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, 2015

 

 

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, 2015

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)

(formerly, WisdomTree Europe Dividend Growth Fund)

WisdomTree Europe SmallCap Dividend Fund (DFE)

WisdomTree Germany Hedged Equity Fund (DXGE)

WisdomTree International Dividend ex-Financials Fund (DOO)

WisdomTree International Equity Fund (DWM)

(formerly, WisdomTree DEFA Fund)

WisdomTree International Hedged Equity Fund (HDWM)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

(formerly, WisdomTree International Hedged Dividend Growth Fund)

WisdomTree International Hedged SmallCap Dividend Fund (HDLS)

WisdomTree International High Dividend Fund (DTH)

(formerly, WisdomTree DEFA Equity Income Fund)

WisdomTree International LargeCap Dividend Fund (DOL)

WisdomTree International MidCap Dividend Fund (DIM)

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)

(formerly, WisdomTree Japan Hedged Dividend Growth Fund)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

WisdomTree Japan Hedged Tech, Media and Telecom Fund (DXJT)

WisdomTree Japan Quality Dividend Growth (JDG)

(formerly, WisdomTree Japan Dividend Growth)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

WisdomTree Korea Hedged Equity Fund (DXKW)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)


Table of Contents

Table of Contents

 

Performance Summaries (unaudited)

       1   

Description of Indexes (unaudited)

       28   

Shareholder Expense Examples (unaudited)

       32   
Schedules of Investments (unaudited)     

WisdomTree Australia Dividend Fund

       35   

WisdomTree Europe Hedged Equity Fund

       37   

WisdomTree Europe Hedged SmallCap Equity Fund

       39   

WisdomTree Europe Quality Dividend Growth Fund

       42   

WisdomTree Europe SmallCap Dividend Fund

       45   

WisdomTree Germany Hedged Equity Fund

       49   

WisdomTree International Dividend ex-Financials Fund

       51   

WisdomTree International Equity Fund

       53   

WisdomTree International Hedged Equity Fund

       62   

WisdomTree International Hedged Quality Dividend Growth Fund

       70   

WisdomTree International Hedged SmallCap Dividend Fund

       73   

WisdomTree International High Dividend Fund

       74   

WisdomTree International LargeCap Dividend Fund

       79   

WisdomTree International MidCap Dividend Fund

       82   

WisdomTree International SmallCap Dividend Fund

       89   

WisdomTree Japan Hedged Capital Goods Fund

       98   

WisdomTree Japan Hedged Equity Fund

       100   

WisdomTree Japan Hedged Financials Fund

       104   

WisdomTree Japan Hedged Health Care Fund

       106   

WisdomTree Japan Hedged Quality Dividend Growth Fund

       107   

WisdomTree Japan Hedged Real Estate Fund

       111   

WisdomTree Japan Hedged SmallCap Equity Fund

       113   

WisdomTree Japan Hedged Tech, Media and Telecom Fund

       121   

WisdomTree Japan Quality Dividend Growth Fund

       123   

WisdomTree Japan SmallCap Dividend Fund

       127   

WisdomTree Korea Hedged Equity Fund

       134   

WisdomTree United Kingdom Hedged Equity Fund

       136   

Statements of Assets and Liabilities (unaudited)

       139   

Statements of Operations (unaudited)

       145   

Statements of Changes in Net Assets (unaudited)

       151   

Financial Highlights (unaudited)

       160   

Notes to Financial Statements (unaudited)

       174   

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

       216   

General Information (unaudited)

       219   

“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 9/30/15

 

Sector   % of
Net Assets
 

Financials

    22.7%   

Materials

    14.7%   

Consumer Discretionary

    13.4%   

Industrials

    13.4%   

Energy

    9.6%   

Consumer Staples

    9.3%   

Healthcare

    7.5%   

Telecommunication Services

    4.3%   

Information Technology

    2.6%   

Utilities

    2.0%   

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 9/30/15

 

Description   % of Net Assets  

Woodside Petroleum Ltd.

    3.7%   

Insurance Australia Group Ltd.

    3.1%   

Suncorp Group Ltd.

    2.7%   

Westpac Banking Corp.

    2.7%   

National Australia Bank Ltd.

    2.7%   

CIMIC Group Ltd.

    2.4%   

Australia & New Zealand Banking Group Ltd.

    2.4%   

Woolworths Ltd.

    2.4%   

Telstra Corp., Ltd.

    2.4%   

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 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 chart 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, 2015, as revised October 7, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -20.69      -22.10      -3.80      -1.33      3.77

Fund Market Price Returns

       -19.85      -21.71      -3.47      -1.30      3.74

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

       -20.57      -21.86      -3.50      -1.08      4.23

MSCI Pacific ex-Japan Value/MSCI Australia Spliced Index3

       -20.56      -21.08      -4.16      -0.86      3.53
* 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. 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 9/30/15

 

Sector   % of
Net Assets
 

Consumer Staples

    19.5%   

Consumer Discretionary

    18.8%   

Industrials

    18.3%   

Healthcare

    11.3%   

Financials

    11.3%   

Materials

    7.5%   

Information Technology

    6.0%   

Telecommunication Services

    5.3%   

Energy

    1.3%   

Utilities

    0.2%   

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 9/30/15

 

Description   % of Net Assets  

Anheuser-Busch InBev N.V.

    5.6%   

Telefonica S.A.

    5.3%   

Siemens AG, Registered Shares

    4.8%   

Sanofi

    4.7%   

Unilever N.V., CVA

    4.6%   

Banco Bilbao Vizcaya Argentaria S.A.

    4.6%   

Banco Santander S.A.

    4.5%   

Daimler AG, Registered Shares

    4.1%   

Bayer AG, Registered Shares

    3.5%   

Bayerische Motoren Werke AG

    2.9%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -16.07      0.10      12.02      7.24      6.12

Fund Market Price Returns

       -16.07      0.21      11.74      7.05      6.14

WisdomTree DEFA International Hedged Equity/Europe Hedged Equity Spliced Index2

       -15.91      0.39      12.36      7.61      6.60

MSCI EAFE Local Currency/MSCI EMU Local Currency Spliced Index3

       -13.08      2.94      12.41      7.65      6.48
* 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. 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 9/30/15

 

Sector   % of
Net Assets
 

Industrials

    24.2%   

Financials

    21.7%   

Consumer Discretionary

    13.9%   

Materials

    8.7%   

Consumer Staples

    6.9%   

Information Technology

    6.2%   

Healthcare

    6.0%   

Utilities

    5.3%   

Telecommunication Services

    4.4%   

Energy

    2.6%   

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. 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 9/30/15

 

Description   % of Net Assets  

Elisa Oyj

    2.0%   

bpost S.A.

    1.7%   

Nokian Renkaat Oyj

    1.5%   

Freenet AG

    1.5%   

Mediolanum SpA

    1.3%   

Lagardere SCA

    1.2%   

Orion Oyj, Class B

    1.2%   

Vienna Insurance Group AG Wiener Versicherung Gruppe

    1.1%   

Hochtief AG

    1.1%   

Zardoya Otis S.A.

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

        Cumulative Total Return  
        6-Month      Since
Inception1
 

Fund NAV Returns

       -7.88      -3.92

Fund Market Price Returns

       -7.79      -4.64

WisdomTree Europe Hedged SmallCap Equity Index

       -8.06      -4.14

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

       -5.97      -1.79
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. 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)

(formerly, WisdomTree Europe Dividend Growth Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Staples

    20.8%   

Consumer Discretionary

    20.1%   

Healthcare

    19.8%   

Industrials

    19.3%   

Information Technology

    8.0%   

Materials

    6.0%   

Financials

    3.2%   

Telecommunication Services

    2.3%   

Energy

    0.2%   

Utilities

    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 9/30/15

 

Description   % of Net Assets  

Roche Holding AG, Genusschein

    6.8%   

British American Tobacco PLC

    4.2%   

Anheuser-Busch InBev N.V.

    4.0%   

Novo Nordisk A/S, Class B

    3.2%   

Bayer AG, Registered Shares

    3.2%   

SAP SE

    2.3%   

Unilever N.V., CVA

    2.2%   

Daimler AG, Registered Shares

    2.2%   

Diageo PLC

    2.2%   

Telefonaktiebolaget LM Ericsson, Class B

    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 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. Prior to August 31, 2015, the WisdomTree Europe Quality Dividend Growth Index was named the WisdomTree Europe Dividend Growth Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -6.79      -6.87      -9.24

Fund Market Price Returns

       -6.57      -5.96      -9.21

WisdomTree Europe Quality Dividend Growth Index

       -6.37      -6.28      -8.76

MSCI Europe Index

       -8.37      -9.33      -11.00
* 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 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. 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 9/30/15

 

Sector   % of
Net Assets
 

Industrials

    26.4%   

Financials

    19.4%   

Consumer Discretionary

    15.9%   

Information Technology

    12.4%   

Materials

    7.7%   

Consumer Staples

    6.6%   

Healthcare

    3.7%   

Energy

    3.6%   

Utilities

    3.0%   

Telecommunication Services

    0.6%   

Investment Company

    0.4%   

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 9/30/15

 

Description   % of Net Assets  

Cofinimmo S.A.

    1.8%   

Kemira Oyj

    1.1%   

Cembra Money Bank AG

    1.1%   

ERG SpA

    1.1%   

Ratos AB, Class B

    1.0%   

Neopost S.A.

    1.0%   

Bilfinger SE

    1.0%   

Leroy Seafood Group ASA

    1.0%   

Tieto Oyj

    0.9%   

Iren SpA

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -1.18      4.68      16.86      10.41      5.49

Fund Market Price Returns

       -1.13      5.49      16.71      10.62      5.36

WisdomTree Europe SmallCap Dividend Index

       -0.83      4.95      18.19      11.27      6.03

MSCI Europe Small Cap Index

       0.53      3.87      14.03      9.53      5.86
* 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 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. 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 9/30/15

 

Sector   % of
Net Assets
 

Consumer Discretionary

    20.3%   

Financials

    19.7%   

Industrials

    16.4%   

Materials

    13.3%   

Healthcare

    10.4%   

Telecommunication Services

    6.7%   

Information Technology

    5.8%   

Consumer Staples

    3.9%   

Utilities

    3.3%   

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. 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 9/30/15

 

Description   % of Net Assets  

Deutsche Telekom AG, Registered Shares

    6.7%   

Allianz SE, Registered Shares

    6.7%   

Bayer AG, Registered Shares

    5.7%   

Siemens AG, Registered Shares

    5.7%   

BASF SE

    5.5%   

Daimler AG, Registered Shares

    5.1%   

Bayerische Motoren Werke AG

    5.0%   

Muenchener Rueckversicherungs - Gesellschaft AG, Registered Shares

    4.7%   

SAP SE

    4.1%   

Deutsche Post AG, Registered Shares

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -18.15      2.42      4.63

Fund Market Price Returns

       -18.06      2.38      4.12

WisdomTree Germany Hedged Equity Index

       -18.25      2.53      4.69

MSCI Germany Local Currency Index

       -19.05      2.69      4.76
* 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. 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 International Dividend ex-Financials Fund (DOO)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Utilities

    15.2%   

Telecommunication Services

    13.8%   

Energy

    12.8%   

Industrials

    11.9%   

Consumer Staples

    11.0%   

Materials

    10.2%   

Consumer Discretionary

    9.1%   

Healthcare

    9.1%   

Information Technology

    6.3%   

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 9/30/15

 

Description   % of Net Assets  

Woodside Petroleum Ltd.

    2.3%   

Eni SpA

    2.1%   

Snam SpA

    2.0%   

TeliaSonera AB

    1.9%   

Telefonica Deutschland Holding AG

    1.8%   

EDP-Energias de Portugal S.A.

    1.8%   

Fortum Oyj

    1.7%   

Kuehne + Nagel International AG, Registered Shares

    1.7%   

Total S.A.

    1.7%   

Telefonica S.A.

    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 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 chart 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, 2015, as revised October 7, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -10.57      -15.00      2.52      1.83      1.87

Fund Market Price Returns

       -10.64      -14.84      2.56      1.88      1.75

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

       -10.44      -14.63      2.83      2.01      2.05

MSCI EAFE Value Index

       -11.58      -12.60      4.69      3.06      1.18
* 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. 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 International Equity Fund (DWM)

(formerly, WisdomTree DEFA Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    24.2%   

Industrials

    11.5%   

Consumer Staples

    11.4%   

Consumer Discretionary

    11.2%   

Healthcare

    9.3%   

Telecommunication Services

    8.6%   

Energy

    8.3%   

Materials

    6.2%   

Utilities

    5.9%   

Information Technology

    2.9%   

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 9/30/15

 

Description   % of Net Assets  

HSBC Holdings PLC

    1.7%   

Nestle S.A., Registered Shares

    1.6%   

China Mobile Ltd.

    1.5%   

Novartis AG, Registered Shares

    1.5%   

BP PLC

    1.5%   

GlaxoSmithKline PLC

    1.4%   

Royal Dutch Shell PLC, Class A

    1.3%   

Total S.A.

    1.2%   

Banco Santander S.A.

    1.2%   

British American Tobacco PLC

    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 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. Prior to August 31, 2015, the WisdomTree International Equity Index was named the WisdomTree DEFA Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -10.18      -9.97      5.22      3.90      2.62

Fund Market Price Returns

       -10.33      -10.01      5.39      4.00      2.61

WisdomTree International Equity Index

       -10.00      -9.94      5.42      4.03      2.96

MSCI EAFE Index

       -9.68      -8.66      5.63      3.98      2.23
* 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. 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 Hedged Equity Fund (HDWM)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    24.4%   

Consumer Staples

    11.5%   

Industrials

    11.4%   

Consumer Discretionary

    11.0%   

Healthcare

    9.2%   

Energy

    8.4%   

Telecommunication Services

    8.4%   

Materials

    5.9%   

Utilities

    5.8%   

Information Technology

    3.1%   

Other Assets less Liabilities

    0.9%   

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 9/30/15

 

Description   % of Net Assets  

HSBC Holdings PLC

    1.7%   

Nestle S.A., Registered Shares

    1.7%   

Novartis AG, Registered Shares

    1.5%   

BP PLC

    1.5%   

Roche Holding AG, Genusschein

    1.4%   

GlaxoSmithKline PLC

    1.4%   

Royal Dutch Shell PLC, Class A

    1.3%   

China Mobile Ltd.

    1.3%   

Total S.A.

    1.2%   

Banco Santander S.A.

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

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

The following performance chart 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 June 24, 2015, the Fund’s annual expense ratio was 0.35%.

Performance as of 9/30/15

 

        Cumulative Total Return  
        Since
Inception1
 

Fund NAV Returns

       -7.71

Fund Market Price Returns

       -6.63

WisdomTree International Hedged Equity Index

       -7.88

MSCI EAFE Local Currency Index

       -8.57
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on July 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. 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 Hedged Quality Dividend Growth Fund (IHDG)

(formerly, WisdomTree International Hedged Dividend Growth Fund)

 

Sector Breakdown as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Staples

    21.1%   

Consumer Discretionary

    20.8%   

Industrials

    15.7%   

Healthcare

    14.3%   

Telecommunication Services

    9.5%   

Information Technology

    7.3%   

Financials

    5.2%   

Materials

    3.5%   

Utilities

    1.7%   

Energy

    0.2%   

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 9/30/15

 

Description   % of Net Assets  

Roche Holding AG, Genusschein

    5.3%   

British American Tobacco PLC

    5.1%   

Telstra Corp., Ltd.

    3.9%   

Unilever N.V., CVA

    3.2%   

Novo Nordisk A/S, Class B

    3.0%   

Unilever PLC

    2.5%   

Reckitt Benckiser Group PLC

    2.5%   

Industria de Diseno Textil S.A.

    2.5%   

Hennes & Mauritz AB, Class B

    2.4%   

L’Oreal S.A.

    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 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. Prior to August 31, 2015, the WisdomTree International Hedged Quality Dividend Growth Index was named the WisdomTree International Hedged Dividend Growth Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -6.54      4.87      3.85

Fund Market Price Returns

       -6.46      4.99      3.44

WisdomTree International Hedged Quality Dividend Growth Index

       -6.34      5.02      4.43

MSCI EAFE Local Currency Index

       -10.64      0.80      3.53
* 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. 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 SmallCap Dividend Fund (HDLS)

 

Sector Breakdown as of 9/30/15

 

Sector   % of
Net Assets
 

Industrials

    24.8%   

Consumer Discretionary

    19.2%   

Financials

    18.3%   

Information Technology

    9.5%   

Materials

    7.6%   

Consumer Staples

    7.2%   

Healthcare

    4.5%   

Energy

    3.4%   

Utilities

    3.3%   

Telecommunication Services

    1.3%   

Investment Company

    0.3%   

Other Assets less Liabilities

    0.6%   

Total

    100.0%   

 

The sector information shown is that of the Underlying Fund. The Underlying 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 of the Underlying Fund includes investment of cash collateral for securities on loan (if any).

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

Salmar ASA

    0.5%   

Cofinimmo S.A.

    0.5%   

Drillisch AG

    0.5%   

Genesis Energy Ltd.

    0.4%   

Metropole Television S.A.

    0.4%   

Nexity S.A.

    0.4%   

Moneysupermarket.com Group PLC

    0.4%   

Meridian Energy Ltd.

    0.4%   

Ladbrokes PLC

    0.4%   

NCC AB, Class B

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

The WisdomTree International Hedged SmallCap Dividend Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree International Hedged SmallCap Dividend Index (the “Index”). The Fund generally uses a representative sampling strategy to achieve its investment objective, meaning it generally will invest in a sample of securities in the Index (including indirect investments through the WisdomTree International SmallCap Dividend Fund (the “Underlying Fund”)) whose risk, return and other characteristics resemble the risk, return, and other characteristics of the Index as a whole.

The following performance chart 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 June 1, 2015, the Fund’s annual expense ratio was 0.58%. The prospectus expense ratio includes 0.58% of acquired fund fees and expenses (‘‘AFFEs’’). The prospectus expense ratio may not correlate to the expense ratio in the Fund’s financial highlights and financial statements because the financial highlights and financial statements reflect only the operating expenses of the Fund and do not include AFFEs, which are fees and expenses incurred indirectly by the Fund through its investments in certain underlying investment companies.

Performance as of 9/30/15

 

        Cumulative Total Return  
        Since
Inception1
 

Fund NAV Returns

       -9.55

Fund Market Price Returns

       -9.38

WisdomTree International Hedged SmallCap Dividend Index

       -9.39

MSCI EAFE Small Cap Local Index

       -8.30
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. 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)

(formerly, WisdomTree DEFA Equity Income Fund)

 

Sector Breakdown as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    24.2%   

Telecommunication Services

    12.1%   

Energy

    11.7%   

Consumer Staples

    11.1%   

Industrials

    9.8%   

Healthcare

    8.5%   

Utilities

    8.4%   

Consumer Discretionary

    6.5%   

Materials

    5.8%   

Information Technology

    1.4%   

Investment Company

    0.0%   

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 9/30/15

 

Description   % of Net Assets  

Nestle S.A., Registered Shares

    2.8%   

Novartis AG, Registered Shares

    2.6%   

China Mobile Ltd.

    2.6%   

Total S.A.

    2.2%   

HSBC Holdings PLC

    2.1%   

BP PLC

    2.1%   

GlaxoSmithKline PLC

    2.0%   

Royal Dutch Shell PLC, Class A

    1.9%   

Banco Santander S.A.

    1.8%   

British American Tobacco PLC

    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 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. Prior to August 31, 2015, the WisdomTree International High Dividend Index was named the WisdomTree DEFA Equity Income Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -11.15      -14.06      3.86      3.12      1.58

Fund Market Price Returns

       -11.02      -14.05      3.88      3.14      1.52

WisdomTree International High Dividend Index

       -11.12      -13.78      4.26      3.38      2.15

MSCI EAFE Value Index

       -11.58      -12.60      4.69      3.06      1.18
* 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. 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 9/30/15

 

Sector   % of
Net Assets
 

Financials

    24.0%   

Consumer Staples

    13.1%   

Healthcare

    11.3%   

Telecommunication Services

    10.5%   

Energy

    10.2%   

Consumer Discretionary

    9.4%   

Industrials

    8.0%   

Utilities

    5.6%   

Materials

    5.2%   

Information Technology

    2.2%   

Investment Company

    0.1%   

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 9/30/15

 

Description   % of Net Assets  

Nestle S.A., Registered Shares

    2.3%   

HSBC Holdings PLC

    2.2%   

China Mobile Ltd.

    2.2%   

Novartis AG, Registered Shares

    2.1%   

BP PLC

    2.0%   

GlaxoSmithKline PLC

    2.0%   

Royal Dutch Shell PLC, Class A

    1.8%   

Total S.A.

    1.7%   

Roche Holding AG, Genusschein

    1.7%   

British American Tobacco PLC

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

     -11.16      -12.22      3.88      3.17      2.06

Fund Market Price Returns

     -10.94      -11.86      4.00      3.22      2.00

WisdomTree International LargeCap Dividend Index

     -10.94      -11.91      4.33      3.45      2.39

MSCI EAFE Index

     -9.68      -8.66      5.63      3.98      2.23
* 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. 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 9/30/15

 

Sector   % of
Net Assets
 

Financials

    22.8%   

Industrials

    21.6%   

Consumer Discretionary

    15.6%   

Materials

    8.9%   

Consumer Staples

    7.9%   

Utilities

    7.0%   

Information Technology

    4.1%   

Healthcare

    4.0%   

Telecommunication Services

    4.0%   

Energy

    3.6%   

Investment Company

    0.0%   

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 9/30/15

 

Description   % of Net Assets  

Transocean Ltd.

    0.7%   

Suncorp Group Ltd.

    0.7%   

Insurance Australia Group Ltd.

    0.7%   

Bezeq Israeli Telecommunication Corp., Ltd.

    0.7%   

Veolia Environnement S.A.

    0.6%   

Proximus

    0.6%   

Bouygues S.A.

    0.6%   

Terna Rete Elettrica Nazionale SpA

    0.6%   

Taylor Wimpey PLC

    0.6%   

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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

     -7.72      -4.08      7.77      4.97      4.14

Fund Market Price Returns

     -7.74      -3.48      8.08      5.07      4.07

WisdomTree International MidCap Dividend Index

     -7.79      -3.88      8.31      5.22      4.25

MSCI EAFE Mid Cap Index

     -6.43      -1.65      8.62      5.66      3.09
* 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.

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. 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 SmallCap Dividend Fund (DLS)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Industrials

    24.8%   

Consumer Discretionary

    19.2%   

Financials

    18.3%   

Information Technology

    9.5%   

Materials

    7.6%   

Consumer Staples

    7.2%   

Healthcare

    4.5%   

Energy

    3.4%   

Utilities

    3.3%   

Telecommunication Services

    1.3%   

Investment Company

    0.3%   

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 9/30/15

 

Description   % of Net Assets  

Salmar ASA

    0.5%   

Cofinimmo S.A.

    0.5%   

Drillisch AG

    0.5%   

Genesis Energy Ltd.

    0.4%   

Metropole Television S.A.

    0.4%   

Nexity S.A.

    0.4%   

Moneysupermarket.com Group PLC

    0.4%   

Meridian Energy Ltd.

    0.4%   

Ladbrokes PLC

    0.4%   

NCC AB, Class B

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

     -5.15      -4.10      8.95      6.80      4.56

Fund Market Price Returns

     -5.07      -3.98      8.98      6.87      4.50

WisdomTree International SmallCap Dividend Index

     -4.67      -3.48      9.57      7.21      5.05

MSCI EAFE Small Cap Index

     -2.78      0.29      10.17      7.30      3.85
* 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.

 

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. 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 Japan Hedged Capital Goods Fund (DXJC)

 

Industry Breakdown  as of 9/30/15

 

Industry   % of
Net Assets
 

Automobiles

    33.9%   

Machinery

    27.9%   

Auto Components

    16.8%   

Electrical Equipment

    7.5%   

Metals & Mining

    5.7%   

Building Products

    5.2%   

Construction & Engineering

    1.8%   

Chemicals

    1.6%   

Other Assets less Liabilities

    -0.4%   

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 9/30/15

 

Description   % of Net Assets  

Toyota Motor Corp.

    10.8%   

Honda Motor Co., Ltd.

    8.4%   

FANUC Corp.

    4.7%   

Bridgestone Corp.

    3.7%   

Fuji Heavy Industries Ltd.

    3.7%   

Nissan Motor Co., Ltd.

    3.6%   

Denso Corp.

    3.3%   

Mitsubishi Electric Corp.

    3.1%   

Nidec Corp.

    2.8%   

Nippon Steel & Sumitomo Metal Corp.

    2.8%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -17.02      -7.10      4.95

Fund Market Price Returns

       -16.16      -5.87      6.82

WisdomTree Japan Hedged Capital Goods Index

       -16.85      -6.29      5.76

MSCI Japan Local Currency Index

       -9.20      6.76      13.89
* 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 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. 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 Equity Fund (DXJ)

 

Sector Breakdown as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Discretionary

    25.5%   

Industrials

    22.4%   

Information Technology

    13.4%   

Financials

    11.3%   

Consumer Staples

    9.2%   

Materials

    8.6%   

Healthcare

    8.6%   

Telecommunication Services

    0.9%   

Energy

    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 9/30/15

 

Description   % of Net Assets  

Toyota Motor Corp.

    5.2%   

Mitsubishi UFJ Financial Group, Inc.

    4.7%   

Japan Tobacco, Inc.

    4.1%   

Canon, Inc.

    3.8%   

Mizuho Financial Group, Inc.

    3.6%   

Honda Motor Co., Ltd.

    3.1%   

Nissan Motor Co., Ltd.

    3.0%   

Takeda Pharmaceutical Co., Ltd.

    2.8%   

FANUC Corp.

    2.5%   

Mitsui & Co., 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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -11.92      2.49      20.74      10.17      2.14

Fund Market Price Returns

       -11.15      3.16      21.22      10.16      2.27

WisdomTree Japan Dividend/Japan Hedged Equity Spliced Index2

       -11.47      3.49      21.56      10.65      2.33

MSCI Japan/MSCI Japan Local Currency Spliced Index3

       -9.20      6.76      25.81      12.75      2.93

* 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. 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 Financials Fund (DXJF)

 

Industry Breakdown as of 9/30/15

 

Industry   % of
Net Assets
 

Banks

    60.8%   

Insurance

    21.9%   

Capital Markets

    9.5%   

Diversified Financial Services

    4.3%   

Consumer Finance

    3.8%   

Other Assets less Liabilities

    -0.3%   

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 9/30/15

 

Description   % of Net Assets  

Mitsubishi UFJ Financial Group, Inc.

    10.9%   

Sumitomo Mitsui Financial Group, Inc.

    10.9%   

Tokio Marine Holdings, Inc.

    7.3%   

Dai-ichi Life Insurance Co., Ltd. (The)

    4.9%   

Nomura Holdings, Inc.

    4.1%   

Mizuho Financial Group, Inc.

    4.0%   

MS&AD Insurance Group Holdings, Inc.

    3.8%   

Sumitomo Mitsui Trust Holdings, Inc.

    3.7%   

Sompo Japan Nipponkoa Holdings, Inc.

    3.2%   

Daiwa Securities Group, Inc.

    2.8%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -2.35      11.98      14.98

Fund Market Price Returns

       -1.44      12.87      17.07

WisdomTree Japan Hedged Financials Index

       -2.53      12.96      15.75

MSCI Japan Local Currency Index

       -9.20      6.76      13.89
* 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 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. 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 Health Care Fund (DXJH)

 

Industry Breakdown as of 9/30/15

 

Industry   % of
Net Assets
 

Pharmaceuticals

    64.8%   

Health Care Equipment & Supplies

    22.9%   

Food & Staples Retailing

    5.7%   

Health Care Providers & Services

    5.4%   

Health Care Technology

    1.4%   

Biotechnology

    0.3%   

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).

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

Takeda Pharmaceutical Co., Ltd.

    10.1%   

Astellas Pharma, Inc.

    10.0%   

Otsuka Holdings Co., Ltd.

    7.0%   

Eisai Co., Ltd.

    6.4%   

Hoya Corp.

    6.3%   

Ono Pharmaceutical Co., Ltd.

    4.9%   

Daiichi Sankyo Co., Ltd.

    4.7%   

Shionogi & Co., Ltd.

    4.4%   

Terumo Corp.

    4.1%   

Olympus Corp.

    4.1%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -4.02      21.35      26.88

Fund Market Price Returns

       -3.27      21.64      28.99

WisdomTree Japan Hedged Health Care Index

       -4.32      21.87      27.47

MSCI Japan Local Currency Index

       -9.20      6.76      13.89
* 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 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. 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 Quality Dividend Growth Fund (JHDG)

(formerly, WisdomTree Japan Hedged Dividend Growth Fund)

 

Sector Breakdown as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Discretionary

    26.0%   

Industrials

    22.2%   

Information Technology

    13.2%   

Consumer Staples

    10.6%   

Telecommunication Services

    9.7%   

Materials

    7.2%   

Healthcare

    6.4%   

Financials

    5.1%   

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 9/30/15

 

Description   % of Net Assets  

NTT DOCOMO, Inc.

    5.2%   

Toyota Motor Corp.

    4.7%   

Japan Tobacco, Inc.

    4.4%   

Canon, Inc.

    4.1%   

KDDI Corp.

    3.6%   

Honda Motor Co., Ltd.

    3.2%   

Nissan Motor Co., Ltd.

    3.1%   

FANUC Corp.

    2.6%   

Mitsui & Co., Ltd.

    2.3%   

Mitsubishi Corp.

    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 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. Prior to August 31, 2015, the WisdomTree Japan Hedged Quality Dividend Growth Index was named the WisdomTree Japan Hedged Dividend Growth Index.

The following performance chart 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, 2015, 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, 2016, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/15

 

        Cumulative Total Return  
        Since
Inception1
 

Fund NAV Returns

       -12.92

Fund Market Price Returns

       -12.61

WisdomTree Japan Hedged Quality Dividend Growth Index

       -12.76

JPX-Nikkei 400 Local Index

       -12.26
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. 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 Real Estate Fund (DXJR)

 

Industry Breakdownas of 9/30/15

 

Industry   % of
Net Assets
 

Real Estate Management & Development

    40.9%   

Real Estate Investment Trusts (REITs)

    27.8%   

Construction & Engineering

    14.4%   

Household Durables

    8.5%   

Building Products

    4.3%   

Transportation Infrastructure

    2.7%   

Construction Materials

    1.9%   

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).

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

Mitsubishi Estate Co., Ltd.

    9.7%   

Mitsui Fudosan Co., Ltd.

    9.7%   

Daiwa House Industry Co., Ltd.

    5.6%   

Sumitomo Realty & Development Co., Ltd.

    5.5%   

Sekisui House Ltd.

    3.5%   

Daito Trust Construction Co., Ltd.

    3.0%   

Taisei Corp.

    2.8%   

Nippon Building Fund, Inc.

    2.3%   

Shimizu Corp.

    2.3%   

Obayashi Corp.

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -4.17      6.13      11.48

Fund Market Price Returns

       -3.20      6.93      13.52

WisdomTree Japan Hedged Real Estate Index

       -4.17      6.97      12.33

MSCI Japan Local Currency Index

       -9.20      6.76      13.89
* 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 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. 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 SmallCap Equity Fund (DXJS)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Industrials

    24.1%   

Consumer Discretionary

    24.1%   

Financials

    12.4%   

Materials

    12.3%   

Information Technology

    11.5%   

Consumer Staples

    9.9%   

Healthcare

    4.8%   

Energy

    1.0%   

Utilities

    0.3%   

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 9/30/15

 

Description   % of Net Assets  

Matsui Securities Co., Ltd.

    1.0%   

Benesse Holdings, Inc.

    0.9%   

Heiwa Corp.

    0.7%   

Park24 Co., Ltd.

    0.7%   

Sanrio Co., Ltd.

    0.7%   

Kawasaki Kisen Kaisha Ltd.

    0.6%   

Nipro Corp.

    0.6%   

Canon Marketing Japan, Inc.

    0.5%   

Daiichikosho Co., Ltd.

    0.5%   

DIC Corp.

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -2.24      12.66      14.96

Fund Market Price Returns

       -1.85      13.08      14.84

WisdomTree Japan Hedged SmallCap Equity Index

       -2.13      13.32      16.05

MSCI Japan Small Cap Local Currency Index

       -3.13      12.39      16.61
* 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. 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 Tech, Media and Telecom Fund (DXJT)

 

Industry Breakdown

as of 9/30/15

 

Industry   % of
Net Assets
 

Electronic Equipment, Instruments & Components

    27.0%   

Wireless Telecommunication Services

    19.8%   

Technology Hardware, Storage & Peripherals

    14.3%   

Household Durables

    11.9%   

IT Services

    7.8%   

Media

    4.9%   

Semiconductors & Semiconductor Equipment

    3.4%   

Software

    3.3%   

Internet & Catalog Retail

    2.9%   

Internet Software & Services

    2.6%   

Leisure Products

    2.3%   

Communications Equipment

    0.1%   

Commercial Services & Supplies

    0.1%   

Trading Companies & Distributors

    0.1%   

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).

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

SoftBank Group Corp.

    8.4%   

KDDI Corp.

    7.2%   

Canon, Inc.

    5.8%   

Sony Corp.

    5.3%   

Murata Manufacturing Co., Ltd.

    5.1%   

Hitachi Ltd.

    4.4%   

NTT DOCOMO, Inc.

    4.2%   

Panasonic Corp.

    4.2%   

Keyence Corp.

    3.7%   

FUJIFILM Holdings Corp.

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

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -12.96      2.44      10.29

Fund Market Price Returns

       -11.81      3.28      12.37

WisdomTree Japan Hedged Tech, Media and Telecom Index

       -12.66      3.17      11.00

MSCI Japan Local Currency Index

       -9.20      6.76      13.89
* 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 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. 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 Quality Dividend Growth Fund (JDG)

(formerly, WisdomTree Japan Dividend Growth Fund)

 

Sector Breakdown as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Discretionary

    25.2%   

Industrials

    21.9%   

Information Technology

    13.0%   

Consumer Staples

    11.3%   

Telecommunication Services

    9.6%   

Materials

    7.1%   

Healthcare

    6.2%   

Financials

    4.9%   

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 9/30/15

 

Description   % of Net Assets  

NTT DOCOMO, Inc.

    5.2%   

Toyota Motor Corp.

    4.7%   

Japan Tobacco, Inc.

    4.2%   

Canon, Inc.

    4.0%   

KDDI Corp.

    3.5%   

Honda Motor Co., Ltd.

    3.2%   

Nissan Motor Co., Ltd.

    2.9%   

FANUC Corp.

    2.6%   

Mitsui & Co., Ltd.

    2.2%   

Mitsubishi Corp.

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

The WisdomTree Japan Quality Dividend Growth Fund (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Japan Quality Dividend Growth Index. Prior to August 31, 2015, the WisdomTree Japan Quality Dividend Growth Index was named the WisdomTree Japan Dividend Growth Index.

The following performance chart 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, 2015, 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, 2016, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/15

 

        Cumulative Total Return  
        Since
Inception1
 

Fund NAV Returns

       -13.06

Fund Market Price Returns

       -12.92

WisdomTree Japan Quality Dividend Growth Index

       -12.92

JPX-Nikkei 400 Index

       -12.87
1 

Total returns are calculated based on the commencement of Fund trading on the NYSE Arca, Inc. on May 28, 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. 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 Japan SmallCap Dividend Fund (DFJ)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Industrials

    24.1%   

Consumer Discretionary

    23.9%   

Financials

    11.9%   

Materials

    11.7%   

Information Technology

    11.7%   

Consumer Staples

    10.1%   

Healthcare

    4.6%   

Energy

    1.0%   

Utilities

    0.2%   

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 9/30/15

 

Description   % of Net Assets  

Matsui Securities Co., Ltd.

    0.9%   

Benesse Holdings, Inc.

    0.8%   

Heiwa Corp.

    0.7%   

Kaneka Corp.

    0.6%   

Sanrio Co., Ltd.

    0.6%   

Park24 Co., Ltd.

    0.6%   

Denki Kagaku Kogyo K.K.

    0.5%   

Nipro Corp.

    0.5%   

Azbil Corp.

    0.5%   

Kawasaki Kisen Kaisha 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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -1.71      4.18      9.37      7.61      2.12

Fund Market Price Returns

       -0.77      5.03      9.95      7.77      2.38

WisdomTree Japan SmallCap Dividend Index

       -2.00      3.87      9.91      8.24      2.75

MSCI Japan Small Cap Index

       -3.00      2.94      10.58      8.18      1.08
* 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.

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. 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

Performance Summary (unaudited)

WisdomTree Korea Hedged Equity Fund (DXKW)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Discretionary

    27.6%   

Materials

    26.2%   

Information Technology

    23.6%   

Industrials

    20.4%   

Consumer Staples

    1.4%   

Healthcare

    1.4%   

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 9/30/15

 

Description   % of Net Assets  

Samsung Electronics Co., Ltd.

    7.9%   

LG Chem Ltd.

    7.8%   

Kia Motors Corp.

    5.5%   

Hyundai Glovis Co., Ltd.

    5.4%   

Hyundai Steel Co.

    4.8%   

Hyundai Motor Co.

    4.5%   

Hyundai Mobis Co., Ltd.

    4.4%   

CJ Corp.

    4.1%   

POSCO

    4.0%   

Hyosung Corp.

    4.0%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes investment of cash collateral for securities on loan (if any).

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -9.15      -10.09      -11.10

Fund Market Price Returns

       -9.99      -10.48      -11.48

WisdomTree Korea Hedged Equity Index

       -6.89      -7.96      -9.47

MSCI South Korea Local Currency Index

       -9.29      -8.39      -6.20
* Returns of less than one year are cumulative.
1 

Total returns are calculated based on the commencement of Fund trading on the NASDAQ on November 7, 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. 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.

 

26   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 9/30/15

 

Sector   % of
Net Assets
 

Consumer Staples

    22.9%   

Financials

    16.0%   

Energy

    15.3%   

Healthcare

    10.6%   

Materials

    9.3%   

Telecommunication Services

    7.3%   

Industrials

    6.4%   

Utilities

    5.2%   

Consumer Discretionary

    5.2%   

Information Technology

    1.3%   

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 9/30/15

 

Description   % of Net Assets  

British American Tobacco PLC

    5.9%   

GlaxoSmithKline PLC

    5.1%   

Vodafone Group PLC

    5.0%   

AstraZeneca PLC

    4.9%   

Royal Dutch Shell PLC, Class A

    4.6%   

Royal Dutch Shell PLC, Class B

    4.6%   

HSBC Holdings PLC

    4.6%   

SABMiller PLC

    4.4%   

BP PLC

    4.2%   

National Grid PLC

    3.9%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -9.42      -6.17      1.63

Fund Market Price Returns

       -9.91      -5.84      1.14

WisdomTree United Kingdom Hedged Equity Index

       -9.27      -5.71      2.27

MSCI United Kingdom Local Currency Index

       -9.19      -5.95      2.02
* 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. 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      27   


Table of Contents

Description of Indexes (unaudited)

 

Below are descriptions of each Index referenced in this report:

The JPX-Nikkei 400 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).

The JPX-Nikkei 400 Local 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 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. The index is calculated using the same methodology as its corresponding MSCI EAFE Index in U.S. dollars, with the key difference being the currency in which the securities are quoted in. The price used for each security in the local currency index is the local price, on the primary exchange on which a security is traded, with no conversion into U.S. dollars.

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. and Canada.

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

The MSCI EAFE Small Cap Local Index is a free float-adjusted market capitalization equity index that is designed to measure the performance of small-cap stocks within the developed equity market, excluding the U.S. and Canada, calculated in local currency.

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 uses the same methodology as its corresponding MSCI Japan Index. The price used for each security in the local currency index is the local price, on the primary exchange on which a security is traded, with no conversion into U.S. dollars.

 

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


Table of Contents

Description of Indexes (unaudited) (continued)

 

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

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 provides local currency returns, which are not translated back to U.S. dollars.

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 Korea Local Currency Index is a free float-adjusted market capitalization weighted index designed to measure the performance of the South Korean equity market and provides local currency returns, which are not translated back to U.S. dollars.

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 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 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 International Dividend ex-Financials Index is comprised of high dividend-yielding international stocks outside the Financials 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 Equity Index is a fundamentally weighted Index that measures the performance of dividend-paying companies in the industrialized world, excluding Canada and the United States, that pay regular cash dividends and that meet

 

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


Table of Contents

Description of Indexes (unaudited) (continued)

 

other liquidity and capitalization requirements while at the same time neutralizing exposure to fluctuations of the foreign currencies relative to the U.S. dollar.

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.

The WisdomTree International Hedged SmallCap Dividend Index is a fundamentally weighted index that measures the performance of the small-capitalization segment of the dividend-paying market in the industrialized world outside the U.S. and Canada while at the same time neutralizing exposure to fluctuations of the foreign currencies relative to the U.S. dollar.

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 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 Japanese 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 Japanese 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 Japanese 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 Japanese 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 Japanese 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 Hedged Tech, Media and Telecom Index is designed to provide exposure to Japanese tech, media, and telecom companies while at the same time neutralizing exposure to fluctuations between the Japanese yen and the U.S. dollar.

 

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


Table of Contents

Description of Indexes (unaudited) (concluded)

 

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

The WisdomTree Korea Hedged Equity Index is designed to provide exposure to Korean equity markets while at the same time neutralizing exposure to fluctuations of the Korean won movements relative to the U.S. dollar.

The WisdomTree Pacific ex-Japan Dividend Index is comprised of dividend-paying companies incorporated in the Pacific region, excluding 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.

 

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 and WisdomTree Asset Management (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 net 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      31   


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, 2015 to September 30, 2015.

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 4/1/15 to 9/30/15” 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.

 

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


Table of Contents

Shareholder Expense Examples (unaudited) (continued)

 

     Beginning
Account Value
4/1/15
    Ending
Account Value
9/30/15
    Annualized
Expense Ratio
Based on the
Period
4/1/15 to
9/30/15
    Expenses Paid
During the
Period†
4/1/15 to
9/30/15
 

WisdomTree Australia Dividend Fund

       

Actual

  $ 1,000.00      $ 793.10        0.58   $ 2.60   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Europe Hedged Equity Fund

       

Actual

  $ 1,000.00      $ 839.30        0.58   $ 2.67   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Europe Hedged SmallCap Equity Fund

       

Actual

  $ 1,000.00      $ 921.20        0.58   $ 2.79   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Europe Quality Dividend Growth Fund

       

Actual

  $ 1,000.00      $ 932.10        0.58   $ 2.80   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Europe SmallCap Dividend Fund

       

Actual

  $ 1,000.00      $ 988.20        0.58   $ 2.88   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Germany Hedged Equity Fund

       

Actual

  $ 1,000.00      $ 818.50        0.48   $ 2.18   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.60        0.48   $ 2.43   

WisdomTree International Dividend ex-Financials Fund

       

Actual

  $ 1,000.00      $ 894.30        0.58   $ 2.75   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree International Equity Fund

       

Actual

  $ 1,000.00      $ 898.20        0.48   $ 2.28   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.60        0.48   $ 2.43   

WisdomTree International Hedged Equity Fund

       

Actual1

  $ 1,000.00      $ 922.90        0.35   $ 0.77   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,023.25        0.35   $ 1.77   

WisdomTree International Hedged Quality Dividend Growth Fund

       

Actual

  $ 1,000.00      $ 934.60        0.58   $ 2.81   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree International Hedged SmallCap Dividend Fund

       

Actual2

  $ 1,000.00      $ 904.50        0.00 %*    $ 0.00   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,025.00        0.00 %*    $ 0.00   

WisdomTree International High Dividend Fund

       

Actual

  $ 1,000.00      $ 888.50        0.58   $ 2.74   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree International LargeCap Dividend Fund

       

Actual

  $ 1,000.00      $ 888.40        0.48   $ 2.27   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.60        0.48   $ 2.43   

WisdomTree International MidCap Dividend Fund

       

Actual

  $ 1,000.00      $ 922.80        0.58   $ 2.79   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree International SmallCap Dividend Fund

       

Actual

  $ 1,000.00      $ 948.50        0.58   $ 2.83   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Japan Hedged Capital Goods Fund

       

Actual

  $ 1,000.00      $ 829.80        0.45   $ 2.06   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.75        0.45   $ 2.28   

WisdomTree Japan Hedged Equity Fund

       

Actual

  $ 1,000.00      $ 880.80        0.48   $ 2.26   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.60        0.48   $ 2.43   

 

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


Table of Contents

Shareholder Expense Examples (unaudited) (concluded)

 

     Beginning
Account Value
4/1/15
    Ending
Account Value
9/30/15
    Annualized
Expense Ratio
Based on the
Period
4/1/15 to
9/30/15
    Expenses Paid
During the
Period†
4/1/15 to
9/30/15
 

WisdomTree Japan Hedged Financials Fund

       

Actual

  $ 1,000.00      $ 976.50        0.46   $ 2.27   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.70        0.46   $ 2.33   

WisdomTree Japan Hedged Health Care Fund

       

Actual

  $ 1,000.00      $ 959.80        0.46   $ 2.25   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.70        0.46   $ 2.33   

WisdomTree Japan Hedged Quality Dividend Growth Fund

       

Actual3

  $ 1,000.00      $ 870.80        0.43 %**    $ 1.93   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.85        0.43 %**    $ 2.17   

WisdomTree Japan Hedged Real Estate Fund

       

Actual

  $ 1,000.00      $ 958.30        0.45   $ 2.20   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.75        0.45   $ 2.28   

WisdomTree Japan Hedged SmallCap Equity Fund

       

Actual

  $ 1,000.00      $ 977.60        0.58   $ 2.87   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Japan Hedged Tech, Media and Telecom Fund

       

Actual

  $ 1,000.00      $ 870.40        0.45   $ 2.10   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.75        0.45   $ 2.28   

WisdomTree Japan Quality Dividend Growth Fund

       

Actual4

  $ 1,000.00      $ 869.40        0.43 %**    $ 1.39   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.85        0.43 %**    $ 2.17   

WisdomTree Japan SmallCap Dividend Fund

       

Actual

  $ 1,000.00      $ 982.90        0.58   $ 2.88   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree Korea Hedged Equity Fund

       

Actual

  $ 1,000.00      $ 908.50        0.58   $ 2.77   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.10        0.58   $ 2.93   

WisdomTree United Kingdom Hedged Equity Fund

       

Actual

  $ 1,000.00      $ 905.80        0.49   $ 2.33   

Hypothetical (5% return before expenses)

  $ 1,000.00      $ 1,022.55        0.49   $ 2.48   
Expenses are calculated using each Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/366 (to reflect the one-half year period).

 

* WisdomTree Asset Management, Inc. has contractually agreed to waive a portion of its management fee in an amount equal to the AFFEs attributable to the Fund’s investments in the Underlying Fund through July 31, 2018, unless earlier terminated by the Board of Trustees of the WisdomTree Trust for any reason.

 

** WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.43% through July 31, 2016, unless earlier terminated by the Board of Trustees of the WisdomTree Trust for any reason.

 

1 

Fund commenced operations on July 9, 2015. Actual expenses are calculated using the Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 84/366 (to reflect the period since commencement of operations).

 

2 

Fund commenced operations on June 4, 2015. Actual expenses are calculated using the Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 119/366 (to reflect the period since commencement of operations).

 

3 

Fund commenced operations on April 9, 2014. Actual expenses are calculated using the Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 175/366 (to reflect the period since commencement of operations).

 

4 

Fund commenced operations on May 28, 2015. Actual expenses are calculated using the Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 126/366 (to reflect the period since commencement of operations).

 

34   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, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 99.5%      
Banks – 10.0%      

Australia & New Zealand Banking Group Ltd.

     37,323       $ 709,769   

Commonwealth Bank of Australia

     13,058         666,841   

National Australia Bank Ltd.

     37,007         779,126   

Westpac Banking Corp.

     37,759         787,533   
     

 

 

 
Total Banks               2,943,269   
Beverages – 3.7%      

Coca-Cola Amatil Ltd.

     95,767         605,944   

Treasury Wine Estates Ltd.

     102,316         471,345   
     

 

 

 
Total Beverages               1,077,289   
Biotechnology – 1.1%      

CSL Ltd.

     3,615         226,446   

Sirtex Medical Ltd.

     3,784         87,001   
     

 

 

 
Total Biotechnology               313,447   
Capital Markets – 2.0%      

Macquarie Group Ltd.

     10,906         587,119   
Chemicals – 3.0%      

Incitec Pivot Ltd.

     155,223         425,121   

Orica Ltd.(a)

     42,989         454,043   
     

 

 

 
Total Chemicals               879,164   
Commercial Services & Supplies – 4.6%      

Brambles Ltd.

     47,928         327,823   

Downer EDI Ltd.

     165,611         388,443   

Recall Holdings Ltd.

     65,808         337,822   

Spotless Group Holdings Ltd.

     195,675         295,438   
     

 

 

 
Total Commercial Services & Supplies               1,349,526   
Construction & Engineering – 2.4%      

CIMIC Group Ltd.

     43,317         714,855   
Construction Materials – 2.9%      

Adelaide Brighton Ltd.

     165,163         504,538   

Boral Ltd.

     94,253         348,817   
     

 

 

 
Total Construction Materials               853,355   
Containers & Packaging – 1.6%      

Amcor Ltd.

     50,097         463,329   
Diversified Telecommunication Services – 4.3%      

M2 Group Ltd.

     53,500         356,543   

Telstra Corp., Ltd.

     175,400         691,010   

TPG Telecom Ltd.

     28,492         217,292   
     

 

 

 
Total Diversified Telecommunication Services               1,264,845   
Energy Equipment & Services – 2.2%      

WorleyParsons Ltd.(a)

     159,006         659,922   
Food & Staples Retailing – 4.6%      

Wesfarmers Ltd.

     23,605         650,135   

Woolworths Ltd.(a)

     40,017         698,052   
     

 

 

 
Total Food & Staples Retailing               1,348,187   
Food Products – 1.1%      

GrainCorp Ltd. Class A(a)

     48,656         309,227   
Investments    Shares      Value  
Health Care Equipment & Supplies – 2.1%      

Ansell Ltd.

     17,411       $ 229,254   

Cochlear Ltd.

     6,559         384,468   
     

 

 

 
Total Health Care Equipment & Supplies               613,722   
Health Care Providers & Services – 4.3%      

Healthscope Ltd.

     94,957         170,043   

Primary Health Care Ltd.(a)

     155,939         415,036   

Ramsay Health Care Ltd.

     5,024         206,289   

Sonic Healthcare Ltd.

     36,632         469,478   
     

 

 

 
Total Health Care Providers & Services               1,260,846   
Hotels, Restaurants & Leisure – 9.0%      

Aristocrat Leisure Ltd.

     57,665         348,664   

Crown Resorts Ltd.

     47,855         332,701   

Domino’s Pizza Enterprises Ltd.

     6,545         184,952   

Echo Entertainment Group Ltd.

     94,946         322,711   

Flight Centre Travel Group Ltd.(a)

     16,212         410,994   

Tabcorp Holdings Ltd.

     158,240         518,950   

Tatts Group Ltd.

     197,796         522,273   
     

 

 

 
Total Hotels, Restaurants & Leisure               2,641,245   
Insurance – 8.8%      

AMP Ltd.

     133,408         520,893   

Insurance Australia Group Ltd.(a)

     269,757         916,874   

QBE Insurance Group Ltd.

     38,019         344,148   

Suncorp Group Ltd.

     93,772         802,729   
     

 

 

 
Total Insurance               2,584,644   
Internet Software & Services – 1.6%      

carsales.com Ltd.

     67,237         461,312   
IT Services – 1.0%      

Computershare Ltd.

     41,051         305,289   
Media – 2.9%      

Fairfax Media Ltd.

     922,853         573,545   

REA Group Ltd.(a)

     9,264         288,330   
     

 

 

 
Total Media               861,875   
Metals & Mining – 7.2%      

Alumina Ltd.

     158,717         125,392   

BHP Billiton Ltd.

     37,658         587,615   

Fortescue Metals Group Ltd.(a)

     474,769         606,800   

Iluka Resources Ltd.

     53,301         232,444   

Rio Tinto Ltd.

     16,742         571,394   
     

 

 

 
Total Metals & Mining               2,123,645   
Multi-Utilities – 2.0%      

AGL Energy Ltd.

     52,872         592,956   
Multiline Retail – 1.5%      

Harvey Norman Holdings Ltd.(a)

     160,073         436,156   
Oil, Gas & Consumable Fuels – 7.4%      

Beach Energy Ltd.

     558,943         178,595   

Caltex Australia Ltd.

     14,218         312,318   

Origin Energy Ltd.

     62,500         267,733   

Santos Ltd.(a)

     110,148         307,859   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Australia Dividend Fund (AUSE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Woodside Petroleum Ltd.

     53,791       $ 1,092,823   
     

 

 

 
Total Oil, Gas & Consumable Fuels               2,159,328   
Professional Services – 2.1%      

ALS Ltd.(a)

     121,821         393,524   

Seek Ltd.(a)

     27,566         232,299   
     

 

 

 
Total Professional Services               625,823   
Real Estate Management & Development – 1.9%      

Lend Lease Group

     62,463         550,501   
Road & Rail – 3.4%      

Asciano Ltd.

     82,138         484,524   

Aurizon Holdings Ltd.

     145,616         512,317   
     

 

 

 
Total Road & Rail               996,841   
Transportation Infrastructure – 0.8%      

Qube Holdings Ltd.(a)

     163,214        226,942  
TOTAL COMMON STOCKS
(Cost: $38,384,736)
              29,204,659  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 20.5%   
United States – 20.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $6,010,730)(c)      6,010,730         6,010,730   
TOTAL INVESTMENTS IN SECURITIES – 120.0% (Cost: $44,395,466)         35,215,389   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (20.0)%

        (5,862,928
     

 

 

 
NET ASSETS – 100.0%             $ 29,352,461   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $5,692,878 and the total market value of the collateral held by the Fund was $6,010,731. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1.

 

See Notes to Financial Statements.

 

36   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, 2015

 

  

 

 

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

Andritz AG

     831,626       $ 37,354,880   

Lenzing AG(a)

     235,668         17,643,723   

RHI AG(a)

     282,016         5,694,736   

Schoeller-Bleckmann Oilfield Equipment AG(a)

     333,088         18,754,063   
     

 

 

 
Total Austria               79,447,402   
Belgium – 7.2%      

Anheuser-Busch InBev N.V.

     9,710,355         1,028,854,936   

Bekaert S.A.(a)

     603,814         15,856,018   

Delhaize Group

     790,230         69,773,628   

Melexis N.V.

     233,917         10,794,277   

Solvay S.A.(a)

     1,001,527         101,979,772   

UCB S.A.(a)

     1,066,156         83,128,219   
     

 

 

 
Total Belgium               1,310,386,850   
Finland – 4.0%      

Amer Sports Oyj

     994,945         25,255,202   

Cargotec Oyj Class B(a)

     629,504         17,173,587   

Huhtamaki Oyj

     872,312         26,592,236   

Kemira Oyj(a)

     2,691,889         31,009,742   

Kone Oyj Class B(a)

     6,145,874         233,251,195   

Konecranes Oyj(a)

     735,147         18,348,784   

Metso Oyj(a)

     2,153,948         44,696,747   

Nokia Oyj

     32,034,382         218,304,821   

Outotec Oyj(a)

     2,008,118         7,410,600   

Valmet Oyj

     1,485,065         14,355,709   

Wartsila Oyj Abp

     2,398,624         94,969,614   
     

 

 

 
Total Finland               731,368,237   
France – 27.2%      

Air Liquide S.A.

