) S.A.

    10/4/2017       8,814,605       BRL       2,788,108       USD             (1,454

Banco De Investimentos Credit Suisse (Brasil) S.A.

    10/4/2017       6,295,593       BRL       1,991,331       USD             (1,039

Banco De Investimentos Credit Suisse (Brasil) S.A.

    10/4/2017       3,777,356       BRL       1,194,799       USD             (623

Bank of America N.A.

    10/2/2017       163,966       USD       4,990,316       TWD             (600

Bank of America N.A.

    10/2/2017       76,629       USD       2,328,369       TWD             (154

Bank of America N.A.

    10/3/2017       100,292       USD       1,356,060       ZAR             (139

Bank of America N.A.

    10/10/2017       949,289,285       KRW       828,857       USD             (36

Credit Suisse International

    10/10/2017       2,845,239,951       KRW       2,484,275       USD             (109

Credit Suisse International

    10/10/2017       3,306,938,459       KRW       2,887,399       USD             (126

Credit Suisse International

    10/10/2017       2,371,033,314       KRW       2,070,229       USD             (90

Credit Suisse International

    10/10/2017       1,422,620,001       KRW       1,242,138       USD             (54

Deutsche Bank

    10/2/2017       110,195       USD       1,490,690       ZAR             (206

Merrill Lynch International

    10/2/2017       161,386       USD       515,629       BRL             (1,625

Merrill Lynch International

    10/2/2017       132,859       USD       1,786,956,964       IDR       187        

Merrill Lynch International

    10/2/2017       64,592       USD       2,152,845       THB       39        

Merrill Lynch International

    10/3/2017       424,433       USD       1,352,030       BRL             (2,999

Merrill Lynch International

    10/3/2017       441,434       USD       14,761,568       THB             (1,191

Merrill Lynch International

    10/4/2017       2,518,635       BRL       796,986       USD             (743

Merrill Lynch International

    10/4/2017       112,998       USD       3,772,992       THB             (136

State Street Bank and Trust

    10/2/2017       165,532       USD       700,000       MYR             (247

State Street Bank and Trust

    10/2/2017       98,756       USD       3,000,000       TWD             (176

State Street Bank and Trust

    10/3/2017       41,084,082       INR       628,912       USD       54        
                                            $ 280     $ (12,994

 

CURRENCY LEGEND
BRL   Brazilian real
IDR   Indonesian rupiah
INR   Indian rupee
KRW   South Korean won
MYR   Malaysian ringgit
THB   Thai baht
TWD   New Taiwan dollar
USD   U.S. dollar
ZAR   South African rand

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      49  


Table of Contents

Schedule of Investments (unaudited)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 3.2%      

carsales.com Ltd.

     6,501      $ 65,446  

Cochlear Ltd.

     760        94,942  

CSL Ltd.

     6,353        667,775  

Domino’s Pizza Enterprises Ltd.(a)

     742        26,677  

Fortescue Metals Group Ltd.

     80,429        324,378  

JB Hi-Fi Ltd.(a)

     2,750        49,457  

Magellan Financial Group Ltd.

     5,966        114,971  

Northern Star Resources Ltd.(a)

     9,091        35,238  

Platinum Asset Management Ltd.(a)

     35,138        167,080  

REA Group Ltd.

     1,614        84,851  

Seek Ltd.

     7,694        100,276  

TPG Telecom Ltd.(a)

     11,556        44,158  
     

 

 

 
Total Australia               1,775,249  
Brazil – 6.4%      

Ambev S.A.

     211,788        1,408,729  

BB Seguridade Participacoes S.A.

     87,236        789,582  

Cielo S.A.

     35,732        248,293  

Engie Brasil Energia S.A.

     25,342        290,422  

Localiza Rent a Car S.A.

     2,770        50,537  

Lojas Renner S.A.

     8,285        94,449  

M. Dias Branco S.A.

     1,800        28,282  

Natura Cosmeticos S.A.

     2,568        25,330  

Odontoprev S.A.

     12,842        62,644  

Smiles S.A.

     5,494        139,784  

Ultrapar Participacoes S.A.

     10,773        256,489  

WEG S.A.

     27,816        188,187  
     

 

 

 
Total Brazil               3,582,728  
Canada – 3.2%      

Agrium, Inc.

     3,831        409,612  

Alimentation Couche-Tard, Inc. Class B

     1,673        76,115  

CCL Industries, Inc. Class B

     1,665        80,384  

CI Financial Corp.

     9,801        213,864  

Constellation Software, Inc.

     194        105,596  

Dollarama, Inc.

     1,099        119,975  

Gildan Activewear, Inc.

     3,521        109,770  

Linamar Corp.

     313        19,056  

Magna International, Inc.

     6,869        365,735  

Open Text Corp.

     4,182        134,624  

Saputo, Inc.

     4,128        142,557  

Stella-Jones, Inc.

     1,134        43,541  
     

 

 

 
Total Canada               1,820,829  
China – 8.6%      

AAC Technologies Holdings, Inc.

     17,000        285,557  

ANTA Sports Products Ltd.

     79,000        332,256  

BAIC Motor Corp., Ltd. Class H(a)(b)

     42,000        39,845  

Brilliance China Automotive Holdings Ltd.

     56,000        149,129  

China Conch Venture Holdings Ltd.

     32,500        63,246  

China Everbright International Ltd.

     71,000        89,083  

China Gas Holdings Ltd.

     66,000        197,729  

China Lesso Group Holdings Ltd.

     62,000        42,309  

China Medical System Holdings Ltd.

     33,000        57,629  

China Overseas Land & Investment Ltd.

     269,300      875,750  

China State Construction International Holdings Ltd.

     114,000        166,095  

CIFI Holdings Group Co., Ltd.

     398,000        221,657  

CSPC Pharmaceutical Group Ltd.

     70,400        117,894  

Geely Automobile Holdings Ltd.

     35,000        98,583  

Golden Eagle Retail Group Ltd.

     15,000        17,649  

Haitian International Holdings Ltd.

     30,000        86,228  

Hengan International Group Co., Ltd.

     27,500        254,555  

Logan Property Holdings Co., Ltd.(a)

     202,000        208,447  

Luye Pharma Group Ltd.(a)

     23,000        13,428  

Minth Group Ltd.

     18,000        94,255  

Shenzhou International Group Holdings Ltd.

     25,200        197,452  

Sino Biopharmaceutical Ltd.

     60,500        63,980  

Sunny Optical Technology Group Co., Ltd.

     6,000        95,407  

Tencent Holdings Ltd.

     17,900        770,479  

Xinyi Glass Holdings Ltd.*

     168,000        166,049  

Xinyi Solar Holdings Ltd.(a)

     244,000        86,845  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

     6,700        37,529  
     

 

 

 
Total China               4,829,065  
Denmark – 6.2%      

Chr Hansen Holding A/S

     1,665        142,832  

DSV A/S

     667        50,469  

GN Store Nord A/S

     812        27,837  

Novo Nordisk A/S Class B

     61,702        2,950,420  

Novozymes A/S Class B

     3,099        159,066  

Pandora A/S

     1,644        162,316  

SimCorp A/S

     393        24,005  
     

 

 

 
Total Denmark               3,516,945  
France – 1.1%  

Cie Plastic Omnium S.A.

     2,347        100,427  

Hermes International

     821        414,003  

Sartorius Stedim Biotech

     324        22,446  

SEB S.A.

     462        84,767  
     

 

 

 
Total France               621,643  
Germany – 3.0%      

CTS Eventim AG & Co. KGaA

     1,241        54,180  

Deutsche Post AG Registered Shares

     32,650        1,453,824  

Fuchs Petrolub SE

     2,152        110,490  

RHOEN-KLINIKUM AG

     1,868        62,916  
     

 

 

 
Total Germany        1,681,410  
Hong Kong – 0.9%      

CP Pokphand Co., Ltd.

     688,000        55,493  

Galaxy Entertainment Group Ltd.

     39,000        274,624  

SJM Holdings Ltd.

     183,000        167,520  

Vitasoy International Holdings Ltd.

     10,000        22,277  
     

 

 

 
Total Hong Kong               519,914  
India – 3.5%      

Adani Ports & Special Economic Zone Ltd.

     4,240        24,455  

Asian Paints Ltd.

     2,556        44,284  

Bajaj Auto Ltd.

     1,396        66,453  

Bharat Forge Ltd.

     2,840        25,604  

Castrol India Ltd.

     4,243        23,164  

 

See Notes to Financial Statements.

 

50   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Dr. Reddy’s Laboratories Ltd.

     488      $ 17,398  

HCL Technologies Ltd.

     13,562        181,629  

Hero MotoCorp Ltd.

     1,878        108,521  

Hindustan Unilever Ltd.

     8,854        159,120  

Infosys Ltd. ADR

     35,632        519,871  

ITC Ltd.

     33,971        134,334  

Lupin Ltd.

     1,045        16,222  

Maruti Suzuki India Ltd.

     672        82,078  

Motherson Sumi Systems Ltd.

     6,078        31,302  

Pidilite Industries Ltd.

     2,356        28,657  

Sun Pharmaceutical Industries Ltd.

     1,502        11,572  

Tata Consultancy Services Ltd.

     7,760        289,390  

Tech Mahindra Ltd.

     6,616        46,374  

UPL Ltd.

     2,926        34,873  

Wipro Ltd. ADR(a)

     16,266        92,391  

Zee Entertainment Enterprises Ltd.

     1,515        12,063  
     

 

 

 
Total India               1,949,755  
Indonesia – 3.6%      

Astra International Tbk PT

     703,000        412,332  

Charoen Pokphand Indonesia Tbk PT

     84,800        17,251  

Gudang Garam Tbk PT

     51,600        252,081  

Indofood CBP Sukses Makmur Tbk PT

     97,400        63,094  

Kalbe Farma Tbk PT

     448,000        55,380  

Media Nusantara Citra Tbk PT

     272,200        26,676  

Mitra Keluarga Karyasehat Tbk PT

     48,300        7,280  

Semen Indonesia Persero Tbk PT

     156,500        117,645  

Surya Citra Media Tbk PT

     350,700        57,022  

Telekomunikasi Indonesia Persero Tbk PT

     1,957,700        680,231  

Tower Bersama Infrastructure Tbk PT

     90,900        44,374  

Unilever Indonesia Tbk PT

     84,300        306,526  
     

 

 

 
Total Indonesia               2,039,892  
Ireland – 0.1%      

Kingspan Group PLC

     1,721        73,204  
Italy – 0.6%      

Brembo SpA

     5,320        90,063  

De’ Longhi SpA

     2,494        80,314  

DiaSorin SpA

     502        44,777  

Industria Macchine Automatiche SpA

     720        68,392  

Moncler SpA

     1,984        57,277  
     

 

 

 
Total Italy               340,823  
Japan – 4.6%  

Asahi Intecc Co., Ltd.

     500        26,029  

Calbee, Inc.(a)

     900        31,622  

CyberAgent, Inc.(a)

     900        26,225  

Daikin Industries Ltd.

     3,400        344,183  

Daito Trust Construction Co., Ltd.

     2,000        364,234  

DeNA Co., Ltd.

     1,000        22,405  

Fujitsu General Ltd.

     1,000        20,219  

GungHo Online Entertainment, Inc.(a)

     18,900        51,043  

Haseko Corp.

     4,500        59,965  

Hikari Tsushin, Inc.

     900        112,735  

Kakaku.com, Inc.(a)

     3,500        44,588  

Kaken Pharmaceutical Co., Ltd.

     1,100      55,897  

M3, Inc.

     800        22,778  

Mixi, Inc.

     3,000        144,716  

MonotaRO Co., Ltd.(a)

     600        16,044  

Murata Manufacturing Co., Ltd.

     3,000        440,812  

Nihon M&A Center, Inc.

     600        29,316  

Nippon Paint Holdings Co., Ltd.

     3,500        118,931  

Nitori Holdings Co., Ltd.

     600        85,764  

Park24 Co., Ltd.

     2,600        63,288  

Pigeon Corp.

     1,500        51,237  

Relo Group, Inc.

     1,200        27,397  

Shimano, Inc.

     700        93,217  

Start Today Co., Ltd.

     2,600        82,344  

Sysmex Corp.

     1,400        89,300  

USS Co., Ltd.

     6,700        135,113  

Zenkoku Hosho Co., Ltd.

     700        29,383  
     

 

 

 
Total Japan               2,588,785  
Malaysia – 0.6%      

Fraser & Neave Holdings Bhd

     5,500        32,121  

HAP Seng Consolidated Bhd

     64,000        137,928  

Nestle Malaysia Bhd

     4,500        90,373  

Westports Holdings Bhd

     112,200        101,239  
     

 

 

 
Total Malaysia               361,661  
Mexico – 3.8%      

America Movil S.A.B. de C.V. Series L

     870,468        774,634  

Grupo Aeroportuario del Sureste S.A.B. de C.V. Class B

     4,352        83,063  

Grupo Lala S.A.B. de C.V.

     16,189        27,458  

Grupo Mexico S.A.B. de C.V. Series B

     87,189        267,387  

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     27,571        56,253  

Wal-Mart de Mexico S.A.B. de C.V.

     403,823        927,319  
     

 

 

 
Total Mexico               2,136,114  
Netherlands – 1.3%      

ASML Holding N.V.

     4,297        731,761  
New Zealand – 0.3%      

Fisher & Paykel Healthcare Corp., Ltd.

     10,040        92,756  

Ryman Healthcare Ltd.

     8,200        54,951  
     

 

 

 
Total New Zealand               147,707  
Norway – 0.4%      

Leroy Seafood Group ASA

     9,910        63,429  

Salmar ASA

     3,198        90,392  

Veidekke ASA

     3,446        43,182  
     

 

 

 
Total Norway               197,003  
Philippines – 0.6%  

Jollibee Foods Corp.

     6,050        29,035  

Semirara Mining & Power Corp.

     125,400        115,280  

SM Prime Holdings, Inc.

     205,800        139,565  

Universal Robina Corp.

     25,130        75,589  
     

 

 

 
Total Philippines               359,469  
Portugal – 0.3%      

Jeronimo Martins, SGPS, S.A.

     7,425      $ 146,502  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      51  


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Russia – 3.9%     

Magnit PJSC GDR Reg S

     7,136      $ 292,219  

MMC Norilsk Nickel PJSC ADR

     75,402        1,298,045  

Novatek PJSC GDR Reg S

     5,045        591,779  
     

 

 

 
Total Russia               2,182,043  
Singapore – 0.0%      

First Resources Ltd.

     11,400        15,867  
South Africa – 3.6%      

Aspen Pharmacare Holdings Ltd.

     3,348        75,276  

AVI Ltd.

     9,056        65,661  

Capitec Bank Holdings Ltd.

     1,618        102,942  

Discovery Ltd.

     9,773        101,809  

Distell Group Ltd.

     3,949        37,213  

Foschini Group Ltd. (The)

     10,017        100,708  

Life Healthcare Group Holdings Ltd.

     20,678        36,295  

Mr. Price Group Ltd.

     9,762        130,165  

Naspers Ltd. Class N

     872        188,575  

Netcare Ltd.

     26,410        46,551  

Novus Holdings Ltd.

     302        146  

Pick n Pay Stores Ltd.

     9,358        39,927  

Pioneer Foods Group Ltd.

     3,005        25,093  

PSG Group Ltd.

     3,041        52,726  

Rand Merchant Investment Holdings Ltd.

     41,698        128,066  

Resilient REIT Ltd.

     15,214        149,948  

RMB Holdings Ltd.

     68,542        322,342  

Shoprite Holdings Ltd.(a)

     9,280        142,191  

SPAR Group Ltd. (The)

     4,115        50,919  

Tsogo Sun Holdings Ltd.

     26,991        40,499  

Woolworths Holdings Ltd.

     36,295        160,985  
     

 

 

 
Total South Africa               1,998,037  
South Korea – 2.1%      

Amorepacific Corp.

     134        30,360  

Coway Co., Ltd.

     1,972        161,844  

Hanon Systems

     12,202        134,234  

Hanssem Co., Ltd.

     134        17,725  

Hyundai Glovis Co., Ltd.

     573        74,042  

KEPCO Plant Service & Engineering Co., Ltd.

     1,221        44,188  

Korea Aerospace Industries Ltd.

     169        6,448  

LG Household & Health Care Ltd.

     62        50,667  

NAVER Corp.

     34        22,115  

NCSoft Corp.

     220        89,222  

SK Hynix, Inc.

     7,649        553,632  
     

 

 

 
Total South Korea               1,184,477  
Spain – 4.1%      

Almirall S.A.(a)

     2,401        24,439  

Amadeus IT Group S.A.

     6,946        451,553  

Atresmedia Corp. de Medios de Comunicacion S.A.

     7,568        79,538  

Industria de Diseno Textil S.A.

     46,510        1,753,168  
     

 

 

 
Total Spain               2,308,698  
Sweden – 1.2%      

Atlas Copco AB Class B

     9,199        355,908  

Axfood AB

     4,541        77,720  

Fabege AB

     3,111      63,650  

Investment AB Latour Class B

     10,448        141,187  

Sweco AB Class B

     1,556        38,031  
     

 

 

 
Total Sweden               676,496  
Switzerland – 3.2%      

EMS-Chemie Holding AG Registered Shares

     640        425,961  

Geberit AG Registered Shares

     618        292,586  

Partners Group Holding AG

     469        318,451  

Roche Holding AG Bearer Shares

     2,592        660,323  

Straumann Holding AG Registered Shares

     132        84,853  

Temenos Group AG Registered Shares*

     308        31,449  
     

 

 

 
Total Switzerland               1,813,623  
Taiwan – 10.6%      

Delta Electronics, Inc.

     67,000        344,677  

Eclat Textile Co., Ltd.

     6,283        76,352  

Feng TAY Enterprise Co., Ltd.

     19,440        88,469  

Formosa Petrochemical Corp.

     323,000        1,113,095  

Hotai Motor Co., Ltd.

     15,000        172,883  

Largan Precision Co., Ltd.

     2,000        351,537  

MediaTek, Inc.

     63,000        591,066  

Novatek Microelectronics Corp.

     39,000        146,616  

Taiwan Semiconductor Manufacturing Co., Ltd.

     432,000        3,084,290  
     

 

 

 
Total Taiwan               5,968,985  
Thailand – 1.7%      

Airports of Thailand PCL NVDR

     169,900        300,573  

Bangkok Dusit Medical Services PCL NVDR

     239,000        146,912  

Berli Jucker PCL NVDR

     23,600        37,328  

Bumrungrad Hospital PCL NVDR

     10,400        67,046  

Central Pattana PCL NVDR

     49,250        115,187  

CP ALL PCL

     75,256        148,368  

Home Product Center PCL NVDR

     306,600        112,160  

Minor International PCL

     18,300        22,361  
     

 

 

 
Total Thailand               949,935  
Turkey – 0.8%      

Arcelik AS

     9,587        61,251  

BIM Birlesik Magazalar AS

     4,346        90,743  

Ford Otomotiv Sanayi AS

     15,604        200,091  

Tofas Turk Otomobil Fabrikasi AS

     14,155        122,917  
     

 

 

 
Total Turkey               475,002  
United Kingdom – 16.0%      

Abcam PLC

     1,810        24,770  

Ashtead Group PLC

     7,804        188,359  

Bellway PLC

     4,049        179,104  

Berkeley Group Holdings PLC

     10,142        505,773  

Booker Group PLC

     54,692        150,424  

British American Tobacco PLC

     33,264        2,085,050  

Compass Group PLC

     31,103        660,575  

Croda International PLC

     2,181        110,988  

Derwent London PLC

     2,175        81,531  

Diageo PLC

     51,958        1,709,972  

Domino’s Pizza Group PLC

     9,381        39,042  

Hargreaves Lansdown PLC

     12,410        246,418  

 

See Notes to Financial Statements.

 

52   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hays PLC

     28,819      $ 73,231  

Hikma Pharmaceuticals PLC

     1,491        24,225  

IG Group Holdings PLC

     12,271        105,530  

JD Sports Fashion PLC

     2,272        11,416  

Mediclinic International PLC(a)

     3,992        34,813  

Merlin Entertainments PLC(b)

     12,960        77,463  

Moneysupermarket.com Group PLC

     15,660        66,813  

Persimmon PLC

     17,574        608,788  

Reckitt Benckiser Group PLC

     10,042        917,905  

Renishaw PLC

     981        62,689  

Rightmove PLC

     1,018        55,247  

Sage Group PLC (The)

     17,349        162,585  

Sky PLC

     62,562        768,017  

WH Smith PLC

     2,827        76,653  
     

 

 

 
Total United Kingdom               9,027,381  

TOTAL COMMON STOCKS

(Cost: $45,933,938)

              56,021,003  
EXCHANGE-TRADED FUNDS – 0.2%      
United States – 0.2%      

WisdomTree Emerging Markets High Dividend  Fund(a)(c)

     1,072        46,096  

WisdomTree International Equity Fund(c)

     1,268        69,055  
     

 

 

 

TOTAL EXCHANGE-TRADED FUNDS

(Cost: $110,606)

              115,151  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.2%  
United States – 1.2%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(d)

     
(Cost: $674,860)(e)      674,860      $ 674,860  

TOTAL INVESTMENTS IN SECURITIES – 100.9%

(Cost: $46,719,404)

        56,811,014  

Other Assets less Liabilities – (0.9)%

        (483,959
     

 

 

 
NET ASSETS – 100.0%             $ 56,327,055  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 company (See Note 3).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(e) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $1,004,936 and the total market value of the collateral held by the Fund was $1,087,089. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $412,229. Total securities on loan may not correspond with the amounts identified in the Schedule of Investments because pending sales of securities on loan may be in the process of recall from the borrower.

ADR – American Depositary Receipt

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

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 Montreal

    10/3/2017        15,775        USD        20,108        AUD     $     $ (3

 

CURRENCY LEGEND
AUD   Australian dollar
USD   U.S. dollar

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      53  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%  
Australia – 11.1%  

Abacus Property Group

     73,429      $ 217,789  

BWP Trust

     75,440        174,622  

Charter Hall Group

     47,569        200,435  

Charter Hall Retail REIT

     54,404        168,618  

Cromwell Property Group

     318,750        238,852  

Dexus

     99,873        744,471  

Goodman Group

     129,906        839,909  

GPT Group (The)

     183,036        712,351  

Growthpoint Properties Australia Ltd.(a)

     81,270        202,146  

Investa Office Fund

     59,915        211,555  

LendLease Group

     52,217        734,219  

Mirvac Group

     363,715        653,541  

Scentre Group

     532,116        1,640,872  

Shopping Centres Australasia Property Group

     89,210        160,297  

Stockland

     270,086        911,268  

Vicinity Centres

     496,377        1,036,022  

Westfield Corp.

     147,386        906,668  
     

 

 

 
Total Australia        9,753,635  
Austria – 0.6%  

BUWOG AG*

     6,681        200,300  

CA Immobilien Anlagen AG

     6,752        193,968  

IMMOFINANZ AG*(a)

     64,975        167,760  
     

 

 

 
Total Austria        562,028  
Belgium – 0.4%  

Befimmo S.A.

     3,212        202,658  

Cofinimmo S.A.

     1,430        183,678  
     

 

 

 
Total Belgium        386,336  
Brazil – 0.2%  

Multiplan Empreendimentos Imobiliarios S.A.

     8,841        204,957  
Canada – 4.9%  

Allied Properties Real Estate Investment Trust

     6,905        219,962  

Artis Real Estate Investment Trust

     26,594        281,112  

Boardwalk Real Estate Investment Trust

     6,162        187,277  

Canadian Apartment Properties REIT

     11,643        314,011  

Canadian Real Estate Investment Trust

     6,108        225,292  

Cominar Real Estate Investment Trust

     35,687        387,217  

CT Real Estate Investment Trust

     6,955        77,244  

Dream Office Real Estate Investment Trust

     24,583        413,369  

First Capital Realty, Inc.(a)

     20,839        327,919  

Granite Real Estate Investment Trust

     6,104        244,375  

H&R Real Estate Investment Trust

     35,565        612,537  

RioCan Real Estate Investment Trust

     35,746        683,966  

Smart Real Estate Investment Trust

     12,912        303,945  
     

 

 

 
Total Canada        4,278,226  
Chile – 0.1%  

Parque Arauco S.A.

     39,426        107,977  
China – 17.4%  

China Jinmao Holdings Group Ltd.

     847,000        426,173  

China Overseas Land & Investment Ltd.

     674,049        2,191,973  

China Resources Land Ltd.

     442,000      1,352,478  

China South City Holdings Ltd.

     504,800        144,123  

China Vanke Co., Ltd. Class H

     120,200        395,501  

CIFI Holdings Group Co., Ltd.

     959,900        534,596  

Country Garden Holdings Co., Ltd.

     1,794,000        2,852,687  

Future Land Development Holdings Ltd.

     500,000        245,817  

Guangzhou R&F Properties Co., Ltd. Class H

     275,600        638,657  

Guorui Properties Ltd.

     200,000        68,368  

KWG Property Holding Ltd.

     466,500        498,710  

Logan Property Holdings Co., Ltd.(a)

     518,000        534,533  

Longfor Properties Co., Ltd.

     482,000        1,215,691  

Powerlong Real Estate Holdings Ltd.

     312,000        158,982  

Red Star Macalline Group Corp., Ltd. Class H(b)

     156,600        194,479  

Shenzhen Investment Ltd.

     916,000        415,154  

Shimao Property Holdings Ltd.

     476,500        1,033,443  

Shui On Land Ltd.

     331,000        85,179  

Sino-Ocean Group Holding Ltd.

     618,200        412,360  

Sunac China Holdings Ltd.(a)

     308,900        1,413,852  

Yuexiu Property Co., Ltd.

     1,200,000        244,280  

Yuzhou Properties Co., Ltd.

     522,000        282,029  
     

 

 

 
Total China        15,339,065  
Finland – 0.2%  

Citycon Oyj

     80,791        212,608  
France – 7.3%  

Fonciere Des Regions

     7,824        812,941  

Gecina S.A.

     5,252        851,863  

ICADE

     8,953        798,792  

Klepierre S.A.

     30,334        1,190,938  

Mercialys S.A.

     10,136        202,509  

Nexity S.A.*

     5,777        353,089  

Unibail-Rodamco SE

     9,116        2,217,353  
     

 

 

 
Total France        6,427,485  
Germany – 3.3%  

alstria office REIT-AG

     13,508        192,987  

Deutsche Euroshop AG

     4,069        152,633  

Deutsche Wohnen SE Bearer Shares

     13,252        562,741  

LEG Immobilien AG

     3,990        403,726  

TAG Immobilien AG

     12,848        215,986  

TLG Immobilien AG

     5,607        129,324  

Vonovia SE

     29,960        1,275,073  
     

 

 

 
Total Germany        2,932,470  
Hong Kong – 18.6%  

Champion REIT

     579,000        399,556  

Hang Lung Group Ltd.

     80,649        289,629  

Hang Lung Properties Ltd.

     419,283        995,238  

Henderson Land Development Co., Ltd.

     258,352        1,711,718  

Hui Xian REIT

     779,634        357,735  

Hysan Development Co., Ltd.

     80,115        376,948  

I-CABLE Communications Ltd.*

     88,889        2,902  

Link REIT

     176,615        1,431,335  

New World Development Co., Ltd.

     854,497        1,227,477  

Sino Land Co., Ltd.

     503,735        884,843  

 

See Notes to Financial Statements.

 

54   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Sun Hung Kai Properties Ltd.

     184,810      $ 3,002,598  

Sunlight Real Estate Investment Trust

     212,000        137,340  

Swire Pacific Ltd. Class A

     86,278        837,296  

Swire Pacific Ltd. Class B

     177,500        307,700  

Swire Properties Ltd.

     399,541        1,355,555  

Wharf Holdings Ltd. (The)

     227,872        2,030,534  

Wheelock & Co., Ltd.

     113,231        796,605  

Yuexiu Real Estate Investment Trust

     405,000        255,112  
     

 

 

 
Total Hong Kong        16,400,121  
Indonesia – 0.1%  

Pakuwon Jati Tbk PT

     1,207,900        54,705  
Ireland – 0.1%  

Green REIT PLC

     54,453        97,012  
Israel – 1.0%  

Alony Hetz Properties & Investments Ltd.

     10,307        109,413  

Amot Investments Ltd.

     28,229        156,943  

Azrieli Group Ltd.

     5,371        298,305  

Gazit-Globe Ltd.

     18,527        178,368  

Melisron Ltd.

     2,786        134,781  
     

 

 

 
Total Israel        877,810  
Italy – 0.2%  

Beni Stabili SpA SIIQ

     235,021        203,936  
Japan – 6.5%  

Aeon Mall Co., Ltd.

     9,330        166,020  

Daito Trust Construction Co., Ltd.

     5,100        928,797  

Daiwa House Industry Co., Ltd.

     47,300        1,632,484  

Hulic Co., Ltd.

     28,200        276,326  

Leopalace21 Corp.

     22,800        158,799  

Mitsubishi Estate Co., Ltd.

     29,589        514,288  

Mitsui Fudosan Co., Ltd.

     34,208        741,505  

Nomura Real Estate Holdings, Inc.

     15,965        340,106  

NTT Urban Development Corp.

     16,100        160,192  

Open House Co., Ltd.

     3,700        129,179  

Sumitomo Realty & Development Co., Ltd.

     9,279        280,682  

Tokyo Tatemono Co., Ltd.

     11,600        148,291  

Tokyu Fudosan Holdings Corp.

     36,868        222,390  
     

 

 

 
Total Japan        5,699,059  
Malaysia – 1.5%  

IGB Real Estate Investment Trust

     382,200        158,402  

IOI Properties Group Bhd

     360,675        172,543  

KLCCP Stapled Group

     167,200        316,779  

Pavilion Real Estate Investment Trust

     201,100        83,345  

SP Setia Bhd Group

     319,355        275,300  

Sunway Bhd

     352,965        153,808  

Sunway Real Estate Investment Trust

     358,496        146,030  
     

 

 

 
Total Malaysia        1,306,207  
Mexico – 1.3%  

Concentradora Fibra Danhos S.A. de C.V.

     175,025        300,620  

Fibra Uno Administracion S.A. de C.V.

     368,900        624,068  

PLA Administradora Industrial S de RL de C.V.*

     56,823        98,255  

Prologis Property Mexico S.A. de C.V.

     81,217        161,815  
     

 

 

 
Total Mexico        1,184,758  
Netherlands – 0.6%     

Eurocommercial Properties N.V. CVA

     5,185      $ 221,773  

Wereldhave N.V.

     5,959        281,120  
     

 

 

 
Total Netherlands        502,893  
New Zealand – 0.5%  

Goodman Property Trust(a)

     155,622        143,999  

Kiwi Property Group Ltd.

     143,040        139,595  

Precinct Properties New Zealand Ltd.

     124,779        115,008  
     

 

 

 
Total New Zealand        398,602  
Norway – 0.3%  

Entra ASA(b)

     21,975        300,903  
Philippines – 1.1%  

Ayala Land, Inc.

     406,700        348,260  

Megaworld Corp.

     833,000        85,761  

Robinsons Land Corp.

     124,700        62,105  

SM Prime Holdings, Inc.

     527,475        357,710  

Vista Land & Lifescapes, Inc.

     628,100        78,637  
     

 

 

 
Total Philippines        932,473  
Russia – 0.2%  

LSR Group PJSC GDR Reg S

     71,895        211,371  
Singapore – 9.0%  

Ascendas Real Estate Investment Trust

     474,884        930,219  

Ascott Residence Trust

     218,388        188,966  

CapitaLand Commercial Trust

     348,435        424,655  

CapitaLand Ltd.

     273,789        721,797  

CapitaLand Mall Trust

     423,486        623,714  

CapitaLand Retail China Trust

     126,400        149,396  

CDL Hospitality Trusts

     179,500        214,139  

City Developments Ltd.

     37,703        314,573  

Frasers Centrepoint Ltd.

     119,500        183,921  

Frasers Centrepoint Trust

     120,800        187,700  

Global Logistic Properties Ltd.

     339,200        824,301  

GuocoLand Ltd.(a)

     75,600        126,376  

Keppel REIT

     418,300        363,485  

Mapletree Commercial Trust

     269,592        301,763  

Mapletree Greater China Commercial Trust

     418,100        355,614  

Mapletree Industrial Trust

     259,218        357,917  

Mapletree Logistics Trust

     389,287        355,474  

Parkway Life Real Estate Investment Trust

     70,200        139,578  

SPH REIT

     331,200        243,897  

Starhill Global REIT

     318,484        178,245  

Suntec Real Estate Investment Trust

     318,128        436,915  

UOL Group Ltd.

     47,900        286,423  
     

 

 

 
Total Singapore        7,909,068  
South Africa – 2.9%  

Fortress Income Fund Ltd.

     94,135        270,152  

Fortress Income Fund Ltd. Class A

     189,993        242,724  

Growthpoint Properties Ltd.

     446,293        803,179  

Hyprop Investments Ltd.

     29,323        229,589  

Redefine Properties Ltd.

     772,465        611,565  

Resilient REIT Ltd.

     37,522        369,815  
     

 

 

 
Total South Africa        2,527,024  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      55  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Spain – 0.3%     

Inmobiliaria Colonial Socimi S.A.

     16,112      $ 159,886  

Merlin Properties Socimi S.A.

     6,579        91,154  
     

 

 

 
Total Spain        251,040  
Sweden – 1.4%  

Castellum AB

     15,159        237,348  

Fabege AB

     8,857        181,212  

Hemfosa Fastigheter AB

     15,116        191,674  

Hufvudstaden AB Class A

     10,571        180,018  

Klovern AB Class B

     58,285        77,477  

Kungsleden AB

     14,582        100,133  

Wallenstam AB Class B(a)

     16,442        163,365  

Wihlborgs Fastigheter AB

     5,756        140,474  
     

 

 

 
Total Sweden        1,271,701  
Switzerland – 1.1%  

PSP Swiss Property AG Registered Shares

     3,586        330,582  

Swiss Prime Site AG Registered Shares*

     6,937        624,086  
     

 

 

 
Total Switzerland        954,668  
Taiwan – 0.5%  

Highwealth Construction Corp.

     306,110        406,309  
Thailand – 1.1%  

Central Pattana PCL NVDR

     118,674        277,558  

Land & Houses PCL NVDR

     1,942,811        576,727  

Supalai PCL NVDR

     163,000        113,391  
     

 

 

 
Total Thailand        967,676  
United Kingdom – 5.6%  

Assura PLC

     154,019        129,563  

Big Yellow Group PLC

     13,365        135,739  

British Land Co. PLC (The)

     112,498        908,616  

Derwent London PLC

     4,758        178,357  

Great Portland Estates PLC

     12,274        100,616  

Hammerson PLC

     72,180        520,032  

Hansteen Holdings PLC

     87,048        161,167  

Intu Properties PLC(a)

     146,603        453,370  

Land Securities Group PLC

     60,958        795,354  

Londonmetric Property PLC

     92,958        207,280  

NewRiver REIT PLC

     32,369        147,090  

Savills PLC

     12,001        149,982  

Segro PLC

     66,217        476,183  

Shaftesbury PLC

     9,835        134,063  

Tritax Big Box REIT PLC

     81,197        155,128  

Unite Group PLC (The)

     14,615        134,806  

Workspace Group PLC

     9,518        113,332  
     

 

 

 
Total United Kingdom        4,900,678  
TOTAL COMMON STOCKS
(Cost: $77,881,909)
       87,562,801  
RIGHTS – 0.0%  
Singapore – 0.0%  

CapitaLand Commercial Trust, expiring 10/19/17*

     57,840        12,437  

Mapletree Logistics Trust, expiring 10/4/17*

     37,489      2,623  
     

 

 

 
TOTAL RIGHTS
(Cost: $0)
       15,060  
WARRANTS – 0.0%  
Malaysia – 0.0%  

Sunway Bhd, expiring 10/3/24*

     45,381        0  
Thailand – 0.0%  

Supalai PCL, expiring 10/19/18*

     39,250        22,597  
TOTAL WARRANTS
(Cost: $18,415)
       22,597  
EXCHANGE-TRADED NOTE – 0.1%  
United States – 0.1%  
iPath MSCI India Index ETN*
(Cost: $31,740)
     467        36,949  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.3%  
United States – 2.3%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $1,999,632)(d)      1,999,632        1,999,632  
TOTAL INVESTMENTS IN SECURITIES – 101.8%
(Cost: $79,931,696)
        89,637,039  

Other Assets less Liabilities – (1.8)%

        (1,568,189
     

 

 

 
NET ASSETS – 100.0%             $ 88,068,850  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $2,384,208 and the total market value of the collateral held by the Fund was $2,532,756. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $533,124.

CVA – Certificaten Van Aandelen (Certificate of Stock)

ETN – Exchange-Traded Note

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

 

See Notes to Financial Statements.

 

56   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

September 30, 2017

 

  

 

 

 

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
 

State Street Bank and Trust

    10/2/2017        4,972        SGD        4,550        CAD     $ 24     $  

State Street Bank and Trust

    10/2/2017        4,043        SGD        2,526        EUR             (9

State Street Bank and Trust

    10/2/2017        4,407        SGD        11,457        ILS       2        

State Street Bank and Trust

    10/2/2017        3,917        SGD        3,989        NZD       1        

State Street Bank and Trust

    10/2/2017        5,178        SGD        30,997        SEK       16        

State Street Bank and Trust

    10/2/2017        11,900        SGD        8,764        USD             (1

State Street Bank and Trust

    10/2/2017        8,707        SGD        86,693        ZAR             (9
                                                $ 43     $ (19

 

CURRENCY LEGEND
CAD   Canadian dollar
EUR   Euro
ILS   Israeli New shekel
NZD   New Zealand dollar
SEK   Swedish krona
SGD   Singapore dollar
USD   U.S. dollar
ZAR   South African rand

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      57  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%  
Australia – 3.1%  

AGL Energy Ltd.

     3,691      $ 67,683  

Alumina Ltd.

     15,152        26,156  

Amcor Ltd.

     7,092        84,640  

AMP Ltd.

     8,872        33,624  

ASX Ltd.

     1,449        59,611  

Aurizon Holdings Ltd.

     12,260        47,137  

Australia & New Zealand Banking Group Ltd.

     14,995        348,268  

Bank of Queensland Ltd.

     4,157        42,338  

Bendigo & Adelaide Bank Ltd.

     3,904        35,565  

CIMIC Group Ltd.

     1,968        68,269  

Commonwealth Bank of Australia

     7,883        465,451  

Crown Resorts Ltd.

     3,317        29,436  

Insurance Australia Group Ltd.

     13,814        69,045  

Macquarie Group Ltd.

     1,646        117,426  

National Australia Bank Ltd.

     15,041        371,760  

Rio Tinto Ltd.

     1,214        63,374  

Sonic Healthcare Ltd.

     2,812        46,136  

Suncorp Group Ltd.

     7,824        80,115  

Tabcorp Holdings Ltd.

     8,329        27,906  

Tatts Group Ltd.

     19,406        60,603  

Telstra Corp., Ltd.

     75,153        205,801  

Wesfarmers Ltd.

     5,158        167,272  

Westpac Banking Corp.

     16,259        407,223  

Woodside Petroleum Ltd.

     2,929        66,879  

Woolworths Ltd.

     4,906        97,046  
     

 

 

 
Total Australia        3,088,764  
Austria – 0.1%  

Oesterreichische Post AG

     767        35,417  

OMV AG

     1,869        108,908  

Vienna Insurance Group AG Wiener Versicherung Gruppe

     278        8,220  
     

 

 

 
Total Austria        152,545  
Belgium – 0.3%  

Ageas

     1,337        62,844  

Cofinimmo S.A.

     320        41,103  

Elia System Operator S.A./N.V.

     1,023        59,248  

Proximus SADP

     1,831        63,109  

Solvay S.A.

     404        60,370  
     

 

 

 
Total Belgium        286,674  
Brazil – 0.7%  

B3 SA – Brasil Bolsa Balcao

     7,708        58,362  

Banco Bradesco S.A.

     8,719        92,065  

Banco do Brasil S.A.

     9,627        106,218  

Banco Santander Brasil S.A.

     11,023        96,320  

BB Seguridade Participacoes S.A.

     6,129        55,474  

CCR S.A.

     6,406        35,866  

Engie Brasil Energia S.A.

     7,921        90,775  

Itau Unibanco Holding S.A.

     6,871        83,413  

JBS S.A.

     6,186        16,623  

Porto Seguro S.A.

     1,731        20,614  

Transmissora Alianca de Energia Eletrica S.A.

     3,920      27,574  
     

 

 

 
Total Brazil        683,304  
Canada – 3.3%  

Agrium, Inc.

     695        74,310  

AltaGas Ltd.

     1,666        38,285  

Bank of Montreal

     2,884        217,756  

Bank of Nova Scotia (The)

     4,558        292,289  

BCE, Inc.

     4,530        211,749  

Canadian Imperial Bank of Commerce

     1,886        164,630  

CI Financial Corp.

     2,088        45,562  

Crescent Point Energy Corp.(a)

     2,498        20,014  

Enbridge, Inc.

     9,121        380,112  

Great-West Lifeco, Inc.

     3,867        111,033  

Keyera Corp.

     1,270        38,730  

Manulife Financial Corp.

     4,881        98,779  

National Bank of Canada

     1,231        59,106  

Pembina Pipeline Corp.

     1,828        63,991  

Peyto Exploration & Development Corp.(a)

     804        13,114  

Potash Corp. of Saskatchewan, Inc.

     5,357        102,887  

Power Corp. of Canada

     2,104        53,347  

Power Financial Corp.

     2,837        78,510  

Rogers Communications, Inc. Class B

     2,065        106,234  

Royal Bank of Canada

     5,275        407,187  

Shaw Communications, Inc. Class B

     1,970        45,239  

TELUS Corp.

     2,420        86,842  

Toronto-Dominion Bank (The)

     6,032        338,822  

TransCanada Corp.(a)

     2,677        132,004  

Veresen, Inc.

     2,730        40,863  
     

 

 

 
Total Canada        3,221,395  
Chile – 0.3%  

AES Gener S.A.

     92,315        32,345  

Banco de Chile

     753,096        115,039  

Banco Santander Chile

     1,391,739        103,630  

Enel Chile S.A.

     116,688        14,248  
     

 

 

 
Total Chile        265,262  
China – 2.4%  

Agricultural Bank of China Ltd. Class H

     167,074        74,866  

Bank of China Ltd. Class H

     409,366        201,782  

Bank of Communications Co., Ltd. Class H

     157,125        114,665  

China Construction Bank Corp. Class H

     979,536        812,654  

China Everbright Bank Co., Ltd. Class H

     79,000        36,513  

China Jinmao Holdings Group Ltd.

     91,447        46,012  

China Merchants Bank Co., Ltd. Class H

     18,527        65,111  

China Power International Development Ltd.

     69,224        22,777  

China Resources Power Holdings Co., Ltd.

     29,575        53,389  

China Vanke Co., Ltd. Class H

     8,000        26,323  

China Zhongwang Holdings Ltd.(a)

     38,800        19,821  

CNOOC Ltd.

     139,415        179,920  

Country Garden Holdings Co., Ltd.

     85,000        135,161  

Huaneng Power International, Inc. Class H

     122,137        75,527  

Industrial & Commercial Bank of China Ltd. Class H

     382,000        283,662  

Lenovo Group Ltd.

     62,000        34,212  

 

See Notes to Financial Statements.

 

58   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Shenzhen Investment Ltd.

     60,000      $ 27,193  

Shimao Property Holdings Ltd.

     30,000        65,065  

Sihuan Pharmaceutical Holdings Group Ltd.

     45,000        16,362  

Sino-Ocean Group Holding Ltd.

     50,775        33,869  

Sun Art Retail Group Ltd.

     37,000        34,344  

Yangzijiang Shipbuilding Holdings Ltd.

     50,000        52,653  
     

 

 

 
Total China        2,411,881  
Czech Republic – 0.2%  

CEZ AS

     3,650        73,263  

Komercni Banka AS

     1,475        64,406  

O2 Czech Republic AS

     1,772        21,761  
     

 

 

 
Total Czech Republic        159,430  
Denmark – 0.1%  

Danske Bank A/S

     2,313        92,523  

Tryg A/S

     1,682        38,852  
     

 

 

 
Total Denmark        131,375  
Finland – 0.8%  

Elisa Oyj

     2,160        93,000  

Fortum Oyj

     5,305        105,927  

Kesko Oyj Class B

     830        44,518  

Metso Oyj

     950        34,861  

Nokia Oyj

     32,755        196,712  

Nokian Renkaat Oyj

     798        35,500  

Sampo Oyj Class A

     3,023        159,820  

Stora Enso Oyj Class R

     4,822        68,122  

UPM-Kymmene Oyj

     3,345        90,676  
     

 

 

 
Total Finland        829,136  
France – 4.8%  

Amundi S.A.(b)

     417        34,666  

AXA S.A.

     11,966        362,001  

BNP Paribas S.A.

     4,305        347,349  

Bouygues S.A.

     1,768        83,919  

Casino Guichard Perrachon S.A.

     955        56,653  

CNP Assurances

     2,816        66,016  

Credit Agricole S.A.

     12,667        230,314  

Edenred

     686        18,653  

Electricite de France S.A.

     24,505        297,665  

Engie S.A.

     19,089        324,288  

Eutelsat Communications S.A.

     1,627        48,201  

ICADE

     554        49,428  

Lagardere SCA

     1,146        38,375  

Metropole Television S.A.

     1,619        37,447  

Natixis S.A.

     17,558        140,525  

Orange S.A.

     14,933        244,681  

Sanofi

     5,823        578,320  

SCOR SE

     1,829        76,706  

Societe Generale S.A.

     3,722        217,961  

Suez

     2,511        45,849  

TOTAL S.A.

     15,212        817,266  

Unibail-Rodamco SE

     529        128,673  

Veolia Environnement S.A.

     1,846        42,665  

Vivendi S.A.

     16,517        418,255  
     

 

 

 
Total France        4,705,876  
Germany – 3.3%     

Allianz SE Registered Shares

     1,995      $ 447,995  

Axel Springer SE

     367        23,589  

BASF SE

     3,599        383,096  

Bayerische Motoren Werke AG

     2,521        255,801  

CECONOMY AG

     1,283        15,112  

Daimler AG Registered Shares

     5,534        441,408  

Deutsche Lufthansa AG Registered Shares

     3,316        92,163  

Deutsche Telekom AG Registered Shares

     16,106        300,554  

E.ON SE

     16,194        183,328  

Evonik Industries AG

     1,909        68,201  

Freenet AG

     1,312        43,879  

Hugo Boss AG

     561        49,469  

K+S AG Registered Shares

     1,562        42,564  

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     929        198,676  

ProSiebenSat.1 Media SE

     1,089        37,123  

Siemens AG Registered Shares

     3,745        527,739  

Telefonica Deutschland Holding AG

     19,998        112,251  
     

 

 

 
Total Germany        3,222,948  
Hong Kong – 0.9%  

BOC Hong Kong Holdings Ltd.

     41,500        201,637  

CLP Holdings Ltd.

     8,500        87,114  

CP Pokphand Co., Ltd.

     118,000        9,518  

Hang Lung Properties Ltd.

     13,472        31,978  

Hang Seng Bank Ltd.

     7,400        180,388  

Hopewell Holdings Ltd.

     8,500        33,083  

Hysan Development Co., Ltd.

     6,000        28,231  

I-CABLE Communications Ltd.*

     1,807        59  

New World Development Co., Ltd.

     44,423        63,813  

PCCW Ltd.

     14,000        7,582  

Power Assets Holdings Ltd.

     7,000        60,628  

Sino Land Co., Ltd.

     26,000        45,671  

SJM Holdings Ltd.

     50,000        45,771  

Swire Pacific Ltd. Class A

     5,500        53,375  

Wharf Holdings Ltd. (The)

     6,519        58,090  
     

 

 

 
Total Hong Kong        906,938  
Hungary – 0.1%  

MOL Hungarian Oil & Gas PLC

     6,112        69,777  
Indonesia – 0.1%  

Gudang Garam Tbk PT

     4,700        22,961  

Perusahaan Gas Negara Persero Tbk

     134,200        15,692  

United Tractors Tbk PT

     18,500        43,953  
     

 

 

 
Total Indonesia        82,606  
Israel – 0.1%  

Bezeq Israeli Telecommunication Corp., Ltd.

     27,162        38,837  

Israel Chemicals Ltd.

     6,274        27,848  
     

 

 

 
Total Israel        66,685  
Italy – 1.7%  

ACEA SpA

     1,506        23,359  

Assicurazioni Generali SpA

     7,432        138,469  

Atlantia SpA

     3,295        104,045  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      59  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Azimut Holding SpA

     765      $ 16,550  

Banca Generali SpA

     1,059        36,745  

Banca Mediolanum SpA

     3,954        34,591  

Enel SpA

     40,554        244,269  

Eni SpA

     21,156        350,148  

Hera SpA

     14,479        45,531  

Intesa Sanpaolo SpA

     87,873        310,819  

Mediobanca SpA

     1,875        20,127  

Poste Italiane SpA(b)

     5,760        42,423  

Snam SpA

     22,135        106,661  

Societa Iniziative Autostradali e Servizi SpA

     1,242        19,837  

Telecom Italia SpA RSP

     30,074        22,612  

Terna Rete Elettrica Nazionale SpA

     11,273        65,862  

Unione di Banche Italiane SpA

     5,877        30,473  

UnipolSai Assicurazioni SpA

     26,347        61,547  
     

 

 

 
Total Italy        1,674,068  
Japan – 3.7%  

Amada Holdings Co., Ltd.

     2,600        28,526  

Aozora Bank Ltd.

     833        31,677  

Bridgestone Corp.

     3,100        140,617  

Canon, Inc.

     7,400        252,770  

Chugoku Electric Power Co., Inc. (The)(a)

     2,700        28,663  

Daiwa Securities Group, Inc.

     12,601        71,342  

Hino Motors Ltd.

     3,000        36,672  

Hokuriku Electric Power Co.(a)

     3,800        31,868  

ITOCHU Corp.

     9,542        156,229  

Japan Airlines Co., Ltd.

     1,700        57,510  

Japan Post Holdings Co., Ltd.(a)

     13,000        153,485  

JXTG Holdings, Inc.

     20,250        104,142  

Kawasaki Heavy Industries Ltd.

     700        23,195  

Konica Minolta, Inc.(a)

     3,100        25,447  

Marubeni Corp.

     6,669        45,530  

Mitsubishi UFJ Financial Group, Inc.

     37,100        240,829  

Mitsui & Co., Ltd.

     6,658        98,363  

Mixi, Inc.

     400        19,296  

Mizuho Financial Group, Inc.

     72,600        127,122  

MS&AD Insurance Group Holdings, Inc.

     1,400        45,060  

Nissan Motor Co., Ltd.

     20,300        200,989  

NSK Ltd.

     2,600        35,039  

Oracle Corp.

     1,500        117,799  

Resona Holdings, Inc.

     13,500        69,320  

Ricoh Co., Ltd.

     4,100        39,847  

Sankyo Co., Ltd.

     800        25,514  

Showa Shell Sekiyu K.K.

     1,200        13,805  

Sony Financial Holdings, Inc.

     1,100        18,039  

Subaru Corp.

     3,200        115,418  

Sumitomo Corp.

     5,886        84,631  

Sumitomo Mitsui Financial Group, Inc.

     4,400        168,862  

Sumitomo Mitsui Trust Holdings, Inc.

     900        32,469  

Sumitomo Rubber Industries Ltd.

     1,300        23,814  

T&D Holdings, Inc.

     1,600        23,219  

Takeda Pharmaceutical Co., Ltd.

     3,200        176,652  

Toyota Motor Corp.

     12,500        745,125  
     

 

 

 
Total Japan        3,608,885  
Malaysia – 0.4%     

AMMB Holdings Bhd

     45,900      $ 47,394  

Astro Malaysia Holdings Bhd

     23,800        15,895  

Axiata Group Bhd

     28,601        35,493  

British American Tobacco Malaysia Bhd

     1,700        17,610  

DiGi.Com Bhd

     71,100        82,508  

Malayan Banking Bhd

     36,300        81,927  

Maxis Bhd

     32,000        43,955  

MISC Bhd

     8,800        15,214  

Sime Darby Bhd

     7,100        15,167  

YTL Power International Bhd

     36,051        11,697  
     

 

 

 
Total Malaysia        366,860  
Mexico – 0.2%  

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     5,835        11,905  

Wal-Mart de Mexico S.A.B. de C.V.

     68,621        157,578  
     

 

 

 
Total Mexico        169,483  
Netherlands – 0.6%  

ABN AMRO Group N.V. CVA(b)

     2,335        69,950  

Aegon N.V.

     13,583        79,133  

Boskalis Westminster

     679        23,740  

ING Groep N.V.

     18,595        342,935  

NN Group N.V.

     1,561        65,346  

Randstad Holding N.V.

     831        51,419  
     

 

 

 
Total Netherlands        632,523  
New Zealand – 0.1%  

Fletcher Building Ltd.

     3,684        21,279  

Mercury NZ Ltd.

     12,652        31,005  

Meridian Energy Ltd.

     15,189        31,239  

Spark New Zealand Ltd.

     23,748        62,661  
     

 

 

 
Total New Zealand        146,184  
Norway – 0.8%  

DNB ASA

     3,932        79,279  

Gjensidige Forsikring ASA

     2,211        38,497  

Statoil ASA

     17,723        354,669  

Telenor ASA

     8,915        188,597  

Yara International ASA

     1,941        86,976  
     

 

 

 
Total Norway        748,018  
Philippines – 0.2%  

Aboitiz Power Corp.

     36,900        31,126  

DMCI Holdings, Inc.

     62,500        19,193  

Energy Development Corp.

     136,600        15,112  

Globe Telecom, Inc.

     440        17,756  

Manila Electric Co.

     7,850        43,732  

PLDT, Inc.

     1,255        41,208  
     

 

 

 
Total Philippines        168,127  
Poland – 0.2%  

Bank Handlowy w Warszawie S.A.

     1,818        34,475  

Bank Pekao S.A.

     1,045        36,707  

Polskie Gornictwo Naftowe i Gazownictwo S.A.

     14,891        27,747  

Powszechny Zaklad Ubezpieczen S.A.

     5,252        66,300  
     

 

 

 
Total Poland        165,229  

 

See Notes to Financial Statements.

 

60   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Portugal – 0.2%     

EDP – Energias de Portugal S.A.

     22,460      $ 84,569  

Galp Energia, SGPS, S.A.

     3,107        55,078  

Navigator Co. S.A. (The)

     8,604        41,948  
     

 

 

 
Total Portugal        181,595  
Russia – 1.4%  

Gazprom Neft PJSC ADR

     4,075        80,277  

Gazprom PJSC ADR

     58,024        243,121  

Lukoil PJSC ADR

     4,751        251,470  

MegaFon PJSC GDR Reg S

     6,974        80,131  

MMC Norilsk Nickel PJSC ADR

     10,218        175,903  

Mobile TeleSystems PJSC ADR

     11,706        122,211  

Novolipetsk Steel PJSC GDR

     5,092        115,843  

PhosAgro PJSC GDR Reg S

     3,157        44,987  

Rosneft Oil Co. PJSC GDR Reg S

     29,299        162,756  

RusHydro PJSC ADR

     13,669        19,615  

Severstal PJSC GDR Reg S

     6,642        99,298  

Sistema PJSC FC GDR Reg S

     1,585        7,608  
     

 

 

 
Total Russia        1,403,220  
Singapore – 0.8%  

DBS Group Holdings Ltd.

     8,800        134,921  

Frasers Centrepoint Ltd.

     31,900        49,097  

Hutchison Port Holdings Trust

     79,700        34,271  

Keppel Corp., Ltd.

     8,300        39,668  

Oversea-Chinese Banking Corp., Ltd.

     21,603        177,539  

Singapore Airlines Ltd.

     10,000        73,935  

Singapore Telecommunications Ltd.

     86,900        235,496  

StarHub Ltd.(a)

     11,700        22,401  

United Overseas Bank Ltd.

     4,513        78,100  
     

 

 

 
Total Singapore        845,428  
South Africa – 0.8%  

Barclays Africa Group Ltd.

     3,439        35,402  

FirstRand Ltd.

     21,763        83,861  

Foschini Group Ltd. (The)

     2,713        27,276  

Hyprop Investments Ltd.

     4,381        34,302  

Imperial Holdings Ltd.

     2,016        28,552  

MMI Holdings Ltd.(a)

     14,100        18,118  

MTN Group Ltd.

     16,206        149,284  

Nedbank Group Ltd.

     3,075        46,150  

RMB Holdings Ltd.

     7,324        34,443  

Sanlam Ltd.

     11,848        59,369  

Sasol Ltd.

     2,537        69,707  

Standard Bank Group Ltd.

     2,570        30,037  

Telkom S.A. SOC Ltd.

     3,900        17,125  

Truworths International Ltd.

     4,136        23,663  

Vodacom Group Ltd.

     7,737        92,334  
     

 

 

 
Total South Africa        749,623  
South Korea – 0.3%  

Korea Electric Power Corp.

     3,554        121,016  

POSCO

     359        99,361  

SK Telecom Co., Ltd.

     389        86,607  
     

 

 

 
Total South Korea        306,984  
Spain – 2.6%     

Abertis Infraestructuras S.A.

     6,497      $ 131,341  

Acerinox S.A.(a)

     2,737        39,475  

ACS Actividades de Construccion y Servicios S.A.

     1,837        68,094  

Atresmedia Corp. de Medios de Comunicacion S.A.

     1,046        10,993  

Banco Bilbao Vizcaya Argentaria S.A.

     29,685        265,343  

Banco de Sabadell S.A.

     22,698        47,388  

Banco Santander S.A.

     68,586        478,953  

Bankia S.A.

     5,190        25,033  

CaixaBank S.A.

     25,941        130,030  

Enagas S.A.

     1,792        50,473  

Endesa S.A.

     5,481        123,599  

Ferrovial S.A.

     1,835        40,404  

Gas Natural SDG S.A.

     5,351        118,485  

Iberdrola S.A.

     35,716        277,492  

Mapfre S.A.

     13,773        44,842  

Mediaset Espana Comunicacion S.A.

     3,047        34,412  

Red Electrica Corp. S.A.

     3,436        72,223  

Repsol S.A.

     8,170        150,577  

Tecnicas Reunidas S.A.

     422        13,343  

Telefonica S.A.

     42,084        457,317  
     

 

 

 
Total Spain        2,579,817  
Sweden – 1.3%  

Hennes & Mauritz AB Class B

     5,426        140,264  

Nordea Bank AB

     24,706        334,161  

Skandinaviska Enskilda Banken AB Class A

     12,690        166,819  

Skanska AB Class B

     3,529        81,585  

SKF AB Class B

     1,757        38,208  

Svenska Handelsbanken AB Class A

     7,703        115,984  

Swedbank AB Class A

     5,986        165,154  

Telefonaktiebolaget LM Ericsson Class B

     25,527        146,269  

Telia Co. AB

     26,777        125,842  
     

 

 

 
Total Sweden        1,314,286  
Switzerland – 2.5%  

ABB Ltd. Registered Shares

     8,418        208,275  

Adecco Group AG Registered Shares

     620        48,313  

Baloise Holding AG Registered Shares

     740        117,164  

Credit Suisse Group AG Registered Shares*

     9,455        149,799  

Kuehne + Nagel International AG Registered Shares

     736        136,384  

Novartis AG Registered Shares

     9,608        823,174  

STMicroelectronics N.V.

     5,061        97,824  

Sulzer AG Registered Shares

     383        45,282  

Swiss Re AG

     1,450        131,423  

Swisscom AG Registered Shares

     317        162,562  

UBS Group AG Registered Shares*

     18,435        315,316  

Zurich Insurance Group AG

     852        260,108  
     

 

 

 
Total Switzerland        2,495,624  
Taiwan – 1.7%  

Advanced Semiconductor Engineering, Inc.

     40,173        49,150  

Asia Cement Corp.

     15,514        13,685  

Asustek Computer, Inc.

     5,486        45,138  

Catcher Technology Co., Ltd.

     3,000        27,948  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      61  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Cathay Financial Holding Co., Ltd.

     53,000      $ 84,243  

Cheng Shin Rubber Industry Co., Ltd.

     8,197        16,408  

China Development Financial Holding Corp.

     143,000        42,913  

Chunghwa Telecom Co., Ltd.

     32,000        110,276  

Compal Electronics, Inc.

     25,000        17,766  

CTBC Financial Holding Co., Ltd.

     99,480        62,331  

Far Eastern New Century Corp.

     3,994        3,161  

First Financial Holding Co., Ltd.

     79,391        50,922  

Formosa Chemicals & Fibre Corp.

     14,000        42,567  

Formosa Petrochemical Corp.

     32,000        110,276  

Formosa Plastics Corp.

     16,000        48,437  

Fubon Financial Holding Co., Ltd.

     58,195        90,774  

Hon Hai Precision Industry Co., Ltd.

     72,500        251,039  

MediaTek, Inc.

     9,389        88,088  

Mega Financial Holding Co., Ltd.

     86,941        67,949  

Nan Ya Plastics Corp.

     31,000        76,365  

Nanya Technology Corp.

     17,686        50,041  

Novatek Microelectronics Corp.

     3,000        11,278  

Pegatron Corp.

     16,680        43,290  

Quanta Computer, Inc.

     25,210        58,029  

Siliconware Precision Industries Co., Ltd.

     18,000        28,789  

SinoPac Financial Holdings Co., Ltd.

     90,666        27,148  

Taiwan Mobile Co., Ltd.

     16,800        59,834  

United Microelectronics Corp.

     86,000        42,966  

Yuanta Financial Holding Co., Ltd.

     101,000        43,466  
     

 

 

 
Total Taiwan        1,664,277  
Thailand – 0.4%  

Advanced Info Service PCL NVDR

     8,300        47,535  

Glow Energy PCL NVDR

     13,500        36,128  

Intouch Holdings PCL NVDR

     28,171        48,571  

Krung Thai Bank PCL NVDR

     33,400        18,828  

Land & Houses PCL NVDR

     139,200        41,322  

PTT Exploration & Production PCL NVDR

     16,600        44,549  

PTT Global Chemical PCL NVDR

     22,636        52,263  

Siam Commercial Bank PCL (The) NVDR

     17,600        80,743  
     

 

 

 
Total Thailand        369,939  
Turkey – 0.2%  

Eregli Demir ve Celik Fabrikalari TAS

     15,273        33,199  

Ford Otomotiv Sanayi AS

     6,437        82,542  

Tupras Turkiye Petrol Rafinerileri AS

     3,853        131,753  
     

 

 

 
Total Turkey        247,494  
United Kingdom – 7.4%  

Admiral Group PLC

     1,272        31,009  

AstraZeneca PLC

     6,121        406,916  

Aviva PLC

     15,256        105,309  

BAE Systems PLC

     20,260        171,653  

Barratt Developments PLC

     5,136        42,343  

Berkeley Group Holdings PLC

     1,409        70,266  

BP PLC

     143,804        920,877  

Capita PLC

     3,628        27,501  

Centrica PLC

     30,413        76,303  

Direct Line Insurance Group PLC

     4,633        22,601  

Dunelm Group PLC

     1,148        10,897  

easyJet PLC

     2,977      48,608  

GlaxoSmithKline PLC

     31,230        623,677  

HSBC Holdings PLC

     103,995        1,028,438  

IG Group Holdings PLC

     3,687        31,708  

Imperial Brands PLC

     5,035        215,086  

Inmarsat PLC

     4,197        36,235  

Intu Properties PLC(a)

     5,497        16,999  

ITV PLC

     41,263        96,715  

J Sainsbury PLC

     15,615        49,840  

Legal & General Group PLC

     35,995        125,513  

Lloyds Banking Group PLC

     237,895        216,175  

Man Group PLC

     16,867        37,995  

Marks & Spencer Group PLC

     10,945        51,894  

National Grid PLC

     21,004        260,552  

NEX Group PLC

     3,991        35,447  

Next PLC

     994        70,147  

Old Mutual PLC

     24,315        63,352  

Pearson PLC

     5,418        44,487  

Pennon Group PLC

     2,519        26,936  

Persimmon PLC

     2,035        70,495  

Rio Tinto PLC

     6,765        315,219  

Royal Dutch Shell PLC Class A

     32,337        975,510  

Royal Mail PLC

     6,983        35,995  

Severn Trent PLC

     1,718        50,087  

Sky PLC

     8,511        104,482  

SSE PLC

     7,175        134,480  

Standard Life Aberdeen PLC

     17,062        99,233  

TalkTalk Telecom Group PLC(a)

     8,095        22,775  

Tate & Lyle PLC

     2,100        18,271  

TechnipFMC PLC*

     1,598        44,235  

United Utilities Group PLC

     5,367        61,529  

Vodafone Group PLC

     155,711        436,203  

William Hill PLC

     2,507        8,490  
     

 

 

 
Total United Kingdom        7,342,483  
United States – 51.6%  

AbbVie, Inc.

     14,014        1,245,284  

AES Corp.

     6,165        67,938  

Alliant Energy Corp.

     1,619        67,302  

Altria Group, Inc.

     16,038        1,017,130  

Ameren Corp.

     2,298        132,916  

American Campus Communities, Inc.

     831        36,689  

American Eagle Outfitters, Inc.

     1,935        27,671  

American Electric Power Co., Inc.

     3,983        279,766  

Ameriprise Financial, Inc.

     745        110,640  

Apple Hospitality REIT, Inc.

     1,003        18,967  

AT&T, Inc.

     67,135        2,629,678  

AvalonBay Communities, Inc.

     570        101,699  

Avangrid, Inc.

     2,688        127,465  

B&G Foods, Inc.(a)

     500        15,925  

BB&T Corp.

     2,739        128,569  

Best Buy Co., Inc.

     2,185        124,458  

BGC Partners, Inc. Class A

     1,271        18,391  

Boeing Co. (The)

     4,652        1,182,585  

 

See Notes to Financial Statements.

 

62   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Brandywine Realty Trust

     3,095      $ 54,132  

CA, Inc.

     2,878        96,068  

Camden Property Trust

     832        76,086  

Caterpillar, Inc.

     5,056        630,534  

CBL & Associates Properties, Inc.(a)

     4,015        33,686  

CenterPoint Energy, Inc.

     4,883        142,632  

CenturyLink, Inc.(a)

     10,588        200,113  

CF Industries Holdings, Inc.

     3,053        107,343  

Chevron Corp.

     18,056        2,121,580  

Cinemark Holdings, Inc.

     873        31,611  

Cisco Systems, Inc.

     36,924        1,241,754  

CME Group, Inc.

     3,177        431,055  

CMS Energy Corp.

     1,607        74,436  

Coach, Inc.

     2,770        111,576  

Coca-Cola Co. (The)

     31,371        1,412,009  

Colony NorthStar, Inc. Class A

     4,779        60,024  

Columbia Property Trust, Inc.

     1,408        30,652  

Compass Minerals International, Inc.(a)

     437        28,361  

ConocoPhillips

     10,023        501,651  

Consolidated Edison, Inc.

     2,508        202,345  

Covanta Holding Corp.

     2,001        29,715  

Cracker Barrel Old Country Store, Inc.(a)

     122        18,498  

Crown Castle International Corp.

     2,626        262,548  

Cullen/Frost Bankers, Inc.

     670        63,596  

Cummins, Inc.

     1,144        192,226  

Cypress Semiconductor Corp.

     3,660        54,973  

Darden Restaurants, Inc.

     999        78,701  

DDR Corp.

     3,169        29,028  

Deere & Co.

     2,086        261,981  

Digital Realty Trust, Inc.

     1,241        146,848  

Dominion Energy, Inc.

     4,630        356,186  

Domtar Corp.

     553        23,995  

DowDuPont, Inc.

     8,658        599,393  

DTE Energy Co.

     1,249        134,093  

Duke Energy Corp.

     6,546        549,340  

Emerson Electric Co.

     5,646        354,795  

Entergy Corp.

     2,173        165,930  

EPR Properties

     1,121        78,179  

Equity Residential

     1,635        107,796  

Eversource Energy

     2,110        127,528  

Exelon Corp.

     7,710        290,436  

Extended Stay America, Inc.

     2,444        48,880  

Extra Space Storage, Inc.

     653        52,188  

Exxon Mobil Corp.

     32,256        2,644,347  

FirstEnergy Corp.

     4,256        131,213  

Flowers Foods, Inc.

     1,793        33,726  

Ford Motor Co.

     43,323        518,576  

Frontier Communications Corp.

     1,855        21,870  

GameStop Corp. Class A

     1,434        29,626  

Gaming and Leisure Properties, Inc.

     1,769        65,258  

Gap, Inc. (The)

     2,985        88,147  

General Electric Co.

     67,880        1,641,338  

General Mills, Inc.

     3,646        188,717  

General Motors Co.

     15,745        635,783  

Great Plains Energy, Inc.

     2,081      63,054  

H&R Block, Inc.

     1,723        45,625  

Hancock Holding Co.

     943        45,688  

Hawaiian Electric Industries, Inc.

     1,386        46,251  

HCP, Inc.

     5,363        149,252  

Helmerich & Payne, Inc.(a)

     1,255        65,398  

Highwoods Properties, Inc.

     1,054        54,903  

HollyFrontier Corp.

     2,549        91,688  

Hospitality Properties Trust

     2,207        62,877  

Host Hotels & Resorts, Inc.

     7,474        138,194  

HP, Inc.

     13,172        262,913  

HSN, Inc.

     590        23,040  

Huntsman Corp.

     2,952        80,944  

International Business Machines Corp.

     7,486        1,086,069  

International Paper Co.

     3,123        177,449  

Iron Mountain, Inc.

     2,816        109,542  

Kimberly-Clark Corp.

     2,233        262,779  

Kimco Realty Corp.

     3,535        69,109  

Kinder Morgan, Inc.

     20,941        401,648  

KLA-Tencor Corp.

     998        105,788  

Kohl’s Corp.

     1,950        89,018  

L Brands, Inc.

     1,937        80,599  

Lamar Advertising Co. Class A

     1,073        73,533  

Las Vegas Sands Corp.

     9,076        582,316  

LaSalle Hotel Properties

     1,189        34,505  

Leggett & Platt, Inc.

     908        43,339  

Liberty Property Trust

     1,980        81,299  

LPL Financial Holdings, Inc.

     384        19,803  

Macerich Co. (The)

     1,070        58,818  

Macquarie Infrastructure Corp.

     836        60,342  

Macy’s, Inc.

     2,908        63,453  

Marathon Petroleum Corp.

     3,932        220,507  

Mattel, Inc.

     5,202        80,527  

Maxim Integrated Products, Inc.

     1,788        85,305  

McDonald’s Corp.

     6,792        1,064,171  

MDU Resources Group, Inc.

     1,746        45,309  

Medical Properties Trust, Inc.

     4,526        59,426  

Merck & Co., Inc.

     19,577        1,253,515  

Meredith Corp.

     268        14,874  

MetLife, Inc.

     6,858        356,273  

Mid-America Apartment Communities, Inc.

     521        55,684  

Mosaic Co. (The)

     3,814        82,344  

Murphy Oil Corp.

     2,355        62,549  

National Fuel Gas Co.

     452        25,588  

National Oilwell Varco, Inc.

     2,756        98,472  

National Retail Properties, Inc.

     1,227        51,117  

Navient Corp.

     3,891        58,443  

New Jersey Resources Corp.

     850        35,828  

New York Community Bancorp, Inc.

     5,671        73,099  

Nordstrom, Inc.(a)

     1,023        48,234  

NorthWestern Corp.

     502        28,584  

NRG Energy, Inc.

     2,650        67,814  

Nucor Corp.

     2,263        126,819  

Occidental Petroleum Corp.

     6,960        446,902  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      63  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Oceaneering International, Inc.

     365      $ 9,589  

OGE Energy Corp.

     1,481        53,360  

Old Republic International Corp.

     3,323        65,430  

Olin Corp.

     1,345        46,066  

Omega Healthcare Investors, Inc.

     1,731        55,236  

ONEOK, Inc.

     2,663        147,557  

Outfront Media, Inc.

     2,038        51,317  

PACCAR, Inc.

     2,907        210,292  

Packaging Corp. of America

     579        66,400  

PacWest Bancorp

     1,202        60,713  

Paychex, Inc.

     2,556        153,258  

PBF Energy, Inc. Class A(a)

     1,390        38,378  

People’s United Financial, Inc.

     3,965        71,925  

Pfizer, Inc.

     48,904        1,745,873  

PG&E Corp.

     3,519        239,609  

Philip Morris International, Inc.

     15,371        1,706,335  

Phillips 66

     3,475        318,345  

Piedmont Office Realty Trust, Inc. Class A

     2,402        48,424  

Pinnacle West Capital Corp.

     1,094        92,509  

Pitney Bowes, Inc.

     2,037        28,538  

PPL Corp.

     6,619        251,191  

Principal Financial Group, Inc.

     1,439        92,585  

Procter & Gamble Co. (The)

     18,917        1,721,069  

Prologis, Inc.

     3,807        241,592  

Prudential Financial, Inc.

     2,931        311,624  

Public Service Enterprise Group, Inc.

     4,060        187,775  

Public Storage

     866        185,315  

QUALCOMM, Inc.

     10,687        554,014  

Rayonier, Inc.

     1,510        43,624  

Realty Income Corp.

     1,979        113,179  

Regal Entertainment Group Class A

     914        14,624  

RLJ Lodging Trust

     2,459        54,098  

Ryman Hospitality Properties, Inc.

     48        3,000  

SCANA Corp.

     1,383        67,062  

SemGroup Corp. Class A

     559        16,071  

Senior Housing Properties Trust

     4,191        81,934  

Simon Property Group, Inc.

     1,848        297,547  

Six Flags Entertainment Corp.

     784        47,777  

South Jersey Industries, Inc.

     918        31,699  

Southern Co. (The)

     8,947        439,656  

Spirit Realty Capital, Inc.

     6,385        54,719  

T. Rowe Price Group, Inc.

     1,176        106,604  

Targa Resources Corp.

     1,733        81,971  

Target Corp.

     4,552        268,614  

Taubman Centers, Inc.

     359        17,842  

Timken Co. (The)

     1,154        56,027  

Tupperware Brands Corp.

     697        43,089  

UDR, Inc.

     1,268        48,222  

Umpqua Holdings Corp.

     3,032        59,154  

Uniti Group, Inc.

     1,881        27,575  

Valero Energy Corp.

     4,652        357,878  

Vector Group Ltd.

     1,954        39,999  

Vectren Corp.

     730        48,012  

Ventas, Inc.

     3,095        201,577  

VEREIT, Inc.

     6,832      56,637  

Verizon Communications, Inc.

     42,102        2,083,628  

Viacom, Inc. Class B

     3,074        85,580  

W.P. Carey, Inc.

     1,516        102,163  

Washington Prime Group, Inc.

     4,984        41,517  

WEC Energy Group, Inc.

     2,036        127,820  

Weingarten Realty Investors

     753        23,900  

Wells Fargo & Co.

     28,487        1,571,058  

Welltower, Inc.

     3,403        239,163  

Western Digital Corp.

     2,057        177,725  

Western Union Co. (The)

     3,208        61,594  

WestRock Co.

     1,543        87,534  

Weyerhaeuser Co.

     5,829        198,361  

WGL Holdings, Inc.

     485        40,837  

Williams Cos., Inc. (The)

     12,515        375,575  

Wyndham Worldwide Corp.

     762        80,322  

Xcel Energy, Inc.

     4,057        191,977  

Xerox Corp.

     1,666        55,461  
     

 

 

 
Total United States        50,893,520  
TOTAL COMMON STOCKS
(Cost: $88,567,846)
       98,358,263  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7%  
United States – 0.7%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $669,504)(d)      669,504        669,504  
TOTAL INVESTMENTS IN SECURITIES – 100.4%
(Cost: $89,237,350)
       99,027,767  

Other Assets less Liabilities – (0.4)%

 

     (423,989
     

 

 

 
NET ASSETS – 100.0%      $ 98,603,778  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

(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 September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $880,782 and the total market value of the collateral held by the Fund was $932,288. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $262,784.

ADR – American Depositary Receipt

GDR – Global Depositary Receipt

NVDR – Non-Voting Depositary Receipt

Reg S – Regulation S provides an exclusion from the registration requirements of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

RSP – Risparmio Italian Savings Shares

 

See Notes to Financial Statements.

 

64   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2017

 

  

 

 

 

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 Montreal

     10/3/2017        6,337        USD        49,500        HKD     $     $ (1

Barclays Bank PLC

     10/3/2017        1,698        USD        23,000        ZAR             (5

Goldman Sachs

     10/3/2017        4,466        USD        5,700        AUD             (6

State Street Bank and Trust

     10/2/2017        801        USD        1,000        CAD       1        
                                                 $ 1     $ (12

 

CURRENCY LEGEND
AUD   Australian dollar
CAD   Canadian dollar
HKD   Hong Kong dollar
USD   U.S. dollar
ZAR   South African rand

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      65  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree India Earnings Fund (EPI) (consolidated)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.5%  
India – 100.5%  
Aerospace & Defense – 0.2%  
Bharat Electronics Ltd.      1,301,016      $ 3,242,582  
Air Freight & Logistics – 0.1%  

Allcargo Logistics Ltd.

     213,995        558,248  

Transport Corp. of India Ltd.

     98,538        406,929  
     

 

 

 
Total Air Freight & Logistics        965,177  
Airlines – 0.4%  

InterGlobe Aviation Ltd.(a)

     122,535        2,057,507  

Jet Airways India Ltd.*

     312,952        2,308,572  

SpiceJet Ltd.*

     1,093,630        2,143,897  
     

 

 

 
Total Airlines        6,509,976  
Auto Components – 1.8%  

Apollo Tyres Ltd.

     1,466,175        5,516,113  

Balkrishna Industries Ltd.

     93,829        2,450,227  

Bharat Forge Ltd.

     494,752        4,460,494  

Bosch Ltd.

     8,258        2,597,389  

Ceat Ltd.

     121,857        3,198,653  

Exide Industries Ltd.

     572,663        1,805,572  

Igarashi Motors India Ltd.

     8,747        120,519  

JK Tyre & Industries Ltd.

     519,616        1,166,988  

Mahindra CIE Automotive Ltd.*

     135,305        496,208  

Motherson Sumi Systems Ltd.

     783,892        4,037,065  

Sundram Fasteners Ltd.

     64,167        432,086  

TI Financial Holdings Ltd.

     243,424        2,101,265  

Tube Investments of India Ltd.*

     248,503        925,228  
     

 

 

 
Total Auto Components        29,307,807  
Automobiles – 5.7%  

Bajaj Auto Ltd.

     214,881        10,228,888  

Hero MotoCorp Ltd.

     257,830        14,898,840  

Mahindra & Mahindra Ltd.

     824,741        15,836,366  

Maruti Suzuki India Ltd.

     226,652        27,683,328  

Tata Motors Ltd.*

     3,938,933        24,211,292  

TVS Motor Co., Ltd.

     193,045        1,941,828  
     

 

 

 
Total Automobiles        94,800,542  
Banks – 9.8%  

Axis Bank Ltd.

     3,346,776        26,087,125  

Bank of Baroda

     1,350,269        2,844,412  

Canara Bank

     349,133        1,646,249  

City Union Bank Ltd.

     739,803        1,838,182  

DCB Bank Ltd.

     542,003        1,506,855  

Federal Bank Ltd.

     2,759,708        4,759,355  

ICICI Bank Ltd.

     11,304,170        47,867,934  

IDFC Bank Ltd.

     3,875,607        3,346,360  

Indian Bank

     508,608        2,034,198  

IndusInd Bank Ltd.

     593,529        15,285,280  

Karnataka Bank Ltd. (The)

     1,672,962        3,625,349  

Karur Vysya Bank Ltd. (The)

     883,671        1,950,786  

Kotak Mahindra Bank Ltd.

     1,237,641        18,989,983  

Lakshmi Vilas Bank Ltd. (The)

     281,343        624,321  

Punjab National Bank*

     747,866        1,477,528  

RBL Bank Ltd.(a)

     38,054      295,338  

South Indian Bank Ltd. (The)

     8,155,572        3,520,930  

State Bank of India

     528,526        2,053,985  

Union Bank of India*

     440,608        854,302  

Vijaya Bank

     1,473,067        1,234,697  

Yes Bank Ltd.

     4,148,029        22,226,120  
     

 

 

 
Total Banks        164,069,289  
Beverages – 0.1%  

United Spirits Ltd.*

     52,203        1,916,175  
Biotechnology – 0.1%  

Biocon Ltd.

     386,524        1,965,461  
Building Products – 0.1%  

Kajaria Ceramics Ltd.

     106,205        1,152,451  

Somany Ceramics Ltd.

     10,570        138,849  
     

 

 

 
Total Building Products        1,291,300  
Capital Markets – 0.7%  

Care Ratings Ltd.

     55,346        1,154,708  

CRISIL Ltd.

     28,196        785,923  

Edelweiss Financial Services Ltd.

     1,021,121        4,195,788  

IIFL Holdings Ltd.

     348,346        3,241,079  

JM Financial Ltd.

     851,728        1,801,381  

Motilal Oswal Financial Services Ltd.

     6,664        131,270  
     

 

 

 
Total Capital Markets        11,310,149  
Chemicals – 2.6%  

Aarti Industries

     24,894        340,311  

Advanced Enzyme Technologies Ltd.

     30,555        117,879  

Asian Paints Ltd.

     361,801        6,268,374  

Atul Ltd.

     34,176        1,250,521  

Berger Paints India Ltd.

     251,546        943,875  

Castrol India Ltd.

     244,088        1,332,544  

Chambal Fertilizers and Chemicals Ltd.

     874,068        1,883,421  

Coromandel International Ltd.

     130,844        865,550  

DCM Shriram Ltd.

     175,410        1,134,714  

Deepak Fertilisers & Petrochemicals Corp., Ltd.

     44,080        249,384  

Dhanuka Agritech Ltd.

     66,799        687,318  

EID Parry India Ltd.

     226,223        1,188,260  

Finolex Industries Ltd.

     62,186        604,343  

GHCL Ltd.

     325,258        1,048,175  

Godrej Industries Ltd.

     180,839        1,628,575  

Gujarat Alkalies & Chemicals Ltd.

     110,788        949,381  

Gujarat Fluorochemicals Ltd.

     45,664        472,369  

Gujarat Narmada Valley Fertilizers & Chemicals Ltd.

     209,742        973,091  

Gulf Oil Lubricants India Ltd.

     46,820        561,166  

I G Petrochemicals Ltd.

     31,348        299,827  

Jindal Poly Films Ltd.

     89,845        501,355  

Kansai Nerolac Paints Ltd.

     269,617        1,998,187  

PI Industries Ltd.

     144,697        1,640,357  

Pidilite Industries Ltd.

     127,938        1,556,135  

Rain Industries Ltd.

     54,973        148,079  

Rallis India Ltd.

     228,521        727,860  

Rashtriya Chemicals & Fertilizers Ltd.

     577,798        781,071  

 

See Notes to Financial Statements.

 

66   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

SH Kelkar & Co., Ltd.(a)

     194,165      $ 748,035  

Supreme Industries Ltd.

     69,095        1,162,302  

Supreme Petrochem Ltd.

     74,152        429,223  

UPL Ltd.

     899,672        10,722,515  
     

 

 

 
Total Chemicals        43,214,197  
Communications Equipment – 0.0%  

Sterlite Technologies Ltd.

     197,118        674,915  
Construction & Engineering – 1.3%  

Engineers India Ltd.

     173,981        396,198  

IRB Infrastructure Developers Ltd.

     818,882        2,668,387  

ITD Cementation India Ltd.

     218,540        574,287  

J Kumar Infraprojects Ltd.

     95,836        299,818  

Kalpataru Power Transmission Ltd.

     67,587        380,875  

Larsen & Toubro Ltd.

     762,383        13,329,447  

PNC Infratech Ltd.

     125,552        263,809  

Voltas Ltd.

     383,280        2,969,364  
     

 

 

 
Total Construction & Engineering        20,882,185  
Construction Materials – 2.0%  

ACC Ltd.

     94,710        2,402,403  

Ambuja Cements Ltd.

     1,135,044        4,630,013  

Birla Corp., Ltd.

     39,018        537,483  

Dalmia Bharat Ltd.

     6,767        266,127  

Grasim Industries Ltd.

     760,015        13,193,800  

HeidelbergCement India Ltd.

     78,155        142,323  

India Cements Ltd. (The)

     47,602        125,564  

JK Cement Ltd.

     34,628        505,743  

JK Lakshmi Cement Ltd.

     22,351        132,748  

Ramco Cements Ltd. (The)

     166,594        1,765,917  

Ramco Industries Ltd.

     131,261        493,836  

Shree Cement Ltd.

     9,696        2,758,001  

UltraTech Cement Ltd.

     117,566        6,936,970  
     

 

 

 
Total Construction Materials        33,890,928  
Consumer Finance – 1.7%  

Bajaj Finance Ltd.

     245,885        6,918,998  

Cholamandalam Investment and Finance Co., Ltd.

     59,910        1,001,786  

Mahindra & Mahindra Financial Services Ltd.

     604,277        3,814,660  

Manappuram Finance Ltd.

     1,749,712        2,588,942  

Muthoot Finance Ltd.

     263,893        1,918,597  

Repco Home Finance Ltd.

     38,455        370,274  

Shriram City Union Finance Ltd.

     87,693        2,766,384  

Shriram Transport Finance Co., Ltd.

     445,807        7,196,248  

Sundaram Finance Ltd.

     45,761        1,181,400  
     

 

 

 
Total Consumer Finance        27,757,289  
Containers & Packaging – 0.1%  

HSIL Ltd.

     99,567        592,799  

Nilkamal Ltd.

     14,990        355,726  

Time Technoplast Ltd.

     139,879        417,474  

Uflex Ltd.

     146,819        968,079  
     

 

 

 
Total Containers & Packaging        2,334,078  
Diversified Financial Services – 2.6%     

Bajaj Holdings & Investment Ltd.

     105,264      4,506,514  

IDFC Ltd.

     2,779,835        2,510,874  

L&T Finance Holdings Ltd.

     1,348,358        4,027,321  

Power Finance Corp., Ltd.

     3,666,708        6,842,800  

Reliance Capital Ltd.

     311,332        2,793,027  

Rural Electrification Corp., Ltd.

     9,290,279        21,746,535  

Srei Infrastructure Finance Ltd.

     567,971        891,694  
     

 

 

 
Total Diversified Financial Services        43,318,765  
Diversified Telecommunication Services – 0.7%  

Bharti Infratel Ltd.

     1,219,260        7,436,516  

Himachal Futuristic Communications Ltd.*

     5,407,299        1,995,038  

Tata Communications Ltd.

     161,713        1,696,600  
     

 

 

 
Total Diversified Telecommunication Services        11,128,154  
Electric Utilities – 2.3%  

Adani Transmission Ltd.*

     1,250,238        2,924,623  

CESC Ltd.

     211,008        3,187,733  

Power Grid Corp. of India Ltd.

     6,285,230        20,302,871  

Reliance Infrastructure Ltd.

     993,954        7,076,520  

Tata Power Co., Ltd. (The)

     2,312,322        2,754,113  

Torrent Power Ltd.

     574,326        1,851,700  
     

 

 

 
Total Electric Utilities        38,097,560  
Electrical Equipment – 0.6%  

ABB India Ltd.

     43,204        925,261  

Amara Raja Batteries Ltd.

     77,502        841,227  

Bharat Heavy Electricals Ltd.

     257,982        331,561  

Finolex Cables Ltd.

     82,858        687,460  

Havells India Ltd.

     470,016        3,476,550  

Suzlon Energy Ltd.*

     14,486,243        3,459,666  
     

 

 

 
Total Electrical Equipment        9,721,725  
Electronic Equipment, Instruments & Components – 0.1%  

Redington India Ltd.

     922,262        2,204,703  
Food Products – 0.7%  

Balrampur Chini Mills Ltd.

     644,429        1,587,395  

Britannia Industries Ltd.

     35,251        2,344,445  

Kaveri Seed Co., Ltd.

     117,971        934,178  

KRBL Ltd.

     401,904        3,014,895  

Nestle India Ltd.

     28,504        3,149,098  

Tata Global Beverages Ltd.

     308,110        970,745  
     

 

 

 
Total Food Products        12,000,756  
Gas Utilities – 0.8%  

GAIL India Ltd.

     1,128,792        7,241,584  

Gujarat Gas Ltd.

     34,207        438,611  

Gujarat State Petronet Ltd.

     991,701        3,040,994  

Indraprastha Gas Ltd.

     143,621        3,236,310  
     

 

 

 
Total Gas Utilities        13,957,499  
Health Care Providers & Services – 0.2%     

Apollo Hospitals Enterprise Ltd.

     112,873        1,736,641  

Dr Lal PathLabs Ltd.(a)

     29,600        361,367  

Fortis Healthcare Ltd.*

     282,010        621,700  

Thyrocare Technologies Ltd.(a)

     13,320        139,134  
     

 

 

 
Total Health Care Providers & Services        2,858,842  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      67  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Hotels, Restaurants & Leisure – 0.0%     

Cox & Kings Ltd.

     116,162      $ 491,626  

EIH Ltd.

     59,568        123,203  
     

 

 

 
Total Hotels, Restaurants & Leisure        614,829  
Household Durables – 0.2%  

Crompton Greaves Consumer Electricals Ltd.

     495,962        1,585,757  

Whirlpool of India Ltd.

     61,353        1,204,847  
     

 

 

 
Total Household Durables        2,790,604  
Household Products – 1.0%  

Hindustan Unilever Ltd.

     871,659        15,665,041  

Jyothy Laboratories Ltd.

     53,211        329,555  
     

 

 

 
Total Household Products        15,994,596  
Independent Power & Renewable Electricity Producers – 2.3%  

JSW Energy Ltd.

     2,430,559        2,744,240  

NHPC Ltd.

     12,807,425        5,303,748  

NLC India Ltd.

     681,734        980,541  

NTPC Ltd.

     9,122,866        23,386,771  

PTC India Ltd.

     1,730,692        3,254,983  

Reliance Power Ltd.*

     4,978,299        3,132,396  
     

 

 

 
Total Independent Power & Renewable Electricity Producers        38,802,679  
Industrial Conglomerates – 0.3%  

Nava Bharat Ventures Ltd.

     265,952        505,072  

Siemens Ltd.

     265,366        4,829,767  
     

 

 

 
Total Industrial Conglomerates        5,334,839  
Insurance – 0.5%  

Bajaj Finserv Ltd.

     81,926        6,464,842  

ICICI Prudential Life Insurance Co., Ltd.(a)

     109,223        650,121  

Max Financial Services Ltd.

     146,236        1,322,885  
     

 

 

 
Total Insurance        8,437,848  
IT Services – 15.6%  

HCL Technologies Ltd.

     2,401,462        32,161,650  

Hexaware Technologies Ltd.

     434,895        1,796,638  

Infosys Ltd.

     8,548,099        117,765,375  

Mindtree Ltd.

     598,616        4,260,053  

Mphasis Ltd.

     406,584        3,851,095  

Persistent Systems Ltd.

     127,273        1,305,074  

Polaris Consulting & Services Ltd.*

     9,970        34,114  

Sonata Software Ltd.

     62,397        140,804  

Tata Consultancy Services Ltd.

     1,596,485        59,537,012  

Tech Mahindra Ltd.

     2,140,241        15,001,674  

Vakrangee Ltd.

     596,125        4,508,355  

Wipro Ltd.

     4,709,403        20,205,300  
     

 

 

 
Total IT Services        260,567,144  
Life Sciences Tools & Services – 0.2%     

Divi’s Laboratories Ltd.

     258,148        3,381,968  

Syngene International Ltd.(a)

     25,148        190,785  
     

 

 

 
Total Life Sciences Tools & Services        3,572,753  
Machinery – 1.3%  

AIA Engineering Ltd.

     101,796        2,070,673  

Ashok Leyland Ltd.

     3,093,118        5,829,192  

Cummins India Ltd.

     176,373      2,495,873  

Eicher Motors Ltd.

     13,081        6,250,784  

Escorts Ltd.

     230,527        2,328,033  

Force Motors Ltd.

     9,044        521,165  

Greaves Cotton Ltd.

     220,786        461,548  

Jain Irrigation Systems Ltd.

     640,615        928,264  

SML ISUZU Ltd.

     40,273        544,783  

Thermax Ltd.

     49,814        725,056  

Timken India Ltd.

     31,829        376,276  
     

 

 

 
Total Machinery        22,531,647  
Marine – 0.1%  

Shipping Corp. of India Ltd.*

     1,010,278        1,385,807  
Media – 0.9%  

Eros International Media Ltd.*

     144,345        465,608  

Jagran Prakashan Ltd.

     353,840        969,106  

Sun TV Network Ltd.

     284,369        3,317,566  

TV Today Network Ltd.

     77,731        416,144  

Zee Entertainment Enterprises Ltd.

     1,341,888        10,684,567  
     

 

 

 
Total Media        15,852,991  
Metals & Mining – 3.4%  

Gallantt Ispat Ltd.

     45,984        142,978  

Hindalco Industries Ltd.

     1,579,483        5,817,875  

Hindustan Zinc Ltd.

     1,409,661        6,385,773  

Indian Metals & Ferro Alloys Ltd.

     49,077        470,296  

Jindal Saw Ltd.

     129,395        222,658  

JSW Steel Ltd.

     3,361,980        12,787,568  

Kalyani Steels Ltd.

     46,167        275,009  

National Aluminium Co., Ltd.

     2,651,528        3,172,335  

NMDC Ltd.

     3,148,349        5,675,415  

Sarda Energy & Minerals Ltd.

     38,102        242,337  

Skipper Ltd.

     68,964        222,666  

Srikalahasthi Pipes Ltd.

     69,943        321,072  

Tata Metaliks Ltd.

     14,985        151,226  

Vedanta Ltd.

     4,502,512        21,661,274  
     

 

 

 
Total Metals & Mining        57,548,482  
Multiline Retail – 0.0%  

Future Retail Ltd.*

     35,884        289,236  
Oil, Gas & Consumable Fuels – 18.8%  

Aegis Logistics Ltd.

     201,107        726,442  

Bharat Petroleum Corp., Ltd.

     4,116,491        29,701,503  

Chennai Petroleum Corp., Ltd.

     467,593        2,884,516  

Coal India Ltd.

     4,197,958        17,406,873  

Great Eastern Shipping Co., Ltd. (The)

     311,402        1,839,713  

Hindustan Petroleum Corp., Ltd.

     4,721,975        30,853,321  

Indian Oil Corp., Ltd.

     6,002,608        36,804,111  

Mangalore Refinery & Petrochemicals Ltd.

     1,412,733        2,744,578  

Oil & Natural Gas Corp., Ltd.

     16,386,076        42,884,257  

Oil India Ltd.

     1,085,872        5,879,036  

Petronet LNG Ltd.

     1,206,839        4,271,604  

Reliance Industries Ltd.

     11,586,719        138,519,119  
     

 

 

 
Total Oil, Gas & Consumable Fuels        314,515,073  

 

See Notes to Financial Statements.

 

68   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree India Earnings Fund (EPI) (consolidated)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Paper & Forest Products – 0.1%     

Century Plyboards India Ltd.

     148,649      $ 567,333  

JK Paper Ltd.

     171,913        286,346  

Tamil Nadu Newsprint & Papers Ltd.

     133,738        716,293  
     

 

 

 
Total Paper & Forest Products        1,569,972  
Personal Products – 1.0%  

Bajaj Corp., Ltd.

     125,194        763,105  

Colgate-Palmolive India Ltd.

     104,254        1,702,587  

Dabur India Ltd.

     852,982        3,982,846  

Emami Ltd.

     50,708        849,390  

Godrej Consumer Products Ltd.

     407,703        5,736,990  

Marico Ltd.

     618,381        2,941,854  
     

 

 

 
Total Personal Products        15,976,772  
Pharmaceuticals – 5.5%  

Ajanta Pharma Ltd.

     65,088        1,130,769  

Alkem Laboratories Ltd.

     54,082        1,524,058  

Aurobindo Pharma Ltd.

     860,428        9,110,763  

Bliss Gvs Pharma Ltd.

     115,540        281,686  

Cadila Healthcare Ltd.

     625,896        4,506,892  

Cipla Ltd.

     668,096        5,994,658  

Dr. Reddy’s Laboratories Ltd.

     121,709        4,339,097  

Glenmark Pharmaceuticals Ltd.

     436,589        3,998,947  

Granules India Ltd.

     172,738        299,753  

Ipca Laboratories Ltd.

     57,920        432,405  

JB Chemicals & Pharmaceuticals Ltd.

     179,081        765,179  

Jubilant Life Sciences Ltd.

     209,074        2,110,105  

Laurus Labs Ltd.(a)

     26,790        208,000  

Lupin Ltd.

     803,755        12,477,152  

Natco Pharma Ltd.

     165,752        1,997,169  

Piramal Enterprises Ltd.

     138,278        5,551,337  

Shilpa Medicare Ltd.

     24,530        220,552  

Strides Shasun Ltd.

     94,509        1,281,196  

Sun Pharmaceutical Industries Ltd.

     4,147,163        31,951,313  

Suven Life Sciences Ltd.

     141,209        382,639  

Torrent Pharmaceuticals Ltd.

     153,659        2,895,691  
     

 

 

 
Total Pharmaceuticals        91,459,361  
Real Estate Management & Development – 0.4%  

Anant Raj Ltd.

     231,307        194,762  

DLF Ltd.

     475,585        1,196,243  

Godrej Properties Ltd.*

     59,886        568,193  

Housing Development & Infrastructure Ltd.*

     1,251,145        1,082,206  

Mahindra Lifespace Developers Ltd.

     27,311        193,021  

Oberoi Realty Ltd.

     157,200        1,019,923  

Phoenix Mills Ltd. (The)

     16,850        129,200  

Prestige Estates Projects Ltd.

     303,647        1,270,232  

Sobha Ltd.

     159,210        947,777  

Sunteck Realty Ltd.

     53,972        258,003  
     

 

 

 
Total Real Estate Management & Development        6,859,560  
Road & Rail – 0.2%  

Container Corp. of India Ltd.

     105,906        2,183,379  

VRL Logistics Ltd.

     79,543        442,345  
     

 

 

 
Total Road & Rail        2,625,724  
Software – 0.5%     

8K Miles Software Services Ltd.

     38,008      219,541  

KPIT Technologies Ltd.

     1,041,208        1,927,956  

NIIT Technologies Ltd.

     278,124        2,310,107  

Oracle Financial Services Software Ltd.

     59,221        3,295,370  

TAKE Solutions Ltd.

     82,885        194,587  

Tata Elxsi Ltd.

     33,288        414,469  
     

 

 

 
Total Software        8,362,030  
Specialty Retail – 0.1%  

PC Jeweller Ltd.

     493,080        2,497,104  
Textiles, Apparel & Luxury Goods – 0.9%  

Arvind Ltd.

     515,912        2,924,712  

Himatsingka Seide Ltd.

     73,135        368,978  

KPR Mill Ltd.

     41,440        477,873  

Sintex Industries Ltd.

     3,583,202        1,467,401  

SRF Ltd.

     23,471        553,753  

Titan Co., Ltd.

     306,900        2,746,454  

Trident Ltd.

     625,901        936,169  

Vardhman Textiles Ltd.

     123,199        2,521,883  

Welspun India Ltd.

     2,131,581        2,230,459  
     

 

 

 
Total Textiles, Apparel & Luxury Goods        14,227,682  
Thrifts & Mortgage Finance – 9.0%  

Can Fin Homes Ltd.

     2,995        121,714  

Dewan Housing Finance Corp., Ltd.

     1,464,017        12,319,304  

Housing Development Finance Corp., Ltd.

     4,028,142        107,434,593  

Indiabulls Housing Finance Ltd.

     1,106,693        20,445,526  

LIC Housing Finance Ltd.

     975,762        9,371,468  
     

 

 

 
Total Thrifts & Mortgage Finance        149,692,605  
Tobacco – 1.5%  

ITC Ltd.

     6,197,504        24,507,276  
Trading Companies & Distributors – 0.2%  

Adani Enterprises Ltd.

     2,033,496        3,620,569  
Transportation Infrastructure – 1.0%  

Adani Ports & Special Economic Zone Ltd.

     2,634,139        15,193,078  

Gateway Distriparks Ltd.

     158,938        555,140  

Gujarat Pipavav Port Ltd.

     64,948        132,839  
     

 

 

 
Total Transportation Infrastructure        15,881,057  
Water Utilities – 0.0%  

VA Tech Wabag Ltd.

     35,582        321,284  
Wireless Telecommunication Services – 0.8%  

Bharti Airtel Ltd.

     2,263,918        13,497,901  
TOTAL INVESTMENTS IN SECURITIES – 100.5%
(Cost: $1,307,459,707)
       1,676,757,479  

Other Assets less Liabilities – (0.5)%

 

     (8,172,645
     

 

 

 
NET ASSETS – 100.0%      $ 1,668,584,834  

 

* 

Non-income producing security.

 

Security is being fair valued using significant unobservable inputs by a pricing committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $142,978, which represents 0.01% 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.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      69  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Middle East Dividend Fund (GULF)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.0%  
Bahrain – 0.3%  

Al-Salam Bank-Bahrain BSC

     227,163      $ 55,791  
Egypt – 4.8%  

Arabian Cement Co.*

     78,879        35,618  

Commercial International Bank Egypt SAE

     31,931        147,661  

Egyptian International Pharmaceuticals EIPICO

     7,342        51,719  

ElSewedy Electric Co.

     29,108        173,081  

Heliopolis Housing

     24,157        38,268  

Oriental Weavers

     47,682        51,167  

Talaat Moustafa Group

     99,560        51,500  

Telecom Egypt Co.

