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RESD WisdomTree International ESG Fund

29.27 0.12 (+0.41%)

Quote as of Jan 26, 2024 20:03 UTC · Market data delayed approximately 15–20 minutes unless otherwise indicated.

Compare Overlap News
Previous Close29.16 Day Range29.26 – 29.31
52-Week Range25.75 – 29.53 Volume10.04K
Avg Volume2.05K AUM$11.7M (Aug 26, 2026)
Expense Ratio0.30% Yield (TTM)
NAV29.14 Premium/Discount+0.46% indicative
InceptionJan 02, 2020 Holdings2
IssuerWisdomTree ExchangeCBOE
CategoryDeveloped Markets Index TrackedNot stated in source data
CUSIP97717Y709 ISINUS97717Y7094
ManagementActively managed (per issuer description)

About this ETF

The fund is actively managed using a model-based approach. It seeks to achieve its investment objective by investing primarily in equity securities of issuers in developed markets excluding the United States and Canada that exhibit certain characteristics that the Adviser believes to be indicative of positive future returns as well as incorporating favorable environmental, social, and governance ("ESG") characteristics based on a model developed by WisdomTree Asset Management. The fund is non-diversified.

Description from the fund data provider · profile as of Aug 26, 2026.

Price Chart

Daily closing prices (price return, not total return). Comparison lines are normalized to percent change from the range start. Source: Financial Modeling Prep.

Performance

1M3M6MYTD1Y3Y*5Y*10Y*Incep.*
Price return +0.72% +6.28% +7.53% -0.24% +8.48% -0.44% +4.97% +5.43%
Total return +0.72% +6.78% +8.52% -0.24% +11.67% +1.40% +6.49% +6.54%

* Annualized. Total return uses the dividend-adjusted price series (distributions reinvested); price return uses unadjusted closes. Performance through Feb 15, 2024. Past performance does not guarantee future results.

Fees

Net expense ratio0.30% Annual cost of a $10,000 investment$30.00

Illustrative calculation only: expense ratio × $10,000. It excludes trading costs, bid/ask spreads, taxes and changes in investment value. Gross vs. net expense details and any fee waivers are in the prospectus.

Holdings

Holdings as of Feb 02, 2024 — portfolio reporting date from the data provider; holdings are not live positions. 2 rows in database.

#HoldingTickerWeightSharesMarket Value
1 US DOLLAR 100.00% 11.66M $11.7M
2 POUND STERLING 0.00% 411 $521.42

Click a ticker to see every ETF that owns it.

Sector Exposure

Financial Services 20.25%
Industrials 16.36%
Consumer Defensive 12.68%
Healthcare 12.17%
Consumer Cyclical 10.71%
Technology 8.90%
Communication Services 6.90%
Basic Materials 5.97%
Utilities 4.22%
Real Estate 1.86%

Geographic Exposure

Other 100.00%

Country weights as reported by the data provider. Developed/emerging/frontier labels follow the classification on the Methodology page. Currency hedged: No hedging indicated in the fund name.

Distributions

Yield (TTM) Paid (last 12 months)
FrequencyQuarterly SEC yieldNot provided by our data source — see the issuer page
Last ex-dateDec 22, 2023 Last payment$0.1400 (Dec 28, 2023)
Growth 1Y Growth 3Y / 5Y (ann.)— / —
Ex-dateRecordPay dateAmount
Dec 22, 2023Dec 26, 2023 Dec 28, 2023$0.1400
Sep 25, 2023Sep 26, 2023 Sep 28, 2023$0.1200
Jun 26, 2023Jun 27, 2023 Jun 29, 2023$0.3400
Mar 27, 2023Mar 28, 2023 Mar 30, 2023$0.2000
Dec 23, 2022Dec 27, 2022 Dec 29, 2022$0.0130
Sep 26, 2022Sep 27, 2022 Sep 29, 2022$0.0085
Jun 24, 2022Jun 27, 2022 Jun 29, 2022$0.0379
Mar 25, 2022Mar 28, 2022 Mar 30, 2022$0.0052
Dec 27, 2021Dec 28, 2021 Dec 30, 2021$0.2100
Sep 24, 2021Sep 27, 2021 Sep 29, 2021$0.1000
Jun 24, 2021Jun 25, 2021 Jun 29, 2021$0.3600
Mar 25, 2021Mar 26, 2021 Mar 30, 2021$0.0600

Trailing distribution yield = last 12 months of cash ÷ current price. It is NOT the SEC 30-day yield and distributions are not guaranteed to continue. The difference explained →

Risk Statistics

Risk statistics need at least a year of price history — not yet available for this fund.

Liquidity

Volume today10.04K Average volume2.05K
AUM$11.7M Premium/Discount+0.46%
Bid/Ask spreadNot provided by our data source. Check your broker's quote screen; spreads are widest at the open and close.

Premium/discount compares the delayed market price with the last reported NAV — an indicative figure, not the official closing premium/discount. How ETF liquidity works →

Official Fund Resources

External links open the issuer's site or SEC EDGAR in a new tab. The prospectus and official documents are always the authoritative source — review them before investing.

Latest News for RESD

No articles mention this fund directly in the last 7 days — showing general ETF coverage.

All news for RESD →

Guided help: AUM is fund size. The expense ratio is the yearly cost baked into returns. NAV is the value of what the fund owns per share; the market price can sit slightly above (premium) or below (discount) it. Total return assumes distributions were reinvested. Every dataset shows its own as-of date because holdings, assets and quotes update on different schedules.

Commodity

Commodities (broad)GoldOil & GasSilver

Digital Assets

CryptocurrencyBitcoin

Fixed Income

Bonds (all)International BondsGovernment BondsTreasury BondsCorporate BondsHigh Yield BondsMunicipal BondsTIPS / Inflation-Protected

Income

DividendCovered Call / Option IncomePreferred Stocks

Region

InternationalGlobalDeveloped MarketsEmerging MarketsInternational Small CapFrontier Markets

Sector & Theme

FinancialsTechnologyEnergyReal Estate / REITsHealthcareMaterialsIndustrialsClean EnergyInfrastructure

Strategy

Buffer / Defined OutcomeESG / SustainableCurrency HedgedMomentumEqual WeightLow Volatility

Structure

Active ETFsInverseLeveraged

Style & Size

GrowthU.S. Large CapValueU.S. Small CapU.S. Mid CapTotal Market