     2,427,024         286,223,232   

Airbus Group SE

     6,135,924         362,392,367   

Arkema S.A.

     541,370         34,940,859   

BioMerieux

     137,359         14,831,314   

Bourbon S.A.(a)

     329,133         4,125,841   

Bureau Veritas S.A.(a)

     3,104,383         65,268,289   

Casino Guichard Perrachon S.A.

     1,349,138         71,533,799   

Christian Dior SE

     952,721         177,653,401   

Cie Generale des Etablissements Michelin

     1,361,211         123,713,717   

Danone S.A.

     4,790,433         301,695,728   

Dassault Systemes

     501,378         36,937,757   

Edenred

     2,256,441         36,761,175   

Essilor International S.A.(a)

     624,183         75,875,423   

Hermes International

     269,497         97,768,422   

Imerys S.A.(a)

     768,338         49,220,933   

Ingenico Group

     122,082         14,690,335   

IPSOS(a)

     332,635         6,518,236   

Kering

     937,531         152,791,713   

L’Oreal S.A.

     2,755,264         476,865,932   

Legrand S.A.

     1,689,378         89,451,381   

LVMH Moet Hennessy Louis Vuitton SE

     2,991,626         508,256,873   

Pernod Ricard S.A.

     1,272,689         128,113,185   

Publicis Groupe S.A.

     1,107,042         75,355,131   
Investments    Shares      Value  

Rallye S.A.(a)

     470,584       $ 7,695,487   

Remy Cointreau S.A.(a)

     312,821         20,486,761   

Rubis SCA

     449,337         33,334,491   

Safran S.A.

     2,351,467         176,650,659   

Saft Groupe S.A.

     312,840         10,210,828   

Sanofi

     9,133,422         865,468,700   

Schneider Electric SE

     5,023,466         280,428,165   

SCOR SE

     3,118,837         111,561,479   

Societe BIC S.A.

     307,228         47,600,506   

Sodexo S.A.(a)

     918,122         75,839,144   

Technicolor S.A. Registered Shares(a)

     1,419,971         9,768,614   

Technip S.A.

     1,018,107         47,918,900   

Teleperformance

     212,655         16,082,228   

Valeo S.A.

     394,992         53,239,841   

Vallourec S.A.(a)

     1,150,641         10,167,330   

Zodiac Aerospace(a)

     781,470         17,878,107   
     

 

 

 
Total France               4,975,316,283   
Germany – 24.6%      

adidas AG(a)

     1,595,575         128,254,125   

Bayer AG Registered Shares(a)

     4,991,473         637,684,457   

Bayerische Motoren Werke AG(a)

     5,964,453         527,432,354   

Brenntag AG

     724,953         38,976,490   

Daimler AG Registered Shares(a)

     10,479,570         758,603,342   

Duerr AG(a)

     126,933         8,896,647   

Fresenius Medical Care AG & Co. KGaA

     1,074,105         83,712,033   

Fresenius SE & Co. KGaA

     1,522,959         102,000,141   

GEA Group AG

     1,440,736         54,735,800   

Hannover Rueck SE(a)

     1,341,612         137,087,909   

HeidelbergCement AG

     789,065         53,957,408   

Hochtief AG(a)

     481,187         40,031,910   

Infineon Technologies AG(a)

     6,152,871         69,059,144   

K+S AG Registered Shares(a)

     2,154,567         71,970,658   

Krones AG

     101,122         10,621,762   

LANXESS AG(a)

     249,065         11,625,352   

Linde AG(a)

     1,087,463         175,951,923   

Merck KGaA

     1,555,379         137,315,359   

MTU Aero Engines AG(a)

     232,842         19,438,653   

NORMA Group SE(a)

     101,655         4,984,273   

OSRAM Licht AG

     706,119         36,426,896   

SAP SE(a)

     7,142,864         462,048,038   

Siemens AG Registered Shares

     9,802,860         874,738,522   

Software AG

     363,698         10,591,959   

Symrise AG(a)

     430,037         25,820,740   

Wacker Chemie AG(a)

     300,860         22,806,545   
     

 

 

 
Total Germany               4,504,772,440   
Ireland – 1.1%      

CRH PLC

     6,851,895         179,737,986   

Glanbia PLC

     1,227,700         22,803,782   
     

 

 

 
Total Ireland               202,541,768   
Italy – 2.6%      

DiaSorin SpA

     344,108         15,026,399   

Interpump Group SpA

     1,160,039         15,422,176   

Luxottica Group SpA(a)

     4,522,587         312,996,822   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Europe Hedged Equity Fund (HEDJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Moncler SpA

     970,486       $ 17,332,873   

Parmalat SpA(a)

     3,077,975         7,929,799   

Piaggio & C. SpA(a)

     3,385,727         8,125,530   

Pirelli & C. SpA

     4,021,889         67,206,796   

Salini Impregilo SpA

     3,138,514         11,918,448   

Salvatore Ferragamo SpA(a)

     855,030         22,743,993   
     

 

 

 
Total Italy               478,702,836   
Netherlands – 7.9%      

Akzo Nobel N.V.

     2,057,818         133,205,261   

Arcadis N.V.

     718,439         16,845,112   

ASM International N.V.

     347,599         11,225,049   

ASML Holding N.V.(a)

     1,223,807         106,772,348   

BE Semiconductor Industries N.V.

     943,572         14,587,677   

Boskalis Westminster

     1,487,361         64,883,199   

Corbion N.V.

     392,215         8,975,101   

Gemalto N.V.(a)

     207,160         13,414,364   

Heineken Holding N.V.

     1,138,329         80,852,049   

Heineken N.V.

     3,713,534         299,451,471   

Koninklijke Ahold N.V.

     9,366,914         182,035,718   

Koninklijke DSM N.V.

     2,269,683         104,368,879   

Koninklijke Philips N.V.

     11,859,365         278,593,946   

Koninklijke Vopak N.V.

     1,021,259         40,680,184   

Wolters Kluwer N.V.

     3,030,526         93,061,471   
     

 

 

 
Total Netherlands               1,448,951,829   
Portugal – 0.4%      

Galp Energia, SGPS, S.A.

     7,858,096         77,181,277   
Spain – 17.2%      

Acerinox S.A.(a)

     3,639,903         32,431,187   

ACS Actividades de Construccion y Servicios S.A.

     5,667,670         162,560,298   

Banco Bilbao Vizcaya Argentaria S.A.

     98,393,081         832,520,764   

Banco Santander S.A.

     155,093,147         821,293,900   

Grifols S.A.(a)

     1,283,574         52,862,748   

Mapfre S.A.

     60,004,668         156,398,733   

Obrascon Huarte Lain S.A.(a)

     1,168,024         15,332,762   

Prosegur Cia de Seguridad S.A.(a)

     4,595,400         22,057,337   

Tecnicas Reunidas S.A.(a)

     994,360         43,882,029   

Telefonica S.A.

     80,470,965         972,812,124   

Viscofan S.A.

     459,004         27,606,119   
     

 

 

 
Total Spain               3,139,758,001   
Switzerland – 0.7%      

STMicroelectronics N.V.(a)

     17,891,981         121,628,970   
United Kingdom – 6.2%      

CNH Industrial N.V.(a)

     14,704,683         95,612,110   

RELX N.V.

     11,796,048         191,848,051   

Unilever N.V. CVA

     20,869,779         836,089,207   
     

 

 

 
Total United Kingdom               1,123,549,368   
TOTAL COMMON STOCKS
(Cost: $20,701,363,592)
              18,193,605,261   
Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2%   
United States – 2.2%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $407,707,245)(c)      407,707,245       $ 407,707,245   
TOTAL INVESTMENTS IN SECURITIES – 101.7%
(Cost: $21,109,070,837)
         18,601,312,506   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (1.7)%

        (312,811,113
     

 

 

 
NET ASSETS – 100.0%             $ 18,288,501,393   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c)

At September 30, 2015, the total market value of the Fund’s securities on loan was $402,427,361 and the total market value of the collateral held by the Fund was $423,200,975. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $15,493,730.

CVA – Certificaten Van Aandelen (Certificate of Stock)

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Europe Hedged SmallCap Equity Fund (EUSC)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.9%      
Austria – 4.1%      

Austria Technologie & Systemtechnik AG

     17,007       $ 250,020   

Lenzing AG

     9,753         730,176   

Oesterreichische Post AG

     47,609         1,630,443   

POLYTEC Holding AG

     43,988         334,333   

RHI AG

     21,838         440,974   

Schoeller-Bleckmann Oilfield Equipment AG

     6,022         339,060   

Semperit AG Holding

     9,846         298,120   

Telekom Austria AG

     17,327         97,577   

UNIQA Insurance Group AG

     200,970         1,738,578   

Vienna Insurance Group AG Wiener Versicherung Gruppe

     83,516         2,456,471   

Wienerberger AG

     18,939         332,437   

Zumtobel Group AG

     12,122         266,091   
     

 

 

 
Total Austria               8,914,280   
Belgium – 8.3%      

Ackermans & van Haaren N.V.

     9,072         1,326,587   

Barco N.V.

     6,047         389,743   

Bekaert S.A.(a)

     34,563         907,616   

bpost S.A.

     152,271         3,608,515   

Cie d’Entreprises CFE

     7,688         971,881   

Cofinimmo S.A.

     22,818         2,403,150   

D’ieteren S.A./N.V.

     22,692         874,009   

Econocom Group S.A./N.V.(a)

     42,877         371,213   

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

     29,358         1,425,532   

Euronav N.V.(a)

     35,422         494,050   

EVS Broadcast Equipment S.A.

     18,957         489,236   

Exmar N.V.

     46,048         426,218   

Fagron(a)

     13,402         254,469   

Kinepolis Group N.V.

     10,273         398,200   

Melexis N.V.

     10,321         476,270   

Ontex Group N.V.

     9,139         280,029   

Umicore S.A.(a)

     42,359         1,628,670   

Warehouses De Pauw CVA

     15,641         1,210,450   
     

 

 

 
Total Belgium               17,935,838   
Finland – 12.7%      

Aktia Bank Oyj

     37,440         455,537   

Amer Sports Oyj

     40,585         1,030,190   

Aspo Oyj

     21,069         151,928   

Atria Oyj

     15,351         133,486   

Cargotec Oyj Class B

     18,296         499,136   

Caverion Corp.

     46,090         459,945   

Citycon Oyj*

     309,538         760,148   

Cramo Oyj

     24,835         516,462   

Elisa Oyj

     126,069         4,252,693   

F-Secure Oyj(a)

     70,997         195,748   

Huhtamaki Oyj

     32,715         997,310   

Kemira Oyj

     132,969         1,531,762   

Kesko Oyj Class B

     47,576         1,681,358   

Konecranes Oyj(a)

     39,153         977,233   

Metsa Board Oyj

     93,280         524,784   

Metso Oyj

     100,544         2,086,397   
Investments    Shares      Value  

Nokian Renkaat Oyj(a)

     102,588       $ 3,310,594   

Orion Oyj Class B

     69,258         2,613,051   

Outotec Oyj(a)

     69,339         255,883   

PKC Group Oyj

     13,686         248,251   

Ramirent Oyj

     119,709         915,332   

Sanoma Oyj(a)

     69,048         254,655   

Technopolis Oyj

     98,282         377,393   

Tieto Oyj

     61,505         1,550,228   

Tikkurila Oyj

     18,374         304,573   

Uponor Oyj

     12,148         157,705   

Valmet Oyj

     65,793         636,003   

YIT Oyj(a)

     91,248         498,481   
     

 

 

 
Total Finland               27,376,266   
France – 16.5%      

Alten S.A.

     12,211         625,709   

Altran Technologies S.A.

     50,650         586,865   

Arkema S.A.

     33,234         2,144,974   

Assystem

     15,067         308,284   

BioMerieux

     6,199         669,336   

Bourbon S.A.(a)

     49,525         620,820   

Eiffage S.A.

     35,969         2,220,316   

Elior(b)

     30,591         583,917   

Eurazeo S.A.

     21,399         1,421,254   

Faurecia

     15,525         481,248   

Gaztransport Et Technigaz S.A.

     19,598         1,015,715   

Havas S.A.

     123,926         1,008,443   

Ipsen S.A.

     24,462         1,512,736   

IPSOS

     17,660         346,061   

Korian S.A.

     25,073         942,627   

Lagardere SCA

     97,687         2,697,726   

Metropole Television S.A.

     101,529         1,937,972   

Neopost S.A.(a)

     54,100         1,405,858   

Nexity S.A.

     43,043         1,850,520   

Orpea

     10,172         806,964   

Plastic Omnium S.A.

     33,351         761,313   

Rallye S.A.(a)

     22,258         363,986   

Remy Cointreau S.A.(a)

     13,997         916,669   

Rubis SCA

     21,330         1,582,386   

Saft Groupe S.A.

     8,704         284,091   

SEB S.A.

     16,972         1,561,256   

Societe Television Francaise 1

     58,525         819,873   

Sopra Steria Group

     4,892         541,591   

Tarkett S.A.

     28,825         672,476   

Technicolor S.A. Registered Shares

     57,261         393,924   

Teleperformance

     13,318         1,007,186   

Vallourec S.A.

     86,506         764,387   

Vicat

     18,867         1,176,638   

Wendel S.A.

     13,947         1,630,004   
     

 

 

 
Total France               35,663,125   
Germany – 17.6%      

Aareal Bank AG

     32,378         1,147,868   

alstria office REIT-AG*

     57,724         749,694   

Aurelius AG

     14,117         654,985   

 

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, 2015

 

  

 

 

Investments    Shares      Value  

Aurubis AG

     14,711       $ 934,363   

BayWa AG(a)

     16,163         519,427   

Bechtle AG

     7,438         668,697   

Bertrandt AG

     4,347         452,383   

Bilfinger SE(a)

     41,772         1,543,386   

Carl Zeiss Meditec AG Bearer Shares

     6,422         179,178   

CompuGroup Medical AG

     12,780         421,408   

CTS Eventim AG & Co. KGaA

     22,392         827,836   

DMG MORI AG Bearer Shares

     20,885         799,282   

DO Deutsche Office AG

     11,377         55,738   

Drillisch AG

     34,427         1,825,768   

Duerr AG

     10,462         733,274   

ElringKlinger AG(a)

     21,758         417,743   

Freenet AG

     99,807         3,290,480   

Fuchs Petrolub SE

     22,099         848,209   

Gerresheimer AG

     8,158         594,099   

Gerry Weber International AG(a)

     13,300         200,497   

Hamburger Hafen und Logistik AG

     36,938         600,544   

Hochtief AG

     29,197         2,429,018   

Indus Holding AG

     9,354         417,029   

Jenoptik AG

     26,021         368,012   

KION Group AG*

     20,726         917,781   

Kloeckner & Co. SE(a)

     53,788         439,559   

Krones AG

     5,540         581,917   

KUKA AG(a)

     4,143         316,740   

LANXESS AG

     17,379         811,182   

LEG Immobilien AG*

     26,128         2,152,696   

Leoni AG

     9,537         506,840   

MLP AG

     93,258         412,753   

MTU Aero Engines AG

     14,032         1,171,452   

NORMA Group SE

     7,260         355,967   

Pfeiffer Vacuum Technology AG

     5,448         627,593   

Rheinmetall AG

     5,207         318,398   

Rhoen Klinikum AG

     41,279         1,166,226   

Sixt SE

     9,233         448,480   

Software AG

     29,880         870,194   

Stada Arzneimittel AG

     23,497         839,313   

Stroeer SE

     8,615         506,116   

Suedzucker AG(a)

     114,616         2,077,747   

Takkt AG

     25,770         483,265   

TLG Immobilien AG

     17,458         315,697   

VTG AG

     1,678         49,496   

Wacker Neuson SE

     30,905         446,918   

Wincor Nixdorf AG

     28,469         1,115,426   

Wirecard AG

     8,977         427,929   
     

 

 

 
Total Germany               38,038,603   
Ireland – 2.1%      

C&C Group PLC

     176,613         698,285   

Fyffes PLC

     174,994         283,238   

Glanbia PLC

     41,064         762,739   

Irish Continental Group PLC

     92,449         449,935   

Kingspan Group PLC

     23,269         559,610   

Origin Enterprises PLC

     35,242         252,005   
Investments    Shares      Value  

Paddy Power PLC

     13,491       $ 1,554,122   
     

 

 

 
Total Ireland               4,559,934   
Italy – 21.2%      

A2A SpA

     1,628,059         2,017,225   

ACEA SpA

     64,545         870,344   

Anima Holding SpA(b)

     99,412         866,665   

Ansaldo STS SpA

     53,618         567,388   

Ascopiave SpA

     277,264         637,561   

Astaldi SpA

     41,589         378,121   

ASTM SpA

     63,039         835,963   

Azimut Holding SpA

     67,706         1,449,563   

Banca Generali SpA

     63,068         1,774,775   

Banca IFIS SpA

     28,061         651,207   

Banca Popolare di Milano Scarl

     1,678,835         1,654,741   

Banca Popolare di Sondrio SCARL

     116,850         533,996   

Brembo SpA

     16,089         621,393   

Cementir Holding SpA

     51,503         277,103   

Credito Emiliano SpA

     117,946         809,692   

Danieli & C. Officine Meccaniche SpA RSP

     21,326         324,702   

Datalogic SpA

     21,166         335,024   

Davide Campari-Milano SpA(a)

     107,553         854,799   

De’ Longhi

     47,737         1,169,637   

DiaSorin SpA

     12,213         533,313   

Ei Towers SpA

     9,056         555,982   

ERG SpA

     108,622         1,515,616   

Falck Renewables SpA

     280,875         348,014   

FinecoBank Banca Fineco SpA

     279,154         1,850,937   

Hera SpA

     887,263         2,299,725   

Immobiliare Grande Distribuzione SIIQ SpA

     632,307         566,061   

Industria Macchine Automatiche SpA

     17,332         773,873   

Interpump Group SpA

     19,460         258,712   

Intesa Sanpaolo SpA RSP

     442,571         1,422,777   

Iren SpA

     825,783         1,344,877   

Italcementi SpA

     89,562         991,238   

MARR SpA

     39,406         746,898   

Mediolanum SpA(a)

     406,539         2,899,775   

Moncler SpA

     33,913         605,686   

Parmalat SpA

     137,206         353,484   

Piaggio & C. SpA(a)

     150,458         361,090   

Prysmian SpA

     82,158         1,692,028   

RAI Way SpA(b)

     118,167         564,285   

Recordati SpA

     91,300         2,102,477   

Salini Impregilo SpA

     82,551         313,486   

Salvatore Ferragamo SpA(a)

     37,287         991,843   

Societa Cattolica di Assicurazioni SCRL

     149,488         1,051,255   

Societa Iniziative Autostradali e Servizi SpA

     123,243         1,381,202   

Tod’s SpA(a)

     11,611         1,014,828   

Unipol Gruppo Finanziario SpA

     280,897         1,231,629   

UnipolSai SpA

     327,867         711,834   

Vittoria Assicurazioni SpA

     36,120         396,738   

Zignago Vetro SpA

     51,135         316,791   
     

 

 

 
Total Italy               45,826,353   

 

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, 2015

 

  

 

 

Investments    Shares      Value  
Netherlands – 4.9%      

Aalberts Industries N.V.

     33,411       $ 986,826   

Accell Group

     22,332         476,874   

Arcadis N.V.

     35,101         823,007   

ASM International N.V.

     14,897         481,070   

BE Semiconductor Industries N.V.

     41,112         635,594   

Beter Bed Holding N.V.

     14,174         314,852   

BinckBank N.V.

     61,716         507,172   

Brunel International N.V.(a)

     33,145         560,706   

Corbion N.V.

     3,492         79,908   

Delta Lloyd N.V.

     234,927         1,967,565   

Euronext N.V.(b)

     25,337         1,077,560   

Koninklijke Ten Cate N.V.

     5,825         157,775   

NSI N.V.

     168,172         650,269   

TKH Group N.V. CVA

     23,575         851,441   

TNT Express N.V.

     97,002         738,242   

USG People N.V.

     22,108         300,702   
     

 

 

 
Total Netherlands               10,609,563   
Portugal – 3.3%      

Altri, SGPS, S.A.

     81,818         329,060   

CTT-Correios de Portugal S.A.

     100,421         1,117,474   

NOS, SGPS S.A.

     179,669         1,478,294   

Portucel S.A.

     370,011         1,280,376   

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

     328,806         983,639   

Semapa-Sociedade de Investimento e Gestao

     55,754         720,997   

Sonae, SGPS, S.A.

     1,007,507         1,237,092   
     

 

 

 
Total Portugal               7,146,932   
Spain – 9.2%      

Abengoa S.A. Class B(a)

     445,564         412,312   

Acerinox S.A.(a)

     121,444         1,082,054   

Atresmedia Corp. de Medios de Comunicaion S.A.

     55,088         699,164   

Bolsas y Mercados Espanoles SHMSF S.A.

     68,989         2,326,440   

Cia de Distribucion Integral Logista Holdings S.A.

     60,557         1,139,681   

Cie Automotive S.A.

     29,869         414,765   

Distribuidora Internacional de Alimentacion S.A.*

     232,366         1,401,422   

Duro Felguera S.A.

     195,944         452,755   

Ebro Foods S.A.

     88,649         1,736,155   

Ence Energia y Celulosa S.A.

     138,812         448,577   

Faes Farma S.A.

     164,994         432,810   

Grupo Catalana Occidente S.A.

     49,729         1,426,051   

Indra Sistemas S.A.(a)

     104,777         1,084,428   

Mediaset Espana Comunicacion S.A.

     58,847         641,246   

Obrascon Huarte Lain S.A.(a)

     43,943         576,844   

Papeles y Cartones de Europa S.A.

     44,370         212,723   

Prosegur Cia de Seguridad S.A.

     175,369         841,749   

Tecnicas Reunidas S.A.

     27,742         1,224,280   

Viscofan S.A.

     17,116         1,029,417   

Zardoya Otis S.A.(a)

     224,711         2,423,052   
     

 

 

 
Total Spain               20,005,925   
TOTAL COMMON STOCKS
(Cost: $231,605,790)
              216,076,819   
Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 8.5%   
United States – 8.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $18,479,208)(d)      18,479,208       $ 18,479,208   
TOTAL INVESTMENTS IN SECURITIES – 108.4%
(Cost: $250,084,998)
         234,556,027   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (8.4)%

        (18,151,151
     

 

 

 
NET ASSETS – 100.0%             $ 216,404,876   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (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, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $19,000,424 and the total market value of the collateral held by the Fund was $19,995,432. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $1,516,224.

CVA – Certificaten Van Aandelen (Certificate of Stock)

RSP – Risparmio Italian Savings Shares

 

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, 2015

 

  

 

 

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

Vienna Insurance Group AG Wiener Versicherung Gruppe

     868       $ 25,531   
Belgium – 5.3%      

Ackermans & van Haaren N.V.

     191         27,930   

Anheuser-Busch InBev N.V.

     6,467         685,207   

bpost S.A.

     2,620         62,089   

Melexis N.V.

     336         15,505   

UCB S.A.

     1,025         79,919   

Umicore S.A.(a)

     888         34,143   
     

 

 

 
Total Belgium               904,793   
Denmark – 4.6%      

Chr Hansen Holding A/S

     605         33,766   

Coloplast A/S Class B

     1,680         118,825   

Novo Nordisk A/S Class B

     10,348         554,618   

Novozymes A/S Class B

     1,026         44,658   

Pandora A/S

     318         37,066   
     

 

 

 
Total Denmark               788,933   
Finland – 2.2%      

Elisa Oyj

     2,507         84,569   

Huhtamaki Oyj

     846         25,790   

Kone Oyj Class B

     4,306         163,423   

Konecranes Oyj

     820         20,467   

Metsa Board Oyj

     3,105         17,468   

Wartsila Oyj Abp

     1,458         57,727   
     

 

 

 
Total Finland               369,444   
France – 11.3%      

Airbus Group SE

     3,899         230,278   

Alten S.A.

     444         22,751   

Arkema S.A.

     633         40,855   

BioMerieux

     161         17,384   

Bureau Veritas S.A.

     2,730         57,397   

Carrefour S.A.

     3,018         89,072   

Cie Generale des Etablissements Michelin

     815         74,071   

Dassault Systemes

     560         41,257   

Essilor International S.A.

     617         75,002   

Gaztransport Et Technigaz S.A.

     562         29,127   

Hermes International

     153         55,505   

Ingenico Group

     198         23,826   

L’Oreal S.A.

     1,628         281,765   

LVMH Moet Hennessy Louis Vuitton SE

     1,678         285,081   

Publicis Groupe S.A.

     700         47,648   

Renault S.A.

     965         68,940   

Schneider Electric SE

     4,396         245,401   

Societe BIC S.A.

     259         40,128   

Sodexo S.A.

     566         46,753   

Teleperformance

     281         21,251   

Thales S.A.

     1,085         75,296   

Valeo S.A.

     229         30,866   

Zodiac Aerospace

     860         19,675   
     

 

 

 
Total France               1,919,329   
Investments    Shares      Value  
Germany – 13.9%      

adidas AG

     793       $ 63,742   

Aurubis AG

     319         20,261   

Axel Springer SE

     745         41,514   

Bayer AG Registered Shares

     4,339         554,328   

Beiersdorf AG

     475         41,978   

Brenntag AG

     763         41,022   

Continental AG

     528         112,041   

Daimler AG Registered Shares

     5,160         373,526   

Duerr AG

     226         15,840   

Evonik Industries AG

     4,112         137,311   

Fielmann AG

     508         34,704   

Fresenius Medical Care AG & Co. KGaA

     965         75,209   

Fresenius SE & Co. KGaA

     1,276         85,460   

GEA Group AG

     928         35,256   

Hugo Boss AG

     464         52,001   

Infineon Technologies AG

     5,616         63,033   

MTU Aero Engines AG

     269         22,457   

ProSiebenSat.1 Media SE

     1,467         71,790   

Rhoen Klinikum AG

     944         26,670   

SAP SE

     6,197         400,863   

Symrise AG

     570         34,225   

United Internet AG Registered Shares

     1,072         54,165   

Wacker Chemie AG

     259         19,633   
     

 

 

 
Total Germany               2,377,029   
Ireland – 0.2%      

Paddy Power PLC

     305         35,135   
Italy – 3.0%      

Anima Holding SpA(b)

     2,345         20,443   

Atlantia SpA

     7,599         211,975   

DiaSorin SpA

     415         18,122   

Industria Macchine Automatiche SpA

     398         17,771   

Luxottica Group SpA

     1,991         137,792   

Pirelli & C. SpA

     2,267         37,882   

Prysmian SpA

     1,381         28,441   

Recordati SpA

     1,937         44,606   
     

 

 

 
Total Italy               517,032   
Netherlands – 2.7%      

Aalberts Industries N.V.

     685         20,232   

ASML Holding N.V.

     965         84,193   

Euronext N.V.(b)

     563         23,944   

Heineken Holding N.V.

     972         69,038   

Heineken N.V.

     1,706         137,568   

Koninklijke Ahold N.V.

     4,299         83,546   

Wolters Kluwer N.V.

     1,511         46,400   
     

 

 

 
Total Netherlands               464,921   
Norway – 2.0%      

Kongsberg Gruppen ASA

     1,099         15,847   

Telenor ASA

     9,869         183,844   

Veidekke ASA

     1,604         17,911   

Wilh. Wilhelmsen ASA(a)

     2,355         10,105   

Yara International ASA

     2,969         118,168   
     

 

 

 
Total Norway               345,875   

 

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, 2015

 

  

 

 

Investments    Shares      Value  
Portugal – 0.3%      

Jeronimo Martins, SGPS, S.A.

     2,438       $ 32,780   

NOS, SGPS S.A.

     2,493         20,512   
     

 

 

 
Total Portugal               53,292   
Spain – 4.0%      

Abertis Infraestructuras S.A.

     10,151         160,108   

Acerinox S.A.(a)

     2,606         23,219   

Amadeus IT Holding S.A. Class A

     2,549         108,762   

Distribuidora Internacional de Alimentacion S.A.*

     3,155         19,028   

Industria de Diseno Textil S.A.

     9,024         301,486   

Prosegur Cia de Seguridad S.A.

     4,502         21,609   

Zardoya Otis S.A.(a)

     4,074         43,930   
     

 

 

 
Total Spain               678,142   
Sweden – 8.5%      

Alfa Laval AB

     2,847         46,471   

Assa Abloy AB Class B

     3,784         67,631   

Atlas Copco AB Class A

     4,992         119,695   

Atlas Copco AB Class B

     2,818         62,831   

Axfood AB

     1,420         23,365   

BillerudKorsnas AB

     1,627         23,337   

Boliden AB

     1,205         18,792   

Electrolux AB Series B

     1,285         36,158   

Getinge AB Class B

     941         20,913   

Hennes & Mauritz AB Class B

     7,995         291,410   

Hexagon AB Class B

     1,201         36,558   

Hexpol AB

     1,728         19,264   

Holmen AB Class B

     855         23,906   

Intrum Justitia AB

     696         24,008   

Loomis AB Class B

     564         14,734   

Modern Times Group MTG AB Class B(a)

     632         16,209   

NCC AB Class B

     1,099         33,073   

Sandvik AB

     10,800         91,684   

SKF AB Class B

     2,909         53,310   

Tele2 AB Class B

     6,011         58,375   

Telefonaktiebolaget LM Ericsson Class B

     32,965         323,084   

Trelleborg AB Class B

     1,768         27,910   

Wihlborgs Fastigheter AB

     1,050         18,779   
     

 

 

 
Total Sweden               1,451,497   
Switzerland – 15.3%      

ABB Ltd. Registered Shares*

     15,470         272,637   

Actelion Ltd. Registered Shares*

     345         43,677   

Adecco S.A. Registered Shares*

     1,315         95,890   

Cie Financiere Richemont S.A. Registered Shares

     1,794         138,989   

EFG International AG*

     1,203         12,804   

Galenica AG Registered Shares

     35         44,453   

Geberit AG Registered Shares

     253         77,083   

Georg Fischer AG Registered Shares

     33         18,660   

Partners Group Holding AG

     243         82,131   

Roche Holding AG Bearer Shares

     1,188         312,168   

Roche Holding AG Genusschein

     4,399         1,157,039   

Schindler Holding AG Registered Shares

     266         38,875   

Sonova Holding AG Registered Shares

     346         44,405   

Straumann Holding AG Registered Shares

     94         26,961   
Investments    Shares      Value  

Syngenta AG Registered Shares

     763       $ 243,713   
     

 

 

 
Total Switzerland               2,609,485   
United Kingdom – 26.3%      

Aggreko PLC

     1,287         18,540   

Antofagasta PLC

     5,214         39,466   

ARM Holdings PLC

     2,774         39,813   

Ashmore Group PLC(a)

     11,422         42,648   

Ashtead Group PLC

     1,508         21,243   

Babcock International Group PLC

     2,575         35,592   

BBA Aviation PLC

     4,896         19,853   

Bellway PLC

     645         24,289   

Berkeley Group Holdings PLC

     1,354         68,502   

Big Yellow Group PLC

     1,804         19,784   

Bodycote PLC

     2,737         22,844   

Booker Group PLC

     7,539         21,115   

Bovis Homes Group PLC

     1,033         15,757   

British American Tobacco PLC

     12,969         715,660   

Britvic PLC

     1,809         18,592   

Burberry Group PLC

     1,646         34,108   

Capita PLC

     4,089         74,202   

Carillion PLC(a)

     6,634         30,317   

Carnival PLC

     800         41,480   

Compass Group PLC

     7,146         113,981   

Countrywide PLC

     2,016         15,330   

Croda International PLC

     996         40,870   

Daily Mail & General Trust PLC Class A Non-Voting Shares

     1,677         19,141   

Derwent London PLC

     401         22,104   

Diageo PLC

     13,841         371,197   

Drax Group PLC

     4,026         14,880   

easyJet PLC

     2,748         73,968   

Essentra PLC

     1,618         19,264   

Galliford Try PLC

     916         22,006   

Go-Ahead Group PLC

     432         16,071   

Halma PLC

     2,450         26,776   

Hargreaves Lansdown PLC

     3,706         67,757   

Hays PLC

     7,748         17,992   

Howden Joinery Group PLC

     2,949         21,732   

IG Group Holdings PLC

     4,570         53,268   

IMI PLC

     2,376         34,137   

Inchcape PLC

     2,293         24,973   

Inmarsat PLC

     4,440         66,044   

Interserve PLC

     1,758         15,285   

Intertek Group PLC

     859         31,631   

ITV PLC

     12,443         46,366   

Johnson Matthey PLC

     1,284         47,612   

Jupiter Fund Management PLC

     4,443         29,168   

London Stock Exchange Group PLC

     1,025         37,558   

Melrose Industries PLC

     8,609         34,453   

Merlin Entertainments PLC(b)

     3,054         17,190   

Michael Page International PLC

     2,281         16,377   

Moneysupermarket.com Group PLC

     5,823         29,813   

Next PLC

     699         80,575   

Premier Farnell PLC

     7,683         12,191   

 

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, 2015

 

  

 

 

Investments    Shares      Value  

Reckitt Benckiser Group PLC

     3,187       $ 289,023   

RELX N.V.

     5,363         87,223   

RELX PLC

     5,154         88,376   

Renishaw PLC

     485         14,811   

Rotork PLC

     5,366         13,395   

Sage Group PLC (The)

     8,088         61,183   

Sky PLC

     8,885         140,507   

Smith & Nephew PLC

     4,839         84,513   

Spirax-Sarco Engineering PLC

     416         17,650   

St. James’s Place PLC

     4,203         54,115   

Taylor Wimpey PLC

     27,220         80,608   

Travis Perkins PLC

     1,171         34,872   

Unilever N.V. CVA

     9,577         383,676   

Unilever PLC

     7,216         293,592   

Vesuvius PLC

     3,441         18,368   

Whitbread PLC

     570         40,304   

William Hill PLC

     4,558         24,220   

WS Atkins PLC

     793         16,673   
     

 

 

 
Total United Kingdom               4,486,624   
TOTAL COMMON STOCKS
(Cost: $18,724,764)
              17,027,062   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.8%   
United States – 0.8%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $146,743)(d)      146,743         146,743   
TOTAL INVESTMENTS IN SECURITIES – 100.6%
(Cost: $18,871,507)
        17,173,805   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (0.6)%

        (107,553
     

 

 

 
NET ASSETS – 100.0%             $ 17,066,252   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (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, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $139,278 and the total market value of the collateral held by the Fund was $146,743.

CVA – Certificaten Van Aandelen (Certificate of Stock)

 

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, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.3%      
Austria – 1.7%      

Austria Technologie & Systemtechnik AG

     77,674       $ 1,141,886   

CAT Oil AG

     80,939         590,877   

Lenzing AG

     51,014         3,819,258   

POLYTEC Holding AG

     136,615         1,038,348   

RHI AG

     139,170         2,810,253   

Schoeller-Bleckmann Oilfield Equipment AG

     50,106         2,821,150   

Semperit AG Holding

     31,970         967,996   

Wienerberger AG

     138,930         2,438,642   

Zumtobel Group AG

     37,737         828,367   
     

 

 

 
Total Austria               16,456,777   
Belgium – 4.8%      

Barco N.V.

     38,865         2,504,937   

Bekaert S.A.(a)

     231,888         6,089,326   

Cofinimmo S.A.

     163,262         17,194,452   

Econocom Group S.A./N.V.(a)

     236,476         2,047,322   

Euronav N.V.

     256,142         3,572,550   

EVS Broadcast Equipment S.A.(a)

     24,631         635,669   

Exmar N.V.(a)

     262,492         2,429,611   

Fagron(a)

     46,612         885,041   

Kinepolis Group N.V.

     69,716         2,702,315   

Recticel S.A.(a)

     257,429         1,422,407   

Warehouses De Pauw CVA

     83,856         6,489,581   
     

 

 

 
Total Belgium               45,973,211   
Denmark – 3.3%      

Alm Brand A/S

     257,271         1,478,204   

DFDS A/S

     172,125         5,472,871   

Matas A/S

     192,364         3,597,875   

NKT Holding A/S

     24,080         1,268,269   

Rockwool International A/S Class B

     13,914         1,980,948   

Royal Unibrew A/S

     177,955         6,651,428   

Schouw & Co.

     69,859         3,752,573   

SimCorp A/S

     94,563         4,754,149   

Spar Nord Bank A/S

     278,882         3,171,366   
     

 

 

 
Total Denmark               32,127,683   
Finland – 6.5%      

Aspo Oyj

     69,061         497,997   

Atria Oyj

     54,881         477,222   

Bittium Oyj

     179,010         1,003,096   

Caverion Corp.

     313,254         3,126,047   

Cramo Oyj

     126,482         2,630,286   

F-Secure Oyj(a)

     373,141         1,028,801   

HKScan Oyj Class A

     151,972         664,984   

Kemira Oyj

     931,468         10,730,228   

Konecranes Oyj(a)

     247,531         6,178,211   

Metsa Board Oyj

     805,836         4,533,551   

Outotec Oyj(a)

     299,264         1,104,380   

PKC Group Oyj(a)

     93,340         1,693,099   

Raisio Oyj Class V(a)

     428,636         2,057,398   

Ramirent Oyj

     492,997         3,769,608   

Sanoma Oyj(a)

     348,550         1,285,483   
Investments    Shares      Value  

Technopolis Oyj

     282,087       $ 1,083,185   

Tieto Oyj

     359,616         9,064,091   

Tikkurila Oyj

     149,751         2,482,318   

Uponor Oyj(a)

     212,132         2,753,894   

Valmet Oyj

     406,419         3,928,739   

YIT Oyj(a)

     369,732         2,019,818   
     

 

 

 
Total Finland               62,112,436   
France – 3.7%      

Albioma S.A.(a)

     124,614         2,071,204   

Alten S.A.

     92,427         4,736,092   

Altran Technologies S.A.

     309,927         3,591,022   

IPSOS

     145,841         2,857,866   

Jacquet Metal Service

     72,181         975,324   

Lectra

     94,052         1,039,357   

Montupet(a)

     20,524         1,203,916   

Neopost S.A.(a)

     381,478         9,913,198   

Saft Groupe S.A.

     66,413         2,167,663   

Sopra Steria Group

     32,506         3,598,727   

Tarkett S.A.

     140,622         3,280,657   
     

 

 

 
Total France               35,435,026   
Germany – 9.8%      

Adler Modemaerkte AG

     117,907         1,315,742   

alstria office REIT-AG*(a)

     443,048         5,754,114   

Aurelius AG

     80,236         3,722,703   

BayWa AG(a)

     71,772         2,306,524   

Bechtle AG

     43,498         3,910,589   

Bertrandt AG

     23,832         2,480,147   

Bilfinger SE(a)

     259,025         9,570,420   

Borussia Dortmund GmbH & Co. KGaA(a)

     255,314         1,161,351   

CANCOM SE

     14,979         519,751   

Carl Zeiss Meditec AG Bearer Shares(a)

     181,687         5,069,187   

CompuGroup Medical AG(a)

     84,005         2,769,982   

Elmos Semiconductor AG

     49,522         748,476   

ElringKlinger AG(a)

     173,273         3,326,754   

Gerresheimer AG

     45,645         3,324,057   

Gerry Weber International AG(a)

     213,670         3,221,065   

GFT Technologies SE

     57,920         1,409,116   

Hamburger Hafen und Logistik AG(a)

     168,594         2,741,031   

Indus Holding AG

     69,348         3,091,742   

Jenoptik AG

     93,040         1,315,854   

Kloeckner & Co. SE(a)

     312,135         2,550,787   

MLP AG

     483,820         2,141,353   

NORMA Group SE

     54,177         2,656,367   

Pfeiffer Vacuum Technology AG

     24,572         2,830,620   

QSC AG(a)

     823,625         1,385,492   

RIB Software AG(a)

     62,181         975,551   

SHW AG

     25,012         561,883   

Sixt SE

     66,712         3,240,442   

Stroeer SE

     56,511         3,319,920   

Takkt AG

     126,246         2,367,490   

TLG Immobilien AG

     123,864         2,239,863   

VTG AG(a)

     72,645         2,142,802   

Wacker Neuson SE

     186,876         2,702,416   

 

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, 2015

 

  

 

 

Investments    Shares      Value  

Wincor Nixdorf AG

     193,551       $ 7,583,398   
     

 

 

 
Total Germany               94,456,989   
Ireland – 2.3%      

C&C Group PLC

     1,209,185         4,780,822   

Fyffes PLC

     447,509         724,321   

Greencore Group PLC

     818,390         3,386,741   

Hibernia REIT PLC

     1,051,955         1,488,942   

IFG Group PLC

     526,682         1,140,543   

Irish Continental Group PLC

     605,558         2,947,159   

Origin Enterprises PLC

     408,488         2,920,973   

Total Produce PLC

     886,311         1,221,840   

UDG Healthcare PLC

     481,032         3,665,075   
     

 

 

 
Total Ireland               22,276,416   
Italy – 9.7%      

Amplifon SpA(a)

     239,511         1,808,650   

Ansaldo STS SpA

     336,369         3,559,472   

Ascopiave SpA

     1,530,314         3,518,917   

Astaldi SpA(a)

     242,206         2,202,101   

ASTM SpA

     324,623         4,304,840   

Banca IFIS SpA

     221,038         5,129,591   

Banca Popolare di Sondrio SCARL

     767,709         3,508,373   

Banco di Desio e della Brianza SpA

     412,749         1,381,271   

Biesse SpA

     67,421         1,018,250   

Cairo Communication SpA(a)

     134,372         640,769   

Cementir Holding SpA

     344,974         1,856,072   

Danieli & C. Officine Meccaniche SpA RSP

     174,436         2,655,901   

Datalogic SpA

     123,939         1,961,758   

Ei Towers SpA

     67,640         4,152,672   

ERG SpA

     737,198         10,286,212   

Esprinet SpA(a)

     95,832         791,596   

Falck Renewables SpA(a)

     2,008,659         2,488,803   

Immobiliare Grande Distribuzione SIIQ SpA

     3,904,199         3,495,165   

Industria Macchine Automatiche SpA

     108,211         4,831,619   

Interpump Group SpA

     166,048         2,207,531   

Iren SpA

     5,470,322         8,909,011   

MARR SpA

     271,931         5,154,158   

Moleskine SpA

     831,811         1,439,188   

Piaggio & C. SpA(a)

     1,034,879         2,483,644   

RAI Way SpA(b)

     848,273         4,050,771   

Societa Cattolica di Assicurazioni SCRL

     960,597         6,755,276   

Trevi Finanziaria Industriale SpA(a)

     750,582         949,269   

Vittoria Assicurazioni SpA

     175,839         1,931,397   
     

 

 

 
Total Italy               93,472,277   
Netherlands – 3.2%      

Accell Group

     110,434         2,358,191   

BE Semiconductor Industries N.V.(a)

     279,067         4,314,392   

Beter Bed Holding N.V.

     79,850         1,773,737   

BinckBank N.V.

     373,888         3,072,548   

Brunel International N.V.(a)

     132,320         2,238,426   

Corbion N.V.

     82,317         1,883,669   

IMCD Group N.V.

     33,436         1,150,666   

Kendrion N.V.

     57,748         1,398,807   

Koninklijke Ten Cate N.V.

     72,109         1,953,130   
Investments    Shares      Value  

NSI N.V.

     870,361       $ 3,365,415   

TKH Group N.V. CVA

     132,322         4,778,975   

USG People N.V.

     105,885         1,440,195   

Wessanen

     132,469         1,397,653   
     

 

 

 
Total Netherlands               31,125,804   
Norway – 5.6%      

ABG Sundal Collier Holding ASA

     3,995,350         3,175,671   

Aker Solutions ASA(a)

     1,076,069         3,713,889   

American Shipping ASA*

     202,315         948,722   

Austevoll Seafood ASA

     546,536         3,395,827   

Borregaard ASA

     302,459         1,817,236   

Entra ASA(b)

     608,624         4,905,381   

Hexagon Composites ASA(a)

     388,011         682,317   

Leroy Seafood Group ASA

     264,318         9,481,982   

Norway Royal Salmon ASA

     127,833         944,136   

Petroleum Geo-Services ASA(a)

     430,586         1,652,178   

Protector Forsikring ASA

     332,389         2,338,024   

Selvaag Bolig ASA

     556,520         1,644,115   

SpareBank 1 Nord Norge

     543,691         2,307,341   

SpareBank 1 SMN

     547,831         3,468,098   

SpareBank 1 SR-Bank ASA

     392,228         1,949,644   

Tomra Systems ASA

     352,030         3,301,571   

Veidekke ASA

     389,736         4,351,976   

XXL ASA(b)

     360,389         3,506,716   
     

 

 

 
Total Norway               53,584,824   
Portugal – 2.2%      

Altri, SGPS, S.A.

     502,426         2,020,681   

CTT-Correios de Portugal S.A.

     729,333         8,115,939   

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

     2,439,291         7,297,258   

Semapa-Sociedade de Investimento e Gestao(a)

     326,381         4,220,678   
     

 

 

 
Total Portugal               21,654,556   
Spain – 2.6%      

Abengoa S.A. Class A(a)

     288,157         420,725   

Cie Automotive S.A.(a)

     221,192         3,071,504   

Duro Felguera S.A.(a)

     933,812         2,157,700   

Ence Energia y Celulosa S.A.(a)

     920,121         2,973,410   

Faes Farma S.A.

     803,839         2,108,619   

Indra Sistemas S.A.(a)

     710,560         7,354,201   

Laboratorios Farmaceuticos Rovi S.A.(a)

     82,945         1,228,634   

Obrascon Huarte Lain S.A.(a)

     265,281         3,482,369   

Papeles y Cartones de Europa S.A.

     374,892         1,797,342   

Pescanova S.A.*

     3,781         0   

Tubacex S.A.(a)

     375,672         790,463   
     

 

 

 
Total Spain               25,384,967   
Sweden – 12.8%      

Acando AB

     979,745         1,541,977   

AddTech AB Class B

     75,811         1,075,647   

AF AB Class B

     222,055         3,064,590   

Avanza Bank Holding AB

     68,335         2,798,728   

B&B Tools AB Class B

     78,833         1,045,680   

 

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, 2015

 

  

 

 

Investments    Shares      Value  

Betsson AB*

     210,908       $ 3,540,678   

Bilia AB Class A

     244,212         4,877,223   

Bufab Holding AB

     196,202         1,076,099   

Bulten AB(a)

     108,676         926,468   

Byggmax Group AB

     298,607         2,652,449   

Clas Ohlson AB Class B

     234,588         3,580,194   

Com Hem Holding AB

     312,902         2,609,677   

Duni AB

     145,901         2,139,706   

Granges AB(a)

     175,606         1,135,873   

Gunnebo AB

     178,028         789,627   

Haldex AB

     119,940         1,258,454   

Hemfosa Fastigheter AB

     139,321         1,482,571   

HIQ International AB*

     409,619         2,227,079   

Holmen AB Class B

     262,999         7,353,392   

Husqvarna AB Class A

     163,893         1,050,339   

Indutrade AB

     91,409         4,166,621   

Inwido AB

     119,394         1,227,813   

KappAhl AB(a)

     318,928         817,564   

KNOW IT AB

     203,005         1,240,485   

Kungsleden AB

     519,743         3,485,796   

Lifco AB Class B(a)

     146,894         3,196,375   

Lindab International AB(a)

     167,156         1,236,672   

Loomis AB Class B(a)

     191,094         4,992,065   

Mekonomen AB(a)

     123,126         2,848,015   

Modern Times Group MTG AB Class B(a)

     318,354         8,164,724   

Mycronic AB

     140,844         772,480   

NetEnt AB*

     76,878         4,266,901   

New Wave Group AB Class B(a)

     189,266         728,897   

Nobia AB

     417,913         5,087,476   

Nolato AB Class B

     121,212         3,034,979   

Nordnet AB Class B

     257,170         959,744   

Peab AB

     1,081,211         7,483,477   

Platzer Fastigheter Holding AB Class B(a)

     167,380         692,506   

Ratos AB Class B

     1,658,577         9,976,715   

Scandi Standard AB

     220,332         1,192,681   

Skandinaviska Enskilda Banken AB Class C

     119,388         1,244,834   

SkiStar AB

     105,849         1,501,843   

Svenska Handelsbanken AB Class B(a)

     135,143         1,927,150   

Thule Group AB (The)(b)

     116,425         1,332,626   

Wihlborgs Fastigheter AB

     275,471         4,926,720   
     

 

 

 
Total Sweden               122,731,610   
Switzerland – 3.2%      

Ascom Holding AG Registered Shares

     131,292         2,411,924   

Cembra Money Bank AG*

     180,660         10,649,899   

EFG International AG*

     332,650         3,540,641   

Gategroup Holding AG*

     46,192         1,552,970   

Implenia AG Registered Shares

     62,961         3,105,844   

Kudelski S.A. Bearer Shares

     134,905         1,843,191   

Mobilezone Holding AG Registered Shares

     152,080         2,077,851   

Swissquote Group Holding S.A. Registered Shares

     49,937         1,093,697   

Tecan Group AG Registered Shares

     17,820         2,502,204   

U-Blox AG*

     8,124         1,630,454   
     

 

 

 
Total Switzerland               30,408,675   
Investments    Shares      Value  
United Kingdom – 27.9%      

A.G.BARR PLC

     146,647       $ 1,165,090   

Abcam PLC

     201,687         1,774,986   

Acacia Mining PLC

     240,664         904,074   

Al Noor Hospitals Group PLC

     116,932         1,477,204   

Alent PLC

     438,159         3,225,588   

Assura PLC

     2,021,747         1,676,686   

Assura PLC (Entitlement Shares)*

     404,349         29,093   

AVEVA Group PLC

     67,840         2,092,206   

Bank of Georgia Holdings PLC

     95,910         2,620,845   

Big Yellow Group PLC

     350,423         3,843,015   

Bodycote PLC

     554,043         4,624,194   

Bovis Homes Group PLC

     288,963         4,407,706   

Brammer PLC

     253,863         995,956   

Brewin Dolphin Holdings PLC

     564,013         2,195,650   

Capital & Regional PLC

     1,221,981         1,226,285   

Card Factory PLC

     413,387         2,454,617   

Central Asia Metals PLC(a)

     454,055         1,084,973   

Chemring Group PLC

     249,613         843,166   

Chesnara PLC

     407,394         2,076,542   

Cineworld Group PLC

     517,342         4,349,223   

Computacenter PLC

     153,423         1,756,925   

Concentric AB

     138,613         1,607,253   

Costain Group PLC

     251,045         1,380,382   

Countrywide PLC

     397,085         3,019,452   

Cranswick PLC

     86,273         2,085,685   

Crest Nicholson Holdings PLC

     451,420         3,904,432   

Dairy Crest Group PLC(a)

     376,224         3,467,752   

De La Rue PLC(a)

     300,731         2,194,527   

Debenhams PLC

     3,497,551         4,185,353   

Dechra Pharmaceuticals PLC

     131,999         1,877,488   

Development Securities PLC

     243,690         904,367   

Devro PLC

     323,964         1,447,637   

Dignity PLC

     30,122         1,085,017   

Diploma PLC

     157,800         1,589,533   

Domino’s Pizza Group PLC

     290,157         3,902,896   

E2V Technologies PLC

     465,182         1,599,520   

Electrocomponents PLC

     1,338,886         3,632,287   

Elementis PLC

     549,362         1,857,350   

EMIS Group PLC

     107,112         1,703,603   

esure Group PLC

     1,080,025         4,057,200   

FDM Group Holdings PLC

     138,504         1,011,231   

Fenner PLC

     831,773         2,075,731   

Ferrexpo PLC

     2,322,769         1,249,037   

Fidessa Group PLC

     89,736         2,438,541   

Foxtons Group PLC

     399,938         1,436,972   

Galliford Try PLC

     179,695         4,316,981   

GAME Digital PLC(a)

     344,149         1,161,195   

Genus PLC

     61,878         1,330,962   

Go-Ahead Group PLC

     93,892         3,492,994   

Greggs PLC

     172,773         2,839,531   

Halfords Group PLC

     420,809         2,943,607   

Hargreaves Services PLC

     242,791         1,262,362   

Helical Bar PLC

     194,783         1,210,433   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Europe SmallCap Dividend Fund (DFE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

HellermannTyton Group PLC

     256,342       $ 1,812,556   

Hill & Smith Holdings PLC

     161,918         1,724,215   

Home Retail Group PLC

     1,392,216         2,868,048   

HomeServe PLC

     571,131         3,510,659   

Hunting PLC

     317,880         1,930,368   

Interserve PLC

     347,046         3,017,448   

ITE Group PLC

     693,982         1,482,205   

J D Wetherspoon PLC

     124,612         1,389,244   

James Fisher & Sons PLC

     63,340         893,241   

James Halstead PLC

     235,591         1,473,838   

JD Sports Fashion PLC

     134,776         1,949,651   

John Menzies PLC

     199,081         1,246,188   

Just Retirement Group PLC

     665,577         1,651,403   

Just Retirement Group PLC (Entitlement Shares)*

     84,416         6,138   

Kcom Group PLC

     1,238,752         1,669,996   

Keller Group PLC

     106,379         1,393,034   

Kier Group PLC

     167,906         3,433,531   

Ladbrokes PLC

     4,835,182         7,009,155   

Laird PLC

     671,626         3,830,305   

Lavendon Group PLC

     349,396         824,303   

Lookers PLC

     522,775         1,320,053   

LSL Property Services PLC

     212,445         1,102,169   

Marshalls PLC

     381,202         2,060,255   

Marston’s PLC

     1,807,089         4,103,195   

McBride PLC*

     750,010         1,715,477   

McColl’s Retail Group PLC

     456,901         1,024,294   

Mitie Group PLC

     925,793         4,279,956   

Morgan Advanced Materials PLC

     541,537         2,315,687   

N Brown Group PLC

     832,921         3,863,224   

NCC Group PLC

     285,471         1,184,823   

NMC Health PLC

     99,071         1,250,065   

Northgate PLC

     152,785         1,050,466   

Nostrum Oil & Gas PLC

     392,634         2,750,683   

Novae Group PLC

     190,984         2,502,384   

Numis Corp. PLC

     282,594         1,005,939   

OneSavings Bank PLC

     207,617         1,226,817   

Oxford Instruments PLC

     61,990         546,494   

Pace PLC

     252,450         1,378,547   

Pan African Resources PLC

     6,731,334         764,722   

PayPoint PLC

     175,972         2,724,177   

Pendragon PLC

     2,628,248         1,652,172   

Photo-Me International PLC

     482,355         1,148,943   

Polar Capital Holdings PLC

     284,206         1,611,150   

Polypipe Group PLC

     268,077         1,339,015   

Premier Farnell PLC

     418,651         664,274   

Rank Group PLC

     698,504         2,828,191   

Redde PLC

     1,010,318         2,463,910   

Restaurant Group PLC (The)

     298,869         3,055,805   

Ricardo PLC

     69,679         928,807   

RPS Group PLC

     560,247         1,907,305   

Safestore Holdings PLC

     377,346         1,684,746   

Savills PLC

     252,068         3,484,107   

Schroders PLC Non-Voting Shares

     116,271         3,809,508   
Investments    Shares      Value  

Senior PLC

     461,438       $ 1,755,795   

Shanks Group PLC

     978,777         1,360,288   

SIG PLC

     847,156         2,227,686   

Soco International PLC

     1,303,776         3,115,396   

Spirent Communications PLC

     1,021,164         1,167,840   

St. Ives PLC

     522,899         1,431,651   

St. Modwen Properties PLC

     176,517         1,110,693   

SThree PLC

     173,828         914,988   

Synthomer PLC

     579,713         2,987,365   

Ted Baker PLC

     45,822         2,225,942   

Telecom Plus PLC(a)

     274,606         4,646,267   

Trinity Mirror PLC

     475,374         1,083,709   

Tullett Prebon PLC

     709,179         4,016,542   

Tyman PLC

     300,935         1,266,099   

UK Mail Group PLC

     21,455         115,371   

Ultra Electronics Holdings PLC(a)

     115,341         2,992,830   

Unite Group PLC (The)

     244,294         2,416,389   

Vesuvius PLC

     697,902         3,725,386   

WS Atkins PLC

     149,193         3,136,742   

Xaar PLC

     78,910         668,764   

Zoopla Property Group PLC(a)(b)

     251,897         797,081   
     

 

 

 
Total United Kingdom               268,121,045   
TOTAL COMMON STOCKS
(Cost: $1,036,373,796)
              955,322,296   
EXCHANGE-TRADED FUND – 0.4%      
United States – 0.4%      

WisdomTree International MidCap Dividend Fund(c)

     
(Cost: $3,791,768)      68,417         3,633,627   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 10.8%   
United States – 10.8%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(d)

     
(Cost: $104,407,896)(e)      104,407,896         104,407,896   
TOTAL INVESTMENTS IN SECURITIES – 110.5%
(Cost: $1,144,573,460)
         1,063,363,819   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (10.5)%

        (101,270,830
     

 

 

 
NET ASSETS – 100.0%             $ 962,092,989   
* 

Non-income producing security.