     288,331        211,552  
     

 

 

 
Total Egypt        760,566  
Jordan – 2.6%  

Arab Bank PLC

     53,118        416,524  
Kuwait – 28.2%  

Agility Public Warehousing Co. KSC

     169,239        497,152  

Boubyan Bank KSCP

     54,983        80,121  

Burgan Bank SAK

     239,263        279,715  

Gulf National Holding Co.*,

     57,663        0  

Kuwait Finance House KSCP

     376,971        750,321  

Kuwait Projects Co. Holding KSCP

     142,044        167,941  

Mabanee Co. SAK

     21,941        57,405  

Mobile Telecommunications Co. KSC

     764,613        1,296,512  

National Bank of Kuwait SAKP

     537,877        1,355,603  
     

 

 

 
Total Kuwait        4,484,770  
Morocco – 14.3%  

Attijariwafa Bank

     11,807        581,749  

Banque Centrale Populaire

     9,281        295,222  

Douja Promotion Groupe Addoha S.A.

     37,807        173,261  

Maroc Telecom

     84,893        1,233,254  
     

 

 

 
Total Morocco        2,283,486  
Oman – 5.0%  

Bank Muscat SAOG

     288,435        295,178  

Bank Sohar SAOG

     97,074        40,342  

Oman Telecommunications Co. SAOG

     97,668        323,446  

Ooredoo

     75,203        92,978  

Phoenix Power Co. SAOC

     120,330        38,756  
     

 

 

 
Total Oman        790,700  
Qatar – 19.2%  

Barwa Real Estate Co.

     22,639        199,356  

Doha Bank QPSC

     19,483        155,190  

Ezdan Holding Group QSC

     70,302        202,752  

Gulf International Services QSC

     4,731        25,976  

Gulf Warehousing Co.

     1,455        17,069  

Industries Qatar QSC

     25,226        635,301  

Masraf Al Rayan QSC

     33,236        338,864  

Medicare Group

     1,487        28,835  

National Leasing

     1,406        4,827  

Ooredoo QSC

     8,787        199,839  

Qatar Electricity & Water Co. QSC

     3,502        168,138  

Qatar Gas Transport Co., Ltd.

     26,006      112,789  

Qatar Insurance Co. SAQ

     5,460        78,494  

Qatar Islamic Bank SAQ

     8,733        218,544  

Qatar National Bank QPSC

     15,659        524,727  

Qatari Investors Group QSC

     2,705        27,416  

Salam International Investment Ltd. QSC

     8,866        19,238  

United Development Co. QSC

     23,699        96,794  

Widam Food Co.

     647        11,196  
     

 

 

 
Total Qatar        3,065,345  
United Arab Emirates – 25.6%  

Abu Dhabi Commercial Bank PJSC

     221,346        427,908  

Agthia Group PJSC

     7,534        10,913  

Air Arabia PJSC

     196,182        60,895  

Al Waha Capital PJSC

     112,647        52,756  

Aldar Properties PJSC

     168,248        106,740  

Aramex PJSC

     33,006        44,755  

DP World Ltd.

     7,320        164,407  

Dubai Financial Market PJSC*

     173,320        52,383  

Dubai Investments PJSC

     139,833        88,332  

Dubai Islamic Bank PJSC

     186,967        307,993  

Emaar Properties PJSC

     89,923        207,873  

Emirates NBD PJSC

     141,553        322,986  

Emirates Telecommunications Group Co. PJSC

     191,479        901,961  

First Abu Dhabi Bank PJSC

     421,927        1,171,812  

National Central Cooling Co. PJSC

     15,463        8,673  

RAK Properties PJSC

     97,416        18,302  

Ras Al Khaimah Ceramics

     48,359        31,602  

Union National Bank PJSC

     77,777        90,216  
     

 

 

 
Total United Arab Emirates        4,070,507  
TOTAL INVESTMENTS IN SECURITIES – 100.0%
(Cost: $16,168,956)
       15,927,689  

Other Assets less Liabilities – (0.0)%

 

     (547
     

 

 

 
NET ASSETS – 100.0%      $ 15,927,142  

 

* 

Non-income producing security.

 

 

Security is being fair valued using significant unobservable inputs by a pricing committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $0, which represents 0.0% of net assets.

 

See Notes to Financial Statements.

 

70   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Statements of Assets and Liabilities (unaudited)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

September 30, 2017

 

  

 

 

      WisdomTree
Asia Pacific ex-
Japan Fund
     WisdomTree
China  ex-
State-Owned
Enterprises
Fund
     WisdomTree
Emerging
Markets
Consumer
Growth Fund
     WisdomTree
Emerging
Markets ex-
State-Owned
Enterprises
Fund
     WisdomTree
Emerging
Markets High
Dividend Fund
 

ASSETS:

              

Investments, at cost

   $ 39,275,134      $ 41,064,062      $ 33,192,618      $ 24,948,619      $ 1,917,611,692  

Investment in affiliates, at cost (Note 3)

     57,233                             1,433,633  

Foreign currency, at cost

     55,172        37,183        24,364        21,915        562,102  

Investments in securities, at value1,2 (Note 2)

     43,188,829        46,432,071        36,791,957        26,564,974        1,946,977,799  

Investment in affiliates, at value (Note 3)

     62,367                             1,468,796  

Cash

     10,630        1,691        6,399        3,913        126,455  

Foreign currency, at value

     55,132        36,979        24,369        21,771        563,539  

Unrealized appreciation on foreign currency contracts

     19                              

Receivables:

              

Investment securities sold

                                 237,260  

Dividends

     88,435        44,537        51,916        18,215        4,915,152  

Securities lending income

     457        2,931        1,572        223        141,295  

Foreign tax reclaims

                   157        6        1,380  

Total Assets

     43,405,869        46,518,209        36,876,370        26,609,102        1,954,431,676  

LIABILITIES:

              

Unrealized depreciation on foreign currency contracts

     15               13               744  

Payables:

              

Cash collateral for securities loaned (Note 2)

     35,475        1,645,577        527,120        132,311        24,404,793  

Advisory fees (Note 3)

     17,353        9,619        9,611        7,021        1,013,776  

Service fees (Note 2)

     161        132        133        98        7,088  

Foreign capital gains tax

     15,181               14,976        16         

Total Liabilities

     68,185        1,655,328        551,853        139,446        25,426,401  

NET ASSETS

   $ 43,337,684      $ 44,862,881      $ 36,324,517      $ 26,469,656      $ 1,929,005,275  

NET ASSETS:

              

Paid-in capital

   $ 62,703,588      $ 42,822,239      $ 35,882,524      $ 25,256,774      $ 3,193,766,022  

Undistributed net investment income

     37,323        39,247        30,746        18,579        2,463,609  

Accumulated net realized loss on investments, foreign currency contracts and foreign currency related transactions

     (23,306,217      (3,366,438      (3,172,985      (421,886      (1,296,624,582

Net unrealized appreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     3,902,990        5,367,833        3,584,232        1,616,189        29,400,226  

NET ASSETS

   $ 43,337,684      $ 44,862,881      $ 36,324,517      $ 26,469,656      $ 1,929,005,275  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     650,000        575,000        1,450,000        900,000        45,100,000  

Net asset value per share

   $ 66.67      $ 78.02      $ 25.05      $ 29.41      $ 42.77  

1 Includes market value of securities out on loan of:

   $ 125,879      $ 2,584,651      $ 1,493,814      $ 256,217      $ 80,122,295  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

2 Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

 

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      71  


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

September 30, 2017

 

  

 

 

      WisdomTree
Emerging
Markets Quality
Dividend
Growth Fund
     WisdomTree
Emerging
Markets
SmallCap
Dividend Fund
     WisdomTree
Global ex-U.S.
Quality
Dividend
Growth Fund
     WisdomTree
Global ex-U.S.
Real Estate
Fund
     WisdomTree
Global High
Dividend Fund
 

ASSETS:

              

Investments, at cost

   $ 55,624,372      $ 1,241,173,268      $ 46,608,798      $ 79,931,696      $ 89,237,350  

Investment in affiliates, at cost (Note 3)

                   110,606                

Foreign currency, at cost

     96,091        27,558,629        27,762        31,041        24,633  

Investments in securities, at value1,2 (Note 2)

     64,146,082        1,451,253,513        56,695,863        89,637,039        99,027,767  

Investment in affiliates, at value (Note 3)

                   115,151                

Cash

                   22,349        10,659        2,440  

Foreign currency, at value

     96,341        27,558,294        27,832        31,385        24,663  

Unrealized appreciation on foreign currency contracts

            280               43        1  

Receivables:

              

Investment securities sold

            1,935,732                       

Capital shares sold

            112,196,755                       

Dividends

     115,749        3,421,385        117,113        389,049        225,270  

Securities lending income

     1,733        284,297        1,170        2,236        1,239  

Foreign tax reclaims

     656        3,309        54,816        39,694        38,980  

Total Assets

     64,360,561        1,596,653,565        57,034,294        90,110,105        99,320,360  

LIABILITIES:

              

Due to custodian

     17,550        28,023,110                       

Unrealized depreciation on foreign currency contracts

            12,994        3        19        12  

Payables:

              

Cash collateral for securities loaned (Note 2)

     680,357        56,678,425        674,860        1,999,632        669,504  

Investment securities purchased

            111,172,245                       

Advisory fees (Note 3)

     16,177        674,955        27,082        41,291        46,711  

Service fees (Note 2)

     222        4,724        206        313        355  

Foreign capital gains tax

     4,552        7,123        5,088                

Total Liabilities

     718,858        196,573,576        707,239        2,041,255        716,582  

NET ASSETS

   $ 63,641,703      $ 1,400,079,989      $ 56,327,055      $ 88,068,850      $ 98,603,778  

NET ASSETS:

              

Paid-in capital

   $ 63,464,696      $ 1,631,259,870      $ 72,537,884      $ 126,120,559      $ 115,164,734  

Undistributed (Distributions in excess of) net investment income

     32,981        1,278,688        50,769        (2,528,971      172,043  

Accumulated net realized loss on investments, foreign currency contracts and foreign currency related transactions

     (8,373,634      (442,506,900      (26,350,054      (45,225,680      (26,524,644

Net unrealized appreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     8,517,660        210,048,331        10,088,456        9,702,942        9,791,645  

NET ASSETS

   $ 63,641,703      $ 1,400,079,989      $ 56,327,055      $ 88,068,850      $ 98,603,778  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     2,500,000        28,700,000        1,000,000        2,800,000        2,100,000  

Net asset value per share

   $ 25.46      $ 48.78      $ 56.33      $ 31.45      $ 46.95  

1 Includes market value of securities out on loan of:

   $ 1,068,270      $ 139,153,015      $ 1,004,936      $ 2,384,208      $ 880,782  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

2 Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

 

 

See Notes to Financial Statements.

 

72   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Statements of Assets and Liabilities (unaudited) (concluded)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

September 30, 2017

 

  

 

 

      WisdomTree
India Earnings
Fund
(consolidated)
     WisdomTree
Middle East
Dividend Fund
 

ASSETS:

     

Investments, at cost

   $ 1,307,459,707      $ 16,168,956  

Foreign currency, at cost

     5,615,787        1,242  

Investments in securities, at value

     1,676,757,479        15,927,689  

Cash

     768,020        4,347  

Foreign currency, at value

     5,620,806        1,243  

Receivables:

     

Investment securities sold

     387,669         

Dividends

     2,508,721        5,569  

Total Assets

     1,686,042,695        15,938,848  

LIABILITIES:

     

Payables:

     

Capital shares redeemed

     4,941,603         

Advisory fees (Note 3)

     1,208,374        11,648  

Service fees (Note 2)

     6,406        58  

Foreign capital gains tax

     11,301,478         

Total Liabilities

     17,457,861        11,706  

NET ASSETS

   $ 1,668,584,834      $ 15,927,142  

NET ASSETS:

     

Paid-in capital

   $ 1,571,990,122      $ 25,723,036  

Undistributed net investment income

     1,869,619        2,168  

Accumulated net realized loss on investments and foreign currency related transactions

     (263,227,497      (9,556,795

Net unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies

     357,952,590        (241,267

NET ASSETS

   $ 1,668,584,834      $ 15,927,142  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     66,600,000        900,000  

Net asset value per share

   $ 25.05      $ 17.70  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      73  


Table of Contents

Statements of Operations (unaudited)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
Asia Pacific
ex-Japan Fund
     WisdomTree
China  ex-
State-Owned
Enterprises
Fund
     WisdomTree
Emerging
Markets
Consumer
Growth Fund
     WisdomTree
Emerging
Markets ex-
State-Owned
Enterprises
Fund
     WisdomTree
Emerging
Markets High
Dividend Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 1,193,042      $ 186,257      $ 454,477      $ 102,477      $ 65,211,948  

Dividends from affiliates (Note 3)

     13,481                             44,950  

Non-cash dividends

     3,720                              

Securities lending income (Note 2)

     1,653        8,834        7,629        287        591,372  

Total investment income

     1,211,896        195,091        462,106        102,764        65,848,270  

EXPENSES:

              

Advisory fees (Note 3)

     103,622        53,852        88,385        31,405        5,764,012  

Service fees (Note 2)

     950        376        618        238        40,257  

Total expenses

     104,572        54,228        89,003        31,643        5,804,269  

Expense waivers (Note 3)

     (718      (21,706      (24,079      (12,261      (4,841

Net expenses

     103,854        32,522        64,924        19,382        5,799,428  

Net investment income

     1,108,042        162,569        397,182        83,382        60,048,842  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions2

     65,164        169,681        (113,310      (123,810      4,055,923  

Investment transactions in affiliates (Note 3)

     9,981                             (5,037

In-kind redemptions

                                 813,142  

Foreign currency contracts

     1,021        13,555        (777      (87      (30,931

Foreign currency related transactions

     6,593        (19      5,394        383        304,192  

Net realized gain (loss)

     82,759        183,217        (108,693      (123,514      5,137,289  

Net increase (decrease) in unrealized appreciation/depreciation:

              

Investment transactions3

     1,605,223        4,724,781        3,053,449        1,403,789        83,834,158  

Foreign currency contracts

     2               (173      (53      (27,103

Translation of assets and liabilities denominated in foreign currencies

     (8,300      (174      (6,250      (426      (144,892

Net increase in unrealized appreciation/depreciation

     1,596,925        4,724,607        3,047,026        1,403,310        83,662,163  

Net realized and unrealized gain on investments

     1,679,684        4,907,824        2,938,333        1,279,796        88,799,452  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 2,787,726      $ 5,070,393      $ 3,335,515      $ 1,363,178      $ 148,848,294  

1 Net of foreign withholding tax of:

   $ 118,273      $ 9,460      $ 39,381      $ 15,022      $ 9,792,896  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

2 Net of foreign capital gains tax withheld of:

                        $ 954         
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

3 Includes net increase (decrease) in accrued foreign capital gain taxes of:

   $ (1,306           $ 14,466      $ (642       
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

74   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Statements of Operations (unaudited) (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
Emerging
Markets Quality
Dividend
Growth Fund
     WisdomTree
Emerging
Markets
SmallCap
Dividend Fund
     WisdomTree
Global ex-U.S.
Quality
Dividend
Growth  Fund
     WisdomTree
Global ex-U.S.
Real Estate
Fund
     WisdomTree
Global High
Dividend Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 1,174,862      $ 33,888,655      $ 943,678      $ 2,122,125      $ 2,098,435  

Dividends from affiliates (Note 3)

            257,387        4,108               9,593  

Non-cash dividends

            3,548               8,899        56,373  

Securities lending income (Note 2)

     7,518        1,246,758        4,697        21,490        19,144  

Total investment income

     1,182,380        35,396,348        952,483        2,152,514        2,183,545  

EXPENSES:

              

Advisory fees (Note 3)

     173,298        3,824,046        156,562        240,076        271,763  

Service fees (Note 2)

     1,210        26,708        1,188        1,822        2,062  

Total expenses

     174,508        3,850,754        157,750        241,898        273,825  

Expense waivers (Note 3)

     (46,262      (8,347      (217             (325

Net expenses

     128,246        3,842,407        157,533        241,898        273,500  

Net investment income

     1,054,134        31,553,941        794,950        1,910,616        1,910,045  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions2

     (203,980      (3,046,351      38,941        1,243,582        184,397  

Investment transactions in affiliates (Note 3)

            (284,956      (896             (11,350

In-kind redemptions

                          1,119,191         

Foreign currency contracts

     (6,037      (19,905      (1,849      (3,493      2,628  

Foreign currency related transactions

     2,575        146,952        5,998        10,226        3,752  

Net realized gain (loss)

     (207,442      (3,204,260      42,194        2,369,506        179,427  

Net increase (decrease) in unrealized appreciation/depreciation:

              

Investment transactions3

     5,641,460        112,089,301        6,269,009        7,984,551        4,267,289  

Foreign currency contracts

     (2,353      23,569        (8,355      27        (565

Translation of assets and liabilities denominated in foreign currencies

     1,843        (187,026      12,839        3,025        4,460  

Net increase in unrealized appreciation/depreciation

     5,640,950        111,925,844        6,273,493        7,987,603        4,271,184  

Net realized and unrealized gain on investments

     5,433,508        108,721,584        6,315,687        10,357,109        4,450,611  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 6,487,642      $ 140,275,525      $ 7,110,637      $ 12,267,725      $ 6,360,656  

1 Net of foreign withholding tax of:

   $ 145,197      $ 4,635,359      $ 90,329      $ 168,665      $ 117,648  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

2 Net of foreign capital gains tax withheld of:

   $ 678             $ 26                
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

3 Includes net increase (decrease) in accrued foreign capital gain taxes of:

   $ (14,559    $ (102,590    $ (14,705              
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

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Table of Contents

Statements of Operations (unaudited) (concluded)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
India Earnings
Fund
(consolidated)
     WisdomTree
Middle East
Dividend Fund
 

INVESTMENT INCOME:

     

Dividends1

   $ 14,398,176      $ 259,788  

Non-cash dividends

     945,752         

Total investment income

     15,343,928        259,788  

EXPENSES:

     

Advisory fees (Note 3)

     7,044,156        74,595  

Service fees (Note 2)

     37,343        373  

Interest expense (Note 8)

     113,297         

Total expenses

     7,194,796        74,968  

Net investment income

     8,149,132        184,820  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

     

Net realized gain (loss) from:

     

Investment transactions

     57,142,752        (212,081

Foreign currency contracts

     (298,182      (5,647

Foreign currency related transactions

     760        352  

Net realized gain (loss)

     56,845,330        (217,376

Net increase (decrease) in unrealized appreciation/depreciation:

     

Investment transactions2

     8,463,438        346,535  

Translation of assets and liabilities denominated in foreign currencies

     (50,891      20  

Net increase in unrealized appreciation/depreciation

     8,412,547        346,555  

Net realized and unrealized gain on investments

     65,257,877        129,179  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 73,407,009      $ 313,999  

1 Net of foreign withholding tax of:

          $ 18,621  
  

 

 

    

 

 

 

2 Includes net increase (decrease) in accrued foreign capital gain taxes of:

   $ 11,301,478         
  

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

76   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Statements of Changes in Net Assets

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

 

  

 

 

     WisdomTree
Asia Pacific ex-Japan Fund
    WisdomTree
China ex-State-Owned Enterprises Fund
    WisdomTree
Emerging Markets Consumer
Growth Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
     For the
Year Ended
March 31, 2017
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

          

Net investment income

  $ 1,108,042     $ 1,482,790     $ 162,569     $ 106,906     $ 397,182      $ 372,752  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

    82,759       370,324       183,217       (117,621     (108,693      (394,093

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    1,596,925       4,932,847       4,724,607       1,678,314       3,047,026        1,579,185  

Net increase in net assets resulting from operations

    2,787,726       6,785,961       5,070,393       1,667,599       3,335,515        1,557,844  

DIVIDENDS:

            

Net investment income

    (1,105,000     (1,518,023     (141,000     (111,000     (415,500      (426,435

CAPITAL SHARE TRANSACTIONS:

 

          

Net proceeds from sale of shares

          5,631,266       31,357,409             8,622,873        11,293,101  

Cost of shares redeemed

          (14,909,131           (2,331,022             

Net increase (decrease) in net assets resulting from capital share transactions

          (9,277,865     31,357,409       (2,331,022     8,622,873        11,293,101  

Net Increase (Decrease) in Net Assets

    1,682,726       (4,009,927     36,286,802       (774,423     11,542,888        12,424,510  

NET ASSETS:

            

Beginning of period

  $ 41,654,958     $ 45,664,885     $ 8,576,079     $ 9,350,502     $ 24,781,629      $ 12,357,119  

End of period

  $ 43,337,684     $ 41,654,958     $ 44,862,881     $ 8,576,079     $ 36,324,517      $ 24,781,629  

Undistributed net investment income included in net assets at end of period

  $ 37,323     $ 34,281     $ 39,247     $ 17,678     $ 30,746      $ 49,064  

SHARES CREATED AND REDEEMED:

 

          

Shares outstanding, beginning of period

    650,000       800,000       150,000       200,000       1,100,000        600,000  

Shares created

          100,000       425,000             350,000        500,000  

Shares redeemed

          (250,000           (50,000             

Shares outstanding, end of period

    650,000       650,000       575,000       150,000       1,450,000        1,100,000  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      77  


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

 

  

 

 

     WisdomTree Emerging Markets ex-
State-Owned Enterprises Fund
    WisdomTree Emerging Markets High
Dividend Fund
    WisdomTree Emerging Markets
Quality Dividend Growth Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM
OPERATIONS:

 

       

Net investment income

  $ 83,382     $ 29,760     $ 60,048,842     $ 56,823,240     $ 1,054,134     $ 1,072,348  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

    (123,514     (6,783     5,137,289       (80,310,598     (207,442     (54,337

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    1,403,310       331,990       83,662,163       298,018,235       5,640,950       3,635,335  

Net increase in net assets resulting from operations

    1,363,178       354,967       148,848,294       274,530,877       6,487,642       4,653,346  

DIVIDENDS:

           

Net investment income

    (67,000     (30,710     (61,593,000     (55,276,488     (1,086,500     (1,116,560

CAPITAL SHARE TRANSACTIONS:

 

         

Net proceeds from sale of shares

    22,701,462             128,870,664       228,705,147       9,874,369       15,345,472  

Cost of shares redeemed

                (8,501,523     (47,799,999           (2,183,538

Net increase in net assets resulting from capital share transactions

    22,701,462             120,369,141       180,905,148       9,874,369       13,161,934  

Net Increase in Net Assets

    23,997,640       324,257       207,624,435       400,159,537       15,275,511       16,698,720  

NET ASSETS:

           

Beginning of period

  $ 2,472,016     $ 2,147,759     $ 1,721,380,840     $ 1,321,221,303     $ 48,366,192     $ 31,667,472  

End of period

  $ 26,469,656     $ 2,472,016     $ 1,929,005,275     $ 1,721,380,840     $ 63,641,703     $ 48,366,192  

Undistributed net investment income included in net assets at end of period

  $ 18,579     $ 2,197     $ 2,463,609     $ 4,007,767     $ 32,981     $ 65,347  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    100,000       100,000       42,300,000       37,700,000       2,100,000       1,500,000  

Shares created

    800,000             3,000,000       5,900,000       400,000       700,000  

Shares redeemed

                (200,000     (1,300,000           (100,000

Shares outstanding, end of period

    900,000       100,000       45,100,000       42,300,000       2,500,000       2,100,000  

 

See Notes to Financial Statements.

 

78   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

 

  

 

 

     WisdomTree Emerging Markets
SmallCap Dividend Fund
    WisdomTree Global ex-U.S. Quality
Dividend Growth Fund
    WisdomTree Global ex-U.S. Real
Estate Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM
OPERATIONS:

 

       

Net investment income

  $ 31,553,941     $ 32,543,978     $ 794,950     $ 1,530,142     $ 1,910,616     $ 3,314,989  

Net realized gain (loss) on investments, payments by sub-advisor, foreign currency contracts and foreign currency related transactions

    (3,204,260     16,414,152       42,194       1,755,498       2,369,506       2,335,804  

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    111,925,844       141,918,530       6,273,493       1,979,340       7,987,603       1,798,088  

Net increase in net assets resulting from operations

    140,275,525       190,876,660       7,110,637       5,264,980       12,267,725       7,448,881  

DIVIDENDS:

           

Net investment income

    (32,492,000     (32,344,872     (815,000     (1,603,328     (3,299,000     (4,632,789

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    185,694,622       69,226,432             4,878,564       3,237,587       1,418,481  

Cost of shares redeemed

          (15,624,360           (24,534,532     (7,197,860     (15,218,231

Net increase (decrease) in net assets resulting from capital share transactions

    185,694,622       53,602,072             (19,655,968     (3,960,273     (13,799,750

Net Increase (Decrease) in Net Assets

    293,478,147       212,133,860       6,295,637       (15,994,316     5,008,452       (10,983,658

NET ASSETS:

           

Beginning of period

  $ 1,106,601,842     $ 894,467,982     $ 50,031,418     $ 66,025,734     $ 83,060,398     $ 94,044,056  

End of period

  $ 1,400,079,989     $ 1,106,601,842     $ 56,327,055     $ 50,031,418     $ 88,068,850     $ 83,060,398  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 1,278,688     $ 2,216,747     $ 50,769     $ 70,819     $ (2,528,971   $ (1,140,587

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    24,800,000       23,600,000       1,000,000       1,400,000       2,950,000       3,450,000  

Shares created

    3,900,000       1,600,000             100,000       100,000       50,000  

Shares redeemed

          (400,000           (500,000     (250,000     (550,000

Shares outstanding, end of period

    28,700,000       24,800,000       1,000,000       1,000,000       2,800,000       2,950,000  

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      79  


Table of Contents

Statements of Changes in Net Assets (concluded)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

 

  

 

 

     WisdomTree Global High Dividend
Fund
    WisdomTree India Earnings  Fund
(consolidated)
    WisdomTree Middle East Dividend
Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM
OPERATIONS:

 

       

Net investment income

  $ 1,910,045     $ 2,664,163     $ 8,149,132     $ 15,154,226     $ 184,820     $ 666,486  

Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions

    179,427       707,810       56,845,330       104,475,046       (217,376     (227,860

Net increase in unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    4,271,184       6,640,672       8,412,547       212,117,443       346,555       770,528  

Net increase in net assets resulting from operations

    6,360,656       10,012,645       73,407,009       331,746,715       313,999       1,209,154  

DIVIDENDS:

           

Net investment income

    (1,798,000     (2,813,589     (9,051,000     (18,513,240     (248,500     (903,368

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    4,531,378       8,799,360       76,197,850       169,849,103              

Cost of shares redeemed

                (36,574,700     (394,092,686     (1,739,752     (3,435,006

Net increase (decrease) in net assets resulting from capital share transactions

    4,531,378       8,799,360       39,623,150       (224,243,583     (1,739,752     (3,435,006

Net Increase (Decrease) in Net Assets

    9,094,034       15,998,416       103,979,159       88,989,892       (1,674,253     (3,129,220

NET ASSETS:

           

Beginning of period

  $ 89,509,744     $ 73,511,328     $ 1,564,605,675     $ 1,475,615,783     $ 17,601,395     $ 20,730,615  

End of period

  $ 98,603,778     $ 89,509,744     $ 1,668,584,834     $ 1,564,605,675     $ 15,927,142     $ 17,601,395  

Undistributed net investment income included in net assets at end of period

  $ 172,043     $ 59,998     $ 1,869,619     $ 2,771,487     $ 2,168     $ 65,848  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    2,000,000       1,800,000       65,000,000       76,000,000       1,000,000       1,200,000  

Shares created

    100,000       200,000       3,000,000       8,400,000              

Shares redeemed

                (1,400,000     (19,400,000     (100,000     (200,000

Shares outstanding, end of period

    2,100,000       2,000,000       66,600,000       65,000,000       900,000       1,000,000  

 

See Notes to Financial Statements.

 

80   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Financial Highlights

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Asia Pacific
ex-Japan Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 64.08     $ 57.08      $ 67.20     $ 65.72     $ 68.70     $ 64.05  

Investment operations:

             

Net investment income1

     1.70       1.90        2.14       2.29       2.25       2.27  

Net realized and unrealized gain (loss)

     2.59       7.03        (10.20     1.46       (3.01     4.65  

Total from investment operations

     4.29       8.93        (8.06     3.75       (0.76     6.92  

Dividends to shareholders:

             

Net investment income

     (1.70     (1.93      (2.06     (2.27     (2.22     (2.27

Net asset value, end of period

   $ 66.67     $ 64.08      $ 57.08     $ 67.20     $ 65.72     $ 68.70  

TOTAL RETURN2

     6.72     15.96      (12.06 )%3      5.71     (0.98 )%      11.18

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 43,338     $ 41,655      $ 45,665     $ 47,037     $ 52,579     $ 96,187  

Ratios to average net assets4 of:

             

Expenses

     0.48 %5,6      0.48      0.48 %6      0.49 %6,7      0.48 %5,6      0.48 %5,6 

Net investment income

     5.13 %5      3.19      3.59     3.36     3.35 %5      3.53 %5 

Portfolio turnover rate8

     3     27      24     17     21     26

 

             
WisdomTree China ex-State-
Owned Enterprises Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 20169
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the Period
September 19, 2012*
through
March 28, 2013
 

Net asset value, beginning of period

   $ 57.17     $ 46.75     $ 55.28     $ 49.70     $ 51.90     $ 50.02  

Investment operations:

            

Net investment income1

     0.66       0.64       1.25       1.33       1.39       (0.14

Net realized and unrealized gain (loss)

     20.78       10.45       (8.59     5.48       (2.15     2.02  

Total from investment operations

     21.44       11.09       (7.34     6.81       (0.76     1.88  

Dividends to shareholders:

            

Net investment income

     (0.59     (0.67     (1.19     (1.23     (1.44      

Net asset value, end of period

   $ 78.02     $ 57.17     $ 46.75     $ 55.28     $ 49.70     $ 51.90  

TOTAL RETURN2

     37.65     23.94     (13.40 )%      13.86     (1.32 )%      3.76

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 44,863     $ 8,576     $ 9,351     $ 16,585     $ 17,396     $ 36,331  

Ratios to average net assets of:

            

Expenses, net of expense waivers

     0.38 %5,10      0.53 %11      0.57 %11      0.64 %12      0.63 %5      0.63 %5 

Expenses, prior to expense waivers

     0.63 %5      0.63     0.63     0.64 %12      0.63 %5      0.63 %5 

Net investment income (loss)

     1.90 %5      1.29     2.42     2.53     2.75 %5      (0.51 )%5 

Portfolio turnover rate8

     42     37     143     30     21     0
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Includes a voluntary reimbursement from the sub-advisor for investment losses on certain foreign exchange transactions during the period. Excluding this voluntary reimbursement, total return would have been unchanged.

 

4 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

5 

Annualized.

 

6 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

7 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.48%.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

9 

The information reflects the investment objective and strategy of the WisdomTree China Dividend ex-Financials Fund through June 30, 2015 and the investment objective and strategy of the WisdomTree China ex-State-Owned Enterprises Fund thereafter.

 

10

Effective June 30, 2017, the investment advisor contractually agreed to limit the advisory fee to 0.32% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust.

 

11

Effective July 1, 2015, the investment advisor contractually agreed to limit the advisory fee to 0.53% through July 31, 2017, unless earlier terminated by the Board of Trustees of the Trust.

 

12 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.63%.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      81  


Table of Contents

Financial Highlights (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Emerging Markets
Consumer Growth Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the
Year Ended
March 31, 2015
     For the Period
September 27, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 22.53      $ 20.60      $ 24.89      $ 24.56      $ 24.79  

Investment operations:

              

Net investment income1

     0.34        0.45        0.52        0.48        0.17  

Net realized and unrealized gain (loss)

     2.51        2.01        (4.28      0.32        (0.33

Total from investment operations

     2.85        2.46        (3.76      0.80        (0.16

Dividends to shareholders:

              

Net investment income

     (0.33      (0.53      (0.53      (0.47      (0.07

Net asset value, end of period

   $ 25.05      $ 22.53      $ 20.60      $ 24.89      $ 24.56  

TOTAL RETURN2

     12.72      12.17      (15.21 )%       3.24      (0.63 )% 

RATIOS/SUPPLEMENTAL DATA:

              

Net assets, end of period (000’s omitted)

   $ 36,325      $ 24,782      $ 12,357      $ 19,912      $ 19,647  

Ratios to average net assets of:

              

Expenses, net of expense waivers

     0.46 %3,4       0.63      0.63      0.64 %5       0.63 %3 

Expenses, prior to expense waivers

     0.63 %3       0.63      0.63      0.64 %5       0.63 %3 

Net investment income

     2.83 %3       2.12      2.39      1.88      1.46 %3 

Portfolio turnover rate6

     2      72      49      41      7

 

         
WisdomTree Emerging Markets ex-State-Owned
Enterprises Fund
     For the
Six Months Ended
September 30,
2017 (unaudited)
     For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the Period
December 10, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

            $ 24.72      $ 21.48      $ 25.17      $ 24.59  

Investment operations:

              

Net investment income1

        0.22        0.30        0.35        0.07  

Net realized and unrealized gain (loss)

              4.56        3.25        (3.24      0.56  

Total from investment operations

              4.78        3.55        (2.89      0.63  

Dividends to shareholders:

              

Net investment income

              (0.09      (0.31      (0.80      (0.05

Net asset value, end of period

            $ 29.41      $ 24.72      $ 21.48      $ 25.17  

TOTAL RETURN2

              19.34      16.68      (11.69 )%       2.57

RATIOS/SUPPLEMENTAL DATA:

              

Net assets, end of period (000’s omitted)

      $ 26,470      $ 2,472      $ 2,148      $ 10,069  

Ratios to average net assets of:

              

Expenses, net of expense waivers

        0.36 %3,4       0.58      0.58      0.58 %3 

Expenses, prior to expense waivers

        0.58 %3       0.58      0.58      0.58 %3 

Net investment income

              1.54 %3       1.33      1.48      0.88 %3 

Portfolio turnover rate6

              31      15      46      2
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

Effective June 30, 2017, the investment advisor contractually agreed to limit the advisory fee to 0.32% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust.

 

5 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.63%.

 

6 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

See Notes to Financial Statements.

 

82   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Emerging Markets
High Dividend Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
 

Net asset value, beginning of period

  $ 40.69     $ 35.05     $ 42.68     $ 49.23     $ 54.81     $ 57.34  

Investment operations:

           

Net investment income1

    1.38       1.42       1.76       2.16       2.16       1.78  

Net realized and unrealized gain (loss)

    2.08       5.58       (7.74     (6.57     (5.60     (2.50

Total from investment operations

    3.46       7.00       (5.98     (4.41     (3.44     (0.72

Dividends to shareholders:

           

Net investment income

    (1.38     (1.36     (1.65     (2.14     (2.14     (1.81

Net asset value, end of period

  $ 42.77     $ 40.69     $ 35.05     $ 42.68     $ 49.23     $ 54.81  

TOTAL RETURN2

    8.58     20.44     (14.07 )%      (9.40 )%      (6.22 )%      (1.05 )% 

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 1,929,005     $ 1,721,381     $ 1,321,221     $ 2,159,557     $ 3,888,854     $ 5,475,068  

Ratios to average net assets3 of:

           

Expenses4

    0.63 %5      0.63     0.63     0.64 %6      0.63 %5      0.63 %5 

Net investment income

    6.56 %5      3.81     4.64     4.45     4.20 %5      3.32 %5 

Portfolio turnover rate7

    5     41     43     39     39     47

 

           
WisdomTree Emerging Markets Quality
Dividend Growth Fund
    For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
August 1, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

          $ 23.03     $ 21.11     $ 24.08     $ 24.92     $ 25.22  

Investment operations:

           

Net investment income1

      0.47       0.63       0.55       0.61       0.33  

Net realized and unrealized gain (loss)

            2.42       1.96       (2.94     (0.87     (0.42

Total from investment operations

            2.89       2.59       (2.39     (0.26     (0.09

Dividends to shareholders:

           

Net investment income

            (0.46     (0.67     (0.58     (0.58     (0.21

Net asset value, end of period

          $ 25.46     $ 23.03     $ 21.11     $ 24.08     $ 24.92  

TOTAL RETURN2

            12.61     12.45     (9.89 )%8      (1.19 )%      (0.33 )% 

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

    $ 63,642     $ 48,366     $ 31,667     $ 40,944     $ 19,939  

Ratios to average net assets of:

           

Expenses, net of expense waivers

      0.47 %5,9      0.63     0.63     0.64 %6      0.63 %5 

Expenses, prior to expense waivers

      0.63 %5      0.63     0.63     0.64 %6      0.63 %5 

Net investment income

            3.83 %5      2.88     2.59     2.42     2.03 %5 

Portfolio turnover rate7

            3     49     62     47     3
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

5 

Annualized.

 

6 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.63%.

 

7 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

8 

Includes a voluntary reimbursement from the sub-advisor for investment losses on certain foreign exchange transactions during the period. Excluding this voluntary reimbursement, total return would have been unchanged.

 

9 

Effective June 30, 2017, the investment advisor contractually agreed to limit the advisory fee to 0.32% through July 31, 2018, unless earlier terminated by the Board of Trustees of the Trust.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      83  


Table of Contents

Financial Highlights (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Emerging
Markets SmallCap Dividend
Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 44.62     $ 37.90      $ 44.46      $ 46.40     $ 51.18     $ 47.80  

Investment operations:

              

Net investment income1

     1.22       1.35        1.24        1.32       1.40       1.15  

Net realized and unrealized gain (loss)

     4.18       6.71        (6.65      (1.97     (4.57     3.69  

Total from investment operations

     5.40       8.06        (5.41      (0.65     (3.17     4.84  

Dividends to shareholders:

              

Net investment income

     (1.24     (1.34      (1.15      (1.29     (1.61     (1.46

Net asset value, end of period

   $ 48.78     $ 44.62      $ 37.90      $ 44.46     $ 46.40     $ 51.18  

TOTAL RETURN2

     12.20     21.76      (12.20 )%       (1.51 )%      (6.08 )%      10.58

RATIOS/SUPPLEMENTAL DATA:

              

Net assets, end of period (000’s omitted)

   $ 1,400,080     $ 1,106,602      $ 894,468      $ 1,413,669     $ 1,814,327     $ 1,474,099  

Ratios to average net assets3 of:

              

Expenses4

     0.63 %5      0.63      0.63      0.64 %6      0.63 %5      0.63 %5 

Net investment income

     5.20 %5      3.36      3.13      2.84     2.96 %5      2.49 %5 

Portfolio turnover rate7

     5     47      52      42     26     44

 

             
WisdomTree Global ex-U.S.
Quality Dividend Growth
Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 50.03     $ 47.16      $ 50.80     $ 51.68     $ 51.75     $ 50.70  

Investment operations:

             

Net investment income1

     0.79       1.14        1.02       1.05       1.38       1.34  

Net realized and unrealized gain (loss)

     6.33       2.94        (3.75     (0.91     (0.19     1.08  

Total from investment operations

     7.12       4.08        (2.73     0.14       1.19       2.42  

Dividends to shareholders:

             

Net investment income

     (0.82     (1.21      (0.91     (1.02     (1.26     (1.37

Net asset value, end of period

   $ 56.33     $ 50.03      $ 47.16     $ 50.80     $ 51.68     $ 51.75  

TOTAL RETURN2

     14.27     8.80      (5.42 )%      0.24     2.53     5.03

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 56,327     $ 50,031      $ 66,026     $ 86,353     $ 62,012     $ 87,977  

Ratios to average net assets3 of:

             

Expenses

     0.58 %4,5      0.58      0.58 %4,8      0.59 %4,9      0.58 %5      0.58 %4,5 

Net investment income

     2.94 %5      2.39      2.15     2.05     2.73 %5      2.72 %5 

Portfolio turnover rate7

     2     66      61     64     93     59
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

5 

Annualized.

 

6 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.63%.

 

7 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

8 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

9

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

See Notes to Financial Statements.

 

84   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Global ex-U.S.
Real Estate Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
Ended
March 31, 2014
    For the Period
Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 28.16     $ 27.26     $ 29.65     $ 27.77     $ 29.90     $ 26.40  

Investment operations:

            

Net investment income1

     0.70       1.06       0.89       1.54       0.96       0.97  

Net realized and unrealized gain (loss)

     3.79       1.35       (2.08     1.75       (1.84     4.87  

Total from investment operations

     4.49       2.41       (1.19     3.29       (0.88     5.84  

Dividends and distributions to shareholders:

            

Net investment income

     (1.20     (1.51     (1.20     (1.41     (1.17     (2.34

Return of capital

                             (0.08      

Total dividends and distributions to shareholders

     (1.20     (1.51     (1.20     (1.41     (1.25     (2.34

Net asset value, end of period

   $ 31.45     $ 28.16     $ 27.26     $ 29.65     $ 27.77     $ 29.90  

TOTAL RETURN2

     16.18     9.33 %3      (3.89 )%      12.08     (2.70 )%      22.62

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 88,069     $ 83,060     $ 94,044     $ 121,560     $ 127,724     $ 113,631  

Ratios to average net assets4 of:

            

Expenses

     0.58 %5      0.58     0.58 %6      0.59 %7,8      0.58 %5,7      0.58 %5,7 

Net investment income

     4.62 %5      3.86     3.22     5.21     3.37 %5      3.42 %5 

Portfolio turnover rate9

     6     19     32     26     18     23

 

             
WisdomTree Global High
Dividend Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 44.75     $ 40.84      $ 44.23     $ 47.51     $ 44.03     $ 41.50  

Investment operations:

             

Net investment income1

     0.93       1.46        1.76       1.83       2.11       1.68  

Net realized and unrealized gain (loss)

     2.15       3.97        (3.43     (3.28     3.46       2.51  

Total from investment operations

     3.08       5.43        (1.67     (1.45     5.57       4.19  

Dividends to shareholders:

             

Net investment income

     (0.88     (1.52      (1.72     (1.83     (2.09     (1.66

Net asset value, end of period

   $ 46.95     $ 44.75      $ 40.84     $ 44.23     $ 47.51     $ 44.03  

TOTAL RETURN2

     6.94     13.54      (3.77 )%      (3.23 )%      13.13     10.51

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 98,604     $ 89,510      $ 73,511     $ 101,718     $ 123,527     $ 103,473  

Ratios to average net assets4 of:

             

Expenses

     0.58 %5,7      0.58      0.58 %6,7      0.59 %7,8      0.58 %5,7      0.58 %5,7 

Net investment income

     4.08 %5      3.42      4.19     3.91     4.60 %5      4.10 %5 

Portfolio turnover rate9

     3     21      56     30     25     32
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Includes a voluntary reimbursement from the sub-advisor for investment losses on certain foreign exchange transactions during the year. Excluding this voluntary reimbursement, total return would have been unchanged.

 

4 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

5 

Annualized.

 

6 

Included in the expense ratio are non-recurring professional expenses. Without these expenses, the expense ratio would have been unchanged.

 

7 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

8 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

 

9 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

See Notes to Financial Statements.

 

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Table of Contents

Financial Highlights (concluded)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree India Earnings
Fund
(consolidated)
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

   $ 24.07     $ 19.42     $ 22.64     $ 18.93     $ 17.97     $ 19.24  

Investment operations:

            

Net investment income1

     0.12       0.23       0.26       0.22       0.25       0.17  

Net realized and unrealized gain (loss)

     1.00       4.70       (3.26     3.65       0.94       (1.29

Total from investment operations

     1.12       4.93       (3.00     3.87       1.19       (1.12

Dividends to shareholders:

            

Net investment income

     (0.14     (0.28     (0.22     (0.16     (0.23     (0.15

Net asset value, end of period

   $ 25.05     $ 24.07     $ 19.42     $ 22.64     $ 18.93     $ 17.97  

TOTAL RETURN2

     4.63     25.56     (13.31 )%3      20.44     6.81     (5.80 )% 

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 1,668,585     $ 1,564,606     $ 1,475,616     $ 2,372,406     $ 939,064     $ 1,071,074  

Ratios to average net assets of:

            

Expenses, net of expense reimbursements

     0.84 %4,5      0.84 %5      0.84 %5      0.84 %5,6      0.84 %5      0.84 %7 

Expenses, prior to expense reimbursements

     0.84 %4,5      0.84 %5      0.84 %5      0.84 %5,6      0.84 %5      0.86 %7 

Net investment income

     0.96 %4      1.09     1.28     0.99     1.49     0.91

Portfolio turnover rate8

     17     30     38     26     43     27

 

             
WisdomTree Middle East
Dividend Fund
   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
     For the
Year Ended
March 31, 2016
     For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
 

Net asset value, beginning of period

   $ 17.60     $ 17.28      $ 20.25      $ 22.38     $ 16.11     $ 15.60  

Investment operations:

              

Net investment income1

     0.19       0.59        0.58        0.67       1.28       0.63  

Net realized and unrealized gain (loss)

     0.16       0.50        (2.85      (2.06     5.71       0.59  

Total from investment operations

     0.35       1.09        (2.27      (1.39     6.99       1.22  

Dividends to shareholders:

              

Net investment income

     (0.25     (0.77      (0.70      (0.74     (0.72     (0.71

Net asset value, end of period

   $ 17.70     $ 17.60      $ 17.28      $ 20.25     $ 22.38     $ 16.11  

TOTAL RETURN2

     2.05     6.60      (11.57 )%       (6.28 )%      44.12     8.46

RATIOS/SUPPLEMENTAL DATA:

              

Net assets, end of period (000’s omitted)

   $ 15,927     $ 17,601      $ 20,731      $ 34,420     $ 53,717     $ 14,498  

Ratios to average net assets of:

              

Expenses, net of expense waivers

     0.88 %4      0.88      0.88      0.89 %9      0.88 %4      0.88 %4 

Expenses, prior to expense waivers

     0.88 %4      0.88      0.88      0.89 %9      0.88 %4      1.35 %4 

Net investment income

     2.18 %4      3.44      3.13      2.93     6.61 %4      4.26 %4 

Portfolio turnover rate8

     2     29      25      89     26     52
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Includes a reimbursement from the sub-advisor for operating losses on a creation that took place during the period when the NAV was understated. Excluding the reimbursement, total return would have been unchanged.

 

4 

Annualized.

 

5 

Includes interest expense of 0.01%, 0.01%, 0.01%, 0.01% and 0.01% for the six months ended September 30, 2017 (not annualized) and fiscal years ended 2017, 2016, 2015 and 2014, respectively.

 

6 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been unchanged.

 

7 

Excludes Mauritius income tax expense (see Note 7). If Mauritius income tax expense had been included, the Fund’s expense ratios (before and after expense reimbursements) would have been higher by 0.02% for the fiscal year ended 2013.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

9 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.88%.

 

See Notes to Financial Statements.

 

86   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited)

 

1. ORGANIZATION

WisdomTree Trust (the “Trust”) is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Delaware statutory trust on December 15, 2005. As of September 30, 2017, the Trust consisted of 86 operational investment funds (each a “Fund”, collectively, the “Funds”). In accordance with Accounting Standards Update (“ASU”) 2013-08, Financial Services-Investment Companies, each Fund listed below qualifies as an investment company and is applying the accounting and reporting guidance for investment companies. These notes relate only to the Funds listed in the table below:

 

Fund    Commencement
of Operations
 

WisdomTree Asia Pacific ex-Japan Fund (“Asia Pacific ex-Japan Fund’’)

     June 16, 2006  

WisdomTree China ex-State-Owned Enterprises Fund (“China ex-State-Owned Enterprises Fund’’)

     September 19, 2012  

WisdomTree Emerging Markets Consumer Growth Fund (“Emerging Markets Consumer Growth Fund’’)

     September 27, 2013  

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (“Emerging Markets ex-State-Owned Enterprises Fund’’)

     December 10, 2014  

WisdomTree Emerging Markets High Dividend Fund (“Emerging Markets High Dividend Fund’’)

     July 13, 2007  

WisdomTree Emerging Markets Quality Dividend Growth Fund (“Emerging Markets Quality Dividend Growth Fund’’)

     August 1, 2013  

WisdomTree Emerging Markets SmallCap Dividend Fund (“Emerging Markets SmallCap Dividend Fund’’)

     October 30, 2007  

WisdomTree Global ex-U.S. Quality Dividend Growth Fund (“Global ex-U.S. Quality Dividend Growth Fund’’)

     June 16, 2006  

WisdomTree Global ex-U.S. Real Estate Fund (“Global ex-U.S. Real Estate Fund’’)

     June 5, 2007  

WisdomTree Global High Dividend Fund (“Global High Dividend Fund’’)

     June 16, 2006  

WisdomTree India Earnings Fund (“India Earnings Fund’’) (consolidated)

     February 22, 2008  

WisdomTree Middle East Dividend Fund (“Middle East Dividend Fund’’)

     July 16, 2008  

The India Earnings Fund makes its investments through the WisdomTree India Investment Portfolio, Inc. (the “Portfolio”), a wholly owned subsidiary organized in the Republic of Mauritius (“Mauritius”). The Portfolio was incorporated under the provisions of the Mauritius Companies Act, 2001 and holds a Global Business License Category 1 issued by the Financial Services Commission. The Portfolio is advised by WisdomTree Asset Management, Inc. (“WTAM”) and is sub-advised by Mellon Capital Management Corporation (“MCM”).

Each Fund seeks to track the price and yield performance, before fees and expenses, of a particular index (“Index”) developed by WisdomTree Investments, Inc. (“WisdomTree Investments”). WisdomTree Investments is the parent company of WTAM, the investment adviser to each Fund and the Trust. “WisdomTree” is a registered trademark of WisdomTree Investments and has been licensed for use by the Trust. Each Fund described herein is considered to be non-diversified. The securities in each Index are weighted based on earnings or earnings yield.

In the normal course of business, the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds’ maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and believes such exposure to be remote.

2. SIGNIFICANT ACCOUNTING POLICIES

The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (the “Codification”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission (“SEC”) under authority of federal laws are also sources of authoritative GAAP for SEC registrants.

The following is a summary of significant accounting policies followed by the Funds:

Use of Estimates — The preparation of financial statements in conformity with GAAP, requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates.

Basis of Consolidation — The financial statements for the India Earnings Fund include the accounts of a wholly-owned and controlled Mauritius subsidiary (the “Subsidiary”). The Fund’s accompanying financial statements reflect the financial position and the results of operations on a consolidated basis with its Subsidiary. All intercompany accounts and transactions have been eliminated in the consolidation.

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

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      87  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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 or large investors 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 or system on which they are principally traded. Unlisted equity securities (including preferred stock) are valued at the last quoted sale price or, if no sale price is available, at the mean between the highest bid and lowest ask price. 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. Fixed income securities (including short-term debt securities with remaining maturities of 60 days or less), if any, 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 broker-dealers yields and quoted prices on similar securities, and market sentiment for the type of security. Foreign currency contracts are valued daily using WM/Reuters closing spot and forward rates as of 4:00 p.m. London time.

In certain instances, such as when reliable market valuations are not readily available or are not deemed to reflect current market values, a Fund’s investments, which include derivatives, will be fair valued in accordance with the Fund’s pricing policy. The Board of Trustees has established a pricing committee (the “Pricing Committee”) which is comprised of senior representatives of WTAM and which 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 a national securities exchange, independent pricing service provider or broker-dealer quotation, or such prices are deemed to not reflect current market value, the Pricing Committee 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.

Fair Value Measurement — In accordance with Codification Topic 820 (“ASC 820”), Fair Value Measurements and Disclosures, fair value is defined as the price that each Fund would receive upon selling an investment in an orderly transaction to an independent buyer in the principal or most advantageous market of the investment. 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 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 on 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).

 

88   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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, 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. Over-the-counter financial derivative instruments derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These instruments are normally valued on the basis of broker- dealer quotations or prices obtained from independent pricing service providers. Depending on the product and the terms of the transaction, the value of the financial derivative instruments can be estimated by an independent pricing service provider using a series of techniques including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as issuer details, indices, credit risks/spreads, interest rates, yield curves, default and exchange rates. Derivative contracts that use 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 Pricing Committee may include significant unobservable inputs and therefore would be reflected as a Level 3 of the fair value hierarchy. The Pricing Committee 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 Pricing Committee may also use an income-based valuation approach in which anticipated future cash flows of the financial instrument are discounted to calculate fair value. The Pricing Committee meets at least on a monthly basis to review and discuss the appropriateness of such fair values using more current information such as, recent security news, recent market transactions, updated corporate action information and/or other macro or security specific events. Also, when observable inputs become available, the Pricing Committee conducts back testing of the methodologies used to value Level 3 financial instruments to substantiate the unobservable inputs used to value those investments. Such back testing includes comparing Level 3 investment values to observable inputs such as exchange-traded prices, transaction prices, and/or vendor prices.

The following is a summary of the fair valuations according to the inputs used as of September 30, 2017 in valuing each Fund’s assets:

 

Asia Pacific ex-Japan Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 43,153,354      $      $  

Exchange-Traded Fund

     62,367                

Investment of Cash Collateral for Securities Loaned

            35,475         

Total

   $ 43,215,721      $ 35,475      $  

Unrealized Appreciation on Foreign Currency Contracts

            19         

Unrealized Depreciation on Foreign Currency Contracts

            (15       

Total - Net

   $ 43,215,721      $ 35,479      $  
        
China ex-State-Owned Enterprises Fund    Level 1      Level 2      Level 3  

Common Stocks

                 

Automobiles

   $ 1,525,344      $ 224,295      $  

Food Products

     1,169,678               0 ** 

Multiline Retail

            77,267         

Real Estate Management & Development

     3,642,196               54,022 ** 

Semiconductors & Semiconductor Equipment

     366,186               0 ** 

Other*

     37,727,506                

Investment of Cash Collateral for Securities Loaned

            1,645,577         

Total

   $ 44,430,910      $ 1,947,139      $ 54,022  
        

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      89  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Emerging Markets Consumer Growth Fund    Level 1      Level 2      Level 3  

Common Stocks

                 

China

   $ 9,478,648      $ 410,514      $  

Other*

     26,360,615                

Rights

     951                

Warrants*

     148        13,961         

Investment of Cash Collateral for Securities Loaned

            527,120         

Total

   $ 35,840,362      $ 951,595      $  

Unrealized Depreciation on Foreign Currency Contracts

            (13       

Total - Net

   $ 35,840,362      $ 951,582      $  
        
Emerging Markets ex-State-Owned Enterprises Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

China

   $ 8,089,324      $ 47,102      $ 10,511 ** 

South Korea

     3,966,145        25,931         

Other*

     14,293,650                

Investment of Cash Collateral for Securities Loaned

            132,311         

Total

   $ 26,349,119      $ 205,344      $ 10,511  
        
Emerging Markets High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                 

Taiwan

   $ 503,950,650      $ 1,408,635      $  

Other*

     1,417,213,721                

Exchange-Traded Fund

     1,468,796                

Investment of Cash Collateral for Securities Loaned

            24,404,793         

Total

   $ 1,922,633,167      $ 25,813,428      $  

Unrealized Depreciation on Foreign Currency Contracts

            (744       

Total - Net

   $ 1,922,633,167      $ 25,812,684      $  
        
Emerging Markets Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 63,449,141      $      $  

Rights

     263                

Warrants

            16,321         

Investment of Cash Collateral for Securities Loaned

            680,357         

Total

   $ 63,449,404      $ 696,678      $  
        

 

90   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Emerging Markets SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                 

China

   $ 306,930,474      $      $ 1 ** 

Hong Kong

     21,584,104               301,279 ** 

Taiwan

     326,782,071        1,888,413         

Thailand

     150,978,131               393,258 ** 

Other*

     585,060,049                

Rights

            61,126         

Warrants*

            596,182         

Investment of Cash Collateral for Securities Loaned

            56,678,425         

Total

   $ 1,391,334,829      $ 59,224,146      $ 694,538  

Unrealized Appreciation on Foreign Currency Contracts

            280         

Unrealized Depreciation on Foreign Currency Contracts

            (12,994       

Total - Net

   $ 1,391,334,829      $ 59,211,432      $ 694,538  
        
Global ex-U.S. Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 56,021,003      $      $  

Exchange-Traded Funds

     115,151                

Investment of Cash Collateral for Securities Loaned

            674,860         

Total

   $ 56,136,154      $ 674,860      $  

Unrealized Depreciation on Foreign Currency Contracts

            (3       

Total - Net

   $ 56,136,154      $ 674,857      $  
        
Global ex-U.S. Real Estate Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 87,562,801      $      $  

Rights

            15,060         

Warrants*

            22,597         

Exchange-Traded Note

     36,949                

Investment of Cash Collateral for Securities Loaned

            1,999,632         

Total

   $ 87,599,750      $ 2,037,289      $  

Unrealized Appreciation on Foreign Currency Contracts

            43         

Unrealized Depreciation on Foreign Currency Contracts

            (19       

Total - Net

   $ 87,599,750      $ 2,037,313      $  
        
Global High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 98,358,263      $      $  

Investment of Cash Collateral for Securities Loaned

            669,504         

Total

   $ 98,358,263      $ 669,504      $  

Unrealized Appreciation on Foreign Currency Contracts

            1         

Unrealized Depreciation on Foreign Currency Contracts

            (12       

Total - Net

   $ 98,358,263      $ 669,493      $  
        

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      91  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

India Earnings Fund (consolidated)    Level 1      Level 2      Level 3  

Common Stocks

                 

Auto Components

   $ 28,382,579      $ 925,228      $  

Metals & Mining

     57,405,504               142,978 ** 

Other*

     1,589,901,190                

Total

   $ 1,675,689,273      $ 925,228      $ 142,978  
        
Middle East Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                 

Kuwait

   $ 4,484,770      $      $ 0 ** 

Other*

     11,442,919                

Total

   $ 15,927,689      $      $ 0  
  * Please refer to the Schedule of Investments for a breakdown of the valuation by industry type and/or country.

 

  ** Security is being fair valued using significant unobservable inputs by the Pricing Committee.

The following is a summary of transfers between fair value measurement levels that occurred during the six months ended September 30, 2017. The Funds have elected to use the beginning of period method for transfers between fair value measurement levels.

 

     

Transfers from

Level 1 to Level 21

 

China ex-State-Owned Enterprises Fund

   $ 64,910  

Emerging Markets Consumer Growth Fund

     244,268  

Emerging Markets ex-State-Owned Enterprises Fund

     6,346  

Emerging Markets High Dividend Fund

     1,100,929  

Emerging Markets SmallCap Dividend Fund

     1,481,907  
  1 

Transfers from Level 1 to Level 2 are as a result of the unavailability of a quoted price in an active market for identical investments as of September 30, 2017.

During the six months ended September 30, 2017, there were no significant transfers into or out of Level 3 of the fair value hierarchy.

Derivatives and Hedging Disclosure — Codification Topic 815 (“ASC 815”), Derivatives and Hedging, requires qualitative disclosures about objectives and strategies for using derivatives, quantitative disclosures about fair value amounts of gains and losses on derivative instruments, and disclosures about credit-risk-related contingent features in derivative agreements. The Funds have invested in derivatives, specifically foreign currency contracts during the period ended September 30, 2017 and open positions in such derivatives as of September 30, 2017 are detailed in each Fund’s Schedule of Investments. All of the derivative instruments disclosed and described herein are subject to risk. Risks may arise upon entering into foreign currency contracts from potential inability of a counterparty to meet the terms of their contracts and from unanticipated movements in the value of the foreign currencies relative to the U.S. dollar or each other. The Funds’ derivative agreements also contain credit-risk related contingent features which include, but are not limited to, a percentage decline in the Funds’ NAV over a specified time period. If an event occurred at September 30, 2017 that triggered a contingent feature, the counterparty to the agreement may require the Funds to post additional collateral or terminate the derivative positions and demand payment. Any collateral posted with respect to the derivative positions would be used to offset or reduce the payment. The maximum exposure to derivatives agreements with credit-risk related contingent features would be the total value of derivatives in net liability positions for each Fund, as disclosed on pages 96 and 97. At September 30, 2017, the Funds did not receive or post collateral with any counterparty for derivatives and no event occurred that triggered a credit-risk-related contingent feature. Information with respect to the amounts and types of collateral received and/or posted for derivative instruments as of September 30, 2017, if any, is reflected as a footnote below the respective derivatives tables on each Fund’s Schedule of Investments.

 

92   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

As of September 30, 2017, the effects of such derivative instruments on each Fund’s financial position as reflected in the Statements of Assets and Liabilities are presented in the summary below:

 

      Asset Derivatives      Liability Derivatives  
Fund    Balance Sheet Location    Value      Balance Sheet Location    Value  

Asia Pacific ex-Japan Fund

 

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts    $ 19      Unrealized depreciation on foreign currency contracts    $ 15  

Emerging Markets Consumer Growth Fund

 

Foreign exchange contracts

   Unrealized appreciation on foreign currency contracts           Unrealized depreciation on foreign currency contracts      13  

Emerging Markets High Dividend Fund

 

Foreign exchange contracts

   Unrealized appreciation on
foreign currency contracts
          Unrealized depreciation on
foreign currency contracts
     744  

Emerging Markets SmallCap Dividend Fund

 

Foreign exchange contracts

   Unrealized appreciation on
foreign currency contracts
     280      Unrealized depreciation on
foreign currency contracts
     12,994  

Global ex-U.S. Quality Dividend Growth Fund

 

Foreign exchange contracts

   Unrealized appreciation on
foreign currency contracts
          Unrealized depreciation on
foreign currency contracts
     3  

Global ex-U.S. Real Estate Fund

 

Foreign exchange contracts

   Unrealized appreciation on
foreign currency contracts
     43      Unrealized depreciation on
foreign currency contracts
     19  

Global High Dividend Fund

 

Foreign exchange contracts

   Unrealized appreciation on
foreign currency contracts
     1      Unrealized depreciation on
foreign currency contracts
     12  

For the six months ended September 30, 2017, the effects of derivative instruments on each Fund’s financial performance as reflected in the Statements of Operations are presented in the summary below:

 

Fund    Amount of Realized Gain
or (Loss) on  Derivatives
Recognized1
     Change in Unrealized
Appreciation or (Depreciation)  on
Derivatives Recognized2
 

Asia Pacific ex-Japan Fund

     

Foreign exchange contracts

   $ 1,021      $ 2  

China ex-State-Owned Enterprises Fund

     

Foreign exchange contracts

     13,555         

Emerging Markets Consumer Growth Fund

     

Foreign exchange contracts

     (777      (173

Emerging Markets ex-State-Owned Enterprises Fund

     

Foreign exchange contracts

     (87      (53

Emerging Markets High Dividend Fund

     

Foreign exchange contracts

     (30,931      (27,103

Emerging Markets Quality Dividend Growth Fund

     

Foreign exchange contracts

     (6,037      (2,353

Emerging Markets SmallCap Dividend Fund

     

Foreign exchange contracts

     (19,905      23,569  

Global ex-U.S. Quality Dividend Growth Fund

     

Foreign exchange contracts

     (1,849      (8,355

Global ex-U.S. Real Estate Fund

     

Foreign exchange contracts

     (3,493      27  

Global High Dividend Fund

     

Foreign exchange contracts

     2,628        (565

India Earnings Fund (consolidated)

     

Foreign exchange contracts

     (298,182       

Middle East Dividend Fund

     

Foreign exchange contracts

     (5,647       
  1 

Realized gains (losses) on derivatives are located on the Statements of Operations as follows:

 

Foreign exchange contracts

   Net realized gain (loss) from foreign currency contracts
  2 

Change in unrealized appreciation (depreciation) is located on the Statements of Operations as follows:

 

Foreign exchange contracts

   Net increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      93  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

During the six months ended September 30, 2017, the volume of derivative activity (based on the average of month-end balances) for each Fund was as follows:

 

      Average Notional  
Fund    Foreign
currency
contracts
(to deliver)
     Foreign
currency
contracts
(to receive)
 

Asia Pacific ex-Japan Fund

 

Foreign exchange contracts

   $      $ 16,962  

China ex-State-Owned Enterprises Fund

 

Foreign exchange contracts

            5,138  

Emerging Markets Consumer Growth Fund

 

Foreign exchange contracts

     1,432        6,290  

Emerging Markets ex-State-Owned Enterprises Fund

 

Foreign exchange contracts

     29,043        1,458  

Emerging Markets High Dividend Fund

 

Foreign exchange contracts

     321,866        756,498  

Emerging Markets Quality Dividend Growth Fund

 

Foreign exchange contracts

     33,046        59,445  

Emerging Markets SmallCap Dividend Fund

 

Foreign exchange contracts

     3,222,351        1,027,002  

Global ex-U.S. Quality Dividend Growth Fund

 

Foreign exchange contracts

     13,290        183,794  

Global ex-U.S. Real Estate Fund

 

Foreign exchange contracts

     4,534        15,724  

Global High Dividend Fund

 

Foreign exchange contracts

     10,399        7,910  

India Earnings Fund (consolidated)

 

Foreign exchange contracts

            222,936  

Middle East Dividend Fund

 

Foreign exchange contracts

            33,034  

Investment Transactions and Investment Income Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. Dividend income (net of foreign taxes withheld, if any) is recognized on the ex-dividend date or as soon as practicable after the existence of a dividend declaration has been determined. Non-cash dividend income is recognized at the fair value of securities received on the ex-dividend date or as soon as practicable after the existence of a dividend declaration has been determined. Interest income (including amortization of premiums and accretion of discounts), net of any foreign taxes withheld, is accrued daily. Generally, amortization of premiums and accretion of discounts are recognized daily using the interest method (also known as the scientific amortization method). Income earned from securities lending activities (i.e. Securities lending income), net of fees payable to the securities borrower and/or securities lending agent, is accrued daily.

Foreign Currency Translation — The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies, as well as investment securities and other assets and liabilities denominated in foreign currencies, are translated into U.S. dollars using exchange rates prevailing on the respective dates of such transactions that are deemed appropriate by WTAM. Realized and unrealized foreign exchange gains and losses on investments are included as a component of net realized gain (loss) from investment transactions and net increase (decrease) in unrealized appreciation/depreciation from investment transactions, respectively, on the Statements of Operations. Net realized and unrealized gains or losses of foreign currency contracts are included in the net realized gain (loss) from foreign currency contracts and/or increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts in the Statements of Operations. Net realized and unrealized foreign exchange gains or losses arising from sales of foreign currencies and the difference between the amounts of dividends/interest and foreign withholding taxes recorded on the Funds’ books and the U.S. dollar equivalent of the amounts actually received or paid are included in net realized gain (loss) from foreign currency related transactions and/or increase (decrease) in unrealized appreciation/depreciation from translation of assets and liabilities denominated in foreign currencies in the Statements of Operations. Certain foreign exchange gains and losses included in realized and unrealized gains or losses are included in, or are a reduction of, ordinary income in accordance with U.S. Federal income tax regulations.

Expenses/Reimbursements — Under the investment advisory agreement for each Fund, except for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of trustees who are not interested persons of the Funds (“Independent Trustees”); (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust’s Chief Compliance Officer (‘‘CCO’’); (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM.

Under the investment advisory agreement for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other fees, charges, taxes, levies or expenses (such as stamp taxes) incurred in connection with the execution of portfolio transactions or in connection with creation and redemption transactions (including without limitation any fees, charges, taxes, levies or expenses related to the purchase or sale of an amount of any currency, or the partition or repatriation of any security or other asset, related to the execution of portfolio transactions or any creation or redemption transactions); (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust’s CCO; (vi) extraordinary expenses (in each case as determined by a majority of the Independent Trustees); (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; (viii) interest and taxes of any kind or nature (including, but not limited to, income, excise, transfer and withholding taxes); (ix) fees and expenses related to the provision of securities lending services; and (x) the advisory fee payable to WTAM.

Acquired fund fees and expenses (which are fees and expenses incurred indirectly by a Fund through its investments in certain underlying investment companies) are not operating expenses of the Funds and are not paid by WTAM.

Pursuant to a separate contractual arrangement, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees. WTAM receives a fee, as shown on the Statements of Operations under “Service fees”, of up to 0.0044% of each Fund’s average daily net assets for providing such services and paying such expenses. WTAM provides CCO services to the Trust.

Currency Transactions — The Funds may enter into foreign currency contracts to facilitate local securities settlements or to protect against currency exposure. The Funds do not expect to engage in currency transactions for the purpose of hedging against declines in the value of the Fund’s assets that are denominated in one or more foreign currencies. The Funds may not enter into such contracts for speculative purposes.

Forward Foreign Currency Contracts — The Funds utilized forward foreign currency contracts (‘‘Forward Contracts’’) primarily to facilitate foreign security settlements. A Forward Contract involves an obligation to purchase or sell a specific currency at a future date, which may be any fixed number of days from the date of the contract agreed upon by the parties, at a price set at the time of the contract. These contracts are principally traded in the inter-bank market conducted directly between currency traders (usually large, commercial banks) and their customers. A Forward Contract generally does not require an initial margin deposit and no commissions are charged at any stage for trades. However, if a Fund is in an unrealized loss position on a Forward Contract, it may be required to pledge collateral (or additional collateral) to the counterparty. If a Fund is in an unrealized gain position on a Forward Contract, it may receive collateral from the counterparty.

Risks may arise upon entering into Forward Contracts from the potential inability of counterparties to meet the terms of their contracts and from unanticipated movements in the value of foreign currencies relative to the U.S. dollar or each other.

Fluctuations in the value of open Forward Contracts are recorded for book purposes as unrealized gains or losses on Forward Contracts by the Funds and included in net increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts on the Statements of Operations. Realized gains and losses on Forward Contracts include net gains or losses recognized by the Funds on contracts which have matured or were sold and included in net realized gain (loss) from foreign currency contracts on the Statements of Operations.

Securities Lending — Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds’ securities lending agent. It is the Funds’ policy that, at origination, all loans are secured by collateral of at least 102% of the value of U.S. securities loaned and 105% of the value of foreign securities loaned. Collateral in the form of cash and/or high-grade debt obligations, equivalent to at least 100% of the market value of securities, is maintained at all times. The cash collateral can be invested in certain money market mutual funds which also have exposure to the fluctuations of the market. The values of the investments of cash collateral for securities on loan along with the obligations to return such collateral are included on the Statements of Assets and Liabilities. The total value of securities received as collateral for securities on loan is included in a footnote following each Schedule of Investments, but is not included within the Statements of Assets and Liabilities because the receiving Fund does not have the right to sell or repledge the securities received as collateral. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash or U.S. government securities held as collateral, net of fee rebates paid to the borrower plus reasonable administrative and custody fees, all of which are included in the securities lending income earned by the Funds and disclosed on the Statements of Operations. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      95  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

dividends or interest received on loaned securities. Dividends received while a security is out on loan are not considered Qualified Dividend Income (“QDI”) under the specific criteria issued by the Internal Revenue Service and are subject to taxation at the shareholder’s ordinary income tax rate instead of the lower long-term capital gains tax rate. Lending portfolio securities could result in a loss or delay in recovering each Fund’s securities if the borrower defaults.

Master Netting Arrangements — ASU No. 2011-11 “Disclosures about Offsetting Assets and Liabilities” (“ASU 2011-11”) is generally intended to (i) help investors and other financial statement users to better assess the effect or potential effect of offsetting arrangements on a company’s financial position, (ii) improve transparency in the reporting of how companies mitigate credit risk, and (iii) facilitate comparisons between those entities that prepare their financial statements on the basis of GAAP and those entities that prepare their financial statements on the basis of international financial reporting standards. ASU 2011-11 requires entities to disclose (i) gross and net information about both instruments and transactions eligible for offset in the financial statements, and (ii) instruments and transactions subject to an agreement similar to a master netting agreement. ASU 2011-11 is limited in scope to the following financial instruments, to the extent they are offset in the financial statements or subject to an enforceable master netting arrangement or similar agreement: (i) recognized derivative instruments accounted for under ASC 815 (Derivatives and Hedging); (ii) repurchase agreements and reverse repurchase agreements; and (iii) securities borrowing and securities lending transactions.

In order to better define its contractual rights and to secure rights that will help a Fund mitigate its counterparty risk, a Fund may enter into an International Swaps and Derivatives Association, Inc. Master Agreement (“ISDA Master Agreement”) or similar agreement with its counterparties. An ISDA Master Agreement is a bilateral agreement between a Fund and a counterparty that governs over-the-counter derivatives (“OTC”), including Forward Contracts, and typically contains, among other things, collateral posting terms, netting and rights of set-off provisions in the event of a default and/or termination event. Under an ISDA Master Agreement, a Fund may, under certain circumstances, offset with the counterparty certain derivative financial instruments’ payables and receivables to create a single net payment. The provisions of the ISDA Master Agreement typically permit a single net payment in the event of a default (close-out netting) or similar event, including the bankruptcy or insolvency of the counterparty.

Collateral requirements generally differ by type of derivative. Collateral terms are contract-specific for OTC derivatives (e.g. foreign exchange contracts, options and certain swaps). Generally, for transactions traded under an ISDA Master Agreement, the collateral requirements are calculated by netting the marked to market amount for each transaction under such agreement and comparing that amount to the value of any collateral currently pledged by a Fund and the counterparty. Generally, the amount of collateral due from or to a counterparty must exceed a minimum transfer amount threshold before a transfer is required to be made. To the extent amounts due to a Fund from its derivatives counterparties are not fully collateralized, contractually or otherwise, the Fund bears the risk of loss from a counterparty’s non-performance.

A Fund’s security lending activities are governed by a Securities Lending Authorization Agreement (“Lending Agreement”) between the Fund and the lending agent. The Lending Agreement authorizes the lending agent to lend qualifying U.S. and foreign securities held by a Fund to approved borrowers (each a “Borrower”). To mitigate borrower risk, a Fund typically receives from a Borrower, collateral in the form of U.S. dollar cash and/or securities issued or guaranteed by the U.S. government or its agencies in excess of the market value of the securities loaned. Under the provisions of the Lending Agreement, a Fund shall have, as to the collateral, all of the rights and remedies of a secured party under applicable law. A Fund is exposed to risk of loss if a Borrower defaults on its obligation to return borrowed securities and the value of the collateral a Fund received is insufficient to cover the market value of the securities loaned. Also, the lending agent is permitted to invest the cash collateral it receives from a Borrower into a money market fund which is subject to market fluctuation. Therefore, a Fund is exposed to risk of loss if the value of invested cash collateral is insufficient to satisfy the Fund’s obligation to return the full amount owed to such Borrower.

For financial reporting purposes, the Funds elect to not offset assets and liabilities subject to an ISDA Master Agreement or Lending Agreement, if any, in the Statements of Assets and Liabilities. Therefore, all qualifying transactions are presented on a gross basis in the Statements of Assets and Liabilities. As of September 30, 2017, the impact of netting of assets and liabilities and the offsetting of collateral pledged or received based on contractual netting/set-off provisions in the ISDA Master Agreement and the Lending Agreement are detailed in the following table:

 

     Assets     Liabilities  
    

Gross Amounts in
the Statements of

Assets and Liabilities

    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
          

Gross Amounts in
the Statements of

Assets and Liabilities

    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
        
Fund     Financial
Instruments
    Collateral
Received
    Net
Amount
      Financial
Instruments
    Collateral
Posted
    Net
Amount
 

Asia Pacific ex-Japan Fund

               

Securities Lending

  $ 125,879     $     $ (125,879 )1    $     $     $     $     $  

Foreign Currency Contracts

    19       (15           4       15       (15            

China ex-State-Owned Enterprises Fund

 

             

Securities Lending

    2,584,651             (2,584,651 )1                               

 

96   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

     Assets     Liabilities  
    

Gross Amounts in
the Statements of

Assets and Liabilities

    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
          

Gross Amounts in
the Statements of

Assets and Liabilities

    Gross Amounts Not Offset
in the Statements of
Assets and Liabilities
        
Fund     Financial
Instruments
    Collateral
Received
    Net
Amount
      Financial
Instruments
    Collateral
Posted
    Net
Amount
 

Emerging Markets Consumer Growth Fund

 

             

Securities Lending

  $ 1,493,814     $     $ (1,493,814 ) 1    $     $     $     $     $  

Foreign Currency Contracts

                            13                   13  

Emerging Markets ex-State-Owned Enterprises Fund

 

Securities Lending

    256,217             (256,217 ) 1                               

Emerging Markets High Dividend Fund

 

             

Securities Lending

    80,122,295             (80,122,295 ) 1                               

Foreign Currency Contracts

                            744                   744  

Emerging Markets Quality Dividend Growth Fund

 

           

Securities Lending

    1,068,270             (1,068,270 ) 1                               

Emerging Markets SmallCap Dividend Fund

 

             

Securities Lending

    139,153,015             (139,153,015 )1                               

Foreign Currency Contracts

    280       (280                 12,994       (280           12,714  

Global ex-U.S. Quality Dividend Growth Fund

 

             

Securities Lending

    1,004,936             (1,004,936 ) 1                               

Foreign Currency Contracts

                            3                   3  

Global ex-U.S. Real Estate Fund

 

             

Securities Lending

    2,384,208             (2,384,208 ) 1                               

Foreign Currency Contracts

    43       (19           24       19       (19            

Global High Dividend Fund

               

Securities Lending

    880,782             (880,782 ) 1                               

Foreign Currency Contracts

    1                   1       12                   12  
  1 

The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero.

Short-Term Investments — Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments include short-term obligations issued by the U.S. government, its agencies, non-U.S. government agencies, negotiable certificates of deposit (“CDs”), fixed time deposits and bankers’ acceptances of U.S. and foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker’s acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions.

Tax Information and Dividends and Distributions to Shareholders — It is each Fund’s policy to comply with all requirements of the Internal Revenue Code of 1986, as amended (the “Code”). Each Fund intends to qualify for and to elect treatment as a separate Regulated Investment Company (“RIC”) under Subchapter M of the Code. In order to qualify for the special tax treatment accorded RICs and their shareholders, each Fund must, among other things, distribute with respect to each taxable year an amount equal to or greater than the sum of 90% of its investment company taxable income and 90% of its net tax-exempt interest income. There can be no guarantee that a Fund will pay dividends. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. The Funds may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains are determined in accordance with the requirements of the Code and the U.S. Treasury regulations. These book/tax differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their Federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions that exceed earnings and profit for tax purposes are reported for tax purposes as a return of capital. The India Earnings Fund has filed an election to treat the Portfolio as a ‘‘pass-through’’ entity for tax purposes.

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

3. ADVISORY FEES AND OTHER TRANSACTIONS WITH AFFILIATES

WTAM has overall responsibility for the general management and administration of the Trust. WTAM provides an investment program for each Fund. WTAM has arranged for MCM to provide sub-advisory services to the Funds. MCM is compensated by WTAM at no additional cost to the Funds. WTAM also arranges for transfer agency, custody, fund accounting, fund administration, securities lending and all other non-distribution related services necessary for the Funds to operate, which are generally under separate agreements entered into between the Trust on behalf of the Funds and the applicable service provider. Under the investment advisory agreement for each Fund, WTAM agrees to pay all expenses of the Funds, except for certain expenses described in Note 2.

Pursuant to a separate contractual arrangement, as also described in Note 2, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees in exchange for an annual fee, accrued daily and paid monthly in arrears, of up to 0.0044% of each Fund’s average daily net assets. WTAM expects to receive advisory fees from each Fund, based on a percentage of the Fund’s average daily net assets, as shown in the following table:

 

Fund    Advisory Fee Rate
(before fee waiver)
     Advisory
Fee Waiver1
    Advisory Fee Waiver
Expiration Date
 

Asia Pacific ex-Japan Fund

     0.48             

China ex-State-Owned Enterprises Fund

     0.63      (0.31 )%2      July 31, 2018  

Emerging Markets Consumer Growth Fund

     0.63      (0.31 )%3      July 31, 2018  

Emerging Markets ex-State-Owned Enterprises Fund

     0.58      (0.26 )%3      July 31, 2018  

Emerging Markets High Dividend Fund

     0.63             

Emerging Markets Quality Dividend Growth Fund

     0.63      (0.31 )%3      July 31, 2018  

Emerging Markets SmallCap Dividend Fund

     0.63             

Global ex-U.S. Quality Dividend Growth Fund

     0.58             

Global ex-U.S. Real Estate Fund

     0.58             

Global High Dividend Fund

     0.58             

India Earnings Fund (consolidated)

     0.83             

Middle East Dividend Fund

     0.88             
  1 

WTAM has contractually agreed to waive a portion of its advisory fee by the waiver amount listed per annum based on the average daily net assets through the expiration date listed, unless earlier terminated by the Board of Trustees of the Trust for any reason. The dollar amount of contractual fee waivers are included in “Expense waivers” on the Statements of Operations.

 

  2 

Effective June 30, 2017. From July 1, 2015 to June 30, 2017, the Fund’s advisory fee waiver was 0.10% per annum based on average daily net assets.

 

  3 

Effective June 30, 2017.

Each Fund may purchase shares of affiliated ETFs in secondary market transactions to reduce cash balances. For these transactions, WTAM waives its advisory fees for each Fund’s investment in affiliated funds. The waivers may be reduced to offset the incremental costs related to these investments (fund accounting, safekeeping, transaction fees, etc.) that are paid by WTAM out of its advisory fee. The dollar amount of advisory fees waived during the period for the Funds, if any, are shown in the Statements of Operations.

Affiliated holdings are funds which are managed by, or an affiliate of, WTAM. Transactions with affiliated funds during the six months ended September 30, 2017 are as follows:

 

Fund   Value at
3/31/2017
    Purchases/
Additions
    Sales/
Reductions
    Realized
Gain/(Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Value at
9/30/2017
    Dividend
Income
 

Asia Pacific ex-Japan Fund

                                                       

WisdomTree Global ex-U.S. Real Estate Fund

  $ 60,238     $ 809,850     $ 823,737     $ 9,981     $ 6,035     $ 62,367     $ 13,481  

Emerging Markets High Dividend Fund

                                                       

WisdomTree Global High Dividend Fund

  $ 1,690,659     $ 8,002,227     $ 8,234,807     $ (5,037   $ 15,754     $ 1,468,796     $ 44,950  

Emerging Markets SmallCap Dividend Fund

                                                       

WisdomTree Emerging Markets High Dividend Fund

  $     $ 20,587,850     $ 20,302,894     $ (284,956   $     $     $ 257,387  

Global ex-U.S. Quality Dividend Growth Fund

                                                       

WisdomTree Emerging Markets High Dividend Fund

  $ 4,452     $ 112,379     $ 70,785     $ (1,348   $ 1,398     $ 46,096     $ 2,295  

WisdomTree International Equity Fund

    6,664       168,910       110,216       452       3,245       69,055       1,813  

Total

  $ 11,116     $ 281,289     $ 181,001     $ (896   $ 4,643     $ 115,151     $ 4,108  

 

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Notes to Financial Statements (unaudited) (continued)

 

Fund    Value at
3/31/2017
     Purchases/
Additions
     Sales/
Reductions
     Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
Depreciation
     Value at
9/30/2017
     Dividend
Income
 

Global High Dividend Fund

                                                              

WisdomTree International High Dividend Fund

   $ 45,756      $ 633,643      $ 668,003      $ (11,253    $ (143    $      $ 8,752  

WisdomTree U.S. High Dividend Fund

     15,201        208,954        224,221        (97      163               841  

Total

   $ 60,957      $ 842,597      $ 892,224      $ (11,350    $ 20      $      $ 9,593  

WTAM or its affiliates may from time to time own shares of a Fund. As of September 30, 2017, WTAM held shares of the following Funds which were purchased through an unaffiliated broker in ordinary brokerage transactions in the secondary market in which the Funds’ shares trade:

 

Fund    Fund Shares
held by
WTAM
     Market Value
of Fund
Shares held
by WTAM
     Dividends
paid to
WTAM on
Fund Shares
 

China ex-State-Owned Enterprises Fund

     55      $ 4,334      $ 40  

Emerging Markets ex-State-Owned Enterprises Fund

     244        7,220        17  

Emerging Markets SmallCap Dividend Fund

     195        9,561        180  

4. CAPITAL SHARE TRANSACTIONS

As of September 30, 2017, there were an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in creation units or multiples thereof. Except when aggregated in creation units, shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of creation units of a Fund generally consists of the in-kind contribution of a portfolio of equity securities and an amount of cash. The India Earnings Fund and Middle East Dividend Fund issue and redeem shares on a cash basis only. Investors purchasing and redeeming creation units may be charged a purchase transaction fee and a redemption transaction fee to offset transfer and other transaction costs associated with the issuance and redemption of creation units.

5. INVESTMENT PORTFOLIO TRANSACTIONS

Purchases and sales of investments (excluding purchases and sales resulting from in-kind capital share transactions and short-term investments) and the cost of purchases and the proceeds from sales resulting from in-kind capital share transactions (excluding short-term investments) for the six months ended September 30, 2017 are shown in the following table. Realized gains and losses on sales resulting from in-kind capital share redemptions, as shown on the Statements of Operations, are not recognized by the Funds for tax purposes.

 

              In-kind Capital Share Transactions  
Fund    Purchases      Sales      Purchases      Sales  

Asia Pacific ex-Japan Fund

   $ 1,172,868      $ 1,106,480      $      $  

China ex-State-Owned Enterprises Fund

     13,405,680        8,157,577        26,118,185         

Emerging Markets Consumer Growth Fund

     4,538,201        600,301        4,725,037         

Emerging Markets ex-State-Owned Enterprises Fund

     13,631,372        3,855,043        12,915,025         

Emerging Markets High Dividend Fund

     140,904,019        94,069,928        75,155,266        4,885,347  

Emerging Markets Quality Dividend Growth Fund

     5,430,983        1,416,247        5,742,466         

Emerging Markets SmallCap Dividend Fund

     145,483,592        57,349,063        95,781,450         

Global ex-U.S. Quality Dividend Growth Fund

     1,205,075        1,101,667                

Global ex-U.S. Real Estate Fund

     5,338,672        6,740,308        3,210,072        7,205,020  

Global High Dividend Fund

     3,303,314        2,897,131        4,340,311         

India Earnings Fund (consolidated)

     319,187,274        280,862,060                

Middle East Dividend Fund

     411,676        1,997,398                

 

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Notes to Financial Statements (unaudited) (continued)

 

6. FEDERAL INCOME TAXES

At September 30, 2017, the cost of investments (including securities on loan and derivatives) for Federal income tax purposes was as follows:

 

Fund    Tax Cost      Gross Unrealized
Appreciation
     Gross Unrealized
Depreciation
     Net Unrealized
Appreciation/
(Depreciation)
 

Asia Pacific ex-Japan Fund

   $ 39,735,383      $ 6,979,371      $ (3,463,554    $ 3,515,817  

China ex-State-Owned Enterprises Fund

     41,330,118        5,837,969        (736,016      5,101,953  

Emerging Markets Consumer Growth Fund

     33,413,568        4,942,506        (1,564,130      3,378,376  

Emerging Markets ex-State-Owned Enterprises Fund

     24,958,415        2,161,285        (554,726      1,606,559  

Emerging Markets High Dividend Fund

     1,925,632,094        235,418,346        (212,604,589      22,813,757  

Emerging Markets Quality Dividend Growth Fund

     55,945,476        9,812,033        (1,611,427      8,200,606  

Emerging Markets SmallCap Dividend Fund

     1,244,663,671        271,097,390        (64,520,262      206,577,128  

Global ex-U.S. Quality Dividend Growth Fund

     46,720,569        11,058,632        (968,190      10,090,442  

Global ex-U.S. Real Estate Fund

     83,248,515        14,636,536        (8,247,989      6,388,547  

Global High Dividend Fund

     89,351,009        13,473,759        (3,797,012      9,676,747  

India Earnings Fund (consolidated)

     1,336,878,272        404,589,801        (64,710,594      339,879,207  

Middle East Dividend Fund

     16,405,841        1,502,700        (1,980,852      (478,152

7. MAURITIUS INCOME TAX

The Portfolio holds a tax residency certificate issued by the Mauritian Revenue authorities which entitles it to claim the benefits of the double taxation avoidance agreement entered between the Government of India and Mauritius (“tax treaty”). Since the India Earnings Fund makes its investments through the Portfolio, a wholly owned subsidiary organized in the Republic of Mauritius, this structure should permit the India Earnings Fund to benefit from the tax treaty. The Supreme Court of India upheld the validity of this tax treaty in response to a lower court challenge contesting the treaty’s applicability to entities such as the Portfolio.

The taxable profits derived from the worldwide income of the wholly owned subsidiary of the India Earnings Fund, i.e. the Portfolio, is subject to income tax at the rate of 15% in the Republic of Mauritius. As with all Mauritian tax residents, the Portfolio is entitled to a foreign tax credit (“FTC”) on its foreign sourced income. The FTC is based on the lower of the Mauritian tax or the foreign taxes incurred. Where documentary evidence is not available to substantiate the foreign taxes suffered, the FTC can be presumed to be 80% of the Mauritius tax on its foreign source income. The presumed FTC effectively reduces the Mauritian income tax rate on the foreign sourced income of the Portfolio to a maximum of 3%. Interest income on call and deposit accounts with Mauritian banks is exempt from tax, and there is no tax on capital gains in Mauritius. Prior to August 8, 2012, the Mauritius income tax was paid by the Portfolio, and thereafter, the Mauritius income tax was paid by WTAM.

On May 10, 2016, the Government of India and Mauritius announced the signing of a protocol amending the provisions of the tax treaty (“2016 Protocol”). The 2016 Protocol has become effective on April 1, 2017 in respect of income and gains received from India. The 2016 Protocol, inter alia, provides for capital gains arising on disposal of shares acquired by a company resident in Mauritius on or after April 1, 2017 to be taxed in India. However, investments in shares acquired up to March 31, 2017 are grandfathered, thus exempted from capital gains tax in India irrespective of the date of disposal. In addition, shares acquired from April 1, 2017 and disposed of by March 31, 2019 are taxable at a concessionary rate equivalent to 50% of the domestic tax rate prevailing in India provided the Mauritius company meets the prescribed limitation of benefits (“LOB”) clause. As such, the LOB Article denies the concessional 50% Indian capital gains tax rate benefit in respect of capital gains arising between April 1, 2017 and March 31, 2019, where the LOB conditions are not fulfilled.

Any shares acquired by the Portfolio after April 1, 2017 and transferred on or after April 1, 2019 are subject to the full rate of capital gains tax in India. The 2016 Protocol only amends the capital gains article in relation to the taxation of shares. As such, all other “securities” besides shares are subject to similar taxation principles, as they apply currently to the Portfolio.

This amendment could reduce the return to the India Earnings Fund on its investments made on or after April 1, 2017 and the return received by India Earnings Fund shareholders.

In March 2012, the Indian Finance Minister introduced a new chapter to the Indian Income Tax Act, 1961 (“IT Act”), which included certain General Anti-Avoidance Rules (“GAAR”). GAAR is applicable to financial years beginning on or after April 1, 2017. All investments made into India up-to April 1, 2017 are grandfathered and are exempt from the applicability of GAAR, irrespective of the date of exit of the investments. With effect from April 1, 2017, the investments made by the Portfolio would be subject to GAAR if benefit under the tax treaty is claimed by the Portfolio.

 

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Notes to Financial Statements (unaudited) (concluded)

 

Reference to investments by the India Earnings Fund herein should be understood to refer to investments by the Portfolio.

8. DEMAND NOTE

During the period ended September 30, 2017, the India Earnings Fund had a demand note agreement with Bank of America, N.A. which allowed the Fund to borrow up to $400,000,000 and having a final maturity date of October 3, 2017. During the period ended September 30, 2017, the Fund utilized the demand note and borrowed for a period of 6 days with an average outstanding loan balance of $198,766,667 and a weighted average interest rate of 3.47% per annum. Interest expense related to the loan for the period ended September 30, 2017 was $113,297. At September 30, 2017, the Fund did not have any outstanding demand note agreements or amounts.

 

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Approval of Investment Advisory and Sub-Advisory Agreement (unaudited)

 

Consideration of the Renewal of Investment Advisory and Sub-Investment Advisory Agreements

At a meeting of the Board of Trustees (the “Board” or the “Trustees”) of the WisdomTree Trust (the “Trust”) held on September 26-27, 2017 (the “Meeting”), the Trustees, including those Trustees who are not “interested persons” (as defined in the Investment Company Act of 1940, as amended) of the Trust (the “Independent Trustees”), considered the renewal of the Investment Advisory Agreements between WisdomTree Asset Management, Inc. (“WTAM”) and the Trust, on behalf of its series (each, a “Fund,” and, collectively, the “Funds”), pursuant to which WTAM provides the Funds with investment advisory services (the “Advisory Agreements”), the Sub-Advisory Agreement (the “MCM Sub-Advisory Agreement” or “Sub-Advisory Agreement), pursuant to which Mellon Capital Management Corporation (“MCM”) coordinates the investment and reinvestment of the assets of the Funds.

The Trustees requested, and WTAM provided, such information as the Trustees, with advice from counsel to the Trust and independent legal counsel, deemed reasonably necessary to evaluate the Agreements. At a meeting of a committee of Independent Trustees (the “Contracts Review Committee”) held on August 3, 2017, representatives from WTAM presented preliminary information to the Trustees relating to the continuance of the Agreements, and the Trustees, including the Independent Trustees, reviewed and discussed such information. Further information was presented at the Board’s request at the Meeting.

The Independent Trustees were assisted in their review by independent legal counsel and met with counsel in executive session separate from WTAM representatives and the Sub-Adviser. In considering the renewal of the Agreements, the Board considered all factors that it believed to be relevant, including those discussed below. The Board did not identify any one factor as dispositive, and each Trustee may have attributed different weights to the factors considered.

Analysis of Nature, Extent, and Quality of Services Provided to the Funds.

The Board considered information provided to them at the Meeting and in previous presentations throughout the year from WTAM representatives regarding the nature, extent, and quality of the services provided to the Funds, recognizing WTAM’s and the Sub-Adviser’s operational capabilities and resources. The Board also discussed the role of WisdomTree Investments, Inc. (“WTI”), the parent of WTAM, as index provider to certain Funds, which comprise the substantial majority of assets in the WisdomTree fund complex. The Board noted that the strategies represented by those Funds tracking affiliated WTI indexes are unique, based on WTI’s intellectual property and are only available for use by applicable Funds through WTAM. The Board noted WTAM’s belief that shareholders have invested in such Funds on the strength of WTI’s intellectual property and WTAM’s industry standing and reputation and with the expectation that WTAM will have a continuing role in providing advisory services to the Funds based on the WTI indexes. The Board also noted the extensive responsibilities that WTAM has as investment adviser to the Funds, including: the selection of, and supervisory responsibilities and activities over, the Sub-Adviser, including oversight of the Sub-Adviser’s adherence to each Fund’s investment strategy and restrictions, monitoring of the Sub-Adviser’s buying and selling of securities and derivatives transactions, review of Sub-Adviser performance, review of proxies voted by the Sub-Adviser and oversight of, and the provision of consultation to, the Sub-Adviser with respect to the creation of custom creation or redemption baskets for authorized participants; oversight of the daily valuation of the Funds’ portfolio holdings; oversight of general Fund compliance with federal and state laws; and implementation of Board directives as they relate to the Funds. The Board also considered research support available to, and management capabilities of, the Funds’ management personnel and that WTAM provides oversight of day-to-day Fund operations, including fund accounting, tax matters, administration and legal assistance in meeting disclosure and regulatory requirements. Based on management’s representations, the Board expected that there would be no reduction in the scope of services required by or provided by WTAM and the Sub-Adviser under the relevant Agreements. The Board noted that WTAM has continued to commit significant resources toward the fund complex and has made substantial investments to improve the services offered by WTAM, which benefit Fund shareholders.

Based on review of this information and the other factors considered at the Meeting, the Board concluded that the nature, extent and quality of services provided by WTAM and the Sub-Adviser under the Advisory Agreements and Sub-Advisory Agreements, respectively, are adequate and appropriate and supported the Board’s approval of the renewal of the Agreements.

Comparative Analysis of the Funds’ Performance and Management Fee and Expense Ratio.

The Board reviewed reports prepared by Broadridge Financial Solutions, Inc. (“Broadridge”), an independent provider of investment company data, which included information (1) measuring each index Fund’s performance by how well it tracked the relevant benchmark index and (2) comparing each Fund’s actual management fees and total expenses with those of a group of comparable funds (the “Expense Group”) and, with respect to total expenses, with a broader group of funds (the “Expense Universe”), the information for which was derived in part from fund financial statements available to Broadridge as of the date of its analysis. The Contracts Review Committee and the Independent Trustees previously had reviewed and discussed the methodology Broadridge used to select the Expense Groups and Expense Universes. The Board noted that the Expense Groups and Expense Universes included only pure-index and index-based exchange traded funds (“ETFs”) as comparison funds. The Board also noted that due to the special characteristics of certain Funds, there are limitations in providing comparable funds in the Expense Groups and Expense Universes, and the information in the Broadridge reports may or may not provide meaningful direct comparisons to

 

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Approval of Investment Advisory and Sub-Advisory Agreement (unaudited) (continued)

 

the Funds. The Board also reviewed reports prepared by WTAM presenting performance data for Funds with ten years of performance history and for WisdomTree indexes with at least three years of performance history that are tracked by an index Fund.

The Board discussed the index Funds’ performance, noting that the substantial majority of index Funds seek to track their own WisdomTree benchmark index. During the prior year, the Board received periodic reports on the Funds’ performance in comparison to their relevant benchmark indexes. In response to questions from the Independent Trustees, WTAM representatives discussed the relative performance of the Funds and the factors affecting such performance. On that basis, the Board determined to monitor carefully in the coming year disparities in performance — both positive and negative — but did not believe that the disparities in the past reflected any characteristics requiring immediate action by WTAM or the Sub-Adviser.

The Board also reviewed the range of actual management fees and total expenses of the Expense Group funds and, with respect to total expenses, Expense Universe funds, as well as the advisory fees and total expenses of certain funds not included in the Broadridge reports that WTAM considers to be significant competitors of the Funds, and discussed the results of the comparisons. With respect to comparisons of actual management fees, the Board noted the Funds’ unitary fee structure and that the Expense Groups and Expense Universes generally included both ETFs with and without a unitary fee structure. The Board also noted that certain comparison funds in certain Expense Groups and Expense Universes benefited from waivers of all or a portion of their management fees and reimbursement of certain operating expenses. The Board noted that the total expenses of many of the Funds were within five basis points of the median or average total expenses of the funds in the Funds’ respective Expense Groups. In those specific instances where a Fund’s total expenses departed more significantly from comparative funds, the Independent Trustees sought explanations from WTAM, which generally attributed the disparities to the limitations within peer data and/or the unique attributes of a Fund.

The Board considered the fees to the Sub-Adviser in relation to the fees paid to WTAM by the Funds and the respective services provided by the Sub-Adviser and WTAM. The Board also noted that the Sub-Adviser’s fees are paid by WTAM (out of its fee paid by the relevant Funds) and not the Funds. The Board considered the meaningful differences in the services that WTAM provides to the Funds as compared to the Sub-Adviser, including that the role of the Sub-Adviser in making investment recommendations with respect to a Fund tracking an index is a rules-based function, with oversight by WTAM in seeking to ensure compliance with such rules. The Board also considered the entrepreneurial and expense risk borne by WTAM that is associated with Funds’ unitary fee structure, which frequently includes minimum fees (such as those to the Sub-Adviser), regardless of whether the asset size of a Fund has grown to a sufficient size.

Based on this review and the other factors considered at the Meeting, the Board concluded that, with respect to each Fund, the Fund’s performance, the fees paid to WTAM and the Sub-Adviser and the Fund’s total expenses supported the Board’s approval of the renewal of the relevant Agreements.

Analysis of Profitability and Economies of Scale.

WTAM representatives reviewed the expenses allocated and profit received by WTAM and the resulting profitability percentage for managing each Fund and the aggregate profitability percentage to WTAM for managing the WisdomTree fund complex, and the method used to determine the expenses and profit.

The Board considered the profitability analysis (1) as part of its evaluation of whether the fees under the Agreements bear a reasonable relationship to the mix of services provided by WTAM and the Sub-Adviser, including the nature, extent and quality of such services, and (2) in light of the relevant circumstances for each Fund and the extent to which economies of scale would be realized if the Fund grows and whether fee levels reflect these economies of scale for the benefit of Fund shareholders. WTAM representatives noted that a discussion of economies of scale is predicated on a Fund having achieved a substantial size and that, if a Fund’s assets had been decreasing, the possibility that WTAM may have realized any economies of scale would be less. WTAM representatives also noted that, as a result of shared and allocated costs among the WisdomTree funds, the extent of economies of scale could depend substantially on the level of assets in the fund complex as a whole. The Board noted that certain Funds had grown rapidly over a relatively short period of time after longer periods of slow or no growth, during which there were years of losses for WTAM in managing such Funds that had only recently turned profitable and years of substantial cumulative losses to WTAM in managing the fund complex as a whole. WTAM representatives stated that there has been significant volatility in the assets of individual Funds and in the fund complex as a whole over time (including volatility in profitability) and that it was not clear that current asset levels will be maintained. WTAM representatives noted that assets in certain Funds have diminished at times at a rapid rate (including during the last year) and could continue to do so. WTAM representatives also noted that economies of scale currently are shared with the Funds by way of the unitary fee structure of the Trust, as well as through additional investment in the WisdomTree business. The Board noted that the Contracts Review Committee had focused on the issue of economies of scale during its meetings. The Board also noted that it would continue to monitor the sharing of economies of scale, focusing in particular on Funds that have experienced significant asset growth, to determine the appropriateness of adding breakpoints in the future. The Board also considered potential benefits to WTAM and the Sub-Adviser from acting as investment adviser and sub-investment adviser, respectively, and noted that there were no soft dollar arrangements in effect for trading the Funds’ investments. Based on this review,

 

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Approval of Investment Advisory and Sub-Advisory Agreement (unaudited) (concluded)

 

the Board concluded that the profitability results were consistent with the services rendered and service levels provided by WTAM and the entrepreneurial risk WTAM has undertaken over time.