 

 

Security is being fair valued by a valuation 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.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (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 7).

 

(d)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(e)

At September 30, 2015, the total market value of the Fund’s securities on loan was $99,698,740 and the total market value of the collateral held by the Fund was $104,964,222. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $556,326.

CVA – Certificaten Van Aandelen (Certificate of Stock)

RSP – Risparmio Italian Savings Shares

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Germany Hedged Equity Fund (DXGE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
Germany – 99.8%      
Aerospace & Defense – 0.5%      

MTU Aero Engines AG

     19,762       $ 1,649,817   
Air Freight & Logistics – 3.4%      

Deutsche Post AG Registered Shares

     392,930         10,866,512   
Auto Components – 2.4%      

Continental AG

     32,867         6,974,346   

ElringKlinger AG

     13,767         264,319   

Leoni AG

     6,712         356,707   
     

 

 

 
Total Auto Components               7,595,372   
Automobiles – 12.5%      

Bayerische Motoren Werke AG

     179,665         15,887,649   

Daimler AG Registered Shares

     223,237         16,159,855   

Volkswagen AG

     65,681         7,694,555   
     

 

 

 
Total Automobiles               39,742,059   
Capital Markets – 3.2%      

Aurelius AG

     5,850         271,422   

Deutsche Bank AG Registered Shares

     367,058         9,862,161   
     

 

 

 
Total Capital Markets               10,133,583   
Chemicals – 11.7%      

BASF SE

     227,955         17,384,343   

Evonik Industries AG

     154,528         5,160,093   

Fuchs Petrolub SE

     27,578         1,058,505   

K+S AG Registered Shares

     91,591         3,059,485   

LANXESS AG

     27,251         1,271,967   

Linde AG

     37,176         6,015,091   

Symrise AG

     32,967         1,979,440   

Wacker Chemie AG

     16,771         1,271,317   
     

 

 

 
Total Chemicals               37,200,241   
Commercial Services & Supplies – 0.6%      

Bilfinger SE(a)

     48,827         1,804,053   
Construction & Engineering – 0.8%      

Hochtief AG

     30,526         2,539,583   
Construction Materials – 0.7%      

HeidelbergCement AG

     31,101         2,126,732   
Diversified Financial Services – 1.7%      

Deutsche Boerse AG

     64,219         5,521,852   
Diversified Telecommunication Services – 6.7%      

Deutsche Telekom AG Registered Shares

     1,197,483         21,233,319   
Electrical Equipment – 0.6%      

OSRAM Licht AG

     39,205         2,022,487   
Food & Staples Retailing – 1.0%      

METRO AG

     117,465         3,237,359   
Food Products – 0.7%      

Suedzucker AG(a)

     125,593         2,276,737   
Health Care Equipment & Supplies – 0.1%      

Carl Zeiss Meditec AG Bearer Shares

     14,633         408,270   
Investments    Shares      Value  
Health Care Providers & Services – 2.7%      

Celesio AG

     58,441       $ 1,638,370   

Fresenius Medical Care AG & Co. KGaA

     42,762         3,332,723   

Fresenius SE & Co. KGaA

     56,680         3,796,142   
     

 

 

 
Total Health Care Providers & Services               8,767,235   
Health Care Technology – 0.1%      

CompuGroup Medical AG

     6,092         200,878   
Hotels, Restaurants & Leisure – 0.8%      

TUI AG

     149,438         2,727,345   
Household Products – 1.3%      

Henkel AG & Co. KGaA

     45,666         4,023,939   
Industrial Conglomerates – 5.8%      

Indus Holding AG

     6,452         287,650   

Rheinmetall AG

     2,486         152,014   

Siemens AG Registered Shares

     202,283         18,050,317   
     

 

 

 
Total Industrial Conglomerates               18,489,981   
Insurance – 14.3%      

Allianz SE Registered Shares

     135,219         21,169,076   

Hannover Rueck SE

     48,979         5,004,747   

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     80,782         15,036,326   

Talanx AG

     141,360         4,222,542   
     

 

 

 
Total Insurance               45,432,691   
Internet & Catalog Retail – 0.1%      

Takkt AG

     12,198         228,749   
IT Services – 0.2%      

Bechtle AG

     3,733         335,607   

Wirecard AG

     4,494         214,226   
     

 

 

 
Total IT Services               549,833   
Life Sciences Tools & Services – 0.1%      

Gerresheimer AG

     4,309         313,799   
Machinery – 3.7%      

DMG MORI AG Bearer Shares(a)

     12,786         489,328   

Duerr AG

     17,525         1,228,315   

GEA Group AG

     53,727         2,041,172   

KION Group AG*

     35,267         1,561,680   

Krones AG

     4,167         437,698   

KUKA AG(a)

     1,930         147,552   

MAN SE

     52,462         5,338,392   

NORMA Group SE

     5,149         252,462   

Wacker Neuson SE

     17,508         253,184   
     

 

 

 
Total Machinery               11,749,783   
Media – 1.2%      

Axel Springer SE

     54,399         3,031,285   

CTS Eventim AG & Co. KGaA

     11,555         427,191   

Stroeer SE

     4,989         293,095   
     

 

 

 
Total Media               3,751,571   
Metals & Mining – 0.9%      

Aurubis AG

     26,194         1,663,701   

Salzgitter AG

     3,676         91,053   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Germany Hedged Equity Fund (DXGE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

ThyssenKrupp AG

     65,402       $ 1,144,718   
     

 

 

 
Total Metals & Mining               2,899,472   
Multi-Utilities – 3.3%      

E.ON SE

     798,698         6,844,401   

RWE AG

     312,133         3,536,446   
     

 

 

 
Total Multi-Utilities               10,380,847   
Personal Products – 0.9%      

Beiersdorf AG

     33,164         2,930,818   
Pharmaceuticals – 7.3%      

Bayer AG Registered Shares

     141,817         18,117,797   

Merck KGaA

     53,109         4,688,685   

Stada Arzneimittel AG(a)

     12,728         454,644   
     

 

 

 
Total Pharmaceuticals               23,261,126   
Road & Rail – 0.1%      

Sixt SE

     6,496         315,534   
Semiconductors & Semiconductor Equipment – 0.9%   

Infineon Technologies AG

     245,604         2,756,632   
Software – 4.3%      

SAP SE

     203,912         13,190,387   

Software AG

     16,092         468,646   
     

 

 

 
Total Software               13,659,033   
Specialty Retail – 0.7%      

Fielmann AG

     34,635         2,366,072   
Technology Hardware, Storage & Peripherals – 0.5%      

Wincor Nixdorf AG

     42,128         1,650,590   
Textiles, Apparel & Luxury Goods – 2.6%      

adidas AG

     54,816         4,406,172   

Gerry Weber International AG(a)

     16,726         252,144   

Hugo Boss AG

     31,915         3,576,760   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               8,235,076   
Thrifts & Mortgage Finance – 0.5%      

Aareal Bank AG

     47,290         1,676,529   
Trading Companies & Distributors – 0.8%      

BayWa AG(a)

     8,368         268,921   

Brenntag AG

     43,750         2,352,182   
     

 

 

 
Total Trading Companies & Distributors               2,621,103   
Transportation Infrastructure – 0.1%      

Hamburger Hafen und Logistik AG

     18,208         296,029   

TOTAL COMMON STOCKS

(Cost: $373,361,733)

              317,642,641   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.1%   
United States – 1.1%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $3,338,671)(c)      3,338,671         3,338,671   
Investments          Value  

TOTAL INVESTMENTS IN SECURITIES – 100.9%

(Cost: $376,700,404)

      $ 320,981,312   

Liabilities in Excess of Cash, Foreign Currency and
Other Assets – (0.9)%

        (2,775,358
     

 

 

 
NET ASSETS – 100.0%         $ 318,205,954   
* 

Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $3,175,905 and the total market value of the collateral held by the Fund was $3,338,671.

 

See Notes to Financial Statements.

 

50   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, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%      
Australia – 9.0%      

BHP Billiton Ltd.

     227,369       $ 3,547,865   

Rio Tinto Ltd.

     101,092         3,450,205   

Telstra Corp., Ltd.

     1,058,559         4,170,324   

Wesfarmers Ltd.

     141,401         3,894,502   

Woodside Petroleum Ltd.

     323,692         6,576,158   

Woolworths Ltd.(a)

     241,300         4,209,212   
     

 

 

 
Total Australia               25,848,266   
Belgium – 0.8%      

Anheuser-Busch InBev N.V.

     22,450         2,378,676   
China – 1.5%      

CNOOC Ltd.(a)

     3,207,000         3,281,464   

Lenovo Group Ltd.(a)

     1,314,000         1,107,144   
     

 

 

 
Total China               4,388,608   
Denmark – 0.8%      

Coloplast A/S Class B

     31,418         2,222,166   
Finland – 2.5%      

Fortum Oyj

     337,930         4,990,544   

Nokia Oyj

     302,848         2,063,820   
     

 

 

 
Total Finland               7,054,364   
France – 9.1%      

Cap Gemini S.A.

     17,630         1,566,880   

Electricite de France S.A.

     242,192         4,262,016   

Engie

     280,933         4,528,259   

Orange S.A.

     270,079         4,075,950   

Sanofi

     31,735         3,007,159   

Total S.A.

     107,746         4,834,911   

Vivendi S.A.

     163,518         3,856,793   
     

 

 

 
Total France               26,131,968   
Germany – 8.4%      

BASF SE

     36,289         2,767,478   

Bayerische Motoren Werke AG

     26,139         2,311,453   

Daimler AG Registered Shares

     31,232         2,260,847   

Deutsche Telekom AG Registered Shares

     188,219         3,337,429   

Evonik Industries AG

     77,930         2,602,286   

Infineon Technologies AG

     122,722         1,377,418   

SAP SE

     21,974         1,421,425   

Siemens AG Registered Shares

     32,839         2,930,322   

Telefonica Deutschland Holding AG

     830,711         5,063,880   
     

 

 

 
Total Germany               24,072,538   
Hong Kong – 1.4%      

CLP Holdings Ltd.

     464,500         3,964,707   
Israel – 0.7%      

Teva Pharmaceutical Industries Ltd.

     35,779         2,046,520   
Italy – 5.5%      

Atlantia SpA

     136,367         3,803,968   

Eni SpA

     383,562         6,015,520   

Snam SpA

     1,129,698         5,793,149   
     

 

 

 
Total Italy               15,612,637   
Investments    Shares      Value  
Japan – 6.5%      

Canon, Inc.

     104,200       $ 3,005,109   

Eisai Co., Ltd.(a)

     30,700         1,802,037   

Kyocera Corp.

     27,800         1,267,382   

Mitsui & Co., Ltd.(a)

     272,200         3,046,667   

NTT DOCOMO, Inc.(a)

     157,400         2,619,281   

Sumitomo Corp.(a)

     289,500         2,784,653   

Takeda Pharmaceutical Co., Ltd.(a)

     61,000         2,667,365   

Yahoo Japan Corp.(a)

     397,100         1,505,310   
     

 

 

 
Total Japan               18,697,804   
Norway – 2.4%      

Statoil ASA

     274,433         3,992,630   

Yara International ASA

     70,160         2,792,417   
     

 

 

 
Total Norway               6,785,047   
Portugal – 1.8%      

EDP-Energias de Portugal S.A.

     1,373,029         5,013,275   
Singapore – 1.2%      

Singapore Telecommunications Ltd.

     1,320,600         3,343,526   
Spain – 7.2%      

Abertis Infraestructuras S.A.(a)

     249,689         3,938,246   

Amadeus IT Holding S.A. Class A

     38,702         1,651,362   

Ferrovial S.A.

     160,944         3,833,809   

Gas Natural SDG S.A.

     164,688         3,204,208   

Repsol S.A.

     293,407         3,409,436   

Telefonica S.A.

     383,154         4,631,942   
     

 

 

 
Total Spain               20,669,003   
Sweden – 4.8%      

Hennes & Mauritz AB Class B

     73,394         2,675,142   

Sandvik AB

     285,159         2,420,794   

Telefonaktiebolaget LM Ericsson Class B(a)

     316,923         3,106,106   

TeliaSonera AB

     1,016,395         5,458,228   
     

 

 

 
Total Sweden               13,660,270   
Switzerland – 8.6%      

Givaudan S.A. Registered Shares*

     1,644         2,666,810   

Kuehne + Nagel International AG Registered Shares

     37,901         4,856,417   

Nestle S.A. Registered Shares

     40,095         3,005,791   

Novartis AG Registered Shares

     26,866         2,458,111   

Roche Holding AG Bearer Shares

     10,094         2,652,374   

SGS S.A. Registered Shares

     1,980         3,444,888   

Swisscom AG Registered Shares

     7,164         3,564,770   

Syngenta AG Registered Shares

     6,036         1,927,987   
     

 

 

 
Total Switzerland               24,577,148   
United Kingdom – 27.2%      

Anglo American PLC

     299,759         2,501,416   

AstraZeneca PLC

     52,742         3,340,640   

BAE Systems PLC

     455,781         3,090,895   

BG Group PLC

     43,698         629,482   

BHP Billiton PLC

     243,536         3,707,406   

BP PLC

     740,169         3,744,711   

British American Tobacco PLC

     66,628         3,676,689   

 

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 International Dividend ex-Financials Fund (DOO)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Centrica PLC

     1,012,049       $ 3,513,639   

Diageo PLC

     86,019         2,306,913   

GlaxoSmithKline PLC

     219,915         4,217,251   

Imperial Tobacco Group PLC

     77,167         3,989,411   

Marks & Spencer Group PLC

     310,779         2,358,470   

National Grid PLC

     296,613         4,128,567   

Next PLC

     18,996         2,189,716   

Pearson PLC

     169,394         2,891,764   

RELX N.V.

     174,201         2,833,163   

RELX PLC

     126,658         2,171,801   

Rio Tinto PLC

     92,199         3,086,451   

Royal Dutch Shell PLC Class A

     171,697         4,041,612   

SABMiller PLC

     50,198         2,841,518   

Sky PLC

     162,050         2,562,657   

Smith & Nephew PLC

     84,984         1,484,251   

SSE PLC

     177,351         4,018,890   

Unilever N.V. CVA

     70,174         2,811,325   

Unilever PLC

     59,409         2,417,125   

Vodafone Group PLC

     1,037,222         3,275,024   
     

 

 

 
Total United Kingdom               77,830,787   
TOTAL COMMON STOCKS
(Cost: $329,743,031)
              284,297,310   
EXCHANGE-TRADED FUND – 0.2%      
United States – 0.2%      

WisdomTree International LargeCap Dividend Fund(a)(b)

     
(Cost: $749,688)      16,923         718,889   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 9.2%   
United States – 9.2%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $26,443,371)(d)      26,443,371         26,443,371   
TOTAL INVESTMENTS IN SECURITIES – 108.8%
(Cost: $356,936,090)
         311,459,570   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (8.8)%

        (25,322,743
     

 

 

 
NET ASSETS – 100.0%             $ 286,136,827   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $25,117,689 and the total market value of the collateral held by the Fund was $26,443,371.

CVA – Certificaten Van Aandelen (Certificate of Stock)

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 7.7%      

Adelaide Brighton Ltd.

     74,749       $ 228,342   

AGL Energy Ltd.

     47,738         535,379   

Amcor Ltd.

     60,034         555,233   

AMP Ltd.

     188,024         734,142   

ASX Ltd.

     21,512         572,246   

Aurizon Holdings Ltd.

     157,279         553,350   

Australia & New Zealand Banking Group Ltd.

     217,902         4,143,828   

Bank of Queensland Ltd.

     53,340         434,888   

Bendigo & Adelaide Bank Ltd.

     58,289         405,651   

BHP Billiton Ltd.

     223,051         3,480,487   

Boral Ltd.

     54,963         203,410   

Brambles Ltd.

     67,795         463,712   

Brickworks Ltd.

     31,547         344,050   

Cabcharge Australia Ltd.(a)

     86,076         180,736   

Caltex Australia Ltd.

     14,829         325,740   

Cardno Ltd.(a)

     51,595         103,988   

Coca-Cola Amatil Ltd.

     63,931         404,509   

Cochlear Ltd.

     4,714         276,320   

Commonwealth Bank of Australia

     110,588         5,647,467   

Computershare Ltd.

     39,030         290,259   

Crown Resorts Ltd.(a)

     37,214         258,722   

CSL Ltd.

     10,662         667,875   

CSR Ltd.

     65,468         132,867   

Echo Entertainment Group Ltd.

     54,362         184,770   

ERM Power Ltd.

     77,431         121,802   

Flight Centre Travel Group Ltd.(a)

     8,482         215,029   

Fortescue Metals Group Ltd.(a)

     275,670         352,333   

GrainCorp Ltd. Class A(a)

     46,715         296,891   

Incitec Pivot Ltd.

     92,309         252,814   

Insurance Australia Group Ltd.(a)

     269,080         914,573   

IOOF Holdings Ltd.(a)

     51,848         311,308   

JB Hi-Fi Ltd.(a)

     12,317         165,208   

Lend Lease Group

     48,489         427,345   

Macquarie Group Ltd.

     19,610         1,055,694   

McMillan Shakespeare Ltd.

     20,251         175,064   

Mineral Resources Ltd.(a)

     44,243         128,007   

Monadelphous Group Ltd.(a)

     27,398         118,135   

National Australia Bank Ltd.

     209,915         4,419,437   

Navitas Ltd.(a)

     59,016         164,533   

Origin Energy Ltd.

     25,316         108,447   

Perpetual Ltd.

     8,323         231,689   

Platinum Asset Management Ltd.(a)

     61,754         293,593   

Primary Health Care Ltd.(a)

     91,267         242,910   

QBE Insurance Group Ltd.

     48,906         442,697   

Ramsay Health Care Ltd.

     7,751         318,260   

Rio Tinto Ltd.

     17,685         603,578   

Santos Ltd.(a)

     57,360         160,319   

Sonic Healthcare Ltd.

     30,062         385,277   

Southern Cross Media Group Ltd.(a)

     238,913         149,321   

Suncorp Group Ltd.

     114,179         977,421   

Super Retail Group Ltd.(a)

     26,121         163,440   

Tabcorp Holdings Ltd.

     82,719         271,278   
Investments    Shares      Value  

Tatts Group Ltd.

     153,604       $ 405,585   

Telstra Corp., Ltd.

     822,626         3,240,837   

Wesfarmers Ltd.

     76,316         2,101,914   

Westpac Banking Corp.

     247,905         5,170,512   

Woodside Petroleum Ltd.

     93,791         1,905,467   

Woolworths Ltd.

     97,410         1,699,210   

WorleyParsons Ltd.(a)

     17,008         70,588   
     

 

 

 
Total Australia               49,188,487   
Austria – 0.4%      

Andritz AG

     5,048         226,746   

EVN AG

     20,414         224,544   

Oesterreichische Post AG

     8,620         295,205   

OMV AG

     20,896         506,856   

S IMMO AG*

     602         5,107   

UNIQA Insurance Group AG

     16,496         142,706   

Verbund AG(a)

     24,345         322,568   

Vienna Insurance Group AG Wiener Versicherung Gruppe

     7,500         220,599   

Voestalpine AG

     9,522         326,308   
     

 

 

 
Total Austria               2,270,639   
Belgium – 1.8%      

Ageas

     17,514         717,583   

Anheuser-Busch InBev N.V.

     56,655         6,002,847   

Bekaert S.A.(a)

     8,580         225,309   

D’ieteren S.A./N.V.

     4,546         175,095   

Delhaize Group

     5,228         461,608   

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

     9,206         447,014   

Exmar N.V.

     15,521         143,662   

KBC Groep N.V.

     11,472         721,853   

Melexis N.V.

     894         41,254   

Proximus

     31,648         1,090,193   

Solvay S.A.

     3,607         367,280   

UCB S.A.

     8,442         658,223   

Umicore S.A.

     7,730         297,212   
     

 

 

 
Total Belgium               11,349,133   
China – 2.9%      

China Merchants Holdings International Co., Ltd.

     96,294         282,668   

China Mobile Ltd.

     827,981         9,807,505   

China Overseas Land & Investment Ltd.

     201,175         607,415   

China Power International Development Ltd.(a)

     526,000         342,067   

China Resources Enterprise Ltd.

     59,812         110,979   

China Resources Power Holdings Co., Ltd.

     188,000         428,880   

China South City Holdings Ltd.(a)

     476,000         116,082   

China Unicom Hong Kong Ltd.

     535,588         677,946   

CITIC Ltd.(a)

     452,000         822,343   

CNOOC Ltd.

     2,978,700         3,047,863   

Dah Chong Hong Holdings Ltd.

     333,000         133,629   

Fosun International Ltd.(a)

     111,500         191,347   

Guangdong Investment Ltd.

     158,000         234,858   

Lenovo Group Ltd.(a)

     377,003         317,653   

Poly Property Group Co., Ltd.(a)

     469,000         128,899   

Shenzhen Investment Ltd.

     780,000         274,760   

Sino-Ocean Land Holdings Ltd.

     670,000         364,823   

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Sun Art Retail Group Ltd.(a)

     392,000       $ 300,953   

Yuexiu Property Co., Ltd.

     1,714,000         280,873   
     

 

 

 
Total China               18,471,543   
Denmark – 1.2%      

AP Moeller – Maersk A/S Class B

     269         413,366   

Carlsberg A/S Class B

     3,903         299,299   

Chr Hansen Holding A/S

     10,315         575,692   

Coloplast A/S Class B

     7,625         539,309   

Danske Bank A/S

     28,010         844,502   

FLSmidth & Co. A/S(a)

     2,177         72,151   

Novo Nordisk A/S Class B

     53,266         2,854,881   

Novozymes A/S Class B

     7,809         339,900   

Pandora A/S

     4,237         493,865   

TDC A/S

     89,886         462,257   

Tryg A/S

     30,920         599,593   

Vestas Wind Systems A/S

     2,162         112,124   
     

 

 

 
Total Denmark               7,606,939   
Finland – 1.2%      

Elisa Oyj

     16,523         557,371   

Fortum Oyj

     70,982         1,048,261   

Kone Oyj Class B(a)

     20,474         777,039   

Konecranes Oyj(a)

     11,065         276,175   

Lassila & Tikanoja Oyj

     11,676         234,209   

Metso Oyj(a)

     9,585         198,899   

Neste Oyj(a)

     21,687         497,961   

Nokia Oyj

     86,904         592,225   

Nokian Renkaat Oyj(a)

     4,102         132,375   

Orion Oyj Class B

     13,471         508,251   

Sampo Oyj Class A

     27,641         1,335,372   

Stora Enso Oyj Class R

     43,733         329,758   

UPM-Kymmene Oyj

     47,797         714,935   

Wartsila Oyj Abp

     7,004         277,312   
     

 

 

 
Total Finland               7,480,143   
France – 10.0%      

Accor S.A.

     11,760         548,188   

Aeroports de Paris

     4,223         477,756   

Air Liquide S.A.

     11,189         1,319,539   

Airbus Group SE

     15,872         937,413   

Arkema S.A.

     3,819         246,484   

AXA S.A.

     138,532         3,345,556   

BNP Paribas S.A.

     47,859         2,802,549   

Bourbon S.A.(a)

     5,410         67,817   

Bouygues S.A.

     21,561         763,660   

Bureau Veritas S.A.

     12,399         260,684   

Cap Gemini S.A.

     6,200         551,030   

Carrefour S.A.

     28,425         838,925   

Casino Guichard Perrachon S.A.

     5,910         313,359   

Christian Dior SE

     4,398         820,093   

Cie de Saint-Gobain

     25,450         1,099,695   

Cie Generale des Etablissements Michelin

     7,006         636,741   

CNP Assurances

     43,972         609,129   

Credit Agricole S.A.

     84,505         967,341   
Investments    Shares      Value  

Danone S.A.

     21,040       $ 1,325,074   

Edenred

     13,325         217,086   

Eiffage S.A.

     4,166         257,161   

Electricite de France S.A.

     138,555         2,438,246   

Engie

     202,132         3,258,094   

Essilor International S.A.

     3,423         416,098   

Eutelsat Communications S.A.

     11,967         366,014   

Imerys S.A.

     4,147         265,663   

Ipsen S.A.

     3,390         209,638   

IPSOS

     5,352         104,877   

Kering

     3,712         604,954   

Klepierre

     14,055         635,243   

L’Oreal S.A.

     13,515         2,339,102   

Legrand S.A.

     5,914         313,142   

LVMH Moet Hennessy Louis Vuitton SE

     15,452         2,625,190   

Metropole Television S.A.

     17,700         337,855   

Natixis S.A.

     157,830         870,142   

Neopost S.A.

     4,101         106,570   

Nexity S.A.

     6,340         272,572   

Orange S.A.

     150,297         2,268,236   

Pernod Ricard S.A.

     6,367         640,924   

Publicis Groupe S.A.

     6,463         439,929   

Rallye S.A.(a)

     8,439         138,003   

Remy Cointreau S.A.

     2,605         170,602   

Renault S.A.

     9,901         707,327   

Rexel S.A.

     19,734         241,868   

Safran S.A.

     10,683         802,545   

Sanofi

     59,153         5,605,245   

Schneider Electric SE

     24,359         1,359,808   

SCOR SE

     17,316         619,397   

Societe Generale S.A.

     26,296         1,169,713   

Societe Television Francaise 1

     19,583         274,337   

Sodexo S.A.

     5,565         459,683   

Suez Environnement Co.

     29,057         519,931   

Technip S.A.

     5,585         262,867   

Thales S.A.

     9,275         643,659   

Total S.A.

     167,491         7,515,863   

Unibail-Rodamco SE

     4,671         1,205,999   

Valeo S.A.

     2,912         392,500   

Vallourec S.A.(a)

     6,238         55,120   

Veolia Environnement S.A.

     23,862         544,172   

Vinci S.A.

     31,246         1,977,950   

Vivendi S.A.

     88,785         2,094,114   
     

 

 

 
Total France               63,678,472   
Germany – 7.4%      

adidas AG

     5,836         469,104   

Allianz SE Registered Shares

     25,200         3,945,161   

BASF SE

     38,124         2,907,419   

Bayer AG Registered Shares

     21,189         2,706,996   

Bayerische Motoren Werke AG

     26,412         2,335,595   

Beiersdorf AG

     5,911         522,376   

Bilfinger SE(a)

     5,253         194,087   

Brenntag AG

     5,895         316,940   

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Celesio AG

     6,876       $ 192,766   

Continental AG

     5,513         1,169,853   

Daimler AG Registered Shares

     45,527         3,295,644   

Deutsche Bank AG Registered Shares(a)

     36,700         986,060   

Deutsche Boerse AG

     10,726         922,272   

Deutsche Post AG Registered Shares

     48,159         1,331,841   

Deutsche Telekom AG Registered Shares

     212,505         3,768,059   

E.ON SE

     90,358         774,318   

Evonik Industries AG

     25,653         856,621   

Fielmann AG

     7,382         504,298   

Fraport AG Frankfurt Airport Services Worldwide

     4,245         261,517   

Freenet AG

     17,015         560,958   

Fresenius Medical Care AG & Co. KGaA

     5,861         456,786   

Fresenius SE & Co. KGaA

     9,414         630,502   

GEA Group AG

     8,091         307,390   

Hannover Rueck SE

     6,994         714,657   

Henkel AG & Co. KGaA

     6,406         564,476   

Hugo Boss AG

     4,750         532,339   

Infineon Technologies AG

     25,786         289,419   

K+S AG Registered Shares

     5,598         186,994   

Linde AG

     4,518         731,014   

MAN SE

     5,643         574,217   

Merck KGaA

     8,515         751,740   

MTU Aero Engines AG

     2,811         234,674   

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     9,872         1,837,521   

ProSiebenSat.1 Media SE

     14,326         701,063   

RWE AG

     28,734         325,554   

SAP SE

     29,876         1,932,579   

Siemens AG Registered Shares

     39,050         3,484,548   

Software AG

     5,241         152,633   

Suedzucker AG(a)

     12,763         231,366   

Symrise AG

     7,281         437,174   

Talanx AG

     15,687         468,584   

Telefonica Deutschland Holding AG(a)

     231,725         1,412,558   

United Internet AG Registered Shares

     5,481         276,939   

Volkswagen AG(a)

     8,399         983,946   

VTG AG(a)

     12,071         356,057   

Wacker Chemie AG(a)

     1,884         142,816   

Wincor Nixdorf AG

     4,482         175,606   

Wirecard AG

     1,766         84,184   
     

 

 

 
Total Germany               46,999,221   
Hong Kong – 2.6%      

AIA Group Ltd.

     172,165         889,699   

Bank of East Asia Ltd. (The)

     129,058         432,966   

BOC Hong Kong Holdings Ltd.

     612,444         1,797,808   

Cathay Pacific Airways Ltd.(a)

     86,000         161,124   

CLP Holdings Ltd.

     140,500         1,199,228   

Dah Sing Banking Group Ltd.

     118,000         216,510   

Dah Sing Financial Holdings Ltd.

     34,800         189,939   

Galaxy Entertainment Group Ltd.

     37,000         94,051   

Hang Lung Properties Ltd.

     224,000         501,757   

Hang Seng Bank Ltd.

     112,600         2,022,428   

Henderson Land Development Co., Ltd.

     70,894         421,702   
Investments    Shares      Value  

Hong Kong & China Gas Co., Ltd.

     329,284       $ 616,926   

Hong Kong Exchanges and Clearing Ltd.

     24,400         556,631   

Hysan Development Co., Ltd.

     72,000         299,146   

MTR Corp., Ltd.

     258,500         1,120,715   

New World Development Co., Ltd.

     423,000         409,352   

PCCW Ltd.

     587,088         300,739   

Power Assets Holdings Ltd.

     117,000         1,103,567   

Sino Land Co., Ltd.

     374,400         567,152   

SJM Holdings Ltd.(a)

     672,760         475,703   

Sun Hung Kai Properties Ltd.

     90,000         1,167,089   

Swire Pacific Ltd. Class A

     18,500         206,363   

Swire Pacific Ltd. Class B

     190,000         390,785   

Swire Properties Ltd.

     183,600         506,970   

Television Broadcasts Ltd.

     60,000         199,741   

Wharf Holdings Ltd. (The)

     104,000         583,738   

Wheelock & Co., Ltd.

     67,000         289,611   
     

 

 

 
Total Hong Kong               16,721,440   
Ireland – 0.3%      

C&C Group PLC

     50,358         199,103   

CRH PLC

     17,659         463,229   

DCC PLC

     7,638         577,210   

Kerry Group PLC Class A

     5,487         411,284   

Paddy Power PLC

     4,034         464,705   
     

 

 

 
Total Ireland               2,115,531   
Israel – 0.7%      

Bezeq Israeli Telecommunication Corp., Ltd.

     570,496         1,090,148   

Delek Automotive Systems Ltd.

     47,797         447,537   

Gazit-Globe Ltd.

     53,106         531,750   

Israel Chemicals Ltd.

     47,023         241,770   

Teva Pharmaceutical Industries Ltd.

     33,334         1,906,669   
     

 

 

 
Total Israel               4,217,874   
Italy – 3.2%      

Assicurazioni Generali SpA

     49,094         896,547   

Astaldi SpA(a)

     11,688         106,266   

ASTM SpA

     8,085         107,216   

Atlantia SpA

     49,700         1,386,385   

Banca Generali SpA

     20,664         581,498   

Banca Popolare di Milano Scarl

     98,100         96,692   

Danieli & C. Officine Meccaniche SpA RSP

     7,521         114,512   

Davide Campari-Milano SpA(a)

     16,578         131,757   

Enel Green Power SpA(a)

     107,851         203,577   

Enel SpA

     432,973         1,927,424   

Eni SpA

     343,182         5,382,229   

ERG SpA

     22,546         314,587   

Hera SpA

     142,923         370,447   

Intesa Sanpaolo SpA

     496,936         1,750,648   

Iren SpA

     143,349         233,459   

Luxottica Group SpA

     12,384         857,065   

MARR SpA

     14,189         268,937   

Mediolanum SpA(a)

     61,296         437,214   

Parmalat SpA

     84,273         217,113   

Pirelli & C. SpA

     28,182         470,928   

Prysmian SpA

     6,318         130,118   

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Recordati SpA

     4,654       $ 107,173   

Snam SpA

     278,513         1,428,229   

Societa Iniziative Autostradali e Servizi SpA

     31,397         351,871   

Telecom Italia SpA RSP

     340,602         348,641   

Terna Rete Elettrica Nazionale SpA

     161,473         783,341   

Tod’s SpA

     1,670         145,962   

Trevi Finanziaria Industriale SpA(a)

     62,841         79,476   

UniCredit SpA

     140,257         872,049   

UnipolSai SpA

     167,059         362,703   
     

 

 

 
Total Italy               20,464,064   
Japan – 13.9%      

Aeon Co., Ltd.(a)

     30,100         466,209   

Aichi Steel Corp.(a)

     39,000         146,537   

Aisin Seiki Co., Ltd.

     8,000         267,190   

Ajinomoto Co., Inc.

     14,000         293,992   

Amada Holdings Co., Ltd.

     20,500         155,421   

ANA Holdings, Inc.

     91,000         254,084   

Aozora Bank Ltd.

     156,000         539,256   

Asahi Group Holdings Ltd.

     13,500         436,229   

Asahi Holdings, Inc.(a)

     5,500         82,340   

Asahi Kasei Corp.

     38,000         266,522   

Astellas Pharma, Inc.

     59,100         762,406   

Axell Corp.

     18,500         222,436   

Azbil Corp.

     7,500         189,120   

Belluna Co., Ltd.(a)

     38,000         207,189   

Bridgestone Corp.

     21,000         723,467   

Brother Industries Ltd.

     20,600         246,653   

Canon, Inc.

     72,600         2,093,770   

Central Japan Railway Co.

     2,700         433,411   

Chugai Pharmaceutical Co., Ltd.

     12,600         385,580   

Chugoku Electric Power Co., Inc. (The)(a)

     18,800         258,536   

Dai Nippon Printing Co., Ltd.

     31,000         298,702   

Dai-ichi Life Insurance Co., Ltd. (The)(a)

     30,133         476,407   

Daido Steel Co., Ltd.(a)

     35,000         110,466   

Daihatsu Motor Co., Ltd.(a)

     24,700         284,814   

Daiichi Sankyo Co., Ltd.(a)

     33,800         584,194   

Daikin Industries Ltd.

     4,900         273,138   

Daikyo, Inc.(a)

     81,000         136,618   

Daito Trust Construction Co., Ltd.

     3,800         384,712   

Daiwa House Industry Co., Ltd.

     21,100         519,286   

Daiwa Securities Group, Inc.

     80,000         514,140   

DeNa Co., Ltd.(a)

     5,800         107,462   

Denki Kagaku Kogyo K.K.

     53,000         207,991   

Denso Corp.(a)

     24,400         1,025,996   

Dynam Japan Holdings Co., Ltd.

     60,000         74,322   

Earth Chemical Co., Ltd.

     8,200         311,527   

East Japan Railway Co.

     6,000         503,737   

Eisai Co., Ltd.(a)

     7,800         457,847   

Electric Power Development Co., Ltd.

     5,700         173,477   

FANUC Corp.

     7,300         1,116,349   

Fast Retailing Co., Ltd.(a)

     1,000         404,876   

France Bed Holdings Co., Ltd.

     35,200         248,647   

Fuji Heavy Industries Ltd.

     18,200         650,863   
Investments    Shares      Value  

FUJIFILM Holdings Corp.

     14,900       $ 554,372   

Future Architect, Inc.

     24,100         135,829   

Gurunavi, Inc.(a)

     3,700         60,799   

Hitachi Construction Machinery Co., Ltd.(a)

     19,000         253,355   

Hitachi Ltd.

     110,000         551,906   

Honda Motor Co., Ltd.

     57,400         1,696,143   

Hoya Corp.

     15,000         488,832   

Iida Group Holdings Co., Ltd.

     10,400         161,777   

Information Services International-Dentsu Ltd.(a)

     19,500         268,163   

Internet Initiative Japan, Inc.(a)

     3,300         58,910   

Isuzu Motors Ltd.

     25,800         257,429   

ITOCHU Corp.(a)

     87,500         918,726   

Japan Airlines Co., Ltd.

     18,400         647,568   

Japan Exchange Group, Inc.(a)

     13,200         191,445   

Japan Tobacco, Inc.

     71,344         2,201,111   

JFE Holdings, Inc.(a)

     22,300         290,934   

JGC Corp.(a)

     6,000         79,330   

JX Holdings, Inc.(a)

     110,800         398,645   

Kajima Corp.(a)

     49,000         258,982   

Kao Corp.

     10,600         478,202   

Kawasaki Heavy Industries Ltd.(a)

     50,000         171,586   

KDDI Corp.

     75,000         1,670,146   

Keiyo Co., Ltd.(a)

     53,100         227,448   

Kikkoman Corp.(a)

     7,000         191,709   

Kirin Holdings Co., Ltd.

     33,300         435,279   

Kobe Steel Ltd.(a)

     153,000         164,798   

Kokuyo Co., Ltd.

     30,800         325,320   

Komatsu Ltd.(a)

     34,600         506,296   

Kubota Corp.

     38,000         518,925   

Kyocera Corp.

     11,700         533,395   

Kyoei Steel Ltd.(a)

     9,000         140,826   

KYORIN Holdings, Inc.

     6,100         93,004   

Kyowa Hakko Kirin Co., Ltd.

     13,000         192,995   

Lawson, Inc.

     5,100         375,160   

LIXIL Group Corp.

     9,100         183,877   

Makita Corp.(a)

     6,000         317,121   

Marubeni Corp.(a)

     104,400         508,903   

Marui Group Co., Ltd.(a)

     15,400         185,034   

Matsui Securities Co., Ltd.(a)

     31,300         269,708   

Medipal Holdings Corp.

     24,300         383,679   

Misawa Homes Co., Ltd.(a)

     21,600         130,395   

Mitsubishi Chemical Holdings Corp.

     62,100         322,154   

Mitsubishi Corp.(a)

     75,100         1,224,964   

Mitsubishi Electric Corp.

     34,000         309,439   

Mitsubishi Estate Co., Ltd.(a)

     14,000         284,699   

Mitsubishi Gas Chemical Co., Inc.(a)

     31,000         142,362   

Mitsubishi Heavy Industries Ltd.

     62,000         275,613   

Mitsubishi Materials Corp.(a)

     65,000         196,468   

Mitsubishi Motors Corp.(a)

     29,200         222,355   

Mitsubishi Tanabe Pharma Corp.

     22,500         395,462   

Mitsubishi UFJ Financial Group, Inc.

     411,700         2,462,672   

Mitsui & Co., Ltd.(a)

     101,400         1,134,945   

Mitsui Fudosan Co., Ltd.

     9,000         245,205   

Mitsui Mining & Smelting Co., Ltd.

     82,000         146,520   

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Mitsui OSK Lines Ltd.(a)

     55,000       $ 131,341   

Mizuho Financial Group, Inc.(a)

     952,800         1,773,299   

Monex Group, Inc.(a)

     56,400         137,980   

MS&AD Insurance Group Holdings, Inc.

     20,330         542,009   

Murata Manufacturing Co., Ltd.

     3,300         423,504   

Nexon Co., Ltd.

     10,500         138,960   

Nidec Corp.(a)

     4,000         273,402   

Nikon Corp.(a)

     19,300         232,377   

Nippon Beet Sugar Manufacturing Co., Ltd.

     71,000         113,823   

Nippon Electric Glass Co., Ltd.(a)

     36,000         173,139   

Nippon Express Co., Ltd.

     39,000         185,288   

Nippon Steel & Sumitomo Metal Corp.(a)

     27,000         488,870   

Nippon Telegraph & Telephone Corp.

     64,600         2,253,570   

Nishi-Nippon City Bank Ltd. (The)

     102,000         278,495   

Nissan Chemical Industries Ltd.(a)

     9,900         216,491   

Nissan Motor Co., Ltd.(a)

     180,400         1,647,874   

Nissin Foods Holdings Co., Ltd.(a)

     4,900         224,615   

Nitto Denko Corp.(a)

     3,600         214,169   

Nomura Holdings, Inc.(a)

     137,600         790,570   

Nomura Real Estate Holdings, Inc.

     8,900         178,052   

NSK Ltd.(a)

     17,000         163,662   

NTT Data Corp.

     4,600         230,835   

NTT DOCOMO, Inc.(a)

     171,255         2,849,841   

NTT Urban Development Corp.(a)

     20,500         187,772   

Oji Holdings Corp.

     44,000         188,102   

Okuwa Co., Ltd.(a)

     23,000         188,970   

Ono Pharmaceutical Co., Ltd.

     2,200         259,558   

Oracle Corp.

     7,100         298,785   

Oriental Land Co., Ltd.(a)

     3,000         167,052   

Osaka Gas Co., Ltd.

     63,000         238,292   

Panasonic Corp.

     33,600         337,641   

Park24 Co., Ltd.

     9,700         181,908   

Rengo Co., Ltd.(a)

     36,000         138,872   

Resona Holdings, Inc.

     117,200         593,315   

Ricoh Co., Ltd.(a)

     30,900         310,767   

Saibu Gas Co., Ltd.

     73,000         166,401   

Sanrio Co., Ltd.(a)

     5,300         144,045   

Sanyo Special Steel Co., Ltd.

     38,000         143,731   

Secom Co., Ltd.

     5,200         311,266   

Sega Sammy Holdings, Inc.(a)

     9,000         87,471   

Sekisui Chemical Co., Ltd.

     16,000         167,394   

Sekisui House Ltd.

     30,900         481,180   

Seven & I Holdings Co., Ltd.

     20,200         918,205   

Shin-Etsu Chemical Co., Ltd.

     6,600         336,985   

Shionogi & Co., Ltd.

     7,000         249,864   

Ship Healthcare Holdings, Inc.

     2,400         51,501   

Showa Denko K.K.(a)

     191,000         208,917   

Showa Shell Sekiyu K.K.

     34,200         268,711   

SMC Corp.

     1,000         217,551   

SoftBank Group Corp.

     7,800         356,704   

Sojitz Corp.(a)

     132,000         244,679   

Sompo Japan Nipponkoa Holdings, Inc.

     12,700         366,478   

St. Marc Holdings Co., Ltd.(a)

     5,600         170,668   

Sumitomo Chemical Co., Ltd.(a)

     38,000         191,007   
Investments    Shares      Value  

Sumitomo Corp.(a)

     65,800       $ 632,919   

Sumitomo Dainippon Pharma Co., Ltd.(a)

     10,200         101,689   

Sumitomo Electric Industries Ltd.

     30,700         390,527   

Sumitomo Forestry Co., Ltd.

     18,400         204,948   

Sumitomo Heavy Industries Ltd.

     22,000         86,519   

Sumitomo Metal Mining Co., Ltd.

     24,000         270,931   

Sumitomo Mitsui Financial Group, Inc.(a)

     54,100         2,038,151   

Sumitomo Mitsui Trust Holdings, Inc.(a)

     105,070         383,732   

Sumitomo Realty & Development Co., Ltd.

     5,000         158,268   

Sumitomo Rubber Industries Ltd.

     19,400         268,245   

Suntory Beverage & Food Ltd.

     9,200         352,206   

Suruga Bank Ltd.

     9,300         172,077   

Suzuken Co., Ltd.

     4,000         132,760   

Suzuki Motor Corp.(a)

     4,700         143,710   

Systena Corp.

     38,200         350,535   

T&D Holdings, Inc.

     25,100         294,351   

Taiheiyo Cement Corp.(a)

     20,000         59,784   

Taisei Corp.

     54,000         350,787   

Taiyo Holdings Co., Ltd.(a)

     4,800         146,286   

Taiyo Nippon Sanso Corp.(a)

     10,000         94,518   

Takashimaya Co., Ltd.

     7,000         56,402   

Takeda Pharmaceutical Co., Ltd.(a)

     33,600         1,469,237   

Takuma Co., Ltd.(a)

     16,000         120,369   

Teijin Ltd.

     39,000         117,881   

Terumo Corp.(a)

     9,000         253,246   

Toagosei Co., Ltd.

     24,200         174,784   

Tobu Railway Co., Ltd.(a)

     34,000         145,635   

Toda Corp.(a)

     29,000         127,850   

Toho Co., Ltd.(a)

     4,000         90,945   

Toho Zinc Co., Ltd.(a)

     47,000         107,135   

Tokai Rika Co., Ltd.

     9,100         186,688   

Tokio Marine Holdings, Inc.

     20,500         760,331   

Tokyo Electron Ltd.(a)

     5,000         234,376   

Tokyo Gas Co., Ltd.

     49,000         236,398   

Tokyo Tatemono Co., Ltd.

     3,500         41,527   

Tokyu Corp.(a)

     20,000         146,119   

TonenGeneral Sekiyu K.K.

     26,000         251,175   

TOTO Ltd.

     4,000         124,076   

Toyo Seikan Group Holdings Ltd.

     14,500         229,307   

Toyo Suisan Kaisha Ltd.

     5,900         222,669   

Toyobo Co., Ltd.

     73,000         98,743   

Toyoda Gosei Co., Ltd.

     15,700         307,144   

Toyota Motor Corp.

     114,900         6,687,830   

Toyota Tsusho Corp.

     20,900         438,540   

Trend Micro, Inc.

     9,100         320,265   

TS Tech Co., Ltd.

     5,000         135,682   

UACJ Corp.(a)

     47,000         74,955   

Ube Industries Ltd.

     154,000         267,457   

Unicharm Corp.

     7,600         134,149   

Union Tool Co.(a)

     5,500         132,397   

United Arrows Ltd.(a)

     1,500         61,871   

Ushio, Inc.

     8,100         96,917   

USS Co., Ltd.

     16,460         272,673   

Wacoal Holdings Corp.

     16,000         190,774   

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

West Japan Railway Co.

     8,820       $ 550,932   

Xebio Co., Ltd.(a)

     6,600         118,262   

Yahoo Japan Corp.(a)

     115,710         438,628   

Yakult Honsha Co., Ltd.(a)

     4,000         198,389   

Yamada Denki Co., Ltd.(a)

     25,300         101,821   

Yamagata Bank Ltd. (The)(a)

     37,000         147,364   

Yamaha Corp.

     6,900         151,983   

Yamanashi Chuo Bank Ltd. (The)(a)

     44,000         228,882   

Yamato Kogyo Co., Ltd.(a)

     8,000         159,646   

Yamazen Corp.(a)

     32,600         268,117   

Yokogawa Electric Corp.(a)

     8,200         85,379   

Yokohama Reito Co., Ltd.(a)

     28,900         227,069   

Yokohama Rubber Co., Ltd. (The)

     10,000         175,427   

Yuasa Trading Co., Ltd.(a)

     10,200         209,084   

Yusen Logistics Co., Ltd.

     18,300         186,873   

Zeon Corp.

     12,000         94,285   
     

 

 

 
Total Japan               88,263,428   
Netherlands – 1.1%      

Aegon N.V.

     93,062         533,426   

Akzo Nobel N.V.

     8,522         551,640   

ASML Holding N.V.

     5,009         437,015   

Boskalis Westminster

     7,705         336,115   

Delta Lloyd N.V.

     27,255         228,267   

Heineken N.V.

     13,636         1,099,578   

ING Groep N.V. CVA

     15,585         220,069   

Koninklijke Ahold N.V.

     41,718         810,744   

Koninklijke DSM N.V.

     6,946         319,404   

Koninklijke Philips N.V.

     43,778         1,028,410   

Koninklijke Ten Cate N.V.

     8,588         232,613   

Randstad Holding N.V.

     8,280         491,796   

Wessanen

     13,149         138,732   

Wolters Kluwer N.V.

     20,416         626,935   
     

 

 

 
Total Netherlands               7,054,744   
New Zealand – 0.4%      

Auckland International Airport Ltd.

     134,603         420,195   

Contact Energy Ltd.

     73,945         234,148   

Fisher & Paykel Healthcare Corp., Ltd.

     63,932         290,371   

Fletcher Building Ltd.

     42,209         183,607   

Mighty River Power Ltd.

     224,813         361,689   

Sky Network Television Ltd.(a)

     75,537         224,693   

Spark New Zealand Ltd.

     235,796         449,499   

Trade Me Group Ltd.

     76,570         179,274   

TrustPower Ltd.(a)

     32,388         153,732   

Vector Ltd.

     191,727         386,340   
     

 

 

 
Total New Zealand               2,883,548   
Norway – 1.3%      

Aker ASA Class A

     12,254         212,613   

Atea ASA*

     29,128         267,206   

DNB ASA

     47,039         610,459   

Gjensidige Forsikring ASA

     50,553         679,176   

Kvaerner ASA

     195,893         90,024   

Marine Harvest ASA*

     50,564         642,572   

Norsk Hydro ASA

     94,821         315,255   
Investments    Shares      Value  

Orkla ASA

     64,536       $ 477,400   

SpareBank 1 SMN

     27,801         175,997   

Statoil ASA

     211,419         3,075,861   

Telenor ASA(a)

     55,903         1,041,382   

Tomra Systems ASA

     20,212         189,562   

Yara International ASA

     16,669         663,438   
     

 

 

 
Total Norway               8,440,945   
Portugal – 0.4%      

EDP-Energias de Portugal S.A.

     310,166         1,132,494   

Galp Energia, SGPS, S.A.

     37,840         371,660   

Jeronimo Martins, SGPS, S.A.

     25,752         346,242   

Portucel S.A.

     62,689         216,927   

Sonae, SGPS, S.A.

     269,117         330,442   
     

 

 

 
Total Portugal               2,397,765   
Singapore – 2.0%      

Asian Pay Television Trust

     805,600         444,754   

CapitaLand Ltd.

     162,400         306,092   

ComfortDelGro Corp., Ltd.

     278,300         561,728   

Cosco Corp. Singapore Ltd.

     564,300         148,824   

DBS Group Holdings Ltd.

     89,200         1,016,901   

Dyna-Mac Holdings Ltd.

     307,900         37,895   

Hutchison Port Holdings Trust(a)

     1,028,136         565,475   

Jardine Cycle & Carriage Ltd.

     19,255         365,898   

Keppel Corp., Ltd.(a)

     114,700         546,920   

Keppel Infrastructure Trust

     845,960         312,349   

Lian Beng Group Ltd.

     265,500         97,095   

Oversea-Chinese Banking Corp., Ltd.

     193,895         1,198,634   

Pacc Offshore Services Holdings Ltd.

     82,993         18,678   

Pacific Radiance Ltd.(a)

     326,600         72,353   

SATS Ltd.

     88,200         237,574   

Sembcorp Industries Ltd.(a)

     100,600         244,796   

Sembcorp Marine Ltd.(a)

     179,700         289,411   

Singapore Airlines Ltd.

     34,400         258,865   

Singapore Post Ltd.(a)

     526,600         627,742   

Singapore Press Holdings Ltd.(a)

     156,400         422,376   

Singapore Technologies Engineering Ltd.

     164,400         344,547   

Singapore Telecommunications Ltd.

     943,300         2,388,269   

SMRT Corp., Ltd.(a)

     157,400         144,459   

StarHub Ltd.

     124,800         303,684   

Super Group Ltd.

     170,400         92,277   

United Overseas Bank Ltd.

     56,800         741,008   

Wee Hur Holdings Ltd.

     146,100         29,797   

Wilmar International Ltd.

     241,600         436,678   

Wing Tai Holdings Ltd.

     221,200         259,796   

Yanlord Land Group Ltd.(a)

     312,400         223,002   
     

 

 

 
Total Singapore               12,737,877   
Spain – 4.6%      

Abengoa S.A. Class B(a)

     41,149         38,078   

Abertis Infraestructuras S.A.(a)

     50,664         799,103   

ACS Actividades de Construccion y Servicios S.A.

     25,233         723,734   

Amadeus IT Holding S.A. Class A

     15,750         672,031   

Banco Bilbao Vizcaya Argentaria S.A.

     282,101         2,386,905   

Banco Santander S.A.

     1,402,834         7,428,691   

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Bolsas y Mercados Espanoles SHMSF S.A.(a)

     11,934       $ 402,437   

CaixaBank S.A.

     319,855         1,229,995   

Cie Automotive S.A.

     5,837         81,054   

Duro Felguera S.A.(a)

     35,712         82,518   

Enagas S.A.

     17,278         494,122   

Endesa S.A.

     52,528         1,104,671   

Ferrovial S.A.

     50,714         1,208,046   

Gas Natural SDG S.A.

     62,576         1,217,493   

Iberdrola S.A.

     295,015         1,958,409   

Industria de Diseno Textil S.A.

     76,291         2,548,833   

Mapfre S.A.

     182,502         475,681   

Obrascon Huarte Lain S.A.(a)

     13,778         180,865   

Red Electrica Corp. S.A.

     6,647         550,097   

Repsol S.A.

     98,040         1,139,240   

Tecnicas Reunidas S.A.

     4,481         197,751   

Telefonica S.A.