*    *    *    *    *    *

At the conclusion of these discussions, the Board agreed that it had been furnished with sufficient information to make an informed business decision with respect to the renewal of the Agreements. In evaluating the Agreements, the Board considered the conclusions and determinations discussed above and also relied on its previous knowledge, gained through meetings and other interactions with WTAM and the Sub-Adviser, of the Funds and the services provided to the Funds by WTAM and the Sub-Adviser. The Board also relied on information received on a routine and regular basis throughout the year relating to the operations of the Funds and the investment advisory and other services provided under the Agreements. In light of the foregoing, the Board, including a majority of the Independent Trustees, determined to approve the renewal of the Agreements.

 

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General Information (unaudited)

 

Proxy Voting Policies, Procedures and Record

A complete copy of the Proxy Voting Policy may be obtained upon request, at no charge, by calling 1-866-909-WISE (9473) or writing to: WisdomTree Trust, c/o Foreside Fund Services, LLC, Three Canal Plaza Suite 100, Portland, ME, 04101.

The Trust is required to disclose annually the Funds’ complete proxy voting record on Form N-PX covering the most recent 12-month period ended June 30 and to file Form N-PX with the SEC no later than August 31 of each year. The current Form N-PX for the Funds is available at no charge upon request by calling 1-866-909-WISE (9473) or through the Trust’s website at www.wisdomtree.com. The Funds’ Form N-PX is also available on the SEC’s website at www.sec.gov.

Shareholder Reports and Quarterly Portfolio Disclosure

The Funds are required to file their complete schedule of portfolio holdings with the SEC for their first and third fiscal quarters on Form N-Q. Copies of the filings are available, without charge, on the SEC’s website at www.sec.gov and are also available by calling the Trust at 1-866-909-WISE (9473). You can also obtain copies of Form N-Q by (i) visiting the SEC’s Public Reference Room in Washington, DC (information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330); (ii) sending your request and a duplicating fee to the SEC’s Public Reference Room, Washington, DC 20549-0102; or (iii) sending your request electronically to publicinfo@sec.gov.

Information about each Fund’s portfolio holdings is available daily, without charge, at www.wisdomtree.com.

The Statement of Additional Information (“SAI”) has additional information about the Funds’ Trustees and Officers and is available without charge upon request. Contact your financial representative for a free prospectus or SAI.

Frequency Distribution of Discounts & Premiums

Information about differences between the per share net asset value of each Fund and the market trading price of shares of each Fund are available, without charge, at www.wisdomtree.com.

 

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The WisdomTree Family of Funds

The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols, as of September 30, 2017:

 

WisdomTree Domestic Equity Funds

 

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

 

WisdomTree U.S. Earnings 500 Fund (EPS)

 

WisdomTree U.S. High Dividend Fund (DHS)

 

WisdomTree U.S. LargeCap Dividend Fund (DLN)

 

WisdomTree U.S. LargeCap Value Fund (EZY)

 

WisdomTree U.S. MidCap Dividend Fund (DON)

 

WisdomTree U.S. MidCap Earnings Fund (EZM)

 

WisdomTree U.S. Multifactor Fund (USMF)

 

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

 

WisdomTree U.S. SmallCap Dividend Fund (DES)

 

WisdomTree U.S. SmallCap Earnings Fund (EES)

 

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

 

WisdomTree U.S. Total Dividend Fund (DTD)

 

WisdomTree U.S. Total Earnings Fund (EXT)

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

WisdomTree Australia Dividend Fund (AUSE)

 

WisdomTree Dynamic Currency Hedged Europe Equity Fund (DDEZ)

 

WisdomTree Dynamic Currency Hedged International Equity Fund (DDWM)

 

WisdomTree Dynamic Currency Hedged International Quality Dividend Growth Fund (DHDG)

 

WisdomTree Dynamic Currency Hedged International SmallCap Equity Fund (DDLS)

 

WisdomTree Dynamic Currency Hedged Japan Equity Fund (DDJP)

 

WisdomTree Europe Hedged Equity Fund (HEDJ)

 

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

 

WisdomTree Europe Domestic Economy Fund (EDOM)

 

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

 

WisdomTree Europe SmallCap Dividend Fund (DFE)

 

WisdomTree Germany Hedged Equity Fund (DXGE)

 

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

 

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

 

WisdomTree Global Hedged SmallCap Dividend Fund (HGSD)

 

WisdomTree International Dividend ex-Financials Fund (DOO)

 

WisdomTree International Equity Fund (DWM)

 

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

 

WisdomTree International High Dividend Fund (DTH)

 

WisdomTree International LargeCap Dividend Fund (DOL)

 

WisdomTree International MidCap Dividend Fund (DIM)

 

WisdomTree International Quality Dividend Growth Fund (IQDG)

 

WisdomTree International SmallCap Dividend Fund (DLS)

 

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

 

WisdomTree Japan Hedged Equity Fund (DXJ)

 

WisdomTree Japan Hedged Financials Fund (DXJF)

 

WisdomTree Japan Hedged Health Care Fund (DXJH)

 

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

 

WisdomTree Japan Hedged Real Estate Fund (DXJR)

 

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

 

WisdomTree Japan SmallCap Dividend Fund (DFJ)

 

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

 

  

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets

 

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

 

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

 

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

 

WisdomTree Emerging Markets Dividend Fund (DVEM)

 

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

 

WisdomTree Emerging Markets High Dividend Fund (DEM)

 

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

 

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

 

WisdomTree Global ex-Mexico Equity Fund (XMX)

 

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

 

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

 

WisdomTree Global High Dividend Fund (DEW)

 

WisdomTree Global SmallCap Dividend Fund (GSD)

 

WisdomTree India Earnings Fund (EPI)

 

WisdomTree Middle East Dividend Fund (GULF)

 

WisdomTree Dollar Sensitive Equity Funds

 

WisdomTree Strong Dollar Emerging Markets Equity Fund (EMSD)

 

WisdomTree U.S. Domestic Economy Fund (WUSA)

 

WisdomTree U.S. Export and Multinational Fund (WEXP)

 

WisdomTree Currency Strategy Funds

 

WisdomTree Bloomberg U.S. Dollar Bullish Fund (USDU)

 

WisdomTree Brazilian Real Strategy Fund (BZF)

 

WisdomTree Chinese Yuan Strategy Fund (CYB)

 

WisdomTree Emerging Currency Strategy Fund (CEW)

 

WisdomTree Fixed Income Funds

 

WisdomTree Asia Local Debt Fund (ALD)

 

WisdomTree Barclays Yield Enhanced U.S. Aggregate Bond Fund (AGGY)

 

WisdomTree Barclays Yield Enhanced U.S. Short-Term Aggregate Bond Fund (SHAG)

 

WisdomTree Barclays Negative Duration U.S. Aggregate Bond Fund (AGND)

 

WisdomTree Barclays Interest Rate Hedged U.S. Aggregate Bond Fund (AGZD)

 

WisdomTree Bloomberg Floating Rate Treasury Fund (USFR)

 

WisdomTree Negative Duration High Yield Bond Fund (HYND)

 

WisdomTree Interest Rate Hedged High Yield Bond Fund (HYZD)

 

WisdomTree Emerging Markets Corporate Bond Fund (EMCB)

 

WisdomTree Emerging Markets Local Debt Fund (ELD)

 

WisdomTree Fundamental U.S. Corporate Bond Fund (WFIG)

 

WisdomTree Fundamental U.S. High Yield Corporate Bond Fund (WFHY)

 

WisdomTree Fundamental U.S. Short-Term Corporate Bond Fund (SFIG)

 

WisdomTree Fundamental U.S. Short-Term High Yield Corporate Bond Fund (SFHY)

 

WisdomTree Alternative Funds

 

WisdomTree CBOE S&P 500 PutWrite Strategy Fund (PUTW)

 

WisdomTree Continuous Commodity Index Fund (GCC)

 

WisdomTree Dynamic Bearish U.S. Equity Fund (DYB)

 

WisdomTree Dynamic Long/Short U.S. Equity Fund (DYLS)

 

WisdomTree Managed Futures Strategy Fund (WDTI)


Table of Contents

The WisdomTree Funds are exchange traded funds (“ETFs”) registered with the United States Securities and Exchange Commission as separate series (“Funds”) of WisdomTree Trust (“Trust”). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree Investments, Inc., serves as the investment adviser to the Trust. None of the WisdomTree entities are affiliated with Foreside Fund Services, LLC, the Funds’ distributor. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, delays, or for any actions taken in reliance on information contained herein.

Investors should consider the investment objectives, risks, charges and expenses of the Funds carefully before investing. A prospectus, containing this and other information, is available at www.wisdomtree.com, or by calling 1-866-909-WISE (9473). Investors should read the prospectus carefully before investing. There are risks associated with investing, including possible loss of principal. Past performance does not guarantee future results. Indexes are unmanaged and you cannot invest directly in an index.

There are risks associated with investing including possible loss of principal. Foreign investing involves special risks, such as risk of loss from currency fluctuation or political or economic uncertainty. Investments in real estate involve additional special risks, such as credit risk, interest rate fluctuations and the effect of varied economic conditions. Funds that focus their investments in one country or region may be significantly impacted by events and developments associated with the region which can adversely affect performance. Funds focusing on a single sector and/or smaller companies generally experience greater price volatility. Investments in emerging, offshore or frontier markets are generally less liquid and less efficient than investments in developed markets and are subject to additional risks, such as risks of adverse governmental regulation and intervention or political developments. Inflation protected securities do not eliminate risks associated with inflation or deflation. Investments in currency involve additional special risks, such as credit risk and interest rate fluctuations. Derivative investments can be volatile and these investments may be less liquid than other securities, and more sensitive to the effect of varied economic conditions. As these Funds can have a high concentration in some issuers the Funds can be adversely impacted by changes affecting such issuers. Due to the investment strategy of certain Funds they may make higher capital gain distributions than other ETFs. Please read the Fund’s prospectus for specific details regarding the Fund’s risk profile.

The Dow Jones Global ex-U.S. Select Real Estate Securities Index is calculated, distributed and marketed by Dow Jones Indexes, a licensed trademark of CME Group Index Services LLC, and has been licensed for use.

Transactions in Fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the Funds only by Authorized Participants in large creation unit sizes of shares.


Table of Contents

WisdomTree Trust

245 Park Avenue, 35th Floor

New York, NY 10167

 

LOGO

 

LOGO

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

WisdomTree Emerging Markets High Dividend Fund (DEM)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

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

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

WisdomTree Global High Dividend Fund (DEW)

WisdomTree India Earnings Fund (EPI)

WisdomTree Middle East Dividend Fund (GULF)

WisdomTree Fund shares are distributed by Foreside Fund Services, LLC, in the U.S. only.

WTGM-0042


Table of Contents

LOGO

 

LOGO

 

WisdomTree Trust

Domestic Equity Funds

 

Semi-Annual Report

September 30, 2017

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

(formerly, WisdomTree Dividend ex-Financials Fund)

WisdomTree U.S. Earnings 500 Fund (EPS)

(formerly, WisdomTree Earnings 500 Fund)

WisdomTree U.S. High Dividend Fund (DHS)

(formerly, WisdomTree High Dividend Fund)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

(formerly, WisdomTree LargeCap Dividend Fund)

WisdomTree U.S. LargeCap Value Fund (EZY)

(formerly, WisdomTree LargeCap Value Fund)

WisdomTree U.S. MidCap Dividend Fund (DON)

(formerly, WisdomTree MidCap Dividend Fund)

WisdomTree U.S. MidCap Earnings Fund (EZM)

(formerly, WisdomTree MidCap Earnings Fund)

WisdomTree U.S. Multifactor Fund (USMF)

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

WisdomTree U.S. SmallCap Dividend Fund (DES)

(formerly, WisdomTree SmallCap Dividend Fund)

WisdomTree U.S. SmallCap Earnings Fund (EES)

(formerly, WisdomTree SmallCap Earnings Fund)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

WisdomTree U.S. Total Dividend Fund (DTD)

(formerly, WisdomTree Total Dividend Fund)

WisdomTree U.S. Total Earnings Fund (EXT)

(formerly, WisdomTree Total Earnings Fund)


Table of Contents

Table of Contents

 

Performance Summaries (unaudited)

       1  

Description of Indexes (unaudited)

       15  

Shareholder Expense Examples (unaudited)

       17  
Schedules of Investments (unaudited)     

WisdomTree U.S. Dividend ex-Financials Fund

       19  

WisdomTree U.S. Earnings 500 Fund

       21  

WisdomTree U.S. High Dividend Fund

       28  

WisdomTree U.S. LargeCap Dividend Fund

       34  

WisdomTree U.S. LargeCap Value Fund

       39  

WisdomTree U.S. MidCap Dividend Fund

       43  

WisdomTree U.S. MidCap Earnings Fund

       49  

WisdomTree U.S. Multifactor Fund

       56  

WisdomTree U.S. Quality Dividend Growth Fund

       59  

WisdomTree U.S. SmallCap Dividend Fund

       63  

WisdomTree U.S. SmallCap Earnings Fund

       71  

WisdomTree U.S. SmallCap Quality Dividend Growth Fund

       80  

WisdomTree U.S. Total Dividend Fund

       84  

WisdomTree U.S. Total Earnings Fund

       94  

Statements of Assets and Liabilities (unaudited)

       107  

Statements of Operations (unaudited)

       110  

Statements of Changes in Net Assets (unaudited)

       113  

Financial Highlights (unaudited)

       118  

Notes to Financial Statements (unaudited)

       125  

Approval of Investment Advisory and Sub-Advisory Agreements (unaudited)

       135  

General Information (unaudited)

       139  

“WisdomTree” is a registered mark of WisdomTree Investments, Inc. and is licensed for use by the WisdomTree Trust.


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

(formerly, WisdomTree Dividend ex-Financials Fund)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Utilities

    16.0%  

Energy

    12.0%  

Health Care

    12.0%  

Consumer Discretionary

    11.8%  

Information Technology

    11.2%  

Industrials

    10.9%  

Materials

    10.3%  

Consumer Staples

    10.1%  

Telecommunication Services

    5.4%  

Investment Company

    0.1%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

CenturyLink, Inc.

    2.3%  

DowDuPont, Inc.

    2.2%  

Targa Resources Corp.

    2.2%  

AbbVie, Inc.

    2.0%  

Avangrid, Inc.

    2.0%  

Philip Morris International, Inc.

    1.9%  

Las Vegas Sands Corp.

    1.8%  

Entergy Corp.

    1.8%  

CenterPoint Energy, Inc.

    1.7%  

PPL Corp.

    1.7%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. Dividend ex-Financials Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Dividend ex-Financials Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     4.00     11.23     8.43     12.15     7.27     8.52

Fund Market Price Returns

     3.89     11.15     8.39     12.12     7.27     8.50

WisdomTree Dividend Top 100/U.S. Dividend ex-Financials Spliced Index2

     4.18     11.70     8.87     12.59     7.67     8.93

Dow Jones U.S. Select Dividend IndexSM

     4.60     13.21     12.26     14.28     7.50     8.05
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

2 

WisdomTree Dividend Top 100 Index through May 7, 2009; WisdomTree U.S. Dividend ex-Financials Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Domestic Equity Funds      1  


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. Earnings 500 Fund (EPS)

(formerly, WisdomTree Earnings 500 Fund)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    22.0%  

Financials

    20.1%  

Health Care

    13.7%  

Consumer Discretionary

    12.2%  

Industrials

    10.4%  

Consumer Staples

    8.7%  

Telecommunication Services

    3.2%  

Utilities

    3.1%  

Materials

    2.9%  

Real Estate

    2.0%  

Energy

    1.5%  

Investment Company

    0.2%  

Other Assets less Liabilities

    0.0%

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

 

* Represents less than 0.1%.

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Apple, Inc.

    5.8%  

Berkshire Hathaway, Inc., Class B

    2.4%  

JPMorgan Chase & Co.

    2.2%  

Alphabet, Inc., Class A

    2.2%  

Microsoft Corp.

    1.9%  

Wells Fargo & Co.

    1.9%  

Johnson & Johnson

    1.8%  

Bank of America Corp.

    1.6%  

Gilead Sciences, Inc.

    1.6%  

Citigroup, Inc.

    1.5%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. Earnings 500 Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Earnings 500 Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     7.91     22.06     10.37     13.96     7.35     7.52

Fund Market Price Returns

     7.82     21.92     10.34     13.98     7.35     7.51

WisdomTree U.S. Earnings 500 Index

     8.08     22.48     10.67     14.29     7.66     7.83

S&P 500® Index

     7.71     18.61     10.81     14.22     7.44     7.62
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on February 23, 2007.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

2   WisdomTree Domestic Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. High Dividend Fund (DHS)

(formerly, WisdomTree High Dividend Fund)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Consumer Staples

    16.6%  

Real Estate

    12.1%  

Health Care

    12.0%  

Energy

    10.3%  

Utilities

    10.1%  

Information Technology

    8.4%  

Telecommunication Services

    8.1%  

Industrials

    7.0%  

Consumer Discretionary

    7.0%  

Financials

    5.9%  

Materials

    2.0%  

Investment Company

    0.3%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

AT&T, Inc.

    4.3%  

Exxon Mobil Corp.

    4.2%  

Johnson & Johnson

    3.7%  

Verizon Communications, Inc.

    3.3%  

Chevron Corp.

    3.0%  

Pfizer, Inc.

    3.0%  

Philip Morris International, Inc.

    2.9%  

Procter & Gamble Co. (The)

    2.8%  

Wells Fargo & Co.

    2.7%  

Wal-Mart Stores, Inc.

    2.5%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. High Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. High Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     3.73     8.62     9.31     11.83     5.68     6.90

Fund Market Price Returns

     3.56     8.41     9.23     11.80     5.68     6.89

WisdomTree U.S. High Dividend Index

     3.90     9.06     9.75     12.23     6.08     7.26

Russell 1000® Value Index

     4.50     15.12     8.53     13.20     5.92     7.26
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Domestic Equity Funds      3  


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

(formerly, WisdomTree LargeCap Dividend Fund)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    16.8%  

Consumer Staples

    13.7%  

Health Care

    13.0%  

Financials

    12.4%  

Industrials

    10.5%  

Consumer Discretionary

    8.3%  

Energy

    7.5%  

Utilities

    5.6%  

Telecommunication Services

    5.3%  

Real Estate

    4.1%  

Materials

    2.6%  

Investment Company

    0.1%  

Other Assets less Liabilities

    0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Apple, Inc.

    4.0%  

Microsoft Corp.

    3.5%  

AT&T, Inc.

    2.8%  

Exxon Mobil Corp.

    2.8%  

Johnson & Johnson

    2.4%  

Verizon Communications, Inc.

    2.2%  

Chevron Corp.

    2.0%  

Pfizer, Inc.

    2.0%  

Philip Morris International, Inc.

    1.9%  

Procter & Gamble Co. (The)

    1.9%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. LargeCap Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. LargeCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market

price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     6.13     15.87     9.89     12.73     6.57     7.90

Fund Market Price Returns

     6.05     15.76     9.85     12.71     6.57     7.87

WisdomTree U.S. LargeCap Dividend Index

     6.30     16.24     10.20     13.05     6.94     8.25

S&P 500® Index

     7.71     18.61     10.81     14.22     7.44     8.68
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

4   WisdomTree Domestic Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. LargeCap Value Fund (EZY)

(formerly, WisdomTree LargeCap Value Fund)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Financials

    24.3%  

Industrials

    19.4%  

Information Technology

    11.5%  

Consumer Discretionary

    11.4%  

Health Care

    11.0%  

Consumer Staples

    8.8%  

Telecommunication Services

    5.9%  

Utilities

    4.8%  

Materials

    2.7%  

Real Estate

    0.1%  

Investment Company

    0.1%  

Other Assets less Liabilities

    0.0%

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

 

* Represents less than 0.1%.

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Wal-Mart Stores, Inc.

    6.0%  

AT&T, Inc.

    5.2%  

UnitedHealth Group, Inc.

    3.7%  

JPMorgan Chase & Co.

    3.5%  

Berkshire Hathaway, Inc., Class B

    3.5%  

Bank of America Corp.

    3.4%  

Baxter International, Inc.

    3.2%  

Time Warner, Inc.

    2.2%  

QUALCOMM, Inc.

    2.0%  

Goldman Sachs Group, Inc. (The)

    1.8%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. LargeCap Value Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. LargeCap Value Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     8.99     21.89     9.07     12.13     5.79     5.84

Fund Market Price Returns

     8.79     21.64     9.03     12.11     5.76     5.84

WisdomTree Low P/E/U.S. LargeCap Value Spliced Index2

     9.22     22.39     9.48     12.54     6.20     6.21

Russell 1000® Value Index

     4.50     15.12     8.53     13.20     5.92     5.89
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on February 23, 2007.

2 

WisdomTree Low P/E Index through June 19, 2009; WisdomTree U.S. LargeCap Value Index thereafter.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Domestic Equity Funds      5  


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. MidCap Dividend Fund (DON)

(formerly, WisdomTree MidCap Dividend Fund)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    20.1%  

Real Estate

    16.0%  

Industrials

    13.9%  

Utilities

    12.1%  

Materials

    10.3%  

Financials

    9.1%  

Information Technology

    8.5%  

Energy

    4.5%  

Consumer Staples

    2.9%  

Health Care

    2.0%  

Telecommunication Services

    0.4%  

Investment Company

    0.0%

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

 

* Represents less than 0.1%.

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Targa Resources Corp.

    1.5%  

CenterPoint Energy, Inc.

    1.3%  

Andeavor

    1.2%  

Gap, Inc. (The)

    1.1%  

Coach, Inc.

    1.0%  

Macquarie Infrastructure Corp.

    0.9%  

Wynn Resorts Ltd.

    0.8%  

Pinnacle West Capital Corp.

    0.8%  

CF Industries Holdings, Inc.

    0.8%  

Eastman Chemical Co.

    0.8%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. MidCap Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. MidCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     3.71     12.67     11.49     15.08     9.16     9.50

Fund Market Price Returns

     3.68     12.58     11.46     15.07     9.16     9.53

WisdomTree U.S. MidCap Dividend Index

     3.89     13.13     11.90     15.46     9.44     9.59

S&P MidCap 400® Index

     5.26     17.52     11.18     14.43     9.00     9.80
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

6   WisdomTree Domestic Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. MidCap Earnings Fund (EZM)

(formerly, WisdomTree MidCap Earnings Fund)

 

Sector Breakdown as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    21.5%  

Consumer Discretionary

    18.5%  

Financials

    16.1%  

Information Technology

    13.2%  

Real Estate

    8.1%  

Health Care

    6.7%  

Materials

    6.0%  

Consumer Staples

    5.1%  

Utilities

    4.1%  

Investment Company

    0.4%  

Energy

    0.4%  

Telecommunication Services

    0.1%  

Other Assets less Liabilities

    -0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

USG Corp.

    1.2%  

First Solar, Inc.

    0.8%  

Pilgrim’s Pride Corp.

    0.8%  

United Therapeutics Corp.

    0.8%  

Santander Consumer USA Holdings, Inc.

    0.8%  

Owens Corning

    0.7%  

Office Depot, Inc.

    0.7%  

ManpowerGroup, Inc.

    0.7%  

Toll Brothers, Inc.

    0.7%  

Navient Corp.

    0.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. MidCap Earnings Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. MidCap Earnings Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     6.06     18.27     9.94     14.95     10.03     9.34

Fund Market Price Returns

     5.87     18.10     9.93     14.96     10.04     9.34

WisdomTree U.S. MidCap Earnings Index

     6.24     18.69     10.25     15.25     10.29     9.58

S&P MidCap 400® Index

     5.26     17.52     11.18     14.43     9.00     8.74
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on February 23, 2007.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Domestic Equity Funds      7  


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. Multifactor Fund (USMF)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    23.7%  

Financials

    14.5%  

Health Care

    13.9%  

Consumer Discretionary

    12.9%  

Industrials

    9.9%  

Consumer Staples

    8.0%  

Energy

    6.1%  

Materials

    3.1%  

Utilities

    3.0%  

Real Estate

    3.0%  

Telecommunication Services

    2.2%  

Other Assets less Liabilities

    -0.3%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Chevron Corp.

    1.4%  

Exxon Mobil Corp.

    1.4%  

Waste Management, Inc.

    1.3%  

Progressive Corp. (The)

    1.2%  

Allstate Corp. (The)

    1.2%  

Travelers Cos., Inc. (The)

    1.2%  

Monsanto Co.

    1.2%  

Northrop Grumman Corp.

    1.2%  

Boeing Co. (The)

    1.2%  

Lockheed Martin Corp.

    1.2%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. Multifactor Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Multifactor Index.

The Fund had less than six months of operating history at the end of the reporting period and therefore no comparative performance information is shown in this shareholder report. Comparative performance information for the most recent month-end is available at www.wisdomtree.com.

 

8   WisdomTree Domestic Equity Funds


Table of Contents

Performance Summary (unaudited)

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

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    20.9%  

Health Care

    20.6%  

Industrials

    20.1%  

Consumer Discretionary

    17.1%  

Consumer Staples

    12.3%  

Financials

    5.2%  

Materials

    3.2%  

Energy

    0.4%  

Real Estate

    0.1%  

Other Assets less Liabilities

    0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Johnson & Johnson

    5.9%  

Apple, Inc.

    4.2%  

Microsoft Corp.

    3.7%  

AbbVie, Inc.

    3.5%  

PepsiCo, Inc.

    2.7%  

Altria Group, Inc.

    2.7%  

Boeing Co. (The)

    2.6%  

Home Depot, Inc. (The)

    2.4%  

McDonald’s Corp.

    2.4%  

Amgen, Inc.

    2.3%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. Quality Dividend Growth Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      Since
Inception1
 

Fund NAV Returns

       8.67      20.61      11.61      12.58

Fund Market Price Returns

       8.61      20.47      11.57      12.56

WisdomTree U.S. Quality Dividend Growth Index

       8.86      21.06      11.93      12.91

NASDAQ U.S. Dividend Achievers Select Index

       6.53      15.48      9.64      10.10
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on May 22, 2013.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Domestic Equity Funds      9  


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. SmallCap Dividend Fund (DES)

(formerly, WisdomTree SmallCap Dividend Fund)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    19.1%  

Consumer Discretionary

    18.6%  

Real Estate

    14.1%  

Financials

    11.0%  

Utilities

    9.3%  

Materials

    7.7%  

Information Technology

    6.2%  

Energy

    5.0%  

Consumer Staples

    4.6%  

Health Care

    2.2%  

Telecommunication Services

    1.6%  

Investment Company

    0.4%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

CVR Energy, Inc.

    1.6%  

Vector Group Ltd.

    1.6%  

Pattern Energy Group, Inc.

    1.5%  

Covanta Holding Corp.

    1.1%  

Kronos Worldwide, Inc.

    1.1%  

Pitney Bowes, Inc.

    1.0%  

GameStop Corp., Class A

    1.0%  

PBF Energy, Inc., Class A

    1.0%  

Domtar Corp.

    0.9%  

Avista Corp.

    0.9%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. SmallCap Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. SmallCap Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     5.76     14.98     12.31     14.16     8.30     8.41

Fund Market Price Returns

     5.84     14.97     12.33     14.11     8.30     8.41

WisdomTree U.S. SmallCap Dividend Index

     5.94     15.37     12.54     14.25     8.57     8.51

Russell 2000® Index

     8.27     20.74     12.18     13.79     7.85     8.50
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

10   WisdomTree Domestic Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. SmallCap Earnings Fund (EES)

(formerly, WisdomTree SmallCap Earnings Fund)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Consumer Discretionary

    22.1%  

Industrials

    21.1%  

Financials

    21.0%  

Health Care

    11.0%  

Information Technology

    9.0%  

Materials

    4.0%  

Real Estate

    3.9%  

Consumer Staples

    3.9%  

Utilities

    1.7%  

Telecommunication Services

    1.2%  

Energy

    0.7%  

Investment Company

    0.3%  

Other Assets less Liabilities

    0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Meritor, Inc.

    3.3%  

Premier, Inc., Class A

    1.4%  

American Axle & Manufacturing Holdings, Inc.

    0.9%  

PDL BioPharma, Inc.

    0.8%  

Eldorado Resorts, Inc.

    0.8%  

Hyatt Hotels Corp., Class A

    0.7%  

Greenbrier Cos., Inc. (The)

    0.6%  

Ferro Corp.

    0.6%  

Myriad Genetics, Inc.

    0.6%  

Wabash National Corp.

    0.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. SmallCap Earnings Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. SmallCap Earnings Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

      Average Annual Total Return  
      6-Month*     1 Year     3 Year     5 Year     10 Year     Since
Inception1
 

Fund NAV Returns

     9.13     24.40     12.55     14.74     9.96     8.55

Fund Market Price Returns

     9.05     24.42     12.56     14.72     9.97     8.53

WisdomTree U.S. SmallCap Earnings Index

     9.23     24.70     12.73     14.90     10.06     8.66

Russell 2000® Index

     8.27     20.74     12.18     13.79     7.85     7.20
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on February 23, 2007.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Domestic Equity Funds      11  


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Industrials

    25.7%  

Consumer Discretionary

    23.8%  

Financials

    16.7%  

Materials

    9.4%  

Information Technology

    8.1%  

Consumer Staples

    5.3%  

Health Care

    3.1%  

Utilities

    2.8%  

Real Estate

    2.6%  

Energy

    1.2%  

Telecommunication Services

    1.1%  

Other Assets less Liabilities

    0.2%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Compass Minerals International, Inc.

    1.8%  

ILG, Inc.

    1.7%  

Pitney Bowes, Inc.

    1.6%  

GameStop Corp., Class A

    1.6%  

HSN, Inc.

    1.4%  

Evercore, Inc., Class A

    1.4%  

CVB Financial Corp.

    1.3%  

Hope Bancorp, Inc.

    1.2%  

Oceaneering International, Inc.

    1.2%  

Schweitzer-Mauduit International, Inc.

    1.2%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. SmallCap Quality Dividend Growth Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. SmallCap Quality Dividend Growth Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and

market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      Since
Inception1
 

Fund NAV Returns

       5.38      14.36      11.23      10.23

Fund Market Price Returns

       5.40      14.43      11.27      10.22

WisdomTree U.S. SmallCap Quality Dividend Growth Index

       5.57      14.75      11.46      10.49

Russell 2000® Index

       8.27      20.74      12.18      10.15
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on July 25, 2013.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

12   WisdomTree Domestic Equity Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. Total Dividend Fund (DTD)

(formerly, WisdomTree Total Dividend Fund)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    15.1%  

Financials

    13.2%  

Consumer Staples

    12.4%  

Health Care

    11.2%  

Industrials

    10.4%  

Consumer Discretionary

    9.2%  

Real Estate

    7.7%  

Energy

    6.8%  

Utilities

    6.0%  

Telecommunication Services

    4.5%  

Materials

    3.3%  

Investment Company

    0.1%  

Other Assets less Liabilities

    0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Apple, Inc.

    3.4%  

Microsoft Corp.

    3.0%  

AT&T, Inc.

    2.4%  

Exxon Mobil Corp.

    2.3%  

Johnson & Johnson

    2.1%  

Verizon Communications, Inc.

    1.9%  

Chevron Corp.

    1.7%  

Pfizer, Inc.

    1.7%  

Philip Morris International, Inc.

    1.6%  

Procter & Gamble Co. (The)

    1.6%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. Total Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Dividend Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      10 Year      Since
Inception1
 

Fund NAV Returns

       5.81      15.44      10.22      13.03      6.92      8.10

Fund Market Price Returns

       5.79      15.23      10.17      13.02      6.93      8.08

WisdomTree U.S. Dividend Index

       5.97      15.80      10.55      13.35      7.36      8.52

Russell 3000® Index

       7.72      18.71      10.74      14.23      7.57      8.74
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on June 16, 2006.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

WisdomTree Domestic Equity Funds      13  


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. Total Earnings Fund (EXT)

(formerly, WisdomTree Total Earnings Fund)

 

Sector Breakdown† as of 9/30/17

 

Sector   % of Net Assets  

Information Technology

    21.0%  

Financials

    20.6%  

Health Care

    13.1%  

Consumer Discretionary

    12.5%  

Industrials

    11.3%  

Consumer Staples

    8.2%  

Utilities

    3.1%  

Materials

    2.9%  

Telecommunication Services

    2.9%  

Real Estate

    2.7%  

Energy

    1.6%  

Other Assets less Liabilities

    0.1%  

Total

    100.0%  

 

The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time. In addition, a sector may be comprised of several industries.

 

Other assets includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/17

 

Description   % of Net Assets  

Apple, Inc.

    5.2%  

Berkshire Hathaway, Inc., Class B

    2.2%  

JPMorgan Chase & Co.

    2.0%  

Alphabet, Inc., Class A

    1.9%  

Wells Fargo & Co.

    1.7%  

Microsoft Corp.

    1.7%  

Johnson & Johnson

    1.6%  

Bank of America Corp.

    1.5%  

Gilead Sciences, Inc.

    1.4%  

Citigroup, Inc.

    1.4%  
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes derivatives and investment of cash collateral for securities on loan (if any).

The WisdomTree U.S. Total Earnings Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree U.S. Earnings Index.

The following performance table is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market price return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market price returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of the Fund’s portfolio securities.

An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore, index returns do not reflect deductions for fees or expenses and the index is not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes a shareholder would pay on the sale of Fund shares or on Fund distributions. As of the Fund’s current prospectus dated August 1, 2017, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/17

 

        Average Annual Total Return  
        6-Month*      1 Year      3 Year      5 Year      10 Year      Since
Inception1
 

Fund NAV Returns

       7.83      21.80      10.35      14.04      7.68      7.73

Fund Market Price Returns

       7.88      21.71      10.33      14.04      7.68      7.73

WisdomTree U.S. Earnings Index

       7.96      22.34      10.75      14.46      8.01      8.04

Russell 3000® Index

       7.72      18.71      10.74      14.23      7.57      7.63
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on February 23, 2007.

Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Fund NAV returns are calculated using the Fund’s daily 4:00 p.m. eastern time NAV. Market price returns reflect the midpoint of the bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period of less than one year are cumulative.

 

14   WisdomTree Domestic Equity Funds


Table of Contents

Description of Indexes (unaudited)

 

Below are descriptions of each Index referenced in this report:

The Dow Jones U.S. Select Dividend IndexSM is comprised of 100 U.S. dividend-paying companies.

The NASDAQ U.S. Dividend AchieversTM Select Index is a capitalization-weighted index that measures the performance of U.S. common stocks that have a history of increasing dividends for at least ten consecutive years.

The Russell 1000® Value Index is a capitalization-weighted index that is comprised of the large-capitalization value segment of the U.S. equity universe, selecting from the Russell 1000 Index.

The Russell 2000® Index is a capitalization-weighted index that is comprised of the smallest 2,000 securities in the Russell 3000 Index, based on total market capitalization.

The Russell 3000® Index is a capitalization-weighted index that is comprised of the 3,000 largest U.S. companies, based on total market capitalization.

The S&P 500® Index is a capitalization-weighted index of 500 stocks selected by the Standard & Poor’s Index Committee, designed to represent the performance of the leading industries in the United States economy.

The S&P MidCap 400® Index is a capitalization-weighted index that is comprised of the mid-capitalization range of the U.S. stock market, with stocks selected by the Standard & Poor’s Index Committee.

The WisdomTree Dividend Top 100 Index is comprised of the 100 highest dividend-yielding companies in the WisdomTree U.S. LargeCap Dividend Index.

The WisdomTree Low P/E Index is comprised of companies with the lowest price-to- earnings ratios (P/E ratios) in the WisdomTree U.S. Earnings Index.

The WisdomTree U.S. Dividend ex-Financials Index is comprised of high dividend-yielding stocks outside the Financials sector.

The WisdomTree U.S. Dividend Index defines the dividend-paying portion of the U.S. stock market.

The WisdomTree U.S. Earnings 500 Index is comprised of earnings-generating companies within the large-capitalization segment of the U.S. stock market.

The WisdomTree U.S. Earnings Index is comprised of earnings-generating companies within the broad U.S. stock market.

The WisdomTree U.S. High Dividend Index is comprised of companies with high dividend yields, selected from the WisdomTree U.S. Dividend Index.

The WisdomTree U.S. LargeCap Dividend Index is comprised of the large-capitalization segment of the U.S. dividend-paying market, selected from the WisdomTree U.S. Dividend Index.

The WisdomTree U.S. LargeCap Value Index is comprised of the large-capitalization value segment within the earnings-generating companies of the U.S. stock market.

The WisdomTree U.S. MidCap Dividend Index is comprised of the mid-capitalization segment of the U.S. dividend-paying market, selected from the WisdomTree U.S. Dividend Index.

The WisdomTree U.S. MidCap Earnings Index is comprised of earnings-generating companies within the mid-capitalization segment of the U.S. stock market.

The WisdomTree U.S. Multifactor Index is comprised of 200 U.S. companies with the highest composite scores based on two fundamental factors, value and quality measures, and two technical factors, momentum and correlation.

The WisdomTree U.S. Quality Dividend Growth Index is comprised of dividend-paying stocks with growth characteristics.

 

WisdomTree Domestic Equity Funds      15  


Table of Contents

Description of Indexes (unaudited) (concluded)

 

The WisdomTree U.S. SmallCap Dividend Index is comprised of the small-capitalization segment of the U.S. dividend-paying market, selected from the WisdomTree U.S. Dividend Index.

The WisdomTree U.S. SmallCap Earnings Index is comprised of earnings-generating companies within the small-capitalization segment of the U.S. stock market.

The WisdomTree U.S. SmallCap Quality Dividend Growth Index is comprised of the small-capitalization segment of dividend-paying stocks with growth characteristics.

Index performance information assumes the reinvestment of dividends and excludes management fees, transaction costs and expenses. You cannot directly invest in an index.

The Dow Jones U.S. Select Dividend Index is calculated, distributed and marketed by Dow Jones Indexes, a licensed trademark of CME Group Index Services LLC, and has been licensed for use.

The Global Industry Classification Standard (“GICS”) was developed by and is the exclusive property and a service mark of MSCI Inc. (“MSCI”) and Standard & Poor’s (“S&P”), a division of The McGraw-Hill Companies, Inc., and is licensed for use by WisdomTree Investments, Inc. Neither MSCI, S&P nor any other party involved in making or compiling the GICS or any GICS classifications makes any express or implied warranties or representations with respect to such standard or classification (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability and fitness for a particular purpose with respect to any such standard or classification. Without limiting any of the foregoing, in no event shall MSCI, S&P, any of their affiliates or any third party involved in making or compiling the GICS or any GICS classifications have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

Neither MSCI nor any other party involved in or related to compiling, computing or creating the

MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI’s express written consent.

WisdomTree Investments, Inc. and WisdomTree Asset Management, Inc. (together, “WisdomTree”) and the Funds make no representation or warranty, express or implied, to the owners of shares of the Funds or any member of the public regarding the advisability of investing in securities generally or in the Funds particularly or the ability of the underlying Indexes to track the performance of their underlying securities. WisdomTree Investments is the licensor of certain trademarks, service marks and trade names of the Funds. WisdomTree Investments has no obligation to take the needs of the Funds or the owners of shares of the Funds into consideration in determining, composing, or calculating the underlying WisdomTree Indexes of the applicable Funds. WisdomTree Investments is not responsible for, and has not participated in, the determination of the timing of, prices of, or quantities of shares of the Funds to be issued or in the determination or calculation of the equation by which the shares of the Funds are redeemable. WisdomTree and the Funds do not guarantee the accuracy, completeness, or performance of the underlying Indexes or the data included therein and shall have no liability in connection with the underlying Indexes or their calculation.

 

16   WisdomTree Domestic Equity Funds


Table of Contents

Shareholder Expense Examples (unaudited)

 

As a shareholder of a WisdomTree Fund, you incur two types of cost: (1) transaction costs, including brokerage commissions on purchases and sales of your Fund shares and (2) ongoing costs, including management fees and other Fund expenses. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds.

The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from April 1, 2017 to September 30, 2017.

Actual expenses

The first line under each Fund in the table on the next page provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line for your Fund under the heading entitled “Expenses Paid During the Period 4/1/17 to 9/30/17” to estimate the expenses you paid on your account during the period.

Hypothetical example for comparison purposes

The second line under each Fund in the table on the next page provides information about hypothetical account values and hypothetical expenses based on each Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

WisdomTree Domestic Equity Funds      17  


Table of Contents

Shareholder Expense Examples (unaudited) (concluded)

 

 

     Beginning
Account Value
4/1/17
    Ending
Account Value
9/30/17
    Annualized
Expense Ratio
Based on the
Period
4/1/17 to
9/30/17
    Expenses Paid
During the
Period†
4/1/17 to
9/30/17
 

WisdomTree U.S. Dividend ex-Financials Fund

       

Actual

  $ 1,000.00     $ 1,040.00       0.38   $ 1.94  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. Earnings 500 Fund

       

Actual

  $ 1,000.00     $ 1,079.10       0.28   $ 1.46  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.66       0.28   $ 1.42  

WisdomTree U.S. High Dividend Fund

       

Actual

  $ 1,000.00     $ 1,037.30       0.38   $ 1.94  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. LargeCap Dividend Fund

       

Actual

  $ 1,000.00     $ 1,061.30       0.28   $ 1.45  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.66       0.28   $ 1.42  

WisdomTree U.S. LargeCap Value Fund

       

Actual

  $ 1,000.00     $ 1,089.90       0.38   $ 1.99  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. MidCap Dividend Fund

       

Actual

  $ 1,000.00     $ 1,037.10       0.38   $ 1.94  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. MidCap Earnings Fund

       

Actual

  $ 1,000.00     $ 1,060.60       0.38   $ 1.96  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. Multifactor Fund

       

Actual1

  $ 1,000.00     $ 1,053.20       0.28   $ 0.74  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.66       0.28   $ 1.42  

WisdomTree U.S. Quality Dividend Growth Fund

       

Actual

  $ 1,000.00     $ 1,086.70       0.28   $ 1.46  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.66       0.28   $ 1.42  

WisdomTree U.S. SmallCap Dividend Fund

       

Actual

  $ 1,000.00     $ 1,057.60       0.38   $ 1.96  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. SmallCap Earnings Fund

       

Actual

  $ 1,000.00     $ 1,091.30       0.38   $ 1.99  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. SmallCap Quality Dividend Growth Fund

       

Actual

  $ 1,000.00     $ 1,053.80       0.38   $ 1.96  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.16       0.38   $ 1.93  

WisdomTree U.S. Total Dividend Fund

       

Actual

  $ 1,000.00     $ 1,058.10       0.28   $ 1.44  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.66       0.28   $ 1.42  

WisdomTree U.S. Total Earnings Fund

       

Actual

  $ 1,000.00     $ 1,078.30       0.28   $ 1.46  

Hypothetical (5% return before expenses)

  $ 1,000.00     $ 1,023.66       0.28   $ 1.42  
Unless otherwise indicated in the footnotes below, expenses are calculated using each Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/365 (to reflect the one-half year period).

 

1 

Fund commenced operations on June 29, 2017. Actual expenses are calculated using the Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 94/365 (to reflect the period since commencement of operations).

 

18   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%  
United States – 99.7%  
Aerospace & Defense – 2.6%  

Boeing Co. (The)

     52,933      $ 13,456,098  

Lockheed Martin Corp.

     30,323        9,408,924  
     

 

 

 
Total Aerospace & Defense        22,865,022  
Air Freight & Logistics – 0.9%  

United Parcel Service, Inc. Class B

     63,782        7,659,580  
Automobiles – 3.1%  

Ford Motor Co.

     1,101,031        13,179,341  

General Motors Co.

     336,346        13,581,652  
     

 

 

 
Total Automobiles        26,760,993  
Beverages – 2.3%  

Coca-Cola Co. (The)

     233,390        10,504,884  

PepsiCo, Inc.

     81,669        9,100,377  
     

 

 

 
Total Beverages        19,605,261  
Biotechnology – 4.1%  

AbbVie, Inc.

     194,559        17,288,513  

Amgen, Inc.

     55,030        10,260,343  

Gilead Sciences, Inc.

     99,548        8,065,379  
     

 

 

 
Total Biotechnology        35,614,235  
Chemicals – 5.8%  

Air Products & Chemicals, Inc.

     46,115        6,973,510  

DowDuPont, Inc.

     275,532        19,075,080  

Eastman Chemical Co.

     93,212        8,434,754  

Mosaic Co. (The)

     372,808        8,048,925  

Praxair, Inc.

     56,506        7,896,149  
     

 

 

 
Total Chemicals        50,428,418  
Communications Equipment – 1.3%  

Cisco Systems, Inc.

     334,163        11,237,902  
Containers & Packaging – 3.7%  

International Paper Co.

     202,729        11,519,062  

Packaging Corp. of America

     96,947        11,117,882  

WestRock Co.

     172,712        9,797,952  
Total Containers & Packaging        32,434,896  
Diversified Telecommunication Services – 5.4%  

AT&T, Inc.

     354,174        13,872,996  

CenturyLink, Inc.(a)

     1,065,245        20,133,130  

Verizon Communications, Inc.

     253,636        12,552,446  
     

 

 

 
Total Diversified Telecommunication Services        46,558,572  
Electric Utilities – 12.9%  

American Electric Power Co., Inc.

     181,933        12,778,974  

Avangrid, Inc.

     359,097        17,028,380  

Duke Energy Corp.

     170,135        14,277,729  

Entergy Corp.

     198,407        15,150,358  

Exelon Corp.

     311,951        11,751,194  

FirstEnergy Corp.

     414,714        12,785,633  

PPL Corp.

     382,154        14,502,744  

Southern Co. (The)

     278,620        13,691,387  
     

 

 

 
Total Electric Utilities        111,966,399  
Electrical Equipment – 1.3%  

Emerson Electric Co.

     176,879      11,115,076  
Energy Equipment & Services – 0.9%  

Helmerich & Payne, Inc.(a)

     146,086        7,612,541  
Food Products – 2.5%  

General Mills, Inc.

     139,734        7,232,632  

Kellogg Co.

     111,378        6,946,646  

Kraft Heinz Co. (The)

     98,274        7,621,148  
     

 

 

 
Total Food Products        21,800,426  
Health Care Equipment & Supplies – 1.2%  

Abbott Laboratories

     197,373        10,531,823  
Health Care Providers & Services – 0.8%  

Cardinal Health, Inc.

     99,806        6,679,018  
Hotels, Restaurants & Leisure – 3.0%  

Las Vegas Sands Corp.

     241,202        15,475,520  

Yum! Brands, Inc.

     143,437        10,558,398  
     

 

 

 
Total Hotels, Restaurants & Leisure        26,033,918  
Household Products – 2.2%  

Kimberly-Clark Corp.

     79,415        9,345,557  

Procter & Gamble Co. (The)

     110,334        10,038,188  
     

 

 

 
Total Household Products        19,383,745  
Industrial Conglomerates – 1.8%  

3M Co.

     41,489        8,708,541  

General Electric Co.

     268,734        6,497,988  
     

 

 

 
Total Industrial Conglomerates        15,206,529  
IT Services – 2.9%  

International Business Machines Corp.

     58,571        8,497,480  

Paychex, Inc.

     148,230        8,887,871  

Western Union Co. (The)

     390,674        7,500,941  
     

 

 

 
Total IT Services        24,886,292  
Leisure Products – 0.8%  

Mattel, Inc.

     470,559        7,284,253  
Machinery – 3.6%  

Caterpillar, Inc.

     98,780        12,318,854  

Cummins, Inc.

     60,082        10,095,578  

Dover Corp.

     94,622        8,647,505  
     

 

 

 
Total Machinery        31,061,937  
Metals & Mining – 0.7%  

Nucor Corp.

     108,053        6,055,290  
Multi-Utilities – 3.1%  

CenterPoint Energy, Inc.

     504,148        14,726,163  

Public Service Enterprise Group, Inc.

     258,289        11,945,866  
     

 

 

 
Total Multi-Utilities        26,672,029  
Multiline Retail – 1.6%  

Kohl’s Corp.

     185,166        8,452,828  

Macy’s, Inc.

     238,739        5,209,285  
     

 

 

 
Total Multiline Retail        13,662,113  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      19  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Oil, Gas & Consumable Fuels – 11.2%  

Chevron Corp.

     98,295      $ 11,549,662  

Exxon Mobil Corp.

     111,818        9,166,840  

Marathon Petroleum Corp.

     182,518        10,235,609  

Occidental Petroleum Corp.

     183,651        11,792,231  

ONEOK, Inc.

     237,044        13,134,608  

Phillips 66

     101,129        9,264,428  

Targa Resources Corp.

     402,990        19,061,427  

Valero Energy Corp.

     159,457        12,267,027  
     

 

 

 
Total Oil, Gas & Consumable Fuels        96,471,832  
Pharmaceuticals – 5.8%  

Bristol-Myers Squibb Co.

     136,272        8,685,977  

Eli Lilly & Co.

     129,000        11,034,660  

Johnson & Johnson

     73,020        9,493,330  

Merck & Co., Inc.

     142,266        9,109,292  

Pfizer, Inc.

     341,664        12,197,405  
     

 

 

 
Total Pharmaceuticals        50,520,664  
Semiconductors & Semiconductor Equipment – 2.1%  

Maxim Integrated Products, Inc.

     244,376        11,659,179  

QUALCOMM, Inc.

     133,559        6,923,699  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        18,582,878  
Software – 1.1%  

CA, Inc.

     285,622        9,534,062  
Specialty Retail – 2.0%  

Gap, Inc. (The)

     404,884        11,956,224  

L Brands, Inc.

     127,319        5,297,744  
     

 

 

 
Total Specialty Retail        17,253,968  
Technology Hardware, Storage & Peripherals – 3.8%  

HP, Inc.

     639,634        12,767,095  

Western Digital Corp.

     135,776        11,731,046  

Xerox Corp.

     249,600        8,309,184  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        32,807,325  
Textiles, Apparel & Luxury Goods – 1.3%  

Coach, Inc.

     269,526        10,856,507  
Tobacco – 3.1%  

Altria Group, Inc.

     162,736        10,320,717  

Philip Morris International, Inc.

     146,552        16,268,738  
     

 

 

 
Total Tobacco        26,589,455  
Trading Companies & Distributors – 0.8%  

Fastenal Co.

     148,466        6,767,080  

TOTAL COMMON STOCKS

(Cost: $769,579,464)

 

 

     862,500,039  
EXCHANGE-TRADED FUNDS – 0.1%  
United States – 0.1%  

WisdomTree U.S. LargeCap Dividend Fund(b)

     6,258        543,445  

WisdomTree U.S. MidCap Dividend Fund(b)

     5,446        544,328  
     

 

 

 

TOTAL EXCHANGE-TRADED FUNDS

(Cost: $1,046,527)

 

 

     1,087,773  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.5%  
United States – 2.5%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $21,301,748)(d)      21,301,748      21,301,748  

TOTAL INVESTMENTS IN SECURITIES – 102.3%

(Cost: $791,927,739)

 

 

     884,889,560  

Other Assets less Liabilities – (2.3)%

 

     (19,829,960
     

 

 

 
NET ASSETS – 100.0%      $ 865,059,600  
(a)

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b)

Affiliated company (See Note 3).

 

(c)

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d)

At September 30, 2017, the total market value of the Fund’s securities on loan was $23,563,375 and the total market value of the collateral held by the Fund was $24,273,391. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,971,643.

 

See Notes to Financial Statements.

 

20   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. Earnings 500 Fund (EPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%  
United States – 99.8%  
Aerospace & Defense – 2.7%  

Boeing Co. (The)

     3,775      $ 959,643  

General Dynamics Corp.

     2,325        477,974  

Huntington Ingalls Industries, Inc.

     327        74,046  

L3 Technologies, Inc.

     558        105,144  

Lockheed Martin Corp.

     1,966        610,030  

Northrop Grumman Corp.

     1,174        337,783  

Raytheon Co.

     2,131        397,602  

Rockwell Collins, Inc.

     1,013        132,409  

Spirit AeroSystems Holdings, Inc. Class A

     1,325        102,979  

Textron, Inc.

     2,321        125,055  

TransDigm Group, Inc.

     306        78,229  

United Technologies Corp.

     4,623        536,638  
     

 

 

 
Total Aerospace & Defense        3,937,532  
Air Freight & Logistics – 0.9%  

C.H. Robinson Worldwide, Inc.

     918        69,860  

Expeditors International of Washington, Inc.

     1,085        64,948  

FedEx Corp.

     1,906        429,956  

United Parcel Service, Inc. Class B

     5,749        690,397  
     

 

 

 
Total Air Freight & Logistics        1,255,161  
Airlines – 1.5%  

Alaska Air Group, Inc.

     1,319        100,600  

American Airlines Group, Inc.

     15,431        732,818  

Delta Air Lines, Inc.

     12,195        588,043  

JetBlue Airways Corp.*

     4,595        85,145  

Southwest Airlines Co.

     6,149        344,221  

United Continental Holdings, Inc.*

     4,835        294,355  
     

 

 

 
Total Airlines        2,145,182  
Auto Components – 0.2%  

BorgWarner, Inc.

     1,795        91,958  

Goodyear Tire & Rubber Co. (The)

     1,560        51,870  

Lear Corp.

     928        160,618  
     

 

 

 
Total Auto Components        304,446  
Automobiles – 2.1%  

Ford Motor Co.

     74,420        890,808  

General Motors Co.

     49,240        1,988,311  

Harley-Davidson, Inc.

     1,544        74,436  
     

 

 

 
Total Automobiles        2,953,555  
Banks – 9.5%  

Bank of America Corp.

     91,833        2,327,048  

BB&T Corp.

     5,975        280,466  

CIT Group, Inc.

     2,023        99,228  

Citigroup, Inc.

     30,454        2,215,224  

Citizens Financial Group, Inc.

     3,659        138,566  

Comerica, Inc.

     849        64,745  

East West Bancorp, Inc.

     1,059        63,307  

Fifth Third Bancorp

     8,789        245,916  

First Republic Bank

     834        87,120  

Huntington Bancshares, Inc.

     6,086        84,961  

JPMorgan Chase & Co.

     33,643        3,213,243  

KeyCorp

     5,675      106,804  

M&T Bank Corp.

     997        160,557  

PNC Financial Services Group, Inc. (The)

     4,283        577,220  

Regions Financial Corp.

     9,779        148,934  

Signature Bank*

     323        41,357  

SunTrust Banks, Inc.

     4,469        267,112  

SVB Financial Group*

     299        55,940  

U.S. Bancorp

     14,595        782,146  

Wells Fargo & Co.

     49,128        2,709,409  

Zions Bancorp

     1,116        52,653  
     

 

 

 
Total Banks        13,721,956  
Beverages – 1.9%  

Brown-Forman Corp. Class B

     3,177        172,511  

Coca-Cola Co. (The)

     23,179        1,043,287  

Constellation Brands, Inc. Class A

     1,058        211,018  

Dr. Pepper Snapple Group, Inc.

     1,272        112,534  

Molson Coors Brewing Co. Class B

     784        64,006  

Monster Beverage Corp.*

     2,022        111,715  

PepsiCo, Inc.

     8,689        968,215  
     

 

 

 
Total Beverages        2,683,286  
Biotechnology – 4.2%  

AbbVie, Inc.

     13,487        1,198,455  

Alexion Pharmaceuticals, Inc.*

     365        51,206  

Amgen, Inc.

     7,135        1,330,321  

Biogen, Inc.*

     1,825        571,444  

Bioverativ, Inc.*

     896        51,135  

Celgene Corp.*

     2,643        385,402  

Gilead Sciences, Inc.

     27,962        2,265,481  

Incyte Corp.*

     187        21,830  

Regeneron Pharmaceuticals, Inc.*

     282        126,088  
     

 

 

 
Total Biotechnology        6,001,362  
Building Products – 0.2%  

A.O. Smith Corp.

     830        49,327  

Fortune Brands Home & Security, Inc.

     913        61,381  

Lennox International, Inc.

     207        37,047  

Masco Corp.

     1,855        72,363  
     

 

 

 
Total Building Products        220,118  
Capital Markets – 3.8%  

Affiliated Managers Group, Inc.

     405        76,881  

Ameriprise Financial, Inc.

     1,450        215,340  

Bank of New York Mellon Corp. (The)

     8,864        469,969  

BlackRock, Inc.

     1,112        497,164  

Charles Schwab Corp. (The)

     5,588        244,419  

CME Group, Inc.

     1,595        216,410  

E*TRADE Financial Corp.*

     1,884        82,161  

FactSet Research Systems, Inc.

     262        47,189  

Franklin Resources, Inc.

     5,638        250,947  

Goldman Sachs Group, Inc. (The)

     3,925        930,971  

Intercontinental Exchange, Inc.

     3,277        225,130  

MarketAxess Holdings, Inc.

     87        16,052  

Moody’s Corp.

     1,215        169,140  

Morgan Stanley

     14,728        709,448  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      21  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Earnings 500 Fund (EPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

MSCI, Inc.

     448      $ 52,371  

Nasdaq, Inc.

     924        71,675  

Northern Trust Corp.

     1,505        138,355  

Raymond James Financial, Inc.

     1,016        85,679  

S&P Global, Inc.

     2,096        327,626  

SEI Investments Co.

     844        51,535  

State Street Corp.

     3,286        313,944  

T. Rowe Price Group, Inc.

     2,014        182,569  

TD Ameritrade Holding Corp.

     2,644        129,027  
     

 

 

 
Total Capital Markets        5,504,002  
Chemicals – 2.4%  

Air Products & Chemicals, Inc.

     1,386        209,591  

Albemarle Corp.

     858        116,954  

Ashland Global Holdings, Inc.

     35        2,289  

Celanese Corp. Series A

     746        77,785  

CF Industries Holdings, Inc.

     389        13,677  

DowDuPont, Inc.

     24,081        1,667,128  

Eastman Chemical Co.

     1,528        138,269  

Ecolab, Inc.

     1,199        154,203  

FMC Corp.

     81        7,234  

International Flavors & Fragrances, Inc.

     474        67,739  

Monsanto Co.

     1,915        229,455  

Mosaic Co. (The)

     1,854        40,028  

PPG Industries, Inc.

     1,108        120,395  

Praxair, Inc.

     1,666        232,807  

RPM International, Inc.

     887        45,539  

Sherwin-Williams Co. (The)

     563        201,577  

Valvoline, Inc.

     96        2,251  

Westlake Chemical Corp.

     987        82,010  
     

 

 

 
Total Chemicals        3,408,931  
Commercial Services & Supplies – 0.3%  

Cintas Corp.

     550        79,354  

Republic Services, Inc.

     1,446        95,523  

Rollins, Inc.

     593        27,361  

Waste Management, Inc.

     2,125        166,324  
     

 

 

 
Total Commercial Services & Supplies        368,562  
Communications Equipment – 1.4%  

Arista Networks, Inc.*

     225        42,662  

Cisco Systems, Inc.

     47,702        1,604,218  

CommScope Holding Co., Inc.*

     304        10,096  

F5 Networks, Inc.*

     365        44,005  

Harris Corp.

     677        89,147  

Juniper Networks, Inc.

     2,771        77,117  

Motorola Solutions, Inc.

     1,454        123,401  
     

 

 

 
Total Communications Equipment        1,990,646  
Construction & Engineering – 0.0%  

Fluor Corp.

     420        17,682  

Jacobs Engineering Group, Inc.

     433        25,231  
     

 

 

 
Total Construction & Engineering        42,913  
Construction Materials – 0.1%  

Martin Marietta Materials, Inc.

     251        51,764  

Vulcan Materials Co.

     382      45,687  
     

 

 

 
Total Construction Materials        97,451  
Consumer Finance – 1.3%  

American Express Co.

     9,931        898,358  

Capital One Financial Corp.

     5,411        458,095  

Discover Financial Services

     4,201        270,881  

Synchrony Financial

     8,173        253,772  
     

 

 

 
Total Consumer Finance        1,881,106  
Containers & Packaging – 0.3%  

Avery Dennison Corp.

     565        55,562  

Ball Corp.

     1,007        41,589  

Crown Holdings, Inc.*

     1,254        74,889  

International Paper Co.

     2,631        149,493  

Packaging Corp. of America

     698        80,047  

Sealed Air Corp.

     1,182        50,495  

WestRock Co.

     438        24,848  
     

 

 

 
Total Containers & Packaging        476,923  
Distributors – 0.1%  

Genuine Parts Co.

     995        95,172  

LKQ Corp.*

     1,915        68,921  
     

 

 

 
Total Distributors        164,093  
Diversified Financial Services – 2.4%  

Berkshire Hathaway, Inc. Class B*

     19,019        3,486,563  

Leucadia National Corp.

     466        11,767  
     

 

 

 
Total Diversified Financial Services        3,498,330  
Diversified Telecommunication Services – 3.1%  

AT&T, Inc.

     50,970        1,996,495  

CenturyLink, Inc.(a)

     4,860        91,854  

Level 3 Communications, Inc.*

     8,989        479,024  

Verizon Communications, Inc.

     37,682        1,864,882  
     

 

 

 
Total Diversified Telecommunication Services        4,432,255  
Electric Utilities – 2.0%  

Alliant Energy Corp.

     1,321        54,914  

American Electric Power Co., Inc.

     1,022        71,785  

Avangrid, Inc.

     1,831        86,826  

Duke Energy Corp.

     4,900        411,208  

Edison International

     1,741        134,353  

Entergy Corp.

     2,442        186,471  

Eversource Energy

     2,322        140,342  

Exelon Corp.

     4,923        185,449  

NextEra Energy, Inc.

     2,802        410,633  

OGE Energy Corp.

     1,200        43,236  

PG&E Corp.

     2,529        172,200  

Pinnacle West Capital Corp.

     770        65,111  

PPL Corp.

     7,430        281,969  

Southern Co. (The)

     7,019        344,914  

Westar Energy, Inc.

     767        38,043  

Xcel Energy, Inc.

     3,817        180,620  
     

 

 

 
Total Electric Utilities        2,808,074  
Electrical Equipment – 0.3%  

Acuity Brands, Inc.

     151        25,863  

 

See Notes to Financial Statements.

 

22   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Earnings 500 Fund (EPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

AMETEK, Inc.

     1,456      $ 96,154  

Emerson Electric Co.

     3,925        246,647  

Rockwell Automation, Inc.

     716        127,599  
     

 

 

 
Total Electrical Equipment        496,263  
Electronic Equipment, Instruments & Components – 0.5%  

Amphenol Corp. Class A

     1,574        133,223  

Arrow Electronics, Inc.*

     940        75,586  

CDW Corp.

     1,061        70,026  

Corning, Inc.

     12,409        371,277  

Keysight Technologies, Inc.*

     1,166        48,576  

Trimble, Inc.*

     496        19,468  
     

 

 

 
Total Electronic Equipment, Instruments & Components        718,156  
Equity Real Estate Investment Trusts (REITs) – 2.0%  

American Tower Corp.

     1,137        155,405  

Apartment Investment & Management Co. Class A

     985        43,202  

AvalonBay Communities, Inc.

     715        127,570  

Boston Properties, Inc.

     530        65,126  

Brixmor Property Group, Inc.

     1,239        23,293  

Camden Property Trust

     737        67,399  

Crown Castle International Corp.

     546        54,589  

Digital Realty Trust, Inc.

     357        42,244  

Duke Realty Corp.

     1,341        38,648  

Equinix, Inc.

     21        9,372  

Equity Residential

     8,992        592,843  

Essex Property Trust, Inc.

     171        43,439  

Extra Space Storage, Inc.

     508        40,599  

Federal Realty Investment Trust

     234        29,065  

Gaming and Leisure Properties, Inc.

     924        34,086  

GGP, Inc.

     6,205        128,878  

Host Hotels & Resorts, Inc.

     5,391        99,680  

Iron Mountain, Inc.

     184        7,158  

JBG SMITH Properties*

     288        9,852  

Kilroy Realty Corp.

     463        32,929  

Kimco Realty Corp.

     3,138        61,348  

Macerich Co. (The)

     1,710        93,999  

Mid-America Apartment Communities, Inc.

     333        35,591  

National Retail Properties, Inc.

     522        21,747  

Park Hotels & Resorts, Inc.

     1,670        46,025  

Prologis, Inc.

     2,289        145,260  

Public Storage

     686        146,797  

Realty Income Corp.

     715        40,891  

Regency Centers Corp.

     189        11,726  

SBA Communications Corp.*

     126        18,150  

Simon Property Group, Inc.

     1,351        217,525  

SL Green Realty Corp.

     339        34,347  

UDR, Inc.

     876        33,314  

Ventas, Inc.

     1,193        77,700  

Vornado Realty Trust

     576        44,283  

Welltower, Inc.

     1,679        118,000  

Weyerhaeuser Co.

     1,631        55,503  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        2,847,583  
Food & Staples Retailing – 2.8%  

Costco Wholesale Corp.

     1,994      327,594  

CVS Health Corp.

     8,657        703,987  

Kroger Co. (The)

     7,815        156,769  

Rite Aid Corp.*

     2,460        4,822  

Sysco Corp.

     2,325        125,434  

Wal-Mart Stores, Inc.

     27,822        2,174,011  

Walgreens Boots Alliance, Inc.

     6,479        500,308  
     

 

 

 
Total Food & Staples Retailing        3,992,925  
Food Products – 1.2%  

Archer-Daniels-Midland Co.

     4,606        195,801  

Campbell Soup Co.

     1,534        71,822  

Conagra Brands, Inc.

     2,182        73,621  

General Mills, Inc.

     3,475        179,866  

Hershey Co. (The)

     1,067        116,484  

Hormel Foods Corp.

     3,414        109,726  

Ingredion, Inc.

     555        66,955  

J.M. Smucker Co. (The)

     730        76,599  

Kellogg Co.

     1,452        90,561  

Kraft Heinz Co. (The)

     4,494        348,510  

McCormick & Co., Inc. Non-Voting Shares

     657        67,435  

Mondelez International, Inc. Class A

     2,753        111,937  

Tyson Foods, Inc. Class A

     3,874        272,923  
     

 

 

 
Total Food Products        1,782,240  
Gas Utilities – 0.1%  

Atmos Energy Corp.

     618        51,813  

UGI Corp.

     1,059        49,625  
     

 

 

 
Total Gas Utilities        101,438  
Health Care Equipment & Supplies – 2.0%  

Abbott Laboratories

     4,368        233,077  

Align Technology, Inc.*

     244        45,450  

Baxter International, Inc.

     14,835        930,896  

Becton, Dickinson and Co.

     798        156,368  

Boston Scientific Corp.*

     5,166        150,692  

C.R. Bard, Inc.

     389        124,675  

Cooper Cos., Inc. (The)

     191        45,288  

Danaher Corp.

     3,716        318,759  

Dentsply Sirona, Inc.

     842        50,360  

Edwards Lifesciences Corp.*

     799        87,339  

Hologic, Inc.*

     1,113        40,836  

IDEXX Laboratories, Inc.*

     262        40,738  

Intuitive Surgical, Inc.*

     154        161,066  

ResMed, Inc.

     767        59,028  

Stryker Corp.

     1,923        273,104  

Teleflex, Inc.

     220        53,233  

Varex Imaging Corp.*

     262        8,866  

Varian Medical Systems, Inc.*

     657        65,739  

Zimmer Biomet Holdings, Inc.

     450        52,691  
     

 

 

 
Total Health Care Equipment & Supplies        2,898,205  
Health Care Providers & Services – 3.1%  

Aetna, Inc.

     2,560        407,066  

AmerisourceBergen Corp.

     2,322        192,146  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      23  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Earnings 500 Fund (EPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Anthem, Inc.

     2,102      $ 399,128  

Cardinal Health, Inc.

     2,374        158,868  

Centene Corp.*

     959        92,802  

Cigna Corp.

     1,921        359,112  

DaVita, Inc.*

     2,321        137,844  

Express Scripts Holding Co.*

     5,124        324,452  

HCA Healthcare, Inc.*

     4,753        378,291  

Henry Schein, Inc.*

     854        70,019  

Humana, Inc.

     745        181,504  

Laboratory Corp. of America Holdings*

     689        104,018  

McKesson Corp.

     2,068        317,665  

Quest Diagnostics, Inc.

     1,015        95,045  

UnitedHealth Group, Inc.

     5,521        1,081,288  

Universal Health Services, Inc. Class B

     820        90,971  
     

 

 

 
Total Health Care Providers & Services        4,390,219  
Health Care Technology – 0.1%  

Cerner Corp.*

     1,771        126,308  
Hotels, Restaurants & Leisure – 1.7%  

Aramark

     1,027        41,707  

Chipotle Mexican Grill, Inc.*

     33        10,158  

Darden Restaurants, Inc.

     648        51,049  

Domino’s Pizza, Inc.

     159        31,570  

Hilton Grand Vacations, Inc.*

     772        29,822  

Hilton Worldwide Holdings, Inc.

     2,578        179,042  

Las Vegas Sands Corp.

     3,961        254,138  

Marriott International, Inc. Class A

     1,208        133,194  

McDonald’s Corp.

     5,290        828,837  

MGM Resorts International

     4,717        153,727  

Starbucks Corp.

     6,491        348,632  

Vail Resorts, Inc.

     111        25,321  

Wyndham Worldwide Corp.

     979        103,196  

Wynn Resorts Ltd.

     299        44,527  

Yum! Brands, Inc.

     3,416        251,452  
     

 

 

 
Total Hotels, Restaurants & Leisure        2,486,372  
Household Durables – 0.6%  

D.R. Horton, Inc.

     4,068        162,435  

Leggett & Platt, Inc.

     952        45,439  

Lennar Corp. Class A

     2,562        135,274  

Mohawk Industries, Inc.*

     587        145,288  

Newell Brands, Inc.

     920        39,256  

NVR, Inc.*

     34        97,070  

PulteGroup, Inc.

     3,693        100,930  

Whirlpool Corp.

     691        127,448  
     

 

 

 
Total Household Durables        853,140  
Household Products – 1.5%  

Church & Dwight Co., Inc.

     1,347        65,262  

Clorox Co. (The)

     751        99,064  

Colgate-Palmolive Co.

     2,820        205,437  

Kimberly-Clark Corp.

     2,369        278,784  

Procter & Gamble Co. (The)

     15,716        1,429,842  

Spectrum Brands Holdings, Inc.

     376        39,826  
     

 

 

 
Total Household Products        2,118,215  
Independent Power & Renewable Electricity Producers – 0.0%  

AES Corp.

     5,370      59,177  
Industrial Conglomerates – 1.9%  

3M Co.

     3,723        781,458  

Carlisle Cos., Inc.

     428        42,924  

General Electric Co.

     36,581        884,528  

Honeywell International, Inc.

     5,874        832,581  

Roper Technologies, Inc.

     485        118,049  
     

 

 

 
Total Industrial Conglomerates        2,659,540  
Insurance – 2.9%  

Aflac, Inc.

     5,177        421,356  

Alleghany Corp.*

     122        67,589  

Allstate Corp. (The)

     2,623        241,080  

American Financial Group, Inc.

     638        66,001  

American International Group, Inc.

     786        48,253  

Arthur J. Gallagher & Co.

     1,011        62,227  

Brighthouse Financial, Inc.*

     819        49,795  

Cincinnati Financial Corp.

     1,136        86,984  

CNA Financial Corp.

     1,863        93,616  

Hartford Financial Services Group, Inc. (The)

     3,936        218,173  

Lincoln National Corp.

     2,542        186,786  

Loews Corp.

     537        25,701  

Markel Corp.*

     76        81,166  

Marsh & McLennan Cos., Inc.

     3,271        274,143  

MetLife, Inc.

     9,016        468,381  

Principal Financial Group, Inc.

     2,822        181,567  

Progressive Corp. (The)

     3,876        187,676  

Prudential Financial, Inc.

     6,062        644,512  

Reinsurance Group of America, Inc.

     691        96,415  

Torchmark Corp.

     1,002        80,250  

Travelers Cos., Inc. (The)

     3,279        401,743  

Unum Group

     2,770        141,630  

W.R. Berkley Corp.

     1,189        79,354  
     

 

 

 
Total Insurance        4,204,398  
Internet & Catalog Retail – 0.6%  

Amazon.com, Inc.*

     371        356,661  

Expedia, Inc.

     249        35,841  

Netflix, Inc.*

     180        32,643  

Priceline Group, Inc. (The)*

     252        461,366  

TripAdvisor, Inc.*

     381        15,442  
     

 

 

 
Total Internet & Catalog Retail        901,953  
Internet Software & Services – 3.5%  

Akamai Technologies, Inc.*

     722        35,176  

Alphabet, Inc. Class A*

     3,176        3,092,535  

CoStar Group, Inc.*

     48        12,876  

eBay, Inc.*

     8,408        323,371  

Facebook, Inc. Class A*

     8,431        1,440,605  

LogMeIn, Inc.

     118        12,986  

VeriSign, Inc.*(a)

     693        73,728  
     

 

 

 
Total Internet Software & Services        4,991,277  
IT Services – 3.5%  

Alliance Data Systems Corp.

     320        70,896  

 

See Notes to Financial Statements.

 

24   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Earnings 500 Fund (EPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Automatic Data Processing, Inc.

     2,062      $ 225,418  

Broadridge Financial Solutions, Inc.

     615        49,704  

Cognizant Technology Solutions Corp. Class A

     3,791        274,999  

Conduent, Inc.*

     1,810        28,363  

DXC Technology Co.

     1,763        151,407  

Fidelity National Information Services, Inc.

     854        79,755  

Fiserv, Inc.*

     1,139        146,886  

FleetCor Technologies, Inc.*

     373        57,729  

Gartner, Inc.*

     232        28,863  

Global Payments, Inc.

     536        50,936  

International Business Machines Corp.

     9,587        1,390,882  

Jack Henry & Associates, Inc.

     373        38,341  

Leidos Holdings, Inc.

     770        45,599  

MasterCard, Inc. Class A

     5,309        749,631  

Paychex, Inc.

     1,743        104,510  

PayPal Holdings, Inc.*

     4,711        301,645  

Sabre Corp.

     1,223        22,136  

Total System Services, Inc.

     928        60,784  

Vantiv, Inc. Class A*

     481        33,896  

Visa, Inc. Class A

     10,111        1,064,082  

Western Union Co. (The)

     5,085        97,632  
     

 

 

 
Total IT Services        5,074,094  
Leisure Products – 0.1%  

Hasbro, Inc.

     845        82,531  

Mattel, Inc.

     1,483        22,957  
     

 

 

 
Total Leisure Products        105,488  
Life Sciences Tools & Services – 0.5%  

Agilent Technologies, Inc.

     1,384        88,853  

Illumina, Inc.*

     496        98,803  

Mettler-Toledo International, Inc.*

     134        83,905  

Quintiles IMS Holdings, Inc.*

     706        67,119  

Thermo Fisher Scientific, Inc.

     1,879        355,507  

Waters Corp.*

     499        89,581  
     

 

 

 
Total Life Sciences Tools & Services        783,768  
Machinery – 1.2%  

Caterpillar, Inc.

     1,491        185,943  

Cummins, Inc.

     1,115        187,353  

Deere & Co.

     1,983        249,045  

Dover Corp.

     879        80,332  

Fortive Corp.

     2,157        152,694  

IDEX Corp.

     385        46,766  

Illinois Tool Works, Inc.

     2,095        309,976  

Middleby Corp. (The)*

     228        29,223  

PACCAR, Inc.

     1,177        85,144  

Parker-Hannifin Corp.

     793        138,791  

Snap-on, Inc.

     395        58,859  

Stanley Black & Decker, Inc.

     1,068        161,236  

Wabtec Corp.

     633        47,950  

Xylem, Inc.

     888        55,615  
     

 

 

 
Total Machinery        1,788,927  
Media – 3.5%  

CBS Corp. Class B Non-Voting Shares

     4,256        246,848  

Charter Communications, Inc. Class A*

     1,429      519,327  

Comcast Corp. Class A

     32,517        1,251,254  

DISH Network Corp. Class A*

     2,261        122,614  

Interpublic Group of Cos., Inc. (The)

     3,025        62,890  

Liberty Broadband Corp. Class C*

     1,535        146,285  

Omnicom Group, Inc.

     1,755        129,993  

Scripps Networks Interactive, Inc. Class A

     1,442        123,853  

Sirius XM Holdings, Inc.(a)

     19,594        108,159  

Time Warner, Inc.

     6,307        646,152  

Twenty-First Century Fox, Inc. Class A

     13,842        365,152  

Viacom, Inc. Class B

     5,028        139,980  

Walt Disney Co. (The)

     12,082        1,190,923  
     

 

 

 
Total Media        5,053,430  
Metals & Mining – 0.1%  

Nucor Corp.

     1,120        62,765  

Steel Dynamics, Inc.

     1,312        45,224  
     

 

 

 
Total Metals & Mining        107,989  
Multi-Utilities – 1.0%  

Ameren Corp.

     1,674        96,824  

CMS Energy Corp.

     1,865        86,387  

Consolidated Edison, Inc.

     2,379        191,938  

Dominion Energy, Inc.

     3,651        280,871  

DTE Energy Co.

     1,164        124,967  

NiSource, Inc.

     1,774        45,397  

Public Service Enterprise Group, Inc.

     4,082        188,792  

SCANA Corp.

     1,128        54,697  

Sempra Energy

     1,839        209,885  

WEC Energy Group, Inc.

     2,134        133,973  
     

 

 

 
Total Multi-Utilities        1,413,731  
Multiline Retail – 0.5%  

Dollar General Corp.

     2,108        170,853  

Dollar Tree, Inc.*

     1,206        104,705  

Kohl’s Corp.

     1,435        65,508  

Macy’s, Inc.

     2,207        48,157  

Nordstrom, Inc.

     1,124        52,997  

Target Corp.

     5,712        337,065  
     

 

 

 
Total Multiline Retail        779,285  
Oil, Gas & Consumable Fuels – 1.5%  

Andeavor

     1,064        109,752  

Exxon Mobil Corp.

     13,898        1,139,358  

Kinder Morgan, Inc.

     2,604        49,945  

Marathon Petroleum Corp.

     3,160        177,213  

ONEOK, Inc.

     657        36,404  

Phillips 66

     3,030        277,578  

Valero Energy Corp.

     4,380        336,953  
     

 

 

 
Total Oil, Gas & Consumable Fuels        2,127,203  
Personal Products – 0.1%  

Coty, Inc. Class A

     292        4,827  

Estee Lauder Cos., Inc. (The) Class A

     1,885        203,278  
     

 

 

 
Total Personal Products        208,105  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      25  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Earnings 500 Fund (EPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Pharmaceuticals – 3.8%  

Bristol-Myers Squibb Co.

     8,563      $ 545,805  

Eli Lilly & Co.

     4,874        416,922  

Johnson & Johnson

     19,831        2,578,228  

Merck & Co., Inc.

     12,857        823,234  

Pfizer, Inc.

     29,134        1,040,084  

Zoetis, Inc.

     1,743        111,134  
     

 

 

 
Total Pharmaceuticals        5,515,407  
Professional Services – 0.1%  

Equifax, Inc.

     534        56,599  

Verisk Analytics, Inc.*

     754        62,725  
     

 

 

 
Total Professional Services        119,324  
Real Estate Management & Development – 0.1%  

CBRE Group, Inc. Class A*

     2,076        78,639  
Road & Rail – 1.0%  

AMERCO

     156        58,484  

CSX Corp.

     6,241        338,637  

JB Hunt Transport Services, Inc.

     603        66,981  

Kansas City Southern

     796        86,509  

Norfolk Southern Corp.

     1,959        259,058  

Old Dominion Freight Line, Inc.

     432        47,568  

Union Pacific Corp.

     5,413        627,746  
     

 

 

 
Total Road & Rail        1,484,983  
Semiconductors & Semiconductor Equipment – 2.9%  

Analog Devices, Inc.

     1,864        160,621  

Applied Materials, Inc.

     7,167        373,329  

Intel Corp.

     39,107        1,489,195  

KLA-Tencor Corp.

     1,327        140,662  

Lam Research Corp.

     1,162        215,016  

Maxim Integrated Products, Inc.

     1,455        69,418  

Microchip Technology, Inc.

     143        12,838  

NVIDIA Corp.

     1,813        324,110  

QUALCOMM, Inc.

     11,270        584,237  

Skyworks Solutions, Inc.

     1,759        179,242  

Texas Instruments, Inc.

     5,984        536,406  

Xilinx, Inc.

     1,470        104,120  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        4,189,194  
Software – 3.9%  

Activision Blizzard, Inc.

     3,207        206,884  

Adobe Systems, Inc.*

     1,292        192,741  

ANSYS, Inc.*

     398        48,847  

CA, Inc.

     3,487        116,396  

Cadence Design Systems, Inc.*

     1,252        49,416  

CDK Global, Inc.

     558        35,204  

Citrix Systems, Inc.*

     684        52,545  

Electronic Arts, Inc.*

     2,164        255,482  

Intuit, Inc.

     909        129,205  

Microsoft Corp.

     36,696        2,733,485  

Oracle Corp.

     29,912        1,446,245  

Red Hat, Inc.*

     406        45,009  

salesforce.com, Inc.*

     366        34,192  

Synopsys, Inc.*

     593        47,754  

VMware, Inc. Class A*

     1,881      205,386  
     

 

 

 
Total Software        5,598,791  
Specialty Retail – 2.1%  

Advance Auto Parts, Inc.

     357        35,414  

AutoZone, Inc.*

     204        121,403  

Bed Bath & Beyond, Inc.

     2,209        51,845  

Best Buy Co., Inc.

     2,697        153,621  

Burlington Stores, Inc.*

     272        25,965  

CarMax, Inc.*

     1,261        95,596  

Foot Locker, Inc.

     1,043        36,735  

Gap, Inc. (The)

     3,586        105,895  

Home Depot, Inc. (The)

     7,772        1,271,188  

L Brands, Inc.

     2,065        85,925  

Lowe’s Cos., Inc.

     4,363        348,778  

O’Reilly Automotive, Inc.*

     485        104,455  

Ross Stores, Inc.

     2,201        142,119  

Tiffany & Co.

     695        63,787  

TJX Cos., Inc. (The)

     3,973        292,929  

Tractor Supply Co.

     715        45,252  

Ulta Salon Cosmetics & Fragrance, Inc.*

     204        46,116  
     

 

 

 
Total Specialty Retail        3,027,023  
Technology Hardware, Storage & Peripherals – 6.3%  

Apple, Inc.

     53,654        8,269,155  

Hewlett Packard Enterprise Co.

     17,469        256,969  

HP, Inc.

     22,669        452,473  

NetApp, Inc.

     1,233        53,956  

Xerox Corp.

     2,263        75,335  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        9,107,888  
Textiles, Apparel & Luxury Goods – 0.7%  

Coach, Inc.

     1,728        69,604  

Hanesbrands, Inc.

     2,855        70,347  

NIKE, Inc. Class B

     9,932        514,974  

PVH Corp.

     886        111,689  

VF Corp.

     2,969        188,740  
     

 

 

 
Total Textiles, Apparel & Luxury Goods        955,354  
Tobacco – 1.2%  

Altria Group, Inc.

     10,594        671,871  

Philip Morris International, Inc.

     9,699        1,076,686  
     

 

 

 
Total Tobacco        1,748,557  
Trading Companies & Distributors – 0.3%  

Fastenal Co.

     1,404        63,994  

HD Supply Holdings, Inc.*

     3,420        123,360  

United Rentals, Inc.*

     743        103,084  

W.W. Grainger, Inc.

     392        70,462  
     

 

 

 
Total Trading Companies & Distributors        360,900  
Transportation Infrastructure – 0.0%  

Macquarie Infrastructure Corp.

     146        10,538  
Water Utilities – 0.1%  

American Water Works Co., Inc.

     885        71,605  

 

See Notes to Financial Statements.

 

26   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. Earnings 500 Fund (EPS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Wireless Telecommunication Services – 0.1%  

T-Mobile U.S., Inc.*

     3,164      $ 195,092  

TOTAL COMMON STOCKS

(Cost: $110,668,208)

 

 

     143,428,608  
EXCHANGE-TRADED FUND – 0.2%  
United States – 0.2%  
WisdomTree U.S. High Dividend Fund(b)
(Cost: $188,309)
     2,764        193,231  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1%  
United States – 0.1%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $186,689)(d)      186,689        186,689  

TOTAL INVESTMENTS IN SECURITIES – 100.1%

(Cost: $111,043,206)

 

 

     143,808,528  

Other Assets less Liabilities – (0.1)%

 

     (88,343
     

 

 

 
NET ASSETS – 100.0%      $ 143,720,185  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $244,268 and the total market value of the collateral held by the Fund was $251,853. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $65,164.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      27  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. High Dividend Fund (DHS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%  
United States – 99.5%  
Aerospace & Defense – 2.5%  

Boeing Co. (The)

     77,650      $ 19,739,406  

Lockheed Martin Corp.

     37,165        11,531,928  
     

 

 

 
Total Aerospace & Defense               31,271,334  
Auto Components – 0.0%  

Superior Industries International, Inc.

     4,947        82,367  
Automobiles – 1.7%  

Ford Motor Co.

     801,159        9,589,873  

General Motors Co.

     277,922        11,222,491  
     

 

 

 
Total Automobiles               20,812,364  
Banks – 3.3%  

American National Bankshares, Inc.

     1,477        60,852  

Arrow Financial Corp.

     1,598        54,896  

Banc of California, Inc.(a)

     7,512        155,874  

Bridge Bancorp, Inc.

     2,577        87,489  

City Holding Co.

     2,521        181,285  

CNB Financial Corp.

     2,129        58,164  

Columbia Banking System, Inc.

     9,452        398,024  

Community Trust Bancorp, Inc.

     2,835        131,828  

Cullen/Frost Bankers, Inc.

     6,960        660,643  

Financial Institutions, Inc.

     2,393        68,919  

First Bancorp, Inc.

     2,059        62,408  

Flushing Financial Corp.

     3,904        116,027  

FNB Corp.

     28,811        404,218  

Heritage Commerce Corp.

     1,318        18,755  

Old National Bancorp

     19,641        359,430  

PacWest Bancorp

     19,428        981,308  

Park National Corp.

     2,163        233,582  

Penns Woods Bancorp, Inc.

     749        34,806  

People’s United Financial, Inc.

     47,397        859,782  

Peoples Financial Services Corp.(a)

     1,081        51,672  

Sandy Spring Bancorp, Inc.

     4,209        174,421  

Southside Bancshares, Inc.

     4,414        160,493  

Trustmark Corp.

     7,733        256,117  

Umpqua Holdings Corp.

     32,749        638,933  

United Bankshares, Inc.

     9,139        339,514  

Univest Corp. of Pennsylvania

     4,602        147,264  

Valley National Bancorp

     46,656        562,205  

Washington Trust Bancorp, Inc.

     1,992        114,042  

Wells Fargo & Co.

     603,151        33,263,778  

West Bancorporation, Inc.

     2,952        72,029  
     

 

 

 
Total Banks               40,708,758  
Beverages – 4.1%  

Coca-Cola Co. (The)

     649,068        29,214,551  

PepsiCo, Inc.

     188,203        20,971,460  
     

 

 

 
Total Beverages               50,186,011  
Biotechnology – 2.2%  

AbbVie, Inc.

     305,251        27,124,604  
Capital Markets – 0.5%  

Arlington Asset Investment Corp. Class A(a)

     14,809        188,519  

Artisan Partners Asset Management, Inc. Class A

     13,987      455,976  

BGC Partners, Inc. Class A

     67,334        974,323  

Cohen & Steers, Inc.

     6,608        260,950  

Federated Investors, Inc. Class B

     16,948        503,356  

Gain Capital Holdings, Inc.

     6,557        41,899  

Greenhill & Co., Inc.

     9,073        150,612  

Moelis & Co. Class A

     3,766        162,126  

T. Rowe Price Group, Inc.

     31,152        2,823,929  

Virtu Financial, Inc. Class A(a)

     11,700        189,540  

Waddell & Reed Financial, Inc. Class A

     30,974        621,648  

Westwood Holdings Group, Inc.

     1,690        113,686  
     

 

 

 
Total Capital Markets               6,486,564  
Chemicals – 1.3%  

CF Industries Holdings, Inc.

     40,929        1,439,064  

DowDuPont, Inc.

     161,682        11,193,245  

Innophos Holdings, Inc.

     3,029        148,996  

Kronos Worldwide, Inc.

     26,856        613,122  

Mosaic Co. (The)

     55,506        1,198,375  

Olin Corp.

     23,002        787,818  
     

 

 

 
Total Chemicals               15,380,620  
Commercial Services & Supplies – 0.3%  

Covanta Holding Corp.(a)

     42,090        625,036  

Ennis, Inc.

     4,255        83,611  

Essendant, Inc.

     4,023        52,983  

KAR Auction Services, Inc.

     18,343        875,695  

McGrath RentCorp

     4,137        180,994  

Pitney Bowes, Inc.

     38,446        538,628  

Quad/Graphics, Inc.

     8,203        185,470  

RR Donnelley & Sons Co.

     10,613        109,314  

Steelcase, Inc. Class A

     10,862        167,275  

West Corp.

     14,441        338,930  
     

 

 

 
Total Commercial Services & Supplies               3,157,936  
Communications Equipment – 2.2%  

Black Box Corp.

     1,944        6,318  

Cisco Systems, Inc.

     784,146        26,370,830  

Comtech Telecommunications Corp.

     10,162        208,626  
     

 

 

 
Total Communications Equipment               26,585,774  
Consumer Finance – 0.1%  

Navient Corp.

     51,377        771,682  
Containers & Packaging – 0.6%  

Greif, Inc. Class B

     3,459        222,241  

International Paper Co.

     64,057        3,639,719  

Myers Industries, Inc.

     5,016        105,085  

Packaging Corp. of America

     12,110        1,388,775  

Sonoco Products Co.

     12,236        617,306  

WestRock Co.

     34,256        1,943,343  
     

 

 

 
Total Containers & Packaging               7,916,469  
Distributors – 0.0%  

Weyco Group, Inc.

     1,497        42,485  

 

See Notes to Financial Statements.

 

28   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. High Dividend Fund (DHS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Diversified Consumer Services – 0.1%  

H&R Block, Inc.

     38,081      $ 1,008,385  
Diversified Financial Services – 0.0%  

Marlin Business Services Corp.

     1,854        53,302  
Diversified Telecommunication Services – 8.1%  

AT&T, Inc.

     1,346,847        52,755,997  

CenturyLink, Inc.(a)

     220,752        4,172,213  

Cogent Communications Holdings, Inc.

     9,132        446,555  

Consolidated Communications Holdings, Inc.

     12,866        245,483  

Frontier Communications Corp.(a)

     39,670        467,709  

IDT Corp. Class B

     6,737        94,857  

Verizon Communications, Inc.

     826,436        40,900,318  
     

 

 

 
Total Diversified Telecommunication Services        99,083,132  
Electric Utilities – 6.6%  

ALLETE, Inc.

     7,074        546,749  

Alliant Energy Corp.

     32,317        1,343,418  

American Electric Power Co., Inc.

     85,761        6,023,853  

Avangrid, Inc.

     65,352        3,098,992  

Duke Energy Corp.

     140,517        11,792,187  

Edison International

     40,335        3,112,652  

El Paso Electric Co.

     4,738        261,775  

Entergy Corp.

     39,950        3,050,582  

Eversource Energy

     47,590        2,876,340  

Exelon Corp.

     151,424        5,704,142  

FirstEnergy Corp.

     90,502        2,790,177  

Great Plains Energy, Inc.

     38,771        1,174,761  

Hawaiian Electric Industries, Inc.

     18,452        615,743  

IDACORP, Inc.

     6,140        539,890  

NextEra Energy, Inc.

     64,511        9,454,087  

OGE Energy Corp.

     32,475        1,170,074  

Otter Tail Corp.

     5,392        233,743  

PG&E Corp.

     75,309        5,127,790  

Pinnacle West Capital Corp.

     17,024        1,439,549  

PNM Resources, Inc.

     9,202        370,841  

Portland General Electric Co.

     11,815        539,237  

PPL Corp.

     138,654        5,261,919  

Southern Co. (The)

     207,095        10,176,648  

Westar Energy, Inc.

     16,932        839,827  

Xcel Energy, Inc.

     78,192        3,700,045  
     

 

 

 
Total Electric Utilities               81,245,021  
Electrical Equipment – 0.5%  

Emerson Electric Co.

     96,765        6,080,712  

General Cable Corp.

     8,155        153,722  
     

 

 

 
Total Electrical Equipment               6,234,434  
Electronic Equipment, Instruments & Components – 0.0%  

AVX Corp.

     20,811        379,384  

Daktronics, Inc.

     9,466        100,056  
     

 

 

 
Total Electronic Equipment, Instruments & Components        479,440  
Energy Equipment & Services – 0.1%  

Archrock, Inc.

     11,290        141,690  

Helmerich & Payne, Inc.

     16,875        879,356  
     

 

 

 
Total Energy Equipment & Services               1,021,046  
Equity Real Estate Investment Trusts (REITs) – 12.1%  

Acadia Realty Trust

     11,612      332,335  

Agree Realty Corp.

     4,921        241,523  

Alexander’s, Inc.

     850        360,477  

Alexandria Real Estate Equities, Inc.

     10,240        1,218,253  

American Campus Communities, Inc.

     21,084        930,859  

Apartment Investment & Management Co. Class A

     22,430        983,780  

Apple Hospitality REIT, Inc.

     60,356        1,141,332  

Armada Hoffler Properties, Inc.

     8,320        114,899  

Ashford Hospitality Prime, Inc.

     918        8,721  

Ashford Hospitality Trust, Inc.

     32,971        219,917  

AvalonBay Communities, Inc.

     19,781        3,529,326  

Bluerock Residential Growth REIT, Inc.

     8,910        98,545  

Brandywine Realty Trust

     31,447        550,008  

Brixmor Property Group, Inc.

     57,321        1,077,635  

Camden Property Trust

     14,626        1,337,548  

CareTrust REIT, Inc.

     12,385        235,810  

CatchMark Timber Trust, Inc. Class A

     7,513        94,739  

CBL & Associates Properties, Inc.(a)

     65,664        550,921  

Cedar Realty Trust, Inc.

     14,049        78,955  

Chatham Lodging Trust

     9,608        204,843  

Chesapeake Lodging Trust

     16,199        436,887  

Columbia Property Trust, Inc.

     30,486        663,680  

Community Healthcare Trust, Inc.

     3,656        98,566  

CoreCivic, Inc.

     45,244        1,211,182  

CorEnergy Infrastructure Trust, Inc.

     4,723        166,958  

CoreSite Realty Corp.

     4,208        470,875  

Corporate Office Properties Trust

     15,728        516,350  

Cousins Properties, Inc.

     66,295        619,195  

Crown Castle International Corp.

     72,169        7,215,457  

CubeSmart

     25,673        666,471  

CyrusOne, Inc.

     12,888        759,490  

DCT Industrial Trust, Inc.

     10,637        616,095  

DDR Corp.

     79,884        731,737  

DiamondRock Hospitality Co.

     42,429        464,598  

Digital Realty Trust, Inc.

     35,491        4,199,650  

Duke Realty Corp.

     45,221        1,303,269  

Easterly Government Properties, Inc.

     7,472        154,446  

EastGroup Properties, Inc.

     4,955        436,635  

Education Realty Trust, Inc.

     12,599        452,682  

EPR Properties

     15,227        1,061,931  

Equity Residential

     52,862        3,485,192  

Essex Property Trust, Inc.

     8,570        2,177,037  

Extra Space Storage, Inc.

     23,652        1,890,268  

Federal Realty Investment Trust

     9,009        1,119,008  

First Industrial Realty Trust, Inc.

     14,430        434,199  

First Potomac Realty Trust

     15,202        169,350  

Four Corners Property Trust, Inc.

     12,573        313,319  

Franklin Street Properties Corp.

     28,066        298,061  

Gaming and Leisure Properties, Inc.

     72,396        2,670,688  

GEO Group, Inc. (The)

     37,417        1,006,517  

Getty Realty Corp.

     8,418        240,839  

GGP, Inc.

     134,272        2,788,829  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      29  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. High Dividend Fund (DHS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Gladstone Commercial Corp.

     10,393      $ 231,452  

Global Net Lease, Inc.

     23,553        515,575  

Government Properties Income Trust

     27,783        521,487  

Gramercy Property Trust

     34,817        1,053,214  

HCP, Inc.

     104,148        2,898,439  

Healthcare Realty Trust, Inc.

     19,920        644,213  

Healthcare Trust of America, Inc. Class A

     26,075        777,035  

Hersha Hospitality Trust

     10,425        194,635  

Highwoods Properties, Inc.

     15,302        797,081  

Hospitality Properties Trust

     49,516        1,410,711  

Host Hotels & Resorts, Inc.

     139,404        2,577,580  

Independence Realty Trust, Inc.

     23,919        243,256  

InfraREIT, Inc.

     10,356        231,664  

Investors Real Estate Trust

     41,130        251,304  

Iron Mountain, Inc.

     75,523        2,937,845  

Kimco Realty Corp.

     80,420        1,572,211  

Kite Realty Group Trust

     18,954        383,819  

Lamar Advertising Co. Class A

     16,533        1,133,006  

LaSalle Hotel Properties

     29,591        858,731  

Lexington Realty Trust

     67,981        694,766  

Liberty Property Trust

     30,896        1,268,590  

Life Storage, Inc.

     9,287        759,769  

LTC Properties, Inc.

     8,150        382,887  

Macerich Co. (The)

     25,690        1,412,179  

Medical Properties Trust, Inc.

     105,250        1,381,932  

Mid-America Apartment Communities, Inc.

     12,011        1,283,736  

Monmouth Real Estate Investment Corp. Class A

     14,075        227,874  

National Health Investors, Inc.

     8,612        665,621  

National Retail Properties, Inc.

     28,325        1,180,019  

National Storage Affiliates Trust

     7,173        173,874  

New Senior Investment Group, Inc.

     38,321        350,637  

NexPoint Residential Trust, Inc.

     6,212        147,411  

NorthStar Realty Europe Corp.

     13,163        168,618  

Omega Healthcare Investors, Inc.

     70,221        2,240,752  

One Liberty Properties, Inc.

     5,643        137,463  

Outfront Media, Inc.

     33,709        848,793  

Pebblebrook Hotel Trust(a)

     15,161        547,919  

Pennsylvania Real Estate Investment Trust(a)

     13,254        139,034  

Physicians Realty Trust

     28,093        498,089  

Piedmont Office Realty Trust, Inc. Class A

     26,211        528,414  

Potlatch Corp.

     6,344        323,544  

Preferred Apartment Communities, Inc. Class A

     6,369        120,247  

Prologis, Inc.

     75,920        4,817,883  

Public Storage

     28,538        6,106,847  

QTS Realty Trust, Inc. Class A

     5,731        300,075  

Ramco-Gershenson Properties Trust

     18,647        242,597  

Rayonier, Inc.

     19,449        561,882  

Realty Income Corp.

     51,126        2,923,896  

Regency Centers Corp.

     22,574        1,400,491  

Retail Opportunity Investments Corp.

     18,471        351,134  

Retail Properties of America, Inc. Class A

     44,972        590,482  

RLJ Lodging Trust

     36,564        804,408  

Ryman Hospitality Properties, Inc.

     10,799        674,830  

Sabra Health Care REIT, Inc.

     59,200        1,298,848  

Saul Centers, Inc.

     3,121      193,221  

Select Income REIT

     31,855        746,044  

Senior Housing Properties Trust

     90,367        1,766,675  

Simon Property Group, Inc.

     50,946        8,202,815  

Spirit Realty Capital, Inc.

     139,979        1,199,620  

STAG Industrial, Inc.

     19,849        545,252  

Starwood Waypoint Homes

     13,271        482,666  

STORE Capital Corp.

     32,213        801,137  

Summit Hotel Properties, Inc.

     14,998        239,818  

Sun Communities, Inc.

     11,402        976,923  

Tanger Factory Outlet Centers, Inc.

     15,365        375,213  

Taubman Centers, Inc.

     8,363        415,641  

Terreno Realty Corp.

     6,584        238,209  

Tier REIT, Inc.

     9,952        192,074  

UDR, Inc.

     41,604        1,582,200  

UMH Properties, Inc.

     9,262        144,024  

Uniti Group, Inc.

     65,858        965,478  

Universal Health Realty Income Trust

     2,487        187,744  

Urban Edge Properties

     13,888        334,979  

Urstadt Biddle Properties, Inc. Class A

     7,056        153,115  

Ventas, Inc.

     74,629        4,860,587  

VEREIT, Inc.

     280,821        2,328,006  

W.P. Carey, Inc.

     31,430        2,118,068  

Washington Prime Group, Inc.

     79,874        665,350  

Washington Real Estate Investment Trust

     13,454        440,753  

Weingarten Realty Investors

     23,130        734,146  

Welltower, Inc.

     85,590        6,015,265  

Weyerhaeuser Co.

     127,827        4,349,953  

Whitestone REIT(a)

     11,979        156,326  

Xenia Hotels & Resorts, Inc.

     26,750        563,088  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        148,913,076  
Food & Staples Retailing – 2.5%  

Village Super Market, Inc. Class A

     2,699        66,773  

Wal-Mart Stores, Inc.

     398,067        31,104,956  
     

 

 

 
Total Food & Staples Retailing               31,171,729  
Food Products – 1.9%  

Archer-Daniels-Midland Co.

     66,463        2,825,342  

B&G Foods, Inc.(a)

     12,426        395,768  

Bob Evans Farms, Inc.

     3,262        252,838  

Flowers Foods, Inc.

     30,057        565,372  

General Mills, Inc.

     81,012        4,193,181  

Kellogg Co.

     45,042        2,809,269  

Kraft Heinz Co. (The)

     157,667        12,227,076  
     

 

 

 
Total Food Products               23,268,846  
Gas Utilities – 0.2%  

National Fuel Gas Co.

     10,736        607,765  

New Jersey Resources Corp.

     10,983        462,934  

Northwest Natural Gas Co.

     4,790        308,476  

South Jersey Industries, Inc.

     11,448        395,299  

Spire, Inc.

     6,791        506,948  

WGL Holdings, Inc.

     5,728        482,298  
     

 

 

 
Total Gas Utilities               2,763,720  

 

See Notes to Financial Statements.