     379,729         4,590,537   
     

 

 

 
Total Spain               29,510,291   
Sweden – 3.7%      

Alfa Laval AB(a)

     19,736         322,146   

Assa Abloy AB Class B

     17,011         304,034   

Atlas Copco AB Class A

     21,672         519,639   

Atlas Copco AB Class B

     23,451         522,870   

Axfood AB(a)

     23,514         386,898   

BillerudKorsnas AB

     29,867         428,398   

Boliden AB

     14,079         219,569   

Electrolux AB Series B

     16,374         460,742   

Elekta AB Class B

     16,265         107,922   

Fabege AB

     29,830         436,404   

Gunnebo AB

     35,384         156,942   

Hennes & Mauritz AB Class B

     71,972         2,623,311   

Hexagon AB Class B(a)

     14,004         426,279   

Husqvarna AB Class B

     38,501         251,561   

ICA Gruppen AB(a)

     8,177         275,912   

Indutrade AB

     2,454         111,859   

Investment AB Latour Class B

     16,131         509,488   

Mekonomen AB

     9,035         208,988   

NCC AB Class B

     12,928         389,055   

Nordea Bank AB

     227,754         2,530,887   

Peab AB

     86,526         598,880   

Sandvik AB

     29,677         251,936   

Securitas AB Class B

     35,475         431,856   

Skandinaviska Enskilda Banken AB Class A

     110,998         1,182,498   

Skanska AB Class B

     35,260         689,052   

SKF AB Class B

     21,682         397,341   

Svenska Cellulosa AB SCA Class B

     19,259         536,870   

Svenska Handelsbanken AB Class A

     72,732         1,039,766   

Swedbank AB Class A

     82,349         1,815,457   

Swedish Match AB

     10,886         327,993   

Telefonaktiebolaget LM Ericsson Class B

     157,805         1,546,619   

TeliaSonera AB

     348,939         1,873,867   

Trelleborg AB Class B(a)

     26,780         422,756   

Volvo AB Class A

     59,250         564,450   

Volvo AB Class B

     37,646         359,536   
     

 

 

 
Total Sweden               23,231,781   
Investments    Shares      Value  
Switzerland – 8.8%      

ABB Ltd. Registered Shares*

     112,665       $ 1,985,561   

Actelion Ltd. Registered Shares*

     2,484         314,472   

Adecco S.A. Registered Shares*

     9,315         679,249   

Baloise Holding AG Registered Shares

     4,674         534,322   

BKW AG

     8,019         305,298   

Cie Financiere Richemont S.A. Registered Shares

     10,100         782,489   

Clariant AG Registered Shares*

     24,144         405,489   

Coca-Cola HBC AG*

     7,193         152,211   

Credit Suisse Group AG Registered Shares*

     39,326         942,600   

EFG International AG*(a)

     20,616         219,431   

EMS-Chemie Holding AG Registered Shares

     857         351,492   

Geberit AG Registered Shares

     2,147         654,142   

Givaudan S.A. Registered Shares*

     458         742,943   

Implenia AG Registered Shares

     2,859         141,033   

Julius Baer Group Ltd.*

     10,832         490,217   

Kuehne + Nagel International AG Registered Shares

     7,831         1,003,419   

LafargeHolcim Ltd. Registered Shares*

     12,992         678,786   

Logitech International S.A. Registered Shares(a)

     20,218         262,786   

Nestle S.A. Registered Shares

     131,824         9,882,415   

Novartis AG Registered Shares

     105,936         9,692,640   

Panalpina Welttransport Holding AG Registered Shares(a)

     775         84,472   

Partners Group Holding AG

     1,348         455,610   

Roche Holding AG Bearer Shares

     7,428         1,951,836   

Roche Holding AG Genusschein

     26,254         6,905,412   

Schindler Holding AG Participation Certificate

     3,660         524,409   

SGS S.A. Registered Shares

     208         361,887   

STMicroelectronics N.V.(a)

     59,550         404,819   

Straumann Holding AG Registered Shares

     882         252,974   

Sulzer AG Registered Shares(a)

     2,616         255,683   

Swatch Group AG (The) Registered Shares

     6,076         436,843   

Swiss Life Holding AG Registered Shares*

     3,108         691,515   

Swiss Re AG

     46,756         4,000,411   

Swisscom AG Registered Shares

     3,080         1,532,592   

Syngenta AG Registered Shares

     3,951         1,262,007   

Tecan Group AG Registered Shares

     1,045         146,734   

Temenos Group AG Registered Shares*

     3,013         123,345   

Transocean Ltd.(a)

     69,867         893,091   

UBS Group AG Registered Shares

     96,723         1,782,808   

Vontobel Holding AG Registered Shares

     12,281         620,272   

Zurich Insurance Group AG*

     12,329         3,018,214   
     

 

 

 
Total Switzerland               55,925,929   
United Kingdom – 23.9%      

Aberdeen Asset Management PLC

     79,507         357,085   

Admiral Group PLC

     8,978         204,263   

Aggreko PLC

     9,692         139,616   

Amec Foster Wheeler PLC

     33,026         358,437   

Amlin PLC

     88,844         883,494   

Anglo American PLC

     110,083         918,616   

Antofagasta PLC

     60,973         461,517   

ARM Holdings PLC

     22,857         328,050   

Ashmore Group PLC(a)

     73,699         275,182   

 

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 International Equity Fund (DWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Associated British Foods PLC

     16,876       $ 853,802   

AstraZeneca PLC

     77,135         4,885,674   

Aviva PLC

     153,810         1,053,086   

Awilco Drilling PLC

     50,171         217,623   

Babcock International Group PLC

     28,315         391,373   

BAE Systems PLC

     236,809         1,605,929   

Bank of Georgia Holdings PLC

     3,596         98,265   

Barclays PLC

     615,795         2,277,371   

Barratt Developments PLC

     26,462         258,337   

Berendsen PLC

     38,031         577,803   

Berkeley Group Holdings PLC

     14,687         743,054   

BG Group PLC

     90,474         1,303,303   

BHP Billiton PLC

     183,703         2,796,554   

Bodycote PLC

     14,756         123,158   

BP PLC

     1,821,723         9,216,579   

British American Tobacco PLC

     127,949         7,060,525   

British Land Co. PLC (The)

     37,178         472,204   

Britvic PLC

     9,005         92,550   

BT Group PLC

     330,177         2,098,569   

Burberry Group PLC

     19,245         398,791   

Capita PLC

     30,385         551,388   

Carillion PLC(a)

     50,499         230,780   

Carnival PLC

     9,390         486,870   

Centrica PLC

     392,609         1,363,063   

Chemring Group PLC

     32,099         108,427   

Close Brothers Group PLC

     29,236         661,178   

CNH Industrial N.V.

     46,150         300,074   

Cobham PLC

     56,639         245,113   

Communisis PLC

     128,386         106,960   

Compass Group PLC

     53,114         847,185   

Croda International PLC

     7,827         321,178   

Daily Mail & General Trust PLC Class A Non-Voting Shares

     34,057         388,714   

Darty PLC

     145,574         212,790   

De La Rue PLC

     14,594         106,497   

Debenhams PLC

     208,638         249,667   

Devro PLC

     41,091         183,616   

Diageo PLC

     108,891         2,920,309   

Direct Line Insurance Group PLC

     129,763         736,898   

Drax Group PLC

     30,764         113,703   

easyJet PLC

     15,673         421,872   

Electrocomponents PLC

     75,351         204,421   

Fenner PLC

     55,000         137,255   

Fidessa Group PLC

     5,500         149,460   

G4S PLC

     95,851         334,954   

GKN PLC

     82,876         336,438   

GlaxoSmithKline PLC

     453,756         8,701,558   

Halfords Group PLC

     38,291         267,850   

Hammerson PLC

     48,047         453,778   

Hargreaves Lansdown PLC

     10,745         196,451   

Hargreaves Services PLC

     27,652         143,773   

Hays PLC

     189,940         441,062   

HSBC Holdings PLC

     1,410,687         10,656,411   

Hunting PLC

     15,406         93,555   
Investments    Shares      Value  

ICAP PLC

     68,802       $ 476,484   

IG Group Holdings PLC

     38,702         451,111   

IMI PLC

     12,785         183,687   

Imperial Tobacco Group PLC

     69,111         3,572,929   

Inchcape PLC

     43,493         473,685   

Infinis Energy PLC

     38,134         77,692   

Inmarsat PLC

     24,294         361,369   

InterContinental Hotels Group PLC

     6,605         228,512   

Interserve PLC

     13,051         113,474   

Intertek Group PLC

     6,190         227,938   

Intu Properties PLC

     75,736         378,121   

Investec PLC

     46,859         358,802   

ITV PLC

     207,188         772,041   

J D Wetherspoon PLC

     5,802         64,684   

J Sainsbury PLC(a)

     165,099         652,718   

John Wood Group PLC

     34,242         318,989   

Johnson Matthey PLC

     9,055         335,769   

Kingfisher PLC

     103,137         560,229   

Ladbrokes PLC

     117,249         169,966   

Legal & General Group PLC

     343,556         1,239,076   

Lloyds Banking Group PLC

     509,496         580,054   

London Stock Exchange Group PLC

     18,156         665,269   

Man Group PLC

     129,225         299,879   

Marks & Spencer Group PLC

     93,713         711,178   

Marston’s PLC

     126,939         288,229   

Meggitt PLC

     46,914         338,402   

Melrose Industries PLC

     79,852         319,565   

Mondi PLC

     25,922         543,040   

N Brown Group PLC

     43,216         200,443   

National Grid PLC

     272,112         3,787,537   

Next PLC

     3,520         405,759   

Nostrum Oil & Gas PLC

     13,217         92,595   

Numis Corp. PLC

     51,694         184,013   

Old Mutual PLC

     320,034         916,703   

Pan African Resources PLC

     414,433         47,082   

PayPoint PLC

     11,075         171,449   

Pearson PLC

     57,315         978,438   

Persimmon PLC*

     24,984         759,918   

Polar Capital Holdings PLC

     23,542         133,458   

Premier Farnell PLC

     46,546         73,855   

Prudential PLC

     88,061         1,858,795   

QinetiQ Group PLC

     47,030         160,643   

Reckitt Benckiser Group PLC

     32,040         2,905,646   

RELX N.V.

     69,811         1,135,389   

RELX PLC

     42,656         731,421   

Restaurant Group PLC (The)

     10,893         111,376   

Rexam PLC

     47,166         374,013   

Rio Tinto PLC

     94,987         3,179,782   

Rolls-Royce Holdings PLC*

     48,201         494,294   

Rotork PLC

     33,250         83,002   

Royal Dutch Shell PLC Class A

     354,179         8,337,095   

Royal Dutch Shell PLC Class B

     223,411         5,289,376   

Royal Mail PLC

     44,827         311,533   

RPS Group PLC

     31,139         106,010   

 

See Notes to Financial Statements.

 

60   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, 2015

 

  

 

 

Investments    Shares      Value  

SABMiller PLC

     76,362       $ 4,322,563   

Sage Group PLC (The)

     77,056         582,903   

Savills PLC

     10,593         146,417   

Schroders PLC Non-Voting Shares

     14,060         460,662   

Segro PLC

     77,140         501,861   

Severn Trent PLC

     18,442         610,101   

Sky PLC

     88,876         1,405,484   

Smith & Nephew PLC

     24,903         434,933   

Smiths Group PLC

     22,304         339,539   

Soco International PLC

     59,242         141,560   

SSE PLC

     71,820         1,627,488   

St. Ives PLC

     58,079         159,015   

Standard Chartered PLC

     175,675         1,705,192   

Standard Life PLC

     113,433         666,328   

TalkTalk Telecom Group PLC(a)

     76,374         363,837   

Tate & Lyle PLC

     34,915         310,978   

Taylor Wimpey PLC

     209,663         620,883   

Telecom Plus PLC(a)

     9,892         167,370   

Ultra Electronics Holdings PLC

     8,423         218,557   

Unilever N.V. CVA(a)

     69,247         2,774,187   

Unilever PLC

     62,620         2,547,769   

United Utilities Group PLC

     55,006         770,713   

Vedanta Resources PLC(a)

     52,857         340,437   

Vesuvius PLC

     22,804         121,727   

Victrex PLC

     7,016         188,319   

Vodafone Group PLC

     2,198,400         6,941,440   

Weir Group PLC (The)

     11,412         202,250   

WH Smith PLC

     22,008         521,385   

Whitbread PLC

     9,946         703,267   

William Hill PLC

     59,331         315,270   

WM Morrison Supermarkets PLC

     238,213         599,344   

WS Atkins PLC

     5,957         125,244   
     

 

 

 
Total United Kingdom               151,653,598   
TOTAL COMMON STOCKS
(Cost: $647,899,346)
              632,663,392   
RIGHTS – 0.0%      
China – 0.0%      

Fosun International Ltd., expiring 10/19/15*

     
(Cost $0)      12,488         0   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 6.9%   
United States – 6.9%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $43,869,140)(c)      43,869,140         43,869,140   
TOTAL INVESTMENTS IN SECURITIES – 106.4%
(Cost: $691,768,486)
         676,532,532   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (6.4)%

        (40,916,738
     

 

 

 
NET ASSETS – 100.0%             $ 635,615,794   
* 

Non-income producing security.

 

 

Security is being fair valued by a valuation committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $148,824, which represents 0.0% of net assets.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $42,486,484 and the total market value of the collateral held by the Fund was $44,918,410. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,049,270.

CVA – Certificaten Van Aandelen (Certificate of Stock)

RSP – Risparmio Italian Savings Shares

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.1%      
Australia – 7.6%      

AGL Energy Ltd.

     190       $ 2,131   

Amalgamated Holdings Ltd.

     121         1,096   

Amcor Ltd.

     250         2,312   

AMP Ltd.

     554         2,163   

Ansell Ltd.

     34         448   

Aristocrat Leisure Ltd.

     104         629   

Asaleo Care Ltd.

     436         547   

Asciano Ltd.

     115         678   

ASX Ltd.

     46         1,224   

Aurizon Holdings Ltd.

     373         1,312   

Australia & New Zealand Banking Group Ltd.

     764         14,529   

Bank of Queensland Ltd.

     70         571   

Beach Energy Ltd.

     836         267   

Bendigo & Adelaide Bank Ltd.

     101         703   

BHP Billiton Ltd.

     796         12,421   

Boral Ltd.

     151         559   

Brickworks Ltd.

     96         1,047   

BT Investment Management Ltd.

     96         644   

Caltex Australia Ltd.

     34         747   

carsales.com Ltd.

     99         679   

CIMIC Group Ltd.

     76         1,254   

Coca-Cola Amatil Ltd.

     145         917   

Cochlear Ltd.

     14         821   

Commonwealth Bank of Australia

     400         20,427   

Computershare Ltd.

     69         513   

Cover-More Group Ltd.

     344         539   

Crown Resorts Ltd.

     67         466   

CSL Ltd.

     42         2,631   

CSR Ltd.

     240         487   

Downer EDI Ltd.

     169         396   

Echo Entertainment Group Ltd.

     175         595   

Fairfax Media Ltd.

     1,033         642   

Genworth Mortgage Insurance Australia Ltd.(a)

     258         417   

GrainCorp Ltd. Class A

     96         610   

Harvey Norman Holdings Ltd.

     257         700   

Healthscope Ltd.

     307         550   

Incitec Pivot Ltd.

     216         592   

Insurance Australia Group Ltd.

     691         2,349   

IOOF Holdings Ltd.

     91         546   

Iress Ltd.

     94         632   

JB Hi-Fi Ltd.

     42         563   

Lend Lease Group

     131         1,154   

M2 Group Ltd.

     82         546   

Magellan Financial Group Ltd.

     47         627   

National Australia Bank Ltd.

     705         14,843   

Navitas Ltd.

     195         544   

New Hope Corp., Ltd.

     431         534   

NIB Holdings Ltd.(a)

     372         854   

Orica Ltd.

     57         602   

Origin Energy Ltd.

     190         814   

Perpetual Ltd.

     16         445   

Platinum Asset Management Ltd.

     135         642   
Investments    Shares      Value  

Premier Investments Ltd.

     64       $ 578   

Primary Health Care Ltd.

     162         431   

QBE Insurance Group Ltd.

     161         1,457   

Qube Holdings Ltd.

     344         478   

REA Group Ltd.

     21         654   

Rio Tinto Ltd.

     111         3,788   

Santos Ltd.(a)

     189         528   

Seek Ltd.

     58         489   

Select Harvests Ltd.

     74         578   

Sonic Healthcare Ltd.

     88         1,128   

Steadfast Group Ltd.

     496         496   

Suncorp Group Ltd.

     340         2,911   

Super Retail Group Ltd.

     90         563   

Tabcorp Holdings Ltd.

     174         571   

Tatts Group Ltd.

     348         919   

Technology One Ltd.

     252         680   

Telstra Corp., Ltd.

     3,340         13,158   

TPG Telecom Ltd.

     92         702   

Transpacific Industries Group Ltd.

     1,073         512   

Treasury Wine Estates Ltd.

     160         737   

Wesfarmers Ltd.

     295         8,125   

Westpac Banking Corp.

     875         18,250   

Woodside Petroleum Ltd.

     398         8,086   

Woolworths Ltd.

     321         5,599   

WorleyParsons Ltd.

     76         315   
     

 

 

 
Total Australia               174,692   
Austria – 0.2%      

EVN AG

     50         550   

Lenzing AG

     9         674   

Oesterreichische Post AG

     55         1,884   

OMV AG

     95         2,304   
     

 

 

 
Total Austria               5,412   
Belgium – 1.9%      

Ackermans & van Haaren N.V.

     6         877   

Ageas

     60         2,458   

Anheuser-Busch InBev N.V.

     231         24,476   

bpost S.A.

     91         2,157   

Colruyt S.A.(a)

     30         1,441   

Delhaize Group

     10         883   

Euronav N.V.

     40         558   

KBC Groep N.V.

     67         4,216   

Proximus

     97         3,341   

UCB S.A.

     41         3,197   
     

 

 

 
Total Belgium               43,604   
China – 3.0%      

Beijing Enterprises Holdings Ltd.

     500         2,997   

China Jinmao Holdings Group Ltd.

     4,000         1,006   

China Mobile Ltd.

     2,500         29,613   

China Overseas Land & Investment Ltd.

     2,000         6,039   

China Power International Development Ltd.

     2,000         1,301   

China South City Holdings Ltd.

     2,000         488   

China Unicom Hong Kong Ltd.

     2,000         2,532   

CITIC Ltd.

     2,000         3,639   

 

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 International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

CNOOC Ltd.

     9,000       $ 9,209   

Fosun International Ltd.

     1,000         1,716   

Guotai Junan International Holdings Ltd.

     2,000         565   

Lenovo Group Ltd.

     2,000         1,685   

Shenzhen Investment Ltd.

     6,000         2,113   

Sino-Ocean Land Holdings Ltd.

     2,000         1,089   

Sun Art Retail Group Ltd.

     3,000         2,303   

Yangzijiang Shipbuilding Holdings Ltd.

     2,100         1,676   

Yuexiu Property Co., Ltd.

     14,000         2,294   
     

 

 

 
Total China               70,265   
Denmark – 1.1%      

Carlsberg A/S Class B

     10         767   

Coloplast A/S Class B

     34         2,405   

Danske Bank A/S

     20         603   

DSV A/S

     28         1,044   

GN Store Nord A/S

     30         538   

Novo Nordisk A/S Class B

     196         10,505   

Novozymes A/S Class B

     24         1,045   

Pandora A/S

     9         1,049   

Rockwool International A/S Class B

     4         570   

Royal Unibrew A/S

     27         1,009   

SimCorp A/S

     23         1,156   

Sydbank A/S

     23         874   

TDC A/S

     328         1,687   

Tryg A/S

     90         1,745   

Vestas Wind Systems A/S

     13         674   
     

 

 

 
Total Denmark               25,671   
Finland – 1.2%      

Elisa Oyj

     64         2,159   

F-Secure Oyj

     182         502   

Fortum Oyj

     319         4,711   

Kesko Oyj Class B

     20         707   

Kone Oyj Class B

     100         3,795   

Metso Oyj

     27         560   

Neste Oyj

     42         964   

Nokia Oyj

     397         2,706   

Nokian Renkaat Oyj

     20         645   

Orion Oyj Class B

     34         1,283   

Raisio Oyj Class V

     160         768   

Sampo Oyj Class A

     142         6,860   

Tieto Oyj

     27         681   

UPM-Kymmene Oyj

     101         1,511   
     

 

 

 
Total Finland               27,852   
France – 9.8%      

Accor S.A.

     22         1,026   

Aeroports de Paris

     17         1,923   

Air Liquide S.A.

     37         4,363   

Airbus Group SE

     73         4,311   

Alten S.A.

     14         717   

Arkema S.A.

     9         581   

AXA S.A.

     435         10,505   

BioMerieux

     8         864   

BNP Paribas S.A.

     141         8,257   
Investments    Shares      Value  

Bollore S.A.

     215       $ 1,044   

Bouygues S.A.

     80         2,833   

Bureau Veritas S.A.

     75         1,577   

Cap Gemini S.A.

     13         1,155   

Carrefour S.A.

     85         2,509   

Casino Guichard Perrachon S.A.

     17         901   

Christian Dior SE

     16         2,983   

Cie de Saint-Gobain

     75         3,241   

CNP Assurances

     120         1,662   

Credit Agricole S.A.

     279         3,194   

Danone S.A.

     83         5,227   

Dassault Systemes

     17         1,252   

Edenred

     57         929   

Electricite de France S.A.

     533         9,380   

Elior(b)

     34         649   

Engie

     663         10,687   

Essilor International S.A.

     13         1,580   

Gaztransport Et Technigaz S.A.

     17         881   

Havas S.A.

     75         610   

Hermes International

     9         3,265   

Iliad S.A.

     3         604   

Imerys S.A.

     11         705   

Ingenico Group

     6         722   

Ipsen S.A.

     13         804   

JCDecaux S.A.

     27         976   

Kering

     13         2,119   

Klepierre

     45         2,034   

L’Oreal S.A.

     52         9,000   

Lagardere SCA

     35         967   

Legrand S.A.

     24         1,271   

LVMH Moet Hennessy Louis Vuitton SE

     48         8,155   

Metropole Television S.A.

     42         802   

Natixis S.A.

     434         2,393   

Neopost S.A.

     15         390   

Nexity S.A.

     24         1,032   

Orange S.A.

     551         8,316   

Pernod Ricard S.A.

     23         2,315   

Publicis Groupe S.A.

     17         1,157   

Remy Cointreau S.A.

     9         589   

Renault S.A.

     17         1,214   

Rexel S.A.

     39         478   

Rubis SCA

     16         1,187   

Safran S.A.

     49         3,681   

Sanofi

     211         19,994   

Schneider Electric SE

     89         4,968   

SCOR SE

     36         1,288   

Societe BIC S.A.

     11         1,704   

Societe Generale S.A.

     82         3,648   

Societe Television Francaise 1

     36         504   

Sodexo S.A.

     18         1,487   

Suez Environnement Co.

     112         2,004   

Technip S.A.

     17         800   

Teleperformance

     9         681   

Thales S.A.

     21         1,457   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Total S.A.(a)

     632       $ 28,360   

Unibail-Rodamco SE

     9         2,324   

Veolia Environnement S.A.

     125         2,851   

Vicat

     9         561   

Vinci S.A.

     105         6,647   

Vivendi S.A.

     303         7,147   
     

 

 

 
Total France               225,442   
Germany – 7.6%      

adidas AG

     19         1,527   

Allianz SE Registered Shares

     96         15,029   

Aurelius AG

     17         789   

Axel Springer SE

     28         1,560   

BASF SE

     146         11,134   

Bayer AG Registered Shares

     74         9,454   

Bayerische Motoren Werke AG

     61         5,394   

Bechtle AG

     9         809   

Beiersdorf AG

     26         2,298   

Bertrandt AG

     6         624   

Brenntag AG

     18         968   

Carl Zeiss Meditec AG Bearer Shares

     30         837   

Celesio AG

     44         1,233   

Comdirect Bank AG

     292         3,308   

Continental AG

     11         2,334   

CTS Eventim AG & Co. KGaA

     27         998   

Daimler AG Registered Shares

     131         9,483   

Deutsche Bank AG Registered Shares

     137         3,681   

Deutsche Boerse AG

     32         2,751   

Deutsche Post AG Registered Shares

     189         5,227   

Deutsche Telekom AG Registered Shares

     754         13,370   

Deutsche Wohnen AG Bearer Shares

     49         1,306   

DMG MORI AG Bearer Shares

     17         651   

Drillisch AG

     26         1,379   

Duerr AG

     7         491   

E.ON SE

     379         3,248   

Evonik Industries AG

     72         2,404   

Fielmann AG

     37         2,528   

Fraport AG Frankfurt Airport Services Worldwide

     19         1,170   

Freenet AG

     55         1,813   

GEA Group AG

     25         950   

Gerresheimer AG

     10         728   

Hamburger Hafen und Logistik AG

     47         764   

Hannover Rueck SE

     26         2,657   

Henkel AG & Co. KGaA

     34         2,996   

Hugo Boss AG

     13         1,457   

Infineon Technologies AG

     136         1,526   

K+S AG Registered Shares

     24         802   

Krones AG

     9         945   

KUKA AG(a)

     7         535   

LEG Immobilien AG*

     15         1,236   

MAN SE

     46         4,681   

Merck KGaA

     30         2,649   

METRO AG

     47         1,295   

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     33         6,142   
Investments    Shares      Value  

OSRAM Licht AG

     13       $ 671   

ProSiebenSat.1 Media SE

     49         2,398   

Rhoen Klinikum AG

     52         1,469   

RWE AG

     117         1,326   

SAP SE

     112         7,245   

Siemens AG Registered Shares

     158         14,099   

Software AG

     23         670   

Suedzucker AG

     38         689   

Talanx AG

     65         1,942   

Telefonica Deutschland Holding AG

     871         5,309   

Wacker Chemie AG

     6         455   

Wincor Nixdorf AG

     16         627   

Wirecard AG

     16         763   
     

 

 

 
Total Germany               174,824   
Hong Kong – 2.5%      

AIA Group Ltd.

     1,000         5,168   

Bank of East Asia Ltd. (The)

     1,200         4,026   

BOC Hong Kong Holdings Ltd.

     2,000         5,871   

CLP Holdings Ltd.

     500         4,268   

Dah Sing Banking Group Ltd.

     1,200         2,202   

Galaxy Entertainment Group Ltd.

     1,000         2,542   

Hang Seng Bank Ltd.

     400         7,184   

Hong Kong & China Gas Co., Ltd.

     1,000         1,874   

Hong Kong Exchanges and Clearing Ltd.

     100         2,281   

MTR Corp., Ltd.

     1,000         4,335   

New World Development Co., Ltd.

     2,000         1,935   

Power Assets Holdings Ltd.

     500         4,716   

Sino Land Co., Ltd.

     2,000         3,030   

SJM Holdings Ltd.

     3,000         2,121   

Techtronic Industries Co., Ltd.

     500         1,845   

Wharf Holdings Ltd. (The)

     1,000         5,613   
     

 

 

 
Total Hong Kong               59,011   
Ireland – 0.2%      

Grafton Group PLC

     51         516   

Green REIT PLC

     613         1,014   

Greencore Group PLC

     130         538   

IFG Group PLC

     749         1,622   

Paddy Power PLC

     16         1,843   
     

 

 

 
Total Ireland               5,533   
Israel – 0.7%      

Bezeq Israeli Telecommunication Corp., Ltd.

     1,820         3,478   

Delek Automotive Systems Ltd.

     86         805   

First International Bank of Israel Ltd.

     47         584   

Frutarom Industries Ltd.

     15         567   

Harel Insurance Investments & Financial Services Ltd.

     143         593   

Migdal Insurance & Financial Holding Ltd.

     799         725   

Mizrahi Tefahot Bank Ltd.

     55         650   

NICE-Systems Ltd.

     11         600   

Osem Investments Ltd.

     53         1,023   

Teva Pharmaceutical Industries Ltd.

     111         6,349   
     

 

 

 
Total Israel               15,374   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Italy – 3.3%      

A2A SpA

     669       $ 829   

ACEA SpA

     81         1,092   

Anima Holding SpA(b)

     71         619   

Ansaldo STS SpA

     76         804   

Ascopiave SpA

     488         1,122   

Assicurazioni Generali SpA

     252         4,602   

Atlantia SpA

     178         4,965   

Azimut Holding SpA

     21         450   

Banca Generali SpA

     28         788   

Banca Popolare di Milano Scarl

     594         585   

Davide Campari-Milano SpA

     82         652   

De’ Longhi

     27         662   

DiaSorin SpA

     16         699   

Enel Green Power SpA

     489         923   

Enel SpA

     1,490         6,633   

Eni SpA

     1,227         19,243   

ERG SpA

     68         949   

FinecoBank Banca Fineco SpA

     181         1,200   

Hera SpA

     575         1,490   

Intesa Sanpaolo SpA

     1,642         5,785   

Iren SpA

     468         762   

Luxottica Group SpA

     65         4,498   

MARR SpA

     42         796   

Mediolanum SpA

     104         742   

Parmalat SpA

     406         1,046   

Recordati SpA

     54         1,244   

Snam SpA

     1,046         5,364   

Terna Rete Elettrica Nazionale SpA

     564         2,736   

UniCredit SpA

     431         2,680   

UnipolSai SpA

     819         1,778   
     

 

 

 
Total Italy               75,738   
Japan – 13.7%      

Amada Holdings Co., Ltd.

     100         758   

Astellas Pharma, Inc.

     100         1,290   

Bridgestone Corp.

     200         6,890   

Brother Industries Ltd.

     400         4,789   

Canon, Inc.

     300         8,652   

Dai-ichi Life Insurance Co., Ltd. (The)

     200         3,162   

Daicel Corp.

     100         1,221   

Daihatsu Motor Co., Ltd.

     100         1,153   

Fuji Heavy Industries Ltd.

     100         3,576   

Fujitsu Ltd.

     1,000         4,329   

Hino Motors Ltd.

     500         5,064   

Hitachi Chemical Co., Ltd.

     100         1,370   

Hitachi Construction Machinery Co., Ltd.

     300         4,000   

Honda Motor Co., Ltd.

     400         11,820   

Hulic Co., Ltd.

     400         3,597   

Idemitsu Kosan Co., Ltd.

     100         1,525   

Iida Group Holdings Co., Ltd.

     100         1,556   

Isuzu Motors Ltd.

     400         3,991   

ITOCHU Corp.

     600         6,300   

Japan Tobacco, Inc.

     200         6,170   
Investments    Shares      Value  

JFE Holdings, Inc.

     300       $ 3,914   

JSR Corp.

     100         1,434   

JTEKT Corp.

     100         1,389   

JX Holdings, Inc.

     1,400         5,037   

Kawasaki Kisen Kaisha Ltd.

     2,000         4,375   

KDDI Corp.

     300         6,681   

Kobe Steel Ltd.

     3,000         3,231   

Komatsu Ltd.

     200         2,927   

Konica Minolta, Inc.

     100         1,047   

Kuraray Co., Ltd.

     300         3,722   

LIXIL Group Corp.

     200         4,041   

Marubeni Corp.

     500         2,437   

Mitsubishi Chemical Holdings Corp.

     600         3,113   

Mitsubishi Corp.

     200         3,262   

Mitsubishi Materials Corp.

     1,000         3,023   

Mitsubishi Motors Corp.

     600         4,569   

Mitsubishi UFJ Financial Group, Inc.

     1,400         8,374   

Mitsui & Co., Ltd.

     700         7,835   

Mitsui OSK Lines Ltd.

     1,000         2,388   

Mizuho Financial Group, Inc.

     3,800         7,072   

Nikon Corp.

     300         3,612   

Nippon Steel & Sumitomo Metal Corp.

     200         3,621   

Nippon Telegraph & Telephone Corp.

     200         6,977   

Nippon Yusen K.K.

     1,000         2,305   

Nissan Motor Co., Ltd.

     900         8,221   

Nomura Holdings, Inc.

     600         3,447   

Nomura Real Estate Holdings, Inc.

     200         4,001   

NSK Ltd.

     200         1,925   

NTT DOCOMO, Inc.

     600         9,985   

Oji Holdings Corp.

     1,000         4,275   

Panasonic Corp.

     200         2,010   

Resona Holdings, Inc.

     900         4,556   

Ricoh Co., Ltd.

     500         5,029   

SBI Holdings, Inc.

     100         1,120   

Sega Sammy Holdings, Inc.

     300         2,916   

Seiko Epson Corp.

     100         1,409   

Sekisui House Ltd.

     100         1,557   

Shin-Etsu Chemical Co., Ltd.

     100         5,106   

Sojitz Corp.

     1,200         2,224   

Sumitomo Chemical Co., Ltd.

     1,000         5,027   

Sumitomo Corp.

     900         8,657   

Sumitomo Mitsui Financial Group, Inc.

     200         7,535   

Sumitomo Mitsui Trust Holdings, Inc.

     2,000         7,304   

Sumitomo Rubber Industries Ltd.

     300         4,148   

Suzuki Motor Corp.

     100         3,058   

T&D Holdings, Inc.

     100         1,173   

Takeda Pharmaceutical Co., Ltd.

     100         4,373   

Toyota Motor Corp.

     400         23,282   

Toyota Tsusho Corp.

     200         4,197   

Yahoo Japan Corp.

     600         2,274   

Yamaha Corp.

     100         2,203   

Yamaha Motor Co., Ltd.

     200         3,993   

Yokohama Rubber Co., Ltd. (The)

     200         3,509   
     

 

 

 
Total Japan               316,113   

 

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 International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Netherlands – 1.3%      

Aalberts Industries N.V.

     20       $ 591   

Aegon N.V.

     265         1,519   

Akzo Nobel N.V.

     25         1,618   

Arcadis N.V.

     23         539   

ASM International N.V.

     17         549   

BE Semiconductor Industries N.V.

     24         371   

BinckBank N.V.

     64         526   

Boskalis Westminster

     19         829   

Brunel International N.V.

     32         541   

Corbion N.V.

     32         732   

Euronext N.V.(b)

     20         851   

Gemalto N.V.

     7         453   

Heineken N.V.

     56         4,516   

IMCD Group N.V.

     17         585   

Koninklijke Ahold N.V.

     137         2,663   

Koninklijke DSM N.V.

     24         1,104   

Koninklijke KPN N.V.

     590         2,202   

Koninklijke Philips N.V.

     141         3,312   

Koninklijke Vopak N.V.

     17         677   

NN Group N.V.

     45         1,287   

Randstad Holding N.V.

     26         1,544   

TNT Express N.V.

     74         563   

USG People N.V.

     44         599   

Wessanen

     105         1,108   

Wolters Kluwer N.V.

     50         1,535   
     

 

 

 
Total Netherlands               30,814   
New Zealand – 0.5%      

Contact Energy Ltd.

     350         1,108   

Ebos Group Ltd.

     92         733   

Freightways Ltd.

     162         575   

Genesis Energy Ltd.

     639         748   

Kiwi Property Group Ltd.

     806         663   

Mainfreight Ltd.

     73         708   

Meridian Energy Ltd.

     737         990   

Metlifecare Ltd.

     199         538   

Mighty River Power Ltd.

     780         1,255   

Port of Tauranga Ltd.

     113         1,229   

Spark New Zealand Ltd.

     1,033         1,969   

TrustPower Ltd.

     292         1,386   

Z Energy Ltd.

     169         717   
     

 

 

 
Total New Zealand               12,619   
Norway – 1.4%      

Atea ASA*

     82         752   

Austevoll Seafood ASA

     122         758   

DNB ASA

     227         2,946   

Entra ASA(b)

     123         991   

Gjensidige Forsikring ASA

     130         1,747   

Kongsberg Gruppen ASA

     39         563   

Leroy Seafood Group ASA

     19         682   

Marine Harvest ASA*

     99         1,258   

Norsk Hydro ASA

     207         688   

Orkla ASA

     242         1,790   
Investments    Shares      Value  

Salmar ASA

     61       $ 962   

SpareBank 1 SR-Bank ASA

     97         482   

Statoil ASA

     791         11,508   

Telenor ASA

     199         3,707   

TGS Nopec Geophysical Co. ASA

     29         535   

Yara International ASA

     49         1,950   
     

 

 

 
Total Norway               31,319   
Portugal – 0.3%      

CTT-Correios de Portugal S.A.

     60         668   

EDP-Energias de Portugal S.A.

     1,011         3,691   

Galp Energia, SGPS, S.A.

     123         1,208   

Jeronimo Martins, SGPS, S.A.

     71         955   

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

     220         658   

Sonae, SGPS, S.A.

     466         572   
     

 

 

 
Total Portugal               7,752   
Singapore – 2.0%      

Asian Pay Television Trust

     1,100         607   

CapitaLand Ltd.

     600         1,131   

Chip Eng Seng Corp., Ltd.

     1,100         472   

City Developments Ltd.

     100         542   

ComfortDelGro Corp., Ltd.

     500         1,009   

CWT Ltd.

     400         557   

DBS Group Holdings Ltd.

     400         4,560   

Great Eastern Holdings Ltd.

     100         1,498   

Hutchison Port Holdings Trust

     1,300         715   

Jardine Cycle & Carriage Ltd.

     100         1,900   

K1 Ventures Ltd.

     4,000         532   

Keppel Corp., Ltd.

     500         2,384   

M1 Ltd.

     300         595   

Olam International Ltd.

     700         994   

OSIM International Ltd.

     600         686   

OUE Ltd.

     700         884   

Oversea-Chinese Banking Corp., Ltd.

     600         3,709   

Pacc Offshore Services Holdings Ltd.

     2,400         540   

Pacific Radiance Ltd.

     1,600         354   

Rotary Engineering Ltd.

     1,800         430   

Sembcorp Industries Ltd.

     1,100         2,677   

Sembcorp Marine Ltd.

     1,400         2,255   

SIA Engineering Co., Ltd.

     200         518   

Singapore Airlines Ltd.

     200         1,505   

Singapore Exchange Ltd.

     600         2,966   

Singapore Technologies Engineering Ltd.

     600         1,257   

Singapore Telecommunications Ltd.

     2,100         5,317   

StarHub Ltd.

     200         487   

United Engineers Ltd.

     400         540   

United Overseas Bank Ltd.

     300         3,914   
     

 

 

 
Total Singapore               45,535   
Spain – 4.7%      

Amadeus IT Holding S.A. Class A

     47         2,005   

Atresmedia Corp. de Medios de Comunicaion S.A.

     40         508   

Banco Bilbao Vizcaya Argentaria S.A.

     1,086         9,189   

Banco Popular Espanol S.A.

     131         477   

Banco Santander S.A.

     5,250         27,801   

 

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 International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Bankinter S.A.(a)

     102       $ 748   

Bolsas y Mercados Espanoles SHMSF S.A.

     27         910   

CaixaBank S.A.

     1,089         4,189   

Cia de Distribucion Integral Logista Holdings S.A.

     57         1,073   

Distribuidora Internacional de Alimentacion S.A.*

     82         495   

Ebro Foods S.A.

     63         1,234   

Enagas S.A.

     80         2,288   

Endesa S.A.

     140         2,944   

Ferrovial S.A.

     160         3,811   

Gas Natural SDG S.A.

     229         4,455   

Grifols S.A.

     16         659   

Grupo Catalana Occidente S.A.

     27         774   

Iberdrola S.A.

     939         6,233   

Industria de Diseno Textil S.A.

     299         9,989   

Mapfre S.A.

     366         954   

Mediaset Espana Comunicacion S.A.

     47         512   

Red Electrica Corp. S.A.

     35         2,897   

Repsol S.A.

     330         3,835   

Tecnicas Reunidas S.A.

     22         971   

Telefonica S.A.

     1,347         16,284   

Viscofan S.A.

     15         902   

Zardoya Otis S.A.

     135         1,456   
     

 

 

 
Total Spain               107,593   
Sweden – 3.5%      

AAK AB

     10         647   

AF AB Class B

     49         676   

Atlas Copco AB Class A

     147         3,525   

Atrium Ljungberg AB Class B

     64         966   

Avanza Bank Holding AB

     17         696   

Axfood AB

     71         1,168   

Betsson AB*

     42         705   

Clas Ohlson AB Class B

     57         870   

Com Hem Holding AB

     70         584   

Electrolux AB Series B

     31         872   

Fabege AB

     60         878   

Hennes & Mauritz AB Class B

     254         9,258   

Hexpol AB

     60         669   

ICA Gruppen AB

     45         1,518   

Indutrade AB

     13         593   

Investment AB Kinnevik Class B

     22         627   

Investment AB Latour Class B

     32         1,011   

Lifco AB Class B

     46         1,001   

Loomis AB Class B

     23         601   

Meda AB Class A

     51         726   

NetEnt AB*

     20         1,110   

Nordea Bank AB

     973         10,812   

Sandvik AB

     190         1,613   

Securitas AB Class B

     86         1,047   

Skandinaviska Enskilda Banken AB Class A

     452         4,815   

Skanska AB Class B

     68         1,329   

Svenska Cellulosa AB SCA Class B

     105         2,927   

Svenska Handelsbanken AB Class A

     333         4,760   

Swedbank AB Class A

     292         6,437   
Investments    Shares      Value  

Swedish Match AB

     29       $ 874   

Tele2 AB Class B

     133         1,292   

Telefonaktiebolaget LM Ericsson Class B

     537         5,263   

TeliaSonera AB

     1,332         7,153   

Thule Group AB (The)(b)

     53         607   

Trelleborg AB Class B

     34         537   

Volvo AB Class B

     247         2,359   

Wallenstam AB Class B

     110         902   
     

 

 

 
Total Sweden               81,428   
Switzerland – 8.7%      

ABB Ltd. Registered Shares*

     311         5,481   

Actelion Ltd. Registered Shares*

     7         886   

Adecco S.A. Registered Shares*

     26         1,896   

Baloise Holding AG Registered Shares

     3         343   

Cie Financiere Richemont S.A. Registered Shares

     45         3,486   

Clariant AG Registered Shares*

     31         521   

Coca-Cola HBC AG*

     31         656   

Credit Suisse Group AG Registered Shares*

     184         4,410   

DKSH Holding AG*

     19         1,199   

EMS-Chemie Holding AG Registered Shares

     4         1,641   

Galenica AG Registered Shares

     1         1,270   

GAM Holding AG*

     50         878   

Geberit AG Registered Shares

     5         1,523   

Givaudan S.A. Registered Shares*

     2         3,244   

Helvetia Holding AG Registered Shares

     3         1,468   

Julius Baer Group Ltd.*

     22         996   

Kuehne + Nagel International AG Registered Shares

     41         5,254   

LafargeHolcim Ltd. Registered Shares*

     55         2,874   

Leonteq AG*

     4         705   

Logitech International S.A. Registered Shares

     42         546   

Lonza Group AG Registered Shares*

     8         1,046   

Nestle S.A. Registered Shares

     509         38,158   

Novartis AG Registered Shares

     375         34,311   

OC Oerlikon Corp. AG Registered Shares*

     51         499   

Partners Group Holding AG

     5         1,690   

Roche Holding AG Genusschein

     127         33,404   

SGS S.A. Registered Shares

     2         3,480   

Sonova Holding AG Registered Shares

     7         898   

STMicroelectronics N.V.

     214         1,455   

Straumann Holding AG Registered Shares

     3         860   

Sulzer AG Registered Shares

     6         586   

Swiss Life Holding AG Registered Shares*

     3         668   

Swiss Re AG

     136         11,636   

Swisscom AG Registered Shares

     12         5,971   

Syngenta AG Registered Shares

     12         3,833   

Transocean Ltd.(a)

     239         3,055   

UBS Group AG Registered Shares

     415         7,649   

Vontobel Holding AG Registered Shares

     40         2,020   

Zurich Insurance Group AG*

     39         9,547   
     

 

 

 
Total Switzerland               200,043   
United Kingdom – 23.9%      

A.G.BARR PLC

     137         1,088   

Abcam PLC

     87         766   

 

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 International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Aberdeen Asset Management PLC

     211       $ 948   

Admiral Group PLC

     63         1,433   

Aggreko PLC

     31         447   

Al Noor Hospitals Group PLC

     43         543   

Amec Foster Wheeler PLC

     91         988   

Amlin PLC

     175         1,740   

Anglo American PLC

     372         3,104   

Antofagasta PLC

     59         447   

Ashmore Group PLC(a)

     150         560   

Associated British Foods PLC

     57         2,884   

AstraZeneca PLC

     296         18,748   

Aviva PLC

     476         3,259   

Babcock International Group PLC

     56         774   

BAE Systems PLC

     884         5,995   

Barclays PLC

     1,991         7,363   

BBA Aviation PLC

     168         681   

Bellway PLC

     17         640   

Berkeley Group Holdings PLC

     45         2,277   

Betfair Group PLC

     15         755   

BG Group PLC

     316         4,552   

BHP Billiton PLC

     674         10,260   

Big Yellow Group PLC

     74         812   

Bodycote PLC

     74         618   

Booker Group PLC

     313         877   

BP PLC

     6,678         33,786   

Brewin Dolphin Holdings PLC

     136         529   

British American Tobacco PLC

     491         27,095   

British Land Co. PLC (The)

     182         2,312   

Britvic PLC

     66         678   

BT Group PLC

     1,196         7,602   

Burberry Group PLC

     39         808   

Cable & Wireless Communications PLC

     1,141         957   

Capital & Counties Properties PLC

     153         1,007   

Carnival PLC

     21         1,089   

Centrica PLC

     1,407         4,885   

Close Brothers Group PLC

     34         769   

CNH Industrial N.V.

     194         1,261   

Compass Group PLC

     237         3,780   

Countrywide PLC

     71         540   

Cranswick PLC

     39         943   

Croda International PLC

     17         698   

Dechra Pharmaceuticals PLC

     87         1,237   

Derwent London PLC

     22         1,213   

Diageo PLC

     429         11,505   

Direct Line Insurance Group PLC

     354         2,010   

Domino’s Pizza Group PLC

     63         847   

Drax Group PLC

     112         414   

DS Smith PLC

     137         817   

Dunelm Group PLC

     85         1,159   

easyJet PLC

     93         2,503   

Electrocomponents PLC

     265         719   

Essentra PLC

     40         476   

esure Group PLC

     160         601   

Foxtons Group PLC

     174         625   
Investments    Shares      Value  

Genus PLC

     31       $ 667   

GlaxoSmithKline PLC

     1,737         33,310   

Greggs PLC

     53         871   

Halfords Group PLC

     75         525   

Halma PLC

     133         1,454   

Hammerson PLC

     138         1,303   

Hargreaves Lansdown PLC

     68         1,243   

Hays PLC

     385         894   

Hikma Pharmaceuticals PLC

     20         691   

HomeServe PLC

     185         1,137   

Howden Joinery Group PLC

     127         936   

HSBC Holdings PLC

     5,257         39,712   

Hunting PLC

     74         449   

ICAP PLC

     144         997   

IG Group Holdings PLC

     123         1,434   

IMI PLC

     37         532   

Imperial Tobacco Group PLC

     267         13,803   

Inchcape PLC

     80         871   

Informa PLC

     125         1,063   

Inmarsat PLC

     143         2,127   

Intertek Group PLC

     26         957   

Intu Properties PLC

     416         2,077   

Investec PLC

     69         528   

ITV PLC

     469         1,748   

J Sainsbury PLC

     435         1,720   

Jardine Lloyd Thompson Group PLC

     91         1,405   

John Wood Group PLC

     67         624   

Johnson Matthey PLC

     15         556   

Jupiter Fund Management PLC

     90         591   

Kingfisher PLC

     322         1,749   

Ladbrokes PLC

     305         442   

Land Securities Group PLC

     116         2,212   

Legal & General Group PLC

     1,349         4,865   

London Stock Exchange Group PLC

     20         733   

Man Group PLC

     263         610   

Marks & Spencer Group PLC

     278         2,110   

Meggitt PLC

     86         620   

Melrose Industries PLC

     162         648   

Michael Page International PLC

     129         926   

Micro Focus International PLC

     36         656   

Mondi PLC

     35         733   

Moneysupermarket.com Group PLC

     243         1,244   

National Grid PLC

     1,069         14,879   

Old Mutual PLC

     837         2,398   

Pearson PLC

     172         2,936   

Pennon Group PLC

     144         1,695   

Persimmon PLC*

     62         1,886   

Prudential PLC

     365         7,704   

PZ Cussons PLC

     148         651   

QinetiQ Group PLC

     177         605   

Reckitt Benckiser Group PLC

     110         9,976   

Redde PLC

     415         1,012   

RELX N.V.

     194         3,155   

RELX PLC

     227         3,892   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International Hedged Equity Fund (HDWM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Renishaw PLC

     20       $ 611   

Restaurant Group PLC (The)

     57         583   

Rexam PLC

     137         1,086   

Rightmove PLC

     13         718   

Rio Tinto PLC

     360         12,051   

Rolls-Royce Holdings PLC*

     199         2,041   

Rotork PLC

     172         429   

Royal Dutch Shell PLC Class A

     1,289         30,342   

Royal Dutch Shell PLC Class B

     796         18,846   

Royal Mail PLC

     218         1,515   

SABMiller PLC

     293         16,586   

Saga PLC

     397         1,236   

Sage Group PLC (The)

     179         1,354   

Savills PLC

     105         1,451   

Schroders PLC

     35         1,487   

Segro PLC

     179         1,165   

Severn Trent PLC

     71         2,349   

Sky PLC

     330         5,219   

Smith & Nephew PLC

     97         1,694   

Smiths Group PLC

     104         1,583   

Spectris PLC

     22         564   

Spirax-Sarco Engineering PLC

     17         721   

SSE PLC

     305         6,911   

St. James’s Place PLC

     76         979   

Stagecoach Group PLC

     128         655   

Standard Chartered PLC

     660         6,406   

Standard Life PLC

     408         2,397   

TalkTalk Telecom Group PLC(a)

     268         1,277   

Tate & Lyle PLC

     126         1,122   

Taylor Wimpey PLC

     749         2,218   

Ted Baker PLC

     13         632   

Telecity Group PLC

     39         643   

Telecom Plus PLC

     39         660   

Tullett Prebon PLC

     109         617   

Unilever N.V. CVA

     283         11,338   

Unilever PLC

     237         9,643   

United Utilities Group PLC

     180         2,522   

Vedanta Resources PLC

     183         1,179   

Victrex PLC

     28         752   

Vodafone Group PLC

     7,573         23,912   

Weir Group PLC (The)

     23         408   

WH Smith PLC

     68         1,611   

Whitbread PLC

     19         1,343   

William Hill PLC

     125         664   

WM Morrison Supermarkets PLC

     892         2,244   

WS Atkins PLC

     47         988   
     

 

 

 
Total United Kingdom               552,738   
TOTAL COMMON STOCKS
(Cost: $2,481,586)
              2,289,372   
RIGHTS – 0.0%      
China – 0.0%      

Fosun International Ltd., expiring 10/19/15*

     112         0   
Investments    Shares      Value  
Spain – 0.0%      

Banco Popular Espanol S.A., expiring 10/1/15*

     131      $ 3  
TOTAL RIGHTS
(Cost: $3)
              3  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.5%   
United States – 1.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $34,515)(d)      34,515         34,515   
TOTAL INVESTMENTS IN SECURITIES – 100.6%
(Cost: $2,516,104)
         2,323,890   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (0.6)%

        (15,004
     

 

 

 
NET ASSETS – 100.0%             $ 2,308,886   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (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, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $32,827 and the total market value of the collateral held by the Fund was $34,515.

CVA – Certificaten Van Aandelen (Certificate of Stock)

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.3%      
Australia – 6.5%      

Brambles Ltd.

     266,753       $ 1,824,568   

carsales.com Ltd.(a)

     92,995         638,037   

CSL Ltd.

     58,754         3,680,393   

Domino’s Pizza Enterprises Ltd.

     11,232         317,400   

Incitec Pivot Ltd.

     450,718         1,234,415   

JB Hi-Fi Ltd.(a)

     34,479         462,466   

M2 Group Ltd.

     51,951         346,220   

Platinum Asset Management Ltd.

     252,949         1,202,579   

Ramsay Health Care Ltd.

     28,946         1,188,539   

REA Group Ltd.(a)

     19,635         611,114   

Seek Ltd.(a)

     68,228         574,958   

Telstra Corp., Ltd.

     4,739,947         18,673,606   

TPG Telecom Ltd.

     71,559         545,740   
     

 

 

 
Total Australia               31,300,035   
Belgium – 0.1%      

Melexis N.V.

     8,065         372,166   
China – 2.3%      

China Everbright International Ltd.

     278,000         388,122   

China Overseas Land & Investment Ltd.

     1,418,000         4,281,418   

China South City Holdings Ltd.(a)

     2,656,000         647,717   

CITIC Telecom International Holdings Ltd.(a)

     701,000         239,695   

CSPC Pharmaceutical Group Ltd.

     804,000         704,403   

Fosun International Ltd.(a)

     545,000         935,284   

Guangdong Investment Ltd.

     1,460,000         2,170,205   

Guotai Junan International Holdings Ltd.(a)

     326,000         92,121   

Lenovo Group Ltd.

     1,600,000         1,348,120   
     

 

 

 
Total China               10,807,085   
Denmark – 4.4%      

Chr Hansen Holding A/S

     15,734         878,133   

Coloplast A/S Class B

     44,485         3,146,382   

Novo Nordisk A/S Class B

     270,003         14,471,264   

Novozymes A/S Class B

     23,505         1,023,096   

Pandora A/S

     11,690         1,362,587   
     

 

 

 
Total Denmark               20,881,462   
Finland – 1.7%      

Caverion Corp.

     47,132         470,343   

Kone Oyj Class B

     128,416         4,873,707   

Konecranes Oyj(a)

     25,624         639,558   

Uponor Oyj

     29,461         382,462   

Wartsila Oyj Abp

     44,891         1,777,386   
     

 

 

 
Total Finland               8,143,456   
France – 6.5%      

Bureau Veritas S.A.

     81,680         1,717,286   

Cie Generale des Etablissements Michelin

     31,197         2,835,341   

Dassault Systemes

     12,655         932,325   

Essilor International S.A.

     16,553         2,012,176   

Gaztransport Et Technigaz S.A.

     14,589         756,111   

Hermes International

     5,887         2,135,692   

Ingenico Group

     5,889         708,633   

L’Oreal S.A.

     65,447         11,327,207   
Investments    Shares      Value  

SEB S.A.

     6,830       $ 628,293   

Societe BIC S.A.

     8,016         1,241,962   

Societe Television Francaise 1

     28,704         402,112   

Sodexo S.A.

     21,141         1,746,299   

Tarkett S.A.

     16,714         389,931   

Teleperformance

     8,575         648,492   

Thales S.A.

     33,969         2,357,355   

Valeo S.A.

     7,842         1,057,001   

Zodiac Aerospace

     19,722         451,191   
     

 

 

 
Total France               31,347,407   
Germany – 6.9%      

Axel Springer SE

     29,671         1,653,363   

Brenntag AG

     27,769         1,492,977   

Continental AG

     20,811         4,416,074   

Duerr AG

     7,188         503,802   

Evonik Industries AG

     104,607         3,493,100   

Fielmann AG

     19,786         1,351,670   

Hugo Boss AG

     18,933         2,121,849   

Infineon Technologies AG

     129,976         1,458,836   

MTU Aero Engines AG

     9,736         812,803   

ProSiebenSat.1 Media SE

     59,115         2,892,874   

Rhoen Klinikum AG

     20,439         577,448   

SAP SE

     158,420         10,247,661   

Symrise AG

     13,454         807,820   

United Internet AG Registered Shares

     28,557         1,442,901   
     

 

 

 
Total Germany               33,273,178   
Hong Kong – 2.9%      

Chong Hing Bank Ltd.

     107,000         222,558   

Hong Kong Exchanges and Clearing Ltd.

     122,200         2,787,719   

Power Assets Holdings Ltd.

     617,000         5,819,666   

Techtronic Industries Co., Ltd.

     147,000         542,474   

Wharf Holdings Ltd. (The)

     822,000         4,613,777   
     

 

 

 
Total Hong Kong               13,986,194   
Indonesia – 0.0%      

Bumitama Agri Ltd.

     350,200         197,032   
Ireland – 0.3%      

Greencore Group PLC

     87,964         364,021   

Paddy Power PLC

     10,806         1,244,818   
     

 

 

 
Total Ireland               1,608,839   
Israel – 1.4%      

Bezeq Israeli Telecommunication Corp., Ltd.

     2,491,022         4,760,036   

Israel Chemicals Ltd.

     413,795         2,127,540   
     

 

 

 
Total Israel               6,887,576   
Italy – 2.0%      

De’ Longhi

     29,541         723,804   

Industria Macchine Automatiche SpA

     10,950         488,917   

Luxottica Group SpA

     77,820         5,385,726   

Pirelli & C. SpA

     89,342         1,492,928   

Recordati SpA

     52,639         1,212,183   

Salvatore Ferragamo SpA(a)

     13,958         371,286   
     

 

 

 
Total Italy               9,674,844   

 

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 International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Japan – 12.3%      

ABC-Mart, Inc.

     8,400       $ 467,115   

Astellas Pharma, Inc.

     302,900         3,907,490   

Bandai Namco Holdings, Inc.

     41,800         966,777   

Casio Computer Co., Ltd.(a)

     28,200         509,773   

Chugai Pharmaceutical Co., Ltd.

     64,700         1,979,923   

CyberAgent, Inc.(a)

     3,200         124,511   

Daikin Industries Ltd.

     25,400         1,415,859   

Daito Trust Construction Co., Ltd.

     21,700         2,196,906   

Fast Retailing Co., Ltd.(a)

     4,400         1,781,455   

Fuji Heavy Industries Ltd.

     78,700         2,814,446   

Hino Motors Ltd.(a)

     117,700         1,192,085   

Hoya Corp.

     51,100         1,665,289   

Isuzu Motors Ltd.

     105,100         1,048,675   

ITOCHU Corp.

     356,500         3,743,153   

Japan Tobacco, Inc.(a)

     348,300         10,745,781   

KDDI Corp.

     417,400         9,294,918   

Keyence Corp.

     1,700         755,146   

Koito Manufacturing Co., Ltd.

     11,500         373,043   

Kuraray Co., Ltd.

     68,200         846,200   

Minebea Co., Ltd.

     16,000         168,463   

Murata Manufacturing Co., Ltd.

     16,640         2,135,489   

Nexon Co., Ltd.

     32,300         427,466   

Nippon Paint Holdings Co., Ltd.(a)

     12,600         218,934   

Nitori Holdings Co., Ltd.

     5,600         437,190   

Nitto Denko Corp.

     17,600         1,047,050   

NOK Corp.

     15,100         324,404   

Omron Corp.

     28,900         865,082   

Sanrio Co., Ltd.

     15,100         410,391   

SCSK Corp.(a)

     15,100         564,209   

Shionogi & Co., Ltd.

     34,700         1,238,613   

Sundrug Co., Ltd.

     6,100         319,860   

Sysmex Corp.

     10,000         524,360   

Trend Micro, Inc.(a)

     36,300         1,277,539   

Unicharm Corp.

     24,000         423,630   

Yahoo Japan Corp.(a)

     773,700         2,932,909   
     

 

 

 
Total Japan               59,144,134   
Netherlands – 2.5%      

Aalberts Industries N.V.

     10,265         303,187   

ASML Holding N.V.

     26,429         2,305,826   

Euronext N.V.(b)

     15,951         678,382   

Heineken N.V.

     70,132         5,655,295   

Koninklijke Ahold N.V.

     163,597         3,179,328   
     

 

 

 
Total Netherlands               12,122,018   
New Zealand – 0.8%      

Fisher & Paykel Healthcare Corp., Ltd.

     141,158         641,121   

Mainfreight Ltd.

     21,687         210,179   

Ryman Healthcare Ltd.

     63,162         295,358   

Spark New Zealand Ltd.

     1,349,379         2,572,329   
     

 

 

 
Total New Zealand               3,718,987   
Norway – 1.9%      

Kongsberg Gruppen ASA

     34,717         500,608   
Investments    Shares      Value  

Telenor ASA

     267,508       $ 4,983,238   

Veidekke ASA

     38,128         425,755   

Wilh. Wilhelmsen ASA

     39,161         168,030   

Yara International ASA

     76,601         3,048,774   
     

 

 

 
Total Norway               9,126,405   
Portugal – 0.3%      

Jeronimo Martins, SGPS, S.A.

     91,460         1,229,700   
Singapore – 0.7%      

First Resources Ltd.(a)

     282,600         325,947   

M1 Ltd.

     531,500         1,054,104   

Raffles Medical Group Ltd.

     108,900         346,176   

Singapore Exchange Ltd.

     361,200         1,785,805   
     

 

 

 
Total Singapore               3,512,032   
Spain – 4.4%      

Abertis Infraestructuras S.A.(a)

     318,812         5,028,496   

Amadeus IT Holding S.A. Class A

     66,481         2,836,654   

Atresmedia Corp. de Medios de Comunicaion S.A.

     28,869         366,398   

Distribuidora Internacional de Alimentacion S.A.*

     94,587         570,463   

Industria de Diseno Textil S.A.

     356,499         11,910,400   

Prosegur Cia de Seguridad S.A.

     66,561         319,485   
     

 

 

 
Total Spain               21,031,896   
Sweden – 6.6%      

Alfa Laval AB

     95,070         1,551,807   

Assa Abloy AB Class B

     125,255         2,238,656   

Atlas Copco AB Class A

     160,975         3,859,769   

Axfood AB

     60,481         995,151   

Boliden AB

     29,767         464,230   

Getinge AB Class B

     20,896         464,408   

Hennes & Mauritz AB Class B

     318,733         11,617,515   

Hexagon AB Class B

     29,063         884,671   

Loomis AB Class B

     22,172         579,213   

Modern Times Group MTG AB Class B(a)

     22,832         585,565   

NCC AB Class B

     36,793         1,107,249   

Sandvik AB

     338,531         2,873,884   

SKF AB Class B

     95,267         1,745,851   

Tele2 AB Class B

     152,169         1,477,774   

Trelleborg AB Class B

     63,058         995,449   

Wihlborgs Fastigheter AB

     20,679         369,838   
     

 

 

 
Total Sweden               31,811,030   
Switzerland – 10.4%      

ABB Ltd. Registered Shares*

     464,437         8,185,043   

Actelion Ltd. Registered Shares*

     8,895         1,126,099   

Adecco S.A. Registered Shares*

     41,827         3,050,019   

Cie Financiere Richemont S.A. Registered Shares

     68,755         5,326,736   

Geberit AG Registered Shares

     7,125         2,170,825   

Georg Fischer AG Registered Shares

     1,179         666,664   

Leonteq AG*

     1,837         323,557   

Partners Group Holding AG

     6,662         2,251,689   

Roche Holding AG Genusschein

     96,293         25,327,296   

Sonova Holding AG Registered Shares

     8,031         1,030,690   

Straumann Holding AG Registered Shares

     2,447         701,844   
     

 

 

 
Total Switzerland               50,160,462   

 

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 International Hedged Quality Dividend Growth Fund (IHDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
United Kingdom – 24.4%      

Aggreko PLC

     46,686       $ 672,525   

ARM Holdings PLC

     77,308         1,109,544   

Ashmore Group PLC(a)

     317,776         1,186,531   

Ashtead Group PLC

     35,141         495,037   

AVEVA Group PLC

     9,399         289,868   

Babcock International Group PLC

     88,952         1,229,503   

BBA Aviation PLC

     171,286         694,562   

Bellway PLC

     24,306         915,283   

Berkeley Group Holdings PLC

     54,595         2,762,106   

Bodycote PLC

     94,459         788,381   

Booker Group PLC

     312,510         875,269   

Bovis Homes Group PLC

     35,938         548,181   

British American Tobacco PLC

     447,046         24,669,043   

Britvic PLC

     79,022         812,155   

Burberry Group PLC

     63,847         1,323,023   

Compass Group PLC

     289,223         4,613,198   

Crest Nicholson Holdings PLC

     58,753         508,168   

Croda International PLC

     28,697         1,177,569   

Daily Mail & General Trust PLC Class A Non-Voting Shares

     64,901         740,757   

Derwent London PLC

     8,255         455,030   

Drax Group PLC

     100,971         373,188   

Dunelm Group PLC

     46,427         632,928   

easyJet PLC

     89,554         2,410,534   

Essentra PLC

     47,871         569,949   

Fresnillo PLC

     21,257         190,457   

Galliford Try PLC

     32,923         790,940   

Go-Ahead Group PLC

     15,898         591,441   

Hargreaves Lansdown PLC

     102,602         1,875,876   

Hays PLC

     290,235         673,958   

Howden Joinery Group PLC

     95,468         703,528   

IMI PLC

     82,459         1,184,722   

Inmarsat PLC

     121,934         1,813,749   

Interserve PLC

     54,529         474,111   

ITV PLC

     496,765         1,851,088   

Melrose Industries PLC

     297,286         1,189,729   

Moneysupermarket.com Group PLC

     164,029         839,805   

N Brown Group PLC

     79,853         370,371   

Next PLC

     28,502         3,285,496   

Pace PLC

     45,180         246,713   

Reckitt Benckiser Group PLC

     133,902         12,143,315   

RELX N.V.

     217,813         3,542,458   

Renishaw PLC

     13,019         397,566   

Rightmove PLC

     7,630         421,619   

Smith & Nephew PLC

     135,341         2,363,740   

Taylor Wimpey PLC

     1,094,918         3,242,420   

Unilever N.V. CVA

     383,257         15,354,118   

Unilever PLC

     300,668         12,233,033   

Whitbread PLC

     20,876         1,476,111   
     

 

 

 
Total United Kingdom               117,108,696   
TOTAL COMMON STOCKS
(Cost: $520,285,702)
              477,444,634   
Investments    Shares      Value  
RIGHTS – 0.0%      
China – 0.0%      
Fosun International Ltd., expiring 10/19/15* (Cost $0)      57,680       $ 0   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.2%   
United States – 3.2%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $15,177,877)(d)      15,177,877         15,177,877   
TOTAL INVESTMENTS IN SECURITIES – 102.5%
(Cost: $535,463,579)
         492,622,511   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (2.5)%

        (12,067,796
     

 

 

 
NET ASSETS – 100.0%             $ 480,554,715   
* 

Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (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, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $14,768,279 and the total market value of the collateral held by the Fund was $15,606,006. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $428,129.

CVA – Certificaten Van Aandelen (Certificate of Stock)

 

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 Hedged SmallCap Dividend Fund (HDLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
EXCHANGE-TRADED FUND – 100.0%      
United States – 100.0%      

WisdomTree International SmallCap Dividend Fund(a)

     
(Cost: $3,646,422)      59,829       $ 3,300,766   
TOTAL INVESTMENTS IN SECURITIES – 100.0%
(Cost: $3,646,422)
         3,300,766   

Cash, Foreign Currency and Other Assets in Excess of Liabilities – 0.0%

        616   
     

 

 

 
NET ASSETS – 100.0%             $ 3,301,382   
(a) 

Affiliated company (See Note 7).

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      73   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International High Dividend Fund (DTH)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 10.8%      

Adelaide Brighton Ltd.

     56,739       $ 173,326   

AGL Energy Ltd.

     23,767         266,545   

ALS Ltd.(a)

     17,275         55,804   

Amcor Ltd.

     50,316         465,354   

AMP Ltd.

     111,850         436,720   

ASX Ltd.

     11,384         302,828   

Aurizon Holdings Ltd.

     75,032         263,983   

Australia & New Zealand Banking Group Ltd.

     136,577         2,597,276   

Bank of Queensland Ltd.

     25,548         208,296   

Bendigo & Adelaide Bank Ltd.

     34,716         241,599   

BHP Billiton Ltd.

     173,853         2,712,802   

Brickworks Ltd.

     17,165         187,201   

Cabcharge Australia Ltd.(a)

     36,326         76,275   

Cardno Ltd.(a)

     18,917         38,126   

CIMIC Group Ltd.

     20,527         338,755   

Coca-Cola Amatil Ltd.

     48,445         306,525   

Commonwealth Bank of Australia

     70,330         3,591,587   

DuluxGroup Ltd.

     32,159         120,823   

Fairfax Media Ltd.

     178,431         110,893   

Flight Centre Travel Group Ltd.(a)

     5,093         129,114   

Fortescue Metals Group Ltd.(a)

     190,554         243,546   

Harvey Norman Holdings Ltd.(a)

     31,456         85,709   

Incitec Pivot Ltd.

     83,808         229,531   

Insurance Australia Group Ltd.(a)

     149,461         508,002   

IOOF Holdings Ltd.

     17,691         106,221   

JB Hi-Fi Ltd.

     8,326         111,676   

Lend Lease Group

     22,473         198,060   

Macquarie Group Ltd.

     11,796         635,032   

McMillan Shakespeare Ltd.

     8,381         72,451   

Mineral Resources Ltd.(a)

     19,673         56,919   

National Australia Bank Ltd.

     132,036         2,779,815   

New Hope Corp., Ltd.

     41,554         51,505   

Orica Ltd.(a)

     21,750         229,720   

Origin Energy Ltd.

     37,123         159,025   

Platinum Asset Management Ltd.(a)

     22,630         107,588   

Primary Health Care Ltd.

     44,639         118,808   

Programmed Maintenance Services Ltd.(a)

     23,598         43,915   

Rio Tinto Ltd.

     24,101         822,552   

SAI Global Ltd.

     44,983         143,416   

Santos Ltd.(a)

     42,982         120,133   

Seven Group Holdings Ltd.(a)

     29,028         89,286   

Seven West Media Ltd.

     166,481         86,514   

Skilled Group Ltd.

     48,805         58,607   

Sonic Healthcare Ltd.

     18,506         237,174   

Suncorp Group Ltd.

     61,000         522,186   

Super Retail Group Ltd.(a)

     14,209         88,906   

Tabcorp Holdings Ltd.

     50,175         164,549   

Tatts Group Ltd.

     95,536         252,259   

Telstra Corp., Ltd.

     628,376         2,475,565   

Wesfarmers Ltd.

     58,836         1,620,476   

Westpac Banking Corp.

     156,150         3,256,794   

Woodside Petroleum Ltd.

     76,731         1,558,874   
Investments    Shares      Value  

Woolworths Ltd.(a)

     64,655       $ 1,127,835   

WorleyParsons Ltd.(a)

     19,513         80,985   
     

 

 

 
Total Australia               31,067,466   
Austria – 0.4%      

EVN AG

     15,184         167,017   

Oesterreichische Post AG

     3,855         132,020   

OMV AG

     19,203         465,790   

UNIQA Insurance Group AG

     18,062         156,253   

Vienna Insurance Group AG Wiener Versicherung Gruppe

     4,726         139,007   
     

 

 

 
Total Austria               1,060,087   
Belgium – 0.8%      

Ageas

     6,579         269,554   

Bekaert S.A.(a)

     4,667         122,554   

bpost S.A.

     9,070         214,941   

Cofinimmo S.A.

     1,337         140,810   

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

     2,962         143,826   

EVS Broadcast Equipment S.A.

     275         7,097   

Exmar N.V.

     9,222         85,358   

KBC Groep N.V.

     9,218         580,024   

Proximus

     20,995         723,225   
     

 

 

 
Total Belgium               2,287,389   
China – 3.9%      

China Jinmao Holdings Group Ltd.

     312,000         78,503   

China Mobile Ltd.

     636,000         7,533,474   

China Power International Development Ltd.(a)

     291,000         189,243   

China Resources Power Holdings Co., Ltd.

     192,000         438,005   

China South City Holdings Ltd.(a)

     332,000         80,965   

CNOOC Ltd.

     2,334,000         2,388,193   

Dah Chong Hong Holdings Ltd.(a)

     217,000         87,079   

Shanghai Industrial Holdings Ltd.

     45,000         99,290   

Shenzhen Investment Ltd.

     344,000         121,176   

Sino-Ocean Land Holdings Ltd.

     288,000         156,819   

Yuexiu Property Co., Ltd.

     878,000         143,878   
     

 

 

 
Total China               11,316,625   
Denmark – 0.2%      

TDC A/S

     66,689         342,962   

Tryg A/S

     15,911         308,542   
     

 

 

 
Total Denmark               651,504   
Finland – 1.7%      

Elisa Oyj

     12,931         436,202   

Fortum Oyj

     61,515         908,452   

Kemira Oyj

     9,367         107,905   

Kesko Oyj Class B

     4,663         164,793   

Kone Oyj Class B(a)

     15,448         586,290   

Metso Oyj(a)

     7,217         149,761   

Neste Oyj

     8,571         196,801   

Nokian Renkaat Oyj(a)

     6,596         212,858   

Orion Oyj Class B

     7,725         291,458   

Ramirent Oyj

     4,359         33,330   

Sampo Oyj Class A

     20,309         981,154   

Stora Enso Oyj Class R

     26,400         199,063   

 

See Notes to Financial Statements.

 

74   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, 2015

 

  

 

 

Investments    Shares      Value  

Tikkurila Oyj

     5,543       $ 91,883   

UPM-Kymmene Oyj

     37,275         557,550   
     

 

 

 
Total Finland               4,917,500   
France – 10.2%      

AXA S.A.

     84,581         2,042,636   

BNP Paribas S.A.

     29,033         1,700,128   

Bourbon S.A.(a)

     7,856         98,479   

Bouygues S.A.

     16,472         583,415   

Casino Guichard Perrachon S.A.

     4,449         235,894   

Cie de Saint-Gobain

     21,003         907,540   

CNP Assurances

     33,729         467,236   

Edenred

     7,466         121,634   

Electricite de France S.A.

     117,228         2,062,940   

Engie

     154,258         2,486,430   

Eutelsat Communications S.A.

     7,435         227,401   

Klepierre

     9,882         446,636   

Lagardere SCA

     3,873         106,957   

Metropole Television S.A.

     9,135         174,368   

Natixis S.A.

     63,917         352,384   

Neopost S.A.

     3,474         90,276   

Nexity S.A.

     4,006         172,227   

Orange S.A.

     125,121         1,888,288   

Rallye S.A.(a)

     6,097         99,705   

Rexel S.A.

     15,188         186,151   

Sanofi

     45,581         4,319,184   

SCOR SE

     3,690         131,992   

Suez Environnement Co.

     28,384         507,889   

Technip S.A.

     4,294         202,104   

Total S.A.

     138,124         6,198,070   

Vallourec S.A.

     5,955         52,620   

Veolia Environnement S.A.

     18,648         425,267   

Vinci S.A.

     24,571         1,555,406   

Vivendi S.A.

     63,984         1,509,149   
     

 

 

 
Total France               29,352,406   
Germany – 8.3%      

Allianz SE Registered Shares

     16,021         2,508,152   

Axel Springer SE

     4,448         247,857   

BASF SE

     31,261         2,384,032   

Bayerische Motoren Werke AG

     17,015         1,504,624   

Bilfinger SE(a)

     3,067         113,319   

Comdirect Bank AG

     11,142         126,238   

Daimler AG Registered Shares

     36,359         2,631,984   

Deutsche Boerse AG

     6,664         573,002   

Deutsche Post AG Registered Shares

     42,581         1,177,581   

Deutsche Telekom AG Registered Shares

     161,963         2,871,867   

Drillisch AG(a)

     3,878         205,662   

E.ON SE

     79,751         683,422   

Evonik Industries AG

     15,867         529,841   

Freenet AG

     10,736         353,949   

Hannover Rueck SE

     5,839         596,638   

Hugo Boss AG

     2,929         328,257   

K+S AG Registered Shares

     5,774         192,873   

MAN SE

     3,826         389,323   
Investments    Shares      Value  

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     6,740       $ 1,254,547   

ProSiebenSat.1 Media SE

     7,894         386,304   

RWE AG

     28,335         321,034   

Siemens AG Registered Shares

     31,478         2,808,876   

Suedzucker AG(a)

     12,182         220,834   

Talanx AG

     10,902         325,652   

Telefonica Deutschland Holding AG

     155,198         946,062   
     

 

 

 
Total Germany               23,681,930   
Hong Kong – 2.3%      

Bank of East Asia Ltd. (The)

     41,000         137,548   

BOC Hong Kong Holdings Ltd.

     347,547         1,020,212   

CLP Holdings Ltd.

     125,500         1,071,196   

Hang Lung Properties Ltd.

     85,000         190,399   

Hang Seng Bank Ltd.

     67,018         1,203,722   

Hopewell Holdings Ltd.

     54,000         183,250   

Hysan Development Co., Ltd.

     16,000         66,477   

Kowloon Development Co., Ltd.

     55,000         63,019   

New World Development Co., Ltd.

     252,666         244,514   

PCCW Ltd.

     352,380         180,508   

Power Assets Holdings Ltd.

     89,018         839,635   

Sino Land Co., Ltd.

     204,000         309,025   

SJM Holdings Ltd.(a)

     514,000         363,445   

Swire Pacific Ltd. Class B

     37,500         77,129   

Television Broadcasts Ltd.

     32,500         108,193   

Wharf Holdings Ltd. (The)

     76,000         426,578   
     

 

 

 
Total Hong Kong               6,484,850   
Israel – 0.6%      

Bezeq Israeli Telecommunication Corp., Ltd.

     368,387         703,942   

Delek Automotive Systems Ltd.

     19,631         183,811   

Gazit-Globe Ltd.

     11,665         116,802   

Harel Insurance Investments & Financial Services Ltd.

     24,467         101,486   

Israel Chemicals Ltd.

     46,453         238,840   

Matrix IT Ltd.

     12,028         70,760   

Migdal Insurance & Financial Holding Ltd.

     133,664         121,305   

Phoenix Holdings Ltd. (The)

     7,830         20,708   

Sella Capital Real Estate Ltd.

     45,577         66,921   

Shikun & Binui Ltd.

     28,405         51,601   
     

 

 

 
Total Israel               1,676,176   
Italy – 3.8%      

ACEA SpA

     16,269         219,376   

Assicurazioni Generali SpA

     36,392         664,585   

Atlantia SpA

     36,492         1,017,947   

Banca Generali SpA

     5,557         156,378   

Enel SpA

     344,563         1,533,858   

Eni SpA

     268,846         4,216,394   

ERG SpA

     14,000         195,344   

Hera SpA

     84,793         219,778   

MARR SpA

     5,416         102,654   

Mediolanum SpA(a)

     15,901         113,419   

Snam SpA

     227,098         1,164,570   

Societa Iniziative Autostradali e Servizi SpA

     24,530         274,911   

 

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 High Dividend Fund (DTH)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Telecom Italia SpA RSP

     256,506       $ 262,560   

Terna Rete Elettrica Nazionale SpA

     113,509         550,657   

Unipol Gruppo Finanziario SpA

     23,105         101,307   
     

 

 

 
Total Italy               10,793,738   
Japan – 3.8%      

Aozora Bank Ltd.

     62,000         214,320   

Asahi Holdings, Inc.(a)

     3,100         46,410   

Benesse Holdings, Inc.(a)

     2,600         69,361   

Canon, Inc.

     51,200         1,476,598   

Daihatsu Motor Co., Ltd.(a)

     14,100         162,586   

Daito Trust Construction Co., Ltd.

     2,200         222,728   

Daiwa Securities Group, Inc.

     61,000         392,032   

Dynam Japan Holdings Co., Ltd.

     66,400         82,250   

Fuji Corp., Ltd.(a)

     11,200         62,843   

Idec Corp.

     7,600         58,444   

ITOCHU Corp.(a)

     61,600         646,783   

Japan Pulp & Paper Co., Ltd.(a)

     25,000         67,215   

JX Holdings, Inc.(a)

     69,200         248,973   

Marubeni Corp.(a)

     65,800         320,745   

Matsui Securities Co., Ltd.(a)

     8,600         74,105   

Max Co., Ltd.

     7,000         65,754   

Mitsui & Co., Ltd.(a)

     70,000         783,493   

Mizuho Financial Group, Inc.(a)

     582,200         1,083,558   

Nippon Road Co., Ltd. (The)

     14,000         69,787   

Nippon Valqua Industries Ltd.

     25,000         60,118   

NTT DOCOMO, Inc.(a)

     134,700         2,241,532   

Ryoden Trading Co., Ltd.(a)

     9,000         59,817   

Sankyo Co., Ltd.(a)

     4,700         166,785   

Sanoh Industrial Co., Ltd.

     8,800         52,242   

Shinko Plantech Co., Ltd.

     7,400         59,996   

Showa Shell Sekiyu K.K.(a)

     15,800         124,141   

Space Co., Ltd.(a)

     6,700         70,936   

Sumitomo Corp.(a)

     46,200         444,390   

Systena Corp.

     7,700         70,658   

Takaoka Toko Co., Ltd.(a)

     5,300         60,185   

Takeda Pharmaceutical Co., Ltd.(a)

     25,500         1,115,046   

TonenGeneral Sekiyu K.K.

     19,000         183,551   
     

 

 

 
Total Japan               10,857,382   
Netherlands – 0.8%      

Aegon N.V.

     49,663         284,666   

Boskalis Westminster

     5,854         255,369   

Delta Lloyd N.V.

     12,675         106,156   

Koninklijke Ahold N.V.

     31,903         620,000   

Koninklijke DSM N.V.

     4,590         211,066   

Koninklijke Philips N.V.

     30,985         727,883   
     

 

 

 
Total Netherlands               2,205,140   
New Zealand – 0.8%      

Air New Zealand Ltd.

     70,653         110,958   

Auckland International Airport Ltd.

     88,131         275,122   

Contact Energy Ltd.

     43,169         136,695   

Fisher & Paykel Healthcare Corp., Ltd.

     47,508         215,775   

Fletcher Building Ltd.

     29,133         126,728   

Genesis Energy Ltd.(a)

     86,305         101,033   
Investments    Shares      Value  

Mighty River Power Ltd.

     132,217       $ 212,717   

Nuplex Industries Ltd.

     22,376         55,681   

Sky Network Television Ltd.(a)

     37,244         110,786   

SKYCITY Entertainment Group Ltd.

     44,296         105,977   

Spark New Zealand Ltd.

     226,385         431,559   

Trade Me Group Ltd.

     34,555         80,904   

Vector Ltd.

     115,997         233,740   
     

 

 

 
Total New Zealand               2,197,675   
Norway – 1.7%      

Aker ASA Class A

     6,749         117,098   

Aker Solutions ASA

     15,788         54,490   

Austevoll Seafood ASA

     25,659         159,429   

Gjensidige Forsikring ASA

     30,220         406,004   

Marine Harvest ASA*

     25,448         323,395   

Ocean Yield ASA

     13,082         99,687   

Orkla ASA

     52,211         386,227   

Salmar ASA

     13,018         205,266   

Statoil ASA

     172,884         2,515,229   

TGS Nopec Geophysical Co. ASA(a)

     6,327         116,675   

Yara International ASA

     12,946         515,260   
     

 

 

 
Total Norway               4,898,760   
Portugal – 0.5%      

EDP-Energias de Portugal S.A.

     234,958         857,891   

Galp Energia, SGPS, S.A.

     31,695         311,305   

Portucel S.A.

     68,052         235,485   
     

 

 

 
Total Portugal               1,404,681   
Singapore – 2.8%      

Asian Pay Television Trust

     390,700         215,697   

DBS Group Holdings Ltd.

     47,700         543,791   

Frasers Centrepoint Ltd.

     109,700         114,568   

Hutchison Port Holdings Trust(a)

     715,423         393,483   

Jardine Cycle & Carriage Ltd.

     11,444         217,467   

Keppel Corp., Ltd.(a)

     101,100         482,072   

M1 Ltd.

     41,200         81,710   

Olam International Ltd.

     86,500         122,885   

Oversea-Chinese Banking Corp., Ltd.

     95,447         590,041   

Pacc Offshore Services Holdings Ltd.

     216,500         48,724   

Religare Health Trust

     85,400         57,057   

SATS Ltd.

     90,400         243,500   

Sembcorp Industries Ltd.(a)

     65,600         159,629   

Sembcorp Marine Ltd.(a)

     129,400         208,401   

SIA Engineering Co., Ltd.(a)

     65,600         169,779   

Singapore Airlines Ltd.

     52,400         394,317   

Singapore Exchange Ltd.(a)

     40,200         198,752   

Singapore Post Ltd.(a)

     241,400         287,765   

Singapore Press Holdings Ltd.(a)

     102,800         277,623   

Singapore Technologies Engineering Ltd.

     155,000         324,847   

Singapore Telecommunications Ltd.

     702,000         1,777,340   

StarHub Ltd.

     100,800         245,283   

United Engineers Ltd.

     24,800         33,488   

United Overseas Bank Ltd.

     36,800         480,090   

Venture Corp., Ltd.

     44,200         257,696   

 

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 High Dividend Fund (DTH)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Wing Tai Holdings Ltd.

     53,400       $ 62,718   
     

 

 

 
Total Singapore               7,988,723   
Spain – 5.8%      

Abertis Infraestructuras S.A.

     47,789         753,757   

ACS Actividades de Construccion y Servicios S.A.

     19,084         547,368   

Banco Bilbao Vizcaya Argentaria S.A.

     229,106         1,938,505   

Banco Santander S.A.

     949,554         5,028,352   

Bolsas y Mercados Espanoles SHMSF S.A.(a)

     7,729         260,636   

CaixaBank S.A.

     236,234         908,433   

Enagas S.A.

     13,083         374,152   

Ferrovial S.A.

     21,175         504,405   

Gas Natural SDG S.A.

     54,176         1,054,061   

Mapfre S.A.

     101,765         265,245   

Red Electrica Corp. S.A.

     6,663         551,421   

Repsol S.A.

     84,739         984,680   

Tecnicas Reunidas S.A.

     2,603         114,873   

Telefonica S.A.

     276,341         3,340,682   
     

 

 

 
Total Spain               16,626,570   
Sweden – 4.0%      

Atlas Copco AB Class B

     12,007         267,711   

Axfood AB

     13,020         214,230   

Bilia AB Class A

     9,149         182,717   

Castellum AB

     16,160         226,782   

Elekta AB Class B(a)

     14,759         97,929   

Fabege AB

     22,717         332,343   

Hennes & Mauritz AB Class B

     55,016         2,005,281   

ICA Gruppen AB(a)

     7,446         251,247   

Mekonomen AB(a)

     4,816         111,398   

Modern Times Group MTG AB Class B(a)

     2,658         68,169   

Nordea Bank AB

     166,636         1,851,721   

Peab AB

     43,086         298,215   

Sandvik AB

     45,505         386,305   

Skanska AB Class B

     20,759         405,673   

SKF AB Class B

     12,180         223,209   

Svenska Handelsbanken AB Class A

     51,209         732,076   

Swedbank AB Class A

     50,031         1,102,978   

Swedish Match AB

     4,634         139,621   

Tele2 AB Class B

     14,306         138,931   

Telefonaktiebolaget LM Ericsson Class B

     116,084         1,137,719   

TeliaSonera AB

     250,696         1,346,284   
     

 

 

 
Total Sweden               11,520,539   
Switzerland – 9.5%      

ABB Ltd. Registered Shares*

     77,114         1,359,025   

Baloise Holding AG Registered Shares

     2,646         302,485   

BKW AG

     2,413         91,867   

Givaudan S.A. Registered Shares*

     248         402,293   

Kuehne + Nagel International AG Registered Shares

     6,148         787,770   

Nestle S.A. Registered Shares

     107,119         8,030,362   

Novartis AG Registered Shares

     82,489         7,547,351   

Partners Group Holding AG

     464         156,827   

Roche Holding AG Bearer Shares

     4,417         1,160,644   

SGS S.A. Registered Shares

     318         553,270   
Investments    Shares      Value  

STMicroelectronics N.V.(a)

     44,703       $ 303,889   

Sulzer AG Registered Shares(a)

     1,730         169,087   

Swiss Re AG

     29,651         2,536,919   

Swisscom AG Registered Shares

     2,591         1,289,268   

Transocean Ltd.(a)

     57,267         732,028   

Zurich Insurance Group AG*

     7,921         1,939,109   
     

 

 

 
Total Switzerland               27,362,194   
United Kingdom – 26.8%      

Aberdeen Asset Management PLC

     41,769         187,594   

Admiral Group PLC

     10,012         227,789   

Amec Foster Wheeler PLC

     19,778         214,654   

Amlin PLC

     35,879         356,793   

Anglo American PLC

     76,155         635,495   

Ashmore Group PLC(a)

     28,983         108,218   

AstraZeneca PLC

     53,763         3,405,309   

Aviva PLC

     91,078         623,581   

BAE Systems PLC

     176,988         1,200,250   

BBA Aviation PLC

     29,149         118,199   

Berendsen PLC

     13,083         198,769   

Berkeley Group Holdings PLC

     7,587         383,846   

BHP Billiton PLC

     124,953         1,902,189   

BP PLC

     1,187,797         6,009,379   

British American Tobacco PLC

     89,023         4,912,497   

British Land Co. PLC (The)

     25,670         326,039   

Cable & Wireless Communications PLC

     212,463         178,293   

Carillion PLC(a)

     37,403         170,932   

Centrica PLC

     266,573         925,490   

Cobham PLC

     26,194         113,358   

Dairy Crest Group PLC

     12,515         115,354   

De La Rue PLC

     10,528         76,826   

Debenhams PLC

     109,213         130,690   

Devro PLC

     8,726         38,992   

Diageo PLC

     71,501         1,917,560   

Direct Line Insurance Group PLC

     53,072         301,385   

DS Smith PLC

     15,787         94,195   

easyJet PLC

     8,614         231,864   

Electrocomponents PLC

     33,896         91,957   

Evraz PLC*

     61,116         67,488   

G4S PLC

     62,819         219,523   

GlaxoSmithKline PLC

     301,564         5,783,013   

Greene King PLC

     14,129         170,252   

Halfords Group PLC

     22,898         160,174   

HSBC Holdings PLC

     798,006         6,028,183   

ICAP PLC

     43,199         299,172   

IG Group Holdings PLC

     16,523         192,592   

Imperial Tobacco Group PLC

     50,126         2,591,435   

Infinis Energy PLC

     21,934         44,687   

Inmarsat PLC

     15,380         228,775   

Interserve PLC

     19,114         166,190   

Intu Properties PLC

     23,027         114,965   

Investec PLC

     37,551         287,530   

J Sainsbury PLC(a)

     108,762         429,990   

Kier Group PLC

     11,186         228,744   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      77   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International High Dividend Fund (DTH)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Kingfisher PLC

     40,886       $ 222,088   

Ladbrokes PLC

     69,845         101,248   

Laird PLC

     31,954         182,235   

Legal & General Group PLC

     240,824         868,561   

Man Group PLC

     76,693         177,974   

Marks & Spencer Group PLC

     67,655         513,427   

Marston’s PLC

     39,842         90,466   

Meggitt PLC

     13,547         97,718   

Melrose Industries PLC

     30,700         122,861   

Moneysupermarket.com Group PLC

     19,870         101,732   

N Brown Group PLC

     12,466         57,819   

National Grid PLC

     204,509         2,846,568   

Next PLC

     2,407         277,461   

Old Mutual PLC

     187,806         537,950   

Pearson PLC

     39,083         667,195   

Pennon Group PLC

     20,183         237,546   

Persimmon PLC*

     16,578         504,239   

Premier Farnell PLC

     43,121         68,420   

RELX N.V.

     44,367         721,574   

Rexam PLC

     28,264         224,126   

Rio Tinto PLC

     65,712         2,199,773   

Royal Dutch Shell PLC Class A

     233,740         5,502,056   

Royal Mail PLC

     25,892         179,941   

SABMiller PLC

     49,786         2,818,196   

Segro PLC

     44,548         289,823   

Severn Trent PLC

     12,074         399,434   

Sky PLC

     57,519         909,605   

Smiths Group PLC

     12,643         192,467   

Soco International PLC

     31,048         74,190   

SSE PLC

     58,020         1,314,771   

Standard Chartered PLC

     92,771         900,483   

Standard Life PLC

     68,071         399,863   

TalkTalk Telecom Group PLC(a)

     37,915         180,623   

Tate & Lyle PLC

     26,503         236,055   

Taylor Wimpey PLC

     148,578         439,989   

Unilever N.V. CVA

     57,949         2,321,564   

Unilever PLC

     44,397         1,806,344   

United Utilities Group PLC

     37,665         527,741   

Vedanta Resources PLC(a)

     33,468         215,558   

Vodafone Group PLC

     1,372,976         4,335,166   

William Hill PLC

     31,908         169,551   

WM Morrison Supermarkets PLC

     178,834         449,946   
     

 

 

 
Total United Kingdom               76,694,557   

TOTAL COMMON STOCKS

(Cost: $316,831,412)

              285,045,892   
EXCHANGE-TRADED FUND – 0.0%      
United States – 0.0%      

WisdomTree International LargeCap Dividend Fund(a)(b)

     
(Cost: $76,637)      1,624         68,987   
Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 6.1%   
United States – 6.1%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $17,297,275)(d)      17,297,275       $ 17,297,275   
TOTAL INVESTMENTS IN SECURITIES – 105.6%
(Cost: $334,205,324)
         302,412,154   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (5.6)%

        (16,025,852
     

 

 

 
NET ASSETS – 100.0%             $ 286,386,302   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $16,735,713 and the total market value of the collateral held by the Fund was $17,666,084. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $368,809.

CVA – Certificaten Van Aandelen (Certificate of Stock)

RSP – Risparmio Italian Savings Shares

 

See Notes to Financial Statements.

 

78   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, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 7.3%      

AMP Ltd.

     129,586       $ 505,970   

Australia & New Zealand Banking Group Ltd.

     149,174         2,836,832   

BHP Billiton Ltd.

     179,180         2,795,924   

Brambles Ltd.

     53,966         369,123   

Commonwealth Bank of Australia

     79,893         4,079,946   

CSL Ltd.

     10,287         644,385   

Macquarie Group Ltd.

     15,157         815,969   

National Australia Bank Ltd.

     145,722         3,067,952   

QBE Insurance Group Ltd.

     36,581         331,131   

Rio Tinto Ltd.

     22,237         758,935   

Telstra Corp., Ltd.

     688,299         2,711,639   

Wesfarmers Ltd.

     56,876         1,566,493   

Westpac Banking Corp.

     173,293         3,614,343   

Woodside Petroleum Ltd.

     78,399         1,592,762   

Woolworths Ltd.(a)

     67,558         1,178,475   
     

 

 

 
Total Australia               26,869,879   
Belgium – 1.5%      

Anheuser-Busch InBev N.V.

     51,810         5,489,498   
China – 3.3%      

China Mobile Ltd.

     679,986         8,054,492   

China Overseas Land & Investment Ltd.

     244,000         736,718   

China Unicom Hong Kong Ltd.

     621,522         786,721   

CNOOC Ltd.

     2,495,529         2,553,473   
     

 

 

 
Total China               12,131,404   
Denmark – 1.1%      

AP Moeller – Maersk A/S Class B

     300         461,003   

Coloplast A/S Class B

     7,627         539,451   

Danske Bank A/S

     30,793         928,409   

Novo Nordisk A/S Class B

     40,042         2,146,118   
     

 

 

 
Total Denmark               4,074,981   
Finland – 1.0%      

Fortum Oyj

     66,111         976,326   

Kone Oyj Class B

     21,441         813,739   

Nokia Oyj

     76,840         523,642   

Sampo Oyj Class A

     26,404         1,275,611   
     

 

 

 
Total Finland               3,589,318   
France – 11.3%      

Air Liquide S.A.

     9,177         1,082,260   

Airbus Group SE

     17,453         1,030,787   

AXA S.A.

     94,461         2,281,239   

BNP Paribas S.A.

     31,234         1,829,015   

Carrefour S.A.

     19,023         561,438   

Christian Dior SE

     3,342         623,181   

Cie de Saint-Gobain

     19,160         827,904   

Cie Generale des Etablissements Michelin

     5,419         492,506   

Credit Agricole S.A.

     66,220         758,030   

Danone S.A.

     17,433         1,097,909   

Electricite de France S.A.

     119,509         2,103,080   

Engie

     148,239         2,389,412   

Essilor International S.A.

     3,399         413,181   
Investments    Shares      Value  

Kering

     3,451       $ 562,418   

L’Oreal S.A.

     10,061         1,741,302   

Legrand S.A.

     7,816         413,852   

LVMH Moet Hennessy Louis Vuitton SE

     11,084         1,883,096   

Natixis S.A.

     109,238         602,246   

Orange S.A.

     126,899         1,915,121   

Pernod Ricard S.A.

     4,813         484,493   

Publicis Groupe S.A.

     5,547         377,578   

Renault S.A.

     6,807         486,292   

Safran S.A.

     10,493         788,272   

Sanofi

     45,481         4,309,708   

Schneider Electric SE

     19,230         1,073,489   

Societe Generale S.A.

     21,304         947,656   

Sodexo S.A.

     4,622         381,789   

Total S.A.(a)

     138,102         6,197,083   

Unibail-Rodamco SE

     2,712         700,207   

Vinci S.A.

     22,569         1,428,674   

Vivendi S.A.

     66,739         1,574,130   
     

 

 

 
Total France               41,357,348   
Germany – 8.2%      

adidas AG

     5,837         469,185   

Allianz SE Registered Shares

     20,542         3,215,932   

BASF SE

     34,829         2,656,135   

Bayer AG Registered Shares

     16,425         2,098,372   

Bayerische Motoren Werke AG

     19,241         1,701,468   

Continental AG

     3,850         816,966   

Daimler AG Registered Shares

     34,882         2,525,066   

Deutsche Bank AG Registered Shares

     34,602         929,691   

Deutsche Boerse AG

     7,993         687,276   

Deutsche Post AG Registered Shares

     45,669         1,262,980   

Deutsche Telekom AG Registered Shares

     168,523         2,988,187   

E.ON SE

     88,386         757,419   

Evonik Industries AG

     18,120         605,074   

Fresenius Medical Care AG & Co. KGaA

     5,945         463,333   

Linde AG

     4,619         747,356   

MAN SE

     6,078         618,481   

Merck KGaA

     6,552         578,438   

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     7,635         1,421,138   

SAP SE

     24,965         1,614,902   

Siemens AG Registered Shares

     33,846         3,020,180   

Volkswagen AG(a)

     7,125         834,696   
     

 

 

 
Total Germany               30,012,275   
Hong Kong – 2.6%      

AIA Group Ltd.

     126,600         654,232   

BOC Hong Kong Holdings Ltd.

     371,215         1,089,689   

CLP Holdings Ltd.

     113,000         964,503   

Hang Lung Properties Ltd.

     162,000         362,878   

Hang Seng Bank Ltd.

     70,895         1,273,357   

Henderson Land Development Co., Ltd.

     75,709         450,343   

Hong Kong & China Gas Co., Ltd.

     275,100         515,410   

Hong Kong Exchanges and Clearing Ltd.

     18,000         410,630   

MTR Corp., Ltd.

     195,000         845,414   

 

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 LargeCap Dividend Fund (DOL)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Power Assets Holdings Ltd.

     90,500       $ 853,614   

Sun Hung Kai Properties Ltd.

     75,442         978,306   

Swire Properties Ltd.

     171,200         472,730   

Wharf Holdings Ltd. (The)

     112,000         628,641   
     

 

 

 
Total Hong Kong               9,499,747   
Ireland – 0.1%      

CRH PLC

     6,859         179,924   
Israel – 0.4%      

Teva Pharmaceutical Industries Ltd.

     23,661         1,353,384   
Italy – 3.1%      

Assicurazioni Generali SpA

     47,405         865,703   

Atlantia SpA

     35,111         979,424   

Enel SpA

     332,745         1,481,249   

Eni SpA

     267,788         4,199,801   

Intesa Sanpaolo SpA

     341,378         1,202,635   

Luxottica Group SpA

     13,546         937,485   

Snam SpA

     215,977         1,107,541   

UniCredit SpA

     106,190         660,237   
     

 

 

 
Total Italy               11,434,075   
Japan – 11.0%      

Astellas Pharma, Inc.

     52,300         674,684   

Bridgestone Corp.

     24,700         850,935   

Canon, Inc.

     60,900         1,756,345   

Dai-ichi Life Insurance Co., Ltd. (The)(a)

     19,500         308,298   

Daiwa Securities Group, Inc.

     65,000         417,739   

Denso Corp.(a)

     19,000         798,931   

East Japan Railway Co.

     6,300         528,923   

Eisai Co., Ltd.

     6,200         363,929   

FANUC Corp.

     6,700         1,024,594   

Fast Retailing Co., Ltd.(a)

     1,000         404,876   

Fuji Heavy Industries Ltd.

     15,400         550,730   

Hitachi Ltd.

     96,000         481,663   

Honda Motor Co., Ltd.(a)

     42,800         1,264,720   

Hoya Corp.

     12,300         400,842   

ITOCHU Corp.(a)

     55,800         585,885   

Japan Tobacco, Inc.

     54,009         1,666,290   

Kao Corp.

     11,100         500,758   

KDDI Corp.

     63,500         1,414,057   

Komatsu Ltd.(a)

     27,900         408,256   

Kubota Corp.(a)

     25,000         341,398   

Kyocera Corp.

     10,600         483,246   

Mitsubishi Corp.(a)

     50,400         822,080   

Mitsubishi Electric Corp.

     46,000         418,653   

Mitsubishi Heavy Industries Ltd.(a)

     65,000         288,949   

Mitsubishi UFJ Financial Group, Inc.

     299,400         1,790,925   

Mitsui & Co., Ltd.(a)

     77,200         864,081   

Mizuho Financial Group, Inc.(a)

     717,298         1,334,995   

MS&AD Insurance Group Holdings, Inc.

     16,500         439,899   

Murata Manufacturing Co., Ltd.

     3,400         436,338   

Nippon Steel & Sumitomo Metal Corp.(a)

     22,100         400,149   

Nippon Telegraph & Telephone Corp.

     55,300         1,929,140   

Nissan Motor Co., Ltd.(a)

     135,600         1,238,646   
Investments    Shares      Value  

Nomura Holdings, Inc.(a)

     101,400       $ 582,585   

NTT DOCOMO, Inc.(a)

     141,600         2,356,355   

Panasonic Corp.(a)

     37,700         378,841   

Seven & I Holdings Co., Ltd.

     16,300         740,928   

Shin-Etsu Chemical Co., Ltd.

     9,500         485,054   

SoftBank Group Corp.(a)

     7,600         347,557   

Sumitomo Corp.(a)

     53,700         516,532   

Sumitomo Mitsui Financial Group, Inc.(a)

     36,800         1,386,395   

Sumitomo Mitsui Trust Holdings, Inc.(a)

     113,000         412,693   

Takeda Pharmaceutical Co., Ltd.(a)

     29,200         1,276,837   

Tokio Marine Holdings, Inc.

     18,900         700,988   

Toyota Motor Corp.

     92,400         5,378,202   

Yahoo Japan Corp.(a)

     133,200         504,929   
     

 

 

 
Total Japan               40,258,850   
Netherlands – 1.0%      

Aegon N.V.

     75,230         431,214   

Akzo Nobel N.V.

     7,723         499,920   

ASML Holding N.V.(a)

     5,182         452,109   

Heineken N.V.

     11,117         896,451   

Koninklijke Ahold N.V.

     29,989         582,804   

Koninklijke Philips N.V.

     37,778         887,461   
     

 

 

 
Total Netherlands               3,749,959   
Norway – 1.2%      

DNB ASA

     52,170         677,048   

Statoil ASA

     179,044         2,604,849   

Telenor ASA

     41,438         771,922   

Yara International ASA

     5,594         222,645   
     

 

 

 
Total Norway               4,276,464   
Portugal – 0.2%      

EDP-Energias de Portugal S.A.

     224,898         821,159   
Singapore – 1.2%      

DBS Group Holdings Ltd.

     67,800         772,936   

Oversea-Chinese Banking Corp., Ltd.(a)

     127,255         786,674   

Singapore Telecommunications Ltd.

     732,900         1,855,573   

United Overseas Bank Ltd.

     50,800         662,733   

Wilmar International Ltd.

     136,800         247,258   
     

 

 

 
Total Singapore               4,325,174   
Spain – 5.4%      

Abertis Infraestructuras S.A.

     43,507         686,219   

Amadeus IT Holding S.A. Class A

     13,561         578,629   

Banco Bilbao Vizcaya Argentaria S.A.

     228,366         1,932,244   

Banco Santander S.A.

     1,066,296         5,646,558   

CaixaBank S.A.

     221,672         852,436   

Endesa S.A.

     27,415         576,541   

Ferrovial S.A.

     35,633         848,805   

Gas Natural SDG S.A.

     43,258         841,638   

Iberdrola S.A.

     174,498         1,158,376   

Industria de Diseno Textil S.A.

     59,047         1,972,722   

Repsol S.A.

     81,693         949,286   

Telefonica S.A.

     292,612         3,537,381   
     

 

 

 
Total Spain               19,580,835   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International LargeCap Dividend Fund (DOL)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Sweden – 3.4%      

Assa Abloy AB Class B

     21,818       $ 389,949   

Atlas Copco AB Class A

     25,029         600,132   

Hennes & Mauritz AB Class B

     53,037         1,933,148   

Nordea Bank AB

     201,823         2,242,732   

Sandvik AB

     50,847         431,654   

Skandinaviska Enskilda Banken AB Class A

     92,673         987,276   

Svenska Cellulosa AB SCA Class B(a)

     16,393         456,976   

Svenska Handelsbanken AB Class A

     59,798         854,863   

Swedbank AB Class A

     59,895         1,320,439   

Telefonaktiebolaget LM Ericsson Class B

     132,580         1,299,393   

TeliaSonera AB

     274,863         1,476,065   

Volvo AB Class B

     48,235         460,665   
     

 

 

 
Total Sweden               12,453,292   
Switzerland – 10.4%      

ABB Ltd. Registered Shares*

     68,303         1,203,743   

Adecco S.A. Registered Shares*

     6,892         502,564   

Cie Financiere Richemont S.A. Registered Shares

     11,863         919,076   

Credit Suisse Group AG Registered Shares*(a)

     40,430         969,062   

Givaudan S.A. Registered Shares*

     410         665,080   

Kuehne + Nagel International AG Registered Shares

     8,080         1,035,325   

LafargeHolcim Ltd. Registered Shares*

     17,206         898,952   

Nestle S.A. Registered Shares

     110,535         8,286,449   

Novartis AG Registered Shares

     82,153         7,516,609   

Roche Holding AG Bearer Shares

     4,346         1,141,987   

Roche Holding AG Genusschein

     23,400         6,154,744   

SGS S.A. Registered Shares

     338         588,067   

Swiss Re AG

     29,216         2,499,701   

Swisscom AG Registered Shares

     2,443         1,215,624   

Syngenta AG Registered Shares

     2,956         944,190   

UBS Group AG Registered Shares

     92,117         1,697,909   

Zurich Insurance Group AG*

     8,150         1,995,169   
     

 

 

 
Total Switzerland               38,234,251   
United Kingdom – 25.8%      

Anglo American PLC

     94,559         789,072   

Associated British Foods PLC

     12,319         623,251   

AstraZeneca PLC

     64,016         4,054,726   

Aviva PLC

     115,697         792,139   

BAE Systems PLC

     199,156         1,350,583   

Barclays PLC

     427,734         1,581,872   

BG Group PLC

     73,738         1,062,216   

BHP Billiton PLC

     157,089         2,391,403   

BP PLC

     1,457,847         7,375,634   

British American Tobacco PLC

     106,266         5,864,006   

BT Group PLC

     267,744         1,701,752   

Centrica PLC

     317,781         1,103,274   

Compass Group PLC

     61,907         987,436   

Diageo PLC

     94,552         2,535,757   

GlaxoSmithKline PLC

     377,035         7,230,300   

HSBC Holdings PLC

     1,072,934         8,105,005   

Imperial Tobacco Group PLC

     61,081         3,157,791   

Legal & General Group PLC

     303,015         1,092,860   
Investments    Shares      Value  

National Grid PLC

     241,204       $ 3,357,327   

Next PLC

     6,340         730,827   

Old Mutual PLC

     246,212         705,248   

Pearson PLC

     45,299         773,310   

Prudential PLC

     67,767         1,430,429   

Reckitt Benckiser Group PLC

     22,988         2,084,737   

RELX N.V.

     46,670         759,029   

RELX PLC

     47,843         820,362   

Rio Tinto PLC

     83,481         2,794,608   

Rolls-Royce Holdings PLC*

     52,873         542,205   

Royal Dutch Shell PLC Class A

     281,026         6,615,131   

Royal Dutch Shell PLC Class B

     176,768         4,185,078   

SABMiller PLC

     64,043         3,625,231   

Sky PLC

     74,639         1,180,340   

SSE PLC

     67,037         1,519,103   

Standard Chartered PLC

     136,993         1,329,725   

Standard Life PLC

     99,826         586,398   

Unilever N.V. CVA

     59,044         2,365,432   

Unilever PLC

     50,358         2,048,875   

Vodafone Group PLC

     1,680,579         5,306,422   
     

 

 

 
Total United Kingdom               94,558,894   
TOTAL COMMON STOCKS
(Cost: $388,679,483)
              364,250,711   
EXCHANGE-TRADED FUND – 0.1%      
United States – 0.1%      

WisdomTree International MidCap Dividend Fund(a)(b)

     
(Cost: $288,219)      4,862         258,221   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 4.5%   
United States – 4.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $16,731,295)(d)      16,731,295         16,731,295   
TOTAL INVESTMENTS IN SECURITIES – 104.1%
(Cost: $405,698,997)
         381,240,227   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (4.1)%

        (15,164,767
     

 

 

 
NET ASSETS – 100.0%             $ 366,075,460   
* 

Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Affiliated company (See Note 7).

 

(c)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $15,908,190 and the total market value of the collateral held by the Fund was $16,738,327. The total market value of the collateral includes non-cash U.S. Government Agencies securities collateral having a value of $7,032.

CVA – Certificaten Van Aandelen (Certificate of Stock)

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      81   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
Australia – 7.3%      

AGL Energy Ltd.

     41,637       $ 466,956   

Amcor Ltd.

     63,932         591,284   

Ansell Ltd.

     8,550         112,579   

Aristocrat Leisure Ltd.

     15,556         94,057   

Asciano Ltd.

     24,219         142,866   

ASX Ltd.

     16,843         448,045   

Aurizon Holdings Ltd.

     126,788         446,075   

Bank of Queensland Ltd.

     40,804         332,680   

Bendigo & Adelaide Bank Ltd.

     46,761         325,424   

Boral Ltd.

     18,295         67,707   

Caltex Australia Ltd.

     11,085         243,497   

Challenger Ltd.

     21,065         105,621   

CIMIC Group Ltd.(a)

     30,472         502,876   

Coca-Cola Amatil Ltd.

     62,142         393,189   

Cochlear Ltd.

     2,920         171,161   

Computershare Ltd.

     26,239         195,135   

Crown Resorts Ltd.

     41,664         289,660   

Echo Entertainment Group Ltd.

     4,838         16,444   

Flight Centre Travel Group Ltd.(a)

     7,389         187,320   

Fortescue Metals Group Ltd.(a)

     295,442         377,603   

Harvey Norman Holdings Ltd.

     69,584         189,598   

Iluka Resources Ltd.

     11,123         48,507   

Incitec Pivot Ltd.

     92,635         253,706   

Insurance Australia Group Ltd.(a)

     285,655         970,910   

Lend Lease Group

     39,811         350,864   

Orica Ltd.(a)

     28,589         301,953   

Origin Energy Ltd.

     60,913         260,935   

Platinum Asset Management Ltd.(a)

     55,386         263,318   

Ramsay Health Care Ltd.