 

30   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. High Dividend Fund (DHS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Health Care Equipment & Supplies – 0.0%  

Meridian Bioscience, Inc.

     7,629      $ 109,095  
Health Care Providers & Services – 0.0%  

Owens & Minor, Inc.

     8,434        246,273  
Health Care Technology – 0.0%  

Computer Programs & Systems, Inc.(a)

     2,927        86,493  
Hotels, Restaurants & Leisure – 3.2%  

Cracker Barrel Old Country Store, Inc.(a)

     2,909        441,063  

Darden Restaurants, Inc.

     15,829        1,247,009  

DineEquity, Inc.

     3,657        157,178  

ILG, Inc.

     15,321        409,530  

Las Vegas Sands Corp.

     187,035        12,000,166  

McDonald’s Corp.

     116,285        18,219,534  

Six Flags Entertainment Corp.

     17,613        1,073,336  

Speedway Motorsports, Inc.

     5,517        117,512  

Wyndham Worldwide Corp.

     12,533        1,321,103  

Yum! Brands, Inc.

     52,354        3,853,778  
     

 

 

 
Total Hotels, Restaurants & Leisure               38,840,209  
Household Durables – 0.1%  

CSS Industries, Inc.

     1,127        32,480  

Leggett & Platt, Inc.

     15,965        762,009  

MDC Holdings, Inc.

     9,179        304,835  

Tupperware Brands Corp.

     11,272        696,835  
     

 

 

 
Total Household Durables               1,796,159  
Household Products – 3.3%  

Kimberly-Clark Corp.

     51,832        6,099,590  

Procter & Gamble Co. (The)

     383,449        34,886,190  
     

 

 

 
Total Household Products               40,985,780  
Independent Power & Renewable Electricity Producers – 0.2%  

AES Corp.

     108,734        1,198,249  

NRG Yield, Inc. Class A

     11,094        210,453  

Pattern Energy Group, Inc.

     31,674        763,343  
     

 

 

 
Total Independent Power & Renewable Electricity Producers        2,172,045  
Industrial Conglomerates – 2.3%  

General Electric Co.

     1,156,195        27,956,795  
Insurance – 1.8%  

American National Insurance Co.

     3,007        355,067  

Arthur J. Gallagher & Co.

     23,639        1,454,980  

Baldwin & Lyons, Inc. Class B

     2,815        63,478  

Donegal Group, Inc. Class A

     3,533        56,987  

EMC Insurance Group, Inc.

     3,632        102,241  

Erie Indemnity Co. Class A

     5,218        629,134  

First American Financial Corp.

     18,476        923,246  

FNF Group

     35,758        1,697,075  

HCI Group, Inc.

     1,673        63,992  

Horace Mann Educators Corp.

     4,458        175,422  

Mercury General Corp.

     10,165        576,254  

MetLife, Inc.

     138,091        7,173,827  

Old Republic International Corp.

     47,684        938,898  

Principal Financial Group, Inc.

     36,678        2,359,863  

Prudential Financial, Inc.

     51,192      5,442,733  

Safety Insurance Group, Inc.

     2,639        201,356  
     

 

 

 
Total Insurance               22,214,553  
Internet & Catalog Retail – 0.0%  

HSN, Inc.

     8,496        331,769  

PetMed Express, Inc.(a)

     5,270        174,700  
     

 

 

 
Total Internet & Catalog Retail               506,469  
Internet Software & Services – 0.0%  

Reis, Inc.

     1,526        27,468  
IT Services – 2.1%  

International Business Machines Corp.

     144,391        20,948,246  

Paychex, Inc.

     50,177        3,008,613  

Western Union Co. (The)

     62,887        1,207,431  
     

 

 

 
Total IT Services               25,164,290  
Leisure Products – 0.1%  

Mattel, Inc.

     79,717        1,234,019  

Sturm Ruger & Co., Inc.

     2,541        131,370  
     

 

 

 
Total Leisure Products               1,365,389  
Machinery – 1.2%  

American Railcar Industries, Inc.(a)

     2,900        111,940  

Caterpillar, Inc.

     85,312        10,639,259  

Cummins, Inc.

     21,982        3,693,635  

Douglas Dynamics, Inc.

     4,064        160,122  

Miller Industries, Inc.

     1,725        48,214  

Timken Co. (The)

     9,312        452,098  
     

 

 

 
Total Machinery               15,105,268  
Media – 0.2%  

Cinemark Holdings, Inc.

     14,112        510,996  

Gannett Co., Inc.

     34,197        307,773  

Meredith Corp.

     5,951        330,280  

National CineMedia, Inc.

     16,006        111,722  

New Media Investment Group, Inc.

     21,347        315,722  

Regal Entertainment Group Class A

     23,966        383,456  

Time, Inc.

     18,864        254,664  

Tribune Media Co. Class A

     11,092        453,219  
     

 

 

 
Total Media               2,667,832  
Metals & Mining – 0.0%  

Compass Minerals International, Inc.(a)

     5,145        333,910  

Schnitzer Steel Industries, Inc. Class A

     3,218        90,587  
     

 

 

 
Total Metals & Mining               424,497  
Multi-Utilities – 3.1%  

Ameren Corp.

     38,231        2,211,281  

Avista Corp.

     9,282        480,529  

Black Hills Corp.

     6,582        453,302  

CenterPoint Energy, Inc.

     81,940        2,393,467  

CMS Energy Corp.

     38,161        1,767,617  

Consolidated Edison, Inc.

     51,548        4,158,893  

Dominion Energy, Inc.

     106,102        8,162,427  

DTE Energy Co.

     27,430        2,944,885  

MDU Resources Group, Inc.

     23,434        608,112  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      31  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. High Dividend Fund (DHS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

NiSource, Inc.

     43,267      $ 1,107,203  

NorthWestern Corp.

     8,038        457,684  

Public Service Enterprise Group, Inc.

     87,632        4,052,980  

SCANA Corp.

     20,132        976,201  

Sempra Energy

     33,815        3,859,306  

Unitil Corp.

     3,072        151,941  

Vectren Corp.

     12,094        795,422  

WEC Energy Group, Inc.

     49,342        3,097,691  
     

 

 

 
Total Multi-Utilities               37,678,941  
Multiline Retail – 0.6%  

Kohl’s Corp.

     27,870        1,272,266  

Macy’s, Inc.

     48,702        1,062,678  

Target Corp.

     78,548        4,635,117  
     

 

 

 
Total Multiline Retail               6,970,061  
Oil, Gas & Consumable Fuels – 10.3%  

Chevron Corp.

     317,901        37,353,367  

CVR Energy, Inc.(a)

     32,507        841,931  

Delek U.S. Holdings, Inc.

     13,357        357,033  

Evolution Petroleum Corp.

     9,428        67,882  

Exxon Mobil Corp.

     631,568        51,775,945  

HollyFrontier Corp.

     32,196        1,158,090  

Marathon Petroleum Corp.

     69,333        3,888,195  

Murphy Oil Corp.

     24,446        649,286  

Occidental Petroleum Corp.

     148,311        9,523,049  

ONEOK, Inc.

     40,973        2,270,314  

PBF Energy, Inc. Class A(a)

     19,053        526,053  

Phillips 66

     67,881        6,218,578  

SemGroup Corp. Class A

     13,350        383,812  

Targa Resources Corp.

     55,512        2,625,718  

Valero Energy Corp.

     72,027        5,541,037  

Williams Cos., Inc. (The)

     89,393        2,682,684  
     

 

 

 
Total Oil, Gas & Consumable Fuels               125,862,974  
Paper & Forest Products – 0.1%  

Domtar Corp.

     11,597        503,194  

Schweitzer-Mauduit International, Inc.

     5,608        232,507  
     

 

 

 
Total Paper & Forest Products               735,701  
Personal Products – 0.0%  

Nu Skin Enterprises, Inc. Class A

     6,967        428,331  
Pharmaceuticals – 9.8%  

Eli Lilly & Co.

     150,085        12,838,271  

Johnson & Johnson

     350,406        45,556,284  

Merck & Co., Inc.

     382,232        24,474,315  

Pfizer, Inc.

     1,037,053        37,022,792  
     

 

 

 
Total Pharmaceuticals               119,891,662  
Semiconductors & Semiconductor Equipment – 3.2%  

Cypress Semiconductor Corp.

     55,336        831,147  

Intel Corp.

     622,311        23,697,603  

KLA-Tencor Corp.

     19,763        2,094,878  

Maxim Integrated Products, Inc.

     43,166        2,059,450  

QUALCOMM, Inc.

     206,655        10,712,995  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        39,396,073  
Software – 0.2%  

American Software, Inc. Class A

     4,618      52,460  

CA, Inc.

     61,133        2,040,620  
     

 

 

 
Total Software               2,093,080  
Specialty Retail – 0.5%  

Abercrombie & Fitch Co. Class A

     12,136        175,244  

American Eagle Outfitters, Inc.

     22,585        322,966  

Barnes & Noble, Inc.

     15,143        115,087  

Big 5 Sporting Goods Corp.(a)

     4,653        35,595  

Buckle, Inc. (The)(a)

     6,630        111,716  

Cato Corp. (The) Class A

     3,825        50,605  

DSW, Inc. Class A

     12,444        267,297  

GameStop Corp. Class A

     27,211        562,179  

Gap, Inc. (The)

     63,938        1,888,089  

Guess?, Inc.

     25,527        434,725  

L Brands, Inc.

     41,722        1,736,052  

Pier 1 Imports, Inc.

     17,622        73,836  

Rent-A-Center, Inc.(a)

     6,675        76,629  

Tailored Brands, Inc.(a)

     5,941        85,788  
     

 

 

 
Total Specialty Retail               5,935,808  
Technology Hardware, Storage & Peripherals – 0.8%  

HP, Inc.

     259,454        5,178,702  

Western Digital Corp.

     38,030        3,285,792  

Xerox Corp.

     37,639        1,253,002  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        9,717,496  
Textiles, Apparel & Luxury Goods – 0.4%  

Coach, Inc.

     43,908        1,768,614  

VF Corp.

     55,452        3,525,084  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               5,293,698  
Thrifts & Mortgage Finance – 0.2%  

Dime Community Bancshares, Inc.

     5,398        116,057  

New York Community Bancorp, Inc.

     88,477        1,140,469  

Northwest Bancshares, Inc.

     14,386        248,446  

Oritani Financial Corp.

     8,787        147,622  

Provident Financial Services, Inc.

     7,552        201,412  

TrustCo Bank Corp.

     12,965        115,388  

United Financial Bancorp, Inc.

     8,211        150,179  
     

 

 

 
Total Thrifts & Mortgage Finance               2,119,573  
Tobacco – 4.7%  

Altria Group, Inc.

     324,245        20,563,618  

Philip Morris International, Inc.

     322,851        35,839,690  

Universal Corp.

     4,074        233,440  

Vector Group Ltd.

     42,466        869,284  
     

 

 

 
Total Tobacco               57,506,032  
Trading Companies & Distributors – 0.1%  

GATX Corp.

     4,704        289,578  

H&E Equipment Services, Inc.

     7,433        217,044  

Watsco, Inc.

     3,621        583,234  
     

 

 

 
Total Trading Companies & Distributors               1,089,856  
Transportation Infrastructure – 0.1%  

Macquarie Infrastructure Corp.

     23,082        1,666,059  

 

See Notes to Financial Statements.

 

32   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. High Dividend Fund (DHS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Water Utilities – 0.0%  

Artesian Resources Corp. Class A

     1,277      $ 48,271  
TOTAL COMMON STOCKS
(Cost: $1,121,330,819)
              1,221,871,330  
EXCHANGE-TRADED FUND – 0.3%  
United States – 0.3%  
WisdomTree U.S. Total Dividend Fund(b)
(Cost: $3,090,613)
     36,203        3,177,052  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.6%  
United States – 0.6%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $7,312,203)(d)      7,312,203        7,312,203  
TOTAL INVESTMENTS IN SECURITIES – 100.4%
(Cost: $1,131,733,635)
       1,232,360,585  

Other Assets less Liabilities – (0.4)%

        (5,031,837
     

 

 

 
NET ASSETS – 100.0%             $ 1,227,328,748  
(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $8,651,488 and the total market value of the collateral held by the Fund was $8,904,170. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,591,967.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      33  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%  
United States – 99.8%  
Aerospace & Defense – 3.1%  

Boeing Co. (The)

     82,170      $ 20,888,436  

General Dynamics Corp.

     25,335        5,208,369  

L3 Technologies, Inc.

     6,740        1,270,018  

Lockheed Martin Corp.

     38,998        12,100,689  

Northrop Grumman Corp.

     12,823        3,689,434  

Raytheon Co.

     28,303        5,280,774  

Rockwell Collins, Inc.

     8,801        1,150,379  

Textron, Inc.

     1,847        99,516  

United Technologies Corp.

     93,891        10,898,867  
     

 

 

 
Total Aerospace & Defense               60,586,482  
Air Freight & Logistics – 0.6%  

FedEx Corp.

     10,502        2,369,041  

United Parcel Service, Inc. Class B

     85,292        10,242,716  
     

 

 

 
Total Air Freight & Logistics               12,611,757  
Airlines – 0.3%  

American Airlines Group, Inc.

     19,181        910,906  

Delta Air Lines, Inc.

     56,137        2,706,926  

Southwest Airlines Co.

     22,669        1,269,010  
     

 

 

 
Total Airlines               4,886,842  
Automobiles – 1.1%  

Ford Motor Co.

     852,406        10,203,300  

General Motors Co.

     291,558        11,773,112  
     

 

 

 
Total Automobiles               21,976,412  
Banks – 6.7%  

Bank of America Corp.

     627,643        15,904,474  

BB&T Corp.

     97,802        4,590,826  

Citigroup, Inc.

     145,437        10,579,087  

Citizens Financial Group, Inc.

     33,308        1,261,374  

Fifth Third Bancorp

     68,484        1,916,182  

First Republic Bank

     5,190        542,147  

Huntington Bancshares, Inc.

     125,602        1,753,404  

JPMorgan Chase & Co.

     383,589        36,636,585  

KeyCorp

     92,053        1,732,438  

M&T Bank Corp.

     13,222        2,129,271  

PNC Financial Services Group, Inc. (The)

     44,510        5,998,613  

Regions Financial Corp.

     102,304        1,558,090  

SunTrust Banks, Inc.

     45,333        2,709,554  

U.S. Bancorp

     173,690        9,308,047  

Wells Fargo & Co.

     637,702        35,169,265  
     

 

 

 
Total Banks               131,789,357  
Beverages – 2.9%  

Coca-Cola Co. (The)

     686,319        30,891,218  

Constellation Brands, Inc. Class A

     9,075        1,810,009  

Dr. Pepper Snapple Group, Inc.

     19,989        1,768,427  

Molson Coors Brewing Co. Class B

     14,753        1,204,435  

PepsiCo, Inc.

     199,065        22,181,813  
     

 

 

 
Total Beverages               57,855,902  
Biotechnology – 3.1%  

AbbVie, Inc.

     322,846      28,688,096  

Amgen, Inc.

     99,123        18,481,483  

Gilead Sciences, Inc.

     163,173        13,220,276  
     

 

 

 
Total Biotechnology               60,389,855  
Capital Markets – 2.7%  

Ameriprise Financial, Inc.

     19,045        2,828,373  

Bank of New York Mellon Corp. (The)

     78,693        4,172,303  

BlackRock, Inc.

     18,206        8,139,721  

Charles Schwab Corp. (The)

     43,807        1,916,118  

CME Group, Inc.

     31,315        4,248,819  

Franklin Resources, Inc.

     46,358        2,063,395  

Goldman Sachs Group, Inc. (The)

     20,478        4,857,177  

Intercontinental Exchange, Inc.

     31,509        2,164,668  

Moody’s Corp.

     13,162        1,832,282  

Morgan Stanley

     164,209        7,909,948  

Northern Trust Corp.

     18,745        1,723,228  

S&P Global, Inc.

     15,578        2,434,997  

State Street Corp.

     34,647        3,310,174  

T. Rowe Price Group, Inc.

     32,176        2,916,754  

TD Ameritrade Holding Corp.

     42,300        2,064,240  
     

 

 

 
Total Capital Markets               52,582,197  
Chemicals – 2.0%  

Air Products & Chemicals, Inc.

     23,381        3,535,675  

Celanese Corp. Series A

     11,710        1,221,002  

DowDuPont, Inc.

     279,582        19,355,462  

Ecolab, Inc.

     15,760        2,026,894  

Monsanto Co.

     42,737        5,120,747  

PPG Industries, Inc.

     20,688        2,247,958  

Praxair, Inc.

     32,671        4,565,445  

Sherwin-Williams Co. (The)

     5,609        2,008,246  
     

 

 

 
Total Chemicals               40,081,429  
Commercial Services & Supplies – 0.4%  

Cintas Corp.

     5,802        837,113  

Republic Services, Inc.

     36,224        2,392,957  

Waste Management, Inc.

     49,943        3,909,039  
     

 

 

 
Total Commercial Services & Supplies               7,139,109  
Communications Equipment – 1.6%  

Cisco Systems, Inc.

     829,270        27,888,350  

Harris Corp.

     12,259        1,614,265  

Motorola Solutions, Inc.

     17,934        1,522,059  
     

 

 

 
Total Communications Equipment               31,024,674  
Construction Materials – 0.0%  

Martin Marietta Materials, Inc.

     1,841        379,669  

Vulcan Materials Co.

     3,628        433,909  
     

 

 

 
Total Construction Materials               813,578  
Consumer Finance – 0.7%  

American Express Co.

     75,171        6,799,969  

Capital One Financial Corp.

     41,126        3,481,727  

Discover Financial Services

     31,800        2,050,464  

Synchrony Financial

     57,495        1,785,220  
     

 

 

 
Total Consumer Finance               14,117,380  

 

See Notes to Financial Statements.

 

34   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Containers & Packaging – 0.3%  

Ball Corp.

     9,479      $ 391,483  

International Paper Co.

     68,135        3,871,430  

WestRock Co.

     36,164        2,051,584  
     

 

 

 
Total Containers & Packaging               6,314,497  
Distributors – 0.1%  

Genuine Parts Co.

     18,265        1,747,047  
Diversified Telecommunication Services – 5.3%  

AT&T, Inc.

     1,422,236        55,708,984  

CenturyLink, Inc.(a)

     233,158        4,406,686  

Verizon Communications, Inc.

     872,869        43,198,287  
     

 

 

 
Total Diversified Telecommunication Services        103,313,957  
Electric Utilities – 3.9%  

American Electric Power Co., Inc.

     91,289        6,412,139  

Avangrid, Inc.

     69,156        3,279,378  

Duke Energy Corp.

     147,447        12,373,752  

Edison International

     43,182        3,332,355  

Entergy Corp.

     41,119        3,139,847  

Eversource Energy

     49,806        3,010,275  

Exelon Corp.

     160,455        6,044,340  

FirstEnergy Corp.

     96,382        2,971,457  

NextEra Energy, Inc.

     68,616        10,055,675  

PG&E Corp.

     80,231        5,462,929  

PPL Corp.

     146,510        5,560,054  

Southern Co. (The)

     219,396        10,781,119  

Xcel Energy, Inc.

     81,166        3,840,775  
     

 

 

 
Total Electric Utilities               76,264,095  
Electrical Equipment – 0.5%  

Acuity Brands, Inc.

     361        61,832  

Emerson Electric Co.

     102,508        6,441,603  

Rockwell Automation, Inc.

     13,121        2,338,293  
     

 

 

 
Total Electrical Equipment               8,841,728  
Electronic Equipment, Instruments & Components – 0.2%  

Amphenol Corp. Class A

     14,028        1,187,330  

Corning, Inc.

     98,626        2,950,890  
     

 

 

 
Total Electronic Equipment, Instruments & Components        4,138,220  
Energy Equipment & Services – 0.2%  

Baker Hughes Co.

     21,779        797,547  

Halliburton Co.

     55,674        2,562,674  

National Oilwell Varco, Inc.

     7,991        285,519  
     

 

 

 
Total Energy Equipment & Services               3,645,740  
Equity Real Estate Investment Trusts (REITs) – 4.1%  

American Tower Corp.

     43,316        5,920,431  

AvalonBay Communities, Inc.

     20,937        3,735,580  

Boston Properties, Inc.

     14,486        1,780,040  

Crown Castle International Corp.

     76,045        7,602,979  

Digital Realty Trust, Inc.

     27,989        3,311,938  

Equinix, Inc.

     6,986        3,117,852  

Equity Residential

     55,246        3,642,369  

Essex Property Trust, Inc.

     9,288        2,359,431  

GGP, Inc.

     143,570        2,981,949  

HCP, Inc.

     111,487      3,102,683  

Host Hotels & Resorts, Inc.

     149,821        2,770,190  

Prologis, Inc.

     80,885        5,132,962  

Public Storage

     30,065        6,433,609  

Realty Income Corp.

     52,575        3,006,764  

Simon Property Group, Inc.

     53,495        8,613,230  

Ventas, Inc.

     79,129        5,153,672  

Vornado Realty Trust

     21,615        1,661,761  

Welltower, Inc.

     90,249        6,342,700  

Weyerhaeuser Co.

     135,037        4,595,309  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        81,265,449  
Food & Staples Retailing – 2.9%  

Costco Wholesale Corp.

     23,530        3,865,744  

CVS Health Corp.

     107,121        8,711,080  

Kroger Co. (The)

     59,173        1,187,010  

Sysco Corp.

     63,154        3,407,158  

Wal-Mart Stores, Inc.

     420,910        32,889,908  

Walgreens Boots Alliance, Inc.

     89,274        6,893,738  
     

 

 

 
Total Food & Staples Retailing               56,954,638  
Food Products – 2.0%  

Archer-Daniels-Midland Co.

     71,684        3,047,287  

Campbell Soup Co.

     33,961        1,590,054  

Conagra Brands, Inc.

     52,701        1,778,132  

General Mills, Inc.

     86,398        4,471,960  

Hershey Co. (The)

     17,668        1,928,816  

Hormel Foods Corp.

     51,099        1,642,322  

J.M. Smucker Co. (The)

     12,413        1,302,496  

Kellogg Co.

     48,233        3,008,292  

Kraft Heinz Co. (The)

     166,719        12,929,058  

Mondelez International, Inc. Class A

     133,024        5,408,756  

Tyson Foods, Inc. Class A

     19,002        1,338,691  
     

 

 

 
Total Food Products               38,445,864  
Health Care Equipment & Supplies – 1.2%  

Abbott Laboratories

     203,466        10,856,946  

Baxter International, Inc.

     29,469        1,849,180  

Becton, Dickinson and Co.

     17,946        3,516,519  

C.R. Bard, Inc.

     1,771        567,605  

Danaher Corp.

     20,285        1,740,047  

Dentsply Sirona, Inc.

     4,830        288,882  

Stryker Corp.

     23,259        3,303,243  

Zimmer Biomet Holdings, Inc.

     8,421        986,015  
     

 

 

 
Total Health Care Equipment & Supplies               23,108,437  
Health Care Providers & Services – 1.4%  

Aetna, Inc.

     13,182        2,096,070  

AmerisourceBergen Corp.

     19,690        1,629,347  

Anthem, Inc.

     22,596        4,290,528  

Cardinal Health, Inc.

     37,675        2,521,211  

Cigna Corp.

     371        69,355  

Humana, Inc.

     4,136        1,007,654  

McKesson Corp.

     7,780        1,195,086  

Quest Diagnostics, Inc.

     13,315        1,246,817  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      35  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

UnitedHealth Group, Inc.

     71,064      $ 13,917,884  
     

 

 

 
Total Health Care Providers & Services               27,973,952  
Hotels, Restaurants & Leisure – 2.4%  

Hilton Worldwide Holdings, Inc.

     16,856        1,170,649  

Las Vegas Sands Corp.

     198,095        12,709,775  

Marriott International, Inc. Class A

     27,065        2,984,187  

McDonald’s Corp.

     123,029        19,276,184  

Starbucks Corp.

     117,672        6,320,163  

Yum! Brands, Inc.

     55,450        4,081,675  
     

 

 

 
Total Hotels, Restaurants & Leisure               46,542,633  
Household Durables – 0.2%  

Newell Brands, Inc.

     38,829        1,656,833  

Whirlpool Corp.

     8,354        1,540,812  
     

 

 

 
Total Household Durables               3,197,645  
Household Products – 2.7%  

Church & Dwight Co., Inc.

     19,135        927,091  

Clorox Co. (The)

     17,343        2,287,715  

Colgate-Palmolive Co.

     99,108        7,220,018  

Kimberly-Clark Corp.

     54,487        6,412,030  

Procter & Gamble Co. (The)

     405,416        36,884,747  
     

 

 

 
Total Household Products               53,731,601  
Industrial Conglomerates – 2.9%  

3M Co.

     71,608        15,030,519  

General Electric Co.

     1,222,527        29,560,703  

Honeywell International, Inc.

     82,789        11,734,513  

Roper Technologies, Inc.

     3,386        824,152  
     

 

 

 
Total Industrial Conglomerates               57,149,887  
Insurance – 2.3%  

Aflac, Inc.

     48,556        3,951,973  

Allstate Corp. (The)

     32,205        2,959,962  

American International Group, Inc.

     95,242        5,846,906  

Cincinnati Financial Corp.

     19,822        1,517,770  

Hartford Financial Services Group, Inc. (The)

     33,909        1,879,576  

Lincoln National Corp.

     18,875        1,386,935  

Loews Corp.

     8,903        426,098  

Marsh & McLennan Cos., Inc.

     48,456        4,061,097  

MetLife, Inc.

     145,632        7,565,582  

Principal Financial Group, Inc.

     39,740        2,556,872  

Progressive Corp. (The)

     72,078        3,490,017  

Prudential Financial, Inc.

     54,263        5,769,242  

Travelers Cos., Inc. (The)

     29,907        3,664,206  
     

 

 

 
Total Insurance               45,076,236  
Internet & Catalog Retail – 0.0%  

Expedia, Inc.

     5,190        747,049  
IT Services – 2.4%  

Alliance Data Systems Corp.

     2,638        584,449  

Automatic Data Processing, Inc.

     49,522        5,413,745  

Fidelity National Information Services, Inc.

     21,128        1,973,144  

International Business Machines Corp.

     152,730        22,158,068  

MasterCard, Inc. Class A

     37,120        5,241,344  

Paychex, Inc.

     51,729        3,101,671  

Visa, Inc. Class A

     73,846      7,771,553  
     

 

 

 
Total IT Services               46,243,974  
Life Sciences Tools & Services – 0.1%  

Agilent Technologies, Inc.

     17,222        1,105,652  

Thermo Fisher Scientific, Inc.

     7,842        1,483,707  
     

 

 

 
Total Life Sciences Tools & Services               2,589,359  
Machinery – 1.7%  

Caterpillar, Inc.

     89,621        11,176,635  

Cummins, Inc.

     23,440        3,938,623  

Deere & Co.

     35,125        4,411,349  

Dover Corp.

     17,451        1,594,847  

Fortive Corp.

     9,191        650,631  

Illinois Tool Works, Inc.

     34,493        5,103,584  

PACCAR, Inc.

     23,214        1,679,301  

Parker-Hannifin Corp.

     11,723        2,051,759  

Stanley Black & Decker, Inc.

     13,658        2,061,948  
     

 

 

 
Total Machinery               32,668,677  
Media – 2.0%  

CBS Corp. Class B Non-Voting Shares

     21,874        1,268,692  

Comcast Corp. Class A

     360,972        13,890,203  

Omnicom Group, Inc.

     28,206        2,089,219  

Sirius XM Holdings, Inc.(a)

     210,468        1,161,783  

Time Warner, Inc.

     62,229        6,375,361  

Twenty-First Century Fox, Inc. Class A

     62,103        1,638,277  

Twenty-First Century Fox, Inc. Class B

     46,799        1,206,946  

Viacom, Inc. Class B

     33,193        924,093  

Walt Disney Co. (The)

     113,255        11,163,545  
     

 

 

 
Total Media               39,718,119  
Metals & Mining – 0.1%  

Newmont Mining Corp.

     16,571        621,578  

Nucor Corp.

     35,999        2,017,384  
     

 

 

 
Total Metals & Mining               2,638,962  
Multi-Utilities – 1.6%  

Ameren Corp.

     40,547        2,345,238  

CMS Energy Corp.

     41,103        1,903,891  

Consolidated Edison, Inc.

     54,383        4,387,620  

Dominion Energy, Inc.

     111,701        8,593,158  

DTE Energy Co.

     28,633        3,074,039  

Public Service Enterprise Group, Inc.

     91,279        4,221,654  

Sempra Energy

     36,101        4,120,207  

WEC Energy Group, Inc.

     52,816        3,315,789  
     

 

 

 
Total Multi-Utilities               31,961,596  
Multiline Retail – 0.4%  

Dollar General Corp.

     16,964        1,374,932  

Macy’s, Inc.

     52,130        1,137,477  

Target Corp.

     82,113        4,845,488  
     

 

 

 
Total Multiline Retail               7,357,897  
Oil, Gas & Consumable Fuels – 7.3%  

Anadarko Petroleum Corp.

     8,747        427,291  

Apache Corp.

     28,173        1,290,323  

Chevron Corp.

     336,122        39,494,335  

 

See Notes to Financial Statements.

 

36   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Cimarex Energy Co.

     1,364      $ 155,046  

ConocoPhillips

     116,457        5,828,673  

Devon Energy Corp.

     11,426        419,448  

EOG Resources, Inc.

     17,898        1,731,453  

EQT Corp.

     1,119        73,004  

Exxon Mobil Corp.

     666,909        54,673,200  

Hess Corp.

     24,062        1,128,267  

Kinder Morgan, Inc.

     253,082        4,854,113  

Marathon Oil Corp.

     42,462        575,785  

Marathon Petroleum Corp.

     73,467        4,120,029  

Noble Energy, Inc.

     22,770        645,757  

Occidental Petroleum Corp.

     156,034        10,018,943  

ONEOK, Inc.

     44,045        2,440,533  

Phillips 66

     71,696        6,568,071  

Pioneer Natural Resources Co.

     412        60,786  

Valero Energy Corp.

     76,111        5,855,219  

Williams Cos., Inc. (The)

     96,580        2,898,366  
     

 

 

 
Total Oil, Gas & Consumable Fuels               143,258,642  
Personal Products – 0.2%  

Coty, Inc. Class A

     53,193        879,280  

Estee Lauder Cos., Inc. (The) Class A

     18,491        1,994,070  
     

 

 

 
Total Personal Products               2,873,350  
Pharmaceuticals – 7.2%  

Bristol-Myers Squibb Co.

     213,049        13,579,743  

Eli Lilly & Co.

     158,722        13,577,080  

Johnson & Johnson

     370,027        48,107,210  

Merck & Co., Inc.

     404,248        25,884,000  

Pfizer, Inc.

     1,096,416        39,142,051  

Zoetis, Inc.

     16,781        1,069,957  
     

 

 

 
Total Pharmaceuticals               141,360,041  
Professional Services – 0.0%  

Equifax, Inc.

     6,207        657,880  
Road & Rail – 1.0%  

CSX Corp.

     87,202        4,731,581  

Norfolk Southern Corp.

     30,108        3,981,482  

Union Pacific Corp.

     90,153        10,455,043  
     

 

 

 
Total Road & Rail               19,168,106  
Semiconductors & Semiconductor Equipment – 3.6%  

Analog Devices, Inc.

     38,398        3,308,756  

Applied Materials, Inc.

     62,191        3,239,529  

Intel Corp.

     658,254        25,066,312  

KLA-Tencor Corp.

     21,096        2,236,176  

Lam Research Corp.

     13,672        2,529,867  

Maxim Integrated Products, Inc.

     44,894        2,141,893  

Microchip Technology, Inc.

     23,341        2,095,555  

NVIDIA Corp.

     15,699        2,806,510  

QUALCOMM, Inc.

     218,605        11,332,483  

Skyworks Solutions, Inc.

     12,413        1,264,885  

Texas Instruments, Inc.

     133,035        11,925,257  

Xilinx, Inc.

     28,430        2,013,697  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        69,960,920  
Software – 4.6%  

Activision Blizzard, Inc.

     25,723      1,659,391  

CA, Inc.

     64,910        2,166,696  

Intuit, Inc.

     14,146        2,010,712  

Microsoft Corp.

     933,734        69,553,846  

Oracle Corp.

     290,639        14,052,396  

Symantec Corp.

     34,397        1,128,565  
     

 

 

 
Total Software               90,571,606  
Specialty Retail – 1.7%  

Advance Auto Parts, Inc.

     535        53,072  

Best Buy Co., Inc.

     34,073        1,940,798  

Home Depot, Inc. (The)

     120,443        19,699,657  

L Brands, Inc.

     42,388        1,763,765  

Lowe’s Cos., Inc.

     77,474        6,193,272  

Ross Stores, Inc.

     15,104        975,265  

TJX Cos., Inc. (The)

     42,308        3,119,369  
     

 

 

 
Total Specialty Retail               33,745,198  
Technology Hardware, Storage & Peripherals – 4.5%  

Apple, Inc.

     508,943        78,438,295  

Hewlett Packard Enterprise Co.

     80,024        1,177,153  

HP, Inc.

     276,267        5,514,289  

Western Digital Corp.

     40,340        3,485,376  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        88,615,113  
Textiles, Apparel & Luxury Goods – 0.4%  

NIKE, Inc. Class B

     88,534        4,590,488  

VF Corp.

     59,285        3,768,747  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               8,359,235  
Tobacco – 3.0%  

Altria Group, Inc.

     342,900        21,746,718  

Philip Morris International, Inc.

     341,302        37,887,935  
     

 

 

 
Total Tobacco               59,634,653  
Trading Companies & Distributors – 0.1%  

Fastenal Co.

     33,637        1,533,175  

W.W. Grainger, Inc.

     5,903        1,061,064  
     

 

 

 
Total Trading Companies & Distributors               2,594,239  
Water Utilities – 0.1%  

American Water Works Co., Inc.

     17,922        1,450,069  
TOTAL COMMON STOCKS
(Cost: $1,651,592,819)
              1,959,741,285  
EXCHANGE-TRADED FUND – 0.1%  
United States – 0.1%  
WisdomTree U.S. Total Dividend Fund(b)
(Cost: $2,170,624)
     25,281        2,218,575  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      37  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.2%  
United States – 0.2%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $4,091,919)(d)      4,091,919      $ 4,091,919  
TOTAL INVESTMENTS IN SECURITIES – 100.1%
(Cost: $1,657,855,362)
       1,966,051,779  

Other Assets less Liabilities – (0.1)%

        (1,996,624
     

 

 

 
NET ASSETS – 100.0%             $ 1,964,055,155  
(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $4,999,148 and the total market value of the collateral held by the Fund was $5,130,919. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,039,000.

 

See Notes to Financial Statements.

 

38   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. LargeCap Value Fund (EZY)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.9%  
United States – 99.9%  
Aerospace & Defense – 5.4%  

Curtiss-Wright Corp.

     345      $ 36,066  

DigitalGlobe, Inc.*

     235        8,284  

General Dynamics Corp.

     3,336        685,815  

HEICO Corp.

     444        39,876  

Huntington Ingalls Industries, Inc.

     486        110,050  

L3 Technologies, Inc.

     779        146,787  

Northrop Grumman Corp.

     1,678        482,794  

Raytheon Co.

     3,022        563,845  

Spirit AeroSystems Holdings, Inc. Class A

     1,855        144,170  

Teledyne Technologies, Inc.*

     290        46,162  
     

 

 

 
Total Aerospace & Defense               2,263,849  
Air Freight & Logistics – 1.5%  

FedEx Corp.

     2,711        611,547  
Airlines – 1.2%  

Hawaiian Holdings, Inc.*

     912        34,246  

SkyWest, Inc.

     736        32,310  

Spirit Airlines, Inc.*

     944        31,539  

United Continental Holdings, Inc.*

     6,936        422,264  
     

 

 

 
Total Airlines               520,359  
Auto Components – 0.1%  

Dorman Products, Inc.*

     240        17,189  

LCI Industries

     208        24,097  
     

 

 

 
Total Auto Components               41,286  
Automobiles – 0.4%  

Harley-Davidson, Inc.

     2,157        103,989  

Thor Industries, Inc.

     538        67,740  
     

 

 

 
Total Automobiles               171,729  
Banks – 10.2%  

Bank of America Corp.

     56,472        1,431,001  

BB&T Corp.

     4,935        231,649  

Citizens Financial Group, Inc.

     3,044        115,276  

Comerica, Inc.

     672        51,247  

Community Bank System, Inc.

     164        9,061  

Fifth Third Bancorp

     7,189        201,148  

First Citizens BancShares, Inc. Class A

     68        25,425  

First Horizon National Corp.

     1,223        23,421  

First Midwest Bancorp, Inc.

     379        8,876  

Fulton Financial Corp.

     957        17,944  

Great Western Bancorp, Inc.

     312        12,879  

Hancock Holding Co.

     257        12,452  

Hilltop Holdings, Inc.

     508        13,208  

Iberiabank Corp.

     221        18,155  

International Bancshares Corp.

     340        13,634  

JPMorgan Chase & Co.

     15,253        1,456,814  

KeyCorp

     4,581        86,214  

Popular, Inc.

     888        31,915  

Regions Financial Corp.

     8,010        121,992  

ServisFirst Bancshares, Inc.

     224        8,702  

Sterling Bancorp

     578        14,248  

SunTrust Banks, Inc.

     3,695      220,850  

TCF Financial Corp.

     1,073        18,284  

Towne Bank

     194        6,499  

Trustmark Corp.

     302        10,002  

UMB Financial Corp.

     202        15,047  

United Community Banks, Inc.

     322        9,190  

Webster Financial Corp.

     418        21,966  

Wintrust Financial Corp.

     282        22,083  

Zions Bancorp

     960        45,293  
     

 

 

 
Total Banks               4,274,475  
Building Products – 0.8%  

Owens Corning

     1,427        110,378  

Simpson Manufacturing Co., Inc.

     342        16,772  

Trex Co., Inc.*

     164        14,771  

Universal Forest Products, Inc.

     181        17,767  

USG Corp.*

     5,990        195,574  
     

 

 

 
Total Building Products               355,262  
Capital Markets – 3.3%  

Evercore, Inc. Class A

     170        13,643  

Goldman Sachs Group, Inc. (The)

     3,233        766,835  

Morgan Stanley

     12,125        584,061  
     

 

 

 
Total Capital Markets               1,364,539  
Chemicals – 1.0%  

Albemarle Corp.

     1,257        171,342  

Cabot Corp.

     542        30,243  

Chemours Co. (The)

     1,105        55,924  

H.B. Fuller Co.

     423        24,559  

Huntsman Corp.

     1,954        53,579  

Minerals Technologies, Inc.

     269        19,005  

Scotts Miracle-Gro Co. (The)

     436        42,440  
     

 

 

 
Total Chemicals               397,092  
Commercial Services & Supplies – 1.4%  

ABM Industries, Inc.

     368        15,349  

Brink’s Co. (The)

     141        11,879  

Cintas Corp.

     767        110,663  

HNI Corp.

     354        14,680  

MSA Safety, Inc.

     214        17,015  

Republic Services, Inc.

     2,023        133,640  

UniFirst Corp.

     148        22,422  

Waste Management, Inc.

     3,099        242,559  
     

 

 

 
Total Commercial Services & Supplies               568,207  
Communications Equipment – 0.9%  

Brocade Communications Systems, Inc.

     3,310        39,554  

CommScope Holding Co., Inc.*

     476        15,808  

EchoStar Corp. Class A*

     764        43,724  

F5 Networks, Inc.*

     501        60,401  

Finisar Corp.*

     308        6,828  

Harris Corp.

     1,000        131,680  

InterDigital, Inc.

     474        34,957  

Lumentum Holdings, Inc.*

     19        1,033  

Ubiquiti Networks, Inc.*(a)

     794        44,480  
     

 

 

 
Total Communications Equipment               378,465  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      39  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. LargeCap Value Fund (EZY)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Construction & Engineering – 0.4%  

AECOM*

     447      $ 16,454  

EMCOR Group, Inc.

     486        33,719  

Fluor Corp.

     544        22,903  

Granite Construction, Inc.

     213        12,343  

Jacobs Engineering Group, Inc.

     661        38,517  

MasTec, Inc.*

     356        16,518  

Quanta Services, Inc.*

     728        27,205  

Valmont Industries, Inc.

     121        19,130  
     

 

 

 
Total Construction & Engineering               186,789  
Construction Materials – 0.3%  

Eagle Materials, Inc.

     353        37,665  

Martin Marietta Materials, Inc.

     340        70,118  
     

 

 

 
Total Construction Materials               107,783  
Consumer Finance – 0.8%  

Discover Financial Services

     3,481        224,455  

Navient Corp.

     5,273        79,201  

SLM Corp.*

     2,460        28,216  
     

 

 

 
Total Consumer Finance               331,872  
Containers & Packaging – 0.9%  

International Paper Co.

     3,734        212,166  

Packaging Corp. of America

     965        110,666  

Sonoco Products Co.

     906        45,708  
     

 

 

 
Total Containers & Packaging               368,540  
Diversified Consumer Services – 0.1%  

Grand Canyon Education, Inc.*

     442        40,142  
Diversified Financial Services – 3.5%  

Berkshire Hathaway, Inc. Class B*

     7,910        1,450,061  

Leucadia National Corp.

     289        7,297  
     

 

 

 
Total Diversified Financial Services               1,457,358  
Diversified Telecommunication Services – 5.2%  

AT&T, Inc.

     55,913        2,190,112  
Electric Utilities – 2.0%  

ALLETE, Inc.

     387        29,911  

Alliant Energy Corp.

     1,795        74,618  

Edison International

     2,465        190,224  

Exelon Corp.

     7,021        264,481  

MGE Energy, Inc.

     215        13,889  

OGE Energy Corp.

     1,773        63,881  

Pinnacle West Capital Corp.

     1,071        90,564  

Portland General Electric Co.

     831        37,927  

Westar Energy, Inc.

     1,154        57,239  
     

 

 

 
Total Electric Utilities               822,734  
Electrical Equipment – 0.2%  

EnerSys

     312        21,581  

Generac Holdings, Inc.*

     289        13,274  

Regal Beloit Corp.

     508        40,132  
     

 

 

 
Total Electrical Equipment               74,987  
Electronic Equipment, Instruments & Components – 2.6%  

Anixter International, Inc.*

     202        17,170  

Arrow Electronics, Inc.*

     1,377      110,725  

AVX Corp.

     1,597        29,113  

Belden, Inc.

     326        26,253  

Cognex Corp.

     399        44,002  

Coherent, Inc.*

     126        29,631  

Corning, Inc.

     17,653        528,178  

Dolby Laboratories, Inc. Class A

     772        44,405  

Itron, Inc.*

     78        6,041  

Keysight Technologies, Inc.*

     1,719        71,614  

Littelfuse, Inc.

     137        26,836  

Sanmina Corp.*

     1,016        37,744  

SYNNEX Corp.

     322        40,736  

Tech Data Corp.*

     410        36,428  

Trimble, Inc.*

     782        30,694  
     

 

 

 
Total Electronic Equipment, Instruments & Components        1,079,570  
Equity Real Estate Investment Trusts (REITs) – 0.1%  

GEO Group, Inc. (The)

     690        18,561  

Senior Housing Properties Trust

     626        12,238  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)               30,799  
Food & Staples Retailing – 6.5%  

Sysco Corp.

     3,396        183,214  

United Natural Foods, Inc.*

     529        22,001  

Wal-Mart Stores, Inc.

     32,216        2,517,359  
     

 

 

 
Total Food & Staples Retailing               2,722,574  
Food Products – 2.1%  

Archer-Daniels-Midland Co.

     6,591        280,183  

Darling Ingredients, Inc.*

     2,076        36,372  

Ingredion, Inc.

     770        92,893  

Seaboard Corp.

     15        67,575  

Tyson Foods, Inc. Class A

     5,500        387,475  
     

 

 

 
Total Food Products               864,498  
Gas Utilities – 0.4%  

New Jersey Resources Corp.

     730        30,769  

ONE Gas, Inc.

     434        31,960  

South Jersey Industries, Inc.

     707        24,413  

Southwest Gas Holdings, Inc.

     398        30,893  

WGL Holdings, Inc.

     427        35,953  
     

 

 

 
Total Gas Utilities               153,988  
Health Care Equipment & Supplies – 3.3%  

Baxter International, Inc.

     21,175        1,328,731  

Integra LifeSciences Holdings Corp.*

     290        14,639  

Masimo Corp.*

     355        30,729  
     

 

 

 
Total Health Care Equipment & Supplies               1,374,099  
Health Care Providers & Services – 7.6%  

Aetna, Inc.

     3,665        582,772  

Anthem, Inc.

     3,012        571,919  

HealthSouth Corp.

     1,057        48,992  

Humana, Inc.

     1,059        258,004  

Quest Diagnostics, Inc.

     1,424        133,343  

UnitedHealth Group, Inc.

     7,883        1,543,885  

WellCare Health Plans, Inc.*

     290        49,805  
     

 

 

 
Total Health Care Providers & Services               3,188,720  

 

See Notes to Financial Statements.

 

40   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. LargeCap Value Fund (EZY)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Hotels, Restaurants & Leisure – 2.2%  

Cheesecake Factory, Inc. (The)

     409      $ 17,227  

Cracker Barrel Old Country Store, Inc.

     217        32,902  

Darden Restaurants, Inc.

     954        75,156  

Dave & Buster’s Entertainment, Inc.*

     271        14,222  

ILG, Inc.

     2,587        69,151  

Las Vegas Sands Corp.

     5,662        363,274  

Marriott Vacations Worldwide Corp.

     267        33,250  

MGM Resorts International

     6,882        224,284  

Texas Roadhouse, Inc.

     478        23,489  

Vail Resorts, Inc.

     170        38,780  

Wendy’s Co. (The)

     2,627        40,797  
     

 

 

 
Total Hotels, Restaurants & Leisure               932,532  
Household Products – 0.1%  

Spectrum Brands Holdings, Inc.

     566        59,951  
Independent Power & Renewable Electricity Producers – 0.2%  

AES Corp.

     7,508        82,738  

Ormat Technologies, Inc.

     345        21,062  
     

 

 

 
Total Independent Power & Renewable Electricity Producers               103,800  
Industrial Conglomerates – 0.2%  

Carlisle Cos., Inc.

     643        64,486  
Insurance – 6.5%  

Aflac, Inc.

     4,256        346,396  

Alleghany Corp.*

     101        55,955  

Allstate Corp. (The)

     2,162        198,710  

American Financial Group, Inc.

     515        53,277  

American National Insurance Co.

     159        18,775  

Arthur J. Gallagher & Co.

     866        53,302  

Brighthouse Financial, Inc.*

     678        41,222  

Brown & Brown, Inc.

     632        30,456  

Cincinnati Financial Corp.

     951        72,818  

Lincoln National Corp.

     2,086        153,279  

Loews Corp.

     390        18,665  

Marsh & McLennan Cos., Inc.

     2,685        225,030  

Mercury General Corp.

     212        12,018  

MetLife, Inc.

     7,490        389,106  

Primerica, Inc.

     328        26,748  

Principal Financial Group, Inc.

     2,312        148,754  

Prudential Financial, Inc.

     4,975        528,942  

Reinsurance Group of America, Inc.

     584        81,486  

Selective Insurance Group, Inc.

     453        24,394  

Torchmark Corp.

     803        64,312  

Unum Group

     2,334        119,337  

W.R. Berkley Corp.

     955        63,737  
     

 

 

 
Total Insurance               2,726,719  
Internet Software & Services – 0.0%  

GrubHub, Inc.*(a)

     230        12,112  
IT Services – 0.6%  

CACI International, Inc. Class A*

     209        29,124  

DXC Technology Co.

     2,470        212,124  

Science Applications International Corp.

     290        19,386  
     

 

 

 
Total IT Services               260,634  
Leisure Products – 0.1%  

Mattel, Inc.

     2,331      36,084  
Life Sciences Tools & Services – 0.1%  

Bio-Rad Laboratories, Inc. Class A*

     110        24,444  
Machinery – 5.4%  

AGCO Corp.

     508        37,475  

Barnes Group, Inc.

     505        35,572  

Caterpillar, Inc.

     2,115        263,762  

Colfax Corp.*

     664        27,649  

Crane Co.

     638        51,034  

Cummins, Inc.

     1,587        266,664  

Deere & Co.

     2,833        355,796  

Donaldson Co., Inc.

     823        37,809  

Hillenbrand, Inc.

     585        22,727  

Illinois Tool Works, Inc.

     2,996        443,288  

John Bean Technologies Corp.

     142        14,356  

Lincoln Electric Holdings, Inc.

     466        42,723  

Mueller Industries, Inc.

     464        16,217  

Mueller Water Products, Inc. Class A

     830        10,624  

Nordson Corp.

     444        52,614  

Oshkosh Corp.

     600        49,524  

PACCAR, Inc.

     1,642        118,782  

Parker-Hannifin Corp.

     1,124        196,723  

Terex Corp.

     884        39,798  

Timken Co. (The)

     483        23,450  

Toro Co. (The)

     758        47,041  

Watts Water Technologies, Inc. Class A

     82        5,674  

Woodward, Inc.

     505        39,193  

Xylem, Inc.

     1,205        75,469  
     

 

 

 
Total Machinery               2,273,964  
Media – 5.3%  

CBS Corp. Class B Non-Voting Shares

     6,045        350,610  

Charter Communications, Inc. Class A*

     2,033        738,833  

Meredith Corp.

     511        28,360  

Scripps Networks Interactive, Inc. Class A

     2,103        180,627  

Time Warner, Inc.

     8,984        920,411  
     

 

 

 
Total Media               2,218,841  
Metals & Mining – 0.6%  

Commercial Metals Co.

     552        10,504  

Nucor Corp.

     1,552        86,974  

Reliance Steel & Aluminum Co.

     693        52,786  

Steel Dynamics, Inc.

     1,966        67,768  

Worthington Industries, Inc.

     593        27,278  
     

 

 

 
Total Metals & Mining               245,310  
Multi-Utilities – 2.0%  

Avista Corp.

     601        31,114  

Black Hills Corp.

     133        9,160  

CMS Energy Corp.

     2,736        126,731  

Consolidated Edison, Inc.

     3,394        273,828  

DTE Energy Co.

     1,646        176,714  

MDU Resources Group, Inc.

     1,381        35,837  

NiSource, Inc.

     2,644        67,660  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      41  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. LargeCap Value Fund (EZY)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

SCANA Corp.

     1,494      $ 72,444  

Vectren Corp.

     775        50,972  
     

 

 

 
Total Multi-Utilities               844,460  
Multiline Retail – 1.3%  

Big Lots, Inc.

     541        28,981  

Dollar General Corp.

     3,080        249,634  

Dollar Tree, Inc.*

     1,770        153,672  

Kohl’s Corp.

     2,006        91,574  
     

 

 

 
Total Multiline Retail               523,861  
Personal Products – 0.1%  

Nu Skin Enterprises, Inc. Class A

     538        33,076  
Professional Services – 0.0%  

WageWorks, Inc.*

     49        2,974  
Road & Rail – 1.7%  

CSX Corp.

     8,917        483,836  

Knight-Swift Transportation Holdings, Inc.*

     1,545        64,195  

Landstar System, Inc.

     295        29,397  

Old Dominion Freight Line, Inc.

     653        71,902  

Ryder System, Inc.

     721        60,960  
     

 

 

 
Total Road & Rail               710,290  
Semiconductors & Semiconductor Equipment – 5.4%  

Advanced Energy Industries, Inc.*

     318        25,682  

Amkor Technology, Inc.*

     923        9,738  

Applied Materials, Inc.

     10,241        533,454  

Cirrus Logic, Inc.*

     556        29,646  

Entegris, Inc.*

     938        27,061  

Lam Research Corp.

     1,649        305,131  

MKS Instruments, Inc.

     273        25,785  

NVIDIA Corp.

     2,580        461,226  

QUALCOMM, Inc.

     16,053        832,187  
     

 

 

 
Total Semiconductors & Semiconductor Equipment               2,249,910  
Software – 0.8%  

Ebix, Inc.(a)

     298        19,445  

TiVo Corp.

     453        8,992  

VMware, Inc. Class A*(a)

     2,674        291,974  
     

 

 

 
Total Software               320,411  
Specialty Retail – 1.3%  

Aaron’s, Inc.

     827        36,082  

Best Buy Co., Inc.

     3,823        217,758  

Chico’s FAS, Inc.

     616        5,513  

Children’s Place, Inc. (The)

     146        17,250  

Dick’s Sporting Goods, Inc.

     1,031        27,847  

Five Below, Inc.*

     297        16,299  

Murphy USA, Inc.*

     606        41,814  

Party City Holdco, Inc.*(a)

     1,350        18,293  

Penske Automotive Group, Inc.

     1,142        54,325  

Ulta Salon Cosmetics & Fragrance, Inc.*

     281        63,523  

Urban Outfitters, Inc.*

     1,272        30,401  
     

 

 

 
Total Specialty Retail               529,105  
Technology Hardware, Storage & Peripherals – 1.2%  

Hewlett Packard Enterprise Co.

     24,826      365,191  

NCR Corp.*

     1,185        44,461  

NetApp, Inc.

     1,684        73,692  
     

 

 

 
Total Technology Hardware, Storage & Peripherals               483,344  
Textiles, Apparel & Luxury Goods – 0.6%  

Columbia Sportswear Co.

     522        32,145  

Deckers Outdoor Corp.*

     354        24,217  

PVH Corp.

     1,294        163,122  

Steven Madden Ltd.*

     590        25,547  

Wolverine World Wide, Inc.

     803        23,166  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               268,197  
Thrifts & Mortgage Finance – 0.0%  

Washington Federal, Inc.

     531        17,868  
Trading Companies & Distributors – 1.1%  

Applied Industrial Technologies, Inc.

     290        19,082  

GATX Corp.

     796        49,002  

HD Supply Holdings, Inc.*

     4,967        179,160  

MSC Industrial Direct Co., Inc. Class A

     483        36,500  

United Rentals, Inc.*

     1,037        143,873  

Watsco, Inc.

     213        34,308  

WESCO International, Inc.*

     269        15,669  
     

 

 

 
Total Trading Companies & Distributors               477,594  
Water Utilities – 0.2%  

American Water Works Co., Inc.

     1,225        99,115  
Wireless Telecommunication Services – 0.7%  

T-Mobile U.S., Inc.*

     4,453        274,572  
TOTAL COMMON STOCKS
(Cost: $36,753,278)
              41,735,029  
EXCHANGE-TRADED FUNDS – 0.1%  
United States – 0.1%  

WisdomTree U.S. Earnings 500 Fund(a)(b)

     247        21,501  

WisdomTree U.S. MidCap Earnings Fund(b)

     247        9,198  
     

 

 

 
TOTAL EXCHANGE-TRADED FUNDS
(Cost: $28,116)
              30,699  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.8%  
United States – 0.8%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     

(Cost: $335,846)(d)

     335,846        335,846  
TOTAL INVESTMENTS IN SECURITIES – 100.8% (Cost: $37,117,240)         42,101,574  

Other Assets less Liabilities – (0.8)%

        (316,753
     

 

 

 
NET ASSETS – 100.0%             $ 41,784,821  

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $369,061 and the total market value of the collateral held by the Fund was $381,939. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $46,093.

 

See Notes to Financial Statements.

 

42   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. MidCap Dividend Fund (DON)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
United States – 99.8%      
Aerospace & Defense – 1.1%      

BWX Technologies, Inc.

     67,045      $ 3,755,861  

Curtiss-Wright Corp.

     15,652        1,636,260  

Hexcel Corp.

     56,470        3,242,508  

Huntington Ingalls Industries, Inc.

     45,644        10,335,627  

Orbital ATK, Inc.

     58,568        7,798,915  

Spirit AeroSystems Holdings, Inc. Class A

     59,764        4,644,858  
     

 

 

 
Total Aerospace & Defense               31,414,029  
Air Freight & Logistics – 1.0%      

C.H. Robinson Worldwide, Inc.

     234,920        17,877,412  

Expeditors International of Washington, Inc.

     194,356        11,634,150  
     

 

 

 
Total Air Freight & Logistics               29,511,562  
Airlines – 0.3%      

Alaska Air Group, Inc.

     112,521        8,581,977  
Auto Components – 1.2%      

BorgWarner, Inc.

     209,939        10,755,175  

Gentex Corp.

     382,714        7,577,737  

Goodyear Tire & Rubber Co. (The)

     239,508        7,963,641  

Lear Corp.

     45,265        7,834,466  
     

 

 

 
Total Auto Components               34,131,019  
Automobiles – 0.7%      

Harley-Davidson, Inc.(a)

     302,549        14,585,887  

Thor Industries, Inc.

     49,294        6,206,608  
     

 

 

 
Total Automobiles               20,792,495  
Banks – 3.5%      

Associated Banc-Corp.

     88,806        2,153,546  

Bank of Hawaii Corp.

     28,539        2,379,011  

Bank of the Ozarks, Inc.

     48,275        2,319,614  

BankUnited, Inc.

     74,540        2,651,388  

BOK Financial Corp.

     44,890        3,998,801  

Cathay General Bancorp

     53,361        2,145,112  

Chemical Financial Corp.

     43,738        2,285,748  

CIT Group, Inc.

     91,030        4,465,022  

Comerica, Inc.

     71,092        5,421,476  

Commerce Bancshares, Inc.

     45,627        2,635,872  

Cullen/Frost Bankers, Inc.

     49,499        4,698,445  

East West Bancorp, Inc.

     72,760        4,349,593  

First Citizens BancShares, Inc. Class A

     1,131        422,870  

First Financial Bankshares, Inc.(a)

     32,846        1,484,639  

First Hawaiian, Inc.

     103,652        3,139,619  

First Horizon National Corp.

     98,223        1,880,970  

FNB Corp.

     190,622        2,674,427  

Fulton Financial Corp.

     110,367        2,069,381  

Hancock Holding Co.

     53,501        2,592,123  

Hilltop Holdings, Inc.

     23,356        607,256  

Home BancShares, Inc.

     54,688        1,379,231  

Iberiabank Corp.

     20,835        1,711,595  

Investors Bancorp, Inc.

     217,226        2,962,963  

MB Financial, Inc.

     41,540        1,870,131  

PacWest Bancorp

     137,180        6,928,962  

People’s United Financial, Inc.

     336,047      6,095,893  

Pinnacle Financial Partners, Inc.

     10,674        714,624  

Prosperity Bancshares, Inc.

     40,883        2,687,240  

Sterling Bancorp

     49,668        1,224,316  

Synovus Financial Corp.

     43,955        2,024,567  

TCF Financial Corp.

     81,918        1,395,883  

UMB Financial Corp.

     19,652        1,463,877  

Umpqua Holdings Corp.

     234,712        4,579,231  

United Bankshares, Inc.

     63,164        2,346,543  

Valley National Bancorp

     305,319        3,679,094  

Webster Financial Corp.

     52,408        2,754,040  

Wintrust Financial Corp.

     10,394        813,954  

Zions Bancorp

     46,352        2,186,887  
     

 

 

 
Total Banks               101,193,944  
Building Products – 1.4%      

A.O. Smith Corp.

     104,037        6,182,919  

Fortune Brands Home & Security, Inc.

     130,508        8,774,053  

Lennox International, Inc.

     35,125        6,286,321  

Masco Corp.

     299,609        11,687,747  

Owens Corning

     108,509        8,393,171  
     

 

 

 
Total Building Products               41,324,211  
Capital Markets – 1.5%      

CBOE Holdings, Inc.

     34,024        3,662,003  

Eaton Vance Corp.

     93,048        4,593,780  

FactSet Research Systems, Inc.

     15,455        2,783,600  

Federated Investors, Inc. Class B

     112,065        3,328,330  

Legg Mason, Inc.

     83,013        3,263,241  

LPL Financial Holdings, Inc.

     79,324        4,090,738  

MarketAxess Holdings, Inc.

     7,178        1,324,413  

Morningstar, Inc.

     15,204        1,292,188  

MSCI, Inc.

     41,123        4,807,279  

Nasdaq, Inc.

     99,017        7,680,749  

Raymond James Financial, Inc.

     54,581        4,602,816  

SEI Investments Co.

     53,654        3,276,113  
     

 

 

 
Total Capital Markets               44,705,250  
Chemicals – 6.7%      

Albemarle Corp.

     112,491        15,333,648  

Ashland Global Holdings, Inc.

     62,238        4,069,743  

Cabot Corp.

     102,227        5,704,267  

CF Industries Holdings, Inc.

     667,677        23,475,523  

Chemours Co. (The)

     62,127        3,144,248  

Eastman Chemical Co.

     258,343        23,377,458  

FMC Corp.

     111,807        9,985,483  

Huntsman Corp.

     436,125        11,958,548  

International Flavors & Fragrances, Inc.

     120,572        17,230,945  

Minerals Technologies, Inc.

     5,840        412,596  

Mosaic Co. (The)

     910,932        19,667,022  

NewMarket Corp.

     13,199        5,619,474  

Olin Corp.

     380,176        13,021,028  

PolyOne Corp.

     96,406        3,859,132  

RPM International, Inc.

     217,805        11,182,109  

Scotts Miracle-Gro Co. (The)

     92,268        8,981,367  

Sensient Technologies Corp.

     47,485        3,652,546  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      43  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Dividend Fund (DON)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

W.R. Grace & Co.

     51,681      $ 3,728,784  

Westlake Chemical Corp.

     126,570        10,516,701  
     

 

 

 
Total Chemicals               194,920,622  
Commercial Services & Supplies – 1.1%      

Deluxe Corp.

     59,171        4,317,116  

Healthcare Services Group, Inc.

     98,719        5,327,865  

KAR Auction Services, Inc.

     303,386        14,483,648  

Rollins, Inc.

     191,253        8,824,413  
     

 

 

 
Total Commercial Services & Supplies               32,953,042  
Communications Equipment – 0.6%      

Brocade Communications Systems, Inc.

     528,161        6,311,524  

Juniper Networks, Inc.

     397,752        11,069,438  
     

 

 

 
Total Communications Equipment               17,380,962  
Construction & Engineering – 0.3%      

EMCOR Group, Inc.

     19,185        1,331,055  

Fluor Corp.

     152,803        6,433,007  

Valmont Industries, Inc.

     15,612        2,468,257  
     

 

 

 
Total Construction & Engineering               10,232,319  
Construction Materials – 0.0%      

Eagle Materials, Inc.

     13,659        1,457,415  
Consumer Finance – 0.4%      

Ally Financial, Inc.

     238,436        5,784,457  

Navient Corp.

     360,982        5,421,950  
     

 

 

 
Total Consumer Finance               11,206,407  
Containers & Packaging – 2.7%      

AptarGroup, Inc.

     80,073        6,911,101  

Avery Dennison Corp.

     149,408        14,692,783  

Bemis Co., Inc.

     159,172        7,253,468  

Graphic Packaging Holding Co.

     530,989        7,407,297  

Packaging Corp. of America

     201,774        23,139,442  

Sealed Air Corp.

     189,306        8,087,152  

Sonoco Products Co.

     203,679        10,275,605  
     

 

 

 
Total Containers & Packaging               77,766,848  
Distributors – 0.1%      

Pool Corp.

     34,796        3,763,883  
Diversified Consumer Services – 0.9%      

H&R Block, Inc.

     624,282        16,530,987  

Service Corp. International

     268,281        9,255,695  
     

 

 

 
Total Diversified Consumer Services               25,786,682  
Diversified Financial Services – 0.1%      

Leucadia National Corp.

     116,571        2,943,418  

Voya Financial, Inc.

     5,876        234,393  
     

 

 

 
Total Diversified Financial Services               3,177,811  
Diversified Telecommunication Services – 0.3%     

Frontier Communications Corp.(a)

     659,811        7,779,172  
Electric Utilities – 4.7%      

ALLETE, Inc.

     116,310        8,989,600  

Alliant Energy Corp.

     536,085        22,285,053  

Great Plains Energy, Inc.

     647,914        19,631,794  

Hawaiian Electric Industries, Inc.

     305,658      10,199,808  

IDACORP, Inc.

     102,235        8,989,524  

OGE Energy Corp.

     540,967        19,491,041  

Pinnacle West Capital Corp.

     282,764        23,910,524  

Portland General Electric Co.

     196,414        8,964,335  

Westar Energy, Inc.

     280,199        13,897,870  
     

 

 

 
Total Electric Utilities               136,359,549  
Electrical Equipment – 0.8%      

AMETEK, Inc.

     120,844        7,980,538  

EnerSys

     26,429        1,828,094  

Hubbell, Inc.

     99,198        11,508,952  

Regal Beloit Corp.

     42,572        3,363,188  
     

 

 

 
Total Electrical Equipment               24,680,772  
Electronic Equipment, Instruments & Components – 1.6%     

Avnet, Inc.

     135,230        5,314,539  

Belden, Inc.

     7,684        618,792  

CDW Corp.

     141,704        9,352,464  

Cognex Corp.

     30,603        3,374,899  

FLIR Systems, Inc.

     131,625        5,121,529  

Jabil, Inc.

     201,120        5,741,976  

Littelfuse, Inc.

     14,392        2,819,105  

National Instruments Corp.

     250,456        10,561,729  

SYNNEX Corp.

     23,568        2,981,588  
     

 

 

 
Total Electronic Equipment, Instruments & Components        45,886,621  
Energy Equipment & Services – 0.7%      

Helmerich & Payne, Inc.(a)

     275,514        14,357,034  

Patterson-UTI Energy, Inc.

     28,719        601,376  

RPC, Inc.(a)

     153,524        3,805,860  

U.S. Silica Holdings, Inc.(a)

     26,294        816,955  
     

 

 

 
Total Energy Equipment & Services               19,581,225  
Equity Real Estate Investment Trusts (REITs) – 15.9%     

Alexandria Real Estate Equities, Inc.

     74,213        8,829,121  

American Campus Communities, Inc.

     148,534        6,557,776  

American Homes 4 Rent Class A

     68,800        1,493,648  

Apartment Investment & Management Co. Class A

     157,307        6,899,485  

Apple Hospitality REIT, Inc.

     436,299        8,250,414  

Brixmor Property Group, Inc.

     410,508        7,717,550  

Camden Property Trust

     104,676        9,572,620  

Colony NorthStar, Inc. Class A

     154,768        1,943,886  

Cousins Properties, Inc.

     482,260        4,504,308  

CubeSmart

     186,189        4,833,466  

CyrusOne, Inc.

     92,958        5,478,015  

DCT Industrial Trust, Inc.

     76,286        4,418,485  

DDR Corp.

     578,772        5,301,552  

Douglas Emmett, Inc.

     110,844        4,369,471  

Duke Realty Corp.

     322,270        9,287,821  

Education Realty Trust, Inc.

     84,942        3,051,966  

Empire State Realty Trust, Inc. Class A

     96,814        1,988,560  

EPR Properties

     109,056        7,605,565  

Equity LifeStyle Properties, Inc.

     66,424        5,651,354  

Extra Space Storage, Inc.

     167,719        13,404,103  

 

See Notes to Financial Statements.

 

44   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Dividend Fund (DON)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Federal Realty Investment Trust

     63,215      $ 7,851,935  

First Industrial Realty Trust, Inc.

     104,076        3,131,647  

Forest City Realty Trust, Inc. Class A

     89,424        2,281,206  

Gaming and Leisure Properties, Inc.

     513,385        18,938,773  

Gramercy Property Trust

     249,388        7,543,987  

Healthcare Realty Trust, Inc.

     145,978        4,720,929  

Healthcare Trust of America, Inc. Class A

     185,426        5,525,695  

Highwoods Properties, Inc.

     108,957        5,675,570  

Hospitality Properties Trust

     347,288        9,894,235  

Hudson Pacific Properties, Inc.

     101,243        3,394,678  

Iron Mountain, Inc.

     535,410        20,827,449  

Kilroy Realty Corp.

     57,884        4,116,710  

Kimco Realty Corp.

     566,574        11,076,522  

Lamar Advertising Co. Class A

     118,398        8,113,815  

LaSalle Hotel Properties

     209,892        6,091,066  

Liberty Property Trust

     221,460        9,093,148  

Life Storage, Inc.

     66,148        5,411,568  

Macerich Co. (The)

     184,094        10,119,647  

Medical Properties Trust, Inc.

     760,420        9,984,315  

Mid-America Apartment Communities, Inc.

     85,303        9,117,185  

National Health Investors, Inc.

     61,168        4,727,675  

National Retail Properties, Inc.

     195,994        8,165,110  

Omega Healthcare Investors, Inc.(a)

     497,908        15,888,244  

Outfront Media, Inc.

     239,384        6,027,689  

Paramount Group, Inc.

     164,137        2,626,192  

Piedmont Office Realty Trust, Inc. Class A

     188,190        3,793,910  

PS Business Parks, Inc.

     22,958        3,064,893  

Rayonier, Inc.

     139,352        4,025,879  

Regency Centers Corp.

     160,059        9,930,060  

Retail Properties of America, Inc. Class A

     327,949        4,305,970  

RLJ Lodging Trust

     210,461        4,630,142  

Ryman Hospitality Properties, Inc.

     76,895        4,805,169  

Senior Housing Properties Trust

     645,179        12,613,249  

SL Green Realty Corp.(a)

     83,869        8,497,607  

Spirit Realty Capital, Inc.

     993,163        8,511,407  

Starwood Waypoint Homes

     94,598        3,440,529  

STORE Capital Corp.

     229,327        5,703,363  

Sun Communities, Inc.

     82,423        7,062,003  

Sunstone Hotel Investors, Inc.

     84,540        1,358,558  

Tanger Factory Outlet Centers, Inc.

     112,415        2,745,174  

Taubman Centers, Inc.

     60,345        2,999,147  

UDR, Inc.

     295,315        11,230,829  

Uniti Group, Inc.

     471,055        6,905,666  

VEREIT, Inc.

     2,011,601        16,676,172  

W.P. Carey, Inc.

     225,252        15,179,732  

Weingarten Realty Investors

     167,937        5,330,320  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        464,313,935  
Food & Staples Retailing – 0.1%      

Casey’s General Stores, Inc.

     22,861        2,502,137  

PriceSmart, Inc.

     16,417        1,465,217  
     

 

 

 
Total Food & Staples Retailing               3,967,354  
Food Products – 2.2%      

B&G Foods, Inc.(a)

     199,529        6,354,999  

Flowers Foods, Inc.

     512,707      9,644,019  

Ingredion, Inc.

     85,692        10,337,883  

Lancaster Colony Corp.

     32,012        3,845,281  

McCormick & Co., Inc. Non-Voting Shares

     173,145        17,771,603  

Pinnacle Foods, Inc.

     194,478        11,118,307  

Snyder’s-Lance, Inc.

     117,751        4,491,023  
     

 

 

 
Total Food Products               63,563,115  
Gas Utilities – 2.6%      

Atmos Energy Corp.

     189,902        15,921,384  

National Fuel Gas Co.

     176,343        9,982,777  

New Jersey Resources Corp.

     181,445        7,647,907  

ONE Gas, Inc.

     86,098        6,340,257  

Southwest Gas Holdings, Inc.

     85,152        6,609,498  

Spire, Inc.

     110,459        8,245,764  

UGI Corp.

     273,732        12,827,082  

WGL Holdings, Inc.

     94,397        7,948,227  
     

 

 

 
Total Gas Utilities               75,522,896  
Health Care Equipment & Supplies – 1.1%      

Cantel Medical Corp.

     5,444        512,661  

Cooper Cos., Inc. (The)

     1,121        265,800  

Hill-Rom Holdings, Inc.

     60,266        4,459,684  

ResMed, Inc.

     222,152        17,096,818  

Teleflex, Inc.

     28,643        6,930,747  

West Pharmaceutical Services, Inc.

     33,650        3,239,149  
     

 

 

 
Total Health Care Equipment & Supplies               32,504,859  
Health Care Providers & Services – 0.6%      

HealthSouth Corp.

     154,165        7,145,548  

Patterson Cos., Inc.

     175,550        6,785,007  

Universal Health Services, Inc. Class B

     24,105        2,674,209  
     

 

 

 
Total Health Care Providers & Services               16,604,764  
Hotels, Restaurants & Leisure – 5.0%      

Aramark

     208,146        8,452,809  

Cheesecake Factory, Inc. (The)

     52,119        2,195,252  

Choice Hotels International, Inc.

     61,321        3,918,412  

Cracker Barrel Old Country Store, Inc.(a)

     47,672        7,228,029  

Darden Restaurants, Inc.

     259,045        20,407,565  

Domino’s Pizza, Inc.

     32,713        6,495,166  

Dunkin’ Brands Group, Inc.

     151,951        8,065,559  

Jack in the Box, Inc.

     33,984        3,463,649  

Papa John’s International, Inc.

     23,835        1,741,624  

Six Flags Entertainment Corp.

     296,079        18,043,054  

Texas Roadhouse, Inc.

     80,032        3,932,773  

Vail Resorts, Inc.

     52,061        11,876,155  

Wendy’s Co. (The)

     354,261        5,501,673  

Wyndham Worldwide Corp.

     204,420        21,547,912  

Wynn Resorts Ltd.

     164,439        24,488,256  
     

 

 

 
Total Hotels, Restaurants & Leisure               147,357,888  
Household Durables – 1.9%      

CalAtlantic Group, Inc.

     37,178        1,361,830  

D.R. Horton, Inc.

     391,637        15,638,066  

Leggett & Platt, Inc.

     271,419        12,954,829  

Lennar Corp. Class A

     51,518        2,720,150  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      45  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Dividend Fund (DON)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

PulteGroup, Inc.

     451,879      $ 12,349,853  

Tupperware Brands Corp.

     183,434        11,339,890  
     

 

 

 
Total Household Durables               56,364,618  
Household Products – 0.4%      

Energizer Holdings, Inc.

     114,558        5,275,396  

Spectrum Brands Holdings, Inc.

     54,883        5,813,207  
     

 

 

 
Total Household Products               11,088,603  
Independent Power & Renewable Electricity Producers – 0.9%  

AES Corp.

     1,807,259        19,915,994  

NRG Energy, Inc.

     215,042        5,502,925  
     

 

 

 
Total Independent Power & Renewable Electricity Producers        25,418,919  
Industrial Conglomerates – 0.2%      

Carlisle Cos., Inc.

     58,674        5,884,416  
Insurance – 3.2%      

American Financial Group, Inc.

     40,749        4,215,484  

American National Insurance Co.

     20,807        2,456,891  

AmTrust Financial Services, Inc.

     130,522        1,756,826  

Arthur J. Gallagher & Co.

     170,930        10,520,741  

Assurant, Inc.

     41,890        4,001,333  

Brown & Brown, Inc.

     55,373        2,668,425  

CNA Financial Corp.

     208,490        10,476,622  

CNO Financial Group, Inc.

     93,445        2,181,006  

Erie Indemnity Co. Class A

     37,500        4,521,375  

First American Financial Corp.

     128,767        6,434,487  

FNF Group

     256,124        12,155,645  

Hanover Insurance Group, Inc. (The)

     27,731        2,687,966  

Mercury General Corp.

     72,662        4,119,209  

Old Republic International Corp.

     337,320        6,641,831  

Primerica, Inc.

     14,933        1,217,786  

ProAssurance Corp.

     33,440        1,827,496  

Reinsurance Group of America, Inc.

     26,577        3,708,289  

Torchmark Corp.

     27,843        2,229,946  

Unum Group

     134,709        6,887,671  

W.R. Berkley Corp.

     29,789        1,988,118  
     

 

 

 
Total Insurance               92,697,147  
Internet Software & Services – 0.2%      

j2 Global, Inc.

     61,963        4,577,826  
IT Services – 3.4%      

Booz Allen Hamilton Holding Corp.

     175,404        6,558,356  

Broadridge Financial Solutions, Inc.

     177,694        14,361,229  

CSRA, Inc.

     148,026        4,776,799  

DST Systems, Inc.

     55,957        3,070,920  

DXC Technology Co.

     96,678        8,302,707  

Global Payments, Inc.

     6,309        599,544  

Jack Henry & Associates, Inc.

     72,877        7,491,027  

Leidos Holdings, Inc.

     273,763        16,212,245  

MAXIMUS, Inc.

     14,973        965,758  

Sabre Corp.

     394,888        7,147,473  

Science Applications International Corp.

     44,703        2,988,395  

Total System Services, Inc.

     110,389        7,230,479  

Western Union Co. (The)

     1,047,183      20,105,914  
     

 

 

 
Total IT Services               99,810,846  
Leisure Products – 2.0%      

Brunswick Corp.

     79,114        4,428,011  

Hasbro, Inc.

     218,569        21,347,634  

Mattel, Inc.(a)

     1,309,434        20,270,038  

Polaris Industries, Inc.(a)

     122,140        12,779,508  
     

 

 

 
Total Leisure Products               58,825,191  
Life Sciences Tools & Services – 0.3%      

Bio-Techne Corp.

     32,824        3,968,093  

Bruker Corp.

     87,784        2,611,574  

PerkinElmer, Inc.

     42,877        2,957,227  
     

 

 

 
Total Life Sciences Tools & Services               9,536,894  
Machinery – 4.2%      

AGCO Corp.

     51,504        3,799,450  

Allison Transmission Holdings, Inc.

     213,444        8,010,553  

Crane Co.

     74,991        5,998,530  

Donaldson Co., Inc.

     153,515        7,052,479  

Flowserve Corp.

     141,850        6,041,392  

Graco, Inc.

     64,103        7,928,900  

IDEX Corp.

     82,348        10,002,812  

ITT, Inc.

     76,405        3,382,449  

Kennametal, Inc.

     141,601        5,712,184  

Lincoln Electric Holdings, Inc.

     86,310        7,912,901  

Nordson Corp.

     42,931        5,087,324  

Oshkosh Corp.

     66,693        5,504,840  

Snap-on, Inc.

     69,607        10,372,139  

Terex Corp.

     70,103        3,156,037  

Timken Co. (The)

     153,567        7,455,678  

Toro Co. (The)

     86,688        5,379,857  

Trinity Industries, Inc.

     172,496        5,502,623  

Wabtec Corp.(a)

     32,011        2,424,833  

Woodward, Inc.

     27,623        2,143,821  

Xylem, Inc.

     159,053        9,961,489  
     

 

 

 
Total Machinery               122,830,291  
Media – 2.1%      

Cable One, Inc.

     4,215        3,043,736  

Cinemark Holdings, Inc.

     234,532        8,492,404  

Interpublic Group of Cos., Inc. (The)

     740,554        15,396,118  

News Corp. Class A

     463,825        6,150,319  

Regal Entertainment Group Class A(a)

     401,153        6,418,448  

Scripps Networks Interactive, Inc. Class A

     97,654        8,387,502  

TEGNA, Inc.

     388,262        5,175,532  

Tribune Media Co. Class A

     188,523        7,703,050  
     

 

 

 
Total Media               60,767,109  
Metals & Mining – 1.0%      

Reliance Steel & Aluminum Co.

     108,600        8,272,062  

Royal Gold, Inc.

     69,810        6,006,453  

Steel Dynamics, Inc.

     273,994        9,444,573  

United States Steel Corp.

     68,023        1,745,470  

Worthington Industries, Inc.

     63,849        2,937,054  
     

 

 

 
Total Metals & Mining               28,405,612  

 

See Notes to Financial Statements.

 

46   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Dividend Fund (DON)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Multi-Utilities – 3.6%      

Black Hills Corp.

     107,998      $ 7,437,822  

CenterPoint Energy, Inc.

     1,342,665        39,219,245  

MDU Resources Group, Inc.

     375,702        9,749,467  

NiSource, Inc.

     726,472        18,590,418  

SCANA Corp.

     335,570        16,271,789  

Vectren Corp.

     201,828        13,274,228  
     

 

 

 
Total Multi-Utilities               104,542,969  
Multiline Retail – 1.2%      

Kohl’s Corp.

     461,315        21,059,030  

Nordstrom, Inc.(a)

     313,954        14,802,931  
     

 

 

 
Total Multiline Retail               35,861,961  
Oil, Gas & Consumable Fuels – 3.8%      

Andeavor

     346,887        35,781,394  

Cabot Oil & Gas Corp.

     116,993        3,129,563  

HollyFrontier Corp.

     523,527        18,831,266  

Murphy Oil Corp.

     384,809        10,220,527  

Range Resources Corp.

     37,613        736,086  

SM Energy Co.

     16,232        287,956  

Targa Resources Corp.

     909,167        43,003,599  

World Fuel Services Corp.

     25,681        870,843  
     

 

 

 
Total Oil, Gas & Consumable Fuels               112,861,234  
Personal Products – 0.2%      

Nu Skin Enterprises, Inc. Class A(a)

     112,352        6,907,401  
Professional Services – 0.8%      

Dun & Bradstreet Corp. (The)(a)

     43,035        5,009,705  

ManpowerGroup, Inc.

     92,100        10,851,222  

Robert Half International, Inc.

     172,645        8,690,949  
     

 

 

 
Total Professional Services               24,551,876  
Real Estate Management & Development – 0.1%     

Jones Lang LaSalle, Inc.

     8,416        1,039,376  

Realogy Holdings Corp.

     65,631        2,162,542  
     

 

 

 
Total Real Estate Management & Development        3,201,918  
Road & Rail – 1.1%      

JB Hunt Transport Services, Inc.

     73,393        8,152,494  

Kansas City Southern

     122,762        13,341,774  

Knight-Swift Transportation Holdings, Inc.*

     27,073        1,124,883  

Landstar System, Inc.

     12,193        1,215,033  

Ryder System, Inc.

     83,992        7,101,524  
     

 

 

 
Total Road & Rail               30,935,708  
Semiconductors & Semiconductor Equipment – 0.9%     

Cypress Semiconductor Corp.(a)

     922,154        13,850,753  

MKS Instruments, Inc.

     45,510        4,298,419  

Monolithic Power Systems, Inc.

     30,301        3,228,572  

Teradyne, Inc.

     137,402        5,123,721  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        26,501,465  
Software – 0.5%      

Blackbaud, Inc.

     26,178        2,298,428  

CDK Global, Inc.

     105,700        6,668,613  

Pegasystems, Inc.

     17,646        1,017,292  

SS&C Technologies Holdings, Inc.

     129,653      5,205,568  
     

 

 

 
Total Software               15,189,901  
Specialty Retail – 2.9%      

American Eagle Outfitters, Inc.

     378,182        5,408,003  

Bed Bath & Beyond, Inc.

     115,054        2,700,317  

Dick’s Sporting Goods, Inc.

     63,364        1,711,462  

Foot Locker, Inc.

     140,311        4,941,753  

Gap, Inc. (The)

     1,044,531        30,845,000  

Penske Automotive Group, Inc.

     131,188        6,240,613  

Tiffany & Co.

     195,738        17,964,834  

Tractor Supply Co.

     121,293        7,676,634  

Williams-Sonoma, Inc.(a)

     174,320        8,691,595  
     

 

 

 
Total Specialty Retail               86,180,211  
Technology Hardware, Storage & Peripherals – 1.3%     

NetApp, Inc.

     429,922        18,813,387  

Xerox Corp.

     616,878        20,535,868  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        39,349,255  
Textiles, Apparel & Luxury Goods – 2.0%      

Carter’s, Inc.

     51,006        5,036,842  

Coach, Inc.

     724,999        29,202,960  

Columbia Sportswear Co.

     59,229        3,647,322  

Hanesbrands, Inc.

     539,913        13,303,456  

PVH Corp.

     8,080        1,018,565  

Ralph Lauren Corp.

     75,669        6,680,816  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               58,889,961  
Thrifts & Mortgage Finance – 0.4%      

New York Community Bancorp, Inc.

     618,136        7,967,773  

Radian Group, Inc.

     5,143        96,123  

TFS Financial Corp.

     222,782        3,593,474  

Washington Federal, Inc.

     43,814        1,474,341  
     

 

 

 
Total Thrifts & Mortgage Finance               13,131,711  
Trading Companies & Distributors – 0.6%      

Air Lease Corp.

     61,662        2,628,034  

MSC Industrial Direct Co., Inc. Class A

     64,354        4,863,232  

Watsco, Inc.

     59,798        9,631,664  
     

 

 

 
Total Trading Companies & Distributors               17,122,930  
Transportation Infrastructure – 0.9%      

Macquarie Infrastructure Corp.

     377,173        27,224,347  
Water Utilities – 0.4%      

Aqua America, Inc.

     335,453        11,133,685  
Wireless Telecommunication Services – 0.1%      

Telephone & Data Systems, Inc.(a)

     155,622        4,340,298  

TOTAL COMMON STOCKS

(Cost: $2,651,928,082)

              2,922,556,931  
EXCHANGE-TRADED FUND – 0.0%      
United States – 0.0%      
WisdomTree U.S. LargeCap Dividend Fund(b) (Cost: $35,836)      437        37,949  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      47  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. MidCap Dividend Fund (DON)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.9%  
United States – 1.9%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $55,826,750)(d)      55,826,750      $ 55,826,750  

TOTAL INVESTMENTS IN SECURITIES – 101.7%

(Cost: $2,707,790,668)

 

 

     2,978,421,630  

Other Assets less Liabilities – (1.7)%

        (50,437,724
     

 

 

 
NET ASSETS – 100.0%             $ 2,927,983,906  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $80,177,709 and the total market value of the collateral held by the Fund was $82,189,294. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $26,362,544.

 

See Notes to Financial Statements.

 

48   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. MidCap Earnings Fund (EZM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%  
United States – 99.8%  
Aerospace & Defense – 2.2%  

BWX Technologies, Inc.

     42,044      $ 2,355,305  

Curtiss-Wright Corp.

     18,681        1,952,912  

DigitalGlobe, Inc.*

     13,421        473,090  

Esterline Technologies Corp.*

     12,675        1,142,651  

HEICO Corp.

     24,319        2,184,090  

Hexcel Corp.

     48,089        2,761,270  

Moog, Inc. Class A*

     19,637        1,638,315  

Orbital ATK, Inc.

     30,975        4,124,631  

Teledyne Technologies, Inc.*

     15,924        2,534,782  
     

 

 

 
Total Aerospace & Defense               19,167,046  
Airlines – 0.8%  

Allegiant Travel Co.

     14,271        1,879,491  

Hawaiian Holdings, Inc.*

     50,124        1,882,156  

SkyWest, Inc.

     40,164        1,763,200  

Spirit Airlines, Inc.*

     51,693        1,727,063  
     

 

 

 
Total Airlines               7,251,910  
Auto Components – 1.6%  

Cooper Tire & Rubber Co.

     65,174        2,437,507  

Dana, Inc.

     39,022        1,091,055  

Dorman Products, Inc.*

     13,497        966,655  

Gentex Corp.

     185,036        3,663,713  

LCI Industries

     11,521        1,334,708  

Tenneco, Inc.

     63,079        3,827,003  

Visteon Corp.*

     1,853        229,346  
     

 

 

 
Total Auto Components               13,549,987  
Automobiles – 0.4%  

Thor Industries, Inc.

     29,291        3,688,030  
Banks – 7.6%  

Associated Banc-Corp.

     56,090        1,360,182  

BancorpSouth, Inc.

     31,555        1,011,338  

Bank of Hawaii Corp.

     15,881        1,323,840  

Bank of the Ozarks, Inc.

     34,896        1,676,753  

BankUnited, Inc.

     43,221        1,537,371  

Banner Corp.

     10,223        626,465  

BOK Financial Corp.

     22,179        1,975,705  

Cathay General Bancorp

     34,637        1,392,407  

Chemical Financial Corp.

     12,180        636,527  

Columbia Banking System, Inc.

     17,878        752,843  

Commerce Bancshares, Inc.

     33,628        1,942,690  

Community Bank System, Inc.

     12,033        664,823  

Cullen/Frost Bankers, Inc.

     24,048        2,282,636  

CVB Financial Corp.

     35,674        862,241  

First Citizens BancShares, Inc. Class A

     4,629        1,730,737  

First Financial Bankshares, Inc.(a)

     17,541        792,853  

First Horizon National Corp.

     83,876        1,606,225  

First Midwest Bancorp, Inc.

     27,170        636,321  

FNB Corp.

     72,237        1,013,485  

Fulton Financial Corp.

     64,925        1,217,344  

Glacier Bancorp, Inc.

     24,771        935,353  

Great Western Bancorp, Inc.

     22,939      946,922  

Hancock Holding Co.

     18,527        897,633  

Hilltop Holdings, Inc.

     33,984        883,584  

Home BancShares, Inc.

     46,412        1,170,511  

Hope Bancorp, Inc.

     34,566        612,164  

Iberiabank Corp.

     15,876        1,304,213  

International Bancshares Corp.

     25,448        1,020,465  

Investors Bancorp, Inc.

     96,635        1,318,101  

LegacyTexas Financial Group, Inc.

     16,176        645,746  

MB Financial, Inc.

     27,091        1,219,637  

Old National Bancorp

     58,960        1,078,968  

PacWest Bancorp

     47,321        2,390,184  

People’s United Financial, Inc.

     108,658        1,971,056  

Pinnacle Financial Partners, Inc.

     12,943        866,534  

Popular, Inc.

     62,603        2,249,952  

Prosperity Bancshares, Inc.

     30,610        2,011,995  

ServisFirst Bancshares, Inc.

     16,926        657,575  

Simmons First National Corp. Class A

     11,190        647,901  

South State Corp.

     8,934        804,507  

Sterling Bancorp

     43,183        1,064,461  

Synovus Financial Corp.

     43,479        2,002,643  

TCF Financial Corp.

     78,872        1,343,979  

Texas Capital Bancshares, Inc.*

     13,376        1,147,661  

Towne Bank

     14,215        476,203  

Trustmark Corp.

     22,920        759,110  

UMB Financial Corp.

     14,380        1,071,166  

Umpqua Holdings Corp.

     92,607        1,806,763  

United Bankshares, Inc.

     22,819        847,726  

United Community Banks, Inc.

     23,980        684,389  

Valley National Bancorp

     72,043        868,118  

Webster Financial Corp.

     27,995        1,471,137  

Western Alliance Bancorp*

     39,387        2,090,662  

Wintrust Financial Corp.

     19,204        1,503,865  
     

 

 

 
Total Banks               65,813,670  
Beverages – 0.2%  

National Beverage Corp.

     14,898        1,848,097  
Biotechnology – 0.8%  

Ligand Pharmaceuticals, Inc.*

     991        134,925  

United Therapeutics Corp.*

     56,691        6,643,618  
     

 

 

 
Total Biotechnology               6,778,543  
Building Products – 2.3%  

Armstrong World Industries, Inc.*

     12,893        660,766  

Owens Corning

     78,550        6,075,843  

Simpson Manufacturing Co., Inc.

     19,177        940,440  

Trex Co., Inc.*

     9,548        859,988  

Universal Forest Products, Inc.

     9,906        972,373  

USG Corp.*

     327,830        10,703,650  
     

 

 

 
Total Building Products               20,213,060  
Capital Markets – 1.7%  

BGC Partners, Inc. Class A

     118,504        1,714,753  

CBOE Holdings, Inc.

     19,441        2,092,435  

Eaton Vance Corp.

     43,948        2,169,713  

Evercore, Inc. Class A

     9,316        747,609  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      49  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Earnings Fund (EZM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Federated Investors, Inc. Class B

     50,740      $ 1,506,978  

Financial Engines, Inc.

     5,628        195,573  

Interactive Brokers Group, Inc. Class A

     19,191        864,362  

Legg Mason, Inc.

     49,342        1,939,634  

LPL Financial Holdings, Inc.

     38,717        1,996,635  

Morningstar, Inc.

     13,419        1,140,481  

Stifel Financial Corp.

     9,819        524,924  
     

 

 

 
Total Capital Markets               14,893,097  
Chemicals – 2.5%  

Balchem Corp.

     6,592        535,864  

Cabot Corp.

     29,026        1,619,651  

Chemours Co. (The)

     60,822        3,078,201  

GCP Applied Technologies, Inc.*

     28,806        884,344  

H.B. Fuller Co.

     22,850        1,326,671  

Huntsman Corp.

     108,188        2,966,515  

Ingevity Corp.*

     6,404        400,058  

Minerals Technologies, Inc.

     14,961        1,056,995  

NewMarket Corp.

     6,178        2,630,283  

PolyOne Corp.

     42,829        1,714,445  

Scotts Miracle-Gro Co. (The)

     23,851        2,321,656  

Sensient Technologies Corp.

     14,054        1,081,034  

Stepan Co.

     10,542        881,944  

W.R. Grace & Co.

     20,049        1,446,535  
     

 

 

 
Total Chemicals               21,944,196  
Commercial Services & Supplies – 2.9%  

ABM Industries, Inc.

     20,538        856,640  

Brink’s Co. (The)

     8,133        685,205  

Clean Harbors, Inc.*

     1,862        105,576  

Copart, Inc.*

     147,459        5,068,166  

Covanta Holding Corp.(a)

     48,209        715,904  

Deluxe Corp.

     33,516        2,445,327  

Healthcare Services Group, Inc.

     17,072        921,376  

Herman Miller, Inc.

     42,779        1,535,766  

HNI Corp.

     20,281        841,053  

KAR Auction Services, Inc.

     55,195        2,635,009  

Matthews International Corp. Class A

     9,300        578,925  

MSA Safety, Inc.

     11,989        953,245  

Pitney Bowes, Inc.

     172,298        2,413,895  

Stericycle, Inc.*

     32,682        2,340,685  

Tetra Tech, Inc.

     12,864        598,819  

UniFirst Corp.

     8,289        1,255,784  

West Corp.

     70,654        1,658,249  
     

 

 

 
Total Commercial Services & Supplies               25,609,624  
Communications Equipment – 1.3%  

Acacia Communications, Inc.*(a)

     14,025        660,578  

Brocade Communications Systems, Inc.

     182,641        2,182,560  

Ciena Corp.*

     10,202        224,138  

EchoStar Corp. Class A*

     41,628        2,382,370  

Finisar Corp.*

     17,782        394,227  

InterDigital, Inc.

     25,652        1,891,835  

Lumentum Holdings, Inc.*

     721        39,186  

Ubiquiti Networks, Inc.*(a)

     43,187        2,419,336  

ViaSat, Inc.*

     2,704        173,921  

Viavi Solutions, Inc.*

     126,732      1,198,885  
     

 

 

 
Total Communications Equipment               11,567,036  
Construction & Engineering – 1.1%  

AECOM*

     25,699        945,980  

Dycom Industries, Inc.*

     19,272        1,655,080  

EMCOR Group, Inc.

     26,848        1,862,714  

Granite Construction, Inc.

     11,980        694,241  

KBR, Inc.

     40,565        725,302  

MasTec, Inc.*

     18,623        864,107  

Quanta Services, Inc.*

     39,786        1,486,803  

Valmont Industries, Inc.

     6,991        1,105,277  
     

 

 

 
Total Construction & Engineering               9,339,504  
Construction Materials – 0.3%  

Eagle Materials, Inc.

     19,856        2,118,635  

Summit Materials, Inc. Class A*

     25,476        815,996  
     

 

 

 
Total Construction Materials               2,934,631  
Consumer Finance – 2.1%  

Credit Acceptance Corp.*(a)

     11,845        3,318,614  

FirstCash, Inc.

     7,201        454,743  

Navient Corp.

     374,156        5,619,823  

Santander Consumer USA Holdings, Inc.*

     424,140        6,519,032  

SLM Corp.*

     175,756        2,015,921  
     

 

 

 
Total Consumer Finance               17,928,133  
Containers & Packaging – 2.2%  

AptarGroup, Inc.

     28,241        2,437,481  

Bemis Co., Inc.

     48,306        2,201,304  

Berry Global Group, Inc.*

     49,380        2,797,377  

Graphic Packaging Holding Co.

     197,923        2,761,026  

Owens-Illinois, Inc.*

     173,557        4,366,694  

Silgan Holdings, Inc.

     62,631        1,843,230  

Sonoco Products Co.

     46,804        2,361,262  
     

 

 

 
Total Containers & Packaging               18,768,374  
Distributors – 0.2%  

Pool Corp.

     14,898        1,611,517  
Diversified Consumer Services – 1.8%  

Adtalem Global Education, Inc.

     43,976        1,576,540  

Bright Horizons Family Solutions, Inc.*

     15,084        1,300,392  

Graham Holdings Co. Class B

     3,422        2,002,212  

Grand Canyon Education, Inc.*

     24,133        2,191,759  

H&R Block, Inc.

     165,012        4,369,518  

Service Corp. International

     71,695        2,473,477  

ServiceMaster Global Holdings, Inc.*

     38,111        1,780,927  
     

 

 

 
Total Diversified Consumer Services               15,694,825  
Electric Utilities – 1.5%  

ALLETE, Inc.

     21,064        1,628,037  

El Paso Electric Co.

     20,510        1,133,178  

Great Plains Energy, Inc.

     85,676        2,595,983  

Hawaiian Electric Industries, Inc.

     79,560        2,654,917  

IDACORP, Inc.

     25,561        2,247,579  

MGE Energy, Inc.

     11,517        743,998  

PNM Resources, Inc.

     958        38,607  

 

See Notes to Financial Statements.

 

50   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Earnings Fund (EZM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Portland General Electric Co.

     45,735      $ 2,087,345  
     

 

 

 
Total Electric Utilities               13,129,644  
Electrical Equipment – 0.8%  

EnerSys

     17,647        1,220,643  

Generac Holdings, Inc.*

     16,272        747,373  

Hubbell, Inc.

     26,190        3,038,564  

Regal Beloit Corp.

     27,497        2,172,263  
     

 

 

 
Total Electrical Equipment               7,178,843  
Electronic Equipment, Instruments & Components – 4.2%  

Anixter International, Inc.*

     11,278        958,630  

Avnet, Inc.

     97,083        3,815,362  

AVX Corp.

     86,618        1,579,046  

Belden, Inc.

     18,372        1,479,497  

Cognex Corp.

     21,824        2,406,751  

Coherent, Inc.*

     6,972        1,639,605  

Dolby Laboratories, Inc. Class A

     41,906        2,410,433  

FLIR Systems, Inc.

     49,964        1,944,099  

II-VI, Inc.*

     20,826        856,990  

IPG Photonics Corp.*

     26,213        4,850,978  

Itron, Inc.*

     4,915        380,667  

Jabil, Inc.

     124,288        3,548,422  

Littelfuse, Inc.

     7,436        1,456,564  

National Instruments Corp.

     29,643        1,250,045  

Sanmina Corp.*

     55,765        2,071,670  

SYNNEX Corp.

     17,610        2,227,841  

Tech Data Corp.*

     22,667        2,013,963  

Universal Display Corp.

     6,814        877,984  

VeriFone Systems, Inc.*

     21,956        445,268  
     

 

 

 
Total Electronic Equipment, Instruments & Components        36,213,815  
Energy Equipment & Services – 0.2%  

Dril-Quip, Inc.*

     23,716        1,047,061  

Oceaneering International, Inc.

     22,158        582,091  
     

 

 

 
Total Energy Equipment & Services               1,629,152  
Equity Real Estate Investment Trusts (REITs) – 7.4%  

Acadia Realty Trust

     14,522        415,620  

Alexander’s, Inc.

     1,553        658,612  

American Assets Trust, Inc.

     6,110        242,995  

American Campus Communities, Inc.

     16,530        729,800  

Apple Hospitality REIT, Inc.

     33,938        641,768  

CBL & Associates Properties, Inc.(a)

     26,096        218,945  

Colony NorthStar, Inc. Class A

     35,903        450,942  

Columbia Property Trust, Inc.

     24,086        524,352  

CoreCivic, Inc.

     65,422        1,751,347  

CoreSite Realty Corp.

     4,569        511,271  

Corporate Office Properties Trust

     8,831        289,922  

Cousins Properties, Inc.

     91,726        856,721  

CubeSmart

     27,775        721,039  

CyrusOne, Inc.

     3,220        189,755  

DCT Industrial Trust, Inc.

     17,781        1,029,876  

DDR Corp.

     49,949        457,533  

DiamondRock Hospitality Co.

     79,773        873,514  

Douglas Emmett, Inc.

     16,227      639,668  

EastGroup Properties, Inc.

     9,656        850,887  

Education Realty Trust, Inc.

     8,965        322,112  

Empire State Realty Trust, Inc. Class A

     16,885        346,818  

EPR Properties

     21,297        1,485,253  

Equity Commonwealth*

     62,327        1,894,741  

Equity LifeStyle Properties, Inc.

     18,048        1,535,524  

First Industrial Realty Trust, Inc.

     39,933        1,201,584  

Forest City Realty Trust, Inc. Class A

     129,293        3,298,264  

GEO Group, Inc. (The)

     48,665        1,309,089  

Healthcare Realty Trust, Inc.

     13,604        439,953  

Healthcare Trust of America, Inc. Class A

     10,352        308,490  

Highwoods Properties, Inc.

     16,989        884,957  

Hospitality Properties Trust

     30,301        863,275  

Kite Realty Group Trust

     1,589        32,177  

Lamar Advertising Co. Class A

     34,530        2,366,341  

LaSalle Hotel Properties

     61,013        1,770,597  

Lexington Realty Trust

     71,950        735,329  

Liberty Property Trust

     46,817        1,922,306  

Life Storage, Inc.

     8,865        725,246  

LTC Properties, Inc.

     13,642        640,901  

Mack-Cali Realty Corp.

     19,424        460,543  

Medical Properties Trust, Inc.

     151,096        1,983,890  

National Health Investors, Inc.

     17,528        1,354,739  

Omega Healthcare Investors, Inc.(a)

     77,345        2,468,079  

Paramount Group, Inc.

     4,181        66,896  

Pebblebrook Hotel Trust(a)

     12,002        433,752  

Physicians Realty Trust

     11,122        197,193  

Piedmont Office Realty Trust, Inc. Class A

     76,805        1,548,389  

PS Business Parks, Inc.

     4,538        605,823  

QTS Realty Trust, Inc. Class A

     3,286        172,055  

Rayonier, Inc.