     5,963         244,844   

REA Group Ltd.

     5,532         172,176   

Santos Ltd.(a)

     53,382         149,200   

Seek Ltd.(a)

     17,471         147,228   

Sonic Healthcare Ltd.

     25,624         328,399   

Suncorp Group Ltd.

     114,340         978,800   

Tabcorp Holdings Ltd.

     26,604         87,248   

Tatts Group Ltd.

     109,992         290,430   

TPG Telecom Ltd.

     6,388         48,718   

Treasury Wine Estates Ltd.

     26,899         123,917   
     

 

 

 
Total Australia               10,720,930   
Austria – 1.3%      

Andritz AG

     4,121         185,106   

Oesterreichische Post AG

     4,181         143,185   

OMV AG

     25,493         618,361   

UNIQA Insurance Group AG

     22,153         191,644   

Verbund AG(a)

     17,249         228,547   

Vienna Insurance Group AG Wiener Versicherung Gruppe

     8,279         243,512   

Voestalpine AG

     8,153         279,394   
     

 

 

 
Total Austria               1,889,749   
Belgium – 2.4%      

Ackermans & van Haaren N.V.

     457         66,827   
Investments    Shares      Value  

Ageas

     17,873       $ 732,291   

bpost S.A.

     18,769         444,787   

Cie d’Entreprises CFE

     365         46,142   

Colruyt S.A.

     6,439         309,279   

Delhaize Group

     4,144         365,896   

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

     4,102         199,180   

Proximus

     25,106         864,838   

Solvay S.A.

     3,060         311,582   

Umicore S.A.

     5,747         220,968   
     

 

 

 
Total Belgium               3,561,790   
China – 2.5%      

Beijing Enterprises Holdings Ltd.

     25,200         151,036   

China Everbright International Ltd.

     52,000         72,598   

China Jinmao Holdings Group Ltd.

     745,242         187,511   

China Merchants Holdings International Co., Ltd.

     113,197         332,286   

China Power International Development Ltd.(a)

     331,000         215,255   

China Resources Enterprise Ltd.

     34,000         63,086   

China Resources Power Holdings Co., Ltd.

     264,000         602,257   

China South City Holdings Ltd.(a)

     652,000         159,003   

CSPC Pharmaceutical Group Ltd.

     102,000         89,365   

Guangdong Investment Ltd.

     300,208         446,242   

Guotai Junan International Holdings Ltd.(a)

     134,000         37,866   

Shanghai Industrial Holdings Ltd.

     48,500         107,012   

Shenzhen Investment Ltd.

     366,000         128,926   

Sino-Ocean Land Holdings Ltd.

     633,464         344,929   

Sun Art Retail Group Ltd.(a)

     485,000         372,352   

Yangzijiang Shipbuilding Holdings Ltd.

     219,100         174,892   

Yuexiu Property Co., Ltd.

     626,000         102,582   
     

 

 

 
Total China               3,587,198   
Denmark – 1.4%      

Carlsberg A/S Class B

     2,509         192,401   

Chr Hansen Holding A/S

     3,381         188,698   

ISS A/S

     4,731         156,797   

Pandora A/S

     3,430         399,801   

Sydbank A/S

     2,258         85,782   

TDC A/S

     72,306         371,849   

Tryg A/S

     22,184         430,187   

Vestas Wind Systems A/S

     4,300         223,002   
     

 

 

 
Total Denmark               2,048,517   
Finland – 2.0%      

Amer Sports Oyj

     641         16,271   

Elisa Oyj

     13,296         448,515   

Huhtamaki Oyj

     1,009         30,759   

Metso Oyj

     7,849         162,875   

Neste Oyj(a)

     15,310         351,537   

Nokian Renkaat Oyj(a)

     10,025         323,515   

Orion Oyj Class B

     7,260         273,914   

Stora Enso Oyj Class R

     40,362         304,340   

UPM-Kymmene Oyj

     43,036         643,721   

Wartsila Oyj Abp

     8,519         337,296   
     

 

 

 
Total Finland               2,892,743   

 

See Notes to Financial Statements.

 

82   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, 2015

 

  

 

 

Investments    Shares      Value  
France – 7.2%      

Accor S.A.

     7,999       $ 372,870   

Aeroports de Paris

     3,265         369,376   

Arkema S.A.

     2,649         170,970   

Atos SE

     1,955         149,573   

Bouygues S.A.

     23,623         836,693   

Bureau Veritas S.A.

     13,189         277,293   

Casino Guichard Perrachon S.A.

     7,077         375,236   

CNP Assurances

     52,218         723,358   

Edenred

     11,891         193,724   

Eiffage S.A.

     5,022         310,001   

Eurazeo S.A.

     1,813         120,414   

Eutelsat Communications S.A.

     13,141         401,921   

Groupe Eurotunnel SE Registered Shares

     9,084         123,404   

Havas S.A.

     14,991         121,989   

Imerys S.A.

     2,727         174,696   

Ingenico Group

     1,070         128,755   

Ipsen S.A.

     3,684         227,819   

JCDecaux S.A.

     6,509         235,371   

Korian S.A.

     472         17,745   

Lagardere SCA

     11,357         313,635   

Plastic Omnium S.A.

     4,276         97,609   

Remy Cointreau S.A.

     1,805         118,210   

Rexel S.A.

     22,299         273,306   

Rubis SCA

     1,468         108,905   

SCOR SE

     15,480         553,723   

SEB S.A.

     1,739         159,971   

Societe BIC S.A.

     1,293         200,331   

Societe Television Francaise 1

     10,601         148,509   

Suez Environnement Co.

     36,123         646,366   

Technip S.A.

     5,784         272,234   

Teleperformance

     660         49,913   

Thales S.A.

     8,046         558,370   

Valeo S.A.

     2,373         319,850   

Vallourec S.A.(a)

     9,594         84,775   

Veolia Environnement S.A.

     38,019         867,022   

Vicat

     1,602         99,908   

Wendel S.A.

     757         88,472   

Zodiac Aerospace

     7,123         162,957   
     

 

 

 
Total France               10,455,274   
Germany – 5.3%      

Axel Springer SE

     7,089         395,022   

Brenntag AG

     3,572         192,045   

Celesio AG

     3,524         98,794   

Deutsche Wohnen AG Bearer Shares

     8,137         216,946   

Duerr AG

     1,293         90,625   

Fielmann AG

     4,432         302,770   

Fraport AG Frankfurt Airport Services Worldwide

     3,650         224,861   

Freenet AG

     12,235         403,369   

Fuchs Petrolub SE

     426         16,351   

GEA Group AG

     7,027         266,967   

Hannover Rueck SE

     7,457         761,967   

Hochtief AG

     2,754         229,116   
Investments    Shares      Value  

Hugo Boss AG

     3,874       $ 434,165   

K+S AG Registered Shares

     9,208         307,582   

KION Group AG*

     993         43,972   

LANXESS AG

     722         33,700   

LEG Immobilien AG*

     2,003         165,028   

METRO AG

     13,164         362,802   

MTU Aero Engines AG

     1,430         119,382   

OSRAM Licht AG

     3,082         158,993   

ProSiebenSat.1 Media SE

     14,597         714,324   

RWE AG

     44,287         501,769   

Suedzucker AG(a)

     15,491         280,819   

Symrise AG

     4,037         242,394   

Talanx AG

     18,126         541,439   

TUI AG

     11,597         213,961   

United Internet AG Registered Shares

     6,673         337,167   

Wacker Chemie AG(a)

     1,473         111,660   
     

 

 

 
Total Germany               7,767,990   
Hong Kong – 3.3%      

Bank of East Asia Ltd. (The)

     134,122         449,955   

Cathay Pacific Airways Ltd.

     119,774         224,401   

Dah Sing Banking Group Ltd.

     16,800         30,825   

Hang Lung Group Ltd.

     40,000         135,741   

Hopewell Holdings Ltd.

     45,162         153,258   

Hysan Development Co., Ltd.

     70,000         290,837   

New World Development Co., Ltd.

     545,642         528,037   

PCCW Ltd.

     583,543         298,923   

Sino Land Co., Ltd.

     399,046         604,486   

SJM Holdings Ltd.(a)

     793,000         560,724   

Swire Pacific Ltd. Class A

     51,500         574,470   

Swire Pacific Ltd. Class B

     115,000         236,528   

Techtronic Industries Co., Ltd.

     28,500         105,174   

Television Broadcasts Ltd.

     44,424         147,888   

Wheelock & Co., Ltd.

     103,000         445,223   
     

 

 

 
Total Hong Kong               4,786,470   
Ireland – 0.5%      

DCC PLC

     3,367         254,447   

Kerry Group PLC Class A

     807         60,490   

Paddy Power PLC

     1,973         227,284   

Smurfit Kappa Group PLC

     8,322         222,946   
     

 

 

 
Total Ireland               765,167   
Israel – 1.2%      

Azrieli Group

     3,647         145,698   

Bank Hapoalim BM

     29,696         149,278   

Bezeq Israeli Telecommunication Corp., Ltd.

     497,824         951,280   

Elbit Systems Ltd.

     1,656         122,315   

Israel Chemicals Ltd.

     82,550         424,434   
     

 

 

 
Total Israel               1,793,005   
Italy – 3.8%      

A2A SpA

     169,919         210,536   

ACEA SpA

     11,857         159,883   

Azimut Holding SpA(a)

     8,015         171,598   

Banca Generali SpA

     6,817         191,835   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      83   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Banca Popolare di Milano Scarl

     164,752       $ 162,388   

Brembo SpA

     2,280         88,059   

Credito Emiliano SpA

     7,408         50,855   

Davide Campari-Milano SpA

     13,141         104,441   

De’ Longhi

     8,036         196,895   

Enel Green Power SpA(a)

     103,848         196,021   

FinecoBank Banca Fineco SpA

     17,658         117,082   

Hera SpA

     108,564         281,390   

Intesa Sanpaolo SpA RSP

     16,196         52,067   

Mediobanca SpA

     22,292         218,725   

Mediolanum SpA(a)

     47,477         338,646   

Parmalat SpA

     39,416         101,548   

Pirelli & C. SpA

     23,055         385,255   

Prysmian SpA

     8,222         169,330   

Recordati SpA

     10,334         237,974   

Salvatore Ferragamo SpA(a)

     4,779         127,122   

Telecom Italia SpA RSP

     339,643         347,659   

Terna Rete Elettrica Nazionale SpA

     171,990         834,361   

Tod’s SpA(a)

     1,414         123,587   

Unione di Banche Italiane SCpA

     16,405         116,099   

UnipolSai SpA

     242,503         526,500   
     

 

 

 
Total Italy               5,509,856   
Japan – 20.6%      

ABC-Mart, Inc.

     1,678         93,312   

Aeon Co., Ltd.

     28,099         435,216   

Air Water, Inc.

     7,000         104,680   

Ajinomoto Co., Inc.

     10,319         216,693   

Alfresa Holdings Corp.

     6,000         101,950   

Amada Holdings Co., Ltd.

     14,800         112,206   

ANA Holdings, Inc.

     68,000         189,865   

Aozora Bank Ltd.

     106,000         366,418   

Asahi Glass Co., Ltd.(a)

     42,141         245,249   

Asahi Kasei Corp.

     49,000         343,673   

Asics Corp.

     3,630         86,018   

Bandai Namco Holdings, Inc.

     12,300         284,482   

Bank of Yokohama Ltd. (The)

     45,000         272,070   

Benesse Holdings, Inc.(a)

     3,500         93,370   

Brother Industries Ltd.

     9,900         118,537   

Canon Marketing Japan, Inc.

     900         13,271   

Casio Computer Co., Ltd.(a)

     6,000         108,462   

Chiba Bank Ltd. (The)

     30,000         211,915   

Chubu Electric Power Co., Inc.

     1,300         19,115   

Chugoku Bank Ltd. (The)

     6,900         101,917   

Chugoku Electric Power Co., Inc. (The)

     20,000         275,039   

Dai Nippon Printing Co., Ltd.

     31,958         307,932   

Daicel Corp.

     9,600         117,190   

Daihatsu Motor Co., Ltd.(a)

     21,900         252,527   

Daiichi Sankyo Co., Ltd.(a)

     31,400         542,713   

Daito Trust Construction Co., Ltd.

     4,820         487,976   

DIC Corp.

     6,000         13,376   

Dowa Holdings Co., Ltd.(a)

     10,000         75,398   

Electric Power Development Co., Ltd.

     5,400         164,347   

FamilyMart Co., Ltd.

     4,200         191,124   
Investments    Shares      Value  

Fuji Electric Co., Ltd.

     22,876       $ 82,515   

Fujitsu Ltd.

     23,000         99,574   

Fukuoka Financial Group, Inc.

     41,000         194,105   

Hachijuni Bank Ltd. (The)

     14,000         98,777   

Hamamatsu Photonics K.K.

     4,900         110,466   

Hankyu Hanshin Holdings, Inc.

     31,000         188,953   

Hikari Tsushin, Inc.

     1,600         111,552   

Hino Motors Ltd.

     26,200         265,358   

Hirose Electric Co., Ltd.

     300         32,489   

Hiroshima Bank Ltd. (The)(a)

     26,075         149,790   

Hisamitsu Pharmaceutical Co., Inc.

     3,900         129,929   

Hitachi Chemical Co., Ltd.

     6,200         84,951   

Hitachi Construction Machinery Co., Ltd.(a)

     9,800         130,678   

Hitachi High-Technologies Corp.

     4,000         86,069   

Hitachi Metals Ltd.

     6,100         70,440   

Hokuhoku Financial Group, Inc.

     60,000         136,768   

Hokuriku Electric Power Co.

     10,600         142,142   

Hulic Co., Ltd.(a)

     4,500         40,467   

Idemitsu Kosan Co., Ltd.(a)

     4,700         71,659   

IHI Corp.(a)

     42,553         108,723   

Iida Group Holdings Co., Ltd.

     8,900         138,444   

Isetan Mitsukoshi Holdings Ltd.(a)

     6,634         99,262   

Isuzu Motors Ltd.

     26,000         259,425   

Itochu Techno-Solutions Corp.(a)

     700         14,875   

Iyo Bank Ltd. (The)

     11,000         125,738   

J. Front Retailing Co., Ltd.

     6,400         103,349   

Japan Airlines Co., Ltd.

     17,300         608,855   

Japan Exchange Group, Inc.(a)

     15,200         220,452   

JGC Corp.

     7,000         92,552   

Joyo Bank Ltd. (The)

     34,000         178,282   

JSR Corp.(a)

     8,700         124,799   

JTEKT Corp.

     5,200         72,248   

JX Holdings, Inc.(a)

     116,400         418,793   

Kajima Corp.(a)

     30,953         163,597   

Kansai Paint Co., Ltd.(a)

     7,000         94,802   

Kawasaki Heavy Industries Ltd.(a)

     45,565         156,366   

Keikyu Corp.(a)

     13,000         103,119   

Keio Corp.(a)

     16,000         113,289   

Kintetsu Group Holdings Co., Ltd.(a)

     50,000         179,101   

Kirin Holdings Co., Ltd.

     27,200         355,543   

Kobe Steel Ltd.(a)

     146,000         157,258   

Koito Manufacturing Co., Ltd.(a)

     4,200         136,242   

Konami Corp.(a)

     5,400         116,463   

Konica Minolta, Inc.

     15,900         166,481   

Kuraray Co., Ltd.

     16,200         201,004   

Kyowa Hakko Kirin Co., Ltd.(a)

     15,000         222,686   

Lawson, Inc.

     4,900         360,448   

LIXIL Group Corp.(a)

     9,900         200,042   

Makita Corp.(a)

     3,729         197,091   

Marubeni Corp.(a)

     100,800         491,354   

Marui Group Co., Ltd.(a)

     10,481         125,931   

Medipal Holdings Corp.

     7,000         110,525   

MEIJI Holdings Co., Ltd.

     1,800         131,357   

Mitsubishi Chemical Holdings Corp.

     56,700         294,140   

 

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 MidCap Dividend Fund (DIM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Mitsubishi Gas Chemical Co., Inc.(a)

     19,000       $ 87,254   

Mitsubishi Materials Corp.(a)

     46,000         139,039   

Mitsubishi Motors Corp.(a)

     32,000         243,677   

Mitsubishi Tanabe Pharma Corp.

     21,100         370,855   

Mitsui Chemicals, Inc.(a)

     32,000         101,799   

Mitsui OSK Lines Ltd.(a)

     32,000         76,416   

Mixi, Inc.(a)

     400         13,627   

Nabtesco Corp.

     3,900         70,761   

NEC Corp.

     47,608         145,887   

Nexon Co., Ltd.

     7,600         100,580   

NGK Insulators Ltd.(a)

     7,000         133,086   

NGK Spark Plug Co., Ltd.(a)

     5,400         123,046   

NH Foods Ltd.

     6,000         122,039   

Nikon Corp.(a)

     13,034         156,933   

Nippon Electric Glass Co., Ltd.(a)

     22,000         105,807   

Nippon Express Co., Ltd.

     38,000         180,537   

Nippon Paint Holdings Co., Ltd.(a)

     3,200         55,602   

Nippon Yusen K.K.

     46,000         106,008   

Nissan Chemical Industries Ltd.(a)

     5,100         111,526   

Nisshin Seifun Group, Inc.

     8,700         125,889   

Nissin Foods Holdings Co., Ltd.(a)

     3,700         169,607   

Nitori Holdings Co., Ltd.

     1,500         117,104   

NOK Corp.

     900         19,335   

Nomura Real Estate Holdings, Inc.

     6,468         129,398   

Nomura Research Institute Ltd.

     8,019         306,324   

NSK Ltd.(a)

     9,400         90,496   

NTT Data Corp.

     6,900         346,253   

NTT Urban Development Corp.(a)

     8,900         81,521   

Obayashi Corp.(a)

     25,000         212,500   

Obic Co., Ltd.

     400         18,202   

Odakyu Electric Railway Co., Ltd.(a)

     13,000         116,578   

Oji Holdings Corp.(a)

     46,862         200,337   

Omron Corp.

     4,600         137,695   

Ono Pharmaceutical Co., Ltd.

     1,900         224,164   

Oracle Corp.

     3,868         162,775   

Osaka Gas Co., Ltd.

     67,000         253,421   

Otsuka Corp.

     3,200         155,505   

Pola Orbis Holdings, Inc.

     300         18,536   

Resona Holdings, Inc.

     96,600         489,029   

Ricoh Co., Ltd.(a)

     32,060         322,434   

Ryohin Keikaku Co., Ltd.

     600         121,839   

Sankyo Co., Ltd.(a)

     6,300         223,563   

Santen Pharmaceutical Co., Ltd.

     10,600         141,522   

SBI Holdings, Inc.(a)

     6,700         75,019   

Sega Sammy Holdings, Inc.(a)

     9,273         90,125   

Seiko Epson Corp.

     12,000         169,031   

Sekisui Chemical Co., Ltd.

     16,000         167,395   

Sekisui House Ltd.

     33,552         522,477   

Seven Bank Ltd.(a)

     37,100         159,843   

Shimadzu Corp.

     9,000         128,877   

Shimamura Co., Ltd.(a)

     1,100         118,115   

Shimano, Inc.(a)

     1,100         153,751   

Shimizu Corp.

     20,000         171,002   

Shionogi & Co., Ltd.(a)

     7,100         253,434   
Investments    Shares      Value  

Shiseido Co., Ltd.(a)

     7,000       $ 151,994   

Shizuoka Bank Ltd. (The)(a)

     14,000         139,807   

Showa Shell Sekiyu K.K.(a)

     20,109         157,998   

Sojitz Corp.(a)

     6,600         12,234   

Sony Financial Holdings, Inc.(a)

     11,209         183,252   

Sumitomo Chemical Co., Ltd.(a)

     42,000         211,113   

Sumitomo Dainippon Pharma Co., Ltd.(a)

     12,190         121,529   

Sumitomo Electric Industries Ltd.

     19,812         252,023   

Sumitomo Heavy Industries Ltd.

     17,500         68,822   

Sumitomo Metal Mining Co., Ltd.

     19,000         214,487   

Sumitomo Rubber Industries Ltd.

     12,800         176,987   

Suntory Beverage & Food Ltd.

     6,300         241,185   

Sysmex Corp.

     1,800         94,385   

T&D Holdings, Inc.

     20,051         235,141   

Taisei Corp.

     34,876         226,556   

Taiyo Nippon Sanso Corp.(a)

     7,200         68,053   

TDK Corp.(a)

     2,900         162,961   

Terumo Corp.(a)

     8,900         250,432   

THK Co., Ltd.(a)

     2,300         36,373   

Tobu Railway Co., Ltd.(a)

     32,000         137,068   

Toho Co., Ltd.(a)

     5,200         118,228   

Tohoku Electric Power Co., Inc.

     1,300         17,552   

Tokyo Electron Ltd.(a)

     4,794         224,719   

Tokyu Corp.(a)

     30,000         219,179   

Tokyu Fudosan Holdings Corp.(a)

     2,100         13,905   

TonenGeneral Sekiyu K.K.

     32,104         310,143   

Toppan Printing Co., Ltd.

     23,000         184,553   

TOTO Ltd.(a)

     5,000         155,095   

Toyo Seikan Group Holdings Ltd.(a)

     6,100         96,467   

Toyo Suisan Kaisha Ltd.

     3,700         139,640   

Toyo Tire & Rubber Co., Ltd.(a)

     1,300         27,983   

Toyoda Gosei Co., Ltd.(a)

     6,600         129,118   

Toyota Tsusho Corp.

     10,800         226,614   

Trend Micro, Inc.

     5,630         198,142   

USS Co., Ltd.

     12,300         203,759   

West Japan Railway Co.

     6,376         398,270   

Yamada Denki Co., Ltd.(a)

     27,900         112,285   

Yamaguchi Financial Group, Inc.(a)

     7,000         85,451   

Yamaha Corp.

     4,900         107,930   

Yamaha Motor Co., Ltd.(a)

     9,460         188,860   

Yamato Holdings Co., Ltd.(a)

     9,200         175,450   

Yokohama Rubber Co., Ltd. (The)

     7,100         124,553   
     

 

 

 
Total Japan               30,053,230   
Netherlands – 1.7%      

Aalberts Industries N.V.

     3,839         113,389   

Boskalis Westminster

     6,663         290,660   

Delta Lloyd N.V.

     24,953         208,987   

Euronext N.V.(b)

     1,734         73,745   

Koninklijke DSM N.V.

     7,710         354,536   

Koninklijke Vopak N.V.(a)

     4,281         170,527   

NN Group N.V.

     9,971         285,154   

Randstad Holding N.V.

     8,155         484,371   

Wolters Kluwer N.V.

     15,067         462,678   
     

 

 

 
Total Netherlands               2,444,047   

 

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 MidCap Dividend Fund (DIM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
New Zealand – 1.1%      

Auckland International Airport Ltd.

     100,082       $ 312,430   

Contact Energy Ltd.

     59,587         188,683   

Fletcher Building Ltd.

     67,363         293,026   

Mighty River Power Ltd.

     144,308         232,169   

Spark New Zealand Ltd.

     263,551         502,409   
     

 

 

 
Total New Zealand               1,528,717   
Norway – 1.4%      

Gjensidige Forsikring ASA

     45,421         610,228   

Marine Harvest ASA*

     40,527         515,021   

Norsk Hydro ASA

     87,670         291,480   

Orkla ASA

     76,193         563,632   

TGS Nopec Geophysical Co. ASA(a)

     6,961         128,366   
     

 

 

 
Total Norway               2,108,727   
Portugal – 0.9%      

Galp Energia, SGPS, S.A.

     41,600         408,590   

Jeronimo Martins, SGPS, S.A.

     25,356         340,917   

NOS, SGPS S.A.

     17,973         147,880   

Portucel S.A.

     75,674         261,860   

Sonae, SGPS, S.A.

     126,586         155,432   
     

 

 

 
Total Portugal               1,314,679   
Singapore – 4.5%      

CapitaLand Ltd.

     183,500         345,861   

City Developments Ltd.

     18,500         100,183   

ComfortDelGro Corp., Ltd.

     124,400         251,092   

Fraser and Neave Ltd.(a)

     75,200         115,294   

Frasers Centrepoint Ltd.

     229,200         239,371   

Global Logistic Properties Ltd.

     102,700         147,344   

Great Eastern Holdings Ltd.

     12,000         179,759   

Hutchison Port Holdings Trust(a)

     1,065,285         585,907   

Jardine Cycle & Carriage Ltd.

     19,511         370,762   

Keppel Corp., Ltd.(a)

     163,000         777,228   

Olam International Ltd.

     136,200         193,490   

SATS Ltd.

     89,000         239,729   

Sembcorp Industries Ltd.(a)

     115,700         281,540   

Sembcorp Marine Ltd.(a)

     156,051         251,323   

SIA Engineering Co., Ltd.

     99,536         257,608   

Singapore Airlines Ltd.

     67,761         509,911   

Singapore Exchange Ltd.(a)

     49,500         244,732   

Singapore Post Ltd.(a)

     115,500         137,684   

Singapore Press Holdings Ltd.(a)

     158,648         428,447   

Singapore Technologies Engineering Ltd.

     197,300         413,499   

StarHub Ltd.

     152,594         371,317   

UOL Group Ltd.

     11,400         48,185   
     

 

 

 
Total Singapore               6,490,266   
Spain – 3.1%      

Abengoa S.A. Class B(a)

     48,382         44,771   

Acerinox S.A.(a)

     11,510         102,553   

ACS Actividades de Construccion y Servicios S.A.

     21,090         604,904   

Banco Popular Espanol S.A.

     38,780         141,076   

Bankinter S.A.(a)

     18,163         133,244   

Bolsas y Mercados Espanoles SHMSF S.A.(a)

     8,118         273,754   
Investments    Shares      Value  

Cia de Distribucion Integral Logista Holdings S.A.

     2,493       $ 46,918   

Distribuidora Internacional de Alimentacion S.A.*

     17,470         105,363   

Ebro Foods S.A.

     11,695         229,042   

Enagas S.A.

     22,372         639,802   

Grifols S.A.

     4,367         179,851   

Grupo Catalana Occidente S.A.

     1,689         48,435   

Mapfre S.A.

     220,483         574,676   

Prosegur Cia de Seguridad S.A.

     20,084         96,401   

Red Electrica Corp. S.A.

     8,816         729,601   

Tecnicas Reunidas S.A.

     4,051         178,774   

Viscofan S.A.

     2,727         164,012   

Zardoya Otis S.A.

     19,254         207,615   
     

 

 

 
Total Spain               4,500,792   
Sweden – 3.8%      

AAK AB

     1,413         91,481   

Alfa Laval AB(a)

     14,161         231,147   

Atlas Copco AB Class B

     20,337         453,439   

Axfood AB

     10,946         180,105   

BillerudKorsnas AB

     5,044         72,349   

Boliden AB

     9,424         146,972   

Electrolux AB Series B

     11,260         316,841   

Getinge AB Class B(a)

     6,697         148,839   

Hexagon AB Class B

     6,724         204,677   

Husqvarna AB Class B

     15,231         99,517   

ICA Gruppen AB(a)

     10,203         344,275   

Investment AB Kinnevik Class B

     7,632         217,393   

Investment AB Latour Class B

     8,289         261,803   

Lundbergforetagen AB Class B

     4,358         209,819   

Meda AB Class A

     11,465         163,218   

Saab AB Class B(a)

     6,210         165,856   

Securitas AB Class B

     20,081         244,457   

Skanska AB Class B

     28,928         565,312   

SKF AB Class B

     20,515         375,955   

Swedish Match AB

     10,593         319,165   

Tele2 AB Class B

     29,257         284,126   

Trelleborg AB Class B

     9,394         148,296   

Volvo AB Class A

     26,520         252,645   

Wallenstam AB Class B(a)

     13,995         114,803   
     

 

 

 
Total Sweden               5,612,490   
Switzerland – 4.9%      

Aryzta AG*(a)

     1,575         66,524   

Baloise Holding AG Registered Shares

     4,164         476,020   

Bucher Industries AG Registered Shares(a)

     381         81,651   

Clariant AG Registered Shares*

     14,876         249,836   

Coca-Cola HBC AG*

     8,950         189,391   

DKSH Holding AG*

     1,254         79,121   

EMS-Chemie Holding AG Registered Shares

     886         363,386   

Galenica AG Registered Shares(a)

     187         237,506   

GAM Holding AG*

     11,041         193,791   

Georg Fischer AG Registered Shares

     124         70,116   

Helvetia Holding AG Registered Shares

     403         197,252   

Julius Baer Group Ltd.*

     5,698         257,871   

Lonza Group AG Registered Shares*

     2,301         300,960   

 

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 MidCap Dividend Fund (DIM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

OC Oerlikon Corp. AG Registered Shares*

     12,176       $ 119,131   

Panalpina Welttransport Holding AG Registered Shares(a)

     1,262         137,553   

Partners Group Holding AG

     1,503         507,999   

Schindler Holding AG Participation Certificate

     1,432         205,178   

Schindler Holding AG Registered Shares

     1,900         277,679   

SFS Group AG*

     1,037         62,352   

Sonova Holding AG Registered Shares

     1,379         176,979   

STMicroelectronics N.V.(a)

     77,858         529,275   

Straumann Holding AG Registered Shares(a)

     662         189,874   

Sulzer AG Registered Shares(a)

     1,858         181,597   

Swatch Group AG (The) Bearer Shares(a)

     1,021         377,219   

Swatch Group AG (The) Registered Shares

     3,287         236,323   

Swiss Life Holding AG Registered Shares*

     1,213         269,887   

Transocean Ltd.(a)

     82,183         1,050,523   

Vontobel Holding AG Registered Shares

     2,236         112,933   
     

 

 

 
Total Switzerland               7,197,927   
United Kingdom – 19.3%      

Aberdeen Asset Management PLC

     104,463         469,168   

Admiral Group PLC

     16,686         379,632   

Aggreko PLC

     6,908         99,512   

Amec Foster Wheeler PLC

     34,307         372,340   

Amlin PLC

     41,277         410,472   

Antofagasta PLC

     26,718         202,234   

Ashmore Group PLC(a)

     65,322         243,903   

Ashtead Group PLC

     9,243         130,208   

Babcock International Group PLC

     15,420         213,137   

Barratt Developments PLC

     32,061         312,997   

Bellway PLC

     5,059         190,505   

Berendsen PLC

     5,673         86,190   

Berkeley Group Holdings PLC

     15,011         759,446   

Booker Group PLC

     63,618         178,179   

British Land Co. PLC (The)

     57,291         727,663   

Britvic PLC

     8,019         82,416   

Bunzl PLC

     11,485         307,925   

Burberry Group PLC

     13,878         287,577   

Cable & Wireless Communications PLC

     219,240         183,980   

Capita PLC

     29,998         544,365   

Carnival PLC

     9,433         489,100   

Close Brothers Group PLC

     7,725         174,702   

CNH Industrial N.V.

     54,344         353,353   

Cobham PLC

     68,947         298,378   

Croda International PLC

     5,272         216,334   

Daily Mail & General Trust PLC Class A Non-Voting Shares

     20,014         228,433   

Derwent London PLC

     2,267         124,961   

Direct Line Insurance Group PLC

     100,243         569,260   

Dixons Carphone PLC

     16,859         108,380   

DS Smith PLC

     45,081         268,980   

Dunelm Group PLC

     2,449         33,387   

easyJet PLC

     21,817         587,250   

Essentra PLC

     7,220         85,961   

Evraz PLC*

     92,384         102,015   

Fresnillo PLC

     9,625         86,238   
Investments    Shares      Value  

G4S PLC

     88,922       $ 310,740   

GKN PLC

     69,325         281,427   

Greene King PLC

     10,857         130,825   

Halma PLC

     13,946         152,415   

Hammerson PLC

     35,296         333,352   

Hargreaves Lansdown PLC

     23,450         428,737   

Hays PLC

     44,311         102,895   

Hikma Pharmaceuticals PLC

     3,070         106,026   

Howden Joinery Group PLC

     16,616         122,448   

ICAP PLC

     56,032         388,046   

IG Group Holdings PLC

     33,182         386,769   

IMI PLC

     13,919         199,980   

Inchcape PLC

     24,444         266,221   

Informa PLC

     30,860         262,474   

Inmarsat PLC

     31,755         472,351   

InterContinental Hotels Group PLC

     8,043         278,263   

Intertek Group PLC

     4,439         163,460   

Intu Properties PLC

     74,920         374,047   

Investec PLC

     45,433         347,883   

J Sainsbury PLC(a)

     188,000         743,257   

Jardine Lloyd Thompson Group PLC

     12,982         200,381   

John Wood Group PLC

     15,217         141,757   

Johnson Matthey PLC

     7,274         269,728   

Jupiter Fund Management PLC

     20,406         133,964   

Kingfisher PLC

     101,845         553,211   

London Stock Exchange Group PLC

     8,075         295,882   

Man Group PLC

     152,415         353,694   

Meggitt PLC

     33,572         242,163   

Melrose Industries PLC

     49,012         196,144   

Merlin Entertainments PLC(b)

     13,360         75,201   

Michael Page International PLC

     5,280         37,910   

Micro Focus International PLC

     5,470         99,677   

Millennium & Copthorne Hotels PLC

     18,491         135,201   

Mondi PLC

     17,956         376,160   

Pennon Group PLC

     22,146         260,650   

Persimmon PLC*

     25,846         786,136   

Renishaw PLC

     2,637         80,527   

Rentokil Initial PLC

     57,556         128,246   

Rexam PLC

     45,717         362,523   

Rightmove PLC

     3,455         190,917   

Rotork PLC

     28,208         70,416   

Royal Mail PLC

     70,699         491,335   

Saga PLC

     13,826         43,038   

Sage Group PLC (The)

     54,680         413,636   

Schroders PLC

     8,336         354,186   

Segro PLC

     56,679         368,745   

Severn Trent PLC

     17,209         569,310   

Smiths Group PLC

     21,985         334,683   

Spectris PLC

     5,820         149,076   

Spirax-Sarco Engineering PLC

     1,468         62,284   

St. James’s Place PLC

     20,884         268,889   

Stagecoach Group PLC

     34,843         178,180   

TalkTalk Telecom Group PLC(a)

     54,656         260,375   

Tate & Lyle PLC

     34,899         310,836   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      87   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International MidCap Dividend Fund (DIM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Taylor Wimpey PLC

     271,181       $ 803,058   

Telecity Group PLC

     5,957         98,174   

Travis Perkins PLC

     7,006         208,639   

United Utilities Group PLC

     53,343         747,412   

Vedanta Resources PLC(a)

     59,141         380,910   

Victrex PLC

     4,904         131,630   

Weir Group PLC (The)

     9,258         164,076   

WH Smith PLC

     3,480         82,444   

William Hill PLC

     53,884         286,326   

WM Morrison Supermarkets PLC(a)

     301,453         758,456   
     

 

 

 
Total United Kingdom               28,216,383   
TOTAL COMMON STOCKS
(Cost: $142,459,110)
              145,245,947   
RIGHTS – 0.0%      
Spain – 0.0%      

Banco Popular Espanol S.A., expiring 10/1/15*(a)

     
(Cost $871)      38,780         996   
EXCHANGE-TRADED FUNDS – 0.0%      
United States – 0.0%      

WisdomTree Australia Dividend Fund(c)

     8         335   

WisdomTree Japan Hedged Equity Fund(c)

     6         292   
TOTAL EXCHANGE-TRADED FUNDS
(Cost: $705)
              627   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 14.8%   
United States – 14.8%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(d)

     
(Cost: $21,599,272)(e)      21,599,272         21,599,272   
TOTAL INVESTMENTS IN SECURITIES – 114.3%
(Cost: $164,059,958)
         166,846,842   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (14.3)%

        (20,919,400
     

 

 

 
NET ASSETS – 100.0%             $ 145,927,442   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (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 7).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(e) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $21,276,298 and the total market value of the collateral held by the Fund was $22,546,208. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $946,936.

RSP – Risparmio Italian Savings Shares

 

See Notes to Financial Statements.

 

88   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, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.1%      
Australia – 10.7%      

Adelaide Brighton Ltd.

     898,495       $ 2,744,712   

ALS Ltd.

     496,132         1,602,680   

Altium Ltd.(a)

     214,931         695,812   

Amalgamated Holdings Ltd.

     221,373         2,005,424   

AP Eagers Ltd.

     245,345         1,753,949   

ARB Corp., Ltd.(a)

     58,537         563,174   

Asaleo Care Ltd.

     737,116         923,987   

Australian Industrial REIT

     637,764         1,056,973   

Australian Pharmaceutical Industries Ltd.

     898,533         955,957   

Bega Cheese Ltd.(a)

     170,992         567,974   

BlueScope Steel Ltd.

     347,672         878,950   

Brickworks Ltd.

     89,265         973,519   

BT Investment Management Ltd.

     476,845         3,201,304   

Cardno Ltd.(a)

     636,757         1,283,357   

carsales.com Ltd.(a)

     251,523         1,725,695   

Cash Converters International Ltd.(a)

     1,019,806         379,564   

Collins Foods Ltd.

     302,088         689,459   

Corporate Travel Management Ltd.(a)

     95,914         649,982   

Cover-More Group Ltd.(a)

     427,076         668,809   

CSG Ltd.

     927,312         1,133,097   

CSR Ltd.

     905,763         1,838,249   

Decmil Group Ltd.

     867,796         563,704   

Dick Smith Holdings Ltd.(a)

     762,964         691,171   

Domino’s Pizza Enterprises Ltd.

     62,550         1,767,572   

Downer EDI Ltd.

     684,231         1,604,874   

DuluxGroup Ltd.

     435,540         1,636,340   

ERM Power Ltd.

     462,840         728,066   

Fairfax Media Ltd.

     3,375,185         2,097,648   

Folkestone Education Trust

     648,312         899,173   

G8 Education Ltd.(a)

     726,465         1,489,668   

Generation Healthcare REIT

     400,979         518,121   

Genworth Mortgage Insurance Australia Ltd.(a)

     1,090,892         1,761,982   

GrainCorp Ltd. Class A(a)

     115,009         730,924   

GUD Holdings Ltd.

     170,815         1,034,011   

GWA Group Ltd.(a)

     358,736         624,768   

IMF Bentham Ltd.(a)

     645,316         602,720   

Independence Group NL(a)

     212,760         378,009   

Infomedia Ltd.

     572,592         329,724   

Invocare Ltd.(a)

     128,549         979,468   

IOOF Holdings Ltd.(a)

     447,846         2,688,974   

Iress Ltd.(a)

     261,824         1,759,597   

Japara Healthcare Ltd.(a)

     284,408         561,229   

JB Hi-Fi Ltd.(a)

     135,672         1,819,766   

M2 Group Ltd.

     238,507         1,589,495   

MACA Ltd.

     1,866,056         1,153,186   

Magellan Financial Group Ltd.

     171,720         2,291,218   

McMillan Shakespeare Ltd.

     142,774         1,234,238   

Mineral Resources Ltd.(a)

     234,428         678,264   

MMA Offshore Ltd.(a)

     2,114,697         764,799   

Monadelphous Group Ltd.(a)

     249,892         1,077,488   

Myer Holdings Ltd.(a)

     2,211,232         1,366,497   

MyState Ltd.

     150,357         475,147   
Investments    Shares      Value  

Navitas Ltd.(a)

     604,584       $ 1,685,540   

New Hope Corp., Ltd.

     987,612         1,224,117   

NIB Holdings Ltd.(a)

     849,845         1,951,548   

Nine Entertainment Co. Holdings Ltd.(a)

     1,706,640         1,881,627   

Northern Star Resources Ltd.(a)

     662,735         1,242,633   

Nufarm Ltd.

     200,406         1,145,584   

Orora Ltd.

     1,226,840         1,990,177   

OZ Minerals Ltd.

     223,913         520,474   

OzForex Group Ltd.(a)

     385,458         722,737   

Pact Group Holdings Ltd.

     461,504         1,536,193   

Peet Ltd.

     1,197,168         903,765   

Perpetual Ltd.(a)

     57,987         1,614,196   

Premier Investments Ltd.

     199,618         1,801,336   

Primary Health Care Ltd.(a)

     648,706         1,726,549   

Programmed Maintenance Services Ltd.(a)

     245,330         456,550   

Qube Holdings Ltd.(a)

     617,285         858,307   

Recall Holdings Ltd.

     232,608         1,194,081   

Retail Food Group Ltd.(a)

     256,838         746,709   

SAI Global Ltd.

     271,899         866,873   

Sandfire Resources NL

     189,134         715,896   

Servcorp Ltd.

     158,692         774,518   

Seven Group Holdings Ltd.(a)

     439,543         1,351,971   

Seven West Media Ltd.(a)

     4,438,242         2,306,400   

SG Fleet Group Ltd.

     353,152         734,083   

Sigma Pharmaceuticals Ltd.

     1,371,226         717,393   

Sims Metal Management Ltd.(a)

     196,016         1,329,721   

Skilled Group Ltd.

     1,069,986         1,284,890   

Slater & Gordon Ltd.(a)

     171,434         353,945   

SMS Management & Technology Ltd.

     273,548         1,002,757   

Southern Cross Media Group Ltd.(a)

     1,186,761         741,729   

Spotless Group Holdings Ltd.

     743,012         1,121,828   

Steadfast Group Ltd.

     708,301         708,801   

Super Retail Group Ltd.(a)

     238,907         1,494,853   

Thorn Group Ltd.

     335,064         469,421   

Transpacific Industries Group Ltd.

     1,971,712         941,552   

Veda Group Ltd.

     583,488         1,094,045   

Villa World Ltd.

     453,540         665,662   

Village Roadshow Ltd.

     292,952         1,431,850   

Western Areas Ltd.(a)

     236,024         356,358   

WorleyParsons Ltd.

     572,394         2,375,606   
     

 

 

 
Total Australia               108,232,743   
Austria – 0.5%      

Austria Technologie & Systemtechnik AG

     45,295         665,882   

Lenzing AG

     16,095         1,204,982   

RHI AG

     49,564         1,000,844   

S IMMO AG*

     97,565         827,692   

Schoeller-Bleckmann Oilfield Equipment AG(a)

     16,902         951,644   

Semperit AG Holding

     14,439         437,188   
     

 

 

 
Total Austria               5,088,232   
Belgium – 1.8%      

Barco N.V.

     16,479         1,062,109   

Bekaert S.A.(a)

     49,253         1,293,373   

Cofinimmo S.A.

     48,430         5,100,558   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      89   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

D’ieteren S.A./N.V.

     35,289       $ 1,359,198   

Econocom Group S.A./N.V.(a)

     84,772         733,925   

Euronav N.V.(a)

     81,584         1,137,896   

EVS Broadcast Equipment S.A.(a)

     44,287         1,142,945   

Exmar N.V.(a)

     108,980         1,008,712   

Fagron(a)

     28,551         542,109   

Kinepolis Group N.V.

     21,708         841,440   

Melexis N.V.

     36,408         1,680,075   

Warehouses De Pauw CVA

     32,044         2,479,872   
     

 

 

 
Total Belgium               18,382,212   
China – 0.5%      

Beijing Tong Ren Tang Chinese Medicine Co., Ltd.

     514,392         568,151   

CITIC Telecom International Holdings Ltd.(a)

     3,892,822         1,331,085   

CPMC Holdings Ltd.(a)

     1,059,000         567,074   

Dah Chong Hong Holdings Ltd.(a)

     2,503,000         1,004,423   

Goldpac Group Ltd.

     858,922         433,337   

Poly Property Group Co., Ltd.(a)

     3,182,129         874,567   

Shougang Fushan Resources Group Ltd.

     4,440,000         549,983   
     

 

 

 
Total China               5,328,620   
Denmark – 1.1%      

DFDS A/S

     69,010         2,194,235   

FLSmidth & Co. A/S(a)

     47,660         1,579,574   

Matas A/S

     55,932         1,046,123   

NKT Holding A/S

     20,833         1,097,253   

Royal Unibrew A/S

     47,036         1,758,066   

Schouw & Co.

     22,380         1,202,173   

SimCorp A/S

     26,086         1,311,472   

Spar Nord Bank A/S

     74,385         845,885   
     

 

 

 
Total Denmark               11,034,781   
Finland – 3.2%      

Aktia Bank Oyj

     66,160         804,977   

Aspo Oyj

     62,284         449,128   

Cargotec Oyj Class B

     36,438         994,070   

Caverion Corp.(a)

     88,104         879,214   

Citycon Oyj*

     1,321,325         3,244,843   

Cramo Oyj

     45,226         940,508   

F-Secure Oyj(a)

     181,026         499,113   

Fiskars Oyj Abp

     96,664         1,942,221   

Kemira Oyj

     229,368         2,642,249   

Kesko Oyj Class B

     103,122         3,644,379   

Konecranes Oyj(a)

     74,172         1,851,284   

Lassila & Tikanoja Oyj

     33,438         670,733   

Metsa Board Oyj

     225,886         1,270,811   

Outotec Oyj(a)

     136,920         505,279   

PKC Group Oyj(a)

     22,665         411,122   

Raisio Oyj Class V

     203,677         977,624   

Ramirent Oyj

     258,669         1,977,863   

Sanoma Oyj(a)

     311,958         1,150,529   

Technopolis Oyj

     264,626         1,016,137   

Tieto Oyj

     106,933         2,695,237   

Tikkurila Oyj

     73,307         1,215,159   

Uponor Oyj

     81,370         1,056,344   
Investments    Shares      Value  

Valmet Oyj

     130,260       $ 1,259,187   

YIT Oyj(a)

     84,681         462,606   
     

 

 

 
Total Finland               32,560,617   
France – 2.8%      

Albioma S.A.

     59,131         982,814   

Alten S.A.

     31,378         1,607,854   

Altran Technologies S.A.

     94,933         1,099,957   

Assystem

     53,552         1,095,720   

Bourbon S.A.(a)

     170,563         2,138,090   

Gaztransport Et Technigaz S.A.(a)

     56,036         2,904,204   

IPSOS

     55,533         1,088,211   

Jacquet Metal Service

     38,972         526,597   

Lectra

     46,226         510,838   

Metropole Television S.A.

     213,122         4,068,045   

Montupet(a)

     7,752         454,724   

Neopost S.A.(a)

     118,064         3,068,045   

Nexity S.A.

     94,472         4,061,573   

Saft Groupe S.A.

     37,681         1,229,875   

Sopra Steria Group

     10,798         1,195,443   

Tarkett S.A.

     69,680         1,625,608   

Technicolor S.A. Registered Shares

     127,726         878,684   
     

 

 

 
Total France               28,536,282   
Germany – 4.5%      

Aareal Bank AG

     67,358         2,387,982   

alstria office REIT-AG*(a)

     128,862         1,673,603   

Aurelius AG

     42,904         1,990,613   

BayWa AG(a)

     38,075         1,223,610   

Bechtle AG

     15,960         1,434,848   

Bertrandt AG

     7,240         753,452   

Bilfinger SE(a)

     86,632         3,200,867   

Borussia Dortmund GmbH & Co. KGaA(a)

     162,516         739,239   

Carl Zeiss Meditec AG Bearer Shares(a)

     50,918         1,420,646   

Comdirect Bank AG

     85,842         972,584   

CompuGroup Medical AG(a)

     38,268         1,261,850   

Drillisch AG(a)

     92,569         4,909,213   

ElringKlinger AG(a)

     55,874         1,072,753   

Gerresheimer AG

     12,934         941,907   

Gerry Weber International AG(a)

     65,994         994,856   

Grammer AG(a)

     18,250         416,496   

Hamburger Hafen und Logistik AG

     54,657         888,623   

Indus Holding AG

     25,527         1,138,070   

Jenoptik AG

     50,553         714,965   

Kloeckner & Co. SE(a)

     132,808         1,085,315   

Leoni AG

     23,568         1,252,513   

NORMA Group SE

     18,293         896,929   

Pfeiffer Vacuum Technology AG

     11,584         1,334,442   

Rhoen Klinikum AG

     78,618         2,221,138   

Salzgitter AG(a)

     15,866         392,994   

Sixt SE

     41,144         1,998,512   

Software AG

     55,150         1,606,131   

Stada Arzneimittel AG(a)

     50,706         1,811,218   

Takkt AG

     48,069         901,438   

VTG AG(a)

     24,704         728,691   

 

See Notes to Financial Statements.

 

90   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, 2015

 

  

 

 

Investments    Shares      Value  

Wacker Neuson SE

     49,245       $ 712,133   

Wincor Nixdorf AG(a)

     59,583         2,334,483   
     

 

 

 
Total Germany               45,412,114   
Hong Kong – 1.5%      

Chong Hing Bank Ltd.

     309,000         642,716   

Dah Sing Financial Holdings Ltd.

     374,229         2,042,553   

Goldlion Holdings Ltd.

     3,645,000         1,481,507   

Hong Kong Aircraft Engineering Co., Ltd.(a)

     148,800         1,128,953   

Hong Kong Ferry Holdings Co., Ltd.

     741,000         845,213   

Hongkong & Shanghai Hotels Ltd. (The)(a)

     1,150,000         1,296,895   

Kowloon Development Co., Ltd.

     1,596,000         1,828,695   

Lippo China Resources Ltd.

     7,850,000         298,804   

Liu Chong Hing Investment Ltd.

     588,000         621,379   

Melco International Development Ltd.(a)

     1,059,000         1,294,021   

Miramar Hotel & Investment

     476,000         751,768   

Singamas Container Holdings Ltd.

     3,514,000         453,416   

Vitasoy International Holdings Ltd.

     792,364         1,171,669   

Welling Holding Ltd.

     5,187,518         856,772   
     

 

 

 
Total Hong Kong               14,714,361   
Indonesia – 0.1%      

Bumitama Agri Ltd.

     1,100,000         618,890   
Ireland – 0.7%      

C&C Group PLC

     492,386         1,946,774   

Greencore Group PLC

     367,510         1,520,866   

Irish Continental Group PLC

     308,653         1,502,167   

Origin Enterprises PLC

     124,800         892,407   

UDG Healthcare PLC

     193,916         1,477,483   
     

 

 

 
Total Ireland               7,339,697   
Israel – 2.3%      

B Communications Ltd.

     31,356         616,511   

Delek Automotive Systems Ltd.

     373,512         3,497,303   

Delta-Galil Industries Ltd.

     22,020         659,214   

Gazit-Globe Ltd.

     211,718         2,119,931   

Harel Insurance Investments & Financial Services Ltd.

     358,204         1,485,786   

Industrial Buildings Corp., Ltd.

     386,695         392,222   

Inrom Construction Industries Ltd.

     399,164         973,680   

Ituran Location and Control Ltd.

     52,693         1,083,288   

Jerusalem Economy Ltd.*

     298,971         809,718   

Magic Software Enterprises Ltd.

     102,580         559,565   

Matrix IT Ltd.

     169,186         995,313   

Melisron Ltd.

     49,108         1,826,739   

Menorah Mivtachim Holdings Ltd.

     155,900         1,360,039   

Migdal Insurance & Financial Holding Ltd.

     2,044,186         1,855,178   

Osem Investments Ltd.

     73,196         1,412,486   

Sella Capital Real Estate Ltd.

     780,128         1,145,476   

Shapir Engineering and Industry Ltd.

     244,536         395,006   

Shikun & Binui Ltd.

     925,493         1,681,257   
     

 

 

 
Total Israel               22,868,712   
Italy – 4.4%      

Anima Holding SpA(b)

     178,956         1,560,122   

Ansaldo STS SpA

     96,965         1,026,088   
Investments    Shares      Value  

Ascopiave SpA

     628,668       $ 1,445,606   

Astaldi SpA(a)

     83,131         755,815   

ASTM SpA

     173,989         2,307,276   

Banca IFIS SpA

     84,111         1,951,950   

Banca Popolare di Sondrio SCARL

     207,110         946,477   

Cairo Communication SpA(a)

     179,006         853,611   

Cementir Holding SpA

     89,628         482,228   

Danieli & C. Officine Meccaniche SpA RSP

     53,764         818,592   

Datalogic SpA

     61,653         975,870   

DiaSorin SpA

     31,214         1,363,043   

Ei Towers SpA

     16,128         990,158   

ERG SpA

     198,602         2,771,117   

Falck Renewables SpA

     755,889         936,574   

Immobiliare Grande Distribuzione SIIQ SpA

     1,231,679         1,102,639   

Industria Macchine Automatiche SpA

     55,172         2,463,429   

Interpump Group SpA

     87,384         1,161,729   

Iren SpA

     1,562,273         2,544,331   

Italcementi SpA

     178,332         1,973,710   

MARR SpA

     114,592         2,171,967   

Piaggio & C. SpA(a)

     320,384         768,901   

RAI Way SpA(b)

     216,688         1,034,754   

Salini Impregilo SpA

     166,236         631,278   

Societa Cattolica di Assicurazioni SCRL

     306,240         2,153,594   

Societa Iniziative Autostradali e Servizi SpA

     243,256         2,726,205   

Trevi Finanziaria Industriale SpA(a)

     440,315         556,871   

Unipol Gruppo Finanziario SpA

     534,180         2,342,181   

UnipolSai SpA

     935,616         2,031,321   

Vittoria Assicurazioni SpA

     55,354         608,003   

Zignago Vetro SpA

     158,037         979,068   
     

 

 

 
Total Italy               44,434,508   
Japan – 26.4%      

77 Bank Ltd. (The)

     265,000         1,497,975   

ADEKA Corp.

     85,400         1,085,282   

Aeon Delight Co., Ltd.

     41,500         1,195,466   

Ai Holdings Corp.(a)

     33,700         830,928   

Aica Kogyo Co., Ltd.

     32,800         653,727   

Aichi Steel Corp.

     198,940         747,489   

Aida Engineering Ltd.

     58,200         477,690   

Aisan Industry Co., Ltd.

     64,400         587,728   

Akebono Brake Industry Co., Ltd.(a)

     252,500         799,044   

Akita Bank Ltd. (The)

     296,000         946,587   

Alpen Co., Ltd.(a)

     40,200         640,770   

Amano Corp.

     69,400         797,348   

Anritsu Corp.(a)

     154,965         938,084   

AOKI Holdings, Inc.

     59,400         720,646   

Aoyama Trading Co., Ltd.

     38,600         1,356,874   

Arcs Co., Ltd.

     36,700         689,475   

Ariake Japan Co., Ltd.

     30,400         1,186,657   

Asahi Diamond Industrial Co., Ltd.(a)

     52,700         475,671   

Ashikaga Holdings Co., Ltd.

     161,800         674,139   

ASKUL Corp.

     25,588         971,047   

Autobacs Seven Co., Ltd.(a)

     84,800         1,404,070   

Avex Group Holdings, Inc.(a)

     41,700         473,179   

Axell Corp.

     42,200         507,394   

 

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 SmallCap Dividend Fund (DLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Azbil Corp.(a)

     66,600       $ 1,679,389   

Bando Chemical Industries Ltd.

     142,000         547,773   

Bank of Nagoya Ltd. (The)(a)

     173,000         661,579   

Bank of Saga Ltd. (The)

     360,764         819,336   

Bank of the Ryukyus Ltd.(a)

     53,200         779,132   

Belluna Co., Ltd.

     146,800         800,404   

Calsonic Kansei Corp.

     132,000         984,227   

Canon Electronics, Inc.

     31,200         501,743   

Capcom Co., Ltd.

     33,200         652,274   

Central Glass Co., Ltd.

     228,000         993,746   

Chiyoda Co., Ltd.(a)

     35,400         1,133,545   

Citizen Holdings Co., Ltd.(a)

     172,000         1,183,384   

Cleanup Corp.