     48,320        1,395,965  

Retail Opportunity Investments Corp.

     10,341        196,582  

Retail Properties of America, Inc. Class A

     71,783        942,511  

RLJ Lodging Trust

     62,439        1,373,658  

Ryman Hospitality Properties, Inc.

     18,812        1,175,562  

Select Income REIT

     31,560        739,135  

Senior Housing Properties Trust

     45,618        891,832  

Spirit Realty Capital, Inc.

     77,053        660,344  

STORE Capital Corp.

     36,627        910,913  

Sun Communities, Inc.

     11,356        972,982  

Sunstone Hotel Investors, Inc.

     159,134        2,557,283  

Tanger Factory Outlet Centers, Inc.

     60,640        1,480,829  

Taubman Centers, Inc.

     10,815        537,506  

Uniti Group, Inc.

     3,308        48,495  

Urban Edge Properties

     24,275        585,513  

W.P. Carey, Inc.

     35,721        2,407,238  

Washington Real Estate Investment Trust

     41,769        1,368,352  

Weingarten Realty Investors

     53,558        1,699,931  

Xenia Hotels & Resorts, Inc.

     39,595        833,475  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        64,206,989  
Food & Staples Retailing – 0.9%  

Casey’s General Stores, Inc.

     19,936        2,181,995  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      51  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Earnings Fund (EZM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Performance Food Group Co.*

     30,430      $ 859,648  

PriceSmart, Inc.

     10,187        909,190  

Sprouts Farmers Market, Inc.*

     67,940        1,275,234  

U.S. Foods Holding Corp.*

     49,459        1,320,555  

United Natural Foods, Inc.*

     28,900        1,201,951  
     

 

 

 
Total Food & Staples Retailing               7,748,573  
Food Products – 3.4%  

B&G Foods, Inc.(a)

     24,896        792,938  

Blue Buffalo Pet Products, Inc.*(a)

     61,773        1,751,265  

Cal-Maine Foods, Inc.*(a)

     37,278        1,532,126  

Darling Ingredients, Inc.*

     114,248        2,001,625  

Dean Foods Co.

     54,888        597,181  

Flowers Foods, Inc.

     100,359        1,887,753  

Hain Celestial Group, Inc. (The)*

     54,662        2,249,341  

J&J Snack Foods Corp.

     5,883        772,438  

Lancaster Colony Corp.

     9,611        1,154,473  

Pilgrim’s Pride Corp.*

     238,550        6,777,206  

Pinnacle Foods, Inc.

     41,501        2,372,612  

Sanderson Farms, Inc.

     16,374        2,644,728  

Seaboard Corp.

     766        3,450,830  

Snyder’s-Lance, Inc.

     8,635        329,339  

TreeHouse Foods, Inc.*

     12,643        856,310  
     

 

 

 
Total Food Products               29,170,165  
Gas Utilities – 1.2%  

New Jersey Resources Corp.

     38,856        1,637,780  

ONE Gas, Inc.

     22,989        1,692,910  

South Jersey Industries, Inc.

     38,248        1,320,704  

Southwest Gas Holdings, Inc.

     21,532        1,671,314  

Spire, Inc.

     23,966        1,789,062  

WGL Holdings, Inc.

     22,801        1,919,844  
     

 

 

 
Total Gas Utilities               10,031,614  
Health Care Equipment & Supplies – 1.0%  

ABIOMED, Inc.*

     3,993        673,220  

Cantel Medical Corp.

     7,451        701,661  

Hill-Rom Holdings, Inc.

     23,537        1,741,738  

ICU Medical, Inc.*

     4,226        785,402  

Integra LifeSciences Holdings Corp.*

     16,176        816,564  

Masimo Corp.*

     17,820        1,542,499  

Neogen Corp.*

     5,910        457,789  

NuVasive, Inc.*

     6,864        380,677  

Penumbra, Inc.*

     201        18,150  

West Pharmaceutical Services, Inc.

     17,383        1,673,288  
     

 

 

 
Total Health Care Equipment & Supplies               8,790,988  
Health Care Providers & Services – 2.0%  

Chemed Corp.

     7,232        1,461,225  

Envision Healthcare Corp.*

     26,526        1,192,344  

HealthEquity, Inc.*

     6,049        305,958  

HealthSouth Corp.

     57,948        2,685,890  

LifePoint Health, Inc.*

     26,933        1,559,421  

MEDNAX, Inc.*

     52,925        2,282,126  

Molina Healthcare, Inc.*

     26,658        1,833,004  

Owens & Minor, Inc.

     33,315        972,798  

Patterson Cos., Inc.

     53,952      2,085,245  

WellCare Health Plans, Inc.*

     15,777        2,709,542  
     

 

 

 
Total Health Care Providers & Services               17,087,553  
Health Care Technology – 0.2%  

athenahealth, Inc.*

     2,160        268,618  

Cotiviti Holdings, Inc.*

     9,805        352,784  

Medidata Solutions, Inc.*

     5,170        403,570  

Veeva Systems, Inc. Class A*

     16,102        908,314  
     

 

 

 
Total Health Care Technology               1,933,286  
Hotels, Restaurants & Leisure – 2.9%  

Bloomin’ Brands, Inc.

     34,500        607,200  

Boyd Gaming Corp.

     92,530        2,410,406  

Brinker International, Inc.

     36,997        1,178,724  

Buffalo Wild Wings, Inc.*

     6,159        651,006  

Cheesecake Factory, Inc. (The)

     22,365        942,014  

Choice Hotels International, Inc.

     26,193        1,673,733  

Churchill Downs, Inc.

     6,013        1,239,881  

Cracker Barrel Old Country Store, Inc.(a)

     12,169        1,845,064  

Dave & Buster’s Entertainment, Inc.*

     14,498        760,855  

Dunkin’ Brands Group, Inc.

     25,443        1,350,514  

ILG, Inc.

     141,311        3,777,243  

Jack in the Box, Inc.

     11,691        1,191,547  

Marriott Vacations Worldwide Corp.

     14,649        1,824,240  

Papa John’s International, Inc.

     11,321        827,225  

Six Flags Entertainment Corp.

     21,213        1,292,720  

Texas Roadhouse, Inc.

     25,797        1,267,665  

Wendy’s Co. (The)

     143,890        2,234,612  
     

 

 

 
Total Hotels, Restaurants & Leisure               25,074,649  
Household Durables – 1.9%  

CalAtlantic Group, Inc.

     118,396        4,336,845  

Tempur Sealy International, Inc.*

     20,870        1,346,532  

Toll Brothers, Inc.

     136,610        5,665,217  

TRI Pointe Group, Inc.*

     182,489        2,520,173  

Tupperware Brands Corp.

     38,363        2,371,601  
     

 

 

 
Total Household Durables               16,240,368  
Household Products – 0.2%  

Energizer Holdings, Inc.

     30,393        1,399,598  
Independent Power & Renewable Electricity Producers – 0.1%  

Calpine Corp.*

     5,909        87,158  

Ormat Technologies, Inc.

     18,414        1,124,174  
     

 

 

 
Total Independent Power & Renewable Electricity Producers        1,211,332  
Insurance – 3.6%  

American National Insurance Co.

     11,040        1,303,603  

AmTrust Financial Services, Inc.

     130,321        1,754,121  

Assurant, Inc.

     51,358        4,905,716  

Brown & Brown, Inc.

     44,808        2,159,297  

CNO Financial Group, Inc.

     105,284        2,457,329  

Erie Indemnity Co. Class A

     13,364        1,611,297  

FBL Financial Group, Inc. Class A

     10,869        809,740  

First American Financial Corp.

     73,691        3,682,339  

Hanover Insurance Group, Inc. (The)

     21,730        2,106,289  

 

See Notes to Financial Statements.

 

52   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Earnings Fund (EZM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Mercury General Corp.

     15,643      $ 886,802  

National General Holdings Corp.

     46,464        887,927  

Old Republic International Corp.

     179,804        3,540,341  

Primerica, Inc.

     23,007        1,876,221  

ProAssurance Corp.

     17,102        934,624  

RLI Corp.

     14,744        845,716  

Selective Insurance Group, Inc.

     30,849        1,661,219  
     

 

 

 
Total Insurance               31,422,581  
Internet & Catalog Retail – 0.2%  

HSN, Inc.

     38,563        1,505,885  
Internet Software & Services – 0.6%  

Cars.com, Inc.*(a)

     72,683        1,934,094  

GrubHub, Inc.*(a)

     13,309        700,852  

IAC/InterActiveCorp*

     4,174        490,779  

j2 Global, Inc.

     18,569        1,371,878  

LogMeIn, Inc.

     913        100,476  

Stamps.com, Inc.*(a)

     4,301        871,597  
     

 

 

 
Total Internet Software & Services               5,469,676  
IT Services – 2.6%  

Acxiom Corp.*

     4,297        105,878  

Black Knight Financial Services, Inc. Class A*

     12,300        529,515  

Blackhawk Network Holdings, Inc.*

     6,050        264,990  

Booz Allen Hamilton Holding Corp.

     84,351        3,153,884  

CACI International, Inc. Class A*

     11,578        1,613,394  

Convergys Corp.

     65,797        1,703,484  

CoreLogic, Inc.*

     40,952        1,892,801  

CSRA, Inc.

     37,943        1,224,421  

DST Systems, Inc.

     36,923        2,026,334  

EPAM Systems, Inc.*

     17,035        1,497,888  

Euronet Worldwide, Inc.*

     25,238        2,392,310  

MAXIMUS, Inc.

     34,057        2,196,677  

Science Applications International Corp.

     15,847        1,059,372  

Teradata Corp.*

     73,934        2,498,230  

WEX, Inc.*

     6,882        772,298  
     

 

 

 
Total IT Services               22,931,476  
Leisure Products – 0.8%  

Brunswick Corp.

     48,012        2,687,232  

Polaris Industries, Inc.(a)

     32,262        3,375,573  

Vista Outdoor, Inc.*

     49,766        1,141,632  
     

 

 

 
Total Leisure Products               7,204,437  
Life Sciences Tools & Services – 2.0%  

Bio-Rad Laboratories, Inc. Class A*

     5,811        1,291,320  

Bio-Techne Corp.

     9,526        1,151,598  

Bruker Corp.

     70,289        2,091,098  

Charles River Laboratories International, Inc.*

     20,276        2,190,214  

INC Research Holdings, Inc. Class A*

     22,406        1,171,834  

PAREXEL International Corp.*

     27,062        2,383,621  

PerkinElmer, Inc.

     48,557        3,348,976  

PRA Health Sciences, Inc.*

     15,955        1,215,292  

VWR Corp.*

     71,496        2,367,233  
     

 

 

 
Total Life Sciences Tools & Services               17,211,186  
Machinery – 6.0%     

AGCO Corp.

     28,357      2,091,896  

Allison Transmission Holdings, Inc.

     50,353        1,889,748  

Barnes Group, Inc.

     27,428        1,932,028  

Colfax Corp.*

     36,176        1,506,369  

Crane Co.

     34,773        2,781,492  

Donaldson Co., Inc.

     45,545        2,092,337  

Flowserve Corp.

     31,354        1,335,367  

Franklin Electric Co., Inc.

     18,622        835,197  

Graco, Inc.

     24,706        3,055,885  

Hillenbrand, Inc.

     31,453        1,221,949  

ITT, Inc.

     48,903        2,164,936  

John Bean Technologies Corp.

     7,741        782,615  

Lincoln Electric Holdings, Inc.

     25,514        2,339,123  

Mueller Industries, Inc.

     25,807        901,955  

Mueller Water Products, Inc. Class A

     48,611        622,221  

Nordson Corp.

     24,402        2,891,637  

Oshkosh Corp.

     32,626        2,692,950  

RBC Bearings, Inc.*

     8,610        1,077,541  

Rexnord Corp.*

     35,234        895,296  

Terex Corp.

     48,082        2,164,652  

Timken Co. (The)

     26,523        1,287,692  

Toro Co. (The)

     41,776        2,592,619  

Trinity Industries, Inc.

     172,266        5,495,285  

WABCO Holdings, Inc.*

     24,693        3,654,564  

Watts Water Technologies, Inc. Class A

     5,089        352,159  

Welbilt, Inc.*

     72,731        1,676,449  

Woodward, Inc.

     27,447        2,130,162  
     

 

 

 
Total Machinery               52,464,124  
Marine – 0.2%  

Kirby Corp.*

     23,976        1,581,217  
Media – 2.1%  

AMC Networks, Inc. Class A*

     69,839        4,083,486  

Cable One, Inc.

     1,719        1,241,324  

Cinemark Holdings, Inc.

     62,455        2,261,496  

John Wiley & Sons, Inc. Class A

     26,642        1,425,347  

Meredith Corp.

     27,969        1,552,280  

New York Times Co. (The) Class A

     35,030        686,588  

Nexstar Media Group, Inc. Class A

     16,813        1,047,450  

Regal Entertainment Group Class A(a)

     82,138        1,314,208  

Sinclair Broadcast Group, Inc. Class A

     58,987        1,890,533  

TEGNA, Inc.

     219,020        2,919,537  

Tribune Media Co. Class A

     1,655        67,623  
     

 

 

 
Total Media               18,489,872  
Metals & Mining – 0.7%  

Cleveland-Cliffs, Inc.*

     63,315        452,702  

Commercial Metals Co.

     32,530        619,046  

Compass Minerals International, Inc.(a)

     16,240        1,053,976  

Reliance Steel & Aluminum Co.

     37,825        2,881,130  

Worthington Industries, Inc.

     32,254        1,483,684  
     

 

 

 
Total Metals & Mining               6,490,538  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      53  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. MidCap Earnings Fund (EZM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Multi-Utilities – 1.0%     

Avista Corp.

     32,784      $ 1,697,227  

Black Hills Corp.

     7,256        499,721  

MDU Resources Group, Inc.

     76,400        1,982,580  

NorthWestern Corp.

     30,400        1,730,976  

Vectren Corp.

     42,496        2,794,962  
     

 

 

 
Total Multi-Utilities               8,705,466  
Multiline Retail – 0.5%  

Big Lots, Inc.(a)

     30,446        1,630,992  

Dillard’s, Inc. Class A(a)

     28,575        1,602,201  

Ollie’s Bargain Outlet Holdings, Inc.*

     16,353        758,779  
     

 

 

 
Total Multiline Retail               3,991,972  
Oil, Gas & Consumable Fuels – 0.2%  

World Fuel Services Corp.

     40,719        1,380,781  
Paper & Forest Products – 0.3%  

KapStone Paper and Packaging Corp.

     38,055        817,802  

Louisiana-Pacific Corp.*

     50,621        1,370,817  
     

 

 

 
Total Paper & Forest Products               2,188,619  
Personal Products – 0.4%  

Edgewell Personal Care Co.*

     24,761        1,801,858  

Nu Skin Enterprises, Inc. Class A

     29,353        1,804,622  
     

 

 

 
Total Personal Products               3,606,480  
Pharmaceuticals – 0.7%  

Akorn, Inc.*

     106,042        3,519,534  

Catalent, Inc.*

     44,708        1,784,743  

Prestige Brands Holdings, Inc.*

     15,294        766,077  
     

 

 

 
Total Pharmaceuticals               6,070,354  
Professional Services – 1.8%  

Dun & Bradstreet Corp. (The)

     10,391        1,209,616  

FTI Consulting, Inc.*

     20,364        722,515  

ManpowerGroup, Inc.

     50,614        5,963,341  

On Assignment, Inc.*

     21,404        1,148,967  

Robert Half International, Inc.

     78,353        3,944,290  

TransUnion*

     30,477        1,440,343  

TriNet Group, Inc.*

     21,783        732,344  

WageWorks, Inc.*

     2,701        163,951  
     

 

 

 
Total Professional Services               15,325,367  
Real Estate Management & Development – 0.7%  

Howard Hughes Corp. (The)*

     12,199        1,438,628  

Jones Lang LaSalle, Inc.

     26,077        3,220,510  

Kennedy-Wilson Holdings, Inc.

     4,920        91,266  

Realogy Holdings Corp.

     49,300        1,624,435  
     

 

 

 
Total Real Estate Management & Development               6,374,839  
Road & Rail – 1.7%  

Avis Budget Group, Inc.*

     49,254        1,874,607  

Genesee & Wyoming, Inc. Class A*

     28,865        2,136,299  

Heartland Express, Inc.

     29,888        749,591  

Hertz Global Holdings, Inc.*(a)

     15,586        348,503  

Knight-Swift Transportation Holdings, Inc.*

     84,107        3,494,646  

Landstar System, Inc.

     16,186        1,612,935  

Ryder System, Inc.

     39,499      3,339,640  

Werner Enterprises, Inc.

     35,604        1,301,326  
     

 

 

 
Total Road & Rail               14,857,547  
Semiconductors & Semiconductor Equipment – 2.6%  

Advanced Energy Industries, Inc.*

     17,457        1,409,827  

Amkor Technology, Inc.*

     52,693        555,911  

Cirrus Logic, Inc.*

     27,267        1,453,877  

Entegris, Inc.*

     50,783        1,465,090  

First Solar, Inc.*

     158,486        7,271,338  

Inphi Corp.*

     1,011        40,127  

Integrated Device Technology, Inc.*

     69,349        1,843,296  

MKS Instruments, Inc.

     14,732        1,391,437  

Monolithic Power Systems, Inc.

     6,104        650,381  

ON Semiconductor Corp.*

     109,133        2,015,687  

Power Integrations, Inc.

     7,354        538,313  

Semtech Corp.*

     8,871        333,106  

Silicon Laboratories, Inc.*

     7,448        595,095  

Synaptics, Inc.*

     9,467        370,917  

Teradyne, Inc.

     60,559        2,258,245  

Xperi Corp.

     21,404        541,521  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        22,734,168  
Software – 1.5%  

ACI Worldwide, Inc.*

     57,060        1,299,827  

Aspen Technology, Inc.*

     26,745        1,679,853  

Blackbaud, Inc.

     4,972        436,542  

CommVault Systems, Inc.*

     1,398        84,998  

Ebix, Inc.(a)

     16,147        1,053,592  

Ellie Mae, Inc.*

     4,063        333,694  

Fair Isaac Corp.

     9,412        1,322,386  

Fortinet, Inc.*

     2,299        82,396  

Gigamon, Inc.*

     10,291        433,766  

Guidewire Software, Inc.*

     1,605        124,965  

Manhattan Associates, Inc.*

     24,718        1,027,527  

MicroStrategy, Inc. Class A*

     5,263        672,138  

Paycom Software, Inc.*

     9,000        674,640  

Pegasystems, Inc.

     10,455        602,731  

RealPage, Inc.*

     4,807        191,799  

SS&C Technologies Holdings, Inc.

     31,259        1,255,049  

Synchronoss Technologies, Inc.*

     831        7,753  

TiVo Corp.

     26,456        525,152  

Tyler Technologies, Inc.*

     4,836        843,012  

Ultimate Software Group, Inc. (The)*

     1,380        261,648  
     

 

 

 
Total Software               12,913,468  
Specialty Retail – 4.7%  

Aaron’s, Inc.

     44,946        1,960,994  

American Eagle Outfitters, Inc.

     137,361        1,964,262  

AutoNation, Inc.*(a)

     91,424        4,338,983  

Chico’s FAS, Inc.

     36,420        325,959  

Children’s Place, Inc. (The)

     8,031        948,863  

Dick’s Sporting Goods, Inc.

     56,889        1,536,572  

DSW, Inc. Class A

     44,671        959,533  

Five Below, Inc.*

     15,506        850,969  

 

See Notes to Financial Statements.

 

54   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. MidCap Earnings Fund (EZM)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

GameStop Corp. Class A

     159,231      $ 3,289,712  

Lithia Motors, Inc. Class A

     20,229        2,433,751  

Michaels Cos., Inc. (The)*

     164,351        3,528,616  

Monro, Inc.

     11,554        647,602  

Murphy USA, Inc.*

     32,512        2,243,328  

Office Depot, Inc.

     1,313,789        5,964,602  

Party City Holdco, Inc.*(a)

     74,289        1,006,616  

Penske Automotive Group, Inc.

     63,314        3,011,847  

Sally Beauty Holdings, Inc.*

     86,236        1,688,501  

Urban Outfitters, Inc.*

     69,644        1,664,492  

Williams-Sonoma, Inc.

     56,970        2,840,524  
     

 

 

 
Total Specialty Retail               41,205,726  
Technology Hardware, Storage & Peripherals – 0.3%  

Electronics For Imaging, Inc.*

     8,643        368,883  

NCR Corp.*

     65,702        2,465,139  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        2,834,022  
Textiles, Apparel & Luxury Goods – 1.5%  

Carter’s, Inc.

     26,959        2,662,201  

Columbia Sportswear Co.

     28,747        1,770,240  

Deckers Outdoor Corp.*

     19,249        1,316,824  

Ralph Lauren Corp.

     18,892        1,667,975  

Skechers U.S.A., Inc. Class A*

     103,402        2,594,356  

Steven Madden Ltd.*

     31,703        1,372,740  

Wolverine World Wide, Inc.

     43,226        1,247,070  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               12,631,406  
Thrifts & Mortgage Finance – 1.1%  

Capitol Federal Financial, Inc.

     38,982        573,035  

MGIC Investment Corp.*

     261,658        3,278,575  

Northwest Bancshares, Inc.

     17,272        298,288  

Provident Financial Services, Inc.

     24,239        646,454  

Radian Group, Inc.

     149,180        2,788,174  

TFS Financial Corp.

     32,271        520,531  

Washington Federal, Inc.

     37,199        1,251,746  
     

 

 

 
Total Thrifts & Mortgage Finance               9,356,803  
Tobacco – 0.1%  

Vector Group Ltd.

     35,942        735,730  
Trading Companies & Distributors – 1.6%  

Air Lease Corp.

     101,013        4,305,174  

Applied Industrial Technologies, Inc.

     16,434        1,081,357  

Beacon Roofing Supply, Inc.*

     20,314        1,041,093  

GATX Corp.

     43,199        2,659,330  

MSC Industrial Direct Co., Inc. Class A

     26,094        1,971,924  

Watsco, Inc.

     10,884        1,753,086  

WESCO International, Inc.*

     14,941        870,313  
     

 

 

 
Total Trading Companies & Distributors               13,682,277  
Water Utilities – 0.3%  

Aqua America, Inc.

     74,278        2,465,287  
Wireless Telecommunication Services – 0.1%  

Telephone & Data Systems, Inc.

     17,605        491,003  

United States Cellular Corp.*

     13,140      465,156  
     

 

 

 
Total Wireless Telecommunication Services               956,159  
TOTAL COMMON STOCKS
(Cost: $735,338,371)
              866,435,312  
EXCHANGE-TRADED FUND – 0.4%  
United States – 0.4%  
WisdomTree U.S. MidCap Dividend Fund(b) (Cost: $3,224,962)      33,391        3,337,430  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.7%  
United States – 1.7%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $15,236,970)(d)      15,236,970        15,236,970  
TOTAL INVESTMENTS IN SECURITIES – 101.9%
(Cost: $753,800,303)
       885,009,712  

Other Assets less Liabilities – (1.9)%

        (16,737,624
     

 

 

 
NET ASSETS – 100.0%             $ 868,272,088  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $25,432,831 and the total market value of the collateral held by the Fund was $26,019,144. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $10,782,174.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      55  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. Multifactor Fund (USMF)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.3%  
United States – 100.3%  
Aerospace & Defense – 6.2%  

Boeing Co. (The)

     122      $ 31,014  

Huntington Ingalls Industries, Inc.

     90        20,379  

L3 Technologies, Inc.

     150        28,264  

Lockheed Martin Corp.

     99        30,719  

Northrop Grumman Corp.

     108        31,074  

Spirit AeroSystems Holdings, Inc. Class A

     255        19,819  
     

 

 

 
Total Aerospace & Defense               161,269  
Airlines – 0.8%  

Southwest Airlines Co.

     385        21,552  
Auto Components – 0.3%  

Lear Corp.

     49        8,481  
Automobiles – 0.4%  

General Motors Co.

     261        10,539  
Beverages – 1.3%  

Constellation Brands, Inc. Class A

     29        5,784  

Dr. Pepper Snapple Group, Inc.

     123        10,882  

National Beverage Corp.

     52        6,451  

PepsiCo, Inc.

     87        9,694  
     

 

 

 
Total Beverages               32,811  
Biotechnology – 1.2%  

AbbVie, Inc.

     150        13,329  

Gilead Sciences, Inc.

     136        11,019  

United Therapeutics Corp.*

     48        5,625  
     

 

 

 
Total Biotechnology               29,973  
Building Products – 1.0%  

Owens Corning

     333        25,758  
Chemicals – 1.2%  

Monsanto Co.

     263        31,513  
Commercial Services & Supplies – 1.9%  

Brink’s Co. (The)

     188        15,839  

Waste Management, Inc.

     434        33,969  
     

 

 

 
Total Commercial Services & Supplies               49,808  
Communications Equipment – 3.1%  

CommScope Holding Co., Inc.*

     454        15,077  

F5 Networks, Inc.*

     180        21,701  

Juniper Networks, Inc.

     754        20,984  

Motorola Solutions, Inc.

     277        23,509  
     

 

 

 
Total Communications Equipment               81,271  
Consumer Finance – 0.5%  

Santander Consumer USA Holdings, Inc.*

     884        13,587  
Containers & Packaging – 1.9%  

Avery Dennison Corp.

     252        24,782  

Berry Global Group, Inc.*

     416        23,566  
     

 

 

 
Total Containers & Packaging               48,348  
Diversified Consumer Services – 1.0%  

Grand Canyon Education, Inc.*

     123        11,171  

H&R Block, Inc.

     183        4,846  

ServiceMaster Global Holdings, Inc.*

     208      9,719  
     

 

 

 
Total Diversified Consumer Services               25,736  
Diversified Telecommunication Services – 1.7%  

AT&T, Inc.

     502        19,663  

Verizon Communications, Inc.

     477        23,607  
     

 

 

 
Total Diversified Telecommunication Services               43,270  
Electric Utilities – 2.0%  

Alliant Energy Corp.

     84        3,492  

American Electric Power Co., Inc.

     65        4,566  

Duke Energy Corp.

     32        2,685  

Edison International

     36        2,778  

Entergy Corp.

     50        3,818  

Eversource Energy

     58        3,505  

Exelon Corp.

     79        2,976  

FirstEnergy Corp.

     100        3,083  

Great Plains Energy, Inc.

     96        2,909  

NextEra Energy, Inc.

     20        2,931  

PG&E Corp.

     44        2,996  

Pinnacle West Capital Corp.

     32        2,706  

Portland General Electric Co.

     60        2,738  

PPL Corp.

     68        2,581  

Southern Co. (The)

     86        4,226  

Westar Energy, Inc.

     17        843  

Xcel Energy, Inc.

     58        2,745  
     

 

 

 
Total Electric Utilities               51,578  
Electronic Equipment, Instruments & Components – 2.5%  

CDW Corp.

     350        23,100  

FLIR Systems, Inc.

     636        24,747  

Jabil, Inc.

     642        18,329  
     

 

 

 
Total Electronic Equipment, Instruments & Components        66,176  
Equity Real Estate Investment Trusts (REITs) – 0.6%  

Colony NorthStar, Inc. Class A

     1,323        16,617  
Food & Staples Retailing – 1.9%  

Casey’s General Stores, Inc.

     68        7,442  

CVS Health Corp.

     129        10,490  

Kroger Co. (The)

     135        2,708  

U.S. Foods Holding Corp.*

     304        8,117  

Wal-Mart Stores, Inc.

     141        11,018  

Walgreens Boots Alliance, Inc.

     135        10,425  
     

 

 

 
Total Food & Staples Retailing               50,200  
Food Products – 2.5%  

Campbell Soup Co.

     211        9,879  

Conagra Brands, Inc.

     278        9,380  

Hershey Co. (The)

     104        11,354  

Ingredion, Inc.

     66        7,962  

J.M. Smucker Co. (The)

     60        6,296  

Kellogg Co.

     106        6,611  

Pilgrim’s Pride Corp.*

     216        6,136  

Tyson Foods, Inc. Class A

     107        7,538  
     

 

 

 
Total Food Products               65,156  

 

See Notes to Financial Statements.

 

56   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Multifactor Fund (USMF)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Health Care Equipment & Supplies – 3.1%  

Baxter International, Inc.

     215      $ 13,491  

Becton, Dickinson and Co.

     58        11,365  

C.R. Bard, Inc.

     26        8,333  

Cooper Cos., Inc. (The)

     33        7,825  

Hill-Rom Holdings, Inc.

     81        5,994  

Intuitive Surgical, Inc.*

     12        12,550  

Stryker Corp.

     78        11,078  

Varian Medical Systems, Inc.*

     111        11,107  
     

 

 

 
Total Health Care Equipment & Supplies               81,743  
Health Care Providers & Services – 5.3%  

Anthem, Inc.

     52        9,874  

Centene Corp.*

     78        7,548  

Cigna Corp.

     69        12,899  

DaVita, Inc.*

     114        6,770  

Express Scripts Holding Co.*

     162        10,258  

HCA Healthcare, Inc.*

     132        10,506  

HealthSouth Corp.

     160        7,416  

Henry Schein, Inc.*

     90        7,379  

Humana, Inc.

     36        8,771  

Laboratory Corp. of America Holdings*

     74        11,172  

McKesson Corp.

     26        3,994  

MEDNAX, Inc.*

     170        7,330  

Quest Diagnostics, Inc.

     84        7,866  

UnitedHealth Group, Inc.

     68        13,318  

Universal Health Services, Inc. Class B

     45        4,992  

WellCare Health Plans, Inc.*

     41        7,041  
     

 

 

 
Total Health Care Providers & Services               137,134  
Health Care Technology – 0.4%  

Cerner Corp.*

     152        10,841  
Hotels, Restaurants & Leisure – 1.0%  

Aramark

     223        9,056  

Darden Restaurants, Inc.

     94        7,405  

Las Vegas Sands Corp.

     157        10,073  
     

 

 

 
Total Hotels, Restaurants & Leisure               26,534  
Household Durables – 0.9%  

NVR, Inc.*

     5        14,275  

PulteGroup, Inc.

     337        9,210  
     

 

 

 
Total Household Durables               23,485  
Household Products – 2.0%  

Church & Dwight Co., Inc.

     222        10,756  

Clorox Co. (The)

     52        6,859  

Colgate-Palmolive Co.

     162        11,802  

Kimberly-Clark Corp.

     63        7,414  

Procter & Gamble Co. (The)

     130        11,827  

Spectrum Brands Holdings, Inc.

     42        4,449  
     

 

 

 
Total Household Products               53,107  
Insurance – 14.0%  

Aflac, Inc.

     346        28,161  

Allstate Corp. (The)

     349        32,077  

American Financial Group, Inc.

     287        29,690  

Assurant, Inc.

     198        18,913  

CNO Financial Group, Inc.

     780      18,205  

First American Financial Corp.

     542        27,084  

Hanover Insurance Group, Inc. (The)

     288        27,916  

Hartford Financial Services Group, Inc. (The)

     524        29,045  

Loews Corp.

     603        28,859  

Old Republic International Corp.

     1,474        29,023  

Progressive Corp. (The)

     667        32,296  

Travelers Cos., Inc. (The)

     259        31,733  

W.R. Berkley Corp.

     440        29,366  
     

 

 

 
Total Insurance               362,368  
Internet Software & Services – 1.9%  

eBay, Inc.*

     632        24,307  

VeriSign, Inc.*

     223        23,725  
     

 

 

 
Total Internet Software & Services               48,032  
IT Services – 9.4%  

Broadridge Financial Solutions, Inc.

     361        29,176  

Cognizant Technology Solutions Corp. Class A

     295        21,399  

CoreLogic, Inc.*

     507        23,434  

CSRA, Inc.

     652        21,040  

Euronet Worldwide, Inc.*

     257        24,361  

Fidelity National Information Services, Inc.

     308        28,764  

International Business Machines Corp.

     207        30,032  

MAXIMUS, Inc.

     306        19,737  

Total System Services, Inc.

     343        22,466  

Vantiv, Inc. Class A*

     344        24,242  
     

 

 

 
Total IT Services               244,651  
Leisure Products – 0.2%  

Hasbro, Inc.

     54        5,274  
Life Sciences Tools & Services – 1.3%  

Bruker Corp.

     198        5,891  

Charles River Laboratories International, Inc.*

     61        6,589  

PAREXEL International Corp.*

     127        11,186  

VWR Corp.*

     268        8,873  
     

 

 

 
Total Life Sciences Tools & Services               32,539  
Media – 2.5%  

AMC Networks, Inc. Class A*

     103        6,022  

Cable One, Inc.

     18        12,998  

Live Nation Entertainment, Inc.*

     214        9,320  

Scripps Networks Interactive, Inc. Class A

     113        9,706  

Time Warner, Inc.

     139        14,240  

Walt Disney Co. (The)

     131        12,913  
     

 

 

 
Total Media               65,199  
Multi-Utilities – 1.0%  

Ameren Corp.

     50        2,892  

CenterPoint Energy, Inc.

     64        1,870  

CMS Energy Corp.

     60        2,779  

Consolidated Edison, Inc.

     50        4,034  

Dominion Energy, Inc.

     41        3,154  

DTE Energy Co.

     26        2,791  

Public Service Enterprise Group, Inc.

     58        2,683  

SCANA Corp.

     1        49  

Sempra Energy

     11        1,255  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      57  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. Multifactor Fund (USMF)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

WEC Energy Group, Inc.

     80      $ 5,022  
     

 

 

 
Total Multi-Utilities               26,529  
Multiline Retail – 1.8%  

Dollar General Corp.

     118        9,564  

Dollar Tree, Inc.*

     124        10,765  

Kohl’s Corp.

     180        8,217  

Macy’s, Inc.

     178        3,884  

Nordstrom, Inc.

     80        3,772  

Target Corp.

     187        11,035  
     

 

 

 
Total Multiline Retail               47,237  
Oil, Gas & Consumable Fuels – 6.2%  

Chevron Corp.

     319        37,482  

Devon Energy Corp.

     589        21,622  

Exxon Mobil Corp.

     451        36,973  

Newfield Exploration Co.*

     609        18,069  

Range Resources Corp.

     868        16,987  

Valero Energy Corp.

     375        28,849  
     

 

 

 
Total Oil, Gas & Consumable Fuels               159,982  
Personal Products – 0.3%  

Edgewell Personal Care Co.*

     92        6,695  
Pharmaceuticals – 2.6%  

Akorn, Inc.*

     91        3,020  

Bristol-Myers Squibb Co.

     165        10,517  

Eli Lilly & Co.

     85        7,271  

Johnson & Johnson

     76        9,881  

Merck & Co., Inc.

     214        13,702  

Pfizer, Inc.

     338        12,067  

Zoetis, Inc.

     181        11,541  
     

 

 

 
Total Pharmaceuticals               67,999  
Real Estate Management & Development – 2.4%  

CBRE Group, Inc. Class A*

     539        20,417  

Howard Hughes Corp. (The)*

     180        21,228  

Realogy Holdings Corp.

     596        19,638  
     

 

 

 
Total Real Estate Management & Development               61,283  
Semiconductors & Semiconductor Equipment – 2.5%  

Cirrus Logic, Inc.*

     207        11,037  

Lam Research Corp.

     123        22,760  

Micron Technology, Inc.*

     460        18,092  

Versum Materials, Inc.

     352        13,665  
     

 

 

 
Total Semiconductors & Semiconductor Equipment               65,554  
Software – 2.5%  

Cadence Design Systems, Inc.*

     623        24,590  

Intuit, Inc.

     171        24,306  

Take-Two Interactive Software, Inc.*

     147        15,028  
     

 

 

 
Total Software               63,924  
Specialty Retail – 2.9%  

Bed Bath & Beyond, Inc.

     208        4,882  

Best Buy Co., Inc.

     75        4,272  

Burlington Stores, Inc.*

     49        4,677  

Foot Locker, Inc.

     107        3,768  

Gap, Inc. (The)

     302      8,918  

Michaels Cos., Inc. (The)*

     417        8,953  

Ross Stores, Inc.

     198        12,785  

TJX Cos., Inc. (The)

     168        12,387  

Tractor Supply Co.

     118        7,468  

Williams-Sonoma, Inc.

     138        6,881  
     

 

 

 
Total Specialty Retail               74,991  
Technology Hardware, Storage & Peripherals – 1.8%  

Apple, Inc.

     167        25,738  

HP, Inc.

     1,021        20,379  
     

 

 

 
Total Technology Hardware, Storage & Peripherals               46,117  
Textiles, Apparel & Luxury Goods – 1.8%  

Carter’s, Inc.

     112        11,060  

Columbia Sportswear Co.

     89        5,481  

Hanesbrands, Inc.

     354        8,723  

PVH Corp.

     49        6,177  

Ralph Lauren Corp.

     84        7,416  

VF Corp.

     143        9,090  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               47,947  
Wireless Telecommunication Services – 0.5%  

T-Mobile U.S., Inc.*

     214        13,195  
TOTAL INVESTMENTS IN SECURITIES – 100.3%
(Cost: $2,503,555)
        2,606,003  

Other Assets less Liabilities – (0.3)%

        (8,276
     

 

 

 
NET ASSETS – 100.0%             $ 2,597,727  
* 

Non-income producing security.

 

See Notes to Financial Statements.

 

58   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.9%  
United States – 99.9%  
Aerospace & Defense – 7.7%  

Boeing Co. (The)

     167,376      $ 42,548,653  

BWX Technologies, Inc.

     8,510        476,730  

General Dynamics Corp.

     51,416        10,570,101  

Hexcel Corp.

     7,586        435,588  

Huntington Ingalls Industries, Inc.

     6,026        1,364,528  

L3 Technologies, Inc.

     13,262        2,498,959  

Lockheed Martin Corp.

     80,167        24,875,018  

Northrop Grumman Corp.

     25,940        7,463,457  

Orbital ATK, Inc.

     7,895        1,051,298  

Raytheon Co.

     57,287        10,688,609  

Rockwell Collins, Inc.

     21,968        2,871,437  

United Technologies Corp.

     192,598        22,356,776  
     

 

 

 
Total Aerospace & Defense               127,201,154  
Air Freight & Logistics – 1.8%  

C.H. Robinson Worldwide, Inc.

     30,931        2,353,849  

Expeditors International of Washington, Inc.

     25,639        1,534,751  

FedEx Corp.

     21,103        4,760,415  

United Parcel Service, Inc. Class B

     174,914        21,005,422  
     

 

 

 
Total Air Freight & Logistics               29,654,437  
Airlines – 0.2%  

Southwest Airlines Co.

     47,856        2,678,979  
Auto Components – 0.2%  

BorgWarner, Inc.

     27,867        1,427,626  

Gentex Corp.

     51,199        1,013,740  

Lear Corp.

     5,784        1,001,095  
     

 

 

 
Total Auto Components               3,442,461  
Automobiles – 0.2%  

Harley-Davidson, Inc.

     40,075        1,932,016  

Thor Industries, Inc.

     6,354        800,032  
     

 

 

 
Total Automobiles               2,732,048  
Banks – 0.1%  

Bank of the Ozarks, Inc.

     14,581        700,617  

BOK Financial Corp.

     13,592        1,210,775  
     

 

 

 
Total Banks               1,911,392  
Beverages – 3.4%  

Brown-Forman Corp. Class A

     25,045        1,394,756  

Brown-Forman Corp. Class B

     34,878        1,893,875  

Constellation Brands, Inc. Class A

     18,224        3,634,777  

Dr. Pepper Snapple Group, Inc.

     42,445        3,755,109  

PepsiCo, Inc.

     405,739        45,211,497  
     

 

 

 
Total Beverages               55,890,014  
Biotechnology – 5.8%  

AbbVie, Inc.

     658,165        58,484,542  

Amgen, Inc.

     201,899        37,644,068  
     

 

 

 
Total Biotechnology               96,128,610  
Building Products – 0.2%  

A.O. Smith Corp.

     13,790        819,540  

Fortune Brands Home & Security, Inc.

     17,250        1,159,717  

Lennox International, Inc.

     4,599      823,083  
     

 

 

 
Total Building Products               2,802,340  
Capital Markets – 3.2%  

BlackRock, Inc.

     37,149        16,608,946  

CBOE Holdings, Inc.

     10,232        1,101,270  

Charles Schwab Corp. (The)

     92,447        4,043,632  

Eaton Vance Corp.

     27,988        1,381,767  

FactSet Research Systems, Inc.

     4,700        846,517  

Federated Investors, Inc. Class B

     32,949        978,585  

Franklin Resources, Inc.

     97,729        4,349,918  

LPL Financial Holdings, Inc.

     24,656        1,271,510  

MarketAxess Holdings, Inc.

     2,225        410,535  

Morningstar, Inc.

     4,950        420,700  

MSCI, Inc.

     12,783        1,494,333  

Nasdaq, Inc.

     29,900        2,319,343  

Raymond James Financial, Inc.

     16,555        1,396,083  

S&P Global, Inc.

     31,640        4,945,648  

SEI Investments Co.

     16,396        1,001,140  

T. Rowe Price Group, Inc.

     66,938        6,067,930  

TD Ameritrade Holding Corp.

     85,522        4,173,474  
     

 

 

 
Total Capital Markets               52,811,331  
Chemicals – 2.7%  

Albemarle Corp.

     14,833        2,021,886  

Chemours Co. (The)

     7,937        401,692  

Ecolab, Inc.

     33,053        4,250,946  

FMC Corp.

     14,563        1,300,622  

International Flavors & Fragrances, Inc.

     15,790        2,256,549  

Minerals Technologies, Inc.

     835        58,993  

Monsanto Co.

     88,149        10,562,013  

NewMarket Corp.

     1,715        730,161  

PolyOne Corp.

     12,545        502,176  

PPG Industries, Inc.

     41,624        4,522,864  

Praxair, Inc.

     67,316        9,406,738  

RPM International, Inc.

     28,739        1,475,460  

Scotts Miracle-Gro Co. (The)

     12,315        1,198,742  

Sherwin-Williams Co. (The)

     11,281        4,039,049  

W.R. Grace & Co.

     6,600        476,190  

Westlake Chemical Corp.

     16,882        1,402,726  
     

 

 

 
Total Chemicals               44,606,807  
Commercial Services & Supplies – 0.4%  

Cintas Corp.

     11,345        1,636,856  

Deluxe Corp.

     7,924        578,135  

Healthcare Services Group, Inc.

     12,561        677,917  

KAR Auction Services, Inc.

     39,782        1,899,193  

Rollins, Inc.

     24,962        1,151,747  
     

 

 

 
Total Commercial Services & Supplies               5,943,848  
Communications Equipment – 2.2%  

Cisco Systems, Inc.

     1,016,824        34,195,791  

Harris Corp.

     14,638        1,927,532  
     

 

 

 
Total Communications Equipment               36,123,323  
Construction & Engineering – 0.0%  

EMCOR Group, Inc.

     2,726        189,130  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      59  


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Valmont Industries, Inc.

     2,192      $ 346,555  
     

 

 

 
Total Construction & Engineering               535,685  
Construction Materials – 0.1%  

Eagle Materials, Inc.

     1,609        171,680  

Martin Marietta Materials, Inc.

     4,404        908,237  

Vulcan Materials Co.

     8,065        964,574  
     

 

 

 
Total Construction Materials               2,044,491  
Consumer Finance – 0.8%  

American Express Co.

     152,588        13,803,110  
Containers & Packaging – 0.3%  

AptarGroup, Inc.

     10,208        881,053  

Graphic Packaging Holding Co.

     68,475        955,226  

Packaging Corp. of America

     26,550        3,044,754  
     

 

 

 
Total Containers & Packaging               4,881,033  
Distributors – 0.2%  

Genuine Parts Co.

     38,484        3,680,995  

Pool Corp.

     4,478        484,385  
     

 

 

 
Total Distributors               4,165,380  
Diversified Consumer Services – 0.1%  

H&R Block, Inc.

     81,645        2,161,960  
Electrical Equipment – 1.3%  

Acuity Brands, Inc.

     916        156,893  

AMETEK, Inc.

     16,135        1,065,555  

Emerson Electric Co.

     208,622        13,109,807  

EnerSys

     3,672        253,992  

Hubbell, Inc.

     12,819        1,487,260  

Rockwell Automation, Inc.

     27,255        4,857,114  
     

 

 

 
Total Electrical Equipment               20,930,621  
Electronic Equipment, Instruments & Components – 0.4%  

Amphenol Corp. Class A

     16,739        1,416,789  

CDW Corp.

     11,118        733,788  

Cognex Corp.

     2,527        278,677  

Corning, Inc.

     123,415        3,692,577  

FLIR Systems, Inc.

     10,339        402,290  

Littelfuse, Inc.

     1,220        238,974  
     

 

 

 
Total Electronic Equipment, Instruments & Components        6,763,095  
Equity Real Estate Investment Trusts (REITs) – 0.0%  

Colony NorthStar, Inc. Class A

     49,123        616,985  
Food & Staples Retailing – 3.0%  

Casey’s General Stores, Inc.

     3,106        339,952  

Costco Wholesale Corp.

     48,018        7,888,877  

CVS Health Corp.

     220,003        17,890,644  

Kroger Co. (The)

     126,057        2,528,703  

PriceSmart, Inc.

     2,521        224,999  

Sysco Corp.

     127,603        6,884,182  

Walgreens Boots Alliance, Inc.

     182,825        14,117,747  
     

 

 

 
Total Food & Staples Retailing               49,875,104  
Food Products – 2.5%  

Campbell Soup Co.

     71,676        3,355,870  

General Mills, Inc.

     175,031        9,059,605  

Hershey Co. (The)

     36,587      3,994,203  

Ingredion, Inc.

     11,284        1,361,302  

Kellogg Co.

     97,323        6,070,035  

Lancaster Colony Corp.

     4,309        517,597  

McCormick & Co., Inc. Non-Voting Shares

     22,806        2,340,808  

Mondelez International, Inc. Class A

     272,510        11,080,257  

Snyder’s-Lance, Inc.

     15,802        602,688  

Tyson Foods, Inc. Class A

     40,881        2,880,066  
     

 

 

 
Total Food Products               41,262,431  
Health Care Equipment & Supplies – 2.3%  

Abbott Laboratories

     417,330        22,268,729  

Baxter International, Inc.

     61,931        3,886,170  

Becton, Dickinson and Co.

     36,289        7,110,830  

C.R. Bard, Inc.

     3,474        1,113,417  

Cantel Medical Corp.

     778        73,264  

Cooper Cos., Inc. (The)

     149        35,329  

Dentsply Sirona, Inc.

     11,617        694,813  

ResMed, Inc.

     29,020        2,233,379  

Teleflex, Inc.

     3,693        893,595  

West Pharmaceutical Services, Inc.

     4,364        420,079  
     

 

 

 
Total Health Care Equipment & Supplies               38,729,605  
Health Care Providers & Services – 2.8%  

Aetna, Inc.

     26,638        4,235,709  

AmerisourceBergen Corp.

     40,035        3,312,896  

Cardinal Health, Inc.

     76,737        5,135,240  

Cigna Corp.

     766        143,196  

HealthSouth Corp.

     19,935        923,987  

Humana, Inc.

     8,219        2,002,395  

McKesson Corp.

     16,766        2,575,425  

UnitedHealth Group, Inc.

     144,951        28,388,653  

Universal Health Services, Inc. Class B

     3,204        355,452  
     

 

 

 
Total Health Care Providers & Services               47,072,953  
Hotels, Restaurants & Leisure – 4.2%  

Aramark

     27,864        1,131,557  

Cheesecake Factory, Inc. (The)

     6,844        288,269  

Cracker Barrel Old Country Store, Inc.(a)

     6,177        936,557  

Darden Restaurants, Inc.

     34,042        2,681,829  

McDonald’s Corp.

     250,638        39,269,962  

Papa John’s International, Inc.

     3,193        233,313  

Starbucks Corp.

     240,750        12,930,682  

Texas Roadhouse, Inc.

     10,825        531,940  

Wendy’s Co. (The)

     47,486        737,458  

Wyndham Worldwide Corp.

     26,869        2,832,261  

Yum! Brands, Inc.

     113,103        8,325,512  
     

 

 

 
Total Hotels, Restaurants & Leisure               69,899,340  
Household Durables – 0.8%  

CalAtlantic Group, Inc.

     5,730        209,890  

D.R. Horton, Inc.

     51,614        2,060,947  

Leggett & Platt, Inc.

     35,465        1,692,744  

Lennar Corp. Class A

     6,953        367,118  

Newell Brands, Inc.

     78,842        3,364,188  

PulteGroup, Inc.

     59,351        1,622,063  

 

See Notes to Financial Statements.

 

60   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Tupperware Brands Corp.

     24,202      $ 1,496,168  

Whirlpool Corp.

     16,736        3,086,788  
     

 

 

 
Total Household Durables               13,899,906  
Household Products – 0.4%  

Church & Dwight Co., Inc.

     40,288        1,951,954  

Clorox Co. (The)

     34,860        4,598,383  

Spectrum Brands Holdings, Inc.

     7,246        767,496  
     

 

 

 
Total Household Products               7,317,833  
Industrial Conglomerates – 3.5%  

3M Co.

     145,596        30,560,600  

Carlisle Cos., Inc.

     7,555        757,691  

Honeywell International, Inc.

     170,155        24,117,770  

Roper Technologies, Inc.

     7,388        1,798,239  
     

 

 

 
Total Industrial Conglomerates               57,234,300  
Insurance – 1.1%  

AmTrust Financial Services, Inc.

     41,128        553,583  

Erie Indemnity Co. Class A

     11,506        1,387,279  

Marsh & McLennan Cos., Inc.

     98,353        8,242,965  

Primerica, Inc.

     4,411        359,717  

Progressive Corp. (The)

     146,722        7,104,279  
     

 

 

 
Total Insurance               17,647,823  
Internet & Catalog Retail – 0.1%  

Expedia, Inc.

     11,282        1,623,931  
Internet Software & Services – 0.0%  

j2 Global, Inc.

     4,875        360,165  
IT Services – 3.9%  

Alliance Data Systems Corp.

     3,123        691,901  

Automatic Data Processing, Inc.

     61,421        6,714,544  

Booz Allen Hamilton Holding Corp.

     13,741        513,776  

Broadridge Financial Solutions, Inc.

     13,887        1,122,347  

DST Systems, Inc.

     4,890        268,363  

DXC Technology Co.

     7,522        645,989  

Fidelity National Information Services, Inc.

     26,577        2,482,026  

Global Payments, Inc.

     798        75,834  

International Business Machines Corp.

     187,179        27,155,929  

Jack Henry & Associates, Inc.

     5,891        605,536  

Leidos Holdings, Inc.

     21,709        1,285,607  

MasterCard, Inc. Class A

     45,659        6,447,051  

MAXIMUS, Inc.

     866        55,857  

Paychex, Inc.

     65,358        3,918,866  

Total System Services, Inc.

     8,687        568,998  

Visa, Inc. Class A

     91,285        9,606,833  

Western Union Co. (The)

     82,558        1,585,114  
     

 

 

 
Total IT Services               63,744,571  
Leisure Products – 0.3%  

Brunswick Corp.

     10,487        586,957  

Hasbro, Inc.

     29,141        2,846,202  

Polaris Industries, Inc.(a)

     16,032        1,677,428  
     

 

 

 
Total Leisure Products               5,110,587  
Life Sciences Tools & Services – 0.2%  

Bio-Techne Corp.

     4,287      518,256  

Thermo Fisher Scientific, Inc.

     16,031        3,033,065  
     

 

 

 
Total Life Sciences Tools & Services               3,551,321  
Machinery – 2.6%  

Allison Transmission Holdings, Inc.

     28,477        1,068,742  

Crane Co.

     10,032        802,460  

Deere & Co.

     70,962        8,912,118  

Donaldson Co., Inc.

     20,002        918,892  

Dover Corp.

     34,535        3,156,154  

Flowserve Corp.

     18,792        800,351  

Graco, Inc.

     8,562        1,059,034  

IDEX Corp.

     10,609        1,288,675  

Illinois Tool Works, Inc.

     69,994        10,356,312  

ITT, Inc.

     10,481        463,994  

Lincoln Electric Holdings, Inc.

     11,136        1,020,948  

Nordson Corp.

     5,452        646,062  

Parker-Hannifin Corp.

     23,135        4,049,088  

Stanley Black & Decker, Inc.

     28,398        4,287,246  

Toro Co. (The)

     11,377        706,057  

Trinity Industries, Inc.

     23,207        740,303  

Wabtec Corp.(a)

     4,159        315,044  

Woodward, Inc.

     3,892        302,058  

Xylem, Inc.

     21,216        1,328,758  
     

 

 

 
Total Machinery               42,222,296  
Media – 4.5%  

CBS Corp. Class B Non-Voting Shares

     43,745        2,537,210  

Cinemark Holdings, Inc.

     31,129        1,127,181  

Comcast Corp. Class A

     736,392        28,336,364  

Scripps Networks Interactive, Inc. Class A

     13,182        1,132,202  

Time Warner, Inc.

     126,690        12,979,391  

Twenty-First Century Fox, Inc. Class A

     132,298        3,490,021  

Twenty-First Century Fox, Inc. Class B

     99,618        2,569,148  

Walt Disney Co. (The)

     230,973        22,767,009  
     

 

 

 
Total Media               74,938,526  
Metals & Mining – 0.1%  

Steel Dynamics, Inc.

     36,629        1,262,602  

Worthington Industries, Inc.

     8,428        387,688  
     

 

 

 
Total Metals & Mining               1,650,290  
Multiline Retail – 0.3%  

Dollar General Corp.

     35,312        2,862,037  

Nordstrom, Inc.

     41,724        1,967,287  
     

 

 

 
Total Multiline Retail               4,829,324  
Oil, Gas & Consumable Fuels – 0.3%  

Williams Cos., Inc. (The)

     193,945        5,820,289  
Personal Products – 0.3%  

Estee Lauder Cos., Inc. (The) Class A

     37,125        4,003,560  

Nu Skin Enterprises, Inc. Class A

     15,123        929,762  
     

 

 

 
Total Personal Products               4,933,322  
Pharmaceuticals – 9.4%  

Bristol-Myers Squibb Co.

     433,327        27,620,263  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      61  


Table of Contents

Schedule of Investments (unaudited) (concluded)

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

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Eli Lilly & Co.

     322,954      $ 27,625,485  

Johnson & Johnson

     754,374        98,076,164  

Zoetis, Inc.

     35,389        2,256,403  
     

 

 

 
Total Pharmaceuticals               155,578,315  
Professional Services – 0.2%  

Equifax, Inc.

     13,119        1,390,483  

Robert Half International, Inc.

     22,961        1,155,857  
     

 

 

 
Total Professional Services               2,546,340  
Real Estate Management & Development – 0.1%  

Jones Lang LaSalle, Inc.

     2,945        363,707  

Realogy Holdings Corp.

     19,963        657,781  
     

 

 

 
Total Real Estate Management & Development               1,021,488  
Road & Rail – 2.0%  

JB Hunt Transport Services, Inc.

     9,736        1,081,475  

Kansas City Southern

     15,899        1,727,903  

Knight-Swift Transportation Holdings, Inc.*

     2,986        124,068  

Landstar System, Inc.

     1,771        176,480  

Norfolk Southern Corp.

     60,714        8,028,820  

Ryder System, Inc.

     11,281        953,809  

Union Pacific Corp.

     184,767        21,427,429  
     

 

 

 
Total Road & Rail               33,519,984  
Semiconductors & Semiconductor Equipment – 5.1%  

Analog Devices, Inc.

     48,416        4,172,007  

Applied Materials, Inc.

     78,869        4,108,286  

Intel Corp.

     806,844        30,724,619  

KLA-Tencor Corp.

     25,477        2,700,562  

Lam Research Corp.

     16,429        3,040,022  

Microchip Technology, Inc.

     28,161        2,528,295  

MKS Instruments, Inc.

     3,751        354,282  

Monolithic Power Systems, Inc.

     2,497        266,055  

NVIDIA Corp.

     19,440        3,475,289  

QUALCOMM, Inc.

     267,183        13,850,767  

Skyworks Solutions, Inc.

     15,842        1,614,300  

Teradyne, Inc.

     11,248        419,438  

Texas Instruments, Inc.

     162,369        14,554,757  

Xilinx, Inc.

     34,728        2,459,784  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        84,268,463  
Software – 5.2%  

Activision Blizzard, Inc.

     30,935        1,995,617  

Blackbaud, Inc.

     1,810        158,918  

CDK Global, Inc.

     8,492        535,760  

Intuit, Inc.

     17,380        2,470,393  

Microsoft Corp.

     821,969        61,228,471  

Oracle Corp.

     355,623        17,194,372  

Pegasystems, Inc.

     1,039        59,898  

SS&C Technologies Holdings, Inc.

     9,654        387,608  

Symantec Corp.

     44,533        1,461,128  
     

 

 

 
Total Software               85,492,165  
Specialty Retail – 4.6%  

Advance Auto Parts, Inc.

     942        93,446  

American Eagle Outfitters, Inc.

     50,142      717,031  

Bed Bath & Beyond, Inc.

     16,269        381,833  

Best Buy Co., Inc.

     71,004        4,044,388  

Dick’s Sporting Goods, Inc.

     8,689        234,690  

Foot Locker, Inc.

     17,918        631,072  

Gap, Inc. (The)

     137,061        4,047,411  

Home Depot, Inc. (The)

     245,331        40,126,338  

Lowe’s Cos., Inc.

     158,801        12,694,552  

Ross Stores, Inc.

     30,777        1,987,271  

Tiffany & Co.

     25,589        2,348,558  

TJX Cos., Inc. (The)

     85,327        6,291,160  

Tractor Supply Co.

     15,513        981,818  

Williams-Sonoma, Inc.

     23,238        1,158,647  
     

 

 

 
Total Specialty Retail               75,738,215  
Technology Hardware, Storage & Peripherals – 4.2%  

Apple, Inc.

     447,040        68,897,805  
Textiles, Apparel & Luxury Goods – 1.5%  

Carter’s, Inc.

     6,591        650,861  

Coach, Inc.

     96,161        3,873,365  

Columbia Sportswear Co.

     7,568        466,037  

Hanesbrands, Inc.

     70,798        1,744,463  

NIKE, Inc. Class B

     181,215        9,395,998  

Ralph Lauren Corp.

     10,073        889,345  

VF Corp.

     119,782        7,614,542  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               24,634,611  
Tobacco – 2.7%  

Altria Group, Inc.

     698,980        44,329,312  
Trading Companies & Distributors – 0.4%  

Fastenal Co.

     68,684        3,130,616  

MSC Industrial Direct Co., Inc. Class A

     8,340        630,254  

W.W. Grainger, Inc.(a)

     11,789        2,119,073  

Watsco, Inc.

     7,901        1,272,614  
     

 

 

 
Total Trading Companies & Distributors               7,152,557  
TOTAL COMMON STOCKS
(Cost: $1,454,323,716)
              1,652,732,276  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1%  
United States – 0.1%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(b)

     
(Cost: $1,553,431)(c)      1,553,431        1,553,431  
TOTAL INVESTMENTS IN SECURITIES – 100.0%
(Cost: $1,455,877,147)
       1,654,285,707  

Other Assets less Liabilities – (0.0)%

        (489,639
     

 

 

 
NET ASSETS – 100.0%             $ 1,653,796,068  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $1,684,082 and the total market value of the collateral held by the Fund was $1,718,443. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $165,012.

 

See Notes to Financial Statements.

 

62   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%  
United States – 99.4%  
Aerospace & Defense – 0.3%  

AAR Corp.

     45,552      $ 1,720,955  

Cubic Corp.

     24,219        1,235,169  

National Presto Industries, Inc.(a)

     11,447        1,218,533  

Triumph Group, Inc.

     45,180        1,344,105  
     

 

 

 
Total Aerospace & Defense               5,518,762  
Air Freight & Logistics – 0.2%  

Forward Air Corp.

     62,796        3,593,815  
Airlines – 0.4%  

Allegiant Travel Co.

     45,333        5,970,356  

SkyWest, Inc.

     44,801        1,966,764  
     

 

 

 
Total Airlines               7,937,120  
Auto Components – 1.4%  

Cooper Tire & Rubber Co.

     97,673        3,652,970  

Dana, Inc.

     295,096        8,250,884  

LCI Industries

     75,809        8,782,473  

Standard Motor Products, Inc.

     48,060        2,318,895  

Strattec Security Corp.

     7,597        310,717  

Superior Industries International, Inc.

     112,341        1,870,478  

Tower International, Inc.

     53,220        1,447,584  

Unique Fabricating, Inc.(a)

     63,559        537,074  
     

 

 

 
Total Auto Components               27,171,075  
Automobiles – 0.1%  

Winnebago Industries, Inc.

     52,226        2,337,114  
Banks – 6.0%  

1st Constitution Bancorp

     4,368        79,279  

1st Source Corp.

     22,772        1,156,818  

Access National Corp.(a)

     11,196        320,877  

American National Bankshares, Inc.

     11,993        494,112  

Ameris Bancorp

     15,770        756,960  

Arrow Financial Corp.

     17,165        589,617  

Banc of California, Inc.(a)

     74,342        1,542,596  

BancFirst Corp.

     27,884        1,582,417  

BancorpSouth, Inc.

     80,552        2,581,692  

Bank of Commerce Holdings(a)

     8,487        97,601  

Bankwell Financial Group, Inc.(a)

     3,378        124,783  

Banner Corp.

     30,331        1,858,684  

Bar Harbor Bankshares

     17,390        545,350  

Berkshire Hills Bancorp, Inc.

     35,603        1,379,616  

Blue Hills Bancorp, Inc.

     10,278        197,338  

Boston Private Financial Holdings, Inc.

     106,926        1,769,625  

Bridge Bancorp, Inc.

     24,397        828,278  

Brookline Bancorp, Inc.

     83,152        1,288,856  

Bryn Mawr Bank Corp.

     17,522        767,464  

C&F Financial Corp.

     5,215        286,825  

Camden National Corp.

     14,604        637,319  

Capital Bank Financial Corp. Class A

     17,139        703,556  

Capital City Bank Group, Inc.

     8,474        203,461  

CenterState Bank Corp.

     14,934        400,231  

Central Pacific Financial Corp.

     32,873        1,057,853  

Century Bancorp, Inc. Class A

     1,926      154,273  

Chemung Financial Corp.(a)

     6,879        324,001  

City Holding Co.

     20,168        1,450,281  

CNB Financial Corp.

     19,259        526,156  

CoBiz Financial, Inc.

     25,705        504,846  

Codorus Valley Bancorp, Inc.

     7,070        217,120  

Columbia Banking System, Inc.

     106,440        4,482,188  

Community Bank System, Inc.

     52,417        2,896,039  

Community Trust Bancorp, Inc.

     26,493        1,231,924  

ConnectOne Bancorp, Inc.

     17,717        435,838  

County Bancorp, Inc.

     2,664        80,053  

CVB Financial Corp.

     116,510        2,816,047  

Enterprise Bancorp, Inc.(a)

     8,534        309,870  

Enterprise Financial Services Corp.

     11,844        501,593  

Evans Bancorp, Inc.(a)

     4,701        203,083  

Farmers Capital Bank Corp.

     3,920        164,836  

Fidelity Southern Corp.

     27,861        658,634  

Financial Institutions, Inc.

     18,892        544,090  

First Bancorp

     12,189        419,423  

First Bancorp, Inc.

     16,057        486,688  

First Busey Corp.

     44,840        1,406,182  

First Business Financial Services, Inc.

     10,249        233,165  

First Commonwealth Financial Corp.

     96,250        1,360,012  

First Community Bancshares, Inc.

     17,583        511,841  

First Connecticut Bancorp, Inc.

     13,288        355,454  

First Financial Bancorp

     71,460        1,868,679  

First Financial Corp.

     12,336        587,194  

First Financial Northwest, Inc.

     7,264        123,415  

First Internet Bancorp

     2,217        71,609  

First Interstate BancSystem, Inc. Class A

     24,054        920,065  

First Merchants Corp.

     33,444        1,435,751  

First Mid-Illinois Bancshares, Inc.

     5,690        218,496  

First Midwest Bancorp, Inc.

     62,028        1,452,696  

Flushing Financial Corp.

     35,341        1,050,335  

German American Bancorp, Inc.

     15,861        603,194  

Glacier Bancorp, Inc.

     86,045        3,249,059  

Great Southern Bancorp, Inc.

     10,891        606,084  

Great Western Bancorp, Inc.

     49,059        2,025,156  

Guaranty Bancorp

     29,508        820,322  

Hanmi Financial Corp.

     37,944        1,174,367  

Heartland Financial USA, Inc.

     11,645        575,263  

Heritage Commerce Corp.

     51,647        734,937  

Heritage Financial Corp.

     30,157        889,631  

Hope Bancorp, Inc.

     154,076        2,728,686  

Horizon Bancorp

     16,433        479,351  

Independent Bank Corp.

     43,937        2,183,997  

Independent Bank Group, Inc.(a)

     5,710        344,313  

International Bancshares Corp.

     51,355        2,059,335  

Lakeland Bancorp, Inc.

     47,933        977,833  

Lakeland Financial Corp.

     21,715        1,057,955  

LegacyTexas Financial Group, Inc.

     35,532        1,418,437  

Live Oak Bancshares, Inc.(a)

     6,252        146,609  

Macatawa Bank Corp.

     20,957        215,019  

MainSource Financial Group, Inc.

     24,777        888,503  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      63  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

MBT Financial Corp.

     18,058      $ 197,735  

Mercantile Bank Corp.

     15,231        531,562  

Midland States Bancorp, Inc.

     18,216        577,083  

MidSouth Bancorp, Inc.

     19,064        229,721  

MidWestOne Financial Group, Inc.

     10,392        350,834  

MutualFirst Financial, Inc.

     8,817        339,014  

National Bank Holdings Corp. Class A

     13,106        467,753  

NBT Bancorp, Inc.

     49,753        1,826,930  

Northrim BanCorp, Inc.

     8,527        298,019  

Old National Bancorp

     202,113        3,698,668  

Old Second Bancorp, Inc.

     5,632        75,750  

Pacific Continental Corp.

     25,751        693,989  

Park National Corp.

     25,272        2,729,123  

Park Sterling Corp.

     39,557        491,298  

Peapack Gladstone Financial Corp.

     7,027        237,091  

Penns Woods Bancorp, Inc.

     9,280        431,242  

Peoples Bancorp, Inc.

     20,143        676,603  

Peoples Financial Services Corp.(a)

     10,756        514,137  

Preferred Bank

     9,627        580,989  

Premier Financial Bancorp, Inc.

     14,588        317,873  

QCR Holdings, Inc.

     2,013        91,592  

Renasant Corp.

     35,206        1,510,337  

Republic Bancorp, Inc. Class A

     20,412        793,823  

S&T Bancorp, Inc.

     38,979        1,542,789  

Sandy Spring Bancorp, Inc.

     33,304        1,380,118  

ServisFirst Bancshares, Inc.

     12,086        469,541  

Shore Bancshares, Inc.

     7,458        124,176  

Sierra Bancorp

     14,505        393,811  

Simmons First National Corp. Class A

     23,699        1,372,172  

South State Corp.

     17,562        1,581,458  

Southern National Bancorp of Virginia, Inc.

     17,181        291,905  

Southside Bancshares, Inc.

     37,466        1,362,264  

Southwest Bancorp, Inc.

     12,856        354,183  

Stock Yards Bancorp, Inc.

     19,100        725,800  

Sun Bancorp, Inc.

     2,636        65,505  

Tompkins Financial Corp.

     15,458        1,331,552  

Towne Bank

     49,056        1,643,376  

TriCo Bancshares

     21,770        887,127  

Trustmark Corp.

     88,151        2,919,561  

Union Bankshares Corp.

     50,544        1,784,203  

Union Bankshares, Inc.(a)

     5,319        257,440  

United Community Banks, Inc.

     38,621        1,102,243  

Unity Bancorp, Inc.(a)

     5,748        113,810  

Univest Corp. of Pennsylvania

     36,718        1,174,976  

Washington Trust Bancorp, Inc.

     23,245        1,330,776  

WesBanco, Inc.

     51,477        2,111,587  

West Bancorporation, Inc.

     23,927        583,819  

Westamerica Bancorporation(a)

     32,079        1,909,984  
     

 

 

 
Total Banks               118,906,478  
Beverages – 0.1%  

Coca-Cola Bottling Co. Consolidated

     7,112        1,534,414  

MGP Ingredients, Inc.(a)

     4,355        264,044  
     

 

 

 
Total Beverages               1,798,458  
Building Products – 0.9%  

AAON, Inc.

     69,928      2,410,768  

Advanced Drainage Systems, Inc.

     104,146        2,108,957  

Apogee Enterprises, Inc.

     47,659        2,300,023  

Griffon Corp.

     72,321        1,605,526  

Insteel Industries, Inc.

     9,583        250,212  

Quanex Building Products Corp.

     43,478        997,820  

Simpson Manufacturing Co., Inc.

     120,910        5,929,427  

Universal Forest Products, Inc.

     29,152        2,861,560  
     

 

 

 
Total Building Products               18,464,293  
Capital Markets – 2.3%  

Arlington Asset Investment Corp. Class A(a)

     138,318        1,760,788  

Artisan Partners Asset Management, Inc. Class A

     168,606        5,496,556  

Associated Capital Group, Inc. Class A

     1,751        62,511  

B. Riley Financial, Inc.

     17,366        296,090  

BGC Partners, Inc. Class A

     795,399        11,509,423  

Cohen & Steers, Inc.

     66,972        2,644,724  

Evercore, Inc. Class A

     39,265        3,151,016  

Financial Engines, Inc.

     24,512        851,792  

Gain Capital Holdings, Inc.

     100,623        642,981  

GAMCO Investors, Inc. Class A

     3,246        96,601  

Greenhill & Co., Inc.

     99,790        1,656,514  

Houlihan Lokey, Inc.

     14,214        556,194  

Interactive Brokers Group, Inc. Class A

     36,194        1,630,178  

Investment Technology Group, Inc.

     24,598        544,600  

Manning & Napier, Inc.

     60,366        238,446  

Moelis & Co. Class A

     46,691        2,010,047  

Oppenheimer Holdings, Inc. Class A

     16,456        285,512  

PJT Partners, Inc. Class A

     5,557        212,889  

Pzena Investment Management, Inc. Class A

     10,713        116,664  

Silvercrest Asset Management Group, Inc. Class A

     14,546        211,644  

Virtu Financial, Inc. Class A(a)

     125,948        2,040,358  

Virtus Investment Partners, Inc.

     4,243        492,400  

Waddell & Reed Financial, Inc. Class A(a)

     369,244        7,410,727  

Westwood Holdings Group, Inc.

     18,351        1,234,472  
     

 

 

 
Total Capital Markets               45,153,127  
Chemicals – 3.0%  

A. Schulman, Inc.

     109,235        3,730,375  

American Vanguard Corp.

     9,344        213,978  

Balchem Corp.

     21,311        1,732,371  

Calgon Carbon Corp.

     92,248        1,974,107  

Chase Corp.

     12,320        1,372,448  

FutureFuel Corp.

     108,720        1,711,253  

H.B. Fuller Co.

     94,771        5,502,404  

Hawkins, Inc.

     26,976        1,100,621  

Innophos Holdings, Inc.

     111,006        5,460,385  

Innospec, Inc.

     37,990        2,342,084  

KMG Chemicals, Inc.

     7,058        387,343  

Kronos Worldwide, Inc.

     955,922        21,823,699  

Quaker Chemical Corp.

     23,423        3,465,433  

Rayonier Advanced Materials, Inc.(a)

     132,949        1,821,401  

Stepan Co.

     36,179        3,026,735  

 

See Notes to Financial Statements.

 

64   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Tredegar Corp.

     96,560      $ 1,738,080  

Valhi, Inc.

     635,634        1,544,591  
     

 

 

 
Total Chemicals               58,947,308  
Commercial Services & Supplies – 7.7%  

ABM Industries, Inc.

     144,301        6,018,795  

Brady Corp. Class A

     166,648        6,324,292  

Brink’s Co. (The)

     83,278        7,016,171  

CECO Environmental Corp.

     104,150        881,109  

Covanta Holding Corp.(a)

     1,519,527        22,564,976  

Ennis, Inc.

     176,588        3,469,954  

Essendant, Inc.

     166,233        2,189,289  

Herman Miller, Inc.

     200,473        7,196,981  

HNI Corp.

     149,776        6,211,211  

Interface, Inc.

     143,852        3,150,359  

Kimball International, Inc. Class B

     85,395        1,688,259  

Knoll, Inc.

     180,489        3,609,780  

Matthews International Corp. Class A

     48,755        3,034,999  

McGrath RentCorp

     105,551        4,617,856  

Mobile Mini, Inc.

     190,745        6,571,165  

MSA Safety, Inc.

     122,642        9,751,265  

Multi-Color Corp.

     7,598        622,656  

Pitney Bowes, Inc.

     1,486,135        20,820,751  

Quad/Graphics, Inc.

     284,120        6,423,953  

RR Donnelley & Sons Co.

     377,331        3,886,509  

Steelcase, Inc. Class A

     429,364        6,612,206  

Tetra Tech, Inc.

     78,926        3,674,005  

U.S. Ecology, Inc.

     57,057        3,069,667  

UniFirst Corp.

     2,702        409,353  

Viad Corp.

     29,179        1,777,001  

VSE Corp.

     11,150        633,989  

West Corp.

     502,628        11,796,679  
     

 

 

 
Total Commercial Services & Supplies               154,023,230  
Communications Equipment – 1.0%  

ADTRAN, Inc.

     131,129        3,147,096  

Black Box Corp.

     71,661        232,898  

Comtech Telecommunications Corp.

     429,167        8,810,799  

InterDigital, Inc.

     82,101        6,054,949  

Plantronics, Inc.

     61,337        2,712,322  
     

 

 

 
Total Communications Equipment               20,958,064  
Construction & Engineering – 0.9%  

Argan, Inc.

     24,485        1,646,616  

Comfort Systems USA, Inc.

     51,754        1,847,618  

Granite Construction, Inc.

     57,446        3,328,996  

KBR, Inc.

     438,931        7,848,086  

Primoris Services Corp.

     80,083        2,356,042  
     

 

 

 
Total Construction & Engineering               17,027,358  
Construction Materials – 0.0%  

United States Lime & Minerals, Inc.

     6,095        511,980  
Consumer Finance – 0.2%  

FirstCash, Inc.

     40,200        2,538,630  

Nelnet, Inc. Class A

     16,173        816,737  
     

 

 

 
Total Consumer Finance               3,355,367  
Containers & Packaging – 0.5%  

Myers Industries, Inc.

     178,095      3,731,090  

Silgan Holdings, Inc.

     246,624        7,258,145  
     

 

 

 
Total Containers & Packaging               10,989,235  
Distributors – 0.2%  

Core-Mark Holding Co., Inc.

     69,693        2,239,933  

Weyco Group, Inc.

     50,928        1,445,337  
     

 

 

 
Total Distributors               3,685,270  
Diversified Consumer Services – 0.6%  

Capella Education Co.

     33,521        2,351,498  

Carriage Services, Inc.

     18,201        465,946  

Collectors Universe, Inc.

     98,254        2,355,148  

Graham Holdings Co. Class B

     7,357        4,304,581  

Liberty Tax, Inc.

     109,380        1,575,072  
     

 

 

 
Total Diversified Consumer Services               11,052,245  
Diversified Financial Services – 0.0%  

A-Mark Precious Metals, Inc.

     3,341        55,160  

Marlin Business Services Corp.

     19,445        559,044  
     

 

 

 
Total Diversified Financial Services               614,204  
Diversified Telecommunication Services – 1.5%  

ATN International, Inc.

     47,250        2,490,075  

Cogent Communications Holdings, Inc.

     314,593        15,383,598  

Consolidated Communications Holdings, Inc.

     484,946        9,252,769  

IDT Corp. Class B

     138,724        1,953,234  
     

 

 

 
Total Diversified Telecommunication Services               29,079,676  
Electric Utilities – 2.1%  

El Paso Electric Co.

     179,479        9,916,215  

MGE Energy, Inc.

     111,546        7,205,871  

Otter Tail Corp.

     198,222        8,592,924  

PNM Resources, Inc.

     359,008        14,468,022  

Spark Energy, Inc. Class A(a)

     114,013        1,710,195  
     

 

 

 
Total Electric Utilities               41,893,227  
Electrical Equipment – 0.6%  

Allied Motion Technologies, Inc.

     5,977        151,457  

AZZ, Inc.

     46,377        2,258,560  

Encore Wire Corp.

     6,567        294,037  

General Cable Corp.

     300,817        5,670,401  

LSI Industries, Inc.

     84,333        557,441  

Powell Industries, Inc.

     50,895        1,526,341  

Preformed Line Products Co.

     12,232        823,214  
     

 

 

 
Total Electrical Equipment               11,281,451  
Electronic Equipment, Instruments & Components – 2.1%  

AVX Corp.

     702,043        12,798,244  

Badger Meter, Inc.

     58,716        2,877,084  

Bel Fuse, Inc. Class B

     13,945        435,084  

CTS Corp.

     38,460        926,886  

Daktronics, Inc.

     197,772        2,090,450  

Dolby Laboratories, Inc. Class A

     115,520        6,644,710  

Mesa Laboratories, Inc.

     3,016        450,349  

Methode Electronics, Inc.

     53,300        2,257,255  

MTS Systems Corp.

     59,438        3,176,961  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      65  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Park Electrochemical Corp.

     71,056      $ 1,314,536  

Systemax, Inc.

     102,039        2,696,891  

Vishay Intertechnology, Inc.(a)

     352,976        6,635,949  
     

 

 

 
Total Electronic Equipment, Instruments & Components        42,304,399  
Energy Equipment & Services – 0.7%  

Archrock, Inc.

     401,623        5,040,369  

Gulf Island Fabrication, Inc.

     15,416        195,783  

Oceaneering International, Inc.

     331,475        8,707,848  
     

 

 

 
Total Energy Equipment & Services               13,944,000  
Equity Real Estate Investment Trusts (REITs) – 13.9%  

Acadia Realty Trust

     129,244        3,698,963  

Agree Realty Corp.

     56,937        2,794,468  

Alexander & Baldwin, Inc.

     14,990        694,487  

Alexander’s, Inc.

     9,631        4,084,411  

American Assets Trust, Inc.

     57,985        2,306,063  

Armada Hoffler Properties, Inc.

     91,470        1,263,201  

Ashford Hospitality Prime, Inc.

     42,365        402,467  

Ashford Hospitality Trust, Inc.

     305,697        2,038,999  

Bluerock Residential Growth REIT, Inc.

     88,582        979,717  

Brandywine Realty Trust

     367,619        6,429,656  

CareTrust REIT, Inc.

     147,970        2,817,349  

CatchMark Timber Trust, Inc. Class A

     98,536        1,242,539  

CBL & Associates Properties, Inc.(a)

     777,867        6,526,304  

Cedar Realty Trust, Inc.

     139,428        783,585  

Chatham Lodging Trust

     124,587        2,656,195  

Chesapeake Lodging Trust

     195,061        5,260,795  

Columbia Property Trust, Inc.

     358,776        7,810,554  

Community Healthcare Trust, Inc.

     45,915        1,237,868  

CoreCivic, Inc.

     535,777        14,342,750  

CorEnergy Infrastructure Trust, Inc.(a)

     51,995        1,838,023  

CoreSite Realty Corp.

     50,009        5,596,007  

Corporate Office Properties Trust

     182,237        5,982,841  

DiamondRock Hospitality Co.

     456,028        4,993,507  

Easterly Government Properties, Inc.

     87,700        1,812,759  

EastGroup Properties, Inc.

     57,700        5,084,524  

Farmland Partners, Inc.(a)

     53,744        485,846  

First Potomac Realty Trust

     117,835        1,312,682  

Four Corners Property Trust, Inc.

     152,894        3,810,118  

Franklin Street Properties Corp.

     328,983        3,493,799  

GEO Group, Inc. (The)

     436,672        11,746,477  

Getty Realty Corp.

     80,653        2,307,482  

Gladstone Commercial Corp.

     95,402        2,124,603  

Gladstone Land Corp.

     22,450        305,769  

Global Medical REIT, Inc.(a)

     85,998        772,262  

Global Net Lease, Inc.

     266,353        5,830,467  

Government Properties Income Trust

     324,152        6,084,333  

Hersha Hospitality Trust

     111,567        2,082,956  

Independence Realty Trust, Inc.

     294,580        2,995,879  

InfraREIT, Inc.

     131,051        2,931,611  

Investors Real Estate Trust

     514,510        3,143,656  

Jernigan Capital, Inc.

     23,337        479,575  

Kite Realty Group Trust

     213,122        4,315,720  

Lexington Realty Trust

     790,842        8,082,405  

LTC Properties, Inc.

     99,268      4,663,611  

Mack-Cali Realty Corp.

     97,880        2,320,735  

Monmouth Real Estate Investment Corp. Class A

     164,721        2,666,833  

National Storage Affiliates Trust

     85,558        2,073,926  

New Senior Investment Group, Inc.

     451,154        4,128,059  

NexPoint Residential Trust, Inc.

     45,617        1,082,491  

NorthStar Realty Europe Corp.

     143,445        1,837,530  

One Liberty Properties, Inc.

     58,427        1,423,282  

Pebblebrook Hotel Trust(a)

     181,583        6,562,410  

Pennsylvania Real Estate Investment Trust(a)

     154,757        1,623,401  

Physicians Realty Trust

     336,481        5,965,808  

Potlatch Corp.

     73,634        3,755,334  

Preferred Apartment Communities, Inc. Class A

     80,535        1,520,501  

QTS Realty Trust, Inc. Class A

     72,521        3,797,200  

Ramco-Gershenson Properties Trust

     209,854        2,730,201  

Retail Opportunity Investments Corp.

     192,686        3,662,961  

Rexford Industrial Realty, Inc.

     79,817        2,284,363  

Sabra Health Care REIT, Inc.

     676,861        14,850,330  

Saul Centers, Inc.

     31,038        1,921,563  

Select Income REIT

     370,466        8,676,314  

Seritage Growth Properties Class A(a)

     28,928        1,332,713  

STAG Industrial, Inc.

     232,199        6,378,507  

Summit Hotel Properties, Inc.

     196,351        3,139,652  

Terreno Realty Corp.

     66,914        2,420,949  

Tier REIT, Inc.

     107,091        2,066,856  

UMH Properties, Inc.

     81,227        1,263,080  

Universal Health Realty Income Trust

     28,335        2,139,009  

Urban Edge Properties

     163,288        3,938,507  

Urstadt Biddle Properties, Inc. Class A

     68,953        1,496,280  

Washington Prime Group, Inc.

     937,549        7,809,783  

Washington Real Estate Investment Trust

     143,144        4,689,397  

Whitestone REIT(a)

     121,828        1,589,855  

Xenia Hotels & Resorts, Inc.

     314,129        6,612,415  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        277,407,528  
Food & Staples Retailing – 0.6%  

Andersons, Inc. (The)

     70,460        2,413,255  

Ingles Markets, Inc. Class A

     31,445        808,137  

SpartanNash Co.

     99,460        2,622,760  

Village Super Market, Inc. Class A

     52,521        1,299,370  

Weis Markets, Inc.

     92,095        4,006,132  
     

 

 

 
Total Food & Staples Retailing               11,149,654  
Food Products – 1.4%  

Alico, Inc.

     10,551        360,317  

Bob Evans Farms, Inc.

     83,036        6,436,120  

Calavo Growers, Inc.

     45,513        3,331,552  

Dean Foods Co.

     266,058        2,894,711  

J&J Snack Foods Corp.

     36,721        4,821,467  

Limoneira Co.

     22,831        528,994  

Sanderson Farms, Inc.

     41,092        6,637,180  

Tootsie Roll Industries, Inc.(a)

     57,184        2,172,992  
     

 

 

 
Total Food Products               27,183,333  

 

See Notes to Financial Statements.

 

66   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Gas Utilities – 1.4%  

Chesapeake Utilities Corp.

     49,414      $ 3,866,646  

Northwest Natural Gas Co.

     151,201        9,737,344  

South Jersey Industries, Inc.

     430,733        14,873,210  
     

 

 

 
Total Gas Utilities               28,477,200  
Health Care Equipment & Supplies – 0.8%  

Abaxis, Inc.

     39,468        1,762,246  

Analogic Corp.

     10,411        871,921  

Atrion Corp.

     2,594        1,743,168  

CONMED Corp.

     82,038        4,304,534  

Invacare Corp.(a)

     19,584        308,448  

LeMaitre Vascular, Inc.

     23,747        888,613  

Meridian Bioscience, Inc.

     316,859        4,531,084  

Utah Medical Products, Inc.

     10,060        739,913  
     

 

 

 
Total Health Care Equipment & Supplies               15,149,927  
Health Care Providers & Services – 1.2%  

Aceto Corp.

     62,159        698,046  

Chemed Corp.

     18,501        3,738,127  

Ensign Group, Inc. (The)

     60,176        1,359,376  

Landauer, Inc.

     34,413        2,315,995  

National HealthCare Corp.

     61,484        3,847,054  

National Research Corp. Class A

     46,655        1,758,893  

Owens & Minor, Inc.

     300,601        8,777,549  

U.S. Physical Therapy, Inc.

     20,715        1,272,937  
     

 

 

 
Total Health Care Providers & Services               23,767,977  
Health Care Technology – 0.1%  

Computer Programs & Systems, Inc.(a)

     86,308        2,550,401  
Hotels, Restaurants & Leisure – 3.1%  

Bloomin’ Brands, Inc.

     255,127        4,490,235  

Brinker International, Inc.

     214,566        6,836,073  

Churchill Downs, Inc.

     23,988        4,946,326  

DineEquity, Inc.

     136,060        5,847,859  

ILG, Inc.

     580,836        15,525,746  

International Speedway Corp. Class A

     45,803        1,648,908  

Marcus Corp. (The)

     45,346        1,256,084  

Marriott Vacations Worldwide Corp.

     62,344        7,763,698  

RCI Hospitality Holdings, Inc.

     12,447        308,063  

Red Rock Resorts, Inc. Class A

     176,260        4,082,182  

Ruth’s Hospitality Group, Inc.

     76,275        1,597,961  

Sonic Corp.(a)

     153,379        3,903,496  

Speedway Motorsports, Inc.

     124,373        2,649,145  
     

 

 

 
Total Hotels, Restaurants & Leisure               60,855,776  
Household Durables – 1.2%  

Bassett Furniture Industries, Inc.

     23,384        881,577  

CSS Industries, Inc.

     43,011        1,239,577  

Ethan Allen Interiors, Inc.

     94,587        3,064,619  

Flexsteel Industries, Inc.

     17,255        874,828  

Hooker Furniture Corp.

     27,439        1,310,212  

KB Home(a)

     82,493        1,989,731  

La-Z-Boy, Inc.

     110,458        2,971,320  

Libbey, Inc.

     85,639        793,017  

Lifetime Brands, Inc.

     22,875        418,613  

MDC Holdings, Inc.

     306,651      10,183,880  

NACCO Industries, Inc. Class A

     9,933        852,251  
     

 

 

 
Total Household Durables               24,579,625  
Household Products – 0.2%  

Oil-Dri Corp. of America

     17,555        858,966  

WD-40 Co.

     35,824        4,008,706  
     

 

 

 
Total Household Products               4,867,672  
Independent Power & Renewable Electricity Producers – 2.6%  

NRG Yield, Inc. Class A

     383,999        7,284,461  

NRG Yield, Inc. Class C

     662,496        12,786,173  

Ormat Technologies, Inc.

     46,420        2,833,941  

Pattern Energy Group, Inc.

     1,218,159        29,357,632  
     

 

 

 
Total Independent Power & Renewable Electricity Producers        52,262,207  
Industrial Conglomerates – 0.2%  

Raven Industries, Inc.

     121,300        3,930,120  
Insurance – 1.5%  

American Equity Investment Life Holding Co.

     47,830        1,390,896  

AMERISAFE, Inc.

     10,738        624,952  

Baldwin & Lyons, Inc. Class B

     26,563        598,996  

Crawford & Co. Class A

     43,370        415,485  

Crawford & Co. Class B

     19,708        235,708  

Donegal Group, Inc. Class A

     34,574        557,679  

EMC Insurance Group, Inc.

     31,400        883,910  

Employers Holdings, Inc.

     16,666        757,470  

FBL Financial Group, Inc. Class A

     26,422        1,968,439  

Federated National Holding Co.

     11,455        178,812  

Fidelity & Guaranty Life(a)

     33,658        1,045,081  

HCI Group, Inc.

     17,324        662,643  

Heritage Insurance Holdings, Inc.(a)

     23,001        303,843  

Horace Mann Educators Corp.

     50,986        2,006,299  

Independence Holding Co.

     5,825        147,081  

Infinity Property & Casualty Corp.

     13,427        1,264,823  

Investors Title Co.

     551        98,668  

Kemper Corp.

     57,205        3,031,865  

Kinsale Capital Group, Inc.

     6,642        286,735  

National General Holdings Corp.

     36,676        700,878  

National Western Life Group, Inc. Class A

     313        109,237  

Navigators Group, Inc. (The)

     4,473        260,999  

RLI Corp.

     30,144        1,729,060  

Safety Insurance Group, Inc.

     30,704        2,342,715  

Selective Insurance Group, Inc.

     46,651        2,512,156  

State Auto Financial Corp.

     34,255        898,509  

State National Cos., Inc.

     36,889        774,300  

Stewart Information Services Corp.

     31,971        1,207,225  

United Fire Group, Inc.

     26,217        1,201,263  

Universal Insurance Holdings, Inc.

     40,181        924,163  
     

 

 

 
Total Insurance               29,119,890  
Internet & Catalog Retail – 1.1%  

HSN, Inc.

     336,118        13,125,408  

Nutrisystem, Inc.

     93,678        5,236,600  

PetMed Express, Inc.(a)

     115,056        3,814,106  
     

 

 

 
Total Internet & Catalog Retail               22,176,114  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      67  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Internet Software & Services – 0.1%  

Reis, Inc.

     58,057      $ 1,045,026  
IT Services – 1.1%  

Cass Information Systems, Inc.

     23,999        1,522,496  

Convergys Corp.

     228,140        5,906,545  

CSG Systems International, Inc.

     84,508        3,388,771  

Forrester Research, Inc.

     51,716        2,164,315  

Hackett Group, Inc. (The)

     69,391        1,054,049  

ManTech International Corp. Class A

     78,801        3,479,064  

TeleTech Holdings, Inc.

     102,304        4,271,192  
     

 

 

 
Total IT Services               21,786,432  
Leisure Products – 0.5%  

Callaway Golf Co.

     55,066        794,602  

Escalade, Inc.

     69,182        940,875  

Johnson Outdoors, Inc. Class A

     11,567        847,630  

Marine Products Corp.

     117,851        1,891,509  

Sturm Ruger & Co., Inc.(a)

     101,595        5,252,461  
     

 

 

 
Total Leisure Products               9,727,077  
Machinery – 4.6%  

Actuant Corp. Class A

     12,867        329,395  

Alamo Group, Inc.

     9,375        1,006,594  

Albany International Corp. Class A

     67,325        3,864,455  

Altra Industrial Motion Corp.

     66,357        3,191,772  

American Railcar Industries, Inc.(a)

     111,610        4,308,146  

Astec Industries, Inc.

     22,785        1,276,188  

Barnes Group, Inc.

     98,229        6,919,251  

Briggs & Stratton Corp.

     183,002        4,300,547  

CIRCOR International, Inc.

     5,777        314,442  

Columbus McKinnon Corp.

     20,477        775,464  

DMC Global, Inc.

     13,545        228,910  

Douglas Dynamics, Inc.

     107,414        4,232,112  

Eastern Co. (The)

     23,541        675,627  

EnPro Industries, Inc.

     45,008        3,624,494  

ESCO Technologies, Inc.

     24,026        1,440,359  

Federal Signal Corp.

     173,026        3,681,993  

Franklin Electric Co., Inc.

     73,741        3,307,284  

FreightCar America, Inc.

     47,401        927,163  

Global Brass & Copper Holdings, Inc.

     18,368        620,838  

Gorman-Rupp Co. (The)

     63,096        2,055,037  

Graham Corp.

     23,440        488,255  

Greenbrier Cos., Inc. (The)(a)

     95,877        4,616,477  

Hillenbrand, Inc.

     231,036        8,975,748  

Hurco Cos., Inc.

     12,338        513,261  

Hyster-Yale Materials Handling, Inc.

     36,139        2,762,465  

John Bean Technologies Corp.

     22,047        2,228,952  

Kadant, Inc.

     21,718        2,140,309  

Lindsay Corp.

     23,855        2,192,274  

Miller Industries, Inc.

     47,843        1,337,212  

Mueller Industries, Inc.

     97,603        3,411,225  

Mueller Water Products, Inc. Class A

     231,615        2,964,672  

NN, Inc.

     70,664        2,049,256  

Park-Ohio Holdings Corp.

     24,575        1,120,620  

Spartan Motors, Inc.

     63,757        704,515  

Standex International Corp.

     14,023      1,489,243  

Sun Hydraulics Corp.

     39,138        2,113,452  

Tennant Co.

     32,964        2,182,217  

Titan International, Inc.

     16,849        171,017  

Watts Water Technologies, Inc. Class A

     48,584        3,362,013  
     

 

 

 
Total Machinery               91,903,254  
Marine – 0.2%  

Matson, Inc.

     140,729        3,965,743  
Media – 4.0%  

A.H. Belo Corp. Class A

     160,022        736,101  

AMC Entertainment Holdings, Inc. Class A(a)

     90,686        1,333,084  

Entercom Communications Corp. Class A(a)

     107,771        1,233,978  

Entravision Communications Corp. Class A

     203,074        1,157,522  

Gannett Co., Inc.

     1,232,490        11,092,410  

Meredith Corp.

     226,294        12,559,317  

National CineMedia, Inc.

     588,496        4,107,702  

New Media Investment Group, Inc.

     767,733        11,354,771  

New York Times Co. (The) Class A

     307,676        6,030,450  

Nexstar Media Group, Inc. Class A

     76,987        4,796,290  

Saga Communications, Inc. Class A

     19,545        891,252  

Salem Media Group, Inc. Class A

     136,640        901,824  

Scholastic Corp.

     72,872        2,710,838  

Sinclair Broadcast Group, Inc. Class A(a)

     232,051        7,437,235  

Time, Inc.

     715,404        9,657,954  

World Wrestling Entertainment, Inc. Class A

     154,558        3,639,841  
     

 

 

 
Total Media               79,640,569  
Metals & Mining – 2.0%  

Carpenter Technology Corp.

     142,605        6,849,318  

Commercial Metals Co.

     394,471        7,506,783  

Compass Minerals International, Inc.(a)

     197,716        12,831,768  

Gold Resource Corp.(a)

     42,825        160,594  

Haynes International, Inc.

     39,433        1,416,039  

Hecla Mining Co.

     115,299        578,801  

Kaiser Aluminum Corp.

     63,816        6,581,982  

Materion Corp.

     31,154        1,344,295  

Olympic Steel, Inc.

     5,929        130,438  

Schnitzer Steel Industries, Inc. Class A

     115,183        3,242,402  
     

 

 

 
Total Metals & Mining               40,642,420  
Multi-Utilities – 1.9%  

Avista Corp.

     353,653        18,308,616  

NorthWestern Corp.

     288,081        16,403,332  

Unitil Corp.

     74,515        3,685,512  
     

 

 

 
Total Multi-Utilities               38,397,460  
Multiline Retail – 0.4%  

Big Lots, Inc.(a)

     115,411        6,182,567  

Dillard’s, Inc. Class A(a)

     19,657        1,102,168  

Fred’s, Inc. Class A(a)

     135,104        870,070  
     

 

 

 
Total Multiline Retail               8,154,805  
Oil, Gas & Consumable Fuels – 4.3%  

Adams Resources & Energy, Inc.

     13,950        578,925  

CVR Energy, Inc.(a)

     1,252,642        32,443,428  

Delek U.S. Holdings, Inc.

     575,556        15,384,612  

 

See Notes to Financial Statements.

 

68   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Evolution Petroleum Corp.

     159,876      $ 1,151,107  

Green Plains, Inc.

     114,065        2,298,410  

Panhandle Oil and Gas, Inc. Class A

     16,742        398,460  

PBF Energy, Inc. Class A(a)

     694,879        19,185,609  

SemGroup Corp. Class A

     511,074        14,693,377  
     

 

 

 
Total Oil, Gas & Consumable Fuels               86,133,928  
Paper & Forest Products – 2.1%  

Deltic Timber Corp.

     10,644        941,249  

Domtar Corp.

     423,575        18,378,919  

KapStone Paper and Packaging Corp.

     299,237        6,430,603  

Neenah Paper, Inc.

     47,238        4,041,211  

PH Glatfelter Co.

     159,689        3,105,951  

Schweitzer-Mauduit International, Inc.

     208,995        8,664,933  
     

 

 

 
Total Paper & Forest Products               41,562,866  
Personal Products – 0.4%  

Inter Parfums, Inc.

     99,670        4,111,387  

Medifast, Inc.

     49,318        2,928,010  
     

 

 

 
Total Personal Products               7,039,397  
Pharmaceuticals – 0.1%  

Phibro Animal Health Corp. Class A

     45,606        1,689,702  
Professional Services – 1.2%  

Barrett Business Services, Inc.

     17,502        989,388  

BG Staffing, Inc.(a)

     94,030        1,556,197  

CRA International, Inc.

     21,654        888,897  

Exponent, Inc.

     48,841        3,609,350  

Heidrick & Struggles International, Inc.

     66,758        1,411,932  

Insperity, Inc.

     49,705        4,374,040  

Kelly Services, Inc. Class A

     77,878        1,953,959  

Kforce, Inc.

     93,366        1,885,993  

Korn/Ferry International(a)

     125,443        4,946,217  

Resources Connection, Inc.

     150,255        2,088,544  
     

 

 

 
Total Professional Services               23,704,517  
Real Estate Management & Development – 0.2%  

Consolidated-Tomoka Land Co.

     531        31,897  

Griffin Industrial Realty, Inc.

     2,930        106,505  

Kennedy-Wilson Holdings, Inc.

     153,415        2,845,848  

RE/MAX Holdings, Inc. Class A

     9,781        621,583  
     

 

 

 
Total Real Estate Management & Development        3,605,833  
Road & Rail – 0.4%  

ArcBest Corp.

     43,612        1,458,822  

Celadon Group, Inc.(a)

     39,039        263,513  

Heartland Express, Inc.

     51,891        1,301,426  

Marten Transport Ltd.

     33,646        691,425  

Universal Logistics Holdings, Inc.

     70,184        1,435,263  

Werner Enterprises, Inc.

     105,756        3,865,382  
     

 

 

 
Total Road & Rail               9,015,831  
Semiconductors & Semiconductor Equipment – 1.0%  

Brooks Automation, Inc.

     279,224        8,477,240  

Cabot Microelectronics Corp.

     47,970        3,834,242  

Cohu, Inc.

     83,988        2,002,274  

Power Integrations, Inc.

     37,074        2,713,817  

Xperi Corp.

     153,639      3,887,067  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        20,914,640  
Software – 0.6%  

American Software, Inc. Class A

     181,624        2,063,248  

Ebix, Inc.(a)

     27,823        1,815,451  

Monotype Imaging Holdings, Inc.

     148,439        2,857,451  

Progress Software Corp.

     131,469        5,018,172  

QAD, Inc. Class A

     26,277        902,615  
     

 

 

 
Total Software               12,656,937  
Specialty Retail – 5.5%  

Aaron’s, Inc.

     41,393        1,805,977  

Abercrombie & Fitch Co. Class A

     577,757        8,342,811  

Barnes & Noble, Inc.

     564,636        4,291,234  

Big 5 Sporting Goods Corp.(a)

     118,339        905,293  

Buckle, Inc. (The)(a)

     319,279        5,379,851  

Caleres, Inc.

     58,390        1,782,063  

Cato Corp. (The) Class A

     176,724        2,338,059  

Chico’s FAS, Inc.

     420,214        3,760,915  

Children’s Place, Inc. (The)(a)

     21,910        2,588,667  

Citi Trends, Inc.

     31,180        619,547  

DSW, Inc. Class A

     397,036        8,528,333  

Finish Line, Inc. (The) Class A

     112,940        1,358,668  

GameStop Corp. Class A

     999,297        20,645,476  

Group 1 Automotive, Inc.

     40,500        2,934,630  

Guess?, Inc.

     924,067        15,736,861  

Haverty Furniture Cos., Inc.

     66,760        1,745,774  

Lithia Motors, Inc. Class A

     39,246        4,721,686  

Monro, Inc.

     65,057        3,646,445  

Office Depot, Inc.

     1,744,652        7,920,720  

Pier 1 Imports, Inc.

     582,124        2,439,100  

Rent-A-Center, Inc.(a)

     240,617        2,762,283  

Shoe Carnival, Inc.

     30,196        675,786  

Sonic Automotive, Inc. Class A

     48,961        998,804  

Stage Stores, Inc.(a)

     456,075        839,178  

Tailored Brands, Inc.(a)

     218,084        3,149,133  

Winmark Corp.

     2,088        275,094  
     

 

 

 
Total Specialty Retail               110,192,388  
Technology Hardware, Storage & Peripherals – 0.2%  

Diebold Nixdorf, Inc.(a)

     204,102        4,663,731  
Textiles, Apparel & Luxury Goods – 0.5%  

Culp, Inc.

     15,883        520,168  

Movado Group, Inc.

     44,973        1,259,244  

Oxford Industries, Inc.

     49,050        3,116,637  

Superior Uniform Group, Inc.

     38,988        892,825  

Wolverine World Wide, Inc.

     161,225        4,651,342  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               10,440,216  
Thrifts & Mortgage Finance – 1.1%  

Bank Mutual Corp.

     60,206        611,091  

BankFinancial Corp.

     18,570        295,077  

Bear State Financial, Inc.

     17,593        180,504  

Beneficial Bancorp, Inc.

     50,290        834,814  

Capitol Federal Financial, Inc.

     145,803        2,143,304  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      69  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. SmallCap Dividend Fund (DES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Clifton Bancorp, Inc.

     15,995      $ 267,436  

Dime Community Bancshares, Inc.

     57,127        1,228,230  

ESSA Bancorp, Inc.

     11,847        185,998  

Federal Agricultural Mortgage Corp. Class C

     8,863        644,695  

First Defiance Financial Corp.

     8,399        440,864  

Hingham Institution for Savings

     855        162,681  

Home Bancorp, Inc.

     5,880        245,902  

Kearny Financial Corp.

     21,324        327,323  

Meridian Bancorp, Inc.

     17,428        325,032  

Meta Financial Group, Inc.

     2,433        190,747  

Northfield Bancorp, Inc.

     40,942        710,344  

Northwest Bancshares, Inc.

     167,731        2,896,714  

OceanFirst Financial Corp.

     30,783        846,225  

Oritani Financial Corp.

     91,518        1,537,502  

Provident Financial Holdings, Inc.

     10,308        202,037  

Provident Financial Services, Inc.

     86,967        2,319,410  

Prudential Bancorp, Inc.(a)

     2,747        50,902  

Riverview Bancorp, Inc.

     12,518        105,151  

SI Financial Group, Inc.

     6,093        91,090  

Southern Missouri Bancorp, Inc.

     4,406        160,775  

Territorial Bancorp, Inc.

     11,063        349,259  

Timberland Bancorp, Inc.(a)

     5,840        183,026  

TrustCo Bank Corp.

     150,122        1,336,086  

United Community Financial Corp.

     30,218        290,093  

United Financial Bancorp, Inc.

     69,930        1,279,020  

Waterstone Financial, Inc.

     23,969        467,396  

Western New England Bancorp, Inc.

     20,718        225,826  

WSFS Financial Corp.

     10,010        487,987  
     

 

 

 
Total Thrifts & Mortgage Finance               21,622,541  
Tobacco – 2.0%  

Universal Corp.

     136,737        7,835,030  

Vector Group Ltd.(a)

     1,571,805        32,174,854  
     

 

 

 
Total Tobacco               40,009,884  
Trading Companies & Distributors – 1.5%  

Applied Industrial Technologies, Inc.

     118,468        7,795,194  

GATX Corp.

     175,127        10,780,818  

H&E Equipment Services, Inc.

     278,028        8,118,418  

Kaman Corp.

     65,344        3,644,888  
     

 

 

 
Total Trading Companies & Distributors               30,339,318  
Water Utilities – 1.2%  

American States Water Co.

     131,416        6,472,238  

Artesian Resources Corp. Class A

     39,172        1,480,702  

California Water Service Group

     159,464        6,083,551  

Connecticut Water Service, Inc.

     37,087        2,199,259  

Global Water Resources, Inc.(a)

     101,727        958,268  

Middlesex Water Co.

     52,673        2,068,469  

SJW Group

     49,678        2,811,775  

York Water Co. (The)

     36,172        1,226,231  
     

 

 

 
Total Water Utilities               23,300,493  
Wireless Telecommunication Services – 0.2%  

Shenandoah Telecommunications Co.

     69,559        2,587,595  

Spok Holdings, Inc.

     83,119      1,275,876  
     

 

 

 
Total Wireless Telecommunication Services        3,863,471  
TOTAL COMMON STOCKS
(Cost: $1,794,394,427)
              1,980,043,159  
EXCHANGE-TRADED FUND – 0.4%  
United States – 0.4%  

WisdomTree U.S. MidCap Dividend Fund(a)(b)

     
(Cost: $7,200,948)      75,938        7,590,003  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 5.8%  
United States – 5.8%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $115,465,162)(d)      115,465,162        115,465,162  
TOTAL INVESTMENTS IN SECURITIES – 105.6%
(Cost: $1,917,060,537)
       2,103,098,324  

Other Assets less Liabilities – (5.6)%

        (111,839,440
     

 

 

 
NET ASSETS – 100.0%             $ 1,991,258,884  

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $140,709,304 and the total market value of the collateral held by the Fund was $144,562,902. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $29,097,740.

 

See Notes to Financial Statements.

 

70   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%  
Puerto Rico – 0.4%  
Banks – 0.2%  

First BanCorp*

     169,400      $ 867,328  
IT Services – 0.2%  

EVERTEC, Inc.

     70,373        1,115,412  
Total Puerto Rico               1,982,740  
United States – 99.2%  
Aerospace & Defense – 1.0%  

AAR Corp.

     17,734        669,991  

Aerojet Rocketdyne Holdings, Inc.*

     8,747        306,233  

Aerovironment, Inc.*

     2,437        131,890  

Arotech Corp.*

     3,685        15,477  

Astronics Corp.*

     20,801        618,830  

Axon Enterprise, Inc.*(a)

     10,960        248,463  

Cubic Corp.

     673        34,323  

Ducommun, Inc.*

     9,995        320,340  

Mercury Systems, Inc.*

     9,684        502,406  

National Presto Industries, Inc.

     6,118        651,261  

Sparton Corp.*

     2,907        67,471  

Vectrus, Inc.*

     16,788        517,742  

Wesco Aircraft Holdings, Inc.*

     95,690        899,486  
     

 

 

 
Total Aerospace & Defense               4,983,913  
Air Freight & Logistics – 0.8%  

Air Transport Services Group, Inc.*

     34,141        830,992  

Atlas Air Worldwide Holdings, Inc.*

     12,865        846,517  

Echo Global Logistics, Inc.*

     3,665        69,085  

Forward Air Corp.

     17,745        1,015,547  

Hub Group, Inc. Class A*

     27,940        1,200,023  
     

 

 

 
Total Air Freight & Logistics               3,962,164  
Auto Components – 2.8%  

American Axle & Manufacturing Holdings, Inc.*

     265,751        4,671,903  

Cooper-Standard Holdings, Inc.*

     20,021        2,321,835  

Fox Factory Holding Corp.*

     19,673        847,906  

Gentherm, Inc.*

     34,823        1,293,674  

Horizon Global Corp.*

     5,318        93,810  

Modine Manufacturing Co.*

     12,728        245,014  

Motorcar Parts of America, Inc.*

     13,379        394,145  

Standard Motor Products, Inc.

     17,619        850,117  

Stoneridge, Inc.*

     31,650        626,987  

Strattec Security Corp.

     2,887        118,078  

Superior Industries International, Inc.

     24,595        409,507  

Tower International, Inc.

     99,595        2,708,984  

VOXX International Corp.*

     10,235        87,509  
     

 

 

 
Total Auto Components               14,669,469  
Automobiles – 0.2%  

Winnebago Industries, Inc.

     19,623        878,129  
Banks – 10.2%  

1st Source Corp.

     16,960        861,568  

Access National Corp.

     7,881        225,869  

Allegiance Bancshares, Inc.*

     7,949        292,523  

American National Bankshares, Inc.

     6,191        255,069  

Ameris Bancorp

     18,688      897,024  

Arrow Financial Corp.

     8,730        299,872  

Atlantic Capital Bancshares, Inc.*

     2,630        47,735  

Banc of California, Inc.(a)

     64,174        1,331,610  

BancFirst Corp.

     19,298        1,095,161  

Berkshire Hills Bancorp, Inc.

     22,872        886,290  

Blue Hills Bancorp, Inc.

     4,484        86,093  

Boston Private Financial Holdings, Inc.

     47,862        792,116  

Bridge Bancorp, Inc.

     11,969        406,348  

Brookline Bancorp, Inc.

     41,924        649,822  

Bryn Mawr Bank Corp.

     6,406        280,583  

Camden National Corp.

     9,194        401,226  

Capital Bank Financial Corp. Class A

     20,559        843,947  

Capital City Bank Group, Inc.

     6,442        154,672  

CenterState Bank Corp.

     18,844        505,019  

Central Pacific Financial Corp.

     18,775        604,180  

City Holding Co.

     9,590        689,617  

CNB Financial Corp.

     10,938        298,826  

CoBiz Financial, Inc.

     23,525        462,031  

Community Trust Bancorp, Inc.

     13,706        637,329  

ConnectOne Bancorp, Inc.

     21,607        531,532  

Customers Bancorp, Inc.*

     25,274        824,438  

Enterprise Financial Services Corp.

     14,524        615,091  

Equity Bancshares, Inc. Class A*

     4,063        144,562  

FCB Financial Holdings, Inc. Class A*

     28,035        1,354,090  

Fidelity Southern Corp.

     16,687        394,481  

Financial Institutions, Inc.

     11,052        318,298  

First Bancorp

     12,594        433,360  

First Bancorp, Inc.

     7,239        219,414  

First Busey Corp.

     20,984        658,058  

First Business Financial Services, Inc.

     7,867        178,974  

First Commonwealth Financial Corp.

     48,624        687,057  

First Community Bancshares, Inc.

     10,304        299,949  

First Connecticut Bancorp, Inc.

     7,162        191,584  

First Financial Bancorp

     37,159        971,708  

First Financial Corp.

     9,825        467,670  

First Financial Northwest, Inc.

     5,592        95,008  

First Foundation, Inc.*

     19,269        344,722  

First Internet Bancorp

     4,738        153,037  

First Interstate BancSystem, Inc. Class A

     29,225        1,117,856  

First Merchants Corp.

     25,245        1,083,768  

First Northwest Bancorp*

     2,611        44,648  

Flushing Financial Corp.

     27,507        817,508  

Franklin Financial Network, Inc.*

     8,004        285,343  

German American Bancorp, Inc.

     12,399        471,534  

Great Southern Bancorp, Inc.

     10,508        584,770  

Guaranty Bancorp

     13,179        366,376  

Hanmi Financial Corp.

     22,012        681,271  

HarborOne Bancorp, Inc.*

     1,850        34,799  

Heartland Financial USA, Inc.

     21,332        1,053,801  

Heritage Commerce Corp.

     18,760        266,955  

Heritage Financial Corp.

     19,491        574,985  

HomeTrust Bancshares, Inc.*

     6,437        165,109  

Horizon Bancorp

     11,862        346,015  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      71  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Independent Bank Corp.

     28,638      $ 1,411,646  

Independent Bank Group, Inc.

     9,734        586,960  

Lakeland Bancorp, Inc.

     26,109        532,624  

Lakeland Financial Corp.

     14,293        696,355  

Live Oak Bancshares, Inc.(a)

     10,032        235,250  

Macatawa Bank Corp.

     20,437        209,684  

MainSource Financial Group, Inc.

     14,115        506,164  

MBT Financial Corp.

     20,204        221,234  

Mercantile Bank Corp.

     10,790        376,571  

Midland States Bancorp, Inc.

     8,058        255,277  

MidWestOne Financial Group, Inc.

     8,802        297,156  

National Bank Holdings Corp. Class A

     6,902        246,332  

National Commerce Corp.*

     5,867        251,108  

NBT Bancorp, Inc.

     24,117        885,576  

Northrim BanCorp, Inc.

     6,339        221,548  

OFG Bancorp

     26,330        240,920  

Old Second Bancorp, Inc.

     18,403        247,520  

Opus Bank

     20,384        489,216  

Pacific Continental Corp.

     11,777        317,390  

Pacific Premier Bancorp, Inc.*

     13,618        514,080  

Park National Corp.

     9,305        1,004,847  

Park Sterling Corp.

     22,760        282,679  

Peapack Gladstone Financial Corp.

     10,029        338,378  

Peoples Bancorp, Inc.

     11,069        371,808  

Preferred Bank

     8,940        539,529  

QCR Holdings, Inc.

     7,941        361,316  

Renasant Corp.

     25,670        1,101,243  

Republic Bancorp, Inc. Class A

     14,672        570,594  

S&T Bancorp, Inc.

     24,097        953,759  

Sandy Spring Bancorp, Inc.

     14,788        612,815  

Seacoast Banking Corp. of Florida*

     14,424        344,589  

Sierra Bancorp

     9,175        249,101  

Southern National Bancorp of Virginia, Inc.

     8,541        145,112  

Southside Bancshares, Inc.

     17,187        624,919  

Southwest Bancorp, Inc.

     8,226        226,626  

Stock Yards Bancorp, Inc.

     11,452        435,176  

Sun Bancorp, Inc.

     3,456        85,882  

Tompkins Financial Corp.

     7,861        677,147  

TriCo Bancshares

     17,049        694,747  

TriState Capital Holdings, Inc.*

     16,588        379,865  

Triumph Bancorp, Inc.*

     9,972        321,597  

Union Bankshares Corp.

     26,980        952,394  

Univest Corp. of Pennsylvania

     8,290        265,280  

Veritex Holdings, Inc.*

     6,347        171,115  

Washington Trust Bancorp, Inc.

     10,127        579,771  

WesBanco, Inc.

     25,737        1,055,732  

West Bancorporation, Inc.

     11,942        291,385  

Westamerica Bancorporation(a)

     11,706        696,975  
     

 

 

 
Total Banks               52,859,293  
Beverages – 0.5%  

Boston Beer Co., Inc. (The) Class A*

     7,571        1,182,590  

Coca-Cola Bottling Co. Consolidated

     3,152        680,044  

Craft Brew Alliance, Inc.*

     1,231        21,604  

MGP Ingredients, Inc.

     8,810        534,150  

Primo Water Corp.*

     7,967      94,409  
     

 

 

 
Total Beverages               2,512,797  
Biotechnology – 2.7%  

AMAG Pharmaceuticals, Inc.*(a)

     7,133        131,604  

Applied Genetic Technologies Corp.*

     19,382        76,559  

BioSpecifics Technologies Corp.*

     3,402        158,261  

BioTime, Inc.*(a)

     121,505        345,074  

Eagle Pharmaceuticals, Inc.*(a)

     5,340        318,478  

Emergent BioSolutions, Inc.*

     23,254        940,624  

Enanta Pharmaceuticals, Inc.*

     10,506        491,681  

Five Prime Therapeutics, Inc.*

     75,213        3,076,964  

Insys Therapeutics, Inc.*(a)

     41,461        368,174  

Myriad Genetics, Inc.*

     87,044        3,149,252  

PDL BioPharma, Inc.*

     1,257,786        4,263,894  

Pfenex, Inc.*

     11,845        35,772  

Progenics Pharmaceuticals, Inc.*

     18,732        137,867  

Repligen Corp.*

     3,610        138,335  

Xencor, Inc.*

     23,952        548,980  
     

 

 

 
Total Biotechnology               14,181,519  
Building Products – 2.5%  

AAON, Inc.

     26,783        923,344  

Advanced Drainage Systems, Inc.

     19,557        396,029  

American Woodmark Corp.*

     12,707        1,223,049  

Apogee Enterprises, Inc.

     25,005        1,206,741  

Armstrong Flooring, Inc.*

     5,013        78,955  

Builders FirstSource, Inc.*

     170,183        3,061,592  

Continental Building Products, Inc.*

     28,466        740,116  

CSW Industrials, Inc.*

     4,842        214,743  

Gibraltar Industries, Inc.*

     16,494        513,788  

Griffon Corp.

     19,399        430,658  

Insteel Industries, Inc.

     15,938        416,141  

NCI Building Systems, Inc.*

     47,652        743,371  

Patrick Industries, Inc.*

     11,406        959,245  

PGT Innovations, Inc.*

     31,619        472,704  

Ply Gem Holdings, Inc.*

     77,469        1,320,846  

Quanex Building Products Corp.

     2,260        51,867  
     

 

 

 
Total Building Products               12,753,189  
Capital Markets – 2.3%  

Arlington Asset Investment Corp. Class A(a)

     14,095        179,429  

Artisan Partners Asset Management, Inc. Class A

     25,082        817,673  

Associated Capital Group, Inc. Class A

     4,035        144,050  

Cohen & Steers, Inc.

     25,412        1,003,520  

Cowen, Inc. Class A*

     5,526        98,363  

Diamond Hill Investment Group, Inc.

     2,690        571,222  

Gain Capital Holdings, Inc.

     48,491        309,857  

GAMCO Investors, Inc. Class A

     30,947        920,983  

Greenhill & Co., Inc.

     20,849        346,093  

Houlihan Lokey, Inc.

     36,016        1,409,306  

INTL FCStone, Inc.*

     17,131        656,460  

Investment Technology Group, Inc.

     43,587        965,016  

Manning & Napier, Inc.

     15,957        63,030  

Moelis & Co. Class A

     14,807        637,441  

Piper Jaffray Cos.

     4,250        252,238  

 

See Notes to Financial Statements.

 

72   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Pzena Investment Management, Inc. Class A

     9,384      $ 102,192  

Virtu Financial, Inc. Class A(a)

     28,169        456,338  

Virtus Investment Partners, Inc.

     4,357        505,630  

Waddell & Reed Financial, Inc. Class A

     114,235        2,292,696  

Westwood Holdings Group, Inc.

     4,086        274,865  
     

 

 

 
Total Capital Markets               12,006,402  
Chemicals – 2.5%  

American Vanguard Corp.

     9,721        222,611  

Calgon Carbon Corp.

     23,192        496,309  

Chase Corp.

     6,003        668,734  

Core Molding Technologies, Inc.

     7,454        163,541  

Ferro Corp.*

     142,477        3,177,237  

FutureFuel Corp.

     66,631        1,048,772  

Hawkins, Inc.

     6,106        249,125  

Innophos Holdings, Inc.

     9,615        472,962  

Innospec, Inc.

     20,500        1,263,825  

KMG Chemicals, Inc.

     8,326        456,931  

Kraton Corp.*

     51,443        2,080,355  

Quaker Chemical Corp.

     6,735        996,443  

Rayonier Advanced Materials, Inc.(a)

     75,102        1,028,897  

Trecora Resources*

     24,964        332,021  

Tredegar Corp.

     9,302        167,436  
     

 

 

 
Total Chemicals               12,825,199  
Commercial Services & Supplies – 3.0%  

ACCO Brands Corp.*

     148,974        1,772,791  

Brady Corp. Class A

     34,396        1,305,328  

CECO Environmental Corp.

     12,672        107,205  

Ennis, Inc.

     29,516        579,989  

Essendant, Inc.

     34,004        447,833  

Heritage-Crystal Clean, Inc.*

     659        14,333  

Interface, Inc.

     60,554        1,326,133  

Kimball International, Inc. Class B

     24,852        491,324  

Knoll, Inc.

     43,565        871,300  

McGrath RentCorp

     16,639        727,956  

Mobile Mini, Inc.

     18,742        645,662  

Multi-Color Corp.

     10,645        872,358  

Quad/Graphics, Inc.

     2,721        61,522  

RR Donnelley & Sons Co.

     92,024        947,847  

SP Plus Corp.*

     9,538        376,751  

Steelcase, Inc. Class A

     164,565        2,534,301  

U.S. Ecology, Inc.

     11,830        636,454  

Viad Corp.

     15,719        957,287  

VSE Corp.

     11,057        628,701  
     

 

 

 
Total Commercial Services & Supplies               15,305,075  
Communications Equipment – 0.9%  

ADTRAN, Inc.

     23,977        575,448  

Applied Optoelectronics, Inc.*(a)

     12,803        827,970  

CalAmp Corp.*

     9,361        217,643  

Clearfield, Inc.*

     6,610        89,896  

Digi International, Inc.*

     15,729        166,728  

EMCORE Corp.*

     1,926        15,793  

Infinera Corp.*

     45,749        405,794  

KVH Industries, Inc.*

     4,835        57,778  

NETGEAR, Inc.*

     20,748      987,605  

Oclaro, Inc.*(a)

     28,276        244,022  

Plantronics, Inc.

     21,147        935,120  
     

 

 

 
Total Communications Equipment               4,523,797  
Construction & Engineering – 0.9%  

Aegion Corp.*

     10,208        237,642  

Ameresco, Inc. Class A*

     25,456        198,557  

Argan, Inc.

     11,339        762,548  

Comfort Systems USA, Inc.

     28,739        1,025,982  

Goldfield Corp. (The)*

     46,368        292,118  

IES Holdings, Inc.*

     19,782        342,228  

MYR Group, Inc.*

     8,049        234,548  

Orion Group Holdings, Inc.*

     6,144        40,305  

Primoris Services Corp.

     16,474        484,665  

Tutor Perini Corp.*

     42,282        1,200,809  
     

 

 

 
Total Construction & Engineering               4,819,402  
Consumer Finance – 1.7%  

Encore Capital Group, Inc.*

     39,688        1,758,178  

Enova International, Inc.*

     28,600        384,670  

Green Dot Corp. Class A*

     18,548        919,610  

Nelnet, Inc. Class A

     57,643        2,910,972  

PRA Group, Inc.*(a)

     48,776        1,397,432  

Regional Management Corp.*

     12,545        303,715  

World Acceptance Corp.*

     14,935        1,237,962  
     

 

 

 
Total Consumer Finance               8,912,539  
Containers & Packaging – 0.0%  

Myers Industries, Inc.

     8,070        169,067  
Distributors – 0.1%  

Core-Mark Holding Co., Inc.

     21,033        676,001  
Diversified Consumer Services – 1.6%  

American Public Education, Inc.*

     16,795        353,535  

Capella Education Co.

     7,632        535,385  

Career Education Corp.*

     265,516        2,758,711  

Carriage Services, Inc.

     11,691        299,290  

Collectors Universe, Inc.

     5,544        132,890  

K12, Inc.*

     12,305        219,521  

Liberty Tax, Inc.

     20,341        292,910  

Strayer Education, Inc.

     7,142        623,282  

Weight Watchers International, Inc.*

     65,305        2,844,033  
     

 

 

 
Total Diversified Consumer Services               8,059,557  
Diversified Financial Services – 0.1%  

A-Mark Precious Metals, Inc.

     3,852        63,597  

Marlin Business Services Corp.

     9,531        274,016  
     

 

 

 
Total Diversified Financial Services               337,613  
Diversified Telecommunication Services – 0.9%  

ATN International, Inc.

     3,841        202,421  

Cincinnati Bell, Inc.*

     93,415        1,854,288  

Cogent Communications Holdings, Inc.

     5,594        273,547  

Consolidated Communications Holdings, Inc.

     11,369        216,920  

General Communication, Inc. Class A*

     2,730        111,357  

Hawaiian Telcom Holdco, Inc.*

     820        24,452  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      73  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

IDT Corp. Class B

     19,309      $ 271,871  

Iridium Communications, Inc.*(a)

     144,711        1,490,523  

Lumos Networks Corp.*

     2,387        42,775  

Vonage Holdings Corp.*

     50,072        407,586  
     

 

 

 
Total Diversified Telecommunication Services               4,895,740  
Electric Utilities – 0.2%  

Otter Tail Corp.

     23,298        1,009,968  

Spark Energy, Inc. Class A

     7,702        115,530  
     

 

 

 
Total Electric Utilities               1,125,498  
Electrical Equipment – 0.7%  

Allied Motion Technologies, Inc.

     5,161        130,780  

Atkore International Group, Inc.*

     42,923        837,428  

AZZ, Inc.

     17,825        868,077  

Encore Wire Corp.

     11,907        533,136  

LSI Industries, Inc.

     10,005        66,133  

Powell Industries, Inc.

     6,513        195,325  

Sunrun, Inc.*(a)

     131,244        728,404  

Thermon Group Holdings, Inc.*

     14,119        254,001  
     

 

 

 
Total Electrical Equipment               3,613,284  
Electronic Equipment, Instruments & Components – 3.2%  

Badger Meter, Inc.

     13,286        651,014  

Bel Fuse, Inc. Class B

     18,167        566,810  

Benchmark Electronics, Inc.*

     46,344        1,582,648  

Control4 Corp.*

     12,498        368,191  

CTS Corp.

     7,999        192,776  

Daktronics, Inc.

     14,719        155,580  

ePlus, Inc.*

     13,036        1,205,178  

FARO Technologies, Inc.*

     6,578        251,608  

Fitbit, Inc. Class A*(a)

     222,461        1,548,329  

Insight Enterprises, Inc.*

     33,848        1,554,300  

Kimball Electronics, Inc.*

     23,416        506,956  

Mesa Laboratories, Inc.

     1,303        194,564  

Methode Electronics, Inc.

     31,223        1,322,294  

MTS Systems Corp.

     8,918        476,667  

OSI Systems, Inc.*

     3,758        343,368  

Park Electrochemical Corp.

     11,253        208,181  

PC Connection, Inc.

     26,865        757,324  

Plexus Corp.*

     23,169        1,299,318  

Rogers Corp.*

     9,038        1,204,585  

ScanSource, Inc.*

     24,912        1,087,409  

TTM Technologies, Inc.*

     54,616        839,448  
     

 

 

 
Total Electronic Equipment, Instruments & Components        16,316,548  
Energy Equipment & Services – 0.6%  

Atwood Oceanics, Inc.*(a)

     295,816        2,777,712  

Matrix Service Co.*

     20,952        318,471  

Natural Gas Services Group, Inc.*

     4,233        120,217  
     

 

 

 
Total Energy Equipment & Services               3,216,400  
Equity Real Estate Investment Trusts (REITs) – 3.3%  

Agree Realty Corp.

     11,495        564,175  

Armada Hoffler Properties, Inc.

     26,209        361,946  

Ashford Hospitality Prime, Inc.

     7,789        73,995  

CareTrust REIT, Inc.

     21,812      415,300  

Chatham Lodging Trust

     20,436        435,696  

Chesapeake Lodging Trust

     34,787        938,205  

Community Healthcare Trust, Inc.

     984        26,529  

CorEnergy Infrastructure Trust, Inc.(a)

     7,749        273,927  

Easterly Government Properties, Inc.

     1,722        35,594  

Four Corners Property Trust, Inc.

     85,821        2,138,659  

Franklin Street Properties Corp.

     22,016        233,810  

Getty Realty Corp.

     26,168        748,666  

Gladstone Land Corp.

     943        12,844  

Global Net Lease, Inc.

     23,405        512,335  

Government Properties Income Trust

     28,834        541,214  

Hersha Hospitality Trust

     60,798        1,135,099  

Independence Realty Trust, Inc.

     52,711        536,071  

InfraREIT, Inc.

     36,865        824,670  

iStar, Inc.*

     72,639        857,140  

Jernigan Capital, Inc.

     6,973        143,295  

Monmouth Real Estate Investment Corp. Class A

     21,657        350,627  

National Storage Affiliates Trust

     8,182        198,332  

NexPoint Residential Trust, Inc.

     12,233        290,289  

One Liberty Properties, Inc.

     12,281        299,165  

Potlatch Corp.

     664        33,864  

Ramco-Gershenson Properties Trust

     45,883        596,938  

Rexford Industrial Realty, Inc.

     9,774        279,732  

Sabra Health Care REIT, Inc.

     32,659        716,538  

Saul Centers, Inc.

     6,316        391,024  

Summit Hotel Properties, Inc.

     140,819        2,251,696  

Terreno Realty Corp.

     4,592        166,139  

Universal Health Realty Income Trust

     3,421        258,251  

Urstadt Biddle Properties, Inc. Class A

     20,384        442,333  

Whitestone REIT(a)

     8,224        107,323  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        17,191,421  
Food & Staples Retailing – 0.9%  

Chefs’ Warehouse, Inc. (The)*

     1,044        20,149  

Ingles Markets, Inc. Class A

     18,417        473,317  

Natural Grocers by Vitamin Cottage, Inc.*(a)

     15,082        84,158  

Smart & Final Stores, Inc.*

     27,983        219,667  

SpartanNash Co.

     25,433        670,668  

SUPERVALU, Inc.*

     89,805        1,953,259  

Village Super Market, Inc. Class A

     12,016        297,276  

Weis Markets, Inc.

     16,945        737,107  
     

 

 

 
Total Food & Staples Retailing               4,455,601  
Food Products – 1.1%  

Amplify Snack Brands, Inc.*(a)

     37,077        262,876  

Bob Evans Farms, Inc.

     7,941        615,507  

Calavo Growers, Inc.

     9,261        677,905  

Farmer Brothers Co.*

     41,637        1,367,775  

John B. Sanfilippo & Son, Inc.

     7,465        502,469  

Landec Corp.*

     11,510        149,055  

Limoneira Co.

     6,603        152,992  

Omega Protein Corp.

     24,670        410,756  

Seneca Foods Corp. Class A*

     19,509        673,060  

 

See Notes to Financial Statements.

 

74   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Tootsie Roll Industries, Inc.(a)

     28,135      $ 1,069,130  
     

 

 

 
Total Food Products               5,881,525  
Gas Utilities – 0.4%  

Chesapeake Utilities Corp.

     9,862        771,701  

Northwest Natural Gas Co.

     16,654        1,072,518  
     

 

 

 
Total Gas Utilities               1,844,219  
Health Care Equipment & Supplies – 2.0%  

Abaxis, Inc.

     10,325        461,011  

Analogic Corp.

     4,866        407,528  

Anika Therapeutics, Inc.*

     11,578        671,524  

Atrion Corp.

     909        610,848  

CONMED Corp.

     5,492        288,165  

CryoLife, Inc.*

     8,972        203,664  

Cutera, Inc.*

     1,980        81,873  

Exactech, Inc.*

     9,239        304,425  

Glaukos Corp.*

     966        31,878  

Globus Medical, Inc. Class A*

     75,288        2,237,559  

Halyard Health, Inc.*

     17,796        801,354  

Inogen, Inc.*

     3,677        349,683  

Lantheus Holdings, Inc.*

     43,947        782,257  

LeMaitre Vascular, Inc.

     6,955        260,256  

Meridian Bioscience, Inc.

     28,640        409,552  

Merit Medical Systems, Inc.*

     11,468        485,670  

Natus Medical, Inc.*

     16,842        631,575  

OraSure Technologies, Inc.*

     31,468        708,030  

Surmodics, Inc.*

     6,357        197,067  

Utah Medical Products, Inc.

     2,980        219,179  
     

 

 

 
Total Health Care Equipment & Supplies               10,143,098  
Health Care Providers & Services – 4.7%  

Aceto Corp.

     22,354        251,035  

Addus HomeCare Corp.*

     3,641        128,527  

Almost Family, Inc.*

     6,747        362,314  

Amedisys, Inc.*

     14,941        836,098  

AMN Healthcare Services, Inc.*

     42,309        1,933,521  

BioTelemetry, Inc.*

     11,800        389,400  

Civitas Solutions, Inc.*

     10,319        190,386  

CorVel Corp.*

     13,601        739,894  

Cross Country Healthcare, Inc.*

     22,259        316,746  

Diplomat Pharmacy, Inc.*

     40,583        840,474  

Ensign Group, Inc. (The)

     32,384        731,555  

Landauer, Inc.

     5,487        369,275  

LHC Group, Inc.*

     12,786        906,783  

Magellan Health, Inc.*

     14,933        1,288,718  

National HealthCare Corp.

     11,073        692,838  

PharMerica Corp.*

     20,543        601,910  

Premier, Inc. Class A*

     215,585        7,021,603  

RadNet, Inc.*

     12,081        139,536  

Select Medical Holdings Corp.*

     150,756        2,894,515  

Surgery Partners, Inc.*

     9,944        102,920  

Tenet Healthcare Corp.*(a)

     136,597        2,244,289  

Tivity Health, Inc.*

     17,390        709,512  

Triple-S Management Corp. Class B*

     14,061        332,965  

U.S. Physical Therapy, Inc.

     5,656        347,561  
     

 

 

 
Total Health Care Providers & Services               24,372,375  
Health Care Technology – 0.4%  

Computer Programs & Systems, Inc.(a)

     3,451      101,977  

Evolent Health, Inc. Class A*

     13,730        244,394  

HealthStream, Inc.*

     3,695        86,352  

HMS Holdings Corp.*

     31,449        624,577  

Inovalon Holdings, Inc. Class A*(a)

     45,502        775,809  

Omnicell, Inc.*

     3,837        195,879  
     

 

 

 
Total Health Care Technology               2,028,988  
Hotels, Restaurants & Leisure – 4.4%  

BJ’s Restaurants, Inc.*

     17,814        542,436  

Bojangles’, Inc.*

     30,498        411,723  

Carrols Restaurant Group, Inc.*

     21,750        237,075  

Chuy’s Holdings, Inc.*

     6,900        145,245  

Del Frisco’s Restaurant Group, Inc.*

     16,421        238,926  

DineEquity, Inc.

     18,580        798,568  

El Pollo Loco Holdings, Inc.*

     28,470        345,910  

Eldorado Resorts, Inc.*(a)

     152,989        3,924,168  

Fiesta Restaurant Group, Inc.*

     12,124        230,356  

Fogo De Chao, Inc.*

     33,344        413,466  

Golden Entertainment, Inc.*

     37,700        919,126  

Habit Restaurants, Inc. (The) Class A*(a)

     3,437        44,853  

Hyatt Hotels Corp. Class A*

     57,145        3,530,990  

International Speedway Corp. Class A

     30,479        1,097,244  

J Alexander’s Holdings, Inc.*

     10,958        127,113  

La Quinta Holdings, Inc.*

     8,355        146,212  

Marcus Corp. (The)

     18,702        518,045  

Monarch Casino & Resort, Inc.*

     14,354        567,414  

Nathan’s Famous, Inc.*

     1,806        133,554  

Penn National Gaming, Inc.*

     121,164        2,834,026  

Planet Fitness, Inc. Class A

     10,359        279,486  

Potbelly Corp.*

     8,647        107,223  

RCI Hospitality Holdings, Inc.

     14,746        364,963  

Red Robin Gourmet Burgers, Inc.*

     10,363        694,321  

Red Rock Resorts, Inc. Class A

     82,597        1,912,947  

Ruth’s Hospitality Group, Inc.

     25,221        528,380  

Shake Shack, Inc. Class A*(a)

     4,104        136,376  

Sonic Corp.(a)

     36,192        921,086  

Speedway Motorsports, Inc.

     26,679        568,263  

Wingstop, Inc.(a)

     7,433        247,147  

Zoe’s Kitchen, Inc.*(a)

     2,789        35,225  
     

 

 

 
Total Hotels, Restaurants & Leisure               23,001,867  
Household Durables – 4.6%  

AV Homes, Inc.*

     70,187        1,203,707  

Bassett Furniture Industries, Inc.

     7,975        300,657  

Beazer Homes USA, Inc.*

     1,607        30,115  

Cavco Industries, Inc.*

     4,702        693,780  

Century Communities, Inc.*

     34,596        854,521  

CSS Industries, Inc.

     7,072        203,815  

Ethan Allen Interiors, Inc.

     23,830        772,092  

Flexsteel Industries, Inc.

     5,495        278,597  

Hooker Furniture Corp.

     7,802        372,545  

Hovnanian Enterprises, Inc. Class A*

     2,510        4,844  

Installed Building Products, Inc.*

     13,737        890,158  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      75  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

iRobot Corp.*

     13,070      $ 1,007,174  

KB Home

     104,488        2,520,251  

La-Z-Boy, Inc.

     39,354        1,058,623  

LGI Homes, Inc.*(a)

     34,587        1,679,891  

Libbey, Inc.

     36,427        337,314  

Lifetime Brands, Inc.

     10,470        191,601  

M/I Homes, Inc.*

     27,787        742,747  

MDC Holdings, Inc.

     50,717        1,684,312  

Meritage Homes Corp.*

     63,346        2,812,562  

NACCO Industries, Inc. Class A

     4,013        344,315  

New Home Co., Inc. (The)*

     25,484        284,401  

Taylor Morrison Home Corp. Class A*

     39,417        869,145  

TopBuild Corp.*

     45,898        2,991,173  

Universal Electronics, Inc.*

     6,583        417,362  

William Lyon Homes Class A*

     48,043        1,104,509  
     

 

 

 
Total Household Durables               23,650,211  
Household Products – 0.4%  

Central Garden and Pet Co. Class A*

     24,085        895,721  

Oil-Dri Corp. of America

     5,486        268,430  

Orchids Paper Products Co.(a)

     7,697        108,374  

WD-40 Co.

     7,529        842,495  
     

 

 

 
Total Household Products               2,115,020  
Independent Power & Renewable Electricity Producers – 0.3%  

NRG Yield, Inc. Class C

     81,545        1,573,819  
Industrial Conglomerates – 0.1%  

Raven Industries, Inc.

     8,511        275,756  
Insurance – 3.0%  

AMERISAFE, Inc.

     16,228        944,470  

Baldwin & Lyons, Inc. Class B

     14,266        321,698  

Crawford & Co. Class B

     23,801        284,660  

Donegal Group, Inc. Class A

     20,887        336,907  

EMC Insurance Group, Inc.

     15,018        422,757  

Employers Holdings, Inc.

     33,976        1,544,209  

Federated National Holding Co.

     14,498        226,314  

Fidelity & Guaranty Life(a)

     52,594        1,633,044  

Hallmark Financial Services, Inc.*

     14,984        173,964  

HCI Group, Inc.

     12,509        478,469  

Health Insurance Innovations, Inc. Class A*(a)

     4,621        67,005  

Heritage Insurance Holdings, Inc.(a)

     46,807        618,320  

Horace Mann Educators Corp.

     25,840        1,016,804  

Infinity Property & Casualty Corp.

     4,765        448,863  

MBIA, Inc.*

     6,153        53,531  

National Western Life Group, Inc. Class A

     4,866        1,698,234  

Navigators Group, Inc. (The)

     18,211        1,062,612  

Patriot National, Inc.*(a)

     27,425        37,024  

Safety Insurance Group, Inc.

     11,167        852,042  

State National Cos., Inc.

     45,905        963,546  

Stewart Information Services Corp.

     8,805        332,477  

United Fire Group, Inc.

     17,987        824,164  

Universal Insurance Holdings, Inc.

     58,193        1,338,439  
     

 

 

 
Total Insurance               15,679,553  
Internet & Catalog Retail – 0.5%  

1-800-Flowers.com, Inc. Class A*

     40,585      399,762  

Duluth Holdings, Inc. Class B*(a)

     14,550        295,220  

FTD Cos., Inc.*

     4,091        53,347  

Nutrisystem, Inc.

     13,076        730,948  

PetMed Express, Inc.(a)

     15,448        512,101  

Shutterfly, Inc.*

     17,133        830,608  
     

 

 

 
Total Internet & Catalog Retail               2,821,986  
Internet Software & Services – 1.4%  

Alarm.com Holdings, Inc.*

     10,272        464,089  

GTT Communications, Inc.*

     20,263        641,324  

Match Group, Inc.*(a)

     118,477        2,747,482  

NIC, Inc.

     32,414        555,900  

Reis, Inc.

     3,624        65,232  

Shutterstock, Inc.*

     9,649        321,215  

SPS Commerce, Inc.*

     1,421        80,585  

TechTarget, Inc.*

     8,238        98,362  

Travelzoo*

     8,911        76,634  

Web.com Group, Inc.*

     73,398        1,834,950  

XO Group, Inc.*

     5,566        109,483  
     

 

 

 
Total Internet Software & Services               6,995,256  
IT Services – 1.4%  

Cass Information Systems, Inc.

     5,324        337,755  

CSG Systems International, Inc.

     24,686        989,909  

ExlService Holdings, Inc.*

     19,714        1,149,720  

Forrester Research, Inc.

     5,164        216,113  

Hackett Group, Inc. (The)

     17,277        262,438  

ManTech International Corp. Class A

     20,006        883,265  

MoneyGram International, Inc.*

     19,185        309,070  

Perficient, Inc.*

     20,779        408,723  

Sykes Enterprises, Inc.*

     35,078        1,022,874  

TeleTech Holdings, Inc.

     31,336        1,308,278  

Virtusa Corp.*

     13,892        524,840  
     

 

 

 
Total IT Services               7,412,985  
Leisure Products – 1.0%  

American Outdoor Brands Corp.*

     86,037        1,312,064  

Callaway Golf Co.

     48,799        704,170  

JAKKS Pacific, Inc.*(a)

     5,729        17,187  

Johnson Outdoors, Inc. Class A

     6,062        444,223  

Malibu Boats, Inc. Class A*

     14,627        462,798  

MCBC Holdings, Inc.*

     20,418        416,119  

Nautilus, Inc.*

     28,818        487,024  

Sturm Ruger & Co., Inc.(a)

     27,904        1,442,637  
     

 

 

 
Total Leisure Products               5,286,222  
Life Sciences Tools & Services – 0.4%  

Cambrex Corp.*

     23,967        1,318,185  

Luminex Corp.

     29,517        600,081  
     

 

 

 
Total Life Sciences Tools & Services               1,918,266  
Machinery – 8.3%  

Alamo Group, Inc.

     9,292        997,682  

Albany International Corp. Class A

     24,971        1,433,336  

Altra Industrial Motion Corp.

     11,974        575,949  

 

See Notes to Financial Statements.

 

76   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

American Railcar Industries, Inc.

     29,466      $ 1,137,388  

Astec Industries, Inc.

     10,821        606,084  

Blue Bird Corp.*

     7,820        161,092  

Briggs & Stratton Corp.

     26,874        631,539  

CIRCOR International, Inc.

     4,408        239,928  

Columbus McKinnon Corp.

     16,405        621,257  

Commercial Vehicle Group, Inc.*

     12,317        90,530  

Douglas Dynamics, Inc.

     20,951        825,469  

ESCO Technologies, Inc.

     12,733        763,343  

Federal Signal Corp.

     44,251        941,661  

FreightCar America, Inc.

     14,692        287,376  

Gencor Industries, Inc.*

     3,106        54,821  

Global Brass & Copper Holdings, Inc.

     14,805        500,409  

Gorman-Rupp Co. (The)

     12,416        404,389  

Graham Corp.

     1,859        38,723  

Greenbrier Cos., Inc. (The)(a)

     67,526        3,251,377  

Hardinge, Inc.

     357        5,451  

Hurco Cos., Inc.

     7,169        298,230  

Hyster-Yale Materials Handling, Inc.

     11,247        859,721  

Kadant, Inc.

     8,713        858,666  

Lindsay Corp.

     3,702        340,214  

Lydall, Inc.*

     9,718        556,841  

Meritor, Inc.*

     665,284        17,304,037  

Milacron Holdings Corp.*

     37,575        633,515  

Miller Industries, Inc.

     11,412        318,965  

Park-Ohio Holdings Corp.

     13,802        629,371  

Proto Labs, Inc.*

     13,452        1,080,196  

SPX Corp.*

     21,354        626,526  

Standex International Corp.

     8,317        883,266  

Sun Hydraulics Corp.

     9,807        529,578  

Tennant Co.

     9,485        627,907  

TriMas Corp.*

     21,004        567,108  

Wabash National Corp.

     135,126        3,083,575  
     

 

 

 
Total Machinery               42,765,520  
Marine – 0.2%  

Matson, Inc.

     36,111        1,017,608  
Media – 2.0%  

AMC Entertainment Holdings, Inc. Class A(a)

     62,279        915,501  

Entercom Communications Corp. Class A(a)

     37,826        433,108  

Entravision Communications Corp. Class A

     45,675        260,347  

EW Scripps Co. (The) Class A*

     7,159        136,808  

Gannett Co., Inc.

     62,759        564,831  

Gray Television, Inc.*

     61,441        964,624  

Hemisphere Media Group, Inc.*

     23,101        276,057  

Loral Space & Communications, Inc.*

     23,424        1,159,488  

MSG Networks, Inc. Class A*

     123,073        2,609,148  

National CineMedia, Inc.

     17,431        121,668  

New Media Investment Group, Inc.

     73,751        1,090,777  

Salem Media Group, Inc. Class A

     31,421        207,379  

Scholastic Corp.

     19,188        713,794  

Townsquare Media, Inc. Class A*

     35,495        354,950  

World Wrestling Entertainment, Inc. Class A

     19,504        459,319  
     

 

 

 
Total Media               10,267,799  
Metals & Mining – 0.5%  

Gold Resource Corp.

     21,004      78,765  

Haynes International, Inc.

     1,790        64,279  

Kaiser Aluminum Corp.

     15,263        1,574,226  

Materion Corp.

     10,129        437,066  

Ryerson Holding Corp.*

     4,687        50,854  

SunCoke Energy, Inc.*

     20,752        189,673  
     

 

 

 
Total Metals & Mining               2,394,863  
Multi-Utilities – 0.1%  

Unitil Corp.

     9,359        462,896  
Multiline Retail – 0.0%  

Tuesday Morning Corp.*(a)

     4,016        12,851  
Oil, Gas & Consumable Fuels – 0.1%  

REX American Resources Corp.*

     3,852        361,433  
Paper & Forest Products – 1.0%  

Boise Cascade Co.*

     24,272        847,093  

Clearwater Paper Corp.*

     12,588        619,959  

Deltic Timber Corp.

     1,232        108,946  

Neenah Paper, Inc.

     12,810        1,095,895  

PH Glatfelter Co.

     49,495        962,678  

Schweitzer-Mauduit International, Inc.

     34,038        1,411,215  
     

 

 

 
Total Paper & Forest Products               5,045,786  
Personal Products – 0.7%  

Inter Parfums, Inc.

     14,069        580,346  

Medifast, Inc.

     6,955        412,919  

Revlon, Inc. Class A*(a)

     37,300        915,715  

USANA Health Sciences, Inc.*

     26,876        1,550,745  
     

 

 

 
Total Personal Products               3,459,725  
Pharmaceuticals – 0.9%  

Amphastar Pharmaceuticals, Inc.*

     16,921        302,378  

ANI Pharmaceuticals, Inc.*

     2,166        113,693  

Innoviva, Inc.*

     57,077        805,927  

Phibro Animal Health Corp. Class A

     44,823        1,660,692  

SciClone Pharmaceuticals, Inc.*

     58,663        657,026  

Sucampo Pharmaceuticals, Inc. Class A*(a)

     13,521        159,548  

Supernus Pharmaceuticals, Inc.*

     18,264        730,560  
     

 

 

 
Total Pharmaceuticals               4,429,824  
Professional Services – 2.2%  

Advisory Board Co. (The)*

     10,723        575,021  

Barrett Business Services, Inc.

     6,300        356,139  

BG Staffing, Inc.

     6,451        106,764  

CBIZ, Inc.*

     48,625        790,156  

CRA International, Inc.

     5,460        224,133  

Exponent, Inc.

     11,822        873,646  

Franklin Covey Co.*

     5,507        111,792  

GP Strategies Corp.*

     11,262        347,433  

Heidrick & Struggles International, Inc.

     10,980        232,227  

Huron Consulting Group, Inc.*

     20,004        686,137  

ICF International, Inc.*

     12,166        656,356  

Insperity, Inc.

     13,689        1,204,632  

Kelly Services, Inc. Class A

     94,794        2,378,381  

Kforce, Inc.

     24,009        484,982  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      77  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Korn/Ferry International

     5,471      $ 215,722  

Mistras Group, Inc.*

     18,217        373,448  

Navigant Consulting, Inc.*

     34,077        576,583  

Resources Connection, Inc.

     25,556        355,228  

RPX Corp.*

     31,938        424,137  

TrueBlue, Inc.*

     27,174        610,056  
     

 

 

 
Total Professional Services               11,582,973  
Real Estate Management & Development – 0.6%  

Consolidated-Tomoka Land Co.

     4,038        242,563  

Forestar Group, Inc.*

     18,309        314,915  

HFF, Inc. Class A

     33,558        1,327,554  

Marcus & Millichap, Inc.*

     29,363        792,507  

RE/MAX Holdings, Inc. Class A

     5,362        340,755  

St. Joe Co. (The)*

     2,203        41,527  

Tejon Ranch Co.*

     1,289        27,198  
     

 

 

 
Total Real Estate Management & Development               3,087,019  
Road & Rail – 0.6%  

ArcBest Corp.

     11,220        375,309  

Celadon Group, Inc.(a)

     18,674        126,050  

Covenant Transportation Group, Inc. Class A*

     17,477        506,483  

Marten Transport Ltd.

     34,870        716,578  

Roadrunner Transportation Systems, Inc.*

     35,130        334,789  

Saia, Inc.*

     16,600        1,039,990  

YRC Worldwide, Inc.*

     8,817        121,675  
     

 

 

 
Total Road & Rail               3,220,874  
Semiconductors & Semiconductor Equipment – 1.1%  

Axcelis Technologies, Inc.*

     9,305        254,492  

AXT, Inc.*

     6,047        55,330  

Cabot Microelectronics Corp.

     15,400        1,230,922  

Ceva, Inc.*

     5,133        219,692  

Cohu, Inc.

     4,394        104,753  

CyberOptics Corp.*

     3,143        51,074  

Diodes, Inc.*

     6,257        187,272  

DSP Group, Inc.*

     4,624        60,112  

FormFactor, Inc.*

     11,745        197,903  

IXYS Corp.*

     20,821        493,458  

MaxLinear, Inc. Class A*

     34,264        813,770  

Nanometrics, Inc.*

     10,260        295,488  

PDF Solutions, Inc.*

     6,327        98,005  

Photronics, Inc.*

     82,992        734,479  

Rambus, Inc.*

     25,344        338,342  

Rudolph Technologies, Inc.*

     19,079        501,778  

Xcerra Corp.*

     6,273        61,789  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        5,698,659  
Software – 0.5%  

American Software, Inc. Class A

     13,712        155,768  

Barracuda Networks, Inc.*

     4,904        118,824  

BroadSoft, Inc.*

     2,637        132,641  

Monotype Imaging Holdings, Inc.

     14,600        281,050  

Progress Software Corp.

     4,424        168,864  

QAD, Inc. Class A

     2,074        71,242  

Qualys, Inc.*

     9,159        474,436  

Rubicon Project, Inc. (The)*

     47,371      184,273  

Silver Spring Networks, Inc.*

     69,822        1,129,022  

Zix Corp.*

     17,667        86,392  
     

 

 

 
Total Software               2,802,512  
Specialty Retail – 3.7%  

Abercrombie & Fitch Co. Class A

     4,691        67,738  

America’s Car-Mart, Inc.*

     6,808        279,979  

Asbury Automotive Group, Inc.*

     35,969        2,197,706  

Barnes & Noble, Inc.

     17,720        134,672  

Big 5 Sporting Goods Corp.(a)

     11,570        88,511  

Boot Barn Holdings, Inc.*

     13,424        119,474  

Buckle, Inc. (The)(a)

     72,868        1,227,826  

Build-A-Bear Workshop, Inc.*

     21,299        194,886  

Caleres, Inc.

     36,127        1,102,596  

Cato Corp. (The) Class A

     36,386        481,387  

Citi Trends, Inc.

     9,216        183,122  

Container Store Group, Inc. (The)*

     18,361        77,300  

Express, Inc.*

     137,827        931,711  

Finish Line, Inc. (The) Class A

     8,728        104,998  

Francesca’s Holdings Corp.*

     30,501        224,487  

Genesco, Inc.*

     22,394        595,680  

GNC Holdings, Inc. Class A(a)

     219,491        1,940,300  

Group 1 Automotive, Inc.

     15,734        1,140,086  

Guess?, Inc.

     77,547        1,320,625  

Haverty Furniture Cos., Inc.

     18,828        492,352  

Hibbett Sports, Inc.*

     25,390        361,807  

Kirkland’s, Inc.*

     13,034        148,979  

MarineMax, Inc.*

     16,766        277,477  

Pier 1 Imports, Inc.

     49,284        206,500  

RH*(a)

     30,823        2,167,473  

Select Comfort Corp.*

     13,447        417,529  

Shoe Carnival, Inc.

     15,087        337,647  

Sonic Automotive, Inc. Class A

     61,933        1,263,433  

Sportsman’s Warehouse Holdings, Inc.*(a)

     51,758        233,429  

Stein Mart, Inc.(a)

     37,936        49,317  

Tile Shop Holdings, Inc.

     16,928        214,986  

Tilly’s, Inc. Class A

     5,557        66,628  

Vitamin Shoppe, Inc.*

     26,056        139,400  

Winmark Corp.

     2,780        366,265  

Zumiez, Inc.*

     12,611        228,259  
     

 

 

 
Total Specialty Retail               19,384,565  
Technology Hardware, Storage & Peripherals – 0.4%  

Avid Technology, Inc.*(a)

     136,047        617,653  

CPI Card Group, Inc.(a)

     36,265        42,793  

Eastman Kodak Co.*

     34,197        251,348  

Quantum Corp.*

     6,446        39,449  

Super Micro Computer, Inc.*

     40,549        896,133  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        1,847,376  
Textiles, Apparel & Luxury Goods – 1.1%  

Culp, Inc.

     7,490        245,297  

Delta Apparel, Inc.*

     6,958        149,667  

Fossil Group, Inc.*(a)

     47,320        441,496  

G-III Apparel Group Ltd.*

     48,722        1,413,912  

 

See Notes to Financial Statements.

 

78   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. SmallCap Earnings Fund (EES)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Iconix Brand Group, Inc.*

     109,728      $ 624,352  

Movado Group, Inc.

     19,089        534,492  

Oxford Industries, Inc.

     15,438        980,930  

Perry Ellis International, Inc.*

     1,859        43,984  

Superior Uniform Group, Inc.

     10,124        231,840  

Unifi, Inc.*

     16,635        592,705  

Vera Bradley, Inc.*

     41,995        369,976  

Vince Holding Corp.*(a)

     32,438        19,463  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               5,648,114  
Thrifts & Mortgage Finance – 3.4%  

Bank Mutual Corp.

     24,108        244,696  

BankFinancial Corp.

     6,668        105,955  

Beneficial Bancorp, Inc.

     15,336        254,578  

BofI Holding, Inc.*(a)

     55,742        1,586,975  

Clifton Bancorp, Inc.

     3,620        60,526  

Dime Community Bancshares, Inc.

     54,673        1,175,469  

Federal Agricultural Mortgage Corp. Class C

     12,135        882,700  

First Defiance Financial Corp.

     7,312        383,807  

Flagstar Bancorp, Inc.*

     67,185        2,383,724  

Hingham Institution for Savings

     1,558        296,441  

HomeStreet, Inc.*

     25,611        691,497  

Impac Mortgage Holdings, Inc.*

     35,506        463,708  

Kearny Financial Corp.

     14,366        220,518  

LendingTree, Inc.*

     6,831        1,669,838  

Meridian Bancorp, Inc.

     20,820        388,293  

Meta Financial Group, Inc.

     4,480        351,232  

Northfield Bancorp, Inc.

     15,003        260,302  

OceanFirst Financial Corp.

     10,625        292,081  

Oritani Financial Corp.

     35,940        603,792  

PennyMac Financial Services, Inc. Class A*

     38,475        684,855  

Provident Financial Holdings, Inc.

     4,360        85,456  

Territorial Bancorp, Inc.

     6,168        194,724  

TrustCo Bank Corp.

     61,310        545,659  

United Community Financial Corp.

     25,193        241,853  

United Financial Bancorp, Inc.

     32,015        585,554  

Walker & Dunlop, Inc.*

     39,180        2,050,289  

Waterstone Financial, Inc.

     15,051        293,495  

WSFS Financial Corp.

     16,396        799,305  
     

 

 

 
Total Thrifts & Mortgage Finance               17,797,322  
Tobacco – 0.3%  

Turning Point Brands, Inc.*

     14,632        248,744  

Universal Corp.

     26,044        1,492,321  
     

 

 

 
Total Tobacco               1,741,065  
Trading Companies & Distributors – 0.9%  

BMC Stock Holdings, Inc.*

     10,382        221,656  

DXP Enterprises, Inc.*

     1,727        54,383  

GMS, Inc.*

     10,427        369,116  

H&E Equipment Services, Inc.

     24,950        728,540  

Kaman Corp.

     17,094        953,503  

Neff Corp. Class A*

     10,219        255,475  

Rush Enterprises, Inc. Class A*

     18,677        864,558  

SiteOne Landscape Supply, Inc.*

     14,781        858,776  

Veritiv Corp.*

     8,224      267,280  

Willis Lease Finance Corp.*

     9,088        223,474  
     

 

 

 
Total Trading Companies & Distributors               4,796,761  
Water Utilities – 0.7%  

American States Water Co.

     21,172        1,042,721  

Artesian Resources Corp. Class A

     5,863        221,621  

California Water Service Group

     20,326        775,437  

Connecticut Water Service, Inc.

     6,924        410,593  

Middlesex Water Co.

     8,816        346,204  

SJW Group

     15,699        888,564  

York Water Co. (The)

     5,174        175,399  
     

 

 

 
Total Water Utilities               3,860,539  
Wireless Telecommunication Services – 0.2%  

Shenandoah Telecommunications Co.

     6,092        226,622  

Spok Holdings, Inc.

     64,851        995,463  
     

 

 

 
Total Wireless Telecommunication Services               1,222,085  
Total United States               513,158,932  
TOTAL COMMON STOCKS
(Cost: $439,699,480)
              515,141,672  
EXCHANGE-TRADED FUND – 0.3%  
United States – 0.3%  

WisdomTree U.S. MidCap Earnings Fund(a)(b)

     
(Cost: $1,467,364)      42,482        1,582,030  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 6.9%  
United States – 6.9%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $35,635,797)(d)      35,635,797        35,635,797  
TOTAL INVESTMENTS IN SECURITIES – 106.8%
(Cost: $476,802,641)
       552,359,499  

Other Assets less Liabilities – (6.8)%

        (35,280,942
     

 

 

 
NET ASSETS – 100.0%             $ 517,078,557  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $38,635,201 and the total market value of the collateral held by the Fund was $39,648,565. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $4,012,768.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      79  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%  
United States – 99.8%  
Aerospace & Defense – 0.1%  

National Presto Industries, Inc.

     1,129      $ 120,182  
Air Freight & Logistics – 0.4%  

Forward Air Corp.

     6,199        354,769  
Airlines – 0.6%  

Allegiant Travel Co.

     4,475        589,357  
Auto Components – 2.7%  

Cooper Tire & Rubber Co.

     10,384        388,362  

Dana, Inc.

     31,501        880,768  

LCI Industries

     8,094        937,690  

Standard Motor Products, Inc.

     5,111        246,606  

Strattec Security Corp.

     855        34,969  

Tower International, Inc.

     5,714        155,421  
     

 

 

 
Total Auto Components               2,643,816  
Automobiles – 0.3%  

Winnebago Industries, Inc.

     5,541        247,960  
Banks – 5.6%  

Access National Corp.

     5,098        146,109  

Central Pacific Financial Corp.

     14,160        455,669  

CVB Financial Corp.

     51,590        1,246,930  

Great Southern Bancorp, Inc.

     4,989        277,638  

Hanmi Financial Corp.

     16,647        515,225  

Hope Bancorp, Inc.

     68,128        1,206,547  

Horizon Bancorp

     7,530        219,650  

Independent Bank Corp.

     9,300        210,645  

Lakeland Financial Corp.

     9,402        458,065  

Live Oak Bancshares, Inc.

     2,991        70,139  

Old Second Bancorp, Inc.

     2,645        35,575  

ServisFirst Bancshares, Inc.

     5,186        201,476  

United Community Banks, Inc.

     17,299        493,713  
     

 

 

 
Total Banks               5,537,381  
Beverages – 0.3%  

Coca-Cola Bottling Co. Consolidated

     971        209,493  

MGP Ingredients, Inc.

     633        38,379  
     

 

 

 
Total Beverages               247,872  
Building Products – 1.5%  

AAON, Inc.

     6,873        236,947  

Apogee Enterprises, Inc.

     4,708        227,208  

Insteel Industries, Inc.

     991        25,875  

Quanex Building Products Corp.

     4,316        99,052  

Simpson Manufacturing Co., Inc.

     11,928        584,949  

Universal Forest Products, Inc.

     2,863        281,032  
     

 

 

 
Total Building Products               1,455,063  
Capital Markets – 4.2%  

Cohen & Steers, Inc.

     29,447        1,162,862  

Evercore, Inc. Class A

     17,238        1,383,350  

Financial Engines, Inc.

     10,603        368,454  

Moelis & Co. Class A

     20,181        868,792  

Pzena Investment Management, Inc. Class A

     4,536        49,397  

Westwood Holdings Group, Inc.

     4,985      335,341  
     

 

 

 
Total Capital Markets               4,168,196  
Chemicals – 2.3%  

American Vanguard Corp.

     1,359        31,121  

Balchem Corp.

     2,800        227,612  

Calgon Carbon Corp.

     12,687        271,502  

Chase Corp.

     1,691        188,377  

FutureFuel Corp.

     14,724        231,756  

Hawkins, Inc.

     3,739        152,551  

Innospec, Inc.

     5,163        318,299  

Quaker Chemical Corp.

     3,160        467,522  

Stepan Co.

     4,866        407,090  
     

 

 

 
Total Chemicals               2,295,830  
Commercial Services & Supplies – 9.2%  

ABM Industries, Inc.

     14,263        594,910  

CECO Environmental Corp.

     10,423        88,178  

Essendant, Inc.

     16,157        212,788  

Herman Miller, Inc.

     19,741        708,702  

HNI Corp.

     14,739        611,226  

Interface, Inc.

     14,224        311,506  

Kimball International, Inc. Class B

     8,610        170,220  

Knoll, Inc.

     17,958        359,160  

Matthews International Corp. Class A

     4,797        298,613  

McGrath RentCorp

     10,453        457,319  

Mobile Mini, Inc.

     18,825        648,521  

MSA Safety, Inc.

     12,080        960,481  

Multi-Color Corp.

     735        60,233  

Pitney Bowes, Inc.

     114,225        1,600,292  

RR Donnelley & Sons Co.

     37,484        386,085  

Steelcase, Inc. Class A

     42,394        652,868  

Tetra Tech, Inc.

     7,851        365,464  

U.S. Ecology, Inc.

     5,537        297,891  

UniFirst Corp.

     267        40,450  

Viad Corp.

     2,864        174,418  

VSE Corp.

     1,057        60,101  
     

 

 

 
Total Commercial Services & Supplies               9,059,426  
Communications Equipment – 1.6%  

ADTRAN, Inc.

     17,800        427,200  

InterDigital, Inc.

     11,080        817,150  

Plantronics, Inc.

     8,251        364,859  
     

 

 

 
Total Communications Equipment               1,609,209  
Construction & Engineering – 0.6%  

Argan, Inc.

     2,446        164,494  

Comfort Systems USA, Inc.

     5,031        179,607  

Primoris Services Corp.

     7,839        230,623  
     

 

 

 
Total Construction & Engineering               574,724  
Construction Materials – 0.1%  

United States Lime & Minerals, Inc.

     821        68,964  
Consumer Finance – 1.5%  

FirstCash, Inc.

     17,642        1,114,092  

Nelnet, Inc. Class A

     7,323        369,812  
     

 

 

 
Total Consumer Finance               1,483,904  

 

See Notes to Financial Statements.

 

80   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Containers & Packaging – 1.0%  

Silgan Holdings, Inc.

     33,298      $ 979,960  
Distributors – 0.4%  

Core-Mark Holding Co., Inc.

     7,436        238,993  

Weyco Group, Inc.

     3,709        105,261  
     

 

 

 
Total Distributors               344,254  
Diversified Consumer Services – 0.5%  

Capella Education Co.

     3,603        252,751  

Carriage Services, Inc.

     2,054        52,582  

Liberty Tax, Inc.

     11,571        166,622  
     

 

 

 
Total Diversified Consumer Services               471,955  
Diversified Financial Services – 0.2%  

A-Mark Precious Metals, Inc.

     2,425        40,037  

Marlin Business Services Corp.

     5,212        149,845  
     

 

 

 
Total Diversified Financial Services               189,882  
Diversified Telecommunication Services – 0.6%  

ATN International, Inc.

     6,395        337,017  

IDT Corp. Class B

     18,926        266,478  
     

 

 

 
Total Diversified Telecommunication Services               603,495  
Electric Utilities – 1.2%  

MGE Energy, Inc.

     15,143        978,238  

Spark Energy, Inc. Class A

     15,602        234,030  
     

 

 

 
Total Electric Utilities               1,212,268  
Electrical Equipment – 0.4%  

Allied Motion Technologies, Inc.

     687        17,409  

AZZ, Inc.

     4,582        223,143  

Encore Wire Corp.

     575        25,746  

Powell Industries, Inc.

     5,001        149,980  
     

 

 

 
Total Electrical Equipment               416,278  
Electronic Equipment, Instruments & Components – 2.1%  

Badger Meter, Inc.

     8,005        392,245  

Dolby Laboratories, Inc. Class A

     15,598        897,197  

Mesa Laboratories, Inc.

     408        60,923  

Methode Electronics, Inc.

     7,091        300,304  

MTS Systems Corp.

     8,094        432,624  
     

 

 

 
Total Electronic Equipment, Instruments & Components        2,083,293  
Energy Equipment & Services – 1.2%  

Oceaneering International, Inc.

     44,771        1,176,134  
Equity Real Estate Investment Trusts (REITs) – 2.6%  

Alexander’s, Inc.

     2,164        917,731  

Getty Realty Corp.

     34,749        994,169  

Urstadt Biddle Properties, Inc. Class A

     30,387        659,398  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        2,571,298  
Food Products – 2.3%  

Alico, Inc.

     1,481        50,576  

Dean Foods Co.

     35,637        387,731  

J&J Snack Foods Corp.

     4,954        650,460  

Sanderson Farms, Inc.

     5,549        896,274  

Tootsie Roll Industries, Inc.(a)

     7,786        295,868  
     

 

 

 
Total Food Products               2,280,909  
Gas Utilities – 0.5%  

Chesapeake Utilities Corp.

     6,702      524,432  
Health Care Equipment & Supplies – 1.4%  

Abaxis, Inc.

     5,302        236,734  

Analogic Corp.

     1,375        115,156  

Atrion Corp.

     353        237,216  

CONMED Corp.

     11,130        583,991  

LeMaitre Vascular, Inc.

     3,078        115,179  

Utah Medical Products, Inc.

     1,320        97,086  
     

 

 

 
Total Health Care Equipment & Supplies               1,385,362  
Health Care Providers & Services – 1.3%  

Aceto Corp.

     8,385        94,163  

Chemed Corp.

     2,497        504,519  

Ensign Group, Inc. (The)

     8,250        186,367  

Landauer, Inc.

     4,593        309,109  

U.S. Physical Therapy, Inc.

     2,826        173,658  
     

 

 

 
Total Health Care Providers & Services               1,267,816  
Health Care Technology – 0.4%  

Computer Programs & Systems, Inc.(a)

     11,679        345,114  
Hotels, Restaurants & Leisure – 3.6%  

Bloomin’ Brands, Inc.

     27,324        480,902  

Churchill Downs, Inc.

     2,553        526,429  

DineEquity, Inc.

     14,520        624,070  

ILG, Inc.

     61,871        1,653,812  

RCI Hospitality Holdings, Inc.

     1,415        35,021  

Ruth’s Hospitality Group, Inc.

     8,229        172,397  
     

 

 

 
Total Hotels, Restaurants & Leisure               3,492,631  
Household Durables – 2.5%  

Bassett Furniture Industries, Inc.

     2,480        93,496  

Ethan Allen Interiors, Inc.

     10,098        327,175  

Flexsteel Industries, Inc.

     1,806        91,564  

Hooker Furniture Corp.

     2,877        137,377  

KB Home

     8,900        214,668  

La-Z-Boy, Inc.

     11,952        321,509  

Lennar Corp. Class B

     2,511        113,196  

Libbey, Inc.

     8,969        83,053  

Lifetime Brands, Inc.

     2,371        43,389  

MDC Holdings, Inc.

     32,549        1,080,952  
     

 

 

 
Total Household Durables               2,506,379  
Household Products – 0.7%  

Oil-Dri Corp. of America

     2,347        114,839  

WD-40 Co.

     4,872        545,177  
     

 

 

 
Total Household Products               660,016  
Insurance – 4.8%  

AMERISAFE, Inc.

     4,803        279,535  

Employers Holdings, Inc.

     6,995        317,923  

Federated National Holding Co.

     5,382        84,013  

HCI Group, Inc.

     7,900        302,175  

Heritage Insurance Holdings, Inc.(a)

     10,905        144,055  

Investors Title Co.

     217        38,858  

National General Holdings Corp.

     15,832        302,549  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      81  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

RLI Corp.

     13,019      $ 746,770  

Safety Insurance Group, Inc.

     13,362        1,019,521  

Selective Insurance Group, Inc.

     20,292        1,092,724  

Universal Insurance Holdings, Inc.

     17,463        401,649  
     

 

 

 
Total Insurance               4,729,772  
Internet & Catalog Retail – 2.4%  

HSN, Inc.

     35,802        1,398,068  

Nutrisystem, Inc.

     10,033        560,845  

PetMed Express, Inc.(a)

     12,330        408,739  
     

 

 

 
Total Internet & Catalog Retail               2,367,652  
IT Services – 2.3%  

Convergys Corp.

     30,848        798,655  

CSG Systems International, Inc.

     11,344        454,894  

Forrester Research, Inc.

     6,993        292,657  

Hackett Group, Inc. (The)

     9,447        143,500  

TeleTech Holdings, Inc.

     13,870        579,073  
     

 

 

 
Total IT Services               2,268,779  
Leisure Products – 0.7%  

Escalade, Inc.

     1,786        24,290  

Marine Products Corp.

     7,368        118,256  

Sturm Ruger & Co., Inc.(a)

     10,798        558,257  
     

 

 

 
Total Leisure Products               700,803  
Machinery – 7.9%  

Alamo Group, Inc.

     909        97,599  

Albany International Corp. Class A

     6,692        384,121  

Altra Industrial Motion Corp.

     6,463        310,870  

American Railcar Industries, Inc.

     10,942        422,361  

Barnes Group, Inc.

     9,707        683,761  

Briggs & Stratton Corp.

     17,937        421,520  

CIRCOR International, Inc.

     588        32,005  

Columbus McKinnon Corp.

     1,992        75,437  

Douglas Dynamics, Inc.

     10,624        418,586  

ESCO Technologies, Inc.

     2,374        142,321  

Federal Signal Corp.

     17,019        362,164  

Franklin Electric Co., Inc.

     7,267        325,925  

FreightCar America, Inc.

     4,634        90,641  

Gorman-Rupp Co. (The)

     6,140        199,980  

Graham Corp.

     2,460        51,242  

Greenbrier Cos., Inc. (The)(a)

     9,450        455,018  

Hillenbrand, Inc.

     22,757        884,109  

Hyster-Yale Materials Handling, Inc.

     3,560        272,126  

John Bean Technologies Corp.

     2,190        221,409  

Kadant, Inc.

     2,155        212,375  

Lindsay Corp.

     2,331        214,219  

Mueller Industries, Inc.

     9,501        332,060  

Mueller Water Products, Inc. Class A

     22,879        292,851  

NN, Inc.

     6,927        200,883  

Park-Ohio Holdings Corp.

     2,393        109,121  

Standex International Corp.

     1,410        149,742  

Sun Hydraulics Corp.

     3,848        207,792  

Tennant Co.

     3,243        214,687  
     

 

 

 
Total Machinery               7,784,925  
Marine – 0.4%  

Matson, Inc.

     13,831      389,758  
Media – 2.9%  

AMC Entertainment Holdings, Inc. Class A(a)

     9,498        139,621  

Entravision Communications Corp. Class A

     21,412        122,048  

John Wiley & Sons, Inc. Class A

     18,797        1,005,639  

New York Times Co. (The) Class A

     32,773        642,351  

Saga Communications, Inc. Class A

     1,181        53,854  

Scholastic Corp.

     7,732        287,630  

Viacom, Inc. Class A(a)

     16,564        607,899  
     

 

 

 
Total Media               2,859,042  
Metals & Mining – 2.9%  

Carpenter Technology Corp.

     19,316        927,747  

Compass Minerals International, Inc.(a)

     26,721        1,734,193  

Materion Corp.

     4,299        185,502  
     

 

 

 
Total Metals & Mining               2,847,442  
Multiline Retail – 0.7%  

Big Lots, Inc.

     12,277        657,679  
Paper & Forest Products – 3.1%  

KapStone Paper and Packaging Corp.

     40,558        871,591  

Neenah Paper, Inc.

     6,376        545,467  

PH Glatfelter Co.

     21,408        416,386  

Schweitzer-Mauduit International, Inc.

     28,226        1,170,250  
     

 

 

 
Total Paper & Forest Products               3,003,694  
Personal Products – 1.0%  

Inter Parfums, Inc.

     13,514        557,452  

Medifast, Inc.

     6,602        391,961  
     

 

 

 
Total Personal Products               949,413  
Professional Services – 1.7%  

Barrett Business Services, Inc.

     1,675        94,688  

CRA International, Inc.

     2,146        88,093  

Exponent, Inc.

     4,730        349,547  

Insperity, Inc.

     4,892        430,496  

Kforce, Inc.

     9,071        183,234  

Korn/Ferry International

     12,358        487,276  
     

 

 

 
Total Professional Services               1,633,334  
Road & Rail – 0.7%  

ArcBest Corp.

     4,126        138,015  

Heartland Express, Inc.

     5,200        130,416  

Universal Logistics Holdings, Inc.

     1,707        34,908  

Werner Enterprises, Inc.

     10,320        377,196  
     

 

 

 
Total Road & Rail               680,535  
Semiconductors & Semiconductor Equipment – 1.4%  

Cabot Microelectronics Corp.

     6,524        521,463  

Power Integrations, Inc.

     5,057        370,172  

Xperi Corp.

     20,712        524,014  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        1,415,649  
Software – 0.6%  

Ebix, Inc.

     3,702        241,556  

Monotype Imaging Holdings, Inc.

     20,145        387,791  
     

 

 

 
Total Software               629,347  

 

See Notes to Financial Statements.

 

82   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Specialty Retail – 6.1%  

Aaron’s, Inc.

     4,371      $ 190,707  

Big 5 Sporting Goods Corp.(a)

     12,693        97,102  

Buckle, Inc. (The)(a)

     33,960        572,226  

Caleres, Inc.

     6,106        186,355  

Cato Corp. (The) Class A

     19,164        253,540  

Chico’s FAS, Inc.

     44,635        399,483  

Children’s Place, Inc. (The)

     2,335        275,880  

Citi Trends, Inc.

     3,323        66,028  

DSW, Inc. Class A

     42,271        907,981  

Finish Line, Inc. (The) Class A

     11,998        144,336  

GameStop Corp. Class A

     75,164        1,552,888  

Group 1 Automotive, Inc.

     4,322        313,172  

Lithia Motors, Inc. Class A

     4,198        505,061  

Monro, Inc.

     6,853        384,111  

Shoe Carnival, Inc.

     3,064        68,572  

Sonic Automotive, Inc. Class A

     5,133        104,713  
     

 

 

 
Total Specialty Retail               6,022,155  
Textiles, Apparel & Luxury Goods – 1.1%  

Culp, Inc.

     1,648        53,972  

Movado Group, Inc.

     4,818        134,904  

Oxford Industries, Inc.

     5,166        328,248  

Superior Uniform Group, Inc.

     4,277        97,943  

Wolverine World Wide, Inc.

     17,141        494,518  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               1,109,585  
Thrifts & Mortgage Finance – 0.3%  

Federal Agricultural Mortgage Corp. Class C

     3,686        268,120  

Hingham Institution for Savings

     345        65,643  
     

 

 

 
Total Thrifts & Mortgage Finance               333,763  
Tobacco – 1.1%  

Universal Corp.

     18,464        1,057,987  
Trading Companies & Distributors – 2.2%  

Applied Industrial Technologies, Inc.

     11,697        769,662  

GATX Corp.

     17,193        1,058,401  

Kaman Corp.

     6,460        360,339  
     

 

 

 
Total Trading Companies & Distributors               2,188,402  
Water Utilities – 1.1%  

American States Water Co.

     17,766        874,975  

York Water Co. (The)

     4,840        164,076  
     

 

 

 
Total Water Utilities               1,039,051  
Wireless Telecommunication Services – 0.5%  

Shenandoah Telecommunications Co.

     9,258        344,397  

Spok Holdings, Inc.

     11,251        172,703  
     

 

 

 
Total Wireless Telecommunication Services               517,100  
TOTAL COMMON STOCKS
(Cost: $92,639,085)
              98,153,996  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.3%  
United States – 3.3%  

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(b)

     
(Cost: $3,228,077)(c)      3,228,077      3,228,077  
TOTAL INVESTMENTS IN SECURITIES – 103.1%
(Cost: $95,867,162)
       101,382,073  

Other Assets less Liabilities – (3.1)%

        (3,088,478
     

 

 

 
NET ASSETS – 100.0%             $ 98,293,595  
(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $4,941,255 and the total market value of the collateral held by the Fund was $5,039,557. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,811,480.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      83  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
United States – 99.8%      
Aerospace & Defense – 2.7%      

Boeing Co. (The)

     21,280      $ 5,409,589  

Cubic Corp.

     869        44,319  

Curtiss-Wright Corp.

     550        57,497  

General Dynamics Corp.

     6,564        1,349,427  

Huntington Ingalls Industries, Inc.

     952        215,571  

L3 Technologies, Inc.

     1,848        348,219  

Lockheed Martin Corp.

     10,217        3,170,233  

Northrop Grumman Corp.

     3,364        967,890  

Orbital ATK, Inc.

     995        132,494  

Raytheon Co.

     7,098        1,324,345  

Rockwell Collins, Inc.

     2,965        387,555  

United Technologies Corp.

     24,154        2,803,796  
     

 

 

 
Total Aerospace & Defense               16,210,935  
Air Freight & Logistics – 0.6%      

C.H. Robinson Worldwide, Inc.

     3,931        299,149  

Expeditors International of Washington, Inc.

     3,967        237,465  

FedEx Corp.

     2,638        595,080  

United Parcel Service, Inc. Class B

     22,467        2,698,062  
     

 

 

 
Total Air Freight & Logistics               3,829,756  
Airlines – 0.3%      

Alaska Air Group, Inc.

     2,601        198,378  

American Airlines Group, Inc.

     5,311        252,220  

Delta Air Lines, Inc.

     14,374        693,114  

Southwest Airlines Co.

     6,266        350,771  
     

 

 

 
Total Airlines               1,494,483  
Auto Components – 0.1%      

BorgWarner, Inc.

     3,692        189,141  

Cooper Tire & Rubber Co.

     798        29,845  

Gentex Corp.

     8,090        160,182  

Goodyear Tire & Rubber Co. (The)

     4,559        151,587  

LCI Industries

     593        68,699  

Lear Corp.

     939        162,522  
     

 

 

 
Total Auto Components               761,976  
Automobiles – 1.0%      

Ford Motor Co.

     220,290        2,636,871  

General Motors Co.

     76,316        3,081,640  

Harley-Davidson, Inc.

     5,019        241,966  

Thor Industries, Inc.

     1,112        140,012  
     

 

 

 
Total Automobiles               6,100,489  
Banks – 6.8%      

American National Bankshares, Inc.

     985        40,582  

Arrow Financial Corp.

     1,801        61,859  

Associated Banc-Corp.

     5,900        143,075  

Banc of California, Inc.(a)

     3,581        74,306  

Bank of America Corp.

     161,696        4,097,377  

Bank of Hawaii Corp.

     722        60,186  

Bank of the Ozarks, Inc.

     2,377        114,215  

BankUnited, Inc.

     3,796        135,024  

Bar Harbor Bankshares

     1,101        34,527  

BB&T Corp.

     24,952      1,171,247  

BOK Financial Corp.

     2,520        224,482  

Cathay General Bancorp

     3,267        131,333  

Century Bancorp, Inc. Class A

     547        43,815  

Chemical Financial Corp.

     1,537        80,324  

CIT Group, Inc.

     3,532        173,245  

Citigroup, Inc.

     37,569        2,732,769  

Citizens Financial Group, Inc.

     8,872        335,983  

City Holding Co.

     719        51,703  

CNB Financial Corp.

     1,405        38,385  

CoBiz Financial, Inc.

     3,031        59,529  

Columbia Banking System, Inc.

     2,625        110,539  

Comerica, Inc.

     3,065        233,737  

Commerce Bancshares, Inc.

     1,020        58,925  

Community Bank System, Inc.

     1,442        79,670  

Community Trust Bancorp, Inc.

     1,678        78,027  

Cullen/Frost Bankers, Inc.

     2,234        212,051  

CVB Financial Corp.

     4,995        120,729  

East West Bancorp, Inc.

     3,738        223,458  

Enterprise Bancorp, Inc.

     1,053        38,234  

Evans Bancorp, Inc.

     792        34,214  

Farmers Capital Bank Corp.

     837        35,196  

Fidelity Southern Corp.

     2,452        57,965  

Fifth Third Bancorp

     19,204        537,328  

First Bancorp

     2,119        72,915  

First Business Financial Services, Inc.

     966        21,977  

First Commonwealth Financial Corp.

     5,752        81,276  

First Community Bancshares, Inc.

     2,213        64,420  

First Connecticut Bancorp, Inc.

     1,444        38,627  

First Financial Bankshares, Inc.

     1,429        64,591  

First Financial Corp.

     2,437        116,001  

First Hawaiian, Inc.

     3,423        103,683  

First Horizon National Corp.

     6,495        124,379  

First Republic Bank

     1,629        170,165  

FNB Corp.

     10,424        146,249  

Fulton Financial Corp.

     7,622        142,912  

Glacier Bancorp, Inc.

     3,467        130,914  

Hancock Holding Co.

     1,271        61,580  

Home BancShares, Inc.

     3,132        78,982  

Horizon Bancorp

     1,377        40,167  

Huntington Bancshares, Inc.

     33,649        469,740  

Iberiabank Corp.

     1,500        123,225  

Investors Bancorp, Inc.

     9,178        125,188  

JPMorgan Chase & Co.

     99,681        9,520,532  

KeyCorp

     24,816        467,037  

M&T Bank Corp.

     3,478        560,097  

Macatawa Bank Corp.

     4,008        41,122  

MB Financial, Inc.

     2,678        120,564  

MidSouth Bancorp, Inc.

     2,399        28,908  

MidWestOne Financial Group, Inc.

     1,679        56,683  

Old National Bancorp

     7,752        141,862  

Pacific Continental Corp.

     2,954        79,610  

PacWest Bancorp

     6,320        319,223  

Park National Corp.

     1,129        121,921  

 

See Notes to Financial Statements.

 

84   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Park Sterling Corp.

     6,031      $ 74,905  

Peapack Gladstone Financial Corp.

     1,126        37,991  

Penns Woods Bancorp, Inc.

     1,101        51,163  

People’s United Financial, Inc.

     13,859        251,402  

Peoples Bancorp, Inc.

     2,193        73,663  

PNC Financial Services Group, Inc. (The)

     11,279        1,520,071  

Prosperity Bancshares, Inc.

     2,317        152,296  

QCR Holdings, Inc.

     1,716        78,078  

Regions Financial Corp.

     28,143        428,618  

Sierra Bancorp

     1,324        35,947  

Southern National Bancorp of Virginia, Inc.

     2,482        42,169  

SunTrust Banks, Inc.

     11,473        685,741  

Synovus Financial Corp.

     2,836        130,626  

TCF Financial Corp.

     4,802        81,826  

U.S. Bancorp

     44,253        2,371,518  

UMB Financial Corp.

     1,592        118,588  

Umpqua Holdings Corp.

     10,948        213,595  

United Bankshares, Inc.

     3,639        135,189  

Univest Corp. of Pennsylvania

     2,969        95,008  

Valley National Bancorp

     12,029        144,949  

Webster Financial Corp.

     1,034        54,337  

Wells Fargo & Co.

     164,039        9,046,751  

West Bancorporation, Inc.

     2,370        57,828  
     

 

 

 
Total Banks               41,140,848  
Beverages – 2.7%      

Brown-Forman Corp. Class A

     5,364        298,721  

Brown-Forman Corp. Class B

     3,755        203,897  

Coca-Cola Bottling Co. Consolidated

     540        116,505  

Coca-Cola Co. (The)

     178,236        8,022,402  

Constellation Brands, Inc. Class A

     2,885        575,413  

Dr. Pepper Snapple Group, Inc.

     6,629        586,468  

Molson Coors Brewing Co. Class B

     3,845        313,906  

PepsiCo, Inc.

     52,372        5,835,812  
     

 

 

 
Total Beverages               15,953,124  
Biotechnology – 2.6%      

AbbVie, Inc.

     83,443        7,414,745  

Amgen, Inc.

     25,678        4,787,663  

Gilead Sciences, Inc.

     42,511        3,444,241  
     

 

 

 
Total Biotechnology               15,646,649  
Building Products – 0.1%      

A.O. Smith Corp.

     2,604        154,756  

AAON, Inc.

     1,340        46,196  

Fortune Brands Home & Security, Inc.

     2,445        164,377  

Lennox International, Inc.

     683        122,237  

Masco Corp.

     5,158        201,214  

Owens Corning

     2,420        187,187  
     

 

 

 
Total Building Products               875,967  
Capital Markets – 2.8%      

Ameriprise Financial, Inc.

     4,823        716,264  

Artisan Partners Asset Management, Inc. Class A

     4,013        130,824  

Bank of New York Mellon Corp. (The)

     19,986        1,059,658  

BGC Partners, Inc. Class A

     21,256        307,574  

BlackRock, Inc.

     4,750      2,123,677  

CBOE Holdings, Inc.

     1,631        175,545  

Charles Schwab Corp. (The)

     11,731        513,114  

CME Group, Inc.

     8,063        1,093,988  

Cohen & Steers, Inc.

     1,662        65,632  

Eaton Vance Corp.

     3,796        187,409  

Evercore, Inc. Class A

     1,210        97,103  

FactSet Research Systems, Inc.

     696        125,357  

Federated Investors, Inc. Class B

     4,855        144,194  

Franklin Resources, Inc.

     13,499        600,840  

Goldman Sachs Group, Inc. (The)

     5,244        1,243,824  

Greenhill & Co., Inc.

     3,008        49,933  

Houlihan Lokey, Inc.

     1,985        77,673  

Intercontinental Exchange, Inc.

     8,134        558,806  

Legg Mason, Inc.

     3,440        135,226  

LPL Financial Holdings, Inc.

     3,571        184,156  

Manning & Napier, Inc.

     2,959        11,688  

Moody’s Corp.

     3,518        489,741  

Morgan Stanley

     41,771        2,012,109  

MSCI, Inc.

     2,190        256,011  

Nasdaq, Inc.

     3,992        309,659  

Northern Trust Corp.

     4,953        455,329  

Oppenheimer Holdings, Inc. Class A

     1,495        25,938  

Raymond James Financial, Inc.

     2,401        202,476  

S&P Global, Inc.

     4,000        625,240  

SEI Investments Co.

     2,629        160,527  

Silvercrest Asset Management Group, Inc. Class A

     2,012        29,275  

State Street Corp.

     8,777        838,555  

T. Rowe Price Group, Inc.

     9,083        823,374  

TD Ameritrade Holding Corp.

     11,043        538,898  

Virtu Financial, Inc. Class A(a)

     4,145        67,149  

Waddell & Reed Financial, Inc. Class A

     8,802        176,656  
     

 

 

 
Total Capital Markets               16,613,422  
Chemicals – 2.4%      

A. Schulman, Inc.

     1,728        59,011  

Air Products & Chemicals, Inc.

     6,053        915,335  

Albemarle Corp.

     2,122        289,250  

Ashland Global Holdings, Inc.

     1,040        68,006  

Cabot Corp.

     2,252        125,662  

Celanese Corp. Series A

     3,206        334,290  

CF Industries Holdings, Inc.

     11,347        398,960  

Chemours Co. (The)

     1,545        78,192  

DowDuPont, Inc.

     71,611        4,957,630  

Eastman Chemical Co.

     5,057        457,608  

Ecolab, Inc.

     5,057        650,381  

FMC Corp.

     2,428        216,845  

FutureFuel Corp.

     3,688        58,049  

Huntsman Corp.

     8,300        227,586  

International Flavors & Fragrances, Inc.

     1,951        278,817  

Kronos Worldwide, Inc.

     7,215        164,718  

Monsanto Co.

     12,061        1,445,149  

Mosaic Co. (The)

     15,163        327,369  

NewMarket Corp.

     366        155,824  

Olin Corp.

     7,118        243,791  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      85  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

PPG Industries, Inc.

     5,219      $ 567,097  

Praxair, Inc.

     8,437        1,178,986  

Rayonier Advanced Materials, Inc.

     2,609        35,743  

RPM International, Inc.

     4,067        208,800  

Scotts Miracle-Gro Co. (The)

     1,835        178,619  

Sensient Technologies Corp.

     1,326        101,996  

Sherwin-Williams Co. (The)

     1,403        502,330  

Valhi, Inc.

     18,172        44,158  

Westlake Chemical Corp.

     2,521        209,470  
     

 

 

 
Total Chemicals               14,479,672  
Commercial Services & Supplies – 0.6%      

CECO Environmental Corp.

     3,387        28,654  

Cintas Corp.

     2,273        327,949  

Covanta Holding Corp.

     11,700        173,745  

Deluxe Corp.

     1,557        113,599  

Ennis, Inc.

     2,052        40,322  

Healthcare Services Group, Inc.

     2,737        147,716  

HNI Corp.

     1,692        70,167  

KAR Auction Services, Inc.

     5,306        253,308  

Mobile Mini, Inc.

     2,385        82,163  

MSA Safety, Inc.

     1,763        140,176  

Pitney Bowes, Inc.

     11,061        154,965  

Republic Services, Inc.

     10,354        683,985  

Rollins, Inc.

     4,574        211,044  

RR Donnelley & Sons Co.

     3,417        35,195  

Waste Management, Inc.

     13,189        1,032,303  

West Corp.

     4,613        108,267  
     

 

 

 
Total Commercial Services & Supplies               3,603,558  
Communications Equipment – 1.4%      

Black Box Corp.

     2,456        7,982  

Brocade Communications Systems, Inc.

     9,374        112,019  

Cisco Systems, Inc.

     213,598        7,183,301  

Comtech Telecommunications Corp.

     5,074        104,169  

Harris Corp.

     3,117        410,447  

Juniper Networks, Inc.

     6,975        194,114  

Motorola Solutions, Inc.

     4,604        390,742  
     

 

 

 
Total Communications Equipment               8,402,774  
Construction & Engineering – 0.1%      

Comfort Systems USA, Inc.

     1,354        48,338  

EMCOR Group, Inc.

     567        39,338  

Fluor Corp.

     2,798        117,796  

KBR, Inc.

     4,597        82,194  
     

 

 

 
Total Construction & Engineering               287,666  
Construction Materials – 0.1%      

Martin Marietta Materials, Inc.

     721        148,692  

Vulcan Materials Co.

     1,087        130,005  
     

 

 

 
Total Construction Materials               278,697  
Consumer Finance – 0.7%      

Ally Financial, Inc.

     9,448        229,208  

American Express Co.

     19,479        1,762,070  

Capital One Financial Corp.

     10,411        881,395  

Discover Financial Services

     8,023      517,323  

Navient Corp.

     13,965        209,754  

Nelnet, Inc. Class A

     783        39,542  

Synchrony Financial

     14,290        443,705  
     

 

 

 
Total Consumer Finance               4,082,997  
Containers & Packaging – 0.5%      

AptarGroup, Inc.

     1,598        137,923  

Avery Dennison Corp.

     2,497        245,555  

Ball Corp.

     3,546        146,450  

Bemis Co., Inc.

     3,423        155,986  

Graphic Packaging Holding Co.

     9,237        128,856  

Greif, Inc. Class A

     2,247        131,539  

International Paper Co.

     17,445        991,225  

Packaging Corp. of America

     3,579        410,440  

Sealed Air Corp.

     3,405        145,462  

Sonoco Products Co.

     4,278        215,825  

WestRock Co.

     9,777        554,649  
     

 

 

 
Total Containers & Packaging               3,263,910  
Distributors – 0.1%      

Genuine Parts Co.

     4,707        450,225  

Pool Corp.

     812        87,834  

Weyco Group, Inc.

     898        25,485  
     

 

 

 
Total Distributors               563,544  
Diversified Consumer Services – 0.1%      

Collectors Universe, Inc.

     1,265        30,322  

H&R Block, Inc.

     10,365        274,465  

Liberty Tax, Inc.

     1,130        16,272  

Service Corp. International

     5,401        186,335  
     

 

 

 
Total Diversified Consumer Services               507,394  
Diversified Financial Services – 0.0%      

Leucadia National Corp.

     5,485        138,496  

Marlin Business Services Corp.

     1,479        42,521  
     

 

 

 
Total Diversified Financial Services               181,017  
Diversified Telecommunication Services – 4.5%      

AT&T, Inc.

     369,671        14,480,013  

CenturyLink, Inc.(a)

     62,017        1,172,121  

Cogent Communications Holdings, Inc.

     3,040        148,656  

Consolidated Communications Holdings, Inc.

     4,802        91,622  

Frontier Communications Corp.(a)

     11,063        130,433  

Verizon Communications, Inc.

     225,636        11,166,726  
     

 

 

 
Total Diversified Telecommunication Services               27,189,571  
Electric Utilities – 3.7%      

ALLETE, Inc.

     2,685        207,524  

Alliant Energy Corp.

     9,775        406,347  

American Electric Power Co., Inc.

     22,884        1,607,372  

Avangrid, Inc.

     18,576        880,874  

Duke Energy Corp.

     38,438        3,225,717  

Edison International

     10,641        821,166  

El Paso Electric Co.

     2,620        144,755  

Entergy Corp.

     11,518        879,515  

Eversource Energy

     12,959        783,242  

 

See Notes to Financial Statements.

 

86   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Exelon Corp.

     41,176      $ 1,551,100  

FirstEnergy Corp.

     24,219        746,672  

Great Plains Energy, Inc.

     10,455        316,787  

Hawaiian Electric Industries, Inc.

     5,066        169,052  

IDACORP, Inc.

     2,240        196,963  

NextEra Energy, Inc.

     17,765        2,603,461  

OGE Energy Corp.

     9,848        354,823  

Otter Tail Corp.

     3,106        134,645  

PG&E Corp.

     20,113        1,369,494  

Pinnacle West Capital Corp.

     4,850        410,116  

PNM Resources, Inc.

     3,958        159,507  

Portland General Electric Co.

     3,360        153,350  

PPL Corp.

     36,946        1,402,101  

Southern Co. (The)

     56,348        2,768,941  

Westar Energy, Inc.

     4,960        246,016  

Xcel Energy, Inc.

     20,542        972,047  
     

 

 

 
Total Electric Utilities               22,511,587  
Electrical Equipment – 0.5%      

AMETEK, Inc.

     2,284        150,835  

Emerson Electric Co.

     26,258        1,650,053  

General Cable Corp.

     2,922        55,080  

Hubbell, Inc.

     1,885        218,698  

Rockwell Automation, Inc.

     3,586        639,061  
     

 

 

 
Total Electrical Equipment               2,713,727  
Electronic Equipment, Instruments & Components – 0.4%  

Amphenol Corp. Class A

     3,803        321,886  

Avnet, Inc.

     2,444        96,049  

AVX Corp.

     7,998        145,804  

CDW Corp.

     2,404        158,664  

Cognex Corp.

     711        78,409  

Corning, Inc.

     26,342        788,153  

CTS Corp.

     1,681        40,512  

Daktronics, Inc.

     3,041        32,143  

FLIR Systems, Inc.

     3,185        123,928  

Jabil, Inc.

     4,264        121,737  

National Instruments Corp.

     5,429        228,941  

Park Electrochemical Corp.

     1,509        27,917  
     

 

 

 
Total Electronic Equipment, Instruments & Components        2,164,143  
Energy Equipment & Services – 0.2%      

Archrock, Inc.

     3,354        42,093  

Baker Hughes Co.

     5,495        201,227  

Gulf Island Fabrication, Inc.

     2,662        33,807  

Halliburton Co.

     14,362        661,083  

Helmerich & Payne, Inc.(a)

     4,632        241,374  

National Oilwell Varco, Inc.

     3,277        117,087  

Oceaneering International, Inc.

     4,078        107,129  
     

 

 

 
Total Energy Equipment & Services               1,403,800  
Equity Real Estate Investment Trusts (REITs) – 7.7%  

Acadia Realty Trust

     3,976        113,793  

Agree Realty Corp.

     2,092        102,675  

Alexander’s, Inc.

     237        100,509  

Alexandria Real Estate Equities, Inc.

     2,716        323,123  

American Assets Trust, Inc.

     2,152      85,585  

American Campus Communities, Inc.

     5,664        250,066  

American Homes 4 Rent Class A

     3,876        84,148  

American Tower Corp.

     11,058        1,511,407  

Apartment Investment & Management Co. Class A

     6,007        263,467  

Apple Hospitality REIT, Inc.

     16,970        320,903  

Armada Hoffler Properties, Inc.

     4,834        66,758  

Ashford Hospitality Prime, Inc.

     5,021        47,700  

Ashford Hospitality Trust, Inc.

     10,958        73,090  

AvalonBay Communities, Inc.

     5,238        934,564  

Boston Properties, Inc.

     3,760        462,029  

Brandywine Realty Trust

     9,310        162,832  

Brixmor Property Group, Inc.

     15,776        296,589  

Camden Property Trust

     3,946        360,862  

CBL & Associates Properties, Inc.(a)

     18,199        152,690  

Cedar Realty Trust, Inc.

     10,822        60,820  

Chesapeake Lodging Trust

     5,414        146,016  

Colony NorthStar, Inc. Class A

     33,279        417,984  

Columbia Property Trust, Inc.

     9,615        209,319  

CoreCivic, Inc.

     12,740        341,050  

CorEnergy Infrastructure Trust, Inc.(a)

     2,433        86,007  

CoreSite Realty Corp.

     1,322        147,932  

Corporate Office Properties Trust

     5,739        188,411  

Cousins Properties, Inc.

     19,618        183,232  

Crown Castle International Corp.

     19,828        1,982,403  

CubeSmart

     7,532        195,531  

CyrusOne, Inc.

     3,741        220,457  

DCT Industrial Trust, Inc.

     3,507        203,125  

DDR Corp.

     22,512        206,210  

DiamondRock Hospitality Co.

     10,577        115,818  

Digital Realty Trust, Inc.

     9,979        1,180,815  

Douglas Emmett, Inc.

     5,413        213,380  

Duke Realty Corp.

     13,445        387,485  

EastGroup Properties, Inc.

     2,094        184,523  

Education Realty Trust, Inc.

     3,925        141,025  

EPR Properties

     4,375        305,112  

Equinix, Inc.

     1,731        772,545  

Equity LifeStyle Properties, Inc.

     2,839        241,542  

Equity Residential

     14,173        934,426  

Essex Property Trust, Inc.

     2,276        578,172  

Extra Space Storage, Inc.

     6,339        506,613  

Farmland Partners, Inc.(a)

     4,820        43,573  

Federal Realty Investment Trust

     2,320        288,167  

First Industrial Realty Trust, Inc.

     4,585        137,963  

Forest City Realty Trust, Inc. Class A

     4,482        114,336  

Four Corners Property Trust, Inc.

     2,324        57,914  

Gaming and Leisure Properties, Inc.

     19,741        728,245  

GEO Group, Inc. (The)

     10,105        271,824  

Getty Realty Corp.

     3,683        105,371  

GGP, Inc.

     39,054        811,152  

Gladstone Commercial Corp.

     4,798        106,851  

Global Net Lease, Inc.

     6,907        151,194  

Government Properties Income Trust

     7,873        147,776  

Gramercy Property Trust

     10,159        307,310  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      87  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

HCP, Inc.

     28,438      $ 791,430  

Healthcare Realty Trust, Inc.

     5,668        183,303  

Healthcare Trust of America, Inc. Class A

     7,296        217,421  

Highwoods Properties, Inc.

     4,464        232,530  

Hospitality Properties Trust

     13,598        387,407  

Host Hotels & Resorts, Inc.

     37,032        684,722  

Hudson Pacific Properties, Inc.

     4,135        138,647  

Iron Mountain, Inc.

     20,093        781,618  

Kilroy Realty Corp.

     2,570        182,778  

Kimco Realty Corp.

     21,627        422,808  

Kite Realty Group Trust

     5,974        120,974  

Lamar Advertising Co. Class A

     4,754        325,792  

LaSalle Hotel Properties

     8,074        234,307  

Lexington Realty Trust

     20,306        207,527  

Liberty Property Trust

     9,043        371,306  

Life Storage, Inc.

     3,216        263,101  

LTC Properties, Inc.

     2,987        140,329  

Macerich Co. (The)

     7,901        434,318  

Mack-Cali Realty Corp.

     4,282        101,526  

Medical Properties Trust, Inc.

     28,905        379,523  

Mid-America Apartment Communities, Inc.

     3,563        380,813  

National Health Investors, Inc.

     2,582        199,563  

National Retail Properties, Inc.

     7,400        308,284  

New Senior Investment Group, Inc.

     10,726        98,143  

NexPoint Residential Trust, Inc.

     1,947        46,202  

Omega Healthcare Investors, Inc.

     18,626        594,356  

Outfront Media, Inc.

     9,823        247,343  

Paramount Group, Inc.

     8,167        130,672  

Pebblebrook Hotel Trust(a)

     4,678        169,063  

Pennsylvania Real Estate Investment Trust

     5,356        56,184  

Physicians Realty Trust

     8,655        153,453  

Piedmont Office Realty Trust, Inc. Class A

     7,949        160,252  

Potlatch Corp.

     2,644        134,844  

Prologis, Inc.

     20,964        1,330,375  

PS Business Parks, Inc.

     1,265        168,878  

Public Storage

     7,805        1,670,192  

QTS Realty Trust, Inc. Class A

     1,973        103,306  

Ramco-Gershenson Properties Trust

     6,017        78,281  

Rayonier, Inc.

     5,781        167,013  

Realty Income Corp.

     13,624        779,157  

Regency Centers Corp.

     6,635        411,635  

Retail Opportunity Investments Corp.

     6,044        114,896  

Retail Properties of America, Inc. Class A

     13,696        179,828  

RLJ Lodging Trust

     11,724        257,928  

Ryman Hospitality Properties, Inc.

     3,028        189,220  

Sabra Health Care REIT, Inc.

     16,039        351,896  

Select Income REIT

     9,346        218,883  

Senior Housing Properties Trust

     24,450        477,997  

Simon Property Group, Inc.

     13,987        2,252,047  

SL Green Realty Corp.