     80,400         588,072   

Coca-Cola East Japan Co., Ltd.

     49,200         792,442   

Coca-Cola West Co., Ltd.

     58,400         1,133,720   

COMSYS Holdings Corp.(a)

     78,400         930,863   

CONEXIO Corp.

     47,300         454,181   

Daido Steel Co., Ltd.(a)

     175,000         552,332   

Daifuku Co., Ltd.(a)

     59,900         817,739   

Daiichikosho Co., Ltd.

     35,900         1,269,457   

Daikyo, Inc.(a)

     668,000         1,126,673   

Daio Paper Corp.(a)

     48,000         393,571   

Daishi Bank Ltd. (The)

     326,000         1,527,040   

Daiwabo Holdings Co., Ltd.

     457,000         797,503   

DCM Holdings Co., Ltd.

     151,600         1,106,320   

Denki Kagaku Kogyo K.K.

     434,000         1,703,169   

Doshisha Co., Ltd.(a)

     36,500         667,737   

Doutor Nichires Holdings Co., Ltd.(a)

     38,100         583,119   

Dynam Japan Holdings Co., Ltd.

     1,347,851         1,669,585   

Earth Chemical Co., Ltd.

     26,700         1,014,361   

Ebara Corp.(a)

     306,000         1,124,202   

EDION Corp.(a)

     109,700         751,088   

Eighteenth Bank Ltd. (The)

     310,000         955,120   

Exedy Corp.

     27,900         615,936   

Fancl Corp.(a)

     50,200         717,592   

Fields Corp.(a)

     37,200         503,807   

Foster Electric Co., Ltd.

     33,985         675,642   

France Bed Holdings Co., Ltd.

     117,200         827,881   

Fuji Corp., Ltd.(a)

     130,000         729,428   

Fuji Oil Co., Ltd.

     42,200         546,153   

Fujikura Ltd.

     141,000         579,234   

Fujimi, Inc.

     50,241         675,809   

Fujitec Co., Ltd.(a)

     45,200         392,502   

Fujitsu General Ltd.

     41,000         443,669   

Fukuyama Transporting Co., Ltd.(a)

     117,000         630,109   

Funai Soken Holdings, Inc.

     83,900         1,190,916   

Furukawa Co., Ltd.(a)

     361,000         759,588   

Fuso Pharmaceutical Industries Ltd.(a)

     279,000         638,300   

Geo Holdings Corp.(a)

     113,600         1,810,733   

Glory Ltd.

     22,900         538,632   

GMO Internet, Inc.

     73,624         949,154   

Goldcrest Co., Ltd.(a)

     31,200         577,551   

GS Yuasa Corp.(a)

     268,000         1,006,972   

Gulliver International Co., Ltd.(a)

     64,940         592,114   
Investments    Shares      Value  

Gunze Ltd.

     276,000       $ 831,929   

H-One Co., Ltd.

     97,600         517,480   

H2O Retailing Corp.

     39,700         748,819   

Hakuto Co., Ltd.

     72,694         759,929   

Hanwa Co., Ltd.(a)

     233,000         852,119   

Heiwa Corp.

     100,700         1,722,826   

Heiwado Co., Ltd.

     68,900         1,508,994   

Higashi-Nippon Bank Ltd. (The)

     353,000         1,155,396   

Hiramatsu, Inc.

     84,400         444,674   

Hitachi Koki Co., Ltd.(a)

     72,200         501,569   

Hitachi Kokusai Electric, Inc.

     65,000         683,296   

Hitachi Maxell Ltd.(a)

     54,200         780,654   

Hitachi Transport System Ltd.

     41,200         675,974   

Hitachi Zosen Corp.

     99,100         512,194   

Hokkoku Bank Ltd. (The)

     163,000         658,723   

Hokuetsu Bank Ltd. (The)

     294,000         596,518   

Hokuetsu Kishu Paper Co., Ltd.(a)

     190,500         1,032,309   

Hokuto Corp.

     33,200         597,664   

Horiba Ltd.

     24,400         886,236   

Hosokawa Micron Corp.

     126,000         601,778   

Hyakujushi Bank Ltd. (The)

     163,000         585,229   

Idec Corp.

     67,600         519,848   

Inaba Denki Sangyo Co., Ltd.(a)

     32,800         985,931   

Inabata & Co., Ltd.

     78,700         817,458   

IT Holdings Corp.

     46,900         1,058,495   

Ito En Ltd.(a)

     41,500         865,933   

Itochu Enex Co., Ltd.

     160,000         1,211,706   

Itoham Foods, Inc.(a)

     110,000         596,084   

IwaiCosmo Holdings, Inc.(a)

     43,100         489,425   

Iwatani Corp.(a)

     114,000         645,364   

J-Oil Mills, Inc.

     270,000         773,264   

Japan Aviation Electronics Industry Ltd.

     26,000         387,075   

Japan Steel Works Ltd. (The)(a)

     124,000         391,366   

Japan Vilene Co., Ltd.(a)

     117,000         1,163,504   

Jimoto Holdings, Inc.

     321,800         553,507   

Juroku Bank Ltd. (The)

     260,000         1,133,219   

K’s Holdings Corp.(a)

     35,700         1,117,814   

kabu.com Securities Co., Ltd.(a)

     477,200         1,538,005   

Kaga Electronics Co., Ltd.

     52,000         659,959   

Kagoshima Bank Ltd. (The)(a)

     110,000         890,911   

Kamigumi Co., Ltd.

     95,000         774,183   

Kandenko Co., Ltd.

     143,000         921,772   

Kaneka Corp.

     165,000         1,209,619   

Kanematsu Corp.

     348,000         485,250   

Kansai Urban Banking Corp.

     66,700         770,783   

Kato Sangyo Co., Ltd.

     37,200         802,612   

Kawasaki Kisen Kaisha Ltd.(a)

     789,000         1,726,030   

Keiyo Bank Ltd. (The)

     122,000         645,831   

Kiyo Bank Ltd. (The)

     74,291         1,186,026   

Koatsu Gas Kogyo Co., Ltd.

     123,000         663,449   

Kohnan Shoji Co., Ltd.(a)

     57,400         722,742   

Kokuyo Co., Ltd.

     102,500         1,082,641   

Konaka Co., Ltd.

     85,700         440,790   

Kurabo Industries Ltd.

     381,000         674,421   

 

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 SmallCap Dividend Fund (DLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

KYB Co., Ltd.(a)

     285,000       $ 749,593   

Kyokuto Kaihatsu Kogyo Co., Ltd.

     60,400         601,151   

Kyokuto Securities Co., Ltd.(a)

     63,500         846,737   

KYORIN Holdings, Inc.

     46,100         702,865   

Kyosan Electric Manufacturing Co., Ltd.(a)

     229,000         609,953   

Kyoto Kimono Yuzen Co., Ltd.(a)

     98,300         820,774   

Kyowa Exeo Corp.

     86,700         834,677   

Lintec Corp.

     52,230         1,093,313   

Lion Corp.(a)

     204,000         1,786,799   

Maeda Road Construction Co., Ltd.

     42,000         733,637   

Makino Milling Machine Co., Ltd.(a)

     61,000         380,470   

Mandom Corp.

     21,830         710,867   

Maruha Nichiro Corp.(a)

     38,200         547,651   

Marusan Securities Co., Ltd.

     146,800         1,481,912   

Matsui Securities Co., Ltd.

     310,600         2,676,401   

Matsumotokiyoshi Holdings Co., Ltd.

     35,600         1,572,446   

Max Co., Ltd.

     58,547         549,955   

MegaChips Corp.(a)

     42,200         404,153   

Megmilk Snow Brand Co., Ltd.(a)

     56,400         1,076,528   

Meidensha Corp.(a)

     193,000         572,079   

Meitec Corp.

     40,300         1,399,808   

Mie Bank Ltd. (The)

     320,056         708,177   

Minato Bank Ltd. (The)

     429,787         764,369   

Ministop Co., Ltd.

     37,200         844,544   

Mirait Holdings Corp.

     59,400         536,641   

Misawa Homes Co., Ltd.

     70,400         424,992   

Mitsubishi Shokuhin Co., Ltd.(a)

     31,200         709,890   

Mitsui Engineering & Shipbuilding Co., Ltd.(a)

     320,000         459,567   

Mitsui Home Co., Ltd.(a)

     152,775         762,823   

Mitsui Mining & Smelting Co., Ltd.

     356,000         636,112   

Mitsui-Soko Holdings Co., Ltd.(a)

     235,000         682,837   

Miura Co., Ltd.

     74,800         862,512   

Miyazaki Bank Ltd. (The)

     215,000         725,254   

Monex Group, Inc.(a)

     198,138         484,736   

Morinaga Milk Industry Co., Ltd.

     218,000         904,655   

Musashino Bank Ltd. (The)

     28,200         1,013,660   

NAC Co., Ltd.(a)

     84,550         574,656   

Nachi-Fujikoshi Corp.(a)

     101,000         416,599   

Nagaileben Co., Ltd.

     31,200         575,727   

Nagase & Co., Ltd.

     83,500         966,317   

Nankai Electric Railway Co., Ltd.

     155,000         789,463   

NDS Co., Ltd.

     297,970         726,483   

NEC Networks & System Integration Corp.(a)

     37,100         660,746   

NET One Systems Co., Ltd.(a)

     121,200         684,100   

Nichias Corp.

     131,000         783,167   

Nichiha Corp.

     56,800         782,532   

Nichirei Corp.

     244,000         1,519,843   

Nifco, Inc.(a)

     38,300         1,303,156   

Nihon House Holdings Co., Ltd.(a)

     136,800         575,687   

Nihon Kohden Corp.

     43,800         723,387   

Nihon Parkerizing Co., Ltd.(a)

     59,500         483,889   

Nihon Unisys Ltd.(a)

     65,200         671,245   

Nippo Corp.

     39,000         662,673   

Nippon Coke & Engineering Co., Ltd.

     671,900         566,625   
Investments    Shares      Value  

Nippon Denko Co., Ltd.(a)

     248,400       $ 445,923   

Nippon Flour Mills Co., Ltd.

     220,194         1,371,559   

Nippon Kayaku Co., Ltd.(a)

     73,000         757,033   

Nippon Konpo Unyu Soko Co., Ltd.

     51,600         907,788   

Nippon Light Metal Holdings Co., Ltd.(a)

     435,400         647,111   

Nippon Paper Industries Co., Ltd.(a)

     79,800         1,214,674   

Nippon Road Co., Ltd. (The)

     164,000         817,501   

Nippon Shinyaku Co., Ltd.(a)

     20,000         718,908   

Nippon Soda Co., Ltd.

     95,000         538,596   

Nippon Steel & Sumikin Bussan Corp.(a)

     269,736         795,030   

Nippon Valqua Industries Ltd.

     284,000         682,937   

Nipro Corp.

     177,691         1,818,972   

Nishi-Nippon City Bank Ltd. (The)

     587,000         1,602,714   

Nishi-Nippon Railroad Co., Ltd.

     236,000         1,152,757   

Nishimatsu Construction Co., Ltd.

     191,000         791,016   

Nisshin Steel Co., Ltd.(a)

     83,400         741,627   

Nisshinbo Holdings, Inc.

     66,000         741,753   

Nissin Kogyo Co., Ltd.(a)

     51,300         765,870   

Nitta Corp.

     21,200         507,320   

Nitto Kogyo Corp.

     33,900         590,734   

Noevir Holdings Co., Ltd.

     28,200         608,432   

NOF Corp.(a)

     81,000         553,233   

Noritake Co., Ltd.

     253,000         532,342   

North Pacific Bank Ltd.

     129,200         509,184   

NS Solutions Corp.

     37,200         1,565,466   

NSD Co., Ltd.

     74,400         910,703   

Ohsho Food Service Corp.

     21,200         700,973   

Oiles Corp.(a)

     32,200         476,151   

Oita Bank Ltd. (The)(a)

     138,000         571,519   

Okabe Co., Ltd.(a)

     73,400         617,770   

Okamura Corp.

     51,700         464,486   

Oki Electric Industry Co., Ltd.(a)

     522,000         810,688   

OKUMA Corp.(a)

     58,000         360,306   

Okumura Corp.(a)

     163,000         865,595   

Okuwa Co., Ltd.

     69,000         566,910   

Onoken Co., Ltd.

     61,400         522,411   

Onward Holdings Co., Ltd.(a)

     169,000         996,234   

OSG Corp.(a)

     54,200         1,020,507   

Pal Co., Ltd.

     21,400         618,244   

Paltac Corp.

     74,676         1,343,688   

PanaHome Corp.(a)

     83,000         536,400   

Paramount Bed Holdings Co., Ltd.

     19,500         578,007   

Park24 Co., Ltd.

     104,400         1,957,854   

Plenus Co., Ltd.(a)

     33,800         521,259   

Relo Holdings, Inc.

     10,199         992,947   

Rengo Co., Ltd.(a)

     221,000         852,520   

Ricoh Leasing Co., Ltd.

     20,200         544,784   

Riso Kagaku Corp.

     44,900         761,049   

Rohto Pharmaceutical Co., Ltd.(a)

     43,200         661,175   

Ryobi Ltd.

     201,000         748,516   

Ryoden Trading Co., Ltd.

     85,000         564,940   

Ryosan Co., Ltd.

     29,786         694,132   

Saibu Gas Co., Ltd.

     370,000         843,402   

Saizeriya Co., Ltd.

     41,900         946,699   

 

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 SmallCap Dividend Fund (DLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

San-Ai Oil Co., Ltd.

     80,000       $ 545,735   

San-In Godo Bank Ltd. (The)

     118,000         1,149,802   

Sanden Holdings Corp.(a)

     111,000         343,848   

Sangetsu Co., Ltd.

     51,200         814,395   

Sankyu, Inc.

     255,000         1,228,531   

Sanoh Industrial Co., Ltd.

     102,600         609,098   

Sanrio Co., Ltd.(a)

     61,200         1,663,307   

Sanwa Holdings Corp.

     196,000         1,341,961   

Sanyo Chemical Industries Ltd.

     90,000         602,680   

Sapporo Holdings Ltd.(a)

     242,000         941,611   

Sato Holdings Corp.(a)

     32,400         601,929   

Sawai Pharmaceutical Co., Ltd.

     17,000         985,096   

Seika Corp.

     224,000         471,323   

Seiko Holdings Corp.(a)

     103,000         595,992   

Seino Holdings Co., Ltd.

     80,000         830,293   

Sekisui Jushi Corp.

     47,200         613,622   

Senko Co., Ltd.(a)

     167,000         1,171,294   

Senshu Ikeda Holdings, Inc.

     227,200         982,671   

Senshukai Co., Ltd.(a)

     103,600         647,905   

Shikoku Bank Ltd. (The)

     282,000         595,717   

Shimachu Co., Ltd.(a)

     33,200         725,735   

Shinko Electric Industries Co., Ltd.(a)

     103,800         581,554   

Shinsho Corp.

     221,680         418,317   

Ship Healthcare Holdings, Inc.

     43,200         927,015   

Showa Corp.

     87,400         693,274   

Showa Denko K.K.(a)

     804,000         879,422   

SKY Perfect JSAT Holdings, Inc.

     153,700         719,957   

Sotetsu Holdings, Inc.(a)

     384,000         2,093,700   

Space Co., Ltd.

     59,400         628,892   

St. Marc Holdings Co., Ltd.

     19,500         594,289   

Star Micronics Co., Ltd.(a)

     61,900         840,391   

Starts Corp., Inc.

     39,200         605,192   

Starzen Co., Ltd.

     21,900         572,346   

Sumitomo Bakelite Co., Ltd.(a)

     267,000         976,462   

Sumitomo Forestry Co., Ltd.

     79,500         885,509   

Sumitomo Osaka Cement Co., Ltd.

     310,000         1,097,483   

Sumitomo Real Estate Sales Co., Ltd.

     34,200         870,956   

Sumitomo Riko Co., Ltd.

     77,400         672,116   

Sumitomo Warehouse Co., Ltd. (The)

     174,295         838,258   

T-Gaia Corp.

     46,900         727,985   

Tadano Ltd.

     48,000         529,437   

Taiyo Holdings Co., Ltd.

     38,059         1,159,899   

Takasago Thermal Engineering Co., Ltd.(a)

     101,600         1,400,589   

Takiron Co., Ltd.

     122,000         498,126   

Toagosei Co., Ltd.(a)

     103,900         750,415   

Tochigi Bank Ltd. (The)

     115,000         628,940   

Toda Corp.(a)

     148,000         652,478   

Toei Co., Ltd.

     67,000         525,304   

Toho Bank Ltd. (The)

     294,000         1,085,025   

Toho Holdings Co., Ltd.(a)

     41,900         870,431   

TOKAI Holdings Corp.

     162,800         678,305   

Tokai Rika Co., Ltd.

     80,087         1,642,999   

Tokyo Seimitsu Co., Ltd.

     28,500         526,143   

Tokyo TY Financial Group, Inc.

     19,500         607,314   
Investments    Shares      Value  

Tokyotokeiba Co., Ltd.

     248,000       $ 592,226   

TOMONY Holdings, Inc.

     153,390         596,833   

Toppan Forms Co., Ltd.

     107,400         1,269,807   

Toshiba Machine Co., Ltd.

     129,000         402,839   

Toshiba TEC Corp.(a)

     212,000         672,651   

Toyo Ink SC Holdings Co., Ltd.

     275,000         1,003,423   

Toyo Securities Co., Ltd.

     170,000         528,034   

Toyobo Co., Ltd.(a)

     822,694         1,112,816   

Transcosmos, Inc.

     25,200         612,299   

TS Tech Co., Ltd.

     31,900         865,654   

Tsubakimoto Chain Co.

     71,000         442,842   

Tsugami Corp.(a)

     74,247         273,393   

Tsumura & Co.(a)

     59,400         1,287,045   

UACJ Corp.(a)

     305,540         487,272   

Ube Industries Ltd.(a)

     672,000         1,167,086   

Union Tool Co.

     14,000         337,010   

Unipres Corp.

     25,100         475,740   

United Arrows Ltd.(a)

     27,800         1,146,679   

Universal Entertainment Corp.(a)

     41,800         735,029   

Unizo Holdings Co., Ltd.(a)

     24,300         1,016,516   

UNY Group Holdings Co., Ltd.(a)

     185,600         1,165,376   

Ushio, Inc.(a)

     67,400         806,448   

Valor Co., Ltd.

     49,500         1,239,515   

Vital KSK Holdings, Inc.

     90,400         609,133   

Wacoal Holdings Corp.

     80,000         953,868   

Wacom Co., Ltd.(a)

     227,500         835,803   

Wakita & Co., Ltd.

     61,400         553,172   

Yamazen Corp.

     88,000         723,751   

Yuasa Trading Co., Ltd.

     36,600         750,244   

Yumeshin Holdings Co., Ltd.(a)

     116,600         687,343   

Zenrin Co., Ltd.(a)

     43,500         585,133   

Zeon Corp.

     75,000         589,279   
     

 

 

 
Total Japan               267,045,654   
Netherlands – 1.2%      

Accell Group

     44,352         947,086   

Amsterdam Commodities N.V.

     46,234         1,057,978   

Arcadis N.V.

     68,644         1,609,484   

BE Semiconductor Industries N.V.(a)

     81,754         1,263,921   

Beter Bed Holding N.V.

     24,504         544,316   

BinckBank N.V.

     113,555         933,176   

Brunel International N.V.(a)

     79,201         1,339,825   

Kendrion N.V.

     23,880         578,436   

NSI N.V.

     430,896         1,666,141   

TKH Group N.V. CVA

     39,639         1,431,612   

USG People N.V.

     57,279         779,080   
     

 

 

 
Total Netherlands               12,151,055   
New Zealand – 4.2%      

Air New Zealand Ltd.

     2,324,130         3,649,961   

Ebos Group Ltd.

     225,786         1,799,664   

Fisher & Paykel Healthcare Corp., Ltd.

     714,329         3,244,389   

Fonterra Co-operative Group Ltd.(a)

     213,072         741,484   

Freightways Ltd.

     231,944         823,479   

Genesis Energy Ltd.(a)

     3,755,676         4,396,585   

 

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 SmallCap Dividend Fund (DLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Heartland New Zealand Ltd.(a)

     1,141,290       $ 817,693   

Infratil Ltd.(a)

     1,026,051         2,008,476   

Kathmandu Holdings Ltd.(a)

     1,110,440         994,488   

Kiwi Property Group Ltd.

     2,285,580         1,878,780   

Mainfreight Ltd.

     73,136         708,794   

Meridian Energy Ltd.

     2,935,340         3,943,247   

Nuplex Industries Ltd.

     359,756         895,229   

Restaurant Brands New Zealand Ltd.

     278,592         702,168   

Skellerup Holdings Ltd.

     978,715         807,648   

Sky Network Television Ltd.(a)

     822,686         2,447,165   

SKYCITY Entertainment Group Ltd.

     1,012,901         2,423,343   

Tower Ltd.

     585,789         749,458   

Trade Me Group Ltd.(a)

     918,372         2,150,186   

TrustPower Ltd.

     696,280         3,304,944   

Z Energy Ltd.

     885,801         3,756,868   
     

 

 

 
Total New Zealand               42,244,049   
Norway – 3.6%      

ABG Sundal Collier Holding ASA

     1,595,054         1,267,816   

Aker ASA Class A

     164,788         2,859,159   

Aker Solutions ASA

     345,612         1,192,827   

American Shipping ASA*

     1,985         9,308   

Atea ASA*

     272,084         2,495,964   

Austevoll Seafood ASA

     359,723         2,235,090   

Borregaard ASA

     123,942         744,669   

Entra ASA(b)

     239,848         1,933,124   

Kongsberg Gruppen ASA(a)

     117,548         1,695,006   

Kvaerner ASA

     2,827,477         1,299,380   

Leroy Seafood Group ASA

     84,579         3,034,135   

Ocean Yield ASA

     367,632         2,801,416   

Petroleum Geo-Services ASA

     155,840         597,965   

Protector Forsikring ASA

     126,498         889,787   

Salmar ASA

     334,888         5,280,473   

Selvaag Bolig ASA

     225,405         665,909   

SpareBank 1 Nord Norge

     220,999         937,886   

SpareBank 1 SMN

     152,765         967,094   

Tomra Systems ASA

     141,360         1,325,768   

Veidekke ASA

     186,721         2,085,015   

Wilh. Wilhelmsen ASA

     360,154         1,545,327   

XXL ASA(b)

     95,480         929,055   
     

 

 

 
Total Norway               36,792,173   
Portugal – 0.7%      

Altri, SGPS, S.A.

     153,216         616,211   

CTT-Correios de Portugal S.A.

     225,119         2,505,100   

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

     752,584         2,251,392   

Semapa-Sociedade de Investimento e Gestao

     110,416         1,427,872   
     

 

 

 
Total Portugal               6,800,575   
Singapore – 3.4%      

Accordia Golf Trust

     3,704,200         1,641,217   

Asian Pay Television Trust

     5,725,400         3,160,869   

Chip Eng Seng Corp., Ltd.

     2,265,778         972,027   

Cosco Corp. Singapore Ltd.†(a)

     1,629,000         429,619   

CWT Ltd.(a)

     649,476         904,397   
Investments    Shares      Value  

Dyna-Mac Holdings Ltd.

     5,053,900       $ 622,007   

First Resources Ltd.(a)

     1,013,600         1,169,072   

GuocoLand Ltd.

     597,200         774,903   

Ho Bee Land Ltd.

     493,200         676,377   

Hyflux Ltd.(a)

     1,426,200         692,087   

Keppel Infrastructure Trust

     3,759,200         1,387,988   

Lian Beng Group Ltd.

     2,407,200         880,332   

Low Keng Huat Singapore Ltd.

     1,827,000         700,271   

M1 Ltd.

     1,513,200         3,001,072   

OSIM International Ltd.(a)

     1,000,500         1,143,408   

Pacc Offshore Services Holdings Ltd.

     3,577,200         805,052   

Pacific Radiance Ltd.(a)

     2,493,342         552,361   

Petra Foods Ltd.

     450,203         794,718   

QAF Ltd.

     743,000         530,378   

Raffles Education Corp., Ltd.

     2,453,800         474,573   

Raffles Medical Group Ltd.(a)

     379,000         1,204,782   

Religare Health Trust

     1,960,432         1,309,804   

Rotary Engineering Ltd.

     1,842,300         440,525   

Sheng Siong Group Ltd.

     1,605,800         931,701   

SMRT Corp., Ltd.(a)

     954,500         876,027   

Super Group Ltd.(a)

     1,179,300         638,625   

Swissco Holdings Ltd.(a)

     2,238,200         377,782   

UMS Holdings Ltd.

     2,215,167         786,736   

United Engineers Ltd.

     829,789         1,120,469   

UOB-Kay Hian Holdings Ltd.

     551,900         564,747   

Venture Corp., Ltd.

     519,344         3,027,893   

Wee Hur Holdings Ltd.

     2,683,699         547,347   

Wing Tai Holdings Ltd.(a)

     704,000         826,837   

Yanlord Land Group Ltd.(a)

     1,091,000         778,792   
     

 

 

 
Total Singapore               34,744,795   
Spain – 0.7%      

Cie Automotive S.A.(a)

     92,907         1,290,120   

Duro Felguera S.A.

     467,936         1,081,230   

Ence Energia y Celulosa S.A.

     267,656         864,942   

Faes Farma S.A.

     170,756         447,925   

Indra Sistemas S.A.(a)

     193,476         2,002,451   

Obrascon Huarte Lain S.A.(a)

     86,813         1,139,602   

Papeles y Cartones de Europa S.A.

     115,830         555,323   

Pescanova S.A.*†(a)

     7,082         0   
     

 

 

 
Total Spain               7,381,593   
Sweden – 5.8%      

Acando AB

     530,148         834,376   

AF AB Class B(a)

     93,428         1,289,404   

Atrium Ljungberg AB Class B(a)

     116,747         1,762,261   

Avanza Bank Holding AB

     19,648         804,704   

Betsson AB*

     85,523         1,435,742   

Bilia AB Class A

     100,661         2,010,328   

Castellum AB

     238,708         3,349,918   

Clas Ohlson AB Class B

     93,291         1,423,772   

Com Hem Holding AB

     73,088         609,571   

Duni AB

     89,960         1,319,305   

Elekta AB Class B(a)

     474,736         3,149,982   

Fabege AB

     234,600         3,432,127   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      95   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Haldex AB

     43,728       $ 458,810   

HIQ International AB*

     137,412         747,103   

Holmen AB Class B

     61,358         1,715,556   

Indutrade AB

     34,189         1,558,409   

Intrum Justitia AB

     71,852         2,478,438   

JM AB

     92,112         2,468,899   

KappAhl AB

     154,248         395,411   

KNOW IT AB

     110,724         676,591   

Kungsleden AB

     167,269         1,121,834   

Lifco AB Class B

     33,188         722,162   

Lindab International AB

     72,060         533,122   

Loomis AB Class B(a)

     74,926         1,957,337   

Mekonomen AB(a)

     54,869         1,269,169   

Modern Times Group MTG AB Class B(a)

     101,936         2,614,320   

NCC AB Class B

     128,608         3,870,331   

NetEnt AB*

     20,572         1,141,792   

Nobia AB

     106,622         1,297,966   

Nolato AB Class B

     43,511         1,089,455   

Nordnet AB Class B

     187,432         699,486   

Peab AB

     343,283         2,375,994   

Platzer Fastigheter Holding AB Class B

     122,022         504,845   

Proffice AB Class B

     246,261         546,134   

Ratos AB Class B(a)

     386,364         2,324,067   

Scandi Standard AB

     91,388         494,693   

SkiStar AB

     59,032         837,578   

Sweco AB Class B(a)

     93,738         1,296,476   

Wihlborgs Fastigheter AB

     104,108         1,861,942   
     

 

 

 
Total Sweden               58,479,410   
Switzerland – 1.6%      

Allreal Holding AG Registered Shares*

     22,861         2,983,090   

Ascom Holding AG Registered Shares

     44,198         811,948   

BKW AG

     59,325         2,258,612   

Cembra Money Bank AG*

     52,605         3,101,062   

Daetwyler Holding AG Bearer Shares(a)

     8,738         1,182,237   

EFG International AG*

     29,348         312,373   

Gategroup Holding AG*

     20,810         699,630   

Implenia AG Registered Shares

     21,179         1,044,753   

Kudelski S.A. Bearer Shares

     50,822         694,375   

Mobilezone Holding AG Registered Shares

     44,814         612,288   

Swissquote Group Holding S.A. Registered Shares

     16,135         353,381   

Tecan Group AG Registered Shares

     6,281         881,950   

Temenos Group AG Registered Shares*

     27,650         1,131,921   
     

 

 

 
Total Switzerland               16,067,620   
United Kingdom – 17.4%      

A.G.BARR PLC

     86,826         689,821   

Abcam PLC

     109,243         961,415   

Acacia Mining PLC

     226,605         851,260   

Al Noor Hospitals Group PLC

     55,514         701,309   

Alent PLC

     228,458         1,681,836   

Assura PLC

     801,836         664,983   

Assura PLC (Entitlement Shares)*

     160,367         11,539   

AVEVA Group PLC(a)

     28,258         871,485   
Investments    Shares      Value  

Bank of Georgia Holdings PLC

     48,799       $ 1,333,486   

BBA Aviation PLC

     535,316         2,170,699   

Big Yellow Group PLC

     159,932         1,753,941   

Bodycote PLC

     309,677         2,584,648   

Bovis Homes Group PLC

     144,689         2,207,018   

Brammer PLC(a)

     176,187         691,217   

Brewin Dolphin Holdings PLC

     280,204         1,090,808   

Card Factory PLC

     184,744         1,096,977   

Carillion PLC(a)

     845,252         3,862,802   

Central Asia Metals PLC

     316,144         755,432   

Chesnara PLC

     247,982         1,263,997   

Chime Communications PLC

     115,890         638,104   

Cineworld Group PLC

     235,647         1,981,052   

Computacenter PLC

     119,222         1,365,272   

Concentric AB

     42,820         496,509   

Connect Group PLC

     458,272         1,089,843   

Costain Group PLC

     186,590         1,025,973   

Countrywide PLC

     201,927         1,535,462   

Cranswick PLC

     52,099         1,259,515   

Crest Nicholson Holdings PLC

     246,841         2,134,983   

Dairy Crest Group PLC(a)

     238,105         2,194,674   

Darty PLC

     804,742         1,176,318   

De La Rue PLC

     259,953         1,896,957   

Debenhams PLC

     1,870,569         2,238,421   

Dechra Pharmaceuticals PLC

     80,569         1,145,973   

Development Securities PLC

     140,969         523,155   

Devro PLC

     209,533         936,301   

Diploma PLC

     100,822         1,015,589   

Domino’s Pizza Group PLC

     179,311         2,411,908   

Drax Group PLC(a)

     492,100         1,818,797   

E2V Technologies PLC

     326,017         1,121,004   

Electrocomponents PLC

     807,750         2,191,359   

Elementis PLC

     276,571         935,065   

EMIS Group PLC

     64,000         1,017,912   

esure Group PLC

     587,948         2,208,674   

Fenner PLC

     487,567         1,216,748   

Ferrexpo PLC

     1,325,225         712,621   

Fidessa Group PLC

     49,143         1,335,442   

Foxtons Group PLC

     203,338         730,591   

Galliford Try PLC

     99,071         2,380,075   

GAME Digital PLC(a)

     164,788         556,012   

Genus PLC

     43,891         944,071   

Go-Ahead Group PLC

     73,442         2,732,208   

Greggs PLC

     109,948         1,806,999   

Halfords Group PLC

     272,336         1,905,022   

Hargreaves Services PLC

     135,428         704,141   

Helical Bar PLC

     171,077         1,063,117   

HellermannTyton Group PLC

     105,344         744,872   

Hill & Smith Holdings PLC

     130,817         1,393,030   

Hilton Food Group PLC

     96,856         671,394   

Home Retail Group PLC

     703,208         1,448,651   

HomeServe PLC

     394,641         2,425,801   

Hunting PLC

     201,432         1,223,222   

Infinis Energy PLC(a)

     449,920         916,639   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree International SmallCap Dividend Fund (DLS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Interserve PLC

     185,303       $ 1,611,147   

ITE Group PLC

     428,597         915,396   

J D Wetherspoon PLC

     76,671         854,771   

James Fisher & Sons PLC

     31,778         448,144   

James Halstead PLC

     205,342         1,284,603   

John Menzies PLC

     103,593         648,461   

Johnson Service Group PLC

     444,941         586,358   

Just Retirement Group PLC

     298,676         741,063   

Just Retirement Group PLC (Entitlement Shares)*

     37,882         2,754   

Kcom Group PLC

     1,057,007         1,424,980   

Keller Group PLC

     57,292         750,239   

Kier Group PLC

     125,075         2,557,674   

Ladbrokes PLC

     2,687,610         3,896,001   

Laird PLC

     488,077         2,783,519   

Lookers PLC

     378,546         955,862   

LSL Property Services PLC

     138,012         716,009   

Marshalls PLC

     237,866         1,285,577   

Marston’s PLC

     1,075,448         2,441,923   

McColl’s Retail Group PLC

     257,216         576,634   

Mears Group PLC

     98,004         573,023   

Mitie Group PLC

     423,004         1,955,555   

Moneysupermarket.com Group PLC

     788,824         4,038,664   

Morgan Advanced Materials PLC

     267,950         1,145,791   

Morgan Sindall Group PLC

     68,133         761,649   

N Brown Group PLC(a)

     443,385         2,056,492   

National Express Group PLC

     708,589         3,056,858   

NCC Group PLC(a)

     231,999         962,892   

NMC Health PLC

     91,044         1,148,781   

Northgate PLC

     70,314         483,440   

Nostrum Oil & Gas PLC

     198,164         1,388,281   

Novae Group PLC

     125,297         1,641,715   

Numis Corp. PLC

     198,392         706,209   

Pace PLC

     124,233         678,396   

Pan African Resources PLC

     7,550,887         857,828   

PayPoint PLC

     94,596         1,464,416   

Pendragon PLC

     1,221,598         767,922   

Photo-Me International PLC

     375,333         894,022   

Polar Capital Holdings PLC

     216,787         1,228,955   

Premier Farnell PLC

     766,339         1,215,950   

PZ Cussons PLC(a)

     313,768         1,380,688   

QinetiQ Group PLC

     445,690         1,522,370   

Rank Group PLC

     391,476         1,585,058   

Redde PLC

     535,628         1,306,261   

Redrow PLC

     98,216         678,701   

Restaurant Group PLC (The)

     170,974         1,748,134   

Ricardo PLC

     60,194         802,374   

RPC Group PLC

     264,872         2,541,696   

RPS Group PLC

     326,424         1,111,278   

RWS Holdings PLC

     345,916         733,567   

Safestore Holdings PLC

     170,480         761,146   

Savills PLC

     110,938         1,533,395   

Schroders PLC Non-Voting Shares

     62,635         2,052,176   

Senior PLC

     234,142         890,922   

Shanks Group PLC

     406,385         564,787   
Investments    Shares      Value  

SIG PLC

     442,775       $ 1,164,324   

Soco International PLC

     736,600         1,760,119   

Spirent Communications PLC

     658,960         753,610   

St. Modwen Properties PLC

     102,511         645,027   

SThree PLC

     159,438         839,243   

Synthomer PLC(a)

     284,690         1,467,059   

Ted Baker PLC

     22,884         1,111,660   

Telecom Plus PLC(a)

     154,832         2,619,720   

TT electronics PLC

     286,216         576,616   

Tullett Prebon PLC

     364,493         2,064,361   

Tyman PLC

     158,280         665,918   

Ultra Electronics Holdings PLC

     44,150         1,145,589   

Unite Group PLC (The)

     98,157         970,902   

Vesuvius PLC

     375,941         2,006,765   

WS Atkins PLC

     93,519         1,966,212   

Xchanging PLC

     339,608         549,145   

Zoopla Property Group PLC(a)(b)

     133,980         423,955   
     

 

 

 
Total United Kingdom               175,964,881   

TOTAL COMMON STOCKS

(Cost: $1,015,547,854)

              1,002,223,574   
EXCHANGE-TRADED FUNDS – 0.3%      
United States – 0.3%      

WisdomTree Europe SmallCap Dividend Fund(a)(c)

     31,782         1,711,461   

WisdomTree Japan SmallCap Dividend Fund(a)(c)

     27,174         1,451,091   

TOTAL EXCHANGE-TRADED FUNDS

(Cost: $3,220,906)

              3,162,552   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 16.5%   
United States – 16.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(d)

     
(Cost: $166,511,236)(e)      166,511,236         166,511,236   

TOTAL INVESTMENTS IN SECURITIES – 115.9%

(Cost: $1,185,279,996)

  

  

     1,171,897,362   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (15.9)%

        (160,585,717
     

 

 

 
NET ASSETS – 100.0%             $ 1,011,311,645   
* 

Non-income producing security.

 

 

Security is being fair valued by a valuation committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $429,619, which represents 0.0% of net assets.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (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 7).

 

(d) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(e) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $161,159,534 and the total market value of the collateral held by the Fund was $170,166,402. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $3,655,166.

CVA – Certificaten Van Aandelen (Certificate of Stock)

RSP – Risparmio Italian Savings Shares

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      97   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Capital Goods Fund (DXJC)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.4%      
Japan – 100.4%      
Auto Components – 16.8%      

Aisin Seiki Co., Ltd.

     750       $ 25,049   

Bridgestone Corp.

     2,452         84,473   

Calsonic Kansei Corp.

     711         5,301   

Denso Corp.

     1,818         76,445   

Eagle Industry Co., Ltd.

     100         1,775   

Exedy Corp.(a)

     162         3,576   

FCC Co., Ltd.

     168         2,684   

HI-LEX Corp.

     100         2,922   

Keihin Corp.

     177         2,492   

Koito Manufacturing Co., Ltd.

     536         17,387   

KYB Co., Ltd.

     1,106         2,909   

Mitsuba Corp.

     177         2,359   

NGK Spark Plug Co., Ltd.

     637         14,515   

NHK Spring Co., Ltd.

     913         8,805   

Nifco, Inc.(a)

     209         7,111   

Nissin Kogyo Co., Ltd.(a)

     168         2,508   

NOK Corp.

     465         9,990   

Pacific Industrial Co., Ltd.

     200         1,989   

Sanden Holdings Corp.

     720         2,230   

Stanley Electric Co., Ltd.

     668         13,247   

Sumitomo Electric Industries Ltd.

     2,919         37,132   

Sumitomo Rubber Industries Ltd.

     767         10,605   

Tokai Rika Co., Ltd.

     224         4,595   

Topre Corp.

     179         3,441   

Toyo Tire & Rubber Co., Ltd.

     429         9,235   

Toyoda Gosei Co., Ltd.

     326         6,378   

Toyota Boshoku Corp.(a)

     356         6,007   

TPR Co., Ltd.

     115         2,605   

TS Tech Co., Ltd.

     190         5,156   

Unipres Corp.

     163         3,090   

Yokohama Rubber Co., Ltd. (The)

     549         9,631   
     

 

 

 
Total Auto Components               385,642   
Automobiles – 33.9%      

Daihatsu Motor Co., Ltd.

     782         9,017   

Fuji Heavy Industries Ltd.

     2,357         84,290   

Honda Motor Co., Ltd.

     6,530         192,959   

Isuzu Motors Ltd.

     2,436         24,306   

Mazda Motor Corp.

     2,336         36,669   

Mitsubishi Motors Corp.

     2,953         22,487   

Nissan Motor Co., Ltd.

     9,053         82,695   

Nissan Shatai Co., Ltd.

     362         3,981   

Suzuki Motor Corp.

     1,709         52,255   

Toyota Motor Corp.

     4,229         246,152   

Yamaha Motor Co., Ltd.

     1,130         22,559   
     

 

 

 
Total Automobiles               777,370   
Building Products – 5.2%      

Aica Kogyo Co., Ltd.

     250         4,983   

Asahi Glass Co., Ltd.

     4,538         26,410   

Bunka Shutter Co., Ltd.

     236         1,689   

Central Glass Co., Ltd.

     780         3,400   
Investments    Shares      Value  

Daikin Industries Ltd.

     1,143       $ 63,714   

Nippon Sheet Glass Co., Ltd.*

     3,653         3,080   

Nitto Boseki Co., Ltd.

     966         2,879   

Noritz Corp.

     176         2,638   

Sanwa Holdings Corp.

     935         6,402   

Takasago Thermal Engineering Co., Ltd.(a)

     212         2,922   
     

 

 

 
Total Building Products               118,117   
Chemicals – 1.6%      

Kansai Paint Co., Ltd.

     1,485         20,112   

Nippon Paint Holdings Co., Ltd.

     720         12,510   

Toyo Ink SC Holdings Co., Ltd.

     831         3,032   
     

 

 

 
Total Chemicals               35,654   
Construction & Engineering – 1.8%      

COMSYS Holdings Corp.

     576         6,839   

JGC Corp.

     1,064         14,068   

Kandenko Co., Ltd.

     563         3,629   

Kyowa Exeo Corp.

     379         3,649   

Kyudenko Corp.

     226         3,750   

Mirait Holdings Corp.

     219         1,978   

Nippon Densetsu Kogyo Co., Ltd.

     201         3,592   

Taikisha Ltd.

     159         3,584   
     

 

 

 
Total Construction & Engineering               41,089   
Electrical Equipment – 7.5%      

Daihen Corp.

     470         2,213   

Fuji Electric Co., Ltd.

     2,547         9,187   

Fujikura Ltd.

     1,602         6,581   

Furukawa Electric Co., Ltd.(a)

     3,095         4,858   

GS Yuasa Corp.(a)

     1,167         4,385   

Mitsubishi Electric Corp.

     7,810         71,080   

Nidec Corp.

     952         65,070   

Nitto Kogyo Corp.

     100         1,743   

Ushio, Inc.

     535         6,401   
     

 

 

 
Total Electrical Equipment               171,518   
Machinery – 27.9%      

Aida Engineering Ltd.

     262         2,150   

Amada Holdings Co., Ltd.

     1,595         12,093   

Asahi Diamond Industrial Co., Ltd.(a)

     349         3,150   

CKD Corp.

     210         1,724   

Daifuku Co., Ltd.

     438         5,980   

DMG Mori Co., Ltd.

     416         5,248   

Ebara Corp.

     1,792         6,584   

FANUC Corp.

     704         107,659   

Fuji Machine Manufacturing Co., Ltd.(a)

     300         2,625   

Fujitec Co., Ltd.

     240         2,084   

Furukawa Co., Ltd.(a)

     1,714         3,607   

Glory Ltd.

     231         5,433   

Hino Motors Ltd.

     1,100         11,141   

Hitachi Construction Machinery Co., Ltd.(a)

     358         4,774   

Hitachi Zosen Corp.

     553         2,858   

Hoshizaki Electric Co., Ltd.

     239         16,663   

IHI Corp.(a)

     4,925         12,583   

Japan Steel Works Ltd. (The)

     1,703         5,375   

 

See Notes to Financial Statements.

 

98   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, 2015

 

  

 

 

Investments    Shares      Value  

JTEKT Corp.

     925       $ 12,852   

Kawasaki Heavy Industries Ltd.

     5,974         20,501   

Komatsu Ltd.

     3,423         50,088   

Kubota Corp.

     4,217         57,587   

Kurita Water Industries Ltd.

     400         8,460   

Makino Milling Machine Co., Ltd.

     399         2,489   

Makita Corp.

     449         23,731   

Meidensha Corp.

     1,039         3,080   

Minebea Co., Ltd.(a)

     1,652         17,394   

Mitsubishi Heavy Industries Ltd.

     12,325         54,789   

Mitsui Engineering & Shipbuilding Co., Ltd.

     3,547         5,094   

Miura Co., Ltd.

     400         4,612   

Nabtesco Corp.

     328         5,951   

Nachi-Fujikoshi Corp.

     818         3,374   

NGK Insulators Ltd.

     1,313         24,963   

Nitta Corp.

     100         2,393   

NSK Ltd.

     1,853         17,839   

NTN Corp.

     2,059         8,424   

Obara Group, Inc.

     45         1,760   

OKUMA Corp.

     556         3,454   

OSG Corp.

     364         6,854   

Ryobi Ltd.

     600         2,234   

Shinmaywa Industries Ltd.

     351         3,523   

SMC Corp.

     262         56,998   

Star Micronics Co., Ltd.

     149         2,023   

Sumitomo Heavy Industries Ltd.

     2,327         9,151   

Tadano Ltd.

     412         4,544   

Takeuchi Manufacturing Co., Ltd.

     100         1,737   

Takuma Co., Ltd.

     300         2,257   

THK Co., Ltd.

     282         4,460   

Tsubakimoto Chain Co.

     574         3,580   
     

 

 

 
Total Machinery               637,927   
Metals & Mining – 5.7%      

Daido Steel Co., Ltd.

     1,711         5,400   

Hitachi Metals Ltd.

     698         8,060   

JFE Holdings, Inc.

     2,122         27,684   

Kobe Steel Ltd.

     12,106         13,040   

Nippon Steel & Sumitomo Metal Corp.

     3,564         64,533   

Nisshin Steel Co., Ltd.

     400         3,557   

Sanyo Special Steel Co., Ltd.

     720         2,723   

Tokyo Steel Manufacturing Co., Ltd.

     369         2,006   

Yamato Kogyo Co., Ltd.

     191         3,812   
     

 

 

 
Total Metals & Mining               130,815   
TOTAL COMMON STOCKS
(Cost: $2,766,165)
              2,298,132   
Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.4%   
United States – 2.4%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $55,905)(c)      55,905       $ 55,905   
TOTAL INVESTMENTS IN SECURITIES – 102.8%
(Cost: $2,822,070)
        2,354,037   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (2.8)%

        (64,629
     

 

 

 
NET ASSETS – 100.0%             $ 2,289,408   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $53,131 and the total market value of the collateral held by the Fund was $55,905.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      99   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.4%      
Japan – 100.4%      
Air Freight & Logistics – 0.0%      

Kintetsu World Express, Inc.

     231,400       $ 4,061,310   

Yusen Logistics Co., Ltd.

     147,200         1,503,157   
     

 

 

 
Total Air Freight & Logistics               5,564,467   
Airlines – 0.9%      

Japan Airlines Co., Ltd.

     3,882,400         136,636,881   
Auto Components – 7.3%      

Aisan Industry Co., Ltd.

     223,800         2,042,445   

Aisin Seiki Co., Ltd.

     2,275,608         76,002,438   

Bridgestone Corp.

     8,590,485         295,949,076   

Calsonic Kansei Corp.

     1,837,000         13,697,165   

Daido Metal Co., Ltd.

     496,200         4,109,969   

Denso Corp.

     6,552,079         275,508,453   

Eagle Industry Co., Ltd.

     373,800         6,635,484   

Exedy Corp.

     409,415         9,038,477   

FCC Co., Ltd.(a)

     461,100         7,365,126   

Keihin Corp.

     587,334         8,268,235   

Koito Manufacturing Co., Ltd.

     549,301         17,818,514   

KYB Co., Ltd.(a)

     594,000         1,562,310   

NGK Spark Plug Co., Ltd.(a)

     966,864         22,031,243   

NHK Spring Co., Ltd.

     1,752,000         16,896,088   

Nifco, Inc.(a)

     461,845         15,714,260   

NOK Corp.

     833,800         17,913,142   

Pacific Industrial Co., Ltd.(a)

     926,200         9,210,572   

Press Kogyo Co., Ltd.(a)

     1,843,200         7,002,513   

Sanden Holdings Corp.(a)

     2,005,000         6,210,955   

Showa Corp.

     929,800         7,375,360   

Stanley Electric Co., Ltd.(a)

     931,407         18,470,268   

Sumitomo Electric Industries Ltd.

     5,353,083         68,095,203   

Sumitomo Rubber Industries Ltd.

     2,794,391         38,638,262   

Tokai Rika Co., Ltd.

     1,152,014         23,633,769   

Topre Corp.

     498,600         9,583,578   

Toyo Tire & Rubber Co., Ltd.

     1,272,100         27,382,573   

Toyoda Gosei Co., Ltd.

     750,100         14,674,440   

Toyota Boshoku Corp.(a)

     854,136         14,413,300   

TPR Co., Ltd.

     263,994         5,980,176   

TS Tech Co., Ltd.

     475,232         12,896,122   

Unipres Corp.

     373,400         7,077,343   

Yokohama Rubber Co., Ltd. (The)

     1,635,600         28,692,820   
     

 

 

 
Total Auto Components               1,089,889,679   
Automobiles – 14.1%      

Daihatsu Motor Co., Ltd.(a)

     3,117,669         35,949,576   

Fuji Heavy Industries Ltd.

     4,795,467         171,494,052   

Honda Motor Co., Ltd.(a)

     15,718,147         464,463,927   

Isuzu Motors Ltd.

     5,922,300         59,091,959   

Mazda Motor Corp.(a)

     1,240,615         19,474,439   

Mitsubishi Motors Corp.

     4,840,201         36,857,707   

Nissan Motor Co., Ltd.(a)

     49,451,004         451,712,925   

Suzuki Motor Corp.

     1,487,636         45,486,770   

Toyota Motor Corp.

     13,210,275         768,912,679   
Investments    Shares      Value  

Yamaha Motor Co., Ltd.(a)

     2,354,700       $ 47,009,458   
     

 

 

 
Total Automobiles               2,100,453,492   
Banks – 8.3%      

Mitsubishi UFJ Financial Group, Inc.

     117,686,022         703,964,148   

Mizuho Financial Group, Inc.(a)

     283,405,144         527,457,993   
     

 

 

 
Total Banks               1,231,422,141   
Beverages – 1.1%      

Kirin Holdings Co., Ltd.

     8,034,245         105,019,084   

Suntory Beverage & Food Ltd.

     1,489,500         57,022,982   
     

 

 

 
Total Beverages               162,042,066   
Building Products – 1.2%      

Aica Kogyo Co., Ltd.

     571,000         11,380,428   

Asahi Glass Co., Ltd.(a)

     11,294,735         65,732,312   

Central Glass Co., Ltd.

     1,765,000         7,692,815   

Daikin Industries Ltd.(a)

     1,323,249         73,761,202   

Noritz Corp.

     602,400         9,028,581   

Sanwa Holdings Corp.

     2,025,231         13,866,233   
     

 

 

 
Total Building Products               181,461,571   
Capital Markets – 1.5%      

Monex Group, Inc.(a)

     2,133,296         5,219,018   

Nomura Holdings, Inc.

     37,023,945         212,718,044   
     

 

 

 
Total Capital Markets               217,937,062   
Chemicals – 5.9%      

ADEKA Corp.

     894,000         11,361,149   

Asahi Kasei Corp.

     10,024,522         70,309,343   

Daicel Corp.

     2,098,242         25,613,742   

Denki Kagaku Kogyo K.K.

     6,138,076         24,087,970   

DIC Corp.

     7,254,538         16,173,019   

Fujimi, Inc.

     571,900         7,692,823   

Hitachi Chemical Co., Ltd.(a)

     1,348,915         18,482,608   

JSR Corp.(a)

     2,030,600         29,128,467   

Kaneka Corp.

     2,334,000         17,110,608   

Kansai Paint Co., Ltd.(a)

     906,000         12,270,129   

Kuraray Co., Ltd.

     2,739,837         33,994,888   

Kureha Corp.(a)

     1,188,000         4,255,433   

Lintec Corp.

     778,347         16,292,873   

Mitsubishi Chemical Holdings Corp.

     11,762,063         61,017,574   

Mitsubishi Gas Chemical Co., Inc.

     2,596,564         11,924,270   

Mitsui Chemicals, Inc.(a)

     4,364,079         13,883,139   

Nippon Kayaku Co., Ltd.(a)

     1,740,000         18,044,337   

Nippon Paint Holdings Co., Ltd.(a)

     853,400         14,828,417   

Nippon Shokubai Co., Ltd.(a)

     221,200         14,960,297   

Nippon Soda Co., Ltd.

     1,020,000         5,782,825   

Nippon Synthetic Chemical Industry Co., Ltd. (The)

     1,077,000         6,708,487   

Nissan Chemical Industries Ltd.(a)

     1,084,753         23,721,188   

Nitto Denko Corp.

     1,071,774         63,761,447   

NOF Corp.

     922,000         6,297,299   

Sanyo Chemical Industries Ltd.

     1,167,000         7,814,754   

Shin-Etsu Chemical Co., Ltd.(a)

     2,128,879         108,696,991   

Showa Denko K.K.(a)

     5,972,312         6,532,567   

Sumitomo Bakelite Co., Ltd.

     3,950,000         14,445,790   

 

See Notes to Financial Statements.

 

100   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, 2015

 

  

 

 

Investments    Shares      Value  

Sumitomo Chemical Co., Ltd.

     9,182,485       $ 46,155,855   

Taiyo Holdings Co., Ltd.

     236,526         7,208,449   

Taiyo Nippon Sanso Corp.(a)

     1,580,953         14,942,920   

Teijin Ltd.

     5,870,000         17,742,579   

Toray Industries, Inc.(a)

     7,943,318         68,347,090   

Tosoh Corp.(a)

     3,090,614         14,786,639   

Toyobo Co., Ltd.

     10,422,513         14,098,001   

Ube Industries Ltd.

     12,967,000         22,520,235   

Zeon Corp.

     893,000         7,016,349   
     

 

 

 
Total Chemicals               878,010,551   
Commercial Services & Supplies – 0.1%      

Pilot Corp.

     82,000         3,372,020   

Sato Holdings Corp.

     360,767         6,702,347   
     

 

 

 
Total Commercial Services & Supplies               10,074,367   
Communications Equipment – 0.1%      

Hitachi Kokusai Electric, Inc.

     1,026,000         10,785,572   
Construction & Engineering – 0.1%      

JGC Corp.(a)

     582,416         7,700,545   
Construction Materials – 0.2%      

Taiheiyo Cement Corp.

     9,059,000         27,079,046   
Containers & Packaging – 0.1%      

Fuji Seal International, Inc.(a)

     266,491         7,654,399   
Electrical Equipment – 1.7%      

Denyo Co., Ltd.

     79,900         1,260,894   

Fuji Electric Co., Ltd.

     4,474,869         16,141,138   

Fujikura Ltd.

     1,568,577         6,443,785   

Furukawa Electric Co., Ltd.

     2,852,000         4,476,901   

GS Yuasa Corp.(a)

     1,748,920         6,571,319   

Mitsubishi Electric Corp.

     14,540,114         132,331,852   

Nidec Corp.

     910,158         62,209,772   

Sanyo Denki Co., Ltd.

     725,000         4,316,161   

Tatsuta Electric Wire and Cable Co., Ltd.

     1,817,800         6,587,277   

Ushio, Inc.(a)

     744,109         8,903,337   
     

 

 

 
Total Electrical Equipment               249,242,436   
Electronic Equipment, Instruments & Components – 4.9%   

Alps Electric Co., Ltd.

     14,500         406,191   

Amano Corp.

     776,733         8,924,015   

Anritsu Corp.(a)

     2,468,700         14,944,329   

Canon Electronics, Inc.

     643,000         10,340,400   

Citizen Holdings Co., Ltd.(a)

     1,896,185         13,046,019   

Enplas Corp.(a)

     177,948         6,136,394   

Hakuto Co., Ltd.

     586,619         6,132,401   

Hamamatsu Photonics K.K.

     847,200         19,099,403   

Hirose Electric Co., Ltd.(a)

     237,800         25,752,649   

Hitachi High-Technologies Corp.