     3,245        328,783  

Spirit Realty Capital, Inc.

     37,888        324,700  

STAG Industrial, Inc.

     6,462        177,511  

Starwood Waypoint Homes

     4,283        155,773  

STORE Capital Corp.

     9,275        230,669  

Summit Hotel Properties, Inc.

     6,210      99,298  

Sun Communities, Inc.

     3,259        279,231  

Tanger Factory Outlet Centers, Inc.

     4,553        111,184  

Taubman Centers, Inc.

     2,470        122,759  

UDR, Inc.

     11,247        427,723  

UMH Properties, Inc.

     5,112        79,492  

Uniti Group, Inc.

     18,800        275,608  

Urban Edge Properties

     5,301        127,860  

Ventas, Inc.

     20,133        1,311,262  

VEREIT, Inc.

     78,009        646,695  

Vornado Realty Trust

     5,625        432,450  

W.P. Carey, Inc.

     8,493        572,343  

Washington Prime Group, Inc.

     22,114        184,210  

Washington Real Estate Investment Trust

     4,839        158,526  

Weingarten Realty Investors

     6,532        207,326  

Welltower, Inc.

     23,610        1,659,311  

Weyerhaeuser Co.

     34,710        1,181,181  

Xenia Hotels & Resorts, Inc.

     8,361        175,999  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        46,436,384  
Food & Staples Retailing – 2.5%      

Casey’s General Stores, Inc.

     469        51,332  

Costco Wholesale Corp.

     6,024        989,683  

CVS Health Corp.

     28,306        2,301,844  

Kroger Co. (The)

     16,026        321,482  

SpartanNash Co.

     1,280        33,754  

Sysco Corp.

     17,495        943,855  

Village Super Market, Inc. Class A

     5,243        129,712  

Wal-Mart Stores, Inc.

     108,267        8,459,983  

Walgreens Boots Alliance, Inc.

     22,975        1,774,129  
     

 

 

 
Total Food & Staples Retailing               15,005,774  
Food Products – 2.0%      

Alico, Inc.

     970        33,126  

Archer-Daniels-Midland Co.

     18,320        778,783  

B&G Foods, Inc.(a)

     2,986        95,104  

Bob Evans Farms, Inc.

     2,106        163,236  

Campbell Soup Co.

     8,944        418,758  

Conagra Brands, Inc.

     14,003        472,461  

Flowers Foods, Inc.

     8,900        167,409  

General Mills, Inc.

     21,857        1,131,318  

Hershey Co. (The)

     5,709        623,252  

Hormel Foods Corp.

     16,365        525,971  

Ingredion, Inc.

     1,622        195,678  

J.M. Smucker Co. (The)

     3,295        345,744  

Kellogg Co.

     13,140        819,542  

Kraft Heinz Co. (The)

     44,336        3,438,257  

Lancaster Colony Corp.

     819        98,378  

McCormick & Co., Inc. Non-Voting Shares

     3,818        391,880  

Mondelez International, Inc. Class A

     34,281        1,393,866  

Pinnacle Foods, Inc.

     5,143        294,025  

Snyder’s-Lance, Inc.

     2,623        100,041  

Tyson Foods, Inc. Class A

     5,166        363,945  
     

 

 

 
Total Food Products               11,850,774  

 

See Notes to Financial Statements.

 

88   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Gas Utilities – 0.3%      

Atmos Energy Corp.

     3,426      $ 287,236  

Chesapeake Utilities Corp.

     519        40,612  

National Fuel Gas Co.

     3,092        175,038  

New Jersey Resources Corp.

     2,500        105,375  

Northwest Natural Gas Co.

     2,097        135,047  

ONE Gas, Inc.

     1,749        128,796  

South Jersey Industries, Inc.

     4,074        140,675  

Southwest Gas Holdings, Inc.

     1,079        83,752  

Spire, Inc.

     2,287        170,725  

UGI Corp.

     5,016        235,050  

WGL Holdings, Inc.

     2,256        189,955  
     

 

 

 
Total Gas Utilities               1,692,261  
Health Care Equipment & Supplies – 1.1%      

Abbott Laboratories

     52,656        2,809,724  

Baxter International, Inc.

     7,783        488,383  

Becton, Dickinson and Co.

     4,574        896,275  

C.R. Bard, Inc.

     556        178,198  

CONMED Corp.

     2,323        121,888  

Cooper Cos., Inc. (The)

     158        37,464  

Danaher Corp.

     5,617        481,826  

Dentsply Sirona, Inc.

     935        55,923  

ResMed, Inc.

     4,095        315,151  

Stryker Corp.

     6,045        858,511  

Teleflex, Inc.

     726        175,670  

Zimmer Biomet Holdings, Inc.

     2,323        272,000  
     

 

 

 
Total Health Care Equipment & Supplies               6,691,013  
Health Care Providers & Services – 1.3%      

Aetna, Inc.

     3,347        532,206  

AmerisourceBergen Corp.

     5,032        416,398  

Anthem, Inc.

     5,568        1,057,252  

Cardinal Health, Inc.

     9,643        645,310  

Chemed Corp.

     203        41,016  

Cigna Corp.

     210        39,257  

HealthSouth Corp.

     3,112        144,241  

Humana, Inc.

     1,130        275,302  

Landauer, Inc.

     680        45,764  

McKesson Corp.

     2,154        330,876  

National HealthCare Corp.

     1,072        67,075  

Patterson Cos., Inc.

     3,550        137,208  

Quest Diagnostics, Inc.

     3,411        319,406  

UnitedHealth Group, Inc.

     18,476        3,618,525  
     

 

 

 
Total Health Care Providers & Services               7,669,836  
Health Care Technology – 0.0%      

Computer Programs & Systems, Inc.(a)

     1,827        53,988  
Hotels, Restaurants & Leisure – 2.5%      

Aramark

     3,623        147,130  

Brinker International, Inc.

     1,879        59,865  

Cheesecake Factory, Inc. (The)

     1,035        43,594  

Choice Hotels International, Inc.

     1,292        82,559  

Churchill Downs, Inc.

     279        57,530  

Cracker Barrel Old Country Store, Inc.(a)

     833        126,299  

Darden Restaurants, Inc.

     4,529        356,795  

Domino’s Pizza, Inc.

     629      124,888  

Dunkin’ Brands Group, Inc.

     2,601        138,061  

Hilton Worldwide Holdings, Inc.

     4,737        328,985  

ILG, Inc.

     5,422        144,930  

Las Vegas Sands Corp.

     51,531        3,306,229  

Marriott International, Inc. Class A

     7,148        788,139  

McDonald’s Corp.

     31,713        4,968,793  

Six Flags Entertainment Corp.

     4,599        280,263  

Starbucks Corp.

     30,273        1,625,963  

Texas Roadhouse, Inc.

     2,216        108,894  

Vail Resorts, Inc.

     985        224,698  

Wendy’s Co. (The)

     7,597        117,981  

Wyndham Worldwide Corp.

     3,508        369,778  

Wynn Resorts Ltd.

     2,654        395,234  

Yum! Brands, Inc.

     14,227        1,047,249  
     

 

 

 
Total Hotels, Restaurants & Leisure               14,843,857  
Household Durables – 0.3%      

CSS Industries, Inc.

     1,039        29,944  

D.R. Horton, Inc.

     6,645        265,335  

Ethan Allen Interiors, Inc.

     1,384        44,842  

Leggett & Platt, Inc.

     5,011        239,175  

Lifetime Brands, Inc.

     1,853        33,910  

MDC Holdings, Inc.

     3,582        118,958  

Newell Brands, Inc.

     9,878        421,494  

PulteGroup, Inc.

     7,792        212,955  

Tupperware Brands Corp.

     2,934        181,380  

Whirlpool Corp.

     2,142        395,071  
     

 

 

 
Total Household Durables               1,943,064  
Household Products – 2.4%      

Church & Dwight Co., Inc.

     7,312        354,266  

Clorox Co. (The)

     5,292        698,068  

Colgate-Palmolive Co.

     27,381        1,994,706  

Energizer Holdings, Inc.

     1,855        85,423  

Kimberly-Clark Corp.

     13,887        1,634,222  

Oil-Dri Corp. of America

     680        33,272  

Procter & Gamble Co. (The)

     105,879        9,632,872  

Spectrum Brands Holdings, Inc.

     996        105,496  
     

 

 

 
Total Household Products               14,538,325  
Independent Power & Renewable Electricity Producers – 0.1%  

AES Corp.

     30,787        339,273  

NRG Energy, Inc.

     5,044        129,076  

NRG Yield, Inc. Class C

     3,185        61,470  

Pattern Energy Group, Inc.

     9,383        226,130  
     

 

 

 
Total Independent Power & Renewable Electricity Producers        755,949  
Industrial Conglomerates – 2.5%      

3M Co.

     18,217        3,823,748  

Carlisle Cos., Inc.

     1,088        109,116  

General Electric Co.

     316,457        7,651,930  

Honeywell International, Inc.

     21,684        3,073,490  

Roper Technologies, Inc.

     987        240,236  
     

 

 

 
Total Industrial Conglomerates               14,898,520  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      89  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Insurance – 2.7%      

Aflac, Inc.

     13,220      $ 1,075,976  

Allstate Corp. (The)

     8,303        763,129  

American Financial Group, Inc.

     1,734        179,382  

American International Group, Inc.

     25,415        1,560,227  

American National Insurance Co.

     495        58,450  

AmTrust Financial Services, Inc.

     5,626        75,726  

Arthur J. Gallagher & Co.

     6,724        413,862  

Assurant, Inc.

     1,764        168,497  

Brown & Brown, Inc.

     2,745        132,282  

Cincinnati Financial Corp.

     5,243        401,457  

CNA Financial Corp.

     9,367        470,692  

CNO Financial Group, Inc.

     4,360        101,762  

Donegal Group, Inc. Class A

     3,981        64,214  

EMC Insurance Group, Inc.

     1,152        32,429  

Erie Indemnity Co. Class A

     1,537        185,316  

FBL Financial Group, Inc. Class A

     707        52,672  

First American Financial Corp.

     5,143        256,996  

FNF Group

     9,900        469,854  

Hanover Insurance Group, Inc. (The)

     1,419        137,544  

Hartford Financial Services Group, Inc. (The)

     8,868        491,553  

Lincoln National Corp.

     5,063        372,029  

Loews Corp.

     1,227        58,724  

Marsh & McLennan Cos., Inc.

     12,394        1,038,741  

Mercury General Corp.

     3,399        192,689  

MetLife, Inc.

     38,579        2,004,179  

Old Republic International Corp.

     13,550        266,800  

Principal Financial Group, Inc.

     10,132        651,893  

ProAssurance Corp.

     1,961        107,169  

Progressive Corp. (The)

     18,267        884,488  

Prudential Financial, Inc.

     13,964        1,484,652  

Reinsurance Group of America, Inc.

     1,529        213,341  

State Auto Financial Corp.

     2,849        74,729  

Torchmark Corp.

     1,448        115,970  

Travelers Cos., Inc. (The)

     7,698        943,159  

Universal Insurance Holdings, Inc.

     1,883        43,309  

Unum Group

     6,193        316,648  

W.R. Berkley Corp.

     1,456        97,173  
     

 

 

 
Total Insurance               15,957,713  
Internet & Catalog Retail – 0.1%      

Expedia, Inc.

     1,488        214,183  

HSN, Inc.

     2,681        104,693  

Nutrisystem, Inc.

     1,830        102,297  

PetMed Express, Inc.(a)

     1,216        40,310  
     

 

 

 
Total Internet & Catalog Retail               461,483  
Internet Software & Services – 0.0%      

j2 Global, Inc.

     1,405        103,801  

Reis, Inc.

     1,015        18,270  
     

 

 

 
Total Internet Software & Services               122,071  
IT Services – 2.3%      

Alliance Data Systems Corp.

     645        142,900  

Automatic Data Processing, Inc.

     13,493        1,475,055  

Booz Allen Hamilton Holding Corp.

     3,582        133,931  

Broadridge Financial Solutions, Inc.

     3,133      253,209  

Convergys Corp.

     2,135        55,275  

CSG Systems International, Inc.

     955        38,295  

DST Systems, Inc.

     1,158        63,551  

DXC Technology Co.

     1,946        167,122  

Fidelity National Information Services, Inc.

     5,663        528,868  

International Business Machines Corp.

     39,110        5,674,079  

Jack Henry & Associates, Inc.

     1,635        168,062  

Leidos Holdings, Inc.

     4,631        274,248  

MasterCard, Inc. Class A

     9,388        1,325,586  

Paychex, Inc.

     14,507        869,840  

Sabre Corp.

     6,873        124,401  

Science Applications International Corp.

     1,000        66,850  

Total System Services, Inc.

     2,235        146,392  

Visa, Inc. Class A

     19,198        2,020,397  

Western Union Co. (The)

     17,104        328,397  
     

 

 

 
Total IT Services               13,856,458  
Leisure Products – 0.2%      

Brunswick Corp.

     1,721        96,324  

Escalade, Inc.

     1,979        26,915  

Hasbro, Inc.

     3,945        385,308  

Mattel, Inc.

     21,502        332,851  

Polaris Industries, Inc.(a)

     2,049        214,387  
     

 

 

 
Total Leisure Products               1,055,785  
Life Sciences Tools & Services – 0.1%      

Agilent Technologies, Inc.

     4,929        316,442  

Bio-Techne Corp.

     812        98,162  

Thermo Fisher Scientific, Inc.

     2,054        388,617  
     

 

 

 
Total Life Sciences Tools & Services               803,221  
Machinery – 1.8%      

Alamo Group, Inc.

     651        69,898  

Albany International Corp. Class A

     805        46,207  

Allison Transmission Holdings, Inc.

     4,055        152,184  

Caterpillar, Inc.

     23,221        2,895,891  

CIRCOR International, Inc.

     488        26,562  

Crane Co.

     1,791        143,262  

Cummins, Inc.

     6,060        1,018,262  

Deere & Co.

     9,158        1,150,153  

Donaldson Co., Inc.

     3,387        155,599  

Dover Corp.

     4,313        394,165  

Eastern Co. (The)

     1,373        39,405  

EnPro Industries, Inc.

     700        56,371  

ESCO Technologies, Inc.

     764        45,802  

Flowserve Corp.

     2,597        110,606  

Fortive Corp.

     2,330        164,941  

Graco, Inc.

     1,270        157,086  

Greenbrier Cos., Inc. (The)(a)

     911        43,865  

IDEX Corp.

     1,718        208,685  

Illinois Tool Works, Inc.

     8,993        1,330,604  

Kennametal, Inc.

     2,439        98,389  

Lincoln Electric Holdings, Inc.

     1,868        171,258  

Miller Industries, Inc.

     2,181        60,959  

Nordson Corp.

     1,169        138,527  

 

See Notes to Financial Statements.

 

90   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Oshkosh Corp.

     1,404      $ 115,886  

PACCAR, Inc.

     6,435        465,508  

Parker-Hannifin Corp.

     3,041        532,236  

Snap-on, Inc.

     1,121        167,040  

Stanley Black & Decker, Inc.

     3,618        546,210  

Timken Co. (The)

     3,008        146,038  

Toro Co. (The)

     2,295        142,428  

Trinity Industries, Inc.

     3,377        107,726  

Xylem, Inc.

     2,965        185,698  
     

 

 

 
Total Machinery               11,087,451  
Media – 2.0%      

CBS Corp. Class A

     1,417        82,767  

CBS Corp. Class B Non-Voting Shares

     4,783        277,414  

Cinemark Holdings, Inc.

     3,848        139,336  

Comcast Corp. Class A

     93,171        3,585,220  

Entravision Communications Corp. Class A

     4,402        25,091  

Gannett Co., Inc.

     17,253        155,277  

Interpublic Group of Cos., Inc. (The)

     12,363        257,027  

John Wiley & Sons, Inc. Class A

     1,708        91,378  

Meredith Corp.

     2,196        121,878  

National CineMedia, Inc.

     6,760        47,185  

New Media Investment Group, Inc.

     6,687        98,901  

News Corp. Class A

     12,904        171,107  

Omnicom Group, Inc.

     7,930        587,375  

Regal Entertainment Group Class A

     6,638        106,208  

Scripps Networks Interactive, Inc. Class A

     1,733        148,847  

Sinclair Broadcast Group, Inc. Class A

     1,903        60,991  

Sirius XM Holdings, Inc.(a)

     53,135        293,305  

TEGNA, Inc.

     6,881        91,724  

Time Warner, Inc.

     15,955        1,634,590  

Time, Inc.

     5,730        77,355  

Tribune Media Co. Class A

     3,860        157,720  

Twenty-First Century Fox, Inc. Class A

     14,319        377,735  

Twenty-First Century Fox, Inc. Class B

     15,707        405,083  

Viacom, Inc. Class B

     10,114        281,574  

Walt Disney Co. (The)

     29,221        2,880,314  

World Wrestling Entertainment, Inc. Class A

     1,321        31,110  
     

 

 

 
Total Media               12,186,512  
Metals & Mining – 0.2%      

Commercial Metals Co.

     4,388        83,504  

Compass Minerals International, Inc.(a)

     1,863        120,909  

Newmont Mining Corp.

     4,277        160,430  

Nucor Corp.

     9,463        530,307  

Reliance Steel & Aluminum Co.

     2,319        176,638  

Royal Gold, Inc.

     700        60,228  

Steel Dynamics, Inc.

     5,453        187,965  

United States Steel Corp.

     1,525        39,131  

Worthington Industries, Inc.

     1,809        83,214  
     

 

 

 
Total Metals & Mining               1,442,326  
Multi-Utilities – 1.7%      

Ameren Corp.

     10,760        622,358  

Avista Corp.

     2,536        131,289  

Black Hills Corp.

     2,549        175,550  

CenterPoint Energy, Inc.

     22,568      659,211  

CMS Energy Corp.

     9,819        454,816  

Consolidated Edison, Inc.

     13,621        1,098,942  

Dominion Energy, Inc.

     28,343        2,180,427  

DTE Energy Co.

     7,309        784,694  

MDU Resources Group, Inc.

     7,317        189,876  

NiSource, Inc.

     12,204        312,300  

NorthWestern Corp.

     2,538        144,514  

Public Service Enterprise Group, Inc.

     23,168        1,071,520  

SCANA Corp.

     5,954        288,710  

Sempra Energy

     9,058        1,033,790  

Vectren Corp.

     3,561        234,207  

WEC Energy Group, Inc.

     13,321        836,292  
     

 

 

 
Total Multi-Utilities               10,218,496  
Multiline Retail – 0.4%      

Big Lots, Inc.

     1,140        61,070  

Dollar General Corp.

     4,369        354,107  

Kohl’s Corp.

     7,610        347,397  

Macy’s, Inc.

     15,033        328,020  

Nordstrom, Inc.(a)

     5,095        240,229  

Target Corp.

     22,321        1,317,162  
     

 

 

 
Total Multiline Retail               2,647,985  
Oil, Gas & Consumable Fuels – 6.6%      

Anadarko Petroleum Corp.

     2,129        104,002  

Andeavor

     5,833        601,674  

Apache Corp.

     6,906        316,295  

Cabot Oil & Gas Corp.

     1,490        39,857  

Chevron Corp.

     87,284        10,255,870  

Cimarex Energy Co.

     364        41,376  

ConocoPhillips

     29,879        1,495,444  

CVR Energy, Inc.(a)

     9,119        236,182  

Delek U.S. Holdings, Inc.

     5,199        138,969  

Devon Energy Corp.

     3,533        129,696  

EOG Resources, Inc.

     4,442        429,719  

Evolution Petroleum Corp.

     4,534        32,645  

Exxon Mobil Corp.

     171,699        14,075,884  

Hess Corp.

     6,109        286,451  

HollyFrontier Corp.

     8,863        318,802  

Kinder Morgan, Inc.

     65,405        1,254,468  

Marathon Oil Corp.

     11,209        151,994  

Marathon Petroleum Corp.

     18,771        1,052,678  

Murphy Oil Corp.

     6,500        172,640  

Noble Energy, Inc.

     5,345        151,584  

Occidental Petroleum Corp.

     40,930        2,628,115  

ONEOK, Inc.

     11,492        636,772  

Panhandle Oil and Gas, Inc. Class A

     1,522        36,224  

PBF Energy, Inc. Class A

     5,427        149,839  

Phillips 66

     19,031        1,743,430  

Range Resources Corp.

     1,003        19,629  

SemGroup Corp. Class A

     3,920        112,700  

Targa Resources Corp.

     14,941        706,709  

Valero Energy Corp.

     19,462        1,497,212  

Williams Cos., Inc. (The)

     24,788        743,888  
     

 

 

 
Total Oil, Gas & Consumable Fuels               39,560,748  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      91  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Paper & Forest Products – 0.1%      

Deltic Timber Corp.

     356      $ 31,481  

Domtar Corp.

     3,199        138,805  

KapStone Paper and Packaging Corp.

     3,317        71,282  

Schweitzer-Mauduit International, Inc.

     1,926        79,852  
     

 

 

 
Total Paper & Forest Products               321,420  
Personal Products – 0.2%      

Coty, Inc. Class A

     13,433        222,047  

Estee Lauder Cos., Inc. (The) Class A

     5,784        623,747  

Nu Skin Enterprises, Inc. Class A

     1,917        117,857  
     

 

 

 
Total Personal Products               963,651  
Pharmaceuticals – 6.1%      

Bristol-Myers Squibb Co.

     55,470        3,535,658  

Eli Lilly & Co.

     40,498        3,464,199  

Johnson & Johnson

     95,428        12,406,594  

Merck & Co., Inc.

     104,909        6,717,323  

Pfizer, Inc.

     285,348        10,186,924  

Zoetis, Inc.

     4,822        307,451  
     

 

 

 
Total Pharmaceuticals               36,618,149  
Professional Services – 0.1%      

Dun & Bradstreet Corp. (The)

     723        84,164  

Equifax, Inc.

     1,744        184,847  

Exponent, Inc.

     533        39,389  

ManpowerGroup, Inc.

     1,865        219,734  

Robert Half International, Inc.

     3,476        174,982  
     

 

 

 
Total Professional Services               703,116  
Real Estate Management & Development – 0.0%      

Consolidated-Tomoka Land Co.

     580        34,841  

Kennedy-Wilson Holdings, Inc.

     4,848        89,930  
     

 

 

 
Total Real Estate Management & Development               124,771  
Road & Rail – 0.9%      

Celadon Group, Inc.(a)

     2,289        15,451  

CSX Corp.

     22,526        1,222,261  

JB Hunt Transport Services, Inc.

     1,664        184,837  

Kansas City Southern

     2,128        231,271  

Norfolk Southern Corp.

     7,655        1,012,297  

Ryder System, Inc.

     1,793        151,598  

Union Pacific Corp.

     23,087        2,677,399  
     

 

 

 
Total Road & Rail               5,495,114  
Semiconductors & Semiconductor Equipment – 3.1%  

Analog Devices, Inc.

     10,433        899,012  

Applied Materials, Inc.

     17,178        894,802  

Brooks Automation, Inc.

     4,020        122,047  

Cohu, Inc.

     2,836        67,610  

Cypress Semiconductor Corp.

     16,244        243,985  

Intel Corp.

     171,183        6,518,649  

KLA-Tencor Corp.

     5,396        571,976  

Lam Research Corp.

     3,404        629,876  

Maxim Integrated Products, Inc.

     11,727        559,495  

Microchip Technology, Inc.

     6,403        574,861  

NVIDIA Corp.

     4,232        756,555  

QUALCOMM, Inc.

     57,557      2,983,755  

Skyworks Solutions, Inc.

     3,375        343,912  

Teradyne, Inc.

     3,531        131,671  

Texas Instruments, Inc.

     33,679        3,018,985  

Xilinx, Inc.

     7,443        527,188  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        18,844,379  
Software – 4.0%      

Activision Blizzard, Inc.

     6,600        425,766  

American Software, Inc. Class A

     4,216        47,894  

CA, Inc.

     16,905        564,289  

CDK Global, Inc.

     1,319        83,216  

Ebix, Inc.

     500        32,625  

Intuit, Inc.

     3,818        542,691  

Microsoft Corp.

     241,765        18,009,075  

Oracle Corp.

     75,450        3,648,007  

QAD, Inc. Class A

     1,067        36,651  

SS&C Technologies Holdings, Inc.

     2,350        94,352  

Symantec Corp.

     9,611        315,337  
     

 

 

 
Total Software               23,799,903  
Specialty Retail – 1.8%      

Abercrombie & Fitch Co. Class A

     4,860        70,178  

American Eagle Outfitters, Inc.

     7,000        100,100  

Barnes & Noble, Inc.

     4,664        35,446  

Bed Bath & Beyond, Inc.

     2,236        52,479  

Best Buy Co., Inc.

     9,080        517,197  

Buckle, Inc. (The)(a)

     3,058        51,527  

Cato Corp. (The) Class A

     1,644        21,750  

Chico’s FAS, Inc.

     4,016        35,943  

Children’s Place, Inc. (The)

     259        30,601  

Citi Trends, Inc.

     1,155        22,950  

Dick’s Sporting Goods, Inc.

     1,255        33,898  

DSW, Inc. Class A

     3,285        70,562  

Foot Locker, Inc.

     2,415        85,056  

GameStop Corp. Class A

     7,380        152,471  

Gap, Inc. (The)

     17,187        507,532  

Guess?, Inc.

     7,917        134,827  

Home Depot, Inc. (The)

     31,454        5,144,616  

L Brands, Inc.

     11,189        465,574  

Lowe’s Cos., Inc.

     19,866        1,588,088  

Penske Automotive Group, Inc.

     2,204        104,844  

Pier 1 Imports, Inc.

     4,481        18,775  

Ross Stores, Inc.

     4,015        259,249  

Stage Stores, Inc.(a)

     2,988        5,498  

Tailored Brands, Inc.(a)

     1,828        26,396  

Tiffany & Co.

     3,247        298,010  

TJX Cos., Inc. (The)

     10,539        777,041  

Tractor Supply Co.

     2,115        133,858  

Williams-Sonoma, Inc.

     2,888        143,996  
     

 

 

 
Total Specialty Retail               10,888,462  
Technology Hardware, Storage & Peripherals – 3.9%     

Apple, Inc.

     132,360        20,399,323  

Diebold Nixdorf, Inc.

     2,304        52,646  

Hewlett Packard Enterprise Co.

     21,611        317,898  

 

See Notes to Financial Statements.

 

92   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. Total Dividend Fund (DTD)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

HP, Inc.

     70,685      $ 1,410,873  

NetApp, Inc.

     7,013        306,889  

Western Digital Corp.

     10,306        890,438  

Xerox Corp.

     10,231        340,590  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        23,718,657  
Textiles, Apparel & Luxury Goods – 0.5%      

Carter’s, Inc.

     692        68,335  

Coach, Inc.

     11,375        458,185  

Columbia Sportswear Co.

     1,634        100,622  

Culp, Inc.

     783        25,643  

Hanesbrands, Inc.

     8,988        221,464  

NIKE, Inc. Class B

     22,451        1,164,084  

Ralph Lauren Corp.

     1,354        119,545  

VF Corp.

     14,685        933,526  

Wolverine World Wide, Inc.

     1,501        43,304  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               3,134,708  
Thrifts & Mortgage Finance – 0.2%      

BankFinancial Corp.

     3,812        60,573  

Capitol Federal Financial, Inc.

     4,265        62,696  

Dime Community Bancshares, Inc.

     2,024        43,516  

First Defiance Financial Corp.

     608        31,914  

New York Community Bancorp, Inc.

     22,941        295,710  

Northwest Bancshares, Inc.

     5,056        87,317  

OceanFirst Financial Corp.

     3,448        94,786  

Provident Financial Services, Inc.

     4,484        119,588  

Riverview Bancorp, Inc.

     5,482        46,049  

Territorial Bancorp, Inc.

     2,755        86,975  

TFS Financial Corp.

     8,840        142,589  

Washington Federal, Inc.

     3,616        121,678  

Western New England Bancorp, Inc.

     3,057        33,321  
     

 

 

 
Total Thrifts & Mortgage Finance               1,226,712  
Tobacco – 2.7%      

Altria Group, Inc.

     90,091        5,713,571  

Philip Morris International, Inc.

     89,115        9,892,656  

Universal Corp.

     2,824        161,815  

Vector Group Ltd.

     17,232        352,730  
     

 

 

 
Total Tobacco               16,120,772  
Trading Companies & Distributors – 0.2%      

Fastenal Co.

     8,723        397,594  

GATX Corp.

     1,617        99,543  

H&E Equipment Services, Inc.

     2,776        81,059  

MSC Industrial Direct Co., Inc. Class A

     1,201        90,760  

W.W. Grainger, Inc.

     1,466        263,513  

Watsco, Inc.

     939        151,245  
     

 

 

 
Total Trading Companies & Distributors               1,083,714  
Transportation Infrastructure – 0.1%      

Macquarie Infrastructure Corp.

     7,282        525,615  
Water Utilities – 0.1%      

American Water Works Co., Inc.

     4,606        372,671  

Aqua America, Inc.

     6,589        218,689  
     

 

 

 
Total Water Utilities               591,360  
Wireless Telecommunication Services – 0.0%      

Telephone & Data Systems, Inc.

     3,050      85,064  
TOTAL COMMON STOCKS
(Cost: $471,295,194)
              600,287,267  
EXCHANGE-TRADED FUND – 0.1%      
United States – 0.1%      
WisdomTree U.S. Total Earnings Fund(a)(b) (Cost: $376,751)      4,326        386,920  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1%  
United States – 0.1%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(c)

     
(Cost: $946,136)(d)      946,136        946,136  
TOTAL INVESTMENTS IN SECURITIES – 100.0%
(Cost: $472,618,081)
        601,620,323  

Other Assets less Liabilities – (0.0)%

        (139,676
     

 

 

 
NET ASSETS – 100.0%             $ 601,480,647  

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Affiliated company (See Note 3).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(d) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $2,985,484 and the total market value of the collateral held by the Fund was $3,072,053. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,125,917.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      93  


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.9%      
Puerto Rico – 0.0%      
Banks – 0.0%      

First BanCorp*

     5,413      $ 27,715  
United States – 99.9%      
Aerospace & Defense – 2.8%      

Boeing Co. (The)

     1,554        395,042  

BWX Technologies, Inc.

     397        22,240  

Cubic Corp.

     92        4,692  

Curtiss-Wright Corp.

     113        11,813  

Esterline Technologies Corp.*

     26        2,344  

General Dynamics Corp.

     955        196,329  

HEICO Corp.

     76        6,826  

Hexcel Corp.

     188        10,795  

Huntington Ingalls Industries, Inc.

     172        38,948  

L3 Technologies, Inc.

     269        50,688  

Lockheed Martin Corp.

     927        287,639  

Moog, Inc. Class A*

     84        7,008  

Northrop Grumman Corp.

     653        187,881  

Orbital ATK, Inc.

     245        32,624  

Raytheon Co.

     1,067        199,081  

Rockwell Collins, Inc.

     384        50,193  

Spirit AeroSystems Holdings, Inc. Class A

     766        59,533  

Teledyne Technologies, Inc.*

     88        14,008  

Textron, Inc.

     712        38,363  

TransDigm Group, Inc.

     57        14,572  

United Technologies Corp.

     1,919        222,757  

Wesco Aircraft Holdings, Inc.*

     196        1,842  
     

 

 

 
Total Aerospace & Defense               1,855,218  
Air Freight & Logistics – 0.7%      

C.H. Robinson Worldwide, Inc.

     367        27,929  

Expeditors International of Washington, Inc.

     469        28,074  

FedEx Corp.

     636        143,469  

Forward Air Corp.

     71        4,063  

Hub Group, Inc. Class A*

     91        3,909  

United Parcel Service, Inc. Class B

     2,390        287,015  
     

 

 

 
Total Air Freight & Logistics               494,459  
Airlines – 1.3%      

Alaska Air Group, Inc.

     503        38,364  

Allegiant Travel Co.

     66        8,692  

American Airlines Group, Inc.

     6,106        289,974  

Delta Air Lines, Inc.

     4,735        228,322  

Hawaiian Holdings, Inc.*

     327        12,279  

JetBlue Airways Corp.*

     1,702        31,538  

Southwest Airlines Co.

     2,237        125,227  

Spirit Airlines, Inc.*

     290        9,689  

United Continental Holdings, Inc.*

     2,603        158,470  
     

 

 

 
Total Airlines               902,555  
Auto Components – 0.4%      

BorgWarner, Inc.

     787        40,318  

Cooper Tire & Rubber Co.

     252        9,425  

Dana, Inc.

     620        17,335  

Dorman Products, Inc.*

     92      6,589  

Gentex Corp.

     1,071        21,206  

Goodyear Tire & Rubber Co. (The)

     1,636        54,397  

LCI Industries

     82        9,500  

Lear Corp.

     244        42,231  

Standard Motor Products, Inc.

     120        5,790  

Superior Industries International, Inc.

     203        3,380  

Tenneco, Inc.

     307        18,626  

Tower International, Inc.

     586        15,939  
     

 

 

 
Total Auto Components               244,736  
Automobiles – 1.8%      

Ford Motor Co.

     30,663        367,036  

General Motors Co.

     19,995        807,398  

Harley-Davidson, Inc.

     283        13,643  

Thor Industries, Inc.

     138        17,376  

Winnebago Industries, Inc.

     352        15,752  
     

 

 

 
Total Automobiles               1,221,205  
Banks – 9.8%      

1st Source Corp.

     98        4,978  

Associated Banc-Corp.

     450        10,913  

BancFirst Corp.

     94        5,335  

BancorpSouth, Inc.

     273        8,750  

Bank of America Corp.

     40,090        1,015,881  

Bank of Hawaii Corp.

     139        11,587  

Bank of the Ozarks, Inc.

     129        6,198  

BankUnited, Inc.

     185        6,580  

Banner Corp.

     69        4,228  

BB&T Corp.

     2,420        113,595  

BOK Financial Corp.

     230        20,488  

Camden National Corp.

     104        4,539  

Cathay General Bancorp

     247        9,929  

Central Pacific Financial Corp.

     308        9,911  

Chemical Financial Corp.

     87        4,547  

CIT Group, Inc.

     851        41,742  

Citigroup, Inc.

     12,834        933,545  

Citizens Financial Group, Inc.

     1,592        60,289  

City Holding Co.

     68        4,890  

CoBiz Financial, Inc.

     307        6,029  

Columbia Banking System, Inc.

     169        7,117  

Comerica, Inc.

     794        60,550  

Commerce Bancshares, Inc.

     308        17,793  

Community Bank System, Inc.

     103        5,691  

Cullen/Frost Bankers, Inc.

     107        10,156  

Customers Bancorp, Inc.*

     101        3,295  

CVB Financial Corp.

     260        6,284  

East West Bancorp, Inc.

     457        27,319  

Fifth Third Bancorp

     3,606        100,896  

First Citizens BancShares, Inc. Class A

     26        9,721  

First Commonwealth Financial Corp.

     757        10,696  

First Financial Bancorp

     232        6,067  

First Financial Bankshares, Inc.(a)

     157        7,096  

First Horizon National Corp.

     1,026        19,648  

First Interstate BancSystem, Inc. Class A

     143        5,470  

 

See Notes to Financial Statements.

 

94   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

First Merchants Corp.

     164      $ 7,041  

First Midwest Bancorp, Inc.

     405        9,485  

First Republic Bank

     405        42,306  

Flushing Financial Corp.

     143        4,250  

Fulton Financial Corp.

     692        12,975  

Glacier Bancorp, Inc.

     159        6,004  

Great Southern Bancorp, Inc.

     82        4,563  

Hancock Holding Co.

     98        4,748  

Hanmi Financial Corp.

     247        7,645  

Hilltop Holdings, Inc.

     262        6,812  

Home BancShares, Inc.

     300        7,566  

Hope Bancorp, Inc.

     991        17,551  

Huntington Bancshares, Inc.

     3,776        52,713  

Iberiabank Corp.

     75        6,161  

Independent Bank Corp.

     63        4,703  

International Bancshares Corp.

     286        11,469  

Investors Bancorp, Inc.

     486        6,629  

JPMorgan Chase & Co.

     14,096        1,346,309  

KeyCorp

     4,028        75,807  

Lakeland Financial Corp.

     133        6,480  

M&T Bank Corp.

     471        75,850  

MB Financial, Inc.

     112        5,042  

NBT Bancorp, Inc.

     98        3,599  

Park National Corp.

     45        4,860  

People’s United Financial, Inc.

     646        11,718  

Pinnacle Financial Partners, Inc.

     108        7,231  

PNC Financial Services Group, Inc. (The)

     2,031        273,718  

Popular, Inc.

     1,420        51,035  

Prosperity Bancshares, Inc.

     137        9,005  

Regions Financial Corp.

     5,211        79,364  

Republic Bancorp, Inc. Class A

     180        7,000  

Seacoast Banking Corp. of Florida*

     134        3,201  

ServisFirst Bancshares, Inc.

     199        7,731  

Signature Bank*

     108        13,828  

Simmons First National Corp. Class A

     78        4,516  

South State Corp.

     73        6,574  

Southside Bancshares, Inc.

     137        4,981  

Sterling Bancorp

     382        9,416  

SunTrust Banks, Inc.

     2,225        132,988  

SVB Financial Group*

     134        25,070  

Synovus Financial Corp.

     293        13,496  

Texas Capital Bancshares, Inc.*

     75        6,435  

Tompkins Financial Corp.

     63        5,427  

Towne Bank

     234        7,839  

Trustmark Corp.

     232        7,684  

U.S. Bancorp

     6,473        346,888  

UMB Financial Corp.

     185        13,781  

Union Bankshares Corp.

     274        9,672  

United Bankshares, Inc.

     121        4,495  

United Community Banks, Inc.

     114        3,254  

Webster Financial Corp.

     320        16,816  

Wells Fargo & Co.

     20,363        1,123,019  

WesBanco, Inc.

     94        3,856  

Western Alliance Bancorp*

     304        16,136  

Wintrust Financial Corp.

     91      7,126  

Zions Bancorp

     854        40,292  
     

 

 

 
Total Banks               6,585,913  
Beverages – 1.7%      

Brown-Forman Corp. Class B

     1,422        77,215  

Coca-Cola Bottling Co. Consolidated

     43        9,277  

Coca-Cola Co. (The)

     9,786        440,468  

Constellation Brands, Inc. Class A

     391        77,985  

Dr. Pepper Snapple Group, Inc.

     485        42,908  

Molson Coors Brewing Co. Class B

     472        38,534  

Monster Beverage Corp.*

     907        50,112  

National Beverage Corp.

     142        17,615  

PepsiCo, Inc.

     3,577        398,585  
     

 

 

 
Total Beverages               1,152,699  
Biotechnology – 3.9%      

AbbVie, Inc.

     5,737        509,790  

Alexion Pharmaceuticals, Inc.*

     220        30,864  

AMAG Pharmaceuticals, Inc.*(a)

     112        2,066  

Amgen, Inc.

     3,021        563,266  

Biogen, Inc.*

     767        240,163  

Bioverativ, Inc.*

     288        16,436  

Celgene Corp.*

     1,111        162,006  

Emergent BioSolutions, Inc.*

     212        8,575  

Gilead Sciences, Inc.

     11,772        953,768  

Insys Therapeutics, Inc.*(a)

     616        5,470  

Regeneron Pharmaceuticals, Inc.*

     132        59,020  

United Therapeutics Corp.*

     364        42,657  
     

 

 

 
Total Biotechnology               2,594,081  
Building Products – 0.3%      

A.O. Smith Corp.

     291        17,294  

American Woodmark Corp.*

     59        5,679  

Armstrong Flooring, Inc.*

     51        803  

Armstrong World Industries, Inc.*

     101        5,176  

Fortune Brands Home & Security, Inc.

     317        21,312  

Lennox International, Inc.

     91        16,286  

Masco Corp.

     1,622        63,274  

Owens Corning

     347        26,841  

Simpson Manufacturing Co., Inc.

     90        4,414  

Universal Forest Products, Inc.

     67        6,577  

USG Corp.*

     1,454        47,473  
     

 

 

 
Total Building Products               215,129  
Capital Markets – 3.5%      

Ameriprise Financial, Inc.

     469        69,651  

Artisan Partners Asset Management, Inc. Class A

     262        8,541  

Bank of New York Mellon Corp. (The)

     3,701        196,227  

BlackRock, Inc.

     459        205,214  

CBOE Holdings, Inc.

     157        16,898  

Charles Schwab Corp. (The)

     2,085        91,198  

CME Group, Inc.

     576        78,152  

E*TRADE Financial Corp.*

     683        29,786  

Eaton Vance Corp.

     358        17,674  

Evercore, Inc. Class A

     95        7,624  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      95  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

FactSet Research Systems, Inc.

     162      $ 29,178  

Federated Investors, Inc. Class B

     113        3,356  

Franklin Resources, Inc.

     1,756        78,160  

Goldman Sachs Group, Inc. (The)

     1,784        423,147  

Greenhill & Co., Inc.

     71        1,179  

Interactive Brokers Group, Inc. Class A

     172        7,747  

Intercontinental Exchange, Inc.

     1,123        77,150  

INTL FCStone, Inc.*

     210        8,047  

MarketAxess Holdings, Inc.

     66        12,178  

Moody’s Corp.

     554        77,122  

Morgan Stanley

     6,846        329,772  

Morningstar, Inc.

     290        24,647  

MSCI, Inc.

     243        28,407  

Nasdaq, Inc.

     460        35,682  

Northern Trust Corp.

     517        47,528  

Raymond James Financial, Inc.

     430        36,262  

S&P Global, Inc.

     800        125,048  

SEI Investments Co.

     351        21,432  

State Street Corp.

     1,632        155,921  

Stifel Financial Corp.

     163        8,714  

T. Rowe Price Group, Inc.

     410        37,166  

TD Ameritrade Holding Corp.

     1,135        55,388  

Virtu Financial, Inc. Class A(a)

     1,057        17,123  
     

 

 

 
Total Capital Markets               2,361,319  
Chemicals – 2.2%      

Air Products & Chemicals, Inc.

     501        75,761  

Albemarle Corp.

     307        41,847  

Ashland Global Holdings, Inc.

     234        15,301  

Balchem Corp.

     55        4,471  

Celanese Corp. Series A

     337        35,139  

Chemours Co. (The)

     2        101  

DowDuPont, Inc.

     10,417        721,169  

Eastman Chemical Co.

     711        64,338  

Ecolab, Inc.

     517        66,491  

Ferro Corp.*

     308        6,868  

FMC Corp.

     52        4,644  

GCP Applied Technologies, Inc.*

     187        5,741  

H.B. Fuller Co.

     112        6,503  

Ingevity Corp.*

     74        4,623  

Innospec, Inc.

     112        6,905  

International Flavors & Fragrances, Inc.

     197        28,153  

Minerals Technologies, Inc.

     82        5,793  

Monsanto Co.

     720        86,271  

Mosaic Co. (The)

     1,364        29,449  

NewMarket Corp.

     45        19,159  

PPG Industries, Inc.

     167        18,146  

Praxair, Inc.

     699        97,678  

Quaker Chemical Corp.

     43        6,362  

Rayonier Advanced Materials, Inc.

     617        8,453  

RPM International, Inc.

     322        16,532  

Scotts Miracle-Gro Co. (The)

     116        11,292  

Sensient Technologies Corp.

     124        9,538  

Sherwin-Williams Co. (The)

     226        80,917  

Stepan Co.

     90      7,529  

Valvoline, Inc.

     642        15,055  

W.R. Grace & Co.

     52        3,752  
     

 

 

 
Total Chemicals               1,503,981  
Commercial Services & Supplies – 0.5%      

ABM Industries, Inc.

     136        5,673  

ACCO Brands Corp.*

     724        8,616  

Brady Corp. Class A

     120        4,554  

Brink’s Co. (The)

     163        13,733  

Cintas Corp.

     228        32,896  

Clean Harbors, Inc.*

     32        1,814  

Copart, Inc.*

     382        13,129  

Covanta Holding Corp.

     537        7,974  

Deluxe Corp.

     206        15,030  

Ennis, Inc.

     363        7,133  

Herman Miller, Inc.

     140        5,026  

HNI Corp.

     93        3,857  

Interface, Inc.

     457        10,008  

KAR Auction Services, Inc.

     262        12,508  

Knoll, Inc.

     184        3,680  

Matthews International Corp. Class A

     72        4,482  

McGrath RentCorp

     50        2,187  

MSA Safety, Inc.

     98        7,792  

Pitney Bowes, Inc.

     136        1,905  

Republic Services, Inc.

     909        60,048  

Rollins, Inc.

     248        11,443  

Steelcase, Inc. Class A

     754        11,612  

Tetra Tech, Inc.

     172        8,007  

UniFirst Corp.

     81        12,271  

Waste Management, Inc.

     492        38,509  
     

 

 

 
Total Commercial Services & Supplies               303,887  
Communications Equipment – 1.3%      

ADTRAN, Inc.

     197        4,728  

Arista Networks, Inc.*

     37        7,016  

Brocade Communications Systems, Inc.

     1,187        14,185  

Cisco Systems, Inc.

     19,450        654,103  

CommScope Holding Co., Inc.*

     340        11,291  

EchoStar Corp. Class A*

     52        2,976  

F5 Networks, Inc.*

     142        17,119  

Finisar Corp.*

     240        5,321  

Harris Corp.

     439        57,807  

InterDigital, Inc.

     81        5,974  

Juniper Networks, Inc.

     1,411        39,268  

Motorola Solutions, Inc.

     625        53,044  

NETGEAR, Inc.*

     128        6,093  

Plantronics, Inc.

     227        10,038  

Ubiquiti Networks, Inc.*(a)

     276        15,462  
     

 

 

 
Total Communications Equipment               904,425  
Construction & Engineering – 0.2%      

Aegion Corp.*

     212        4,935  

Comfort Systems USA, Inc.

     194        6,926  

Dycom Industries, Inc.*

     67        5,754  

EMCOR Group, Inc.

     155        10,754  

 

See Notes to Financial Statements.

 

96   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Fluor Corp.

     200      $ 8,420  

Jacobs Engineering Group, Inc.

     412        24,007  

MasTec, Inc.*

     290        13,456  

Quanta Services, Inc.*

     684        25,561  

Tutor Perini Corp.*

     303        8,605  

Valmont Industries, Inc.

     69        10,909  
     

 

 

 
Total Construction & Engineering               119,327  
Construction Materials – 0.0%      

Eagle Materials, Inc.

     82        8,749  

Martin Marietta Materials, Inc.

     67        13,818  
     

 

 

 
Total Construction Materials               22,567  
Consumer Finance – 1.4%      

American Express Co.

     3,738        338,139  

Capital One Financial Corp.

     2,505        212,073  

Credit Acceptance Corp.*

     89        24,935  

Discover Financial Services

     1,800        116,064  

FirstCash, Inc.

     309        19,513  

Green Dot Corp. Class A*

     210        10,412  

Navient Corp.

     2,578        38,722  

Nelnet, Inc. Class A

     337        17,018  

PRA Group, Inc.*

     155        4,441  

Santander Consumer USA Holdings, Inc.*

     1,134        17,430  

SLM Corp.*

     693        7,949  

Synchrony Financial

     3,638        112,960  
     

 

 

 
Total Consumer Finance               919,656  
Containers & Packaging – 0.5%      

AptarGroup, Inc.

     310        26,756  

Avery Dennison Corp.

     222        21,831  

Ball Corp.

     774        31,966  

Bemis Co., Inc.

     247        11,256  

Berry Global Group, Inc.*

     127        7,195  

Crown Holdings, Inc.*

     463        27,650  

Graphic Packaging Holding Co.

     318        4,436  

International Paper Co.

     1,229        69,832  

Packaging Corp. of America

     352        40,367  

Sealed Air Corp.

     364        15,550  

Silgan Holdings, Inc.

     220        6,475  

Sonoco Products Co.

     267        13,470  

WestRock Co.

     449        25,472  
     

 

 

 
Total Containers & Packaging               302,256  
Distributors – 0.1%      

Core-Mark Holding Co., Inc.

     187        6,010  

Genuine Parts Co.

     239        22,860  

LKQ Corp.*

     658        23,681  

Pool Corp.

     97        10,493  
     

 

 

 
Total Distributors               63,044  
Diversified Consumer Services – 0.1%      

Adtalem Global Education, Inc.

     83        2,976  

Bright Horizons Family Solutions, Inc.*

     97        8,362  

Capella Education Co.

     59        4,139  

Collectors Universe, Inc.

     112        2,685  

Graham Holdings Co. Class B

     7        4,096  

Grand Canyon Education, Inc.*

     159      14,440  

Service Corp. International

     150        5,175  

Strayer Education, Inc.

     49        4,276  

Weight Watchers International, Inc.*

     1,062        46,250  
     

 

 

 
Total Diversified Consumer Services               92,399  
Diversified Financial Services – 2.2%      

Berkshire Hathaway, Inc. Class B*

     8,165        1,496,808  

Leucadia National Corp.

     262        6,615  

Marlin Business Services Corp.

     153        4,399  
     

 

 

 
Total Diversified Financial Services               1,507,822  
Diversified Telecommunication Services – 2.8%      

AT&T, Inc.

     20,831        815,950  

ATN International, Inc.

     115        6,060  

CenturyLink, Inc.(a)

     2,130        40,257  

Cincinnati Bell, Inc.*

     508        10,084  

Iridium Communications, Inc.*(a)

     587        6,046  

Level 3 Communications, Inc.*

     3,693        196,800  

Lumos Networks Corp.*

     166        2,975  

Verizon Communications, Inc.

     15,602        772,143  
     

 

 

 
Total Diversified Telecommunication Services               1,850,315  
Electric Utilities – 2.0%      

ALLETE, Inc.

     102        7,884  

Alliant Energy Corp.

     617        25,649  

American Electric Power Co., Inc.

     1,042        73,190  

Avangrid, Inc.

     522        24,753  

Duke Energy Corp.

     2,053        172,288  

Edison International

     1,065        82,186  

El Paso Electric Co.

     121        6,685  

Entergy Corp.

     916        69,946  

Eversource Energy

     907        54,819  

Exelon Corp.

     1,932        72,779  

Great Plains Energy, Inc.

     477        14,453  

Hawaiian Electric Industries, Inc.

     190        6,340  

IDACORP, Inc.

     119        10,464  

MGE Energy, Inc.

     112        7,235  

NextEra Energy, Inc.

     1,405        205,903  

OGE Energy Corp.

     244        8,791  

PG&E Corp.

     1,371        93,351  

Pinnacle West Capital Corp.

     322        27,228  

PNM Resources, Inc.

     309        12,453  

Portland General Electric Co.

     352        16,065  

PPL Corp.

     2,905        110,245  

Southern Co. (The)

     2,399        117,887  

Westar Energy, Inc.

     397        19,691  

Xcel Energy, Inc.

     1,606        75,996  
     

 

 

 
Total Electric Utilities               1,316,281  
Electrical Equipment – 0.3%      

Acuity Brands, Inc.

     79        13,531  

AMETEK, Inc.

     61        4,028  

AZZ, Inc.

     58        2,825  

Emerson Electric Co.

     1,082        67,993  

EnerSys

     157        10,860  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      97  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Hubbell, Inc.

     88      $ 10,210  

Powell Industries, Inc.

     50        1,499  

Regal Beloit Corp.

     124        9,796  

Rockwell Automation, Inc.

     397        70,749  
     

 

 

 
Total Electrical Equipment               191,491  
Electronic Equipment, Instruments & Components – 1.0%  

Amphenol Corp. Class A

     664        56,201  

Arrow Electronics, Inc.*

     442        35,541  

Avnet, Inc.

     655        25,742  

AVX Corp.

     533        9,717  

Belden, Inc.

     99        7,973  

Benchmark Electronics, Inc.*

     315        10,757  

CDW Corp.

     376        24,816  

Cognex Corp.

     130        14,336  

Coherent, Inc.*

     56        13,170  

Control4 Corp.*

     214        6,304  

Corning, Inc.

     4,558        136,375  

Dolby Laboratories, Inc. Class A

     175        10,066  

Fitbit, Inc. Class A*(a)

     2,086        14,519  

FLIR Systems, Inc.

     345        13,424  

II-VI, Inc.*

     357        14,691  

Insight Enterprises, Inc.*

     307        14,097  

IPG Photonics Corp.*

     174        32,201  

Jabil, Inc.

     975        27,836  

Keysight Technologies, Inc.*

     338        14,081  

Littelfuse, Inc.

     81        15,866  

Mesa Laboratories, Inc.

     18        2,688  

Methode Electronics, Inc.

     143        6,056  

National Instruments Corp.

     612        25,808  

OSI Systems, Inc.*

     66        6,030  

Park Electrochemical Corp.

     390        7,215  

PC Connection, Inc.

     241        6,794  

Plexus Corp.*

     184        10,319  

Rogers Corp.*

     59        7,864  

Sanmina Corp.*

     442        16,420  

ScanSource, Inc.*

     279        12,178  

SYNNEX Corp.

     149        18,850  

Tech Data Corp.*

     165        14,660  

Trimble, Inc.*

     204        8,007  

Universal Display Corp.

     165        21,260  
     

 

 

 
Total Electronic Equipment, Instruments & Components        661,862  
Energy Equipment & Services – 0.0%      

Atwood Oceanics, Inc.*(a)

     1,769        16,611  
Equity Real Estate Investment Trusts (REITs) – 2.6%  

Acadia Realty Trust

     233        6,668  

Agree Realty Corp.

     68        3,337  

Alexander’s, Inc.

     8        3,393  

American Campus Communities, Inc.

     112        4,945  

American Tower Corp.

     471        64,376  

Apartment Investment & Management Co. Class A

     412        18,070  

Armada Hoffler Properties, Inc.

     354        4,889  

AvalonBay Communities, Inc.

     171        30,510  

Boston Properties, Inc.

     89        10,936  

Brixmor Property Group, Inc.

     371      6,975  

Camden Property Trust

     106        9,694  

Chesapeake Lodging Trust

     707        19,068  

Colony NorthStar, Inc. Class A

     532        6,682  

Columbia Property Trust, Inc.

     645        14,042  

Corporate Office Properties Trust

     401        13,165  

Crown Castle International Corp.

     260        25,995  

CubeSmart

     280        7,269  

DCT Industrial Trust, Inc.

     115        6,661  

DDR Corp.

     962        8,812  

DiamondRock Hospitality Co.

     555        6,077  

Digital Realty Trust, Inc.

     213        25,204  

Douglas Emmett, Inc.

     119        4,691  

Duke Realty Corp.

     599        17,263  

Empire State Realty Trust, Inc. Class A

     475        9,757  

EPR Properties

     187        13,041  

Equity LifeStyle Properties, Inc.

     68        5,785  

Equity Residential

     4,023        265,236  

Essex Property Trust, Inc.

     157        39,883  

Extra Space Storage, Inc.

     264        21,099  

Federal Realty Investment Trust

     172        21,364  

First Industrial Realty Trust, Inc.

     142        4,273  

Forest City Realty Trust, Inc. Class A

     1,549        39,515  

Gaming and Leisure Properties, Inc.

     579        21,359  

GGP, Inc.

     2,203        45,756  

Global Net Lease, Inc.

     875        19,154  

Healthcare Realty Trust, Inc.

     112        3,622  

Healthcare Trust of America, Inc. Class A

     118        3,516  

Highwoods Properties, Inc.

     206        10,731  

Hospitality Properties Trust

     304        8,661  

Host Hotels & Resorts, Inc.

     1,336        24,703  

InfraREIT, Inc.

     1,658        37,089  

Iron Mountain, Inc.

     108        4,201  

JBG SMITH Properties*

     78        2,668  

Kilroy Realty Corp.

     116        8,250  

Kimco Realty Corp.

     471        9,208  

Lamar Advertising Co. Class A

     111        7,607  

LaSalle Hotel Properties

     511        14,829  

Lexington Realty Trust

     185        1,891  

Liberty Property Trust

     282        11,579  

LTC Properties, Inc.

     86        4,040  

Macerich Co. (The)

     151        8,300  

Medical Properties Trust, Inc.

     166        2,180  

Mid-America Apartment Communities, Inc.

     199        21,269  

National Health Investors, Inc.

     127        9,816  

National Retail Properties, Inc.

     245        10,207  

Omega Healthcare Investors, Inc.

     818        26,102  

One Liberty Properties, Inc.

     730        17,783  

Paramount Group, Inc.

     867        13,872  

Park Hotels & Resorts, Inc.

     788        21,717  

Pebblebrook Hotel Trust(a)

     191        6,903  

Physicians Realty Trust

     172        3,050  

Piedmont Office Realty Trust, Inc. Class A

     293        5,907  

Potlatch Corp.

     149        7,599  

 

See Notes to Financial Statements.

 

98   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Prologis, Inc.

     1,382      $ 87,702  

PS Business Parks, Inc.

     33        4,406  

Public Storage

     296        63,341  

Ramco-Gershenson Properties Trust

     132        1,717  

Rayonier, Inc.

     137        3,958  

Realty Income Corp.

     333        19,044  

Regency Centers Corp.

     154        9,554  

Retail Opportunity Investments Corp.

     352        6,692  

RLJ Lodging Trust

     558        12,276  

Ryman Hospitality Properties, Inc.

     67        4,187  

Sabra Health Care REIT, Inc.

     1,983        43,507  

SBA Communications Corp.*

     67        9,651  

Select Income REIT

     334        7,822  

Senior Housing Properties Trust

     730        14,272  

Simon Property Group, Inc.

     594        95,640  

Spirit Realty Capital, Inc.

     177        1,517  

STORE Capital Corp.

     70        1,741  

Sunstone Hotel Investors, Inc.

     228        3,664  

Tanger Factory Outlet Centers, Inc.

     648        15,824  

Taubman Centers, Inc.

     208        10,338  

UDR, Inc.

     173        6,579  

Uniti Group, Inc.

     212        3,108  

Universal Health Realty Income Trust

     143        10,795  

Urban Edge Properties

     160        3,859  

Urstadt Biddle Properties, Inc. Class A

     428        9,288  

Ventas, Inc.

     577        37,580  

Vornado Realty Trust

     156        11,993  

Washington Real Estate Investment Trust

     112        3,669  

Weingarten Realty Investors

     397        12,601  

Welltower, Inc.

     264        18,554  

Weyerhaeuser Co.

     1,183        40,257  

Whitestone REIT(a)

     865        11,288  
     

 

 

 
Total Equity Real Estate Investment Trusts (REITs)        1,718,668  
Food & Staples Retailing – 2.5%      

Casey’s General Stores, Inc.

     82        8,975  

Costco Wholesale Corp.

     822        135,046  

CVS Health Corp.

     3,561        289,581  

Ingles Markets, Inc. Class A

     130        3,341  

Kroger Co. (The)

     3,144        63,069  

Performance Food Group Co.*

     443        12,515  

PriceSmart, Inc.

     178        15,886  

Rite Aid Corp.*

     4,615        9,045  

SpartanNash Co.

     55        1,450  

Sysco Corp.

     1,008        54,382  

U.S. Foods Holding Corp.*

     95        2,536  

United Natural Foods, Inc.*

     137        5,698  

Wal-Mart Stores, Inc.

     11,530        900,954  

Walgreens Boots Alliance, Inc.

     2,648        204,479  

Weis Markets, Inc.

     58        2,523  
     

 

 

 
Total Food & Staples Retailing               1,709,480  
Food Products – 1.4%      

Amplify Snack Brands, Inc.*(a)

     838        5,941  

Archer-Daniels-Midland Co.

     1,254        53,308  

B&G Foods, Inc.(a)

     80      2,548  

Blue Buffalo Pet Products, Inc.*

     302        8,562  

Bob Evans Farms, Inc.

     110        8,526  

Cal-Maine Foods, Inc.*(a)

     112        4,603  

Calavo Growers, Inc.

     72        5,270  

Campbell Soup Co.

     905        42,372  

Conagra Brands, Inc.

     982        33,133  

Darling Ingredients, Inc.*

     578        10,127  

Flowers Foods, Inc.

     1,071        20,146  

General Mills, Inc.

     1,395        72,205  

Hershey Co. (The)

     382        41,703  

Hormel Foods Corp.

     1,364        43,839  

Ingredion, Inc.

     248        29,919  

J&J Snack Foods Corp.

     33        4,333  

J.M. Smucker Co. (The)

     299        31,374  

Kellogg Co.

     681        42,474  

Kraft Heinz Co. (The)

     1,604        124,390  

Lancaster Colony Corp.

     79        9,489  

Landec Corp.*

     208        2,694  

Limoneira Co.

     427        9,894  

McCormick & Co., Inc. Non-Voting Shares

     303        31,100  

Mondelez International, Inc. Class A

     2,229        90,631  

Omega Protein Corp.

     96        1,598  

Pilgrim’s Pride Corp.*

     1,322        37,558  

Pinnacle Foods, Inc.

     341        19,495  

Seaboard Corp.

     5        22,525  

Seneca Foods Corp. Class A*

     67        2,311  

Snyder’s-Lance, Inc.

     22        839  

Tootsie Roll Industries, Inc.(a)

     93        3,534  

Tyson Foods, Inc. Class A

     1,404        98,912  
     

 

 

 
Total Food Products               915,353  
Gas Utilities – 0.1%      

Atmos Energy Corp.

     249        20,876  

New Jersey Resources Corp.

     157        6,618  

Northwest Natural Gas Co.

     66        4,250  

ONE Gas, Inc.

     111        8,174  

South Jersey Industries, Inc.

     172        5,939  

Southwest Gas Holdings, Inc.

     113        8,771  

UGI Corp.

     337        15,792  

WGL Holdings, Inc.

     125        10,525  
     

 

 

 
Total Gas Utilities               80,945  
Health Care Equipment & Supplies – 1.9%      

Abbott Laboratories

     1,827        97,489  

Align Technology, Inc.*

     97        18,068  

Analogic Corp.

     82        6,868  

Baxter International, Inc.

     5,979        375,182  

Becton, Dickinson and Co.

     435        85,238  

Boston Scientific Corp.*

     1,659        48,393  

C.R. Bard, Inc.

     142        45,511  

CONMED Corp.

     90        4,722  

Cooper Cos., Inc. (The)

     82        19,443  

Cutera, Inc.*

     142        5,872  

Danaher Corp.

     1,446        124,038  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      99  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Dentsply Sirona, Inc.

     594      $ 35,527  

Edwards Lifesciences Corp.*

     330        36,072  

Globus Medical, Inc. Class A*

     590        17,535  

Hill-Rom Holdings, Inc.

     210        15,540  

Hologic, Inc.*

     577        21,170  

IDEXX Laboratories, Inc.*

     157        24,412  

Intuitive Surgical, Inc.*

     52        54,386  

Masimo Corp.*

     115        9,954  

ResMed, Inc.

     311        23,935  

Stryker Corp.

     685        97,284  

Teleflex, Inc.

     81        19,600  

Utah Medical Products, Inc.

     59        4,339  

Varex Imaging Corp.*

     106        3,587  

Varian Medical Systems, Inc.*

     265        26,516  

West Pharmaceutical Services, Inc.

     144        13,861  

Zimmer Biomet Holdings, Inc.

     292        34,190  
     

 

 

 
Total Health Care Equipment & Supplies               1,268,732  
Health Care Providers & Services – 3.1%      

Aetna, Inc.

     1,081        171,890  

AmerisourceBergen Corp.

     1,005        83,164  

Anthem, Inc.

     876        166,335  

Cardinal Health, Inc.

     1,164        77,895  

Centene Corp.*

     206        19,935  

Chemed Corp.

     73        14,750  

Cigna Corp.

     877        163,946  

DaVita, Inc.*

     998        59,271  

Ensign Group, Inc. (The)

     201        4,541  

Express Scripts Holding Co.*

     2,197        139,114  

HCA Healthcare, Inc.*

     1,810        144,058  

HealthSouth Corp.

     136        6,304  

Henry Schein, Inc.*

     344        28,205  

Humana, Inc.

     322        78,449  

Laboratory Corp. of America Holdings*

     357        53,896  

Landauer, Inc.

     17        1,144  

LifePoint Health, Inc.*

     36        2,084  

Magellan Health, Inc.*

     95        8,199  

McKesson Corp.

     897        137,788  

MEDNAX, Inc.*

     254        10,952  

National HealthCare Corp.

     132        8,259  

Owens & Minor, Inc.

     602        17,578  

Patterson Cos., Inc.

     524        20,253  

Premier, Inc. Class A*

     1,214        39,540  

Quest Diagnostics, Inc.

     405        37,924  

Select Medical Holdings Corp.*

     262        5,030  

Tenet Healthcare Corp.*(a)

     805        13,226  

Triple-S Management Corp. Class B*

     131        3,102  

UnitedHealth Group, Inc.

     2,540        497,459  

Universal Health Services, Inc. Class B

     229        25,405  

WellCare Health Plans, Inc.*

     38        6,526  
     

 

 

 
Total Health Care Providers & Services               2,046,222  
Health Care Technology – 0.2%      

Cerner Corp.*

     775        55,273  

Computer Programs & Systems, Inc.(a)

     663        19,592  

HealthStream, Inc.*

     91      2,127  

HMS Holdings Corp.*

     141        2,800  

Inovalon Holdings, Inc. Class A*(a)

     873        14,885  

Medidata Solutions, Inc.*

     94        7,337  

Veeva Systems, Inc. Class A*

     144        8,123  
     

 

 

 
Total Health Care Technology               110,137  
Hotels, Restaurants & Leisure – 1.9%      

Aramark

     283        11,493  

BJ’s Restaurants, Inc.*

     411        12,515  

Bloomin’ Brands, Inc.

     382        6,723  

Brinker International, Inc.

     129        4,110  

Buffalo Wild Wings, Inc.*

     28        2,960  

Caesars Acquisition Co. Class A*

     2,291        49,142  

Cheesecake Factory, Inc. (The)

     78        3,285  

Chipotle Mexican Grill, Inc.*

     13        4,002  

Choice Hotels International, Inc.

     258        16,486  

Churchill Downs, Inc.

     70        14,434  

Chuy’s Holdings, Inc.*

     208        4,378  

Cracker Barrel Old Country Store, Inc.(a)

     40        6,065  

Darden Restaurants, Inc.

     97        7,642  

Del Frisco’s Restaurant Group, Inc.*

     226        3,288  

DineEquity, Inc.

     44        1,891  

Domino’s Pizza, Inc.

     97        19,259  

Dunkin’ Brands Group, Inc.

     22        1,168  

Fogo De Chao, Inc.*

     1,018        12,623  

Habit Restaurants, Inc. (The) Class A*(a)

     1,011        13,193  

Hilton Grand Vacations, Inc.*

     362        13,984  

Hilton Worldwide Holdings, Inc.

     1,208        83,896  

Hyatt Hotels Corp. Class A*

     177        10,937  

ILG, Inc.

     241        6,442  

International Speedway Corp. Class A

     71        2,556  

J Alexander’s Holdings, Inc.*

     974        11,298  

Jack in the Box, Inc.

     95        9,682  

Las Vegas Sands Corp.

     1,673        107,340  

Marriott International, Inc. Class A

     927        102,211  

McDonald’s Corp.

     2,167        339,525  

MGM Resorts International

     1,688        55,012  

Papa John’s International, Inc.

     41        2,996  

Penn National Gaming, Inc.*

     1,455        34,032  

Red Robin Gourmet Burgers, Inc.*

     228        15,276  

Ruth’s Hospitality Group, Inc.

     174        3,645  

Shake Shack, Inc. Class A*(a)

     263        8,739  

Six Flags Entertainment Corp.

     172        10,482  

Sonic Corp.

     175        4,454  

Starbucks Corp.

     2,615        140,452  

Texas Roadhouse, Inc.

     129        6,339  

Vail Resorts, Inc.

     24        5,475  

Wendy’s Co. (The)

     637        9,893  

Wyndham Worldwide Corp.

     265        27,934  

Yum! Brands, Inc.

     1,106        81,413  
     

 

 

 
Total Hotels, Restaurants & Leisure               1,288,670  
Household Durables – 0.6%      

Cavco Industries, Inc.*

     82        12,099  

 

See Notes to Financial Statements.

 

100   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

D.R. Horton, Inc.

     1,661      $ 66,324  

Ethan Allen Interiors, Inc.

     90        2,916  

iRobot Corp.*

     88        6,781  

La-Z-Boy, Inc.

     144        3,874  

Leggett & Platt, Inc.

     258        12,314  

Lennar Corp. Class A

     1,114        58,819  

Libbey, Inc.

     579        5,361  

Lifetime Brands, Inc.

     256        4,685  

M/I Homes, Inc.*

     302        8,072  

MDC Holdings, Inc.

     236        7,838  

Mohawk Industries, Inc.*

     157        38,859  

Newell Brands, Inc.

     836        35,672  

NVR, Inc.*

     17        48,535  

PulteGroup, Inc.

     393        10,741  

Tempur Sealy International, Inc.*

     163        10,517  

TopBuild Corp.*

     157        10,232  

TRI Pointe Group, Inc.*

     1,974        27,261  

Whirlpool Corp.

     255        47,032  

William Lyon Homes Class A*

     397        9,127  
     

 

 

 
Total Household Durables               427,059  
Household Products – 1.2%      

Church & Dwight Co., Inc.

     476        23,062  

Clorox Co. (The)

     376        49,598  

Colgate-Palmolive Co.

     666        48,518  

Kimberly-Clark Corp.

     961        113,091  

Oil-Dri Corp. of America

     67        3,278  

Procter & Gamble Co. (The)

     6,334        576,267  

Spectrum Brands Holdings, Inc.

     119        12,605  

WD-40 Co.

     38        4,252  
     

 

 

 
Total Household Products               830,671  
Independent Power & Renewable Electricity Producers – 0.0%  

AES Corp.

     1,476        16,266  

Ormat Technologies, Inc.

     127        7,753  
     

 

 

 
Total Independent Power & Renewable Electricity Producers        24,019  
Industrial Conglomerates – 1.6%      

3M Co.

     1,436        301,416  

Carlisle Cos., Inc.

     164        16,448  

General Electric Co.

     13,832        334,458  

Honeywell International, Inc.

     2,471        350,240  

Raven Industries, Inc.

     58        1,879  

Roper Technologies, Inc.

     251        61,093  
     

 

 

 
Total Industrial Conglomerates               1,065,534  
Insurance – 3.3%      

Aflac, Inc.

     1,966        160,013  

Alleghany Corp.*

     57        31,579  

Allstate Corp. (The)

     1,506        138,416  

American Financial Group, Inc.

     292        30,207  

American International Group, Inc.

     1,029        63,170  

American National Insurance Co.

     93        10,981  

AMERISAFE, Inc.

     106        6,169  

AmTrust Financial Services, Inc.

     539        7,255  

Arthur J. Gallagher & Co.

     378        23,266  

Assurant, Inc.

     346      33,050  

Brighthouse Financial, Inc.*

     411        24,989  

Brown & Brown, Inc.

     322        15,517  

Cincinnati Financial Corp.

     358        27,412  

CNA Financial Corp.

     780        39,195  

CNO Financial Group, Inc.

     911        21,263  

Employers Holdings, Inc.

     217        9,863  

FBL Financial Group, Inc. Class A

     163        12,143  

Fidelity & Guaranty Life(a)

     311        9,656  

First American Financial Corp.

     395        19,738  

Hanover Insurance Group, Inc. (The)

     149        14,443  

Hartford Financial Services Group, Inc. (The)

     1,651        91,515  

Horace Mann Educators Corp.

     262        10,310  

Infinity Property & Casualty Corp.

     56        5,275  

Lincoln National Corp.

     1,072        78,770  

Loews Corp.

     1,109        53,077  

Markel Corp.*

     17        18,156  

Marsh & McLennan Cos., Inc.

     1,211        101,494  

Mercury General Corp.

     120        6,803  

MetLife, Inc.

     4,523        234,970  

National General Holdings Corp.

     298        5,695  

National Western Life Group, Inc. Class A

     22        7,678  

Navigators Group, Inc. (The)

     73        4,259  

Old Republic International Corp.

     877        17,268  

Primerica, Inc.

     260        21,203  

Principal Financial Group, Inc.

     1,399        90,012  

ProAssurance Corp.

     220        12,023  

Progressive Corp. (The)

     1,892        91,611  

Prudential Financial, Inc.

     2,530        268,990  

Reinsurance Group of America, Inc.

     292        40,743  

RLI Corp.

     170        9,751  

Selective Insurance Group, Inc.

     181        9,747  

Stewart Information Services Corp.

     142        5,362  

Torchmark Corp.

     459        36,761  

Travelers Cos., Inc. (The)

     1,601        196,154  

United Fire Group, Inc.

     108        4,949  

Universal Insurance Holdings, Inc.

     217        4,991  

Unum Group

     937        47,909  

W.R. Berkley Corp.

     412        27,497  
     

 

 

 
Total Insurance               2,201,298  
Internet & Catalog Retail – 0.6%      

Amazon.com, Inc.*

     141        135,550  

Expedia, Inc.

     243        34,978  

Netflix, Inc.*

     185        33,550  

PetMed Express, Inc.

     420        13,923  

Priceline Group, Inc. (The)*

     98        179,420  

TripAdvisor, Inc.*

     40        1,621  
     

 

 

 
Total Internet & Catalog Retail               399,042  
Internet Software & Services – 3.2%      

Akamai Technologies, Inc.*

     192        9,354  

Alphabet, Inc. Class A*

     1,298        1,263,889  

Cars.com, Inc.*(a)

     76        2,022  

CoStar Group, Inc.*

     52        13,949  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      101  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

eBay, Inc.*

     3,397      $ 130,649  

Facebook, Inc. Class A*

     3,388        578,908  

IAC/InterActiveCorp*

     157        18,460  

j2 Global, Inc.

     105        7,757  

LogMeIn, Inc.

     65        7,153  

Reis, Inc.

     405        7,290  

SPS Commerce, Inc.*

     35        1,985  

Stamps.com, Inc.*(a)

     74        14,996  

TechTarget, Inc.*

     656        7,833  

VeriSign, Inc.*(a)

     457        48,620  

Web.com Group, Inc.*

     712        17,800  
     

 

 

 
Total Internet Software & Services               2,130,665  
IT Services – 3.4%      

Alliance Data Systems Corp.

     37        8,197  

Automatic Data Processing, Inc.

     877        95,874  

Blackhawk Network Holdings, Inc.*

     183        8,015  

Booz Allen Hamilton Holding Corp.

     488        18,246  

Broadridge Financial Solutions, Inc.

     297        24,004  

CACI International, Inc. Class A*

     114        15,886  

Cognizant Technology Solutions Corp. Class A

     1,662        120,561  

Convergys Corp.

     264        6,835  

CoreLogic, Inc.*

     194        8,967  

CSG Systems International, Inc.

     149        5,975  

DST Systems, Inc.

     370        20,306  

DXC Technology Co.

     1,057        90,775  

EPAM Systems, Inc.*

     150        13,189  

Euronet Worldwide, Inc.*

     151        14,313  

ExlService Holdings, Inc.*

     222        12,947  

Fidelity National Information Services, Inc.

     442        41,278  

Fiserv, Inc.*

     477        61,514  

FleetCor Technologies, Inc.*

     134        20,739  

Gartner, Inc.*

     143        17,791  

Global Payments, Inc.

     396        37,632  

Hackett Group, Inc. (The)

     157        2,385  

International Business Machines Corp.

     3,858        559,719  

Jack Henry & Associates, Inc.

     190        19,530  

Leidos Holdings, Inc.

     150        8,883  

ManTech International Corp. Class A

     88        3,885  

MasterCard, Inc. Class A

     2,138        301,886  

MAXIMUS, Inc.

     157        10,127  

Paychex, Inc.

     667        39,993  

PayPal Holdings, Inc.*

     1,876        120,120  

Sabre Corp.

     443        8,018  

Science Applications International Corp.

     137        9,158  

Sykes Enterprises, Inc.*

     425        12,393  

TeleTech Holdings, Inc.

     260        10,855  

Total System Services, Inc.

     450        29,475  

Vantiv, Inc. Class A*

     82        5,779  

Visa, Inc. Class A

     4,203        442,324  

Western Union Co. (The)

     2,405        46,176  

WEX, Inc.*

     69        7,743  
     

 

 

 
Total IT Services               2,281,493  
Leisure Products – 0.2%      

American Outdoor Brands Corp.*

     494      7,534  

Brunswick Corp.

     789        44,160  

Hasbro, Inc.

     347        33,891  

Mattel, Inc.

     248        3,839  

Polaris Industries, Inc.(a)

     187        19,566  

Sturm Ruger & Co., Inc.(a)

     154        7,962  

Vista Outdoor, Inc.*

     614        14,085  
     

 

 

 
Total Leisure Products               131,037  
Life Sciences Tools & Services – 0.7%      

Agilent Technologies, Inc.

     600        38,520  

Bio-Rad Laboratories, Inc. Class A*

     65        14,444  

Bio-Techne Corp.

     72        8,704  

Bruker Corp.

     405        12,049  

Cambrex Corp.*

     112        6,160  

Charles River Laboratories International, Inc.*

     84        9,074  

Illumina, Inc.*

     207        41,234  

Mettler-Toledo International, Inc.*

     48        30,056  

PAREXEL International Corp.*

     202        17,792  

PerkinElmer, Inc.

     257        17,725  

Quintiles IMS Holdings, Inc.*

     484        46,014  

Thermo Fisher Scientific, Inc.

     751        142,089  

VWR Corp.*

     410        13,575  

Waters Corp.*

     219        39,315  
     

 

 

 
Total Life Sciences Tools & Services               436,751  
Machinery – 2.0%      

AGCO Corp.

     552        40,721  

Allison Transmission Holdings, Inc.

     780        29,273  

Astec Industries, Inc.

     80        4,481  

Barnes Group, Inc.

     149        10,496  

Briggs & Stratton Corp.

     322        7,567  

Caterpillar, Inc.

     887        110,618  

Cummins, Inc.

     721        121,150  

Deere & Co.

     1,097        137,772  

Donaldson Co., Inc.

     83        3,813  

Dover Corp.

     327        29,885  

ESCO Technologies, Inc.

     140        8,393  

Federal Signal Corp.

     202        4,299  

Flowserve Corp.

     164        6,985  

Fortive Corp.

     723        51,181  

Franklin Electric Co., Inc.

     96        4,306  

Global Brass & Copper Holdings, Inc.

     188        6,354  

Graco, Inc.

     134        16,574  

Hillenbrand, Inc.

     204        7,925  

Hyster-Yale Materials Handling, Inc.

     81        6,192  

IDEX Corp.

     177        21,500  

Illinois Tool Works, Inc.

     967        143,077  

ITT, Inc.

     127        5,622  

John Bean Technologies Corp.

     87        8,796  

Lincoln Electric Holdings, Inc.

     158        14,485  

Lindsay Corp.

     24        2,206  

Meritor, Inc.*

     492        12,797  

Middleby Corp. (The)*

     125        16,021  

 

See Notes to Financial Statements.

 

102   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

Mueller Industries, Inc.

     202      $ 7,060  

Nordson Corp.

     151        17,893  

Oshkosh Corp.

     434        35,822  

PACCAR, Inc.

     943        68,217  

Parker-Hannifin Corp.

     473        82,784  

RBC Bearings, Inc.*

     52        6,508  

Rexnord Corp.*

     7        178  

Snap-on, Inc.

     167        24,885  

Standex International Corp.

     39        4,142  

Stanley Black & Decker, Inc.

     332        50,122  

Terex Corp.

     427        19,224  

Timken Co. (The)

     399        19,371  

Toro Co. (The)

     304        18,866  

Trinity Industries, Inc.

     580        18,502  

Wabash National Corp.

     423        9,653  

WABCO Holdings, Inc.*

     190        28,120  

Wabtec Corp.

     250        18,937  

Welbilt, Inc.*

     202        4,656  

Woodward, Inc.

     128        9,934  

Xylem, Inc.

     498        31,190  
     

 

 

 
Total Machinery               1,308,553  
Marine – 0.0%      

Kirby Corp.*

     142        9,365  

Matson, Inc.

     49        1,381  
     

 

 

 
Total Marine               10,746  
Media – 3.2%      

AMC Entertainment Holdings, Inc. Class A(a)

     213        3,131  

Cable One, Inc.

     7        5,055  

CBS Corp. Class B Non-Voting Shares

     1,645        95,410  

Charter Communications, Inc. Class A*

     509        184,981  

Cinemark Holdings, Inc.

     343        12,420  

Comcast Corp. Class A

     13,732        528,407  

Discovery Communications, Inc. Class A*

     140        2,981  

DISH Network Corp. Class A*

     683        37,039  

Entercom Communications Corp. Class A(a)

     410        4,694  

Entravision Communications Corp. Class A

     1,288        7,342  

Gannett Co., Inc.

     659        5,931  

Interpublic Group of Cos., Inc. (The)

     1,130        23,493  

John Wiley & Sons, Inc. Class A

     117        6,259  

Liberty Broadband Corp. Class C*

     468        44,600  

Loral Space & Communications, Inc.*

     385        19,057  

Meredith Corp.

     164        9,102  

MSG Networks, Inc. Class A*

     928        19,674  

New York Times Co. (The) Class A

     259        5,076  

Nexstar Media Group, Inc. Class A

     113        7,040  

Omnicom Group, Inc.

     655        48,516  

Regal Entertainment Group Class A

     390        6,240  

Scholastic Corp.

     139        5,171  

Scripps Networks Interactive, Inc. Class A

     368        31,608  

Sinclair Broadcast Group, Inc. Class A

     234        7,500  

Sirius XM Holdings, Inc.(a)

     6,688        36,918  

TEGNA, Inc.

     229        3,053  

Time Warner, Inc.

     2,645        270,980  

Tribune Media Co. Class A

     45      1,839  

Twenty-First Century Fox, Inc. Class A

     7,161        188,907  

Viacom, Inc. Class B

     1,374        38,252  

Walt Disney Co. (The)

     5,150        507,635  
     

 

 

 
Total Media               2,168,311  
Metals & Mining – 0.2%      

Commercial Metals Co.

     605        11,513  

Haynes International, Inc.

     37        1,329  

Materion Corp.

     77        3,323  

Nucor Corp.

     870        48,755  

Reliance Steel & Aluminum Co.

     296        22,546  

Steel Dynamics, Inc.

     547        18,855  

Worthington Industries, Inc.

     232        10,672  
     

 

 

 
Total Metals & Mining               116,993  
Multi-Utilities – 0.9%      

Ameren Corp.

     786        45,462  

Avista Corp.

     151        7,817  

Black Hills Corp.

     65        4,477  

CMS Energy Corp.

     721        33,397  

Consolidated Edison, Inc.

     1,052        84,875  

Dominion Energy, Inc.

     1,189        91,470  

DTE Energy Co.

     482        51,748  

MDU Resources Group, Inc.

     480        12,456  

NiSource, Inc.

     719        18,399  

NorthWestern Corp.

     118        6,719  

Public Service Enterprise Group, Inc.

     1,597        73,861  

SCANA Corp.

     474        22,984  

Sempra Energy

     769        87,766  

Vectren Corp.

     178        11,707  

WEC Energy Group, Inc.

     847        53,175  
     

 

 

 
Total Multi-Utilities               606,313  
Multiline Retail – 0.5%      

Big Lots, Inc.

     219        11,732  

Dollar General Corp.

     782        63,381  

Dollar Tree, Inc.*

     457        39,677  

Kohl’s Corp.

     553        25,244  

Macy’s, Inc.

     911        19,878  

Nordstrom, Inc.

     375        17,681  

Target Corp.

     2,460        145,165  
     

 

 

 
Total Multiline Retail               322,758  
Oil, Gas & Consumable Fuels – 1.6%      

Andeavor

     388        40,022  

Exxon Mobil Corp.

     5,816        476,796  

Kinder Morgan, Inc.

     3,264        62,604  

Marathon Petroleum Corp.

     1,651        92,588  

ONEOK, Inc.

     807        44,716  

Phillips 66

     1,635        149,782  

Valero Energy Corp.

     2,281        175,477  
     

 

 

 
Total Oil, Gas & Consumable Fuels               1,041,985  
Paper & Forest Products – 0.0%      

Boise Cascade Co.*

     288        10,051  

Clearwater Paper Corp.*

     48        2,364  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      103  


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

KapStone Paper and Packaging Corp.

     156      $ 3,353  
     

 

 

 
Total Paper & Forest Products               15,768  
Personal Products – 0.2%      

Coty, Inc. Class A

     1        16  

Edgewell Personal Care Co.*

     183        13,317  

Estee Lauder Cos., Inc. (The) Class A

     879        94,791  

Inter Parfums, Inc.

     219        9,034  

Medifast, Inc.

     142        8,431  

Nu Skin Enterprises, Inc. Class A

     231        14,202  

Revlon, Inc. Class A*(a)

     288        7,070  

USANA Health Sciences, Inc.*

     116        6,693  
     

 

 

 
Total Personal Products               153,554  
Pharmaceuticals – 3.5%      

Akorn, Inc.*

     907        30,103  

Bristol-Myers Squibb Co.

     3,591        228,891  

Catalent, Inc.*

     400        15,968  

Eli Lilly & Co.

     2,109        180,404  

Johnson & Johnson

     8,129        1,056,851  

Merck & Co., Inc.

     5,161        330,459  

Pfizer, Inc.

     12,063        430,649  

Prestige Brands Holdings, Inc.*

     157        7,864  

Zoetis, Inc.

     772        49,223  
     

 

 

 
Total Pharmaceuticals               2,330,412  
Professional Services – 0.2%      

CBIZ, Inc.*

     510        8,287  

Dun & Bradstreet Corp. (The)

     131        15,250  

Equifax, Inc.

     217        23,000  

FTI Consulting, Inc.*

     52        1,845  

Insperity, Inc.

     113        9,944  

Kelly Services, Inc. Class A

     141        3,538  

Korn/Ferry International

     139        5,481  

ManpowerGroup, Inc.

     309        36,406  

Navigant Consulting, Inc.*

     274        4,636  

On Assignment, Inc.*

     142        7,623  

Robert Half International, Inc.

     254        12,786  

TriNet Group, Inc.*

     92        3,093  

Verisk Analytics, Inc.*

     254        21,130  

WageWorks, Inc.*

     38        2,307  
     

 

 

 
Total Professional Services               155,326  
Real Estate Management & Development – 0.1%  

CBRE Group, Inc. Class A*

     1,342        50,835  

HFF, Inc. Class A

     67        2,650  

Howard Hughes Corp. (The)*

     133        15,685  
     

 

 

 
Total Real Estate Management & Development        69,170  
Road & Rail – 1.2%      

AMERCO

     67        25,118  

ArcBest Corp.

     114        3,813  

CSX Corp.

     3,449        187,143  

Genesee & Wyoming, Inc. Class A*

     111        8,215  

Heartland Express, Inc.

     135        3,386  

JB Hunt Transport Services, Inc.

     224        24,882  

Kansas City Southern

     79        8,586  

Knight-Swift Transportation Holdings, Inc.*

     1,021      42,422  

Landstar System, Inc.

     189        18,834  

Norfolk Southern Corp.

     956        126,421  

Old Dominion Freight Line, Inc.

     274        30,170  

Ryder System, Inc.

     156        13,190  

Saia, Inc.*

     47        2,945  

Union Pacific Corp.

     2,393        277,516  

Werner Enterprises, Inc.

     232        8,480  

YRC Worldwide, Inc.*

     119        1,642  
     

 

 

 
Total Road & Rail               782,763  
Semiconductors & Semiconductor Equipment – 2.8%  

Amkor Technology, Inc.*

     1,209        12,755  

Analog Devices, Inc.

     668        57,562  

Applied Materials, Inc.

     3,185        165,907  

Cabot Microelectronics Corp.

     39        3,117  

Cirrus Logic, Inc.*

     328        17,489  

Cohu, Inc.

     503        11,992  

Entegris, Inc.*

     413        11,915  

First Solar, Inc.*

     630        28,904  

Integrated Device Technology, Inc.*

     518        13,768  

Intel Corp.

     16,200        616,896  

KLA-Tencor Corp.

     575        60,950  

Lam Research Corp.

     398        73,646  

Maxim Integrated Products, Inc.

     879        41,937  

Microchip Technology, Inc.

     457        41,029  

MKS Instruments, Inc.

     158        14,923  

NVIDIA Corp.

     737        131,754  

ON Semiconductor Corp.*

     911        16,826  

QUALCOMM, Inc.

     4,017        208,241  

Silicon Laboratories, Inc.*

     42        3,356  

Skyworks Solutions, Inc.

     716        72,960  

Teradyne, Inc.

     621        23,157  

Texas Instruments, Inc.

     2,565        229,927  

Xilinx, Inc.

     717        50,785  

Xperi Corp.

     82        2,075  
     

 

 

 
Total Semiconductors & Semiconductor Equipment        1,911,871  
Software – 3.6%      

ACI Worldwide, Inc.*

     690        15,718  

Activision Blizzard, Inc.

     1,610        103,861  

Adobe Systems, Inc.*

     443        66,087  

American Software, Inc. Class A

     1,011        11,485  

ANSYS, Inc.*

     256        31,419  

Aspen Technology, Inc.*

     170        10,678  

CA, Inc.

     1,252        41,792  

Cadence Design Systems, Inc.*

     286        11,288  

Citrix Systems, Inc.*

     381        29,268  

Ebix, Inc.

     336        21,924  

Electronic Arts, Inc.*

     749        88,427  

Fair Isaac Corp.

     99        13,910  

Fortinet, Inc.*

     268        9,605  

Intuit, Inc.

     417        59,272  

Manhattan Associates, Inc.*

     292        12,138  

Microsoft Corp.

     14,997        1,117,127  

 

See Notes to Financial Statements.

 

104   WisdomTree Domestic Equity Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  

MicroStrategy, Inc. Class A*

     37      $ 4,725  

Oracle Corp.

     11,860        573,431  

Progress Software Corp.

     180        6,871  

Red Hat, Inc.*

     240        26,606  

salesforce.com, Inc.*

     229        21,393  

SS&C Technologies Holdings, Inc.

     393        15,779  

Synopsys, Inc.*

     271        21,824  

Tyler Technologies, Inc.*

     66        11,505  

VMware, Inc. Class A*

     789        86,151  
     

 

 

 
Total Software               2,412,284  
Specialty Retail – 2.3%      

Aaron’s, Inc.

     226        9,860  

Advance Auto Parts, Inc.

     131        12,995  

American Eagle Outfitters, Inc.

     990        14,157  

Asbury Automotive Group, Inc.*

     39        2,383  

AutoNation, Inc.*

     645        30,612  

AutoZone, Inc.*

     86        51,180  

Bed Bath & Beyond, Inc.

     1,202        28,211  

Best Buy Co., Inc.

     1,391        79,231  

Caleres, Inc.

     96        2,930  

CarMax, Inc.*

     542        41,089  

Cato Corp. (The) Class A

     69        913  

Chico’s FAS, Inc.

     471        4,215  

Children’s Place, Inc. (The)

     66        7,798  

Dick’s Sporting Goods, Inc.

     506        13,667  

DSW, Inc. Class A

     495        10,633  

Five Below, Inc.*

     114        6,256  

Foot Locker, Inc.

     434        15,286  

Francesca’s Holdings Corp.*

     429        3,157  

GameStop Corp. Class A

     1,046        21,610  

Gap, Inc. (The)

     1,545        45,624  

Group 1 Automotive, Inc.

     69        5,000  

Hibbett Sports, Inc.*

     146        2,081  

Home Depot, Inc. (The)

     3,154        515,868  

L Brands, Inc.

     1,096        45,605  

Lithia Motors, Inc. Class A

     81        9,745  

Lowe’s Cos., Inc.

     1,814        145,011  

Michaels Cos., Inc. (The)*

     682        14,643  

Monro, Inc.

     133        7,455  

Murphy USA, Inc.*

     151        10,419  

O’Reilly Automotive, Inc.*

     187        40,274  

Office Depot, Inc.

     7,020        31,871  

Penske Automotive Group, Inc.

     306        14,556  

RH*

     466        32,769  

Ross Stores, Inc.

     907        58,565  

Sally Beauty Holdings, Inc.*

     226        4,425  

Select Comfort Corp.*

     97        3,012  

Shoe Carnival, Inc.

     172        3,849  

Tiffany & Co.

     198        18,172  

TJX Cos., Inc. (The)

     1,803        132,935  

Tractor Supply Co.

     331        20,949  

Ulta Salon Cosmetics & Fragrance, Inc.*

     91        20,571  

Vitamin Shoppe, Inc.*

     489        2,616  

Williams-Sonoma, Inc.

     332        16,554  

Winmark Corp.

     37      4,875  

Zumiez, Inc.*

     116        2,100  
     

 

 

 
Total Specialty Retail               1,565,727  
Technology Hardware, Storage & Peripherals – 5.7%  

Apple, Inc.

     22,504        3,468,316  

Electronics For Imaging, Inc.*

     259        11,054  

Hewlett Packard Enterprise Co.

     5,938        87,348  

HP, Inc.

     11,686        233,253  

NCR Corp.*

     265        9,943  

NetApp, Inc.

     182        7,964  
     

 

 

 
Total Technology Hardware, Storage & Peripherals        3,817,878  
Textiles, Apparel & Luxury Goods – 0.7%      

Carter’s, Inc.

     134        13,232  

Coach, Inc.

     95        3,827  

Columbia Sportswear Co.

     102        6,281  

Deckers Outdoor Corp.*

     77        5,268  

G-III Apparel Group Ltd.*

     255        7,400  

Hanesbrands, Inc.

     1,372        33,806  

Iconix Brand Group, Inc.*

     187        1,064  

NIKE, Inc. Class B

     4,378        226,999  

PVH Corp.

     212        26,725  

Skechers U.S.A., Inc. Class A*

     118        2,961  

Steven Madden Ltd.*

     202        8,747  

Under Armour, Inc. Class A*(a)

     488        8,042  

Vera Bradley, Inc.*

     835        7,356  

VF Corp.

     1,416        90,015  

Wolverine World Wide, Inc.

     58        1,673  
     

 

 

 
Total Textiles, Apparel & Luxury Goods               443,396  
Thrifts & Mortgage Finance – 0.3%      

Astoria Financial Corp.

     232        4,988  

BofI Holding, Inc.*(a)

     279        7,943  

Capitol Federal Financial, Inc.

     107        1,573  

Dime Community Bancshares, Inc.

     72        1,548  

Flagstar Bancorp, Inc.*

     292        10,360  

HomeStreet, Inc.*

     188        5,076  

MGIC Investment Corp.*

     5,546        69,492  

Northwest Bancshares, Inc.

     366        6,321  

PennyMac Financial Services, Inc. Class A*

     127        2,261  

Provident Financial Services, Inc.

     233        6,214  

Radian Group, Inc.

     1,644        30,726  

Territorial Bancorp, Inc.

     157        4,957  

TFS Financial Corp.

     195        3,145  

Walker & Dunlop, Inc.*

     276        14,443  

Washington Federal, Inc.

     394        13,258  

WSFS Financial Corp.

     135        6,581  
     

 

 

 
Total Thrifts & Mortgage Finance               188,886  
Tobacco – 1.1%      

Altria Group, Inc.

     4,553        288,751  

Philip Morris International, Inc.

     4,116        456,917  

Universal Corp.

     147        8,423  

Vector Group Ltd.

     480        9,823  
     

 

 

 
Total Tobacco               763,914  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      105  


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. Total Earnings Fund (EXT)

September 30, 2017

 

  

 

 

Investments    Shares      Value  
Trading Companies & Distributors – 0.3%      

Air Lease Corp.

     364      $ 15,514  

Applied Industrial Technologies, Inc.

     173        11,383  

Beacon Roofing Supply, Inc.*

     139        7,124  

Fastenal Co.

     493        22,471  

GATX Corp.

     158        9,726  

HD Supply Holdings, Inc.*

     1,161        41,877  

Kaman Corp.

     75        4,183  

MSC Industrial Direct Co., Inc. Class A

     128        9,673  

Rush Enterprises, Inc. Class A*

     137        6,342  

United Rentals, Inc.*

     350        48,559  

W.W. Grainger, Inc.

     69        12,403  

Watsco, Inc.

     69        11,114  

WESCO International, Inc.*

     212        12,349  
     

 

 

 
Total Trading Companies & Distributors               212,718  
Water Utilities – 0.1%      

American States Water Co.

     152        7,486  

American Water Works Co., Inc.

     405        32,768  

Aqua America, Inc.

     434        14,404  

California Water Service Group

     297        11,331  
     

 

 

 
Total Water Utilities               65,989  
Wireless Telecommunication Services – 0.1%      

Spok Holdings, Inc.

     698        10,714  

T-Mobile U.S., Inc.*

     1,071        66,038  

Telephone & Data Systems, Inc.

     82        2,287  

United States Cellular Corp.*

     122        4,319  
     

 

 

 
Total Wireless Telecommunication Services               83,358  
Total United States               67,017,687  
TOTAL COMMON STOCKS
(Cost: $51,873,879)
              67,045,402  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.4%  
United States – 0.4%      

State Street Navigator Securities Lending Government Money Market Portfolio, 1.02%(b)

     
(Cost: $258,445)(c)      258,445        258,445  
TOTAL INVESTMENTS IN SECURITIES – 100.3%
(Cost: $52,132,324)
        67,303,847  

Other Assets less Liabilities – (0.3)%

        (200,613
     

 

 

 
NET ASSETS – 100.0%             $ 67,103,234  
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2017 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2017.

 

(c) 

At September 30, 2017, the total market value of the Fund’s securities on loan was $364,432 and the total market value of the collateral held by the Fund was $373,106. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $114,661.

 

See Notes to Financial Statements.

 

106   WisdomTree Domestic Equity Funds


Table of Contents

Statements of Assets and Liabilities (unaudited)

WisdomTree Domestic Equity Funds

September 30, 2017

 

  

 

 

      WisdomTree
U.S. Dividend
ex-Financials
Fund
     WisdomTree
U.S. Earnings
500 Fund
     WisdomTree
U.S. High
Dividend Fund
     WisdomTree
U.S. LargeCap
Dividend Fund
     WisdomTree
U.S. LargeCap
Value Fund
 

ASSETS:

              

Investments, at cost

   $ 790,881,212      $ 110,854,897      $ 1,128,643,022      $ 1,655,684,738      $ 37,089,124  

Investment in affiliates, at cost (Note 3)

     1,046,527        188,309        3,090,613        2,170,624        28,116  

Investments in securities, at value1,2 (Note 2)

     883,801,787        143,615,297        1,229,183,533        1,963,833,204        42,070,875  

Investment in affiliates, at value (Note 3)

     1,087,773        193,231        3,177,052        2,218,575        30,699  

Cash

     41,048        9,512        68,056        55,976        452  

Receivables:

 

Investment securities sold

                                 2,487  

Dividends

     1,691,185        121,696        2,588,905        2,491,417        29,294  

Securities lending income

     12,331        263        11,035        2,401        485  

Total Assets

     886,634,124        143,939,999        1,235,028,581        1,968,601,573        42,134,292  

LIABILITIES:

              

Payables:

              

Cash collateral for securities loaned (Note 2)

     21,301,748        186,689        7,312,203        4,091,919        335,846  

Advisory fees (Note 3)

     269,642        32,610        383,180        447,455        13,469  

Service fees (Note 2)

     3,134        515        4,450        7,044        156  

Total Liabilities

     21,574,524        219,814        7,699,833        4,546,418        349,471  

NET ASSETS

   $ 865,059,600      $ 143,720,185      $ 1,227,328,748      $ 1,964,055,155      $ 41,784,821  

NET ASSETS:

              

Paid-in capital

   $ 847,924,883      $ 127,181,597      $ 1,158,094,077      $ 1,701,967,756      $ 49,217,008  

Undistributed net investment income

     515,476        67,616        1,491,317        1,328,970        21,502  

Accumulated net realized loss on investments

     (76,342,580      (16,294,350      (32,883,596      (47,437,988      (12,438,023

Net unrealized appreciation on investments

     92,961,821        32,765,322        100,626,950        308,196,417        4,984,334  

NET ASSETS

   $ 865,059,600      $ 143,720,185      $ 1,227,328,748      $ 1,964,055,155      $ 41,784,821  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     10,250,000        1,650,000        17,550,000        22,600,000        550,000  

Net asset value per share

   $ 84.40      $ 87.10      $ 69.93      $ 86.91      $ 75.97  

1 Includes market value of securities out on loan of:

   $ 23,563,375      $ 244,268      $ 8,651,488      $ 4,999,148      $ 369,061  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

2 Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

 

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      107  


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

WisdomTree Domestic Equity Funds

September 30, 2017

 

  

 

 

      WisdomTree
U.S. MidCap
Dividend Fund
     WisdomTree
U.S. MidCap
Earnings Fund
     WisdomTree
U.S. Multifactor
Fund
     WisdomTree
U.S. Quality
Dividend
Growth Fund
     WisdomTree
U.S. SmallCap
Dividend Fund
 

ASSETS:

              

Investments, at cost

   $ 2,707,754,832      $ 750,575,341      $ 2,503,555      $ 1,455,877,147      $ 1,909,859,589  

Investment in affiliates, at cost (Note 3)

     35,836        3,224,962                      7,200,948  

Investments in securities, at value1,2 (Note 2)

     2,978,383,681        881,672,282        2,606,003        1,654,285,707        2,095,508,321  

Investment in affiliates, at value (Note 3)

     37,949        3,337,430                      7,590,003  

Cash

     42,096        4,567        1,103        276,607        532,527  

Receivables:

 

Investment securities sold

                                 998,788  

Capital shares sold

            1,857,768               7,629,970         

Dividends

     6,108,941        903,243        2,190        1,156,084        3,847,804  

Securities lending income

     149,241        45,462               3,754        146,899  

Total Assets

     2,984,721,908        887,820,752        2,609,296        1,663,352,122        2,108,624,342  

LIABILITIES:

              

Payables:

              

Cash collateral for securities loaned (Note 2)

     55,826,750        15,236,970               1,553,431        115,465,162  

Investment securities purchased

            4,046,025        10,969        7,622,755        1,296,981  

Advisory fees (Note 3)

     900,811        262,618        591        373,991        596,366  

Service fees (Note 2)

     10,441        3,051        9        5,877        6,949  

Total Liabilities

     56,738,002        19,548,664        11,569        9,556,054        117,365,458  

NET ASSETS

   $ 2,927,983,906      $ 868,272,088      $ 2,597,727      $ 1,653,796,068      $ 1,991,258,884  

NET ASSETS:

              

Paid-in capital

   $ 2,661,649,309      $ 804,178,259      $ 2,481,856      $ 1,441,254,325      $ 1,927,965,789  

Undistributed net investment income

     3,568,818        719,166        2,294        586,206        4,116,111  

Accumulated net realized gain (loss) on investments

     (7,865,183      (67,834,746      11,129        13,546,977        (126,860,803

Net unrealized appreciation on investments

     270,630,962        131,209,409        102,448        198,408,560        186,037,787  

NET ASSETS

   $ 2,927,983,906      $ 868,272,088      $ 2,597,727      $ 1,653,796,068      $ 1,991,258,884  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     29,300,000        23,350,000        100,004        43,350,000        23,700,000  

Net asset value per share

   $ 99.93      $ 37.19      $ 25.98      $ 38.15      $ 84.02  

1 Includes market value of securities out on loan of:

   $ 80,177,709      $ 25,432,831             $ 1,684,082      $ 140,709,304  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

2 Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

 

 

See Notes to Financial Statements.

 

108   WisdomTree Domestic Equity Funds


Table of Contents

Statements of Assets and Liabilities (unaudited) (concluded)

WisdomTree Domestic Equity Funds

September 30, 2017

 

  

 

 

      WisdomTree
U.S. SmallCap
Earnings Fund
     WisdomTree
U.S. SmallCap
Quality Dividend
Growth Fund
     WisdomTree
U.S. Total
Dividend Fund
     WisdomTree
U.S. Total
Earnings Fund
 

ASSETS:

           

Investments, at cost

   $ 475,335,277      $ 95,867,162      $ 472,241,330      $ 52,132,324  

Investment in affiliates, at cost (Note 3)

     1,467,364               376,751         

Investments in securities, at value1,2 (Note 2)

     550,777,469        101,382,073        601,233,403        67,303,847  

Investment in affiliates, at value (Note 3)

     1,582,030               386,920         

Cash

     450,869        59,128        57,263        15,148  

Receivables:

           

Investment securities sold

     8,005,519        3,446,908        4,387,262         

Dividends

     309,488        105,108        888,193        57,406  

Securities lending income

     72,432        7,992        3,314        769  

Total Assets

     561,197,807        105,001,209        606,956,355        67,377,170  

LIABILITIES:

           

Payables:

           

Cash collateral for securities loaned (Note 2)

     35,635,797        3,228,077        946,136        258,445  

Investment securities purchased

     1,339,665                       

Capital shares redeemed

     6,987,478        3,448,878        4,390,368         

Advisory fees (Note 3)

     154,514        30,308        137,047        15,251  

Service fees (Note 2)

     1,796        351        2,157        240  

Total Liabilities

     44,119,250        6,707,614        5,475,708        273,936  

NET ASSETS

   $ 517,078,557      $ 98,293,595      $ 601,480,647      $ 67,103,234  

NET ASSETS:

           

Paid-in capital

   $ 479,787,325      $ 95,888,456      $ 486,991,529      $ 58,309,194  

Undistributed net investment income

     283,344        72,757        539,560        33,765  

Accumulated net realized loss on investments

     (38,548,970      (3,182,529      (15,052,684      (6,411,248

Net unrealized appreciation on investments

     75,556,858        5,514,911        129,002,242        15,171,523  

NET ASSETS

   $ 517,078,557      $ 98,293,595      $ 601,480,647      $ 67,103,234  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     14,800,000        2,850,000        6,850,000        750,000  

Net asset value per share

   $ 34.94      $ 34.49      $ 87.81      $ 89.47  

1 Includes market value of securities out on loan of:

   $ 38,635,201      $ 4,941,255      $ 2,985,484      $ 364,432  
  

 

 

    

 

 

    

 

 

    

 

 

 

2 Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information).

 

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      109  


Table of Contents

Statements of Operations (unaudited)

WisdomTree Domestic Equity Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
U.S. Dividend ex-
Financials Fund
     WisdomTree
U.S. Earnings
500 Fund
     WisdomTree
U.S. High
Dividend Fund
     WisdomTree
U.S. LargeCap
Dividend Fund
     WisdomTree
U.S. LargeCap
Value Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 16,442,082      $ 1,461,092      $ 23,037,865      $ 28,234,780      $ 440,228  

Dividends from affiliates (Note 3)

     41,970        6,930        58,129        55,806        1,478  

Interest

                                 7  

Securities lending income (Note 2)

     62,765        1,981        59,613        22,288        4,184  

Total investment income

     16,546,817        1,470,003        23,155,607        28,312,874        445,897  

EXPENSES:

              

Advisory fees (Note 3)

     1,668,667        192,555        2,355,602        2,716,621        87,247  

Service fees (Note 2)

     19,320        3,026        27,275        42,690        1,010  

Legal fees (Note 2)

                   756                

Total expenses

     1,687,987        195,581        2,383,633        2,759,311        88,257  

Expense waivers (Note 3)

     (4,651      (476      (7,370      (3,157      (362

Net expenses

     1,683,336        195,105        2,376,263        2,756,154        87,895  

Net investment income

     14,863,481        1,274,898        20,779,344        25,556,720        358,002  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain from:

              

Investment transactions

     4,737,515        275,687        5,219,075        6,105,217        3,133  

Investment transactions in affiliates (Note 3)

     101,394        7,893        23,062        24,230        9,938  

In-kind redemptions

     9,564,683               16,192,210        25,346,046        1,481,145  

Net realized gain

     14,403,592        283,580        21,434,347        31,475,493        1,494,216  

Net increase in unrealized appreciation/depreciation

     4,640,641        8,985,650        2,938,270        58,387,692        1,931,473  

Net realized and unrealized gain on investments

     19,044,233        9,269,230        24,372,617        89,863,185        3,425,689  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 33,907,714      $ 10,544,128      $ 45,151,961      $ 115,419,905      $ 3,783,691  

1     Net of foreign withholding tax of:

                               $ 48  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

110   WisdomTree Domestic Equity Funds


Table of Contents

Statements of Operations (unaudited) (continued)

WisdomTree Domestic Equity Funds

For the Six Months or Period Ended September 30, 2017

 

  

 

 

      WisdomTree
U.S. MidCap
Dividend Fund
     WisdomTree
U.S. MidCap
Earnings Fund
     WisdomTree
U.S.  Multifactor
Fund1
     WisdomTree
U.S. Quality
Dividend
Growth Fund
     WisdomTree
U.S. SmallCap
Dividend Fund
 

INVESTMENT INCOME:

 

Dividends2

   $ 42,904,060      $ 6,453,752      $ 12,649      $ 17,502,205      $ 35,513,016  

Dividends from affiliates (Note 3)

     82,978        32,685                      216,476  

Interest

            220                      902  

Securities lending income (Note 2)

     657,940        230,476               22,570        1,026,142  

Total investment income

     43,644,978        6,717,133        12,649        17,524,775        36,756,536  

EXPENSES:

 

Advisory fees (Note 3)

     5,498,676        1,566,631        1,826        2,119,202        3,710,865  

Service fees (Note 2)

     63,669        18,140        29        33,302        42,968  

Legal fees (Note 2)

     2,485                              

Total expenses

     5,564,830        1,584,771        1,855        2,152,504        3,753,833  

Expense waivers (Note 3)

     (10,299      (4,554                    (36,470

Net expenses

     5,554,531        1,580,217        1,855        2,152,504        3,717,363  

Net investment income

     38,090,447        5,136,916        10,794        15,372,271        33,039,173  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

 

Net realized gain (loss) from:

 

Investment transactions

     11,172,098        5,205,022        11,129        7,369,579        (4,288,795

Investment transactions in affiliates (Note 3)

     292,604        250                      570,832  

In-kind redemptions

     35,811,734                      31,886,937        30,597,307  

Net realized gain

     47,276,436        5,205,272        11,129        39,256,516        26,879,344  

Net increase in unrealized appreciation/depreciation

     20,475,253        39,020,452        102,448        67,133,585        49,051,667  

Net realized and unrealized gain on investments

     67,751,689        44,225,724        113,577        106,390,101        75,931,011  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 105,842,136      $ 49,362,640      $ 124,371      $ 121,762,372      $ 108,970,184  

1     For the period June 29, 2017 (commencement of operations) through September 30, 2017.

      

2     Net of foreign withholding tax of:

          $ 3,103                       
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      111  


Table of Contents

Statements of Operations (unaudited) (concluded)

WisdomTree Domestic Equity Funds

For the Six Months Ended September 30, 2017

 

  

 

 

      WisdomTree
U.S. SmallCap
Earnings Fund
     WisdomTree
U.S. SmallCap
Quality Dividend
Growth Fund
     WisdomTree
U.S. Total
Dividend Fund
     WisdomTree
U.S. Total
Earnings Fund
 

INVESTMENT INCOME:

 

Dividends1

   $ 3,024,829      $ 1,154,410      $ 8,737,951      $ 669,327  

Dividends from affiliates (Note 3)

     12,284               7,571         

Interest

            88               2  

Securities lending income (Note 2)

     455,635        63,824        20,294        5,142  

Total investment income

     3,492,748        1,218,322        8,765,816        674,471  

EXPENSES:

 

Advisory fees (Note 3)

     934,032        189,298        817,829        90,626  

Service fees (Note 2)

     10,815        2,192        12,852        1,424  

Legal fees (Note 2)

                   312         

Total expenses

     944,847        191,490        830,993        92,050  

Expense waivers (Note 3)

     (4,450             (823       

Net expenses

     940,397        191,490        830,170        92,050  

Net investment income

     2,552,351        1,026,832        7,935,646        582,421  

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

 

Net realized gain (loss) from:

 

Investment transactions

     3,072,774        116,328        2,088,503        244,750  

Investment transactions in affiliates (Note 3)

     51,720               35,664         

In-kind redemptions

     6,147,973        1,947,518        7,021,695         

Net realized gain

     9,272,467        2,063,846        9,145,862        244,750  

Net increase in unrealized appreciation/depreciation

     32,158,763        2,109,022        16,033,551        4,068,742  

Net realized and unrealized gain on investments

     41,431,230        4,172,868        25,179,413        4,313,492  

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 43,983,581      $ 5,199,700      $ 33,115,059      $ 4,895,913  

1     Net of foreign withholding tax of:

   $ 316                    $ 72  
  

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

112   WisdomTree Domestic Equity Funds


Table of Contents

Statements of Changes in Net Assets

WisdomTree Domestic Equity Funds

 

 

  

 

 

     WisdomTree
U.S. Dividend ex-Financials Fund
    WisdomTree
U.S. Earnings 500 Fund
    WisdomTree
U.S. High Dividend Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 14,863,481     $ 30,053,659     $ 1,274,898     $ 2,335,052     $ 20,779,344     $ 39,012,772  

Net realized gain on investments

    14,403,592       65,773,468       283,580       5,280,772       21,434,347       74,229,435  

Net increase in unrealized appreciation/depreciation on investments

    4,640,641       21,000,511       8,985,650       13,715,835       2,938,270       22,022,849  

Net increase in net assets resulting from operations

    33,907,714       116,827,638       10,544,128       21,331,659       45,151,961       135,265,056  

DIVIDENDS AND DISTRIBUTIONS:

 

Net investment income

    (14,348,000     (31,847,340     (1,204,500     (2,481,560     (19,266,750     (42,845,450

Return of capital

          (595,266                        

Total dividends and distributions

    (14,348,000     (32,442,606     (1,204,500     (2,481,560     (19,266,750     (42,845,450

CAPITAL SHARE TRANSACTIONS:

 

Net proceeds from sale of shares

          19,149,617       4,126,118       3,956,554       27,483,870       328,739,201  

Cost of shares redeemed

    (57,852,235     (116,375,234           (10,963,876     (89,408,800     (183,152,735

Net increase (decrease) in net assets resulting from capital share transactions

    (57,852,235     (97,225,617     4,126,118       (7,007,322     (61,924,930     145,586,466  

Net Increase (Decrease) in Net Assets

    (38,292,521     (12,840,585     13,465,746       11,842,777       (36,039,719     238,006,072  

NET ASSETS:

 

Beginning of period

  $ 903,352,121     $ 916,192,706     $ 130,254,439     $ 118,411,662     $ 1,263,368,467     $ 1,025,362,395  

End of period

  $ 865,059,600     $ 903,352,121     $ 143,720,185     $ 130,254,439     $ 1,227,328,748     $ 1,263,368,467  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 515,476     $ (5   $ 67,616     $ (2,782   $ 1,491,317     $ (21,277

SHARES CREATED AND REDEEMED:

 

Shares outstanding, beginning of period

    10,950,000       12,150,000       1,600,000       1,700,000       18,450,000       16,200,000  

Shares created

          250,000       50,000       50,000       400,000       5,000,000  

Shares redeemed

    (700,000     (1,450,000           (150,000     (1,300,000     (2,750,000

Shares outstanding, end of period

    10,250,000       10,950,000       1,650,000       1,600,000       17,550,000       18,450,000  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      113  


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Domestic Equity Funds

 

 

  

 

 

     WisdomTree
U.S. LargeCap Dividend Fund
    WisdomTree
U.S. LargeCap Value Fund
    WisdomTree
U.S. MidCap Dividend Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 25,556,720     $ 49,585,997     $ 358,002     $ 2,356,573     $ 38,090,447     $ 55,037,084  

Net realized gain on investments

    31,475,493       101,999,534       1,494,216       20,364,475       47,276,436       160,953,022  

Net increase (decrease) in unrealized appreciation/depreciation on investments

    58,387,692       125,612,519       1,931,473       (927,870     20,475,253       110,770,287  

Net increase in net assets resulting from operations

    115,419,905       277,198,050       3,783,691       21,793,178       105,842,136       326,760,393  

DIVIDENDS:

 

Net investment income

    (24,227,750     (52,615,941     (336,500     (2,540,819     (34,515,250     (61,113,780

CAPITAL SHARE TRANSACTIONS:

 

Net proceeds from sale of shares

    33,574,198       388,403,400             190,017,019       171,125,481       1,413,552,032  

Cost of shares redeemed

    (101,043,120     (397,912,672     (21,380,228     (287,613,103     (137,027,521     (466,123,762

Net increase (decrease) in net assets resulting from capital share transactions

    (67,468,922     (9,509,272     (21,380,228     (97,596,084     34,097,960       947,428,270  

Net Increase (Decrease) in Net Assets

    23,723,233       215,072,837       (17,933,037     (78,343,725     105,424,846       1,213,074,883  

NET ASSETS:

 

Beginning of period

  $ 1,940,331,922     $ 1,725,259,085     $ 59,717,858     $ 138,061,583     $ 2,822,559,060     $ 1,609,484,177  

End of period

  $ 1,964,055,155     $ 1,940,331,922     $ 41,784,821     $ 59,717,858     $ 2,927,983,906     $ 2,822,559,060  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 1,328,970           $ 21,502           $ 3,568,818     $ (6,379

SHARES CREATED AND REDEEMED:

 

Shares outstanding, beginning of period

    23,400,000       23,500,000       850,000       2,200,000       28,950,000       18,700,000  

Shares created

    400,000       5,000,000             2,850,000       1,750,000       15,150,000  

Shares redeemed

    (1,200,000     (5,100,000     (300,000     (4,200,000     (1,400,000     (4,900,000

Shares outstanding, end of period

    22,600,000       23,400,000       550,000       850,000       29,300,000       28,950,000  

 

See Notes to Financial Statements.

 

114   WisdomTree Domestic Equity Funds


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Domestic Equity Funds

 

 

  

 

 

     WisdomTree
U.S. MidCap Earnings Fund
    WisdomTree
U.S. Multifactor Fund*
   

WisdomTree
U.S. Quality Dividend Growth Fund

 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the Period
June 29, 2017*
through
September 30, 2017
(unaudited)
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE IN NET ASSETS RESULTING FROM OPERATIONS:

 

       

Net investment income

  $ 5,136,916     $ 10,894,486     $ 10,794     $ 15,372,271     $ 18,908,084  

Net realized gain on investments

    5,205,272       48,567,285       11,129       39,256,516       10,777,287  

Net increase in unrealized appreciation/depreciation on investments

    39,020,452       65,963,286       102,448       67,133,585       113,184,310  

Net increase in net assets resulting from operations

    49,362,640       125,425,057       124,371       121,762,372       142,869,681  

DIVIDENDS AND DISTRIBUTIONS:

 

Net investment income

    (4,410,000     (11,824,696     (8,500     (15,221,500     (19,234,813

Return of capital

          (741,270                  

Total dividends and distributions

    (4,410,000     (12,565,966     (8,500     (15,221,500     (19,234,813

CAPITAL SHARE TRANSACTIONS:

 

Net proceeds from sale of shares

    28,487,025       186,064,822       2,481,756       400,614,406       700,242,109  

Cost of shares redeemed

          (167,035,821           (143,776,648     (128,810,462

Net increase in net assets resulting from capital share transactions

    28,487,025       19,029,001       2,481,756       256,837,758       571,431,647  

Net Increase in Net Assets

    73,439,665       131,888,092       2,597,627       363,378,630       695,066,515  

NET ASSETS:

 

Beginning of period

  $ 794,832,423     $ 662,944,331     $ 100     $ 1,290,417,438     $ 595,350,923  

End of period

  $ 868,272,088     $ 794,832,423     $ 2,597,727     $ 1,653,796,068     $ 1,290,417,438  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 719,166     $ (7,750   $ 2,294     $ 586,206     $ 435,435  

SHARES CREATED AND REDEEMED:

 

Shares outstanding, beginning of period

    22,550,000       22,050,000 1      4       36,400,000       19,050,000  

Shares created

    800,000       5,400,000 1      100,000       10,850,000       21,200,000  

Shares redeemed

          (4,900,000 )1            (3,900,000     (3,850,000

Shares outstanding, end of period

    23,350,000       22,550,000 1      100,004       43,350,000       36,400,000  
* Commencement of operations.
1 

Shares were adjusted to reflect a 3:1 stock split effective February 6, 2017.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      115  


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Domestic Equity Funds

 

 

  

 

 

     WisdomTree
U.S. SmallCap Dividend Fund
    WisdomTree
U.S. SmallCap Earnings Fund
    WisdomTree
U.S. SmallCap Quality Dividend Growth
Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
   

For the

Year Ended
March 31, 2017

    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE IN NET ASSETS RESULTING FROM OPERATIONS:

 

         

Net investment income

  $ 33,039,173     $ 45,077,236     $ 2,552,351     $ 4,393,122     $ 1,026,832     $ 1,517,383  

Net realized gain on investments

    26,879,344       170,534,981       9,272,467       49,135,056       2,063,846       5,885,590  

Net increase in unrealized appreciation/depreciation on investments

    49,051,667       77,624,833       32,158,763       42,224,065       2,109,022       2,158,894  

Net increase in net assets resulting from operations

    108,970,184       293,237,050       43,983,581       95,752,243       5,199,700       9,561,867  

DIVIDENDS:

 

Net investment income

    (28,893,250     (53,414,249     (2,246,500     (5,286,342     (1,000,750     (1,556,351

CAPITAL SHARE TRANSACTIONS:

 

Net proceeds from sale of shares

    64,822,743       1,114,624,891       6,494,221       144,725,986       1,668,022       88,367,814  

Cost of shares redeemed

    (129,114,274     (595,631,774     (21,522,312     (114,787,001     (10,071,100     (29,083,798

Net increase (decrease) in net assets resulting from capital share transactions

    (64,291,531     518,993,117       (15,028,091     29,938,985       (8,403,078     59,284,016  

Net Increase (Decrease) in Net Assets

    15,785,403       758,815,918       26,708,990       120,404,886       (4,204,128     67,289,532  

NET ASSETS:

 

Beginning of period

  $ 1,975,473,481     $ 1,216,657,563     $ 490,369,567     $ 369,964,681     $ 102,497,723     $ 35,208,191  

End of period

  $ 1,991,258,884     $ 1,975,473,481     $ 517,078,557     $ 490,369,567     $ 98,293,595     $ 102,497,723  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 4,116,111     $ (29,812   $ 283,344     $ (22,507   $ 72,757     $ 46,675  

SHARES CREATED AND REDEEMED:

 

Shares outstanding, beginning of period

    24,500,000       17,700,000       15,250,000       14,400,000 1      3,100,000       1,250,000  

Shares created

    800,000       14,050,000       200,000       4,450,000 1      50,000       2,700,000  

Shares redeemed

    (1,600,000     (7,250,000     (650,000     (3,600,000 )1      (300,000     (850,000

Shares outstanding, end of period

    23,700,000       24,500,000       14,800,000       15,250,000 1      2,850,000       3,100,000  
1 

Shares were adjusted to reflect a 3:1 stock split effective February 6, 2017.

 

See Notes to Financial Statements.

 

116   WisdomTree Domestic Equity Funds


Table of Contents

Statements of Changes in Net Assets (concluded)

WisdomTree Domestic Equity Funds

 

 

  

 

 

     WisdomTree
U.S. Total Dividend Fund
    WisdomTree
U.S. Total Earnings Fund
 
     For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
    For the
Six Months Ended
September 30, 2017
(unaudited)
    For the
Year Ended
March 31, 2017
 

INCREASE IN NET ASSETS RESULTING FROM OPERATIONS:

 

Net investment income

  $ 7,935,646     $ 13,864,673     $ 582,421     $ 1,131,149  

Net realized gain on investments

    9,145,862       14,850,082       244,750       990,323  

Net increase in unrealized appreciation/depreciation on investments

    16,033,551       51,624,180       4,068,742       8,735,404  

Net increase in net assets resulting from operations

    33,115,059       80,338,935       4,895,913       10,856,876  

DIVIDENDS AND DISTRIBUTIONS:

 

Net investment income

    (7,381,250     (15,055,118     (547,500     (1,209,582

Return of capital

                      (13,120

Total dividends and distributions

    (7,381,250     (15,055,118     (547,500     (1,222,702

CAPITAL SHARE TRANSACTIONS:

 

Net proceeds from sale of shares

    21,331,924       40,010,132              

Cost of shares redeemed

    (17,088,768     (27,498,605           (4,083,329

Net increase (decrease) in net assets resulting from capital share transactions

    4,243,156       12,511,527             (4,083,329

Net Increase in Net Assets

    29,976,965       77,795,344       4,348,413       5,550,845  

NET ASSETS:

 

Beginning of period

  $ 571,503,682     $ 493,708,338     $ 62,754,821     $ 57,203,976  

End of period

  $ 601,480,647     $ 571,503,682     $ 67,103,234     $ 62,754,821  

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

  $ 539,560     $ (14,836   $ 33,765     $ (1,156

SHARES CREATED AND REDEEMED:

 

Shares outstanding, beginning of period

    6,800,000       6,650,000       750,000       800,000  

Shares created

    250,000       500,000              

Shares redeemed

    (200,000     (350,000           (50,000

Shares outstanding, end of period

    6,850,000       6,800,000       750,000       750,000  

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      117  


Table of Contents

Financial Highlights

WisdomTree Domestic Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree U.S. Dividend
ex-Financials Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 82.50     $ 75.41     $ 75.82     $ 70.27     $ 62.03     $ 54.81  

Investment operations:

 

Net investment income1

    1.40       2.52       2.46       2.47       2.00       2.27  

Net realized and unrealized gain (loss)

    1.87       7.31       (0.38     5.38       8.22       7.36  

Total from investment operations

    3.27       9.83       2.08       7.85       10.22       9.63  

Dividends and distributions to shareholders:

 

Net investment income

    (1.37     (2.69     (2.49     (2.30     (1.98     (2.41

Return of capital

          (0.05                        

Total dividends and distributions to shareholders

    (1.37     (2.74     (2.49     (2.30     (1.98     (2.41

Net asset value, end of period

  $ 84.40     $ 82.50     $ 75.41     $ 75.82     $ 70.27     $ 62.03  

TOTAL RETURN2

    4.00     13.27     2.96     11.27     16.75     18.18

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 865,060     $ 903,352     $ 916,193     $ 1,250,987     $ 1,127,812     $ 1,094,800  

Ratios to average net assets3 of:

 

Expenses4

    0.38 %5      0.38     0.38     0.39 %6      0.38     0.38

Net investment income

    3.38 %5      3.21     3.39     3.34     3.06     4.08

Portfolio turnover rate7

    2     33     32     32     35     34

 

             
WisdomTree U.S. Earnings 500 Fund   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 81.41     $ 69.65     $ 71.48     $ 65.39     $ 54.46     $ 49.42  

Investment operations:

 

Net investment income1

    0.78       1.44       1.47       1.34       1.14       1.04  

Net realized and unrealized gain (loss)

    5.64       11.86       (1.81     6.01       10.88       5.10  

Total from investment operations

    6.42       13.30       (0.34     7.35       12.02       6.14  

Dividends to shareholders:

 

Net investment income

    (0.73     (1.54     (1.49     (1.26     (1.09     (1.10

Net asset value, end of period

  $ 87.10     $ 81.41     $ 69.65     $ 71.48     $ 65.39     $ 54.46  

TOTAL RETURN2

    7.91     19.31     (0.45 )%      11.28     22.24     12.66

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 143,720     $ 130,254     $ 118,412     $ 139,386     $ 101,351     $ 65,354  

Ratios to average net assets3 of:

 

Expenses

    0.28 %4,5      0.28     0.28 %4      0.29 %4,6      0.28     0.28 %4 

Net investment income

    1.85 %5      1.94     2.11     1.93     1.89     2.12

Portfolio turnover rate7

    2     19     18     16     15     13
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

5 

Annualized.

 

6 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.38% and 0.28%, for WisdomTree U.S. Dividend ex-Financials Fund and WisdomTree U.S. Earnings 500 Fund, respectively.

 

7 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

See Notes to Financial Statements.

 

118   WisdomTree Domestic Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree U.S. High
Dividend Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 68.48     $ 63.29     $ 60.74     $ 56.57     $ 51.17     $ 44.81  

Investment operations:

 

Net investment income1

    1.15       2.10       2.10       1.95       1.77       1.82  

Net realized and unrealized gain

    1.38       5.39       2.50       4.03       5.37       6.40  

Total from investment operations

    2.53       7.49       4.60       5.98       7.14       8.22  

Dividends to shareholders:

 

Net investment income

    (1.08     (2.30     (2.05     (1.81     (1.74     (1.86

Net asset value, end of period

  $ 69.93     $ 68.48     $ 63.29     $ 60.74     $ 56.57     $ 51.17  

TOTAL RETURN2

    3.73     12.02     7.88     10.64     14.24     18.83

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 1,227,329     $ 1,263,368     $ 1,025,362     $ 1,059,849     $ 797,595     $ 639,585  

Ratios to average net assets3 of:

 

Expenses4

    0.38 %5      0.38 %6      0.38 %6      0.39 %7      0.38     0.38

Net investment income

    3.35 %5      3.17     3.53     3.25     3.31     3.91

Portfolio turnover rate8

    2     23     20     27     30     28

 

             
WisdomTree U.S. LargeCap
Dividend Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 82.92     $ 73.42     $ 73.27     $ 67.60     $ 58.94     $ 52.98  

Investment operations:

 

Net investment income1

    1.11       2.04       2.01       1.86       1.65       1.61  

Net realized and unrealized gain

    3.94       9.63       0.13       5.59       8.64       6.00  

Total from investment operations

    5.05       11.67       2.14       7.45       10.29       7.61  

Dividends to shareholders:

 

Net investment income

    (1.06     (2.17     (1.99     (1.78     (1.63     (1.65

Net asset value, end of period

  $ 86.91     $ 82.92     $ 73.42     $ 73.27     $ 67.60     $ 58.94  

TOTAL RETURN2

    6.13     16.13     3.04     11.08     17.70     14.69

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 1,964,055     $ 1,940,332     $ 1,725,259     $ 2,106,618     $ 1,821,886     $ 1,500,106  

Ratios to average net assets3 of:

 

Expenses

    0.28 %4,5      0.28 %4      0.28 %4      0.29 %4,9      0.28     0.28 %4 

Net investment income

    2.63 %5      2.63     2.81     2.59     2.62     2.97

Portfolio turnover rate8

    2     11     11     12     11     14
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

5 

Annualized.

 

6 

Included in the expense ratio are legal expenses. Without these legal expenses, the annualized expense ratio would have been unchanged.

 

7 

Included in the expense ratio are proxy and legal expenses. Without these proxy and legal expenses, the expense ratio would have been 0.38%.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

9 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.28%.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      119  


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree U.S. LargeCap
Value Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 70.26     $ 62.76     $ 66.28     $ 58.57     $ 48.86     $ 44.31  

Investment operations:

 

Net investment income1

    0.57       0.92       1.06       0.88       0.61       1.02  

Net realized and unrealized gain (loss)

    5.73       7.55       (3.70     7.71       9.70       4.56  

Total from investment operations

    6.30       8.47       (2.64     8.59       10.31       5.58  

Dividends to shareholders:

 

Net investment income

    (0.59     (0.97     (0.88     (0.88     (0.60     (1.03

Net asset value, end of period

  $ 75.97     $ 70.26     $ 62.76     $ 66.28     $ 58.57     $ 48.86  

TOTAL RETURN2

    8.99     13.61     (4.00 )%      14.73     21.20     12.81

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 41,785     $ 59,718     $ 138,062     $ 26,511     $ 26,357     $ 24,428  

Ratios to average net assets3 of:

 

Expenses

    0.38 %4,5      0.38     0.38 %5      0.39 %5,6      0.38     0.38

Net investment income

    1.56 %4      1.42     1.68     1.42     1.14     2.26

Portfolio turnover rate7

    1     106     85     63     67     65

 

             
WisdomTree U.S. MidCap
Dividend Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 97.50     $ 86.07     $ 86.03     $ 76.99     $ 65.15     $ 56.25  

Investment operations:

 

Net investment income1

    1.29       2.36       2.12       2.16       1.83       1.99  

Net realized and unrealized gain

    2.30       11.66       0.26       8.84       11.82       8.91  

Total from investment operations

    3.59       14.02       2.38       11.00       13.65       10.90  

Dividends and distributions to shareholders:

 

Net investment income

    (1.16     (2.59     (2.05     (1.96     (1.81     (2.00

Capital gains

                (0.29                  

Total dividends and distributions to shareholders

    (1.16     (2.59     (2.34     (1.96     (1.81     (2.00

Net asset value, end of period

  $ 99.93     $ 97.50     $ 86.07     $ 86.03     $ 76.99     $ 65.15  

TOTAL RETURN2

    3.71     16.52     2.98     14.46     21.24     19.96

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 2,927,984     $ 2,822,559     $ 1,609,484     $ 1,595,896     $ 993,148     $ 540,728  

Ratios to average net assets3 of:

 

Expenses5

    0.38 %4,8      0.38 %8      0.38     0.39 %9      0.38     0.38

Net investment income

    2.63 %4      2.56     2.60     2.65     2.58     3.46

Portfolio turnover rate7

    3     33     32     30     32     33
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

Annualized.

 

5 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

6 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.38%.

 

7 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

8 

Included in the expense ratio are legal expenses. Without these legal expenses, the annualized expense ratio would have been unchanged.

 

9 

Included in the expense ratio are proxy and legal expenses. Without these proxy and legal expenses, the expense ratio would have been 0.38%.

 

See Notes to Financial Statements.

 

120   WisdomTree Domestic Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree U.S. MidCap
Earnings Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 20171
    For the
Year Ended
March 31, 20161
    For the
Year Ended
March 31, 20151
    For the
Year Ended
March 31, 20141
    For the
Year Ended
March 31, 20131
 

Net asset value, beginning of period

  $ 35.25     $ 30.07     $ 32.14     $ 29.58     $ 23.52     $ 20.33  

Investment operations:

 

Net investment income2

    0.22       0.50       0.40       0.42       0.33       0.37  

Net realized and unrealized gain (loss)

    1.91       5.25       (2.10     2.52       6.04       3.18  

Total from investment operations

    2.13       5.75       (1.70     2.94       6.37       3.55  

Dividends and distributions to shareholders:

 

Net investment income

    (0.19     (0.54     (0.37     (0.38     (0.31     (0.36

Return of capital

          (0.03                        

Total dividends and distributions to shareholders

    (0.19     (0.57     (0.37     (0.38     (0.31     (0.36

Net asset value, end of period

  $ 37.19     $ 35.25     $ 30.07     $ 32.14     $ 29.58     $ 23.52  

TOTAL RETURN3

    6.06     19.31     (5.29 )%      9.99     27.26     17.75

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 868,272     $ 794,832     $ 662,944     $ 737,532     $ 514,682     $ 211,643  

Ratios to average net assets4 of:

 

Expenses5

    0.38 %6      0.38     0.38     0.39 %7      0.38     0.38

Net investment income

    1.25 %6      1.54     1.32     1.37     1.24     1.80

Portfolio turnover rate8

    3     42     40     36     41     39

 

   
WisdomTree U.S. Multifactor Fund    For the Period
June 29, 2017*
through
September 30,
2017 (unaudited)
 

Net asset value, beginning of period

   $ 24.75  

Investment operations:

 

Net investment income2

     0.11  

Net realized and unrealized gain

     1.21  

Total from investment operations

     1.32  

Dividends to shareholders:

 

Net investment income

     (0.09

Net asset value, end of period

   $ 25.98  

TOTAL RETURN3

     5.32

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

   $ 2,598  

Ratios to average net assets of:

 

Expenses

     0.28 %6 

Net investment income

     1.66 %6 

Portfolio turnover rate8

     40
* Commencement of operations.

 

1 

Per share amounts were adjusted to reflect a 3:1 stock split effective February 6, 2017.

 

2 

Based on average shares outstanding.

 

3 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree U.S. MidCap Earnings Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

4 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

 

5 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

6 

Annualized.

 

7 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.38%.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      121  


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree U.S. Quality Dividend Growth Fund   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
May 22, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

  $ 35.45     $ 31.25     $ 31.23     $ 27.95     $ 24.86  

Investment operations:

 

Net investment income1

    0.37       0.73       0.70       0.66       0.48  

Net realized and unrealized gain (loss)

    2.69       4.20       (0.02     3.21       3.02  

Total from investment operations

    3.06       4.93       0.68       3.87       3.50  

Dividends and distributions to shareholders:

 

Net investment income

    (0.36     (0.73     (0.66     (0.59     (0.41

Capital gains

                      (0.00 )2      (0.00 )2 

Total dividends and distributions to shareholders

    (0.36     (0.73     (0.66     (0.59     (0.41

Net asset value, end of period

  $ 38.15     $ 35.45     $ 31.25     $ 31.23     $ 27.95  

TOTAL RETURN3

    8.67     15.99     2.25     13.94     14.19

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 1,653,796     $ 1,290,417     $ 595,351     $ 448,158     $ 104,802  

Ratios to average net assets of:

 

Expenses

    0.28 %4      0.28     0.28     0.29 %5      0.28 %4 

Net investment income

    2.03 %4      2.22     2.30     2.19     2.11 %4 

Portfolio turnover rate6

    4     29     32     35     31

 

             
WisdomTree U.S. SmallCap
Dividend Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 80.63     $ 68.74     $ 71.98     $ 68.33     $ 57.07     $ 49.03  

Investment operations:

 

 

Net investment income1

    1.36       2.09       2.07       1.97       1.85       1.87  

Net realized and unrealized gain (loss)

    3.23       12.27       (3.38     3.62       11.10       8.14  

Total from investment operations

    4.59       14.36       (1.31     5.59       12.95       10.01  

Dividends to shareholders:

 

 

Net investment income

    (1.20     (2.47     (1.93     (1.94     (1.69     (1.97

Net asset value, end of period

  $ 84.02     $ 80.63     $ 68.74     $ 71.98     $ 68.33     $ 57.07  

TOTAL RETURN3

    5.76     21.21     (1.69 )%      8.33     22.99     21.06

RATIOS/SUPPLEMENTAL DATA:

 

 

Net assets, end of period (000’s omitted)

  $ 1,991,259     $ 1,975,473     $ 1,216,658     $ 1,248,932     $ 1,062,525     $ 553,551  

Ratios to average net assets7 of:

 

 

Expenses8

    0.38 %4      0.38     0.38     0.39 %5      0.38     0.38

Net investment income

    3.38 %4      2.75     3.10     2.86     2.93     3.71

Portfolio turnover rate6

    4     44     33     33     42     49
* Commencement of operations.

 

1 

Based on average shares outstanding.

 

2 

Amount represents less than $0.005.

 

3 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree U.S. SmallCap Dividend Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

4 

Annualized.

 

5 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.28% and 0.38%, for WisdomTree U.S. Quality Dividend Growth Fund and WisdomTree U.S. SmallCap Dividend Fund, respectively.

 

6 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

7 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

8 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

See Notes to Financial Statements.

 

122   WisdomTree Domestic Equity Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree U.S. SmallCap Earnings
Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 20171
    For the
Year Ended
March 31, 20161
    For the
Year Ended
March 31, 20151
    For the
Year Ended
March 31, 20141
    For the
Year Ended
March 31, 20131
 

Net asset value, beginning of period

  $ 32.16     $ 25.69     $ 28.14     $ 27.13     $ 21.13     $ 18.86  

Investment operations:

 

 

Net investment income2

    0.17       0.31       0.34       0.33       0.24       0.34  

Net realized and unrealized gain (loss)

    2.76       6.53       (2.48     0.99       5.99       2.29  

Total from investment operations

    2.93       6.84       (2.14     1.32       6.23       2.63  

Dividends to shareholders:

 

 

Net investment income

    (0.15     (0.37     (0.31     (0.31     (0.23     (0.36

Net asset value, end of period

  $ 34.94     $ 32.16     $ 25.69     $ 28.14     $ 27.13     $ 21.13  

TOTAL RETURN3

    9.13     26.75     (7.60 )%      4.89     29.55     14.20

RATIOS/SUPPLEMENTAL DATA:

 

 

Net assets, end of period (000’s omitted)

  $ 517,079     $ 490,370     $ 369,965     $ 422,121     $ 439,571     $ 180,687  

Ratios to average net assets4 of:

 

 

Expenses

    0.38 %5,6      0.38 %6      0.38 %6      0.39 %6,7      0.38     0.38 %6 

Net investment income

    1.04 %5      1.06     1.31     1.24     0.98     1.83

Portfolio turnover rate8

    3     51     43     43     61     50

 

           
WisdomTree U.S. SmallCap Quality Dividend
Growth Fund
  For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the Period
July 25, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

  $ 33.06     $ 28.17     $ 30.12     $ 28.43     $ 25.02  

Investment operations:

 

Net investment income2

    0.34       0.74       0.67       0.65       0.34  

Net realized and unrealized gain (loss)

    1.43       4.87       (2.02     1.69       3.32  

Total from investment operations

    1.77       5.61       (1.35     2.34       3.66  

Dividends and distributions to shareholders:

 

Net investment income

    (0.34     (0.72     (0.60     (0.65     (0.25

Capital gains

                      (0.00 )9       

Total dividends and distributions to shareholders

    (0.34     (0.72     (0.60     (0.65     (0.25

Net asset value, end of period

  $ 34.49     $ 33.06     $ 28.17     $ 30.12     $ 28.43  

TOTAL RETURN3

    5.38     20.12     (4.42 )%      8.37     14.66

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 98,294     $ 102,498     $ 35,208     $ 22,594     $ 24,163  

Ratios to average net assets of:

 

Expenses

    0.38 %5      0.38     0.38     0.39 %7      0.38 %5 

Net investment income

    2.06 %5      2.35     2.43     2.30     1.82 %5 

Portfolio turnover rate8

    4     56     50     53     71
* 

Commencement of operations.

 

1 

Per share amounts were adjusted to reflect a 3:1 stock split effective February 6, 2017.

 

2 

Based on average shares outstanding.

 

3 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree U.S. SmallCap Earnings Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

4 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

5 

Annualized.

 

6 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

7 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.38%.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

9 

Amount represents less than $0.005.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Equity Funds      123  


Table of Contents

Financial Highlights (concluded)

WisdomTree Domestic Equity Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree U.S. Total Dividend Fund   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 84.04     $ 74.24     $ 74.25     $ 68.29     $ 59.33     $ 53.04  

Investment operations:

 

Net investment income1

    1.16       2.07       2.04       1.91       1.68       1.65  

Net realized and unrealized gain (loss)

    3.69       9.97       (0.03     5.86       8.91       6.32  

Total from investment operations

    4.85       12.04       2.01       7.77       10.59       7.97  

Dividends to shareholders:

 

Net investment income

    (1.08     (2.24     (2.02     (1.81     (1.63     (1.68

Net asset value, end of period

  $ 87.81     $ 84.04     $ 74.24     $ 74.25     $ 68.29     $ 59.33  

TOTAL RETURN2

    5.81     16.47     2.84     11.47     18.10     15.39

RATIOS/SUPPLEMENTAL DATA:

 

Net assets, end of period (000’s omitted)

  $ 601,481     $ 571,504     $ 493,708     $ 582,862     $ 419,955     $ 296,638  

Ratios to average net assets3 of:

 

Expenses

    0.28 %4,5      0.28 %5,6      0.28 %5,6      0.29 %5,7      0.28     0.28 %5 

Net investment income

    2.72 %4      2.63     2.83     2.64     2.65     3.05

Portfolio turnover rate8

    2     12     12     13     12     13

 

             
WisdomTree U.S. Total Earnings Fund   For the
Six Months Ended
September 30,
2017 (unaudited)
    For the
Year Ended
March 31, 2017
    For the
Year Ended
March 31, 2016
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
 

Net asset value, beginning of period

  $ 83.67     $ 71.50     $ 73.94     $ 67.79     $ 56.14     $ 50.62  

Investment operations:

           

Net investment income1

    0.78       1.43       1.45       1.34       1.12       1.07  

Net realized and unrealized gain (loss)

    5.75       12.29       (2.34     6.05       11.63       5.51  

Total from investment operations

    6.53       13.72       (0.89     7.39       12.75       6.58  

Dividends and distributions to shareholders:

           

Net investment income

    (0.73     (1.53     (1.55     (1.24     (1.10     (1.06

Return of capital

          (0.02                        

Total dividends and distributions to shareholders

    (0.73     (1.55     (1.55     (1.24     (1.10     (1.06

Net asset value, end of period

  $ 89.47     $ 83.67     $ 71.50     $ 73.94     $ 67.79     $ 56.14  

TOTAL RETURN2

    7.83     19.39     (1.18 )%      10.93     22.89     13.23

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 67,103     $ 62,755     $ 57,204     $ 107,209     $ 71,174     $ 53,329  

Ratios to average net assets of:

 

Expenses

    0.28 %4      0.28     0.28     0.29 %9      0.28     0.28 %3 

Net investment income

    1.80 %4      1.87     2.00     1.88     1.81     2.10 %3 

Portfolio turnover rate8

    1     19     12     16     13     13
1 

Based on average shares outstanding.

 

2 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. For the periods in which the investment advisor waived advisory fees for the WisdomTree U.S. Total Dividend Fund, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

The ratios to average net assets do not include net investment income (loss) or expenses of other funds in which the Fund invests.

 

4 

Annualized.

 

5 

The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

 

6 

Included in the expense ratio are legal expenses. Without these legal expenses, the annualized expense ratio would have been unchanged.

 

7 

Included in the expense ratio are proxy and legal expenses. Without these proxy and legal expenses, the expense ratio would have been 0.28%.

 

8 

Portfolio turnover rate is not annualized and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund’s capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

 

9 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.28%.

 

See Notes to Financial Statements.

 

124   WisdomTree Domestic Equity Funds


Table of Contents

Notes to Financial Statements (unaudited)

 

1. ORGANIZATION

WisdomTree Trust (the “Trust”) is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company. The Trust was established as a Delaware statutory trust on December 15, 2005. As of September 30, 2017, the Trust consisted of 86 operational investment funds (each a “Fund”, collectively, the “Funds”). In accordance with Accounting Standards Update (“ASU”) 2013-08, Financial Services-Investment Companies, each Fund listed below qualifies as an investment company and is applying the accounting and reporting guidance for investment companies. These notes relate only to the Funds listed in the table below:

 

Fund    Commencement
of Operations
 

WisdomTree U.S. Dividend ex-Financials Fund (“U.S. Dividend ex-Financials Fund’’) (formerly, WisdomTree Dividend ex-Financials Fund)

     June 16, 2006  

WisdomTree U.S. Earnings 500 Fund (“U.S. Earnings 500 Fund’’) (formerly, WisdomTree Earnings 500 Fund)

     February 23, 2007  

WisdomTree U.S. High Dividend Fund (“U.S. High Dividend Fund’’) (formerly, WisdomTree High Dividend Fund)

     June 16, 2006  

WisdomTree U.S. LargeCap Dividend Fund (“U.S. LargeCap Dividend Fund’’) (formerly, WisdomTree LargeCap Dividend Fund)

     June 16, 2006  

WisdomTree U.S. LargeCap Value Fund (“U.S. LargeCap Value Fund’’) (formerly, WisdomTree LargeCap Value Fund)

     February 23, 2007  

WisdomTree U.S. MidCap Dividend Fund (“U.S. MidCap Dividend Fund’’) (formerly, WisdomTree MidCap Dividend Fund)

     June 16, 2006  

WisdomTree U.S. MidCap Earnings Fund (“U.S. MidCap Earnings Fund’’) (formerly, WisdomTree MidCap Earnings Fund)

     February 23, 2007  

WisdomTree U.S. Multifactor Fund (“U.S. Multifactor Fund’’)

     June 29, 2017  

WisdomTree U.S. Quality Dividend Growth Fund (“U.S. Quality Dividend Growth Fund’’)

     May 22, 2013  

WisdomTree U.S. SmallCap Dividend Fund (“U.S. SmallCap Dividend Fund’’) (formerly, WisdomTree SmallCap Dividend Fund)

     June 16, 2006  

WisdomTree U.S. SmallCap Earnings Fund (“U.S. SmallCap Earnings Fund’’) (formerly, WisdomTree SmallCap Earnings Fund)

     February 23, 2007  

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (“U.S. SmallCap Quality Dividend Growth Fund’’)

     July 25, 2013  

WisdomTree U.S. Total Dividend Fund (“U.S. Total Dividend Fund’’) (formerly, WisdomTree Total Dividend Fund)

     June 16, 2006  

WisdomTree U.S. Total Earnings Fund (“U.S. Total Earnings Fund’’) (formerly, WisdomTree Total Earnings Fund)

     February 23, 2007  

Each Fund seeks to track the price and yield performance, before fees and expenses, of a particular index (“Index”) developed by WisdomTree Investments, Inc. (“WisdomTree Investments”). WisdomTree Investments is the parent company of WisdomTree Asset Management, Inc. (‘‘WTAM’’), the investment adviser to each Fund and the Trust. “WisdomTree” is a registered trademark of WisdomTree Investments and has been licensed for use by the Trust. Each Fund described herein is considered to be non-diversified.

In the normal course of business, the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds’ maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and believes such exposure to be remote.

2. SIGNIFICANT ACCOUNTING POLICIES

The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (the “Codification”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission (“SEC”) under authority of federal laws are also sources of authoritative GAAP for SEC registrants.

The following is a summary of significant accounting policies followed by the Funds:

Use of Estimates — The preparation of financial statements in conformity with GAAP, requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates.

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 or large investors 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 or system on which they are principally traded. Unlisted equity securities (including preferred stock) are valued at the last quoted sale

 

WisdomTree Domestic Equity Funds      125  


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

price or, if no sale price is available, at the mean between the highest bid and lowest ask price. Fixed income securities (including short-term debt securities with remaining maturities of 60 days or less), if any, 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 broker-dealers yields and quoted prices on similar securities, and market sentiment for the type of security. 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.

In certain instances, such as when reliable market valuations are not readily available or are not deemed to reflect current market values, a Fund’s investments, which include derivatives, will be fair valued in accordance with the Fund’s pricing policy. The Board of Trustees has established a pricing committee (the “Pricing Committee”) which is comprised of senior representatives of WTAM and which 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 a national securities exchange, independent pricing service provider or broker-dealer quotation, or such prices are deemed to not reflect current market value, the Pricing Committee 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.

Fair Value Measurement — In accordance with Codification Topic 820 (“ASC 820”), Fair Value Measurements and Disclosures, fair value is defined as the price that each Fund would receive upon selling an investment in an orderly transaction to an independent buyer in the principal or most advantageous market of the investment. 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 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 on 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, 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. Over-the-counter financial derivative

 

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instruments derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These instruments are normally valued on the basis of broker-dealer quotations or prices obtained from independent pricing service providers. Depending on the product and the terms of the transaction, the value of the financial derivative instruments can be estimated by an independent pricing service provider using a series of techniques including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as issuer details, indices, credit risks/spreads, interest rates, yield curves, default and exchange rates. Derivative contracts that use 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. For the six months ended September 30, 2017, the Funds did not hold or transact in derivative instruments.

Determination of a fair value by the Pricing Committee may include significant unobservable inputs and therefore would be reflected as a Level 3 of the fair value hierarchy. The Pricing Committee 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 Pricing Committee may also use an income-based valuation approach in which anticipated future cash flows of the financial instrument are discounted to calculate fair value. The Pricing Committee meets at least on a monthly basis to review and discuss the appropriateness of such fair values using more current information such as, recent security news, recent market transactions, updated corporate action information and/or other macro or security specific events. Also, when observable inputs become available, the Pricing Committee conducts back testing of the methodologies used to value Level 3 financial instruments to substantiate the unobservable inputs used to value those investments. Such back testing includes comparing Level 3 investment values to observable inputs such as exchange-traded prices, transaction prices, and/or vendor prices.

The following is a summary of the fair valuations according to the inputs used as of September 30, 2017 in valuing each Fund’s assets:

 

U.S. Dividend ex-Financials Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 862,500,039      $      $  

Exchange-Traded Funds

     1,087,773                

Investment of Cash Collateral for Securities Loaned

            21,301,748         

Total

   $ 863,587,812      $ 21,301,748      $  

 

U.S. Earnings 500 Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 143,428,608      $      $  

Exchange-Traded Fund

     193,231                

Investment of Cash Collateral for Securities Loaned

            186,689         

Total

   $ 143,621,839      $ 186,689      $  

 

U.S. High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,221,871,330      $      $  

Exchange-Traded Fund

     3,177,052                

Investment of Cash Collateral for Securities Loaned

            7,312,203         

Total

   $ 1,225,048,382      $ 7,312,203      $  

 

U.S. LargeCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,959,741,285      $      $  

Exchange-Traded Fund

     2,218,575                

Investment of Cash Collateral for Securities Loaned

            4,091,919         

Total

   $ 1,961,959,860      $ 4,091,919      $  

 

U.S. LargeCap Value Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 41,735,029      $      $  

Exchange-Traded Funds

     30,699                

Investment of Cash Collateral for Securities Loaned

            335,846         

Total

   $ 41,765,728      $ 335,846      $  

 

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Notes to Financial Statements (unaudited) (continued)

 

 

U.S. MidCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 2,922,556,931      $      $  

Exchange-Traded Fund

     37,949                

Investment of Cash Collateral for Securities Loaned

            55,826,750         

Total

   $ 2,922,594,880      $ 55,826,750      $  
        
U.S. MidCap Earnings Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 866,435,312      $      $  

Exchange-Traded Fund

     3,337,430                

Investment of Cash Collateral for Securities Loaned

            15,236,970         

Total

   $ 869,772,742      $ 15,236,970      $  
        
U.S. Multifactor Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 2,606,003      $      $  

Total

   $ 2,606,003      $      $  
        
U.S. Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,652,732,276      $      $  

Investment of Cash Collateral for Securities Loaned

            1,553,431         

Total

   $ 1,652,732,276      $ 1,553,431      $  
        
U.S. SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,980,043,159      $      $  

Exchange-Traded Fund

     7,590,003                

Investment of Cash Collateral for Securities Loaned

            115,465,162         

Total

   $ 1,987,633,162      $ 115,465,162      $  
        
U.S. SmallCap Earnings Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 515,141,672      $      $  

Exchange-Traded Fund

     1,582,030                

Investment of Cash Collateral for Securities Loaned

            35,635,797         

Total

   $ 516,723,702      $ 35,635,797      $  
        
U.S. SmallCap Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 98,153,996      $      $  

Investment of Cash Collateral for Securities Loaned

            3,228,077         

Total

   $ 98,153,996      $ 3,228,077      $  
        
U.S. Total Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 600,287,267      $      $  

Exchange-Traded Fund

     386,920                

Investment of Cash Collateral for Securities Loaned

            946,136         

Total

   $ 600,674,187      $ 946,136      $  

 

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Notes to Financial Statements (unaudited) (continued)

 

 

U.S. Total Earnings Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 67,045,402      $      $  

Investment of Cash Collateral for Securities Loaned

            258,445         

Total

   $ 67,045,402      $ 258,445      $  
  * Please refer to the Schedule of Investments for a breakdown of the valuation by industry type and/or country.

There were no Level 3 securities at or during the six months ended September 30, 2017.

The Funds have elected to use the beginning of period method for transfers between fair value measurement levels.

There were no transfers into or out of any fair value measurement levels during the six months ended September 30, 2017.

Investment Transactions and Investment Income Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. Dividend income (net of foreign taxes withheld, if any) is recognized on the ex-dividend date or as soon as practicable after the existence of a dividend declaration has been determined. Non-cash dividend income is recognized at the fair value of securities received on the ex-dividend date or as soon as practicable after the existence of a dividend declaration has been determined. Interest income (including amortization of premiums and accretion of discounts), net of any foreign taxes withheld, is accrued daily. Generally, amortization of premiums and accretion of discounts are recognized daily using the interest method (also known as the scientific amortization method). Income earned from securities lending activities (i.e. Securities lending income), net of fees payable to the securities borrower and/or securities lending agent, is accrued daily.

Expenses/Reimbursements — Under the investment advisory agreement for each Fund, except for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of trustees who are not interested persons of the Funds (“Independent Trustees”); (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust’s Chief Compliance Officer (‘‘CCO’’); (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM.

Under the investment advisory agreement for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other fees, charges, taxes, levies or expenses (such as stamp taxes) incurred in connection with the execution of portfolio transactions or in connection with creation and redemption transactions (including without limitation any fees, charges, taxes, levies or expenses related to the purchase or sale of an amount of any currency, or the partition or repatriation of any security or other asset, related to the execution of portfolio transactions or any creation or redemption transactions); (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust’s CCO; (vi) extraordinary expenses (in each case as determined by a majority of the Independent Trustees); (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; (viii) interest and taxes of any kind or nature (including, but not limited to, income, excise, transfer and withholding taxes); (ix) fees and expenses related to the provision of securities lending services; and (x) the advisory fee payable to WTAM.

Acquired fund fees and expenses (which are fees and expenses incurred indirectly by a Fund through its investments in certain underlying investment companies) are not operating expenses of the Funds and are not paid by WTAM.

During the six months ended September 30, 2017, U.S. High Dividend Fund, U.S. MidCap Dividend Fund and U.S. Total Dividend Fund (the “Affected Funds”) incurred legal expenses (disclosed on the Statements of Operations in “Legal fees”) pertaining to litigation brought against former shareholders of Lyondell Chemical Company (“Lyondell”), such as the Affected Funds. The lawsuit seeks to recover amounts paid to former shareholders of Lyondell as fraudulent transfer in connection with the leveraged buyout of Lyondell by Basell AF S.C.A in December of 2007 after Lyondell filed for bankruptcy in 2008. On September 5, 2017, the bankruptcy judge of the U.S. Bankruptcy Court in New York dismissed the lawsuit with prejudice.

Pursuant to a separate contractual arrangement, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees. WTAM receives a fee, as shown on the Statements of Operations under “Service fees”, of up to 0.0044% of each Fund’s average daily net assets for providing such services and paying such expenses. WTAM provides CCO services to the Trust.

 

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Securities Lending — Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds’ securities lending agent. It is the Funds’ policy that, at origination, all loans are secured by collateral of at least 102% of the value of U.S. securities loaned and 105% of the value of foreign securities loaned. Collateral in the form of cash and/or high-grade debt obligations, equivalent to at least 100% of the market value of securities, is maintained at all times. The cash collateral can be invested in certain money market mutual funds which also have exposure to the fluctuations of the market. The values of the investments of cash collateral for securities on loan along with the obligations to return such collateral are included on the Statements of Assets and Liabilities. The total value of securities received as collateral for securities on loan is included in a footnote following each Schedule of Investments, but is not included within the Statements of Assets and Liabilities because the receiving Fund does not have the right to sell or repledge the securities received as collateral. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash or U.S. government securities held as collateral, net of fee rebates paid to the borrower plus reasonable administrative and custody fees, all of which are included in the securities lending income earned by the Funds and disclosed on the Statements of Operations. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any dividends or interest received on loaned securities. Dividends received while a security is out on loan are not considered Qualified Dividend Income (“QDI”) under the specific criteria issued by the Internal Revenue Service and are subject to taxation at the shareholder’s ordinary income tax rate instead of the lower long-term capital gains tax rate. Lending portfolio securities could result in a loss or delay in recovering each Fund’s securities if the borrower defaults.

Master Netting Arrangements — ASU No. 2011-11 “Disclosures about Offsetting Assets and Liabilities” (“ASU 2011-11”) is generally intended to (i) help investors and other financial statement users to better assess the effect or potential effect of offsetting arrangements on a company’s financial position, (ii) improve transparency in the reporting of how companies mitigate credit risk, and (iii) facilitate comparisons between those entities that prepare their financial statements on the basis of GAAP and those entities that prepare their financial statements on the basis of international financial reporting standards. ASU 2011-11 requires entities to disclose (i) gross and net information about both instruments and transactions eligible for offset in the financial statements, and (ii) instruments and transactions subject to an agreement similar to a master netting agreement. ASU 2011-11 is limited in scope to the following financial instruments, to the extent they are offset in the financial statements or subject to an enforceable master netting arrangement or similar agreement: (i) recognized derivative instruments accounted for under ASC 815 (Derivatives and Hedging); (ii) repurchase agreements and reverse repurchase agreements; and (iii) securities borrowing and securities lending transactions.

A Fund’s security lending activities are governed by a Securities Lending Authorization Agreement (“Lending Agreement”) between the Fund and the lending agent. The Lending Agreement authorizes the lending agent to lend qualifying U.S. and foreign securities held by a Fund to approved borrowers (each a “Borrower”). To mitigate borrower risk, a Fund typically receives from a Borrower, collateral in the form of U.S. dollar cash and/or securities issued or guaranteed by the U.S. government or its agencies in excess of the market value of the securities loaned. Under the provisions of the Lending Agreement, a Fund shall have, as to the collateral, all of the rights and remedies of a secured party under applicable law. A Fund is exposed to risk of loss if a Borrower defaults on its obligation to return borrowed securities and the value of the collateral a Fund received is insufficient to cover the market value of the securities loaned. Also, the lending agent is permitted to invest the cash collateral it receives from a Borrower into a money market fund which is subject to market fluctuation. Therefore, a Fund is exposed to risk of loss if the value of invested cash collateral is insufficient to satisfy the Fund’s obligation to return the full amount owed to such Borrower.

For financial reporting purposes, the Funds elect to not offset assets and liabilities subject to the Lending Agreement or similar arrangements in the Statements of Assets and Liabilities. Therefore, all qualifying transactions, if any at September 30, 2017, are presented on a gross basis in the Statements of Assets and Liabilities. As of September 30, 2017, certain of the Funds had securities on loan and the value of the related collateral received by each of those Funds exceeded the value of the securities loaned by each of those Funds. The value of the securities loaned by each Fund is located in the Statements of Assets and Liabilities in “Investments in securities, at value”. In addition, a breakout of the total amount of cash and non-cash securities lending collateral received is located in the Schedules of Investments.

Short-Term Investments — Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments include short-term obligations issued by the U.S. government, its agencies, non-U.S. government agencies, negotiable certificates of deposit (“CDs”), fixed time deposits and bankers’ acceptances of U.S. and foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker’s acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions.

Tax Information and Dividends and Distributions to Shareholders — It is each Fund’s policy to comply with all requirements of the Internal Revenue Code of 1986, as amended (the “Code”). Each Fund intends to qualify for and to elect treatment as a separate

 

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Regulated Investment Company (“RIC”) under Subchapter M of the Code. In order to qualify for the special tax treatment accorded RICs and their shareholders, each Fund must, among other things, distribute with respect to each taxable year an amount equal to or greater than the sum of 90% of its investment company taxable income and 90% of its net tax-exempt interest income. There can be no guarantee that a Fund will pay dividends. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. The Funds may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains are determined in accordance with the requirements of the Code and the U.S. Treasury regulations. These book/tax differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their Federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions that exceed earnings and profit for tax purposes are reported for tax purposes as a return of capital.

3. ADVISORY FEES AND OTHER TRANSACTIONS WITH AFFILIATES

WTAM has overall responsibility for the general management and administration of the Trust. WTAM provides an investment program for each Fund. WTAM has arranged for Mellon Capital Management Corporation (‘‘MCM’’) to provide sub-advisory services to the Funds. MCM is compensated by WTAM at no additional cost to the Funds. WTAM also arranges for transfer agency, custody, fund accounting, fund administration, securities lending and all other non-distribution related services necessary for the Funds to operate, which are generally under separate agreements entered into between the Trust on behalf of the Funds and the applicable service provider. Under the investment advisory agreement for each Fund, WTAM agrees to pay all expenses of the Funds, except for certain expenses described in Note 2.

Pursuant to a separate contractual arrangement, as also described in Note 2, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees in exchange for an annual fee, accrued daily and paid monthly in arrears, of up to 0.0044% of each Fund’s average daily net assets. WTAM expects to receive advisory fees from each Fund, based on a percentage of the Fund’s average daily net assets, as shown in the following table:

 

Fund    Advisory
Fee Rate
 

U.S. Dividend ex-Financials Fund

     0.38

U.S. Earnings 500 Fund

     0.28

U.S. High Dividend Fund

     0.38

U.S. LargeCap Dividend Fund

     0.28

U.S. LargeCap Value Fund

     0.38

U.S. MidCap Dividend Fund

     0.38

U.S. MidCap Earnings Fund

     0.38

U.S. Multifactor Fund

     0.28

U.S. Quality Dividend Growth Fund

     0.28

U.S. SmallCap Dividend Fund

     0.38

U.S. SmallCap Earnings Fund

     0.38

U.S. SmallCap Quality Dividend Growth Fund

     0.38

U.S. Total Dividend Fund

     0.28

U.S. Total Earnings Fund

     0.28

Each Fund may purchase shares of affiliated ETFs in secondary market transactions to reduce cash balances. For these transactions, WTAM waives its advisory fees for each Fund’s investment in affiliated funds. The waivers may be reduced to offset the incremental costs related to these investments (fund accounting, safekeeping, transaction fees, etc.) that are paid by WTAM out of its advisory fee. The dollar amount of advisory fees waived during the period for the Funds, if any, are shown in the Statements of Operations.

 

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Notes to Financial Statements (unaudited) (continued)

 

Affiliated holdings are funds which are managed by, or an affiliate of, WTAM. Transactions with affiliated funds during the six months ended September 30, 2017 are as follows:

 

Fund   Value at
3/31/2017
    Purchases/
Additions
    Sales/
Reductions
    Realized
Gain/(Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Value at
9/30/2017
    Dividend
Income
 

U.S. Dividend ex-Financials Fund

                                                       

U.S. LargeCap Dividend Fund

  $ 576,613     $ 4,704,369     $ 4,788,036     $ 57,997     $ (7,498   $ 543,445     $ 20,948  

U.S. MidCap Dividend Fund

    572,891       4,721,577       4,790,067       43,397       (3,470     544,328       21,022  

Total

  $ 1,149,504     $ 9,425,946     $ 9,578,103     $ 101,394     $ (10,968   $ 1,087,773     $ 41,970  

U.S. Earnings 500 Fund

                                                       

U.S. High Dividend Fund

  $ 196,920     $ 947,277     $ 963,889     $ 7,893     $ 5,030     $ 193,231     $ 6,930  

U.S. High Dividend Fund

                                                       

U.S. Total Dividend Fund

  $ 2,766,798     $ 9,022,858     $ 8,745,408     $ 23,062     $ 109,742     $ 3,177,052     $ 58,129  

U.S. LargeCap Dividend Fund

                                                       

U.S. Total Dividend Fund

  $     $ 15,865,318     $ 13,718,924     $ 24,230     $ 47,951     $ 2,218,575     $ 55,806  

U.S. LargeCap Value Fund

                                                       

U.S. Earnings 500 Fund

  $ 145,505     $ 42,643     $ 174,514     $ 8,096     $ (229   $ 21,501     $ 1,180  

U.S. MidCap Earnings Fund

    62,851       17,528       73,123       1,842       100       9,198       298  

Total

  $ 208,356     $ 60,171     $ 247,637     $ 9,938     $ (129   $ 30,699     $ 1,478  

U.S. MidCap Dividend Fund

                                                       

U.S. LargeCap Dividend Fund

  $ 106,150     $ 20,939,540     $ 21,302,740     $ 292,604     $ 2,395     $ 37,949     $ 82,978  

U.S. MidCap Earnings Fund

                                                       

U.S. MidCap Dividend Fund

  $ 1,613,146     $ 1,649,358     $ 25,032     $ 250     $ 99,708     $ 3,337,430     $ 32,685  

U.S. SmallCap Dividend Fund

                                                       

U.S. MidCap Dividend Fund

  $ 25,730,657     $ 2,680,778     $ 21,140,472     $ 570,832     $ (251,792   $ 7,590,003     $ 216,476  

U.S. SmallCap Earnings Fund

                                                       

U.S. MidCap Earnings Fund

  $ 2,776,454     $     $ 1,307,844     $ 51,720     $ 61,700     $ 1,582,030     $ 12,284  

U.S. Total Dividend Fund

                                                       

U.S. Total Earnings Fund

  $ 47,084     $ 3,974,721     $ 3,681,326     $ 35,664     $ 10,777     $ 386,920     $ 7,571  

WTAM or its affiliates may from time to time own shares of a Fund. As of September 30, 2017, WTAM held shares of the following Funds which were purchased through an unaffiliated broker in ordinary brokerage transactions in the secondary market in which the Funds’ shares trade:

 

Fund   

Fund Shares

held by

WTAM

    

Market Value

of Fund

Shares held

by WTAM

    

Dividends

paid to

WTAM on

Fund Shares

 

U.S. Earnings 500 Fund

     48      $ 4,178      $ 18  

U.S. High Dividend Fund

     23        1,308        24  

U.S. LargeCap Dividend Fund

     350        30,394        323  

U.S. MidCap Dividend Fund

     84        8,396        85  

U.S. MidCap Earnings Fund

     317        11,805        55  

U.S. Quality Dividend Growth Fund

     370        14,119        133  

U.S. SmallCap Dividend Fund

     49        4,117        57  

U.S. SmallCap Earnings Fund

     134        4,686        20  

U.S. Total Dividend Fund

     79        6,933        85  

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

4. CAPITAL SHARE TRANSACTIONS

As of September 30, 2017, there were an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in creation units or multiples thereof. Except when aggregated in creation units, shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of creation units of a Fund generally consists of the in-kind contribution of a portfolio of equity securities and an amount of cash. Investors purchasing and redeeming creation units may be charged a purchase transaction fee and a redemption transaction fee to offset transfer and other transaction costs associated with the issuance and redemption of creation units.

5. INVESTMENT PORTFOLIO TRANSACTIONS

Purchases and sales of investments (excluding purchases and sales resulting from in-kind capital share transactions and short-term investments) and the cost of purchases and the proceeds from sales resulting from in-kind capital share transactions (excluding short-term investments) for the six months ended September 30, 2017 are shown in the following table. Realized gains and losses on sales resulting from in-kind capital share redemptions, as shown on the Statements of Operations, are not recognized by the Funds for tax purposes.

 

                      In-kind Capital Share  Transactions  
Fund    Purchases      Sales      Purchases      Sales  

U.S. Dividend ex-Financials Fund

   $ 21,764,355      $ 21,133,499      $      $ 57,728,645  

U.S. Earnings 500 Fund

     2,265,719        2,176,331        4,117,690         

U.S. High Dividend Fund

     29,008,929        27,118,991        27,414,404        89,262,747  

U.S. LargeCap Dividend Fund

     35,251,340        33,595,319        29,254,966        96,636,224  

U.S. LargeCap Value Fund

     581,883        522,858               21,355,384  

U.S. MidCap Dividend Fund

     109,645,040        98,547,224        170,943,319        136,895,253  

U.S. MidCap Earnings Fund

     28,152,002        21,569,599        28,516,347         

U.S. Multifactor Fund1

     1,030,313        1,022,617        2,484,731         

U.S. Quality Dividend Growth Fund

     54,489,484        53,420,483        394,378,384        137,964,138  

U.S. SmallCap Dividend Fund

     83,335,411        78,882,592        60,837,287        124,925,385  

U.S. SmallCap Earnings Fund

     15,380,159        13,395,198        6,491,988        21,506,575  

U.S. SmallCap Quality Dividend Growth Fund

     4,501,379        4,460,006        1,665,105        10,060,261  

U.S. Total Dividend Fund

     11,070,081        10,330,947        21,288,018        17,081,853  

U.S. Total Earnings Fund

     990,157        939,370                

 

  1 

For the period June 29, 2017 (commencement of operations) through September 30, 2017.

6. FEDERAL INCOME TAXES

At September 30, 2017, the cost of investments (including securities on loan) for Federal income tax purposes was as follows:

 

Fund    Tax Cost      Gross Unrealized
Appreciation
     Gross Unrealized
Depreciation
     Net Unrealized
Appreciation
 

U.S. Dividend ex-Financials Fund

   $ 798,116,729      $ 140,123,179      $ (53,350,348    $ 86,772,831  

U.S. Earnings 500 Fund

     111,154,890        34,906,463        (2,252,825      32,653,638  

U.S. High Dividend Fund

     1,139,701,726        138,164,706        (45,505,847      92,658,859  

U.S. LargeCap Dividend Fund

     1,663,206,853        353,211,886        (50,366,960      302,844,926  

U.S. LargeCap Value Fund

     37,160,942        5,947,955        (1,007,323      4,940,632  

U.S. MidCap Dividend Fund

     2,728,037,966        408,754,231        (158,370,567      250,383,664  

U.S. MidCap Earnings Fund

     760,758,906        155,845,283        (31,594,477      124,250,806  

U.S. Multifactor Fund

     2,503,555        136,530        (34,082      102,448  

U.S. Quality Dividend Growth Fund

     1,459,326,596        219,939,177        (24,980,066      194,959,111  

U.S. SmallCap Dividend Fund

     1,946,667,916        296,035,771        (139,605,363      156,430,408  

U.S. SmallCap Earnings Fund

     480,222,800        106,712,015        (34,575,316      72,136,699  

U.S. SmallCap Quality Dividend Growth Fund

     96,533,785        11,944,695        (7,096,407      4,848,288  

U.S. Total Dividend Fund

     476,309,643        140,062,083        (14,751,403      125,310,680  

U.S. Total Earnings Fund

     52,220,263        16,364,524        (1,280,940      15,083,584  

 

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Table of Contents

Notes to Financial Statements (unaudited) (concluded)

 

7. SUBSEQUENT EVENT

Effective after the close of trading on November 9, 2017, the total outstanding shares of the U.S. Earnings 500 Fund, U.S. MidCap Dividend Fund, U.S. SmallCap Dividend Fund, and the U.S. Total Earnings Fund each split on a 3-for-1 basis as of record date November 7, 2017. The impact of the stock split increased the number of shares outstanding by a factor of three, while decreasing the NAV per share and market price per share by a factor of three, resulting in no effect on fund net assets or on the total value of a shareholder’s investment.

8. ADDITIONAL INFORMATION

At the recommendation of WTAM, the Board of Trustees of the Trust, with respect to the U.S. LargeCap Value Fund (the “Fund”), has approved modifications to the Fund’s investment objective, strategies and Fund name, including related policies. The Fund will be renamed the “WisdomTree U.S. Quality Shareholder Yield Fund” and will pursue an investment objective that seeks income and capital appreciation. The Fund will be an exchange traded fund that will be actively managed using a model-based approach. The Fund will seek to achieve its investment objective by investing primarily in U.S. equity securities that provide a high “total shareholder yield” with favorable relative quality characteristics. WTAM, using a disciplined model-based process focused on a long-term approach to investing, will seek to identify approximately 200 companies with a high shareholder yield, comprising return of capital to shareholders through either dividend distributions or share buybacks, while also displaying attractive attributes for traditional quality measures. WTAM believes screening equity securities by quality measures such as return-on-equity and return-on-assets can improve the returns to traditional value oriented investment strategies that focus exclusively on total shareholder yield, while also continuing to provide a source for potential income. These changes are scheduled to go into effect on or about December 15, 2017 .

 

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Table of Contents

Approval of Investment Advisory and Sub-Advisory Agreements (unaudited)

 

Consideration of the Renewal of Investment Advisory and Sub-Investment Advisory Agreements with respect to all Funds (except the WisdomTree U.S. Multifactor Fund)

At a meeting of the Board of Trustees (the “Board” or the “Trustees”) of the WisdomTree Trust (the “Trust”) held on September 26-27, 2017 (the “Meeting”), the Trustees, including those Trustees who are not “interested persons” (as defined in the Investment Company Act of 1940, as amended) of the Trust (the “Independent Trustees”), considered the renewal of the Investment Advisory Agreements between WisdomTree Asset Management, Inc. (“WTAM”) and the Trust, on behalf of its series (each, a “Fund,” and, collectively, the “Funds”), pursuant to which WTAM provides the Funds with investment advisory services (the “Advisory Agreements”), the Sub-Advisory Agreement (the “MCM Sub-Advisory Agreement” or “Sub-Advisory Agreement), pursuant to which Mellon Capital Management Corporation (“MCM”) coordinates the investment and reinvestment of the assets of the Funds.

The Trustees requested, and WTAM provided, such information as the Trustees, with advice from counsel to the Trust and independent legal counsel, deemed reasonably necessary to evaluate the Agreements. At a meeting of a committee of Independent Trustees (the “Contracts Review Committee”) held on August 3, 2017, representatives from WTAM presented preliminary information to the Trustees relating to the continuance of the Agreements, and the Trustees, including the Independent Trustees, reviewed and discussed such information. Further information was presented at the Board’s request at the Meeting.

The Independent Trustees were assisted in their review by independent legal counsel and met with counsel in executive session separate from WTAM representatives and the Sub-Adviser. In considering the renewal of the Agreements, the Board considered all factors that it believed to be relevant, including those discussed below. The Board did not identify any one factor as dispositive, and each Trustee may have attributed different weights to the factors considered.

Analysis of Nature, Extent, and Quality of Services Provided to the Funds.

The Board considered information provided to them at the Meeting and in previous presentations throughout the year from WTAM representatives regarding the nature, extent, and quality of the services provided to the Funds, recognizing WTAM’s and the Sub-Adviser’s operational capabilities and resources. The Board also discussed the role of WisdomTree Investments, Inc. (“WTI”), the parent of WTAM, as index provider to certain Funds, which comprise the substantial majority of assets in the WisdomTree fund complex. The Board noted that the strategies represented by those Funds tracking affiliated WTI indexes are unique, based on WTI’s intellectual property and are only available for use by applicable Funds through WTAM. The Board noted WTAM’s belief that shareholders have invested in such Funds on the strength of WTI’s intellectual property and WTAM’s industry standing and reputation and with the expectation that WTAM will have a continuing role in providing advisory services to the Funds based on the WTI indexes. The Board also noted the extensive responsibilities that WTAM has as investment adviser to the Funds, including: the selection of, and supervisory responsibilities and activities over, the Sub-Adviser, including oversight of the Sub-Adviser’s adherence to each Fund’s investment strategy and restrictions, monitoring of the Sub-Adviser’s buying and selling of securities and derivatives transactions, review of Sub-Adviser performance, review of proxies voted by the Sub-Adviser and oversight of, and the provision of consultation to, the Sub-Adviser with respect to the creation of custom creation or redemption baskets for authorized participants; oversight of the daily valuation of the Funds’ portfolio holdings; oversight of general Fund compliance with federal and state laws; and implementation of Board directives as they relate to the Funds. The Board also considered research support available to, and management capabilities of, the Funds’ management personnel and that WTAM provides oversight of day-to-day Fund operations, including fund accounting, tax matters, administration and legal assistance in meeting disclosure and regulatory requirements. Based on management’s representations, the Board expected that there would be no reduction in the scope of services required by or provided by WTAM and the Sub-Adviser under the relevant Agreements. The Board noted that WTAM has continued to commit significant resources toward the fund complex and has made substantial investments to improve the services offered by WTAM, which benefit Fund shareholders.

Based on review of this information and the other factors considered at the Meeting, the Board concluded that the nature, extent and quality of services provided by WTAM and the Sub-Adviser under the Advisory Agreements and Sub-Advisory Agreements, respectively, are adequate and appropriate and supported the Board’s approval of the renewal of the Agreements.

Comparative Analysis of the Funds’ Performance and Management Fee and Expense Ratio.

The Board reviewed reports prepared by Broadridge Financial Solutions, Inc. (“Broadridge”), an independent provider of investment company data, which included information (1) measuring each index Fund’s performance by how well it tracked the relevant benchmark index and (2) comparing each Fund’s actual management fees and total expenses with those of a group of comparable funds (the “Expense Group”) and, with respect to total expenses, with a broader group of funds (the “Expense Universe”), the information for which was derived in part from fund financial statements available to Broadridge as of the date of its analysis. The Contracts Review Committee and the Independent Trustees previously had reviewed and discussed the methodology Broadridge used to select the Expense Groups and Expense Universes. The Board noted that the Expense Groups and Expense Universes included only pure-index and index-based exchange traded funds (“ETFs”) as comparison funds. The Board also noted

 

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Approval of Investment Advisory and Sub-Advisory Agreements (unaudited) (continued)

 

that due to the special characteristics of certain Funds, there are limitations in providing comparable funds in the Performance Groups, Expense Groups and Expense Universes, and the information in the Broadridge reports may or may not provide meaningful direct comparisons to the Funds. The Board also reviewed reports prepared by WTAM presenting performance data for Funds with ten years of performance history and for WisdomTree indexes with at least three years of performance history that are tracked by an index Fund.

The Board discussed the index Funds’ performance, noting that the substantial majority of index Funds seek to track their own WisdomTree benchmark index. During the prior year, the Board received periodic reports on the Funds’ performance in comparison to their relevant benchmark indexes. In response to questions from the Independent Trustees, WTAM representatives discussed the relative performance of the Funds and the factors affecting such performance. On that basis, the Board determined to monitor carefully in the coming year disparities in performance — both positive and negative — but did not believe that the disparities in the past reflected any characteristics requiring immediate action by WTAM or the Sub-Adviser.

The Board also reviewed the range of actual management fees and total expenses of the Expense Group funds and, with respect to total expenses, Expense Universe funds, as well as the advisory fees and total expenses of certain funds not included in the Broadridge reports that WTAM considers to be significant competitors of the Funds, and discussed the results of the comparisons. With respect to comparisons of actual management fees, the Board noted the Funds’ unitary fee structure and that the Expense Groups and Expense Universes generally included both ETFs with and without a unitary fee structure. The Board also noted that certain comparison funds in certain Expense Groups and Expense Universes benefited from waivers of all or a portion of their management fees and reimbursement of certain operating expenses. The Board noted that the total expenses of many of the Funds were within five basis points of the median or average total expenses of the funds in the Funds’ respective Expense Groups. In those specific instances where a Fund’s total expenses departed more significantly from comparative funds, the Independent Trustees sought explanations from WTAM, which generally attributed the disparities to the limitations within peer data and/or the unique attributes of a Fund.

The Board considered the fees to the Sub-Adviser in relation to the fees paid to WTAM by the Funds and the respective services provided by the Sub-Adviser and WTAM. The Board also noted that the Sub-Adviser’s fees are paid by WTAM (out of its fee paid by the relevant Funds) and not the Funds. The Board considered the meaningful differences in the services that WTAM provides to the Funds as compared to the Sub-Adviser, including that the role of the Sub-Adviser in making investment recommendations with respect to a Fund tracking an index is a rules-based function, with oversight by WTAM in seeking to ensure compliance with such rules. The Board also considered the entrepreneurial and expense risk borne by WTAM that is associated with Funds’ unitary fee structure, which frequently includes minimum fees (such as those to the Sub-Adviser), regardless of whether the asset size of a Fund has grown to a sufficient size.

Based on this review and the other factors considered at the Meeting, the Board concluded that, with respect to each Fund, the Fund’s performance, the fees paid to WTAM and the Sub-Adviser and the Fund’s total expenses supported the Board’s approval of the renewal of the relevant Agreements.

Analysis of Profitability and Economies of Scale.

WTAM representatives reviewed the expenses allocated and profit received by WTAM and the resulting profitability percentage for managing each Fund and the aggregate profitability percentage to WTAM for managing the WisdomTree fund complex, and the method used to determine the expenses and profit.

The Board considered the profitability analysis (1) as part of its evaluation of whether the fees under the Agreements bear a reasonable relationship to the mix of services provided by WTAM and the Sub-Adviser, including the nature, extent and quality of such services, and (2) in light of the relevant circumstances for each Fund and the extent to which economies of scale would be realized if the Fund grows and whether fee levels reflect these economies of scale for the benefit of Fund shareholders. WTAM representatives noted that a discussion of economies of scale is predicated on a Fund having achieved a substantial size and that, if a Fund’s assets had been decreasing, the possibility that WTAM may have realized any economies of scale would be less. WTAM representatives also noted that, as a result of shared and allocated costs among the WisdomTree funds, the extent of economies of scale could depend substantially on the level of assets in the fund complex as a whole. The Board noted that certain Funds had grown rapidly over a relatively short period of time after longer periods of slow or no growth, during which there were years of losses for WTAM in managing such Funds that had only recently turned profitable and years of substantial cumulative losses to WTAM in managing the fund complex as a whole. WTAM representatives stated that there has been significant volatility in the assets of individual Funds and in the fund complex as a whole over time (including volatility in profitability) and that it was not clear that current asset levels will be maintained. WTAM representatives noted that assets in certain Funds have diminished at times at a rapid rate (including during the last year) and could continue to do so. WTAM representatives also noted that economies of scale currently are shared with the Funds by way of the unitary fee structure of the Trust, as well as through additional investment in the WisdomTree business. The Board noted that the Contracts Review Committee had focused on the issue of economies of scale during

 

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Approval of Investment Advisory and Sub-Advisory Agreements (unaudited) (continued)

 

its meetings. The Board also noted that it would continue to monitor the sharing of economies of scale, focusing in particular on Funds that have experienced significant asset growth, to determine the appropriateness of adding breakpoints in the future. The Board also considered potential benefits to WTAM and the Sub-Adviser from acting as investment adviser and sub-investment adviser, respectively, and noted that there were no soft dollar arrangements in effect for trading the Funds’ investments. Based on this review, the Board concluded that the profitability results were consistent with the services rendered and service levels provided by WTAM and the entrepreneurial risk WTAM has undertaken over time.

*    *    *    *    *    *

At the conclusion of these discussions, the Board agreed that it had been furnished with sufficient information to make an informed business decision with respect to the renewal of the Agreements. In evaluating the Agreements, the Board considered the conclusions and determinations discussed above and also relied on its previous knowledge, gained through meetings and other interactions with WTAM and the Sub-Adviser, of the Funds and the services provided to the Funds by WTAM and the Sub-Adviser. The Board also relied on information received on a routine and regular basis throughout the year relating to the operations of the Funds and the investment advisory and other services provided under the Agreements. In light of the foregoing, the Board, including a majority of the Independent Trustees, determined to approve the renewal of the Agreements.

Consideration of the Approval of Investment Advisory and Sub-Advisory Agreements with respect to the WisdomTree U.S. Multifactor Fund (the “Fund”)

At a meeting of the Board of Trustees (the “Board”) of the WisdomTree Trust (the “Trust”) held on June 13-14, 2017, the Trustees (the “Trustees”), including those Trustees who are not “interested persons” (as defined in the Investment Company Act of 1940, as amended) of the Trust (the “Independent Trustees”), considered the approval of the Investment Advisory Agreement (the “Advisory Agreement”), pursuant to which WisdomTree Asset Management, Inc. (“WTAM”) will provide the Fund with investment advisory services, and the Sub-Advisory Agreement (together with the Advisory Agreement , the “Agreements”), pursuant to which Mellon Capital Management Corporation (the “Sub-Adviser”) will coordinate the investment and reinvestment of the assets of the Fund.

In considering whether to approve the Agreements, the Trustees considered and discussed information and analysis provided by WTAM and Broadridge Financial Solutions, Inc., an independent provider of investment company data. The Trustees were assisted in their review by counsel to the Trust and independent legal counsel, and met with counsel in executive session separate from WTAM representatives and the Sub-Adviser. In considering the approval of the Agreements, the Board considered all factors that it believed to be relevant, including those discussed below. The Board did not identify any one factor as dispositive, and each Trustee may have attributed different weights to the factors considered.

Analysis of Nature, Extent, and Quality of Services to be Provided to the Fund

The Board considered information provided to them at the meeting and in previous presentations throughout the year from WTAM representatives regarding the nature, extent, and quality of the services provided to the WisdomTree funds, recognizing WTAM’s and the Sub-Adviser’s operational capabilities and resources. The Board also discussed the role of WisdomTree Investments, Inc. (“WTI”), the parent of WTAM, as index provider to the Fund. The Board noted that the strategy represented by the Fund is unique, based on WTI’s intellectual property and is only available for use by the Fund through WTAM. The Board noted WTAM’s belief that shareholders will invest in the Fund on the strength of WTI’s intellectual property and WTAM’s industry standing and reputation and with the expectation that WTAM will have a continuing role in providing advisory services to the Fund based on the WTI indexes. The Board also noted the extensive responsibilities that WTAM will have as investment adviser to the Fund, including: the selection of, and supervisory responsibilities and activities over, the Sub-Adviser, including oversight of the Sub-Adviser’s adherence to the Fund’s investment strategy and restrictions, monitoring of the Sub-Adviser’s buying and selling of securities and derivatives transactions, review of Sub-Adviser performance, review of proxies voted by the Sub-Adviser and oversight of, and the provision of consultation to, the Sub-Adviser with respect to the creation of custom creation or redemption baskets for authorized participants; oversight of the daily valuation of the Fund’s portfolio holdings; oversight of general Fund compliance with federal and state laws; and implementation of Board directives as they relate to the Fund. The Board also considered research support available to, and management capabilities of, the Fund’s management personnel and that WTAM will provide oversight of day-to-day Fund operations, including fund accounting, tax matters, administration, compliance and legal assistance in meeting disclosure and regulatory requirements.

Based on review of this information and the other factors considered at the meeting, the Board concluded that the nature, extent and quality of services to be provided by WTAM and the Sub-Adviser under the Advisory Agreement and Sub-Advisory Agreement, respectively, are adequate and appropriate and supported the Board’s approval of the Agreements.

 

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Approval of Investment Advisory and Sub-Advisory Agreements (unaudited) (concluded)

 

Comparative Analysis of the Fund’s Performance, Advisory Fees and Fund Expenses

As the Fund had not yet commenced operations, the Board was not able to review the Fund’s performance. The Board discussed with WTAM representatives the portfolio management team and the investment strategies to be employed in the management of the Fund’s assets. The Board noted the reputation and experience of WTAM and the Sub-Adviser.

The Board considered the fees to be paid to WTAM by the Fund. The Board examined the fee to be paid by the Fund in light of fees paid to other investment advisers by comparable funds and the method of computing the Fund’s fee. The Board also considered the fee to be paid to the Sub-Adviser in relation to the fee to be paid to WTAM by the Fund and the respective services to be provided by the Sub-Adviser and WTAM. The Board also noted the Sub-Adviser’s fee will be paid by WTAM (out of its fee paid by the Fund) and not the Fund. The Board considered the meaningful differences in the services that WTAM will provide to the Fund as compared to the Sub-Adviser, including that the role of the Sub-Adviser in making investment recommendations with respect to the Fund is a rules-based function, with oversight by WTAM in seeking to ensure compliance with such rules. The Board also considered the entrepreneurial and expense risk to be borne by WTAM that is associated with the Fund’s unitary fee structure, which includes minimum fees (such as those to the Sub-Adviser), regardless of whether the asset size of the Fund grows to a sufficient size. Based on this review, the Board concluded that the fees to be paid to WTAM and the Sub-Adviser supported the Board’s approval of the Agreements.

Analysis of Profitability and Economies of Scale

As the Fund had not yet commenced operations, WTAM representatives were not able to review the dollar amount of expenses allocated and profit received by WTAM, or any economies of scale. The Board considered potential benefits to WTAM and the Sub-Adviser from acting as investment adviser and sub-adviser, respectively. The Board also considered the uncertainty of the estimated asset levels and the renewal requirements for advisory agreements and their ability to review the advisory fees annually after the initial term of the Agreements. The Board determined that because the Fund had not yet commenced operations, economies of scale were not a factor, but, to the extent in the future it were determined that material economies of scale had not been shared with the Fund, the Board would seek to have those economies of scale shared with the Fund in connection with future renewals.

* * * * * *

In evaluating the Agreements, the Board considered the conclusions and determinations discussed above and also relied on its knowledge, gained through meetings and other interactions with WTAM and the Sub-Adviser, of other funds advised by WTAM and the Sub-Adviser. In light of the foregoing, the Board, including a majority of the Independent Trustees, determined to approve the Agreements.

 

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General Information (unaudited)

 

Proxy Voting Policies, Procedures and Record

A complete copy of the Proxy Voting Policy may be obtained upon request, at no charge, by calling 1-866-909-WISE (9473) or writing to: WisdomTree Trust, c/o Foreside Fund Services, LLC, Three Canal Plaza Suite 100, Portland, ME, 04101.

The Trust is required to disclose annually the Funds’ complete proxy voting record on Form N-PX covering the most recent 12-month period ended June 30 and to file Form N-PX with the SEC no later than August 31 of each year. The current Form N-PX for the Funds is available at no charge upon request by calling 1-866-909-WISE (9473) or through the Trust’s website at www.wisdomtree.com. The Funds’ Form N-PX is also available on the SEC’s website at www.sec.gov.

Shareholder Reports and Quarterly Portfolio Disclosure

The Funds are required to file their complete schedule of portfolio holdings with the SEC for their first and third fiscal quarters on Form N-Q. Copies of the filings are available, without charge, on the SEC’s website at www.sec.gov and are also available by calling the Trust at 1-866-909-WISE (9473). You can also obtain copies of Form N-Q by (i) visiting the SEC’s Public Reference Room in Washington, DC (information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330); (ii) sending your request and a duplicating fee to the SEC’s Public Reference Room, Washington, DC 20549-0102; or (iii) sending your request electronically to publicinfo@sec.gov.

Information about each Fund’s portfolio holdings is available daily, without charge, at www.wisdomtree.com.

The Statement of Additional Information (“SAI”) has additional information about the Funds’ Trustees and Officers and is available without charge upon request. Contact your financial representative for a free prospectus or SAI.

Frequency Distribution of Discounts & Premiums

Information about differences between the per share net asset value of each Fund and the market trading price of shares of each Fund are available, without charge, at www.wisdomtree.com.

 

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The WisdomTree Family of Funds

The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols, as of September 30, 2017:

 

WisdomTree Domestic Equity Funds

 

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

 

WisdomTree U.S. Earnings 500 Fund (EPS)

 

WisdomTree U.S. High Dividend Fund (DHS)

 

WisdomTree U.S. LargeCap Dividend Fund (DLN)

 

WisdomTree U.S. LargeCap Value Fund (EZY)

 

WisdomTree U.S. MidCap Dividend Fund (DON)

 

WisdomTree U.S. MidCap Earnings Fund (EZM)

 

WisdomTree U.S. Multifactor Fund (USMF)

 

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

 

WisdomTree U.S. SmallCap Dividend Fund (DES)

 

WisdomTree U.S. SmallCap Earnings Fund (EES)

 

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

 

WisdomTree U.S. Total Dividend Fund (DTD)

 

WisdomTree U.S. Total Earnings Fund (EXT)

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds

 

WisdomTree Australia Dividend Fund (AUSE)

 

WisdomTree Dynamic Currency Hedged Europe Equity Fund (DDEZ)

 

WisdomTree Dynamic Currency Hedged International Equity Fund (DDWM)

 

WisdomTree Dynamic Currency Hedged International Quality Dividend Growth Fund (DHDG)

 

WisdomTree Dynamic Currency Hedged International SmallCap Equity Fund (DDLS)

 

WisdomTree Dynamic Currency Hedged Japan Equity Fund (DDJP)

 

WisdomTree Europe Hedged Equity Fund (HEDJ)

 

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

 

WisdomTree Europe Domestic Economy Fund (EDOM)

 

WisdomTree Europe Quality Dividend Growth Fund (EUDG)

 

WisdomTree Europe SmallCap Dividend Fund (DFE)

 

WisdomTree Germany Hedged Equity Fund (DXGE)

 

WisdomTree Global ex-U.S. Hedged Dividend Fund (DXUS)

 

WisdomTree Global ex-U.S. Hedged Real Estate Fund (HDRW)

 

WisdomTree Global Hedged SmallCap Dividend Fund (HGSD)

 

WisdomTree International Dividend ex-Financials Fund (DOO)

 

WisdomTree International Equity Fund (DWM)

 

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

 

WisdomTree International High Dividend Fund (DTH)

 

WisdomTree International LargeCap Dividend Fund (DOL)

 

WisdomTree International MidCap Dividend Fund (DIM)

 

WisdomTree International Quality Dividend Growth Fund (IQDG)

 

WisdomTree International SmallCap Dividend Fund (DLS)

 

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

 

WisdomTree Japan Hedged Equity Fund (DXJ)

 

WisdomTree Japan Hedged Financials Fund (DXJF)

 

WisdomTree Japan Hedged Health Care Fund (DXJH)

 

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

 

WisdomTree Japan Hedged Real Estate Fund (DXJR)

 

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

 

WisdomTree Japan SmallCap Dividend Fund (DFJ)

 

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

 

  

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets

 

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

 

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

 

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

 

WisdomTree Emerging Markets Dividend Fund (DVEM)

 

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

 

WisdomTree Emerging Markets High Dividend Fund (DEM)

 

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

 

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

 

WisdomTree Global ex-Mexico Equity Fund (XMX)

 

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

 

WisdomTree Global ex-U.S. Real Estate Fund (DRW)

 

WisdomTree Global High Dividend Fund (DEW)

 

WisdomTree Global SmallCap Dividend Fund (GSD)

 

WisdomTree India Earnings Fund (EPI)

 

WisdomTree Middle East Dividend Fund (GULF)

 

WisdomTree Dollar Sensitive Equity Funds

 

WisdomTree Strong Dollar Emerging Markets Equity Fund (EMSD)

 

WisdomTree U.S. Domestic Economy Fund (WUSA)

 

WisdomTree U.S. Export and Multinational Fund (WEXP)

 

WisdomTree Currency Strategy Funds

 

WisdomTree Bloomberg U.S. Dollar Bullish Fund (USDU)

 

WisdomTree Brazilian Real Strategy Fund (BZF)

 

WisdomTree Chinese Yuan Strategy Fund (CYB)

 

WisdomTree Emerging Currency Strategy Fund (CEW)

 

WisdomTree Fixed Income Funds

 

WisdomTree Asia Local Debt Fund (ALD)

 

WisdomTree Barclays Yield Enhanced U.S. Aggregate Bond Fund (AGGY)

 

WisdomTree Barclays Yield Enhanced U.S. Short-Term Aggregate Bond Fund (SHAG)

 

WisdomTree Barclays Negative Duration U.S. Aggregate Bond Fund (AGND)

 

WisdomTree Barclays Interest Rate Hedged U.S. Aggregate Bond Fund (AGZD)

 

WisdomTree Bloomberg Floating Rate Treasury Fund (USFR)

 

WisdomTree Negative Duration High Yield Bond Fund (HYND)

 

WisdomTree Interest Rate Hedged High Yield Bond Fund (HYZD)

 

WisdomTree Emerging Markets Corporate Bond Fund (EMCB)

 

WisdomTree Emerging Markets Local Debt Fund (ELD)

 

WisdomTree Fundamental U.S. Corporate Bond Fund (WFIG)

 

WisdomTree Fundamental U.S. High Yield Corporate Bond Fund (WFHY)

 

WisdomTree Fundamental U.S. Short-Term Corporate Bond Fund (SFIG)

 

WisdomTree Fundamental U.S. Short-Term High Yield Corporate Bond Fund (SFHY)

 

WisdomTree Alternative Funds

 

WisdomTree CBOE S&P 500 PutWrite Strategy Fund (PUTW)

 

WisdomTree Continuous Commodity Index Fund (GCC)

 

WisdomTree Dynamic Bearish U.S. Equity Fund (DYB)

 

WisdomTree Dynamic Long/Short U.S. Equity Fund (DYLS)

 

WisdomTree Managed Futures Strategy Fund (WDTI)


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The WisdomTree Funds are exchange traded funds (“ETFs”) registered with the United States Securities and Exchange Commission as separate series (“Funds”) of WisdomTree Trust (“Trust”). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree Investments, Inc., serves as the investment adviser to the Trust. None of the WisdomTree entities are affiliated with Foreside Fund Services, LLC, the Funds’ distributor. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, delays, or for any actions taken in reliance on information contained herein.

Investors should consider the investment objectives, risks, charges and expenses of the Funds carefully before investing. A prospectus, containing this and other information, is available at www.wisdomtree.com, or by calling 1-866-909-WISE (9473). Investors should read the prospectus carefully before investing. There are risks associated with investing, including possible loss of principal. Past performance does not guarantee future results. Indexes are unmanaged and you cannot invest directly in an index.

There are risks associated with investing, including possible loss of principal. Funds focusing their investments on certain sectors and/or smaller companies increase their vulnerability to any single economic or regulatory development. This may result in greater share price volatility. Due to the investment strategy of certain Funds they may make higher capital gain distributions than other ETFs. Please read the Fund’s prospectus for specific details regarding the Fund’s risk profile.

Transactions in Fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the Funds only by Authorized Participants in large creation unit sizes of shares.


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WisdomTree Trust

245 Park Avenue, 35th Floor

New York, NY 10167

 

LOGO

 

LOGO

 

WisdomTree Domestic Equity Funds

WisdomTree U.S. Dividend ex-Financials Fund (DTN)

(formerly, WisdomTree Dividend ex-Financials Fund)

WisdomTree U.S. Earnings 500 Fund (EPS)

(formerly, WisdomTree Earnings 500 Fund)

WisdomTree U.S. High Dividend Fund (DHS)

(formerly, WisdomTree High Dividend Fund)

WisdomTree U.S. LargeCap Dividend Fund (DLN)

(formerly, WisdomTree LargeCap Dividend Fund)

WisdomTree U.S. LargeCap Value Fund (EZY)

(formerly, WisdomTree LargeCap Value Fund)

WisdomTree U.S. MidCap Dividend Fund (DON)

(formerly, WisdomTree MidCap Dividend Fund)

WisdomTree U.S. MidCap Earnings Fund (EZM)

(formerly, WisdomTree MidCap Earnings Fund)

WisdomTree U.S. Multifactor Fund (USMF)

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

WisdomTree U.S. SmallCap Dividend Fund (DES)

(formerly, WisdomTree SmallCap Dividend Fund)

WisdomTree U.S. SmallCap Earnings Fund (EES)

(formerly, WisdomTree SmallCap Earnings Fund)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

WisdomTree U.S. Total Dividend Fund (DTD)

(formerly, WisdomTree Total Dividend Fund)

WisdomTree U.S. Total Earnings Fund (EXT)

(formerly, WisdomTree Total Earnings Fund)

WisdomTree Fund shares are distributed by Foreside Fund Services, LLC, in the U.S. only.

WTGM-0041


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Item 2. Code of Ethics.

Not applicable.

 

Item 3. Audit Committee Financial Expert.

Not applicable.

 

Item 4. Principal Accountant Fees and Services.

Not applicable.

 

Item 5. Audit Committee of Listed registrants.

Not applicable.

 

Item 6. Investments.

 

(a) Schedule of Investments in securities of unaffiliated issuers as of the close of the reporting period is included as part of the report to shareholders filed under Item 1 of this form.

 

(b) Not applicable.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not applicable.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

Not applicable.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

Not applicable.


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Item 10. Submission of Matters to a Vote of Security Holders.

There have been no material changes to the procedures by which the shareholders may recommend nominees to the registrant’s board of directors, where those changes were implemented after the registrant last provided disclosure in response to the requirements of Item 407(c)(2)(iv) of Regulation S-K (17 CFR 229.407) (as required by Item 22(b)(15) of Schedule 14A (17 CFR 240.14a-101)), or this Item.

 

Item 11. Controls and Procedures.

 

  (a) The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)).

 

  (b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrant’s second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

Item 12. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies

Not applicable.

 

Item 13. Exhibits.

 

  (a)(1) Not applicable.

 

  (a)(2) Certifications pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto.

 

  (a)(3) Not applicable.

 

  (b) Certifications pursuant to Rule 30a-2(b) under the 1940 Act and Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto.


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SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant)  

WisdomTree Trust

By (Signature and Title)  

  /s/ Jonathan L. Steinberg

  Jonathan L. Steinberg, President
  (principal executive officer)
Date: December 1, 2017

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By (Signature and Title)  

  /s/ Jonathan L. Steinberg

  Jonathan L. Steinberg, President
  (principal executive officer)
Date: December 1, 2017
By (Signature and Title)  

  /s/ David Castano

  David Castano, Treasurer
  (principal financial officer)
Date: December 1, 2017