     870,919         18,739,684   

Hitachi Ltd.

     27,772,028         139,341,307   

Horiba Ltd.

     312,200         11,339,457   

Ibiden Co., Ltd.(a)

     1,052,301         13,733,115   

Japan Aviation Electronics Industry Ltd.

     309,000         4,600,234   

Keyence Corp.

     98,510         43,758,460   

Koa Corp.

     312,446         2,705,352   

Kyocera Corp.

     2,231,318         101,724,179   
Investments    Shares      Value  

Murata Manufacturing Co., Ltd.

     964,956       $ 123,837,296   

Nichicon Corp.(a)

     788,300         5,640,822   

Nippon Electric Glass Co., Ltd.(a)

     3,166,301         15,228,066   

Oki Electric Industry Co., Ltd.

     5,132,309         7,970,688   

Omron Corp.

     1,157,700         34,654,152   

Ryosan Co., Ltd.

     424,845         9,900,575   

Sanshin Electronics Co., Ltd.(a)

     586,554         5,950,512   

Shimadzu Corp.

     1,290,000         18,472,425   

Siix Corp.(a)

     331,200         8,586,616   

TDK Corp.

     520,168         29,229,997   

Topcon Corp.

     250,800         3,268,892   

UKC Holdings Corp.

     149,399         2,851,635   

Yaskawa Electric Corp.(a)

     1,318,600         13,343,992   

Yokogawa Electric Corp.(a)

     1,113,638         11,595,262   
     

 

 

 
Total Electronic Equipment, Instruments & Components         731,254,519   
Energy Equipment & Services – 0.0%      

Modec, Inc.(a)

     593,600         7,201,610   
Food & Staples Retailing – 1.6%      

Ministop Co., Ltd.(a)

     175,500         3,984,340   

Seven & I Holdings Co., Ltd.

     5,166,724         234,856,974   
     

 

 

 
Total Food & Staples Retailing               238,841,314   
Food Products – 0.9%      

Ajinomoto Co., Inc.

     2,643,513         55,512,339   

Fuji Oil Co., Ltd.

     779,100         10,083,121   

Kikkoman Corp.(a)

     793,000         21,717,864   

Nisshin Oillio Group Ltd. (The)

     2,466,909         8,918,896   

Sakata Seed Corp.

     220,639         3,629,264   

Toyo Suisan Kaisha Ltd.

     639,000         24,116,228   

Yakult Honsha Co., Ltd.(a)

     260,087         12,899,568   
     

 

 

 
Total Food Products               136,877,280   
Health Care Equipment & Supplies – 1.3%      

Asahi Intecc Co., Ltd.

     49,600         1,776,679   

Hoya Corp.

     2,897,157         94,414,927   

Nihon Kohden Corp.

     555,600         9,176,110   

Nikkiso Co., Ltd.(a)

     724,300         4,832,094   

Nipro Corp.

     2,430,600         24,881,356   

Sysmex Corp.

     473,260         24,815,871   

Terumo Corp.(a)

     1,464,356         41,204,690   
     

 

 

 
Total Health Care Equipment & Supplies               201,101,727   
Health Care Providers & Services – 0.1%      

Miraca Holdings, Inc.

     424,000         17,913,748   
Health Care Technology – 0.0%      

M3, Inc.

     35,400         699,635   
Household Durables – 1.7%      

Casio Computer Co., Ltd.(a)

     1,675,757         30,292,772   

Foster Electric Co., Ltd.

     595,496         11,838,817   

Fujitsu General Ltd.

     685,000         7,412,516   

Nikon Corp.(a)

     3,201,000         38,540,826   

Panasonic Corp.

     9,833,070         98,811,003   

Rinnai Corp.

     251,300         19,094,310   

Sekisui Chemical Co., Ltd.

     3,623,000         37,904,388   

 

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 Japan Hedged Equity Fund (DXJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Tamron Co., Ltd.

     351,000       $ 6,380,220   
     

 

 

 
Total Household Durables               250,274,852   
Household Products – 0.3%      

Lion Corp.(a)

     1,549,000         13,567,411   

Pigeon Corp.

     582,900         13,544,948   

Unicharm Corp.

     1,120,800         19,783,503   
     

 

 

 
Total Household Products               46,895,862   
Industrial Conglomerates – 0.1%      

Nisshinbo Holdings, Inc.

     908,000         10,204,718   
Insurance – 1.5%      

Tokio Marine Holdings, Inc.

     6,140,200         227,735,719   
IT Services – 0.7%      

Fujitsu Ltd.

     8,325,328         36,042,939   

NTT Data Corp.

     1,286,600         64,563,654   
     

 

 

 
Total IT Services               100,606,593   
Leisure Products – 0.3%      

Dunlop Sports Co., Ltd.

     136,580         1,279,529   

Shimano, Inc.

     107,600         15,039,653   

Yamaha Corp.

     1,232,307         27,143,371   
     

 

 

 
Total Leisure Products               43,462,553   
Machinery – 8.6%      

Aida Engineering Ltd.

     651,000         5,343,239   

Amada Holdings Co., Ltd.(a)

     3,253,793         24,668,676   

Asahi Diamond Industrial Co., Ltd.(a)

     757,000         6,832,689   

CKD Corp.

     697,300         5,723,257   

Daifuku Co., Ltd.(a)

     758,100         10,349,380   

DMG Mori Co., Ltd.

     514,300         6,488,601   

Ebara Corp.(a)

     3,705,158         13,612,237   

FANUC Corp.

     2,478,689         379,052,219   

Fujitec Co., Ltd.

     767,900         6,668,192   

Furukawa Co., Ltd.(a)

     5,804,000         12,212,316   

Glory Ltd.

     477,300         11,226,603   

Hino Motors Ltd.(a)

     6,174,410         62,535,460   

Hitachi Construction Machinery Co., Ltd.(a)

     2,644,100         35,257,610   

Hitachi Koki Co., Ltd.

     1,209,511         8,402,398   

Hoshizaki Electric Co., Ltd.

     305,169         21,276,342   

IHI Corp.(a)

     2,586,882         6,609,493   

Japan Steel Works Ltd. (The)(a)

     354,313         1,118,276   

JTEKT Corp.

     2,093,978         29,093,470   

Kawasaki Heavy Industries Ltd.(a)

     10,735,510         36,841,269   

Kitz Corp.

     1,784,200         7,895,679   

Komatsu Ltd.

     8,230,306         120,432,608   

Kubota Corp.(a)

     7,276,502         99,367,253   

Kurita Water Industries Ltd.

     815,500         17,247,622   

Makino Milling Machine Co., Ltd.

     583,000         3,636,296   

Makita Corp.

     1,062,269         56,144,640   

Meidensha Corp.

     2,272,000         6,734,522   

Minebea Co., Ltd.(a)

     797,701         8,398,956   

Mitsubishi Heavy Industries Ltd.

     18,486,198         82,178,030   

Mitsubishi Nichiyu Forklift Co., Ltd.

     488,900         1,918,616   

Mitsui Engineering & Shipbuilding Co., Ltd.

     4,391,315         6,306,569   

Nabtesco Corp.

     599,700         10,880,876   
Investments    Shares      Value  

Nachi-Fujikoshi Corp.(a)

     1,617,000       $ 6,669,712   

NGK Insulators Ltd.(a)

     1,187,875         22,584,155   

Nippon Thompson Co., Ltd.

     534,000         2,202,613   

Nitta Corp.

     168,500         4,032,238   

NSK Ltd.(a)

     2,875,066         27,678,797   

NTN Corp.

     1,073,000         4,390,014   

Obara Group, Inc.(a)

     82,600         3,231,169   

Oiles Corp.(a)

     184,500         2,728,255   

OKUMA Corp.(a)

     530,000         3,292,448   

OSG Corp.(a)

     581,224         10,943,599   

Ryobi Ltd.

     1,552,000         5,779,585   

SMC Corp.

     141,751         30,838,077   

Sodick Co., Ltd.(a)

     193,000         1,200,559   

Star Micronics Co., Ltd.(a)

     915,400         12,428,008   

Sumitomo Heavy Industries Ltd.

     3,898,186         15,330,402   

Tadano Ltd.

     860,000         9,485,743   

THK Co., Ltd.(a)

     806,579         12,755,485   

Tsubakimoto Chain Co.

     1,269,000         7,915,025   
     

 

 

 
Total Machinery               1,287,939,278   
Marine – 0.4%      

Kawasaki Kisen Kaisha Ltd.(a)

     9,155,725         20,029,224   

Nippon Yusen K.K.

     15,863,035         36,556,570   

NS United Kaiun Kaisha Ltd.

     1,531,000         3,004,091   
     

 

 

 
Total Marine               59,589,885   
Media – 0.4%      

Dentsu, Inc.

     1,070,500         54,702,626   
Metals & Mining – 2.3%      

Aichi Steel Corp.

     3,086,000         11,595,207   

Hitachi Metals Ltd.

     2,200,018         25,404,959   

JFE Holdings, Inc.(a)

     4,635,062         60,470,792   

Kobe Steel Ltd.

     21,549,000         23,210,629   

Kyoei Steel Ltd.(a)

     386,300         6,044,555   

Mitsubishi Materials Corp.(a)

     8,286,000         25,045,147   

Mitsubishi Steel Manufacturing Co., Ltd.

     2,894,000         5,291,913   

Mitsui Mining & Smelting Co., Ltd.

     3,129,000         5,590,999   

Nippon Steel & Sumitomo Metal Corp.

     4,895,499         88,639,335   

Sanyo Special Steel Co., Ltd.

     1,270,000         4,803,657   

Sumitomo Metal Mining Co., Ltd.(a)

     5,555,000         62,709,139   

Toyo Kohan Co., Ltd.

     350,600         1,045,082   

UACJ Corp.(a)

     3,729,000         5,946,971   

Yamato Kogyo Co., Ltd.

     610,200         12,176,997   
     

 

 

 
Total Metals & Mining               337,975,382   
Multiline Retail – 0.1%      

Ryohin Keikaku Co., Ltd.

     117,000         23,758,527   
Oil, Gas & Consumable Fuels – 0.5%      

TonenGeneral Sekiyu K.K.

     7,229,000         69,836,371   
Paper & Forest Products – 0.2%      

Oji Holdings Corp.

     8,702,000         37,201,386   
Personal Products – 1.1%      

Kao Corp.

     2,667,080         120,320,905   

Mandom Corp.

     203,500         6,626,727   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Equity Fund (DXJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Shiseido Co., Ltd.(a)

     1,700,622       $ 36,926,210   
     

 

 

 
Total Personal Products               163,873,842   
Pharmaceuticals – 7.1%      

Astellas Pharma, Inc.

     15,461,804         199,461,338   

Daiichi Sankyo Co., Ltd.(a)

     7,391,721         127,757,379   

Eisai Co., Ltd.(a)

     2,574,277         151,105,643   

Hisamitsu Pharmaceutical Co., Inc.(a)

     452,400         15,071,815   

Kyowa Hakko Kirin Co., Ltd.(a)

     3,789,470         56,257,485   

Rohto Pharmaceutical Co., Ltd.

     691,200         10,578,797   

Shionogi & Co., Ltd.

     2,088,077         74,533,705   

Sumitomo Dainippon Pharma Co., Ltd.(a)

     1,501,500         14,969,240   

Takeda Pharmaceutical Co., Ltd.(a)

     9,519,663         416,269,153   
     

 

 

 
Total Pharmaceuticals               1,066,004,555   
Professional Services – 0.6%      

Recruit Holdings Co., Ltd.

     3,113,000         93,053,396   
Road & Rail – 0.3%      

Hitachi Transport System Ltd.

     832,300         13,655,655   

Nippon Express Co., Ltd.

     6,108,000         29,018,929   
     

 

 

 
Total Road & Rail               42,674,584   
Semiconductors & Semiconductor Equipment – 0.7%      

Advantest Corp.(a)

     544,000         3,888,148   

Disco Corp.(a)

     89,100         6,219,480   

MegaChips Corp.

     491,400         4,706,181   

Mitsui High-Tec, Inc.

     229,400         1,229,698   

SCREEN Holdings Co., Ltd.(a)

     264,300         1,284,370   

Shindengen Electric Manufacturing Co., Ltd.

     1,266,000         4,059,149   

Shinko Electric Industries Co., Ltd.

     1,503,110         8,421,382   

Tokyo Electron Ltd.(a)

     1,368,453         64,146,413   

Tokyo Seimitsu Co., Ltd.

     458,100         8,457,054   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         102,411,875   
Software – 0.7%      

Capcom Co., Ltd.(a)

     487,700         9,581,748   

Konami Corp.(a)

     520,700         11,230,060   

Nexon Co., Ltd.

     1,684,300         22,290,448   

Square Enix Holdings Co., Ltd.

     654,400         16,179,004   

Trend Micro, Inc.(a)

     1,439,108         50,647,854   
     

 

 

 
Total Software               109,929,114   
Specialty Retail – 1.1%      

ABC-Mart, Inc.(a)

     474,400         26,380,863   

Fast Retailing Co., Ltd.(a)

     304,600         123,325,295   

Sanrio Co., Ltd.(a)

     823,648         22,385,290   
     

 

 

 
Total Specialty Retail               172,091,448   
Technology Hardware, Storage & Peripherals – 6.3%      

Brother Industries Ltd.

     2,089,643         25,020,232   

Canon, Inc.

     19,649,097         566,676,250   

FUJIFILM Holdings Corp.

     2,921,595         108,701,435   

Hitachi Maxell Ltd.

     1,063,100         15,312,048   

Konica Minolta, Inc.

     3,100,238         32,461,057   

Ricoh Co., Ltd.(a)

     8,708,978         87,587,893   

Riso Kagaku Corp.

     589,800         9,997,027   

Roland DG Corp.

     232,700         4,970,121   
Investments    Shares      Value  

Seiko Epson Corp.

     4,362,600       $ 61,451,227   

Toshiba TEC Corp.

     3,093,531         9,815,403   

Wacom Co., Ltd.(a)

     3,016,000         11,080,366   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         933,073,059   
Textiles, Apparel & Luxury Goods – 0.5%      

Asics Corp.(a)

     897,992         21,279,183   

Descente Ltd.

     427,681         6,024,280   

Kurabo Industries Ltd.

     2,169,472         3,840,254   

Seiko Holdings Corp.(a)

     1,496,000         8,656,352   

Seiren Co., Ltd.

     675,510         7,462,111   

Wacoal Holdings Corp.

     1,779,000         21,211,639   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               68,473,819   
Tobacco – 4.1%      

Japan Tobacco, Inc.

     20,015,731         617,527,041   
Trading Companies & Distributors – 8.4%      

Hanwa Co., Ltd.

     2,779,000         10,163,253   

Inabata & Co., Ltd.

     262,886         2,730,599   

ITOCHU Corp.(a)

     19,466,794         204,396,054   

Kuroda Electric Co., Ltd.(a)

     326,087         6,028,110   

Marubeni Corp.(a)

     27,560,178         134,343,355   

MISUMI Group, Inc.(a)

     638,200         6,549,057   

Mitsubishi Corp.(a)

     16,852,000         274,874,813   

Mitsui & Co., Ltd.(a)

     29,068,589         325,357,521   

Nagase & Co., Ltd.(a)

     1,106,056         12,800,014   

Nippon Steel & Sumikin Bussan Corp.

     3,693,000         10,884,891   

Sojitz Corp.(a)

     12,248,721         22,704,597   

Sumitomo Corp.(a)

     18,713,377         180,000,921   

Toyota Tsusho Corp.(a)

     2,594,610         54,442,074   
     

 

 

 
Total Trading Companies & Distributors         1,245,275,259   
Transportation Infrastructure – 0.1%      

Sumitomo Warehouse Co., Ltd. (The)

     1,968,000         9,464,935   
Wireless Telecommunication Services – 0.9%      

SoftBank Group Corp.

     2,804,800        128,266,936  
TOTAL COMMON STOCKS
(Cost: $16,259,207,223)
         14,952,147,723  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 7.6%   
United States – 7.6%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $1,133,300,658)(c)      1,133,300,658         1,133,300,658   
TOTAL INVESTMENTS IN SECURITIES – 108.0%
(Cost: $17,392,507,881)
         16,085,448,381   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (8.0)%

        (1,195,175,482
     

 

 

 
NET ASSETS – 100.0%             $ 14,890,272,899   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $1,090,512,348 and the total market value of the collateral held by the Fund was $1,142,126,414. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $8,825,756.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      103   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Financials Fund (DXJF)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.3%      
Japan – 100.3%      
Banks – 60.8%      

77 Bank Ltd. (The)

     24,419       $ 138,034   

Akita Bank Ltd. (The)

     11,800         37,736   

Aomori Bank Ltd. (The)

     13,000         41,682   

Aozora Bank Ltd.

     71,830         248,300   

Ashikaga Holdings Co., Ltd.

     9,400         39,165   

Awa Bank Ltd. (The)

     14,000         80,424   

Bank of Iwate Ltd. (The)

     1,100         49,689   

Bank of Kyoto Ltd. (The)

     24,517         247,903   

Bank of Nagoya Ltd. (The)(a)

     11,500         43,978   

Bank of Okinawa Ltd. (The)

     1,100         45,326   

Bank of the Ryukyus Ltd.

     2,300         33,684   

Bank of Yokohama Ltd. (The)

     80,850         488,820   

Chiba Bank Ltd. (The)

     52,781         372,836   

Chugoku Bank Ltd. (The)

     12,150         179,463   

Daishi Bank Ltd. (The)

     20,650         96,728   

Eighteenth Bank Ltd. (The)

     10,000         30,810   

Fukuoka Financial Group, Inc.

     57,133         270,483   

Gunma Bank Ltd. (The)

     29,250         186,346   

Hachijuni Bank Ltd. (The)

     32,709         230,778   

Higashi-Nippon Bank Ltd. (The)

     11,000         36,004   

Higo Bank Ltd. (The)(a)

     12,700         93,634   

Hiroshima Bank Ltd. (The)

     38,200         219,443   

Hokkoku Bank Ltd. (The)

     21,700         87,695   

Hokuhoku Financial Group, Inc.

     82,800         188,740   

Hyakugo Bank Ltd. (The)

     15,990         76,769   

Hyakujushi Bank Ltd. (The)

     18,390         66,027   

Iyo Bank Ltd. (The)

     20,150         230,329   

Joyo Bank Ltd. (The)

     46,746         245,117   

Juroku Bank Ltd. (The)

     23,750         103,515   

Kagoshima Bank Ltd. (The)

     11,700         94,761   

Keiyo Bank Ltd. (The)

     17,350         91,846   

Kiyo Bank Ltd. (The)

     4,520         72,160   

Minato Bank Ltd. (The)

     36,500         64,915   

Mitsubishi UFJ Financial Group, Inc.

     443,940         2,655,522   

Miyazaki Bank Ltd. (The)

     17,000         57,346   

Mizuho Financial Group, Inc.

     520,780         969,247   

Musashino Bank Ltd. (The)

     2,050         73,688   

Nanto Bank Ltd. (The)

     18,420         57,983   

Nishi-Nippon City Bank Ltd. (The)

     55,670         151,998   

North Pacific Bank Ltd.

     24,900         98,132   

Ogaki Kyoritsu Bank Ltd. (The)

     21,350         83,785   

Oita Bank Ltd. (The)

     9,800         40,586   

Resona Holdings, Inc.

     132,650         671,529   

San-In Godo Bank Ltd. (The)(a)

     9,340         91,010   

Senshu Ikeda Holdings, Inc.

     17,030         73,657   

Seven Bank Ltd.

     46,170         198,920   

Shiga Bank Ltd. (The)(a)

     17,340         87,739   

Shinsei Bank Ltd.

     113,350         231,877   

Shizuoka Bank Ltd. (The)

     37,740         376,880   

Sumitomo Mitsui Financial Group, Inc.

     70,440         2,653,741   

Sumitomo Mitsui Trust Holdings, Inc.

     248,610         907,961   
Investments    Shares      Value  

Suruga Bank Ltd.

     15,100       $ 279,394   

Tochigi Bank Ltd. (The)

     7,000         38,283   

Toho Bank Ltd. (The)

     19,000         70,121   

Tokyo TY Financial Group, Inc.

     1,500         46,716   

TOMONY Holdings, Inc.

     13,600         52,917   

Yamagata Bank Ltd. (The)

     10,300         41,023   

Yamaguchi Financial Group, Inc.

     16,511         201,554   

Yamanashi Chuo Bank Ltd. (The)

     10,700         55,660   
     

 

 

 
Total Banks               14,800,409   
Capital Markets – 9.5%      

Daiwa Securities Group, Inc.

     106,330         683,356   

kabu.com Securities Co., Ltd.

     12,000         38,676   

Marusan Securities Co., Ltd.

     3,700         37,351   

Matsui Securities Co., Ltd.(a)

     10,900         93,924   

Monex Group, Inc.(a)

     25,500         62,385   

Nomura Holdings, Inc.

     171,990         988,154   

Okasan Securities Group, Inc.

     17,700         105,965   

SBI Holdings, Inc.

     17,350         194,267   

Tokai Tokyo Financial Holdings, Inc.

     19,850         117,345   
     

 

 

 
Total Capital Markets               2,321,423   
Consumer Finance – 3.8%      

Acom Co., Ltd.*

     32,150         163,481   

AEON Financial Service Co., Ltd.

     9,150         179,997   

Aiful Corp.*(a)

     24,700         91,157   

Credit Saison Co., Ltd.

     11,750         212,406   

Hitachi Capital Corp.(a)

     3,850         93,417   

J Trust Co., Ltd.(a)

     4,770         38,115   

Jaccs Co., Ltd.(a)

     17,400         65,233   

Orient Corp.*(a)

     47,900         80,790   
     

 

 

 
Total Consumer Finance               924,596   
Diversified Financial Services – 4.3%      

Century Tokyo Leasing Corp.

     4,680         134,618   

Fuyo General Lease Co., Ltd.

     1,967         75,139   

IBJ Leasing Co., Ltd.

     3,832         74,359   

Japan Exchange Group, Inc.

     36,420         528,214   

Japan Securities Finance Co., Ltd.

     9,260         47,164   

Mitsubishi UFJ Lease & Finance Co., Ltd.

     42,600         186,385   
     

 

 

 
Total Diversified Financial Services               1,045,879   
Insurance – 21.9%      

Dai-ichi Life Insurance Co., Ltd. (The)

     75,240         1,189,554   

MS&AD Insurance Group Holdings, Inc.

     34,360         916,056   

Sompo Japan Nipponkoa Holdings, Inc.

     26,800         773,355   

Sony Financial Holdings, Inc.

     10,900         178,201   

T&D Holdings, Inc.

     43,260         507,316   

Tokio Marine Holdings, Inc.

     47,640         1,766,934   
     

 

 

 
Total Insurance               5,331,416   
TOTAL COMMON STOCKS
(Cost: $27,365,893)
              24,423,723   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Financials Fund (DXJF)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.5%   
United States – 2.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $610,140)(c)      610,140       $ 610,140   
TOTAL INVESTMENTS IN SECURITIES – 102.8%
(Cost: $27,976,033)
         25,033,863   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (2.8)%

        (688,119
     

 

 

 
NET ASSETS – 100.0%             $ 24,345,744   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $667,185 and the total market value of the collateral held by the Fund was $704,115. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $93,975.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      105   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Hedged Health Care Fund (DXJH)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.5%      
Japan – 100.5%      
Biotechnology – 0.3%      

PeptiDream, Inc.*(a)

     1,300       $ 33,269   
Food & Staples Retailing – 5.7%      

Ain Pharmaciez, Inc.

     1,275         64,833   

Cocokara fine, Inc.

     950         34,981   

Cosmos Pharmaceutical Corp.

     360         42,293   

Kusuri No Aoki Co., Ltd.

     800         42,283   

Matsumotokiyoshi Holdings Co., Ltd.

     1,870         82,598   

Sugi Holdings Co., Ltd.

     1,950         87,271   

Sundrug Co., Ltd.

     1,860         97,531   

Tsuruha Holdings, Inc.

     1,035         88,925   

Welcia Holdings Co., Ltd.

     1,100         53,271   
     

 

 

 
Total Food & Staples Retailing               593,986   
Health Care Equipment & Supplies – 22.9%      

Asahi Intecc Co., Ltd.

     2,800         100,296   

CYBERDYNE, Inc.*

     2,700         31,855   

Hogy Medical Co., Ltd.

     780         35,690   

Hoya Corp.

     20,100         655,035   

Jeol Ltd.

     5,000         28,556   

Mani, Inc.

     1,400         27,120   

Nagaileben Co., Ltd.

     1,900         35,060   

Nakanishi, Inc.

     1,160         43,101   

Nihon Kohden Corp.

     3,400         56,153   

Nikkiso Co., Ltd.(a)

     4,950         33,024   

Nipro Corp.

     6,900         70,633   

Olympus Corp.

     13,640         423,100   

Paramount Bed Holdings Co., Ltd.

     1,050         31,124   

Sysmex Corp.

     7,310         383,307   

Terumo Corp.

     15,130         425,735   
     

 

 

 
Total Health Care Equipment & Supplies               2,379,789   
Health Care Providers & Services – 5.4%      

Alfresa Holdings Corp.

     7,440         126,418   

Medipal Holdings Corp.

     7,650         120,788   

Miraca Holdings, Inc.

     2,320         98,019   

Ship Healthcare Holdings, Inc.

     1,880         40,342   

Suzuken Co., Ltd.

     3,850         127,781   

Toho Holdings Co., Ltd.

     2,350         48,819   
     

 

 

 
Total Health Care Providers & Services               562,167   
Health Care Technology – 1.4%      

M3, Inc.

     7,350         145,263   
Pharmaceuticals – 64.8%      

Astellas Pharma, Inc.

     80,860         1,043,115   

Chugai Pharmaceutical Co., Ltd.

     8,800         269,294   

Daiichi Sankyo Co., Ltd.(a)

     28,452         491,760   

Eisai Co., Ltd.

     11,310         663,878   

Hisamitsu Pharmaceutical Co., Inc.

     3,110         103,610   

Kaken Pharmaceutical Co., Ltd.

     1,340         123,634   

KYORIN Holdings, Inc.

     1,050         16,009   

Kyowa Hakko Kirin Co., Ltd.

     12,620         187,353   

Mitsubishi Tanabe Pharma Corp.

     10,750         188,943   
Investments    Shares      Value  

Mochida Pharmaceutical Co., Ltd.

     870       $ 50,196   

Nichi-iko Pharmaceutical Co., Ltd.

     2,540         66,488   

Nippon Shinyaku Co., Ltd.

     2,928         105,248   

Ono Pharmaceutical Co., Ltd.

     4,360         514,397   

Otsuka Holdings Co., Ltd.

     22,845         726,370   

Rohto Pharmaceutical Co., Ltd.

     4,021         61,541   

Santen Pharmaceutical Co., Ltd.

     18,500         246,996   

Sawai Pharmaceutical Co., Ltd.

     1,830         106,043   

Seikagaku Corp.

     1,350         16,491   

Shionogi & Co., Ltd.

     12,750         455,110   

Sosei Group Corp.

     780         24,195   

Sumitomo Dainippon Pharma Co., Ltd.(a)

     8,900         88,729   

Takeda Pharmaceutical Co., Ltd.

     23,947         1,047,138   

Towa Pharmaceutical Co., Ltd.

     600         38,325   

Tsumura & Co.

     3,145         68,144   

ZERIA Pharmaceutical Co., Ltd.

     1,950         24,000   
     

 

 

 
Total Pharmaceuticals               6,727,007   
TOTAL COMMON STOCKS
(Cost: $11,614,579)
              10,441,481   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 5.9%   
United States – 5.9%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $614,943)(c)      614,943         614,943   
TOTAL INVESTMENTS IN SECURITIES – 106.4%
(Cost: $12,229,522)
         11,056,424   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (6.4)%

        (663,619
     

 

 

 
NET ASSETS – 100.0%             $ 10,392,805   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $585,380 and the total market value of the collateral held by the Fund was $614,943.

 

See Notes to Financial Statements.

 

106   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, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.4%      
Japan – 100.4%      
Air Freight & Logistics – 0.3%      

Yamato Holdings Co., Ltd.(a)

     3,735       $ 71,229   
Auto Components – 6.7%      

Aisin Seiki Co., Ltd.

     3,081         102,902   

Bridgestone Corp.

     13,092         451,030   

Denso Corp.

     9,964         418,976   

Exedy Corp.

     900         19,869   

Koito Manufacturing Co., Ltd.

     1,000         32,439   

NGK Spark Plug Co., Ltd.

     1,777         40,491   

NHK Spring Co., Ltd.

     2,768         26,694   

Nifco, Inc.(a)

     800         27,220   

Nissin Kogyo Co., Ltd.

     900         13,436   

NOK Corp.

     1,216         26,124   

Stanley Electric Co., Ltd.

     1,776         35,219   

Sumitomo Electric Industries Ltd.

     7,891         100,379   

Sumitomo Rubber Industries Ltd.

     4,222         58,378   

Toyo Tire & Rubber Co., Ltd.(a)

     1,973         42,470   

Toyoda Gosei Co., Ltd.

     1,200         23,476   

Toyota Boshoku Corp.

     1,130         19,068   

TS Tech Co., Ltd.

     900         24,423   

Yokohama Rubber Co., Ltd. (The)(a)

     2,100         36,840   
     

 

 

 
Total Auto Components               1,499,434   
Automobiles – 13.3%      

Fuji Heavy Industries Ltd.

     7,196         257,341   

Honda Motor Co., Ltd.

     24,010         709,484   

Isuzu Motors Ltd.

     10,788         107,641   

Mazda Motor Corp.

     1,783         27,989   

Nissan Motor Co., Ltd.(a)

     74,784         683,119   

Suzuki Motor Corp.(a)

     2,158         65,984   

Toyota Motor Corp.

     18,011         1,048,342   

Yamaha Motor Co., Ltd.

     3,215         64,185   
     

 

 

 
Total Automobiles               2,964,085   
Banks – 0.1%      

Suruga Bank Ltd.

     1,241         22,962   
Beverages – 1.2%      

Asahi Group Holdings Ltd.

     3,874         125,182   

Coca-Cola East Japan Co., Ltd.

     1,194         19,231   

Ito En Ltd.(a)

     953         19,885   

Suntory Beverage & Food Ltd.

     2,705         103,556   
     

 

 

 
Total Beverages               267,854   
Building Products – 0.7%      

Aica Kogyo Co., Ltd.

     848         16,901   

Daikin Industries Ltd.

     2,086         116,279   

Sanwa Holdings Corp.

     2,974         20,362   
     

 

 

 
Total Building Products               153,542   
Chemicals – 5.0%      

Air Water, Inc.

     1,244         18,603   

Asahi Kasei Corp.

     18,383         128,934   

Daicel Corp.

     3,200         39,063   

DIC Corp.

     17,940         39,995   
Investments    Shares      Value  

Hitachi Chemical Co., Ltd.

     2,000       $ 27,404   

JSR Corp.

     2,937         42,131   

Kansai Paint Co., Ltd.

     997         13,503   

Kuraray Co., Ltd.

     4,200         52,112   

Mitsubishi Chemical Holdings Corp.

     16,968         88,024   

Mitsubishi Gas Chemical Co., Inc.

     8,000         36,739   

Nihon Parkerizing Co., Ltd.(a)

     1,231         10,011   

Nippon Paint Holdings Co., Ltd.(a)

     1,159         20,138   

Nippon Shokubai Co., Ltd.

     268         18,112   

Nissan Chemical Industries Ltd.(a)

     1,800         39,362   

Nitto Denko Corp.

     1,600         95,186   

NOF Corp.

     1,699         11,604   

Shin-Etsu Chemical Co., Ltd.

     4,070         207,807   

Sumitomo Chemical Co., Ltd.

     11,000         55,292   

Taiyo Holdings Co., Ltd.

     798         24,320   

Toray Industries, Inc.(a)

     11,000         94,648   

Tosoh Corp.

     6,000         28,706   

Zeon Corp.

     1,554         12,210   
     

 

 

 
Total Chemicals               1,103,904   
Commercial Services & Supplies – 0.8%      

Aeon Delight Co., Ltd.(a)

     200         5,762   

Park24 Co., Ltd.

     2,205         41,351   

Secom Co., Ltd.

     2,210         132,288   
     

 

 

 
Total Commercial Services & Supplies               179,401   
Construction & Engineering – 0.6%      

COMSYS Holdings Corp.

     1,886         22,393   

JGC Corp.

     1,001         13,235   

Kajima Corp.

     8,332         44,038   

Kyowa Exeo Corp.

     2,158         20,775   

Maeda Road Construction Co., Ltd.

     790         13,799   

Nippo Corp.

     691         11,741   
     

 

 

 
Total Construction & Engineering               125,981   
Construction Materials – 0.3%      

Sumitomo Osaka Cement Co., Ltd.(a)

     7,664         27,133   

Taiheiyo Cement Corp.

     11,793         35,251   
     

 

 

 
Total Construction Materials               62,384   
Electrical Equipment – 1.7%      

Fuji Electric Co., Ltd.

     9,214         33,235   

GS Yuasa Corp.(a)

     7,733         29,056   

Mitsubishi Electric Corp.

     22,110         201,226   

Nidec Corp.

     1,638         111,958   

Nitto Kogyo Corp.

     800         13,941   
     

 

 

 
Total Electrical Equipment               389,416   
Electronic Equipment, Instruments & Components – 3.6%   

Alps Electric Co., Ltd.

     236         6,611   

Azbil Corp.(a)

     1,122         28,292   

Hamamatsu Photonics K.K.(a)

     1,100         24,799   

Hirose Electric Co., Ltd.

     230         24,908   

Hitachi High-Technologies Corp.

     1,200         25,821   

Hitachi Ltd.

     47,873         240,195   

Horiba Ltd.

     200         7,264   

Keyence Corp.

     193         85,731   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      107   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Hedged Quality Dividend Growth Fund (JHDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Murata Manufacturing Co., Ltd.

     1,281       $ 164,397   

Oki Electric Industry Co., Ltd.(a)

     9,000         13,977   

Omron Corp.

     2,000         59,867   

Shimadzu Corp.

     1,080         15,465   

TDK Corp.

     900         50,574   

Yaskawa Electric Corp.

     2,740         27,728   

Yokogawa Electric Corp.

     1,745         18,169   
     

 

 

 
Total Electronic Equipment, Instruments & Components         793,798   
Food & Staples Retailing – 2.8%      

FamilyMart Co., Ltd.

     1,277         58,111   

Lawson, Inc.

     1,967         144,694   

Matsumotokiyoshi Holdings Co., Ltd.

     200         8,834   

Seven & I Holdings Co., Ltd.

     8,285         376,600   

Sundrug Co., Ltd.

     225         11,798   

Tsuruha Holdings, Inc.

     200         17,184   

Welcia Holdings Co., Ltd.

     100         4,843   
     

 

 

 
Total Food & Staples Retailing               622,064   
Food Products – 0.9%      

Ajinomoto Co., Inc.

     3,469         72,847   

Calbee, Inc.

     400         12,875   

Ezaki Glico Co., Ltd.

     223         10,278   

Kikkoman Corp.

     672         18,404   

MEIJI Holdings Co., Ltd.

     460         33,569   

NH Foods Ltd.

     1,616         32,869   

Yakult Honsha Co., Ltd.

     264         13,094   
     

 

 

 
Total Food Products               193,936   
Health Care Equipment & Supplies – 1.5%      

Hoya Corp.

     4,695         153,005   

Nihon Kohden Corp.(a)

     833         13,758   

Nipro Corp.

     3,094         31,672   

Sysmex Corp.

     828         43,417   

Terumo Corp.(a)

     2,962         83,346   
     

 

 

 
Total Health Care Equipment & Supplies               325,198   
Health Care Providers & Services – 0.1%      

Miraca Holdings, Inc.

     800         33,800   
Hotels, Restaurants & Leisure – 0.4%      

Oriental Land Co., Ltd.(a)

     1,049         58,412   

Resorttrust, Inc.

     926         22,956   
     

 

 

 
Total Hotels, Restaurants & Leisure               81,368   
Household Durables – 1.4%      

Casio Computer Co., Ltd.(a)

     2,821         50,995   

Haseko Corp.

     1,222         13,774   

Rinnai Corp.

     196         14,893   

Sekisui Chemical Co., Ltd.

     5,575         58,327   

Sekisui House Ltd.

     11,755         183,051   
     

 

 

 
Total Household Durables               321,040   
Household Products – 0.3%      

Lion Corp.

     1,000         8,759   

Pigeon Corp.

     918         21,332   

Unicharm Corp.

     2,000         35,302   
     

 

 

 
Total Household Products               65,393   
Investments    Shares      Value  
Insurance – 2.7%      

Sompo Japan Nipponkoa Holdings, Inc.

     4,737       $ 136,693   

Sony Financial Holdings, Inc.

     5,862         95,836   

Tokio Marine Holdings, Inc.

     10,159         376,790   
     

 

 

 
Total Insurance               609,319   
Internet & Catalog Retail – 0.2%      

Rakuten, Inc.

     2,110         26,850   

Start Today Co., Ltd.

     900         29,608   
     

 

 

 
Total Internet & Catalog Retail               56,458   
Internet Software & Services – 1.4%      

Kakaku.com, Inc.(a)

     1,805         29,148   

Mixi, Inc.

     923         31,444   

Yahoo Japan Corp.(a)

     67,814         257,066   
     

 

 

 
Total Internet Software & Services               317,658   
IT Services – 1.5%      

Itochu Techno-Solutions Corp.

     1,800         38,250   

NEC Networks & System Integration Corp.

     849         15,121   

Nihon Unisys Ltd.

     1,200         12,354   

Nomura Research Institute Ltd.

     2,420         92,444   

NS Solutions Corp.

     200         8,416   

Obic Co., Ltd.

     900         40,955   

Otsuka Corp.(a)

     1,075         52,240   

SCSK Corp.(a)

     1,149         42,932   

Transcosmos, Inc.(a)

     890         21,625   
     

 

 

 
Total IT Services               324,337   
Leisure Products – 0.8%      

Bandai Namco Holdings, Inc.

     3,865         89,392   

Heiwa Corp.

     2,202         37,673   

Shimano, Inc.

     243         33,965   

Universal Entertainment Corp.(a)

     1,092         19,202   
     

 

 

 
Total Leisure Products               180,232   
Machinery – 7.7%      

Ebara Corp.(a)

     7,935         29,152   

FANUC Corp.

     3,861         590,441   

Fujitec Co., Ltd.

     1,751         15,205   

Hino Motors Ltd.(a)

     9,888         100,147   

Hitachi Construction Machinery Co., Ltd.(a)

     4,049         53,991   

Hoshizaki Electric Co., Ltd.

     252         17,569   

IHI Corp.(a)

     10,677         27,280   

JTEKT Corp.

     3,215         44,669   

Kawasaki Heavy Industries Ltd.

     19,319         66,297   

Komatsu Ltd.

     15,122         221,278   

Kubota Corp.

     11,219         153,206   

Kurita Water Industries Ltd.

     1,202         25,422   

Makita Corp.(a)

     1,799         95,084   

Minebea Co., Ltd.

     948         9,981   

Miura Co., Ltd.

     1,794         20,687   

Nabtesco Corp.

     1,225         22,226   

NGK Insulators Ltd.

     1,223         23,252   

NSK Ltd.

     5,762         55,472   

OKUMA Corp.

     1,000         6,212   

OSG Corp.(a)

     951         17,906   

 

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 Japan Hedged Quality Dividend Growth Fund (JHDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

SMC Corp.

     243       $ 52,865   

Sumitomo Heavy Industries Ltd.

     8,204         32,264   

Tadano Ltd.

     802         8,846   

THK Co., Ltd.

     1,848         29,225   

Tsubakimoto Chain Co.

     1,372         8,557   
     

 

 

 
Total Machinery               1,727,234   
Marine – 0.5%      

Kawasaki Kisen Kaisha Ltd.(a)

     19,257         42,127   

Nippon Yusen K.K.

     27,507         63,390   
     

 

 

 
Total Marine               105,517   
Media – 0.5%      

CyberAgent, Inc.(a)

     798         31,050   

Daiichikosho Co., Ltd.

     890         31,471   

Hakuhodo DY Holdings, Inc.

     3,213         30,342   

Toho Co., Ltd.

     1,148         26,101   
     

 

 

 
Total Media               118,964   
Metals & Mining – 1.9%      

Dowa Holdings Co., Ltd.

     2,350         17,718   

Hitachi Metals Ltd.

     2,763         31,906   

Mitsubishi Materials Corp.

     12,000         36,271   

Mitsui Mining & Smelting Co., Ltd.

     9,000         16,082   

Nippon Steel & Sumitomo Metal Corp.(a)

     10,747         194,592   

Sumitomo Metal Mining Co., Ltd.

     10,000         112,888   

UACJ Corp.(a)

     2,080         3,317   

Yamato Kogyo Co., Ltd.

     900         17,960   
     

 

 

 
Total Metals & Mining               430,734   
Multiline Retail – 0.4%      

Don Quijote Holdings Co., Ltd.

     200         7,498   

Isetan Mitsukoshi Holdings Ltd.

     1,200         17,955   

Izumi Co., Ltd.

     800         32,297   

Ryohin Keikaku Co., Ltd.(a)

     112         22,743   
     

 

 

 
Total Multiline Retail               80,493   
Personal Products – 1.0%      

Kao Corp.

     4,187         188,890   

Kobayashi Pharmaceutical Co., Ltd.

     194         14,562   

Kose Corp.

     200         18,119   
     

 

 

 
Total Personal Products               221,571   
Pharmaceuticals – 4.8%      

Astellas Pharma, Inc.

     25,724         331,846   

Chugai Pharmaceutical Co., Ltd.

     5,135         157,139   

Eisai Co., Ltd.

     3,930         230,684   

Hisamitsu Pharmaceutical Co., Inc.

     1,133         37,746   

Kaken Pharmaceutical Co., Ltd.

     302         27,864   

KYORIN Holdings, Inc.

     1,053         16,055   

Mochida Pharmaceutical Co., Ltd.

     259         14,943   

Rohto Pharmaceutical Co., Ltd.

     960         14,693   

Santen Pharmaceutical Co., Ltd.

     3,648         48,705   

Sawai Pharmaceutical Co., Ltd.

     197         11,416   

Shionogi & Co., Ltd.

     2,895         103,337   

Sumitomo Dainippon Pharma Co., Ltd.(a)

     3,991         39,788   

Tsumura & Co.

     1,178         25,524   
     

 

 

 
Total Pharmaceuticals               1,059,740   
Investments    Shares      Value  
Professional Services – 0.2%      

Meitec Corp.

     811       $ 28,170   

Temp Holdings Co., Ltd.

     289         13,127   
     

 

 

 
Total Professional Services               41,297   
Real Estate Management & Development – 2.3%      

Daito Trust Construction Co., Ltd.

     1,761         178,284   

Daiwa House Industry Co., Ltd.

     8,900         219,035   

Hulic Co., Ltd.

     4,792         43,093   

Sumitomo Real Estate Sales Co., Ltd.

     900         22,920   

Sumitomo Realty & Development Co., Ltd.

     924         29,248   

Tokyo Tatemono Co., Ltd.

     1,100         13,051   
     

 

 

 
Total Real Estate Management & Development               505,631   
Road & Rail – 2.7%      

Central Japan Railway Co.

     878         140,939   

East Japan Railway Co.

     2,897         243,221   

Hitachi Transport System Ltd.(a)

     986         16,177   

Nippon Express Co., Ltd.

     11,204         53,230   

Sankyu, Inc.

     2,602         12,536   

West Japan Railway Co.

     2,129         132,986   
     

 

 

 
Total Road & Rail               599,089   
Semiconductors & Semiconductor Equipment – 0.1%      

Disco Corp.(a)

     244         17,032   

Shinko Electric Industries Co., Ltd.

     2,801         15,693   
     

 

 

 
Total Semiconductors & Semiconductor Equipment               32,725   
Software – 1.1%      

GungHo Online Entertainment, Inc.(a)

     5,091         15,048   

Konami Corp.

     1,119         24,134   

Nexon Co., Ltd.

     1,838         24,324   

Oracle Corp.

     1,800         75,748   

Square Enix Holdings Co., Ltd.

     985         24,353   

Trend Micro, Inc.(a)

     2,211         77,814   
     

 

 

 
Total Software               241,421   
Specialty Retail – 2.1%      

ABC-Mart, Inc.

     856         47,601   

AOKI Holdings, Inc.

     1,230         14,923   

Fast Retailing Co., Ltd.(a)

     353         142,921   

Hikari Tsushin, Inc.

     777         54,172   

K’s Holdings Corp.(a)

     711         22,262   

Nitori Holdings Co., Ltd.

     300         23,421   

Sanrio Co., Ltd.

     1,791         48,676   

Shimamura Co., Ltd.(a)

     270         28,992   

T-Gaia Corp.(a)

     1,082         16,795   

United Arrows Ltd.

     200         8,250   

USS Co., Ltd.

     3,225         53,425   
     

 

 

 
Total Specialty Retail               461,438   
Technology Hardware, Storage & Peripherals – 5.6%      

Brother Industries Ltd.

     3,213         38,471   

Canon, Inc.

     31,993         922,672   

FUJIFILM Holdings Corp.

     4,576         170,255   

Konica Minolta, Inc.

     5,100         53,400   

NEC Corp.

     18,176         55,697   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         1,240,495   

 

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 Japan Hedged Quality Dividend Growth Fund (JHDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Textiles, Apparel & Luxury Goods – 0.1%      

Asics Corp.

     1,095       $ 25,948   
Tobacco – 4.4%      

Japan Tobacco, Inc.

     31,873         983,349   
Trading Companies & Distributors – 6.9%      

ITOCHU Corp.

     30,999         325,481   

Marubeni Corp.

     43,255         210,848   

MISUMI Group, Inc.

     1,200         12,314   

Mitsubishi Corp.

     27,759         452,780   

Mitsui & Co., Ltd.

     46,371         519,019   

Nippon Steel & Sumikin Bussan Corp.

     8,000         23,580   
     

 

 

 
Total Trading Companies & Distributors               1,544,022   
Transportation Infrastructure – 0.1%      

Kamigumi Co., Ltd.

     1,698         13,837   
Wireless Telecommunication Services – 9.7%      

KDDI Corp.(a)

     35,987         801,380   

NTT DOCOMO, Inc.

     70,146         1,167,294   

SoftBank Group Corp.

     4,395         200,989   
     

 

 

 
Total Wireless Telecommunication Services               2,169,663   
TOTAL COMMON STOCKS
(Cost: $25,337,249)
              22,367,961   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 10.9%   
United States – 10.9%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $2,431,284)(c)      2,431,284         2,431,284   
TOTAL INVESTMENTS IN SECURITIES – 111.3%
(Cost: $27,768,533)
        24,799,245   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (11.3)%

        (2,514,557
     

 

 

 
NET ASSETS – 100.0%             $ 22,284,688   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $2,321,542 and the total market value of the collateral held by the Fund was $2,442,859. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $11,575.

 

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 Japan Hedged Real Estate Fund (DXJR)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.5%      
Japan – 100.5%      
Building Products – 4.3%      

LIXIL Group Corp.

     28,218       $ 570,180   

Nichias Corp.

     13,025         77,868   

Takara Standard Co., Ltd.

     12,611         89,293   

TOTO Ltd.

     17,033         528,348   
     

 

 

 
Total Building Products               1,265,689   
Construction & Engineering – 14.4%      

Hazama Ando Corp.

     20,206         128,729   

Kajima Corp.

     105,073         555,348   

Kumagai Gumi Co., Ltd.

     39,919         124,325   

Maeda Corp.

     17,642         128,450   

Maeda Road Construction Co., Ltd.

     7,274         127,059   

Nippo Corp.

     5,381         91,432   

Nishimatsu Construction Co., Ltd.

     29,978         124,152   

Obayashi Corp.

     76,320         648,718   

Okumura Corp.

     21,387         113,573   

Penta-Ocean Construction Co., Ltd.

     30,391         142,103   

Raito Kogyo Co., Ltd.

     5,200         49,019   

Shimizu Corp.

     78,798         673,729   

SHO-BOND Holdings Co., Ltd.

     2,725         103,867   

Sumitomo Mitsui Construction Co., Ltd.(a)

     89,546         107,666   

Taisei Corp.

     124,669         809,857   

Toda Corp.

     27,267         120,210   

Tokyu Construction Co., Ltd.

     10,000         82,328   

Totetsu Kogyo Co., Ltd.

     3,328         71,053   
     

 

 

 
Total Construction & Engineering               4,201,618   
Construction Materials – 1.9%      

Sumitomo Osaka Cement Co., Ltd.

     41,842         148,132   

Taiheiyo Cement Corp.

     130,909         391,311   
     

 

 

 
Total Construction Materials               539,443   
Household Durables – 8.5%      

Haseko Corp.

     30,520         344,024   

Iida Group Holdings Co., Ltd.

     20,697         321,951   

PanaHome Corp.

     8,045         51,992   

Sekisui Chemical Co., Ltd.

     48,359         505,939   

Sekisui House Ltd.

     65,123         1,014,106   

Sumitomo Forestry Co., Ltd.

     17,068         190,112   

Token Corp.

     728         54,586   
     

 

 

 
Total Household Durables               2,482,710   
Real Estate Investment Trusts (REITs) – 27.8%      

Activia Properties, Inc.

     56         234,259   

Advance Residence Investment Corp.

     140         295,044   

AEON REIT Investment Corp.

     100         105,373   

Daiwa House REIT Investment Corp.

     38         139,448   

Daiwa House Residential Investment Corp.(a)

     79         160,817   

Daiwa Office Investment Corp.

     34         164,088   

Frontier Real Estate Investment Corp.

     50         193,504   

Fukuoka REIT Corp.

     73         107,886   

Global One Real Estate Investment Corp.

     20         59,951   

GLP J-REIT

     247         236,142   
Investments    Shares      Value  

Hankyu REIT, Inc.

     60       $ 63,174   

Hoshino Resorts REIT, Inc.

     6         53,956   

Hulic Reit, Inc.

     77         101,582   

Ichigo Office REIT Investment

     148         102,073   

Industrial & Infrastructure Fund Investment Corp.

     36         156,607   

Invincible Investment Corp.

     284         157,929   

Japan Excellent, Inc.

     136         149,666   

Japan Hotel REIT Investment Corp.

     303         193,035   

Japan Logistics Fund, Inc.

     92         165,234   

Japan Prime Realty Investment Corp.

     97         314,654   

Japan Real Estate Investment Corp.

     131         602,689   

Japan Rental Housing Investments, Inc.

     111         72,384   

Japan Retail Fund Investment Corp.

     254         491,182   

Kenedix Office Investment Corp.

     42         199,541   

Kenedix Residential Investment Corp.

     39         100,622   

Kenedix Retail REIT Corp.

     28         53,912   

MCUBS MidCity Investment Corp.

     27         70,225   

Mori Hills REIT Investment Corp.

     130         152,724   

Mori Trust Sogo REIT, Inc.

     105         179,552   

Nippon Accommodations Fund, Inc.

     53         176,349   

Nippon Building Fund, Inc.

     140         676,825   

Nippon Prologis REIT, Inc.

     190         344,575   

NIPPON REIT Investment Corp.

     39         83,884   

Nomura Real Estate Master Fund, Inc.

     168         215,041   

Nomura Real Estate Office Fund, Inc.

     38         172,287   

Nomura Real Estate Residential Fund, Inc.(a)

     17         95,245   

Orix JREIT, Inc.

     236         319,028   

Premier Investment Corp.

     26         129,387   

Sekisui House REIT, Inc.

     81         83,729   

Sekisui House SI Residential Investment Corp.

     106         90,631   

Tokyu REIT, Inc.

     100         128,836   

Top REIT, Inc.

     18         69,511   

United Urban Investment Corp.

     312         416,295   
     

 

 

 
Total Real Estate Investment Trusts (REITs)               8,078,876   
Real Estate Management & Development – 40.9%      

Aeon Mall Co., Ltd.

     12,448         190,308   

Daito Trust Construction Co., Ltd.

     8,722         883,015   

Daiwa House Industry Co., Ltd.

     66,429         1,634,864   

Hulic Co., Ltd.

     49,024         440,854   

Kenedix, Inc.(a)

     29,092         96,192   

Leopalace21 Corp.*

     29,167         135,406   

Mitsubishi Estate Co., Ltd.

     139,203         2,830,784   

Mitsui Fudosan Co., Ltd.

     103,222         2,812,286   

Nomura Real Estate Holdings, Inc.

     12,979         259,656   

NTT Urban Development Corp.

     11,273         103,256   

Open House Co., Ltd.

     3,300         50,754   

Relo Holdings, Inc.

     1,218         118,581   

Sumitomo Realty & Development Co., Ltd.

     50,343         1,593,540   

TOC Co., Ltd.(a)

     5,200         36,298   

Tokyo Tatemono Co., Ltd.

     23,300         276,452   

Tokyu Fudosan Holdings Corp.

     53,294         352,876   

Unizo Holdings Co., Ltd.

     1,500         62,748   
     

 

 

 
Total Real Estate Management & Development               11,877,870   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      111   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Transportation Infrastructure – 2.7%      

Japan Airport Terminal Co., Ltd.

     7,423       $ 317,956   

Kamigumi Co., Ltd.

     25,943         211,417   

Mitsubishi Logistics Corp.

     16,011         184,755   

Sumitomo Warehouse Co., Ltd. (The)

     15,803         76,003   
     

 

 

 
Total Transportation Infrastructure               790,131   
TOTAL COMMON STOCKS
(Cost: $30,577,929)
              29,236,337   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.1%   
United States – 1.1%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $313,526)(c)      313,526         313,526   
TOTAL INVESTMENTS IN SECURITIES – 101.6%
(Cost: $30,891,455)
        29,549,863   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (1.6)%

        (477,403
     

 

 

 
NET ASSETS – 100.0%             $ 29,072,460   
* 

Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c)

At September 30, 2015, the total market value of the Fund’s securities on loan was $385,175 and the total market value of the collateral held by the Fund was $407,496. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $93,970.

 

See Notes to Financial Statements.

 

112   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, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.4%      
Japan – 100.4%      
Aerospace & Defense – 0.1%      

Jamco Corp.

     5,300       $ 203,123   
Air Freight & Logistics – 0.4%      

AIT Corp.(a)

     17,200         133,418   

Kintetsu World Express, Inc.

     9,800         172,000   

Konoike Transport Co., Ltd.

     17,600         218,228   

Mitsui-Soko Holdings Co., Ltd.(a)

     74,000         215,021   
     

 

 

 
Total Air Freight & Logistics               738,667   
Auto Components – 4.7%      

Aisan Industry Co., Ltd.

     38,600         352,271   

Akebono Brake Industry Co., Ltd.(a)

     102,900         325,630   

Calsonic Kansei Corp.

     47,000         350,445   

Daido Metal Co., Ltd.(a)

     11,500         95,253   

Daikyonishikawa Corp.

     6,300         290,895   

Eagle Industry Co., Ltd.

     16,200         287,573   

Exedy Corp.(a)

     17,600         388,548   

FCC Co., Ltd.

     17,500         279,527   

G-Tekt Corp.(a)

     16,598         188,618   

Kasai Kogyo Co., Ltd.(a)

     13,600         151,143   

Keihin Corp.

     18,700         263,251   

Kinugawa Rubber Industrial Co., Ltd.

     26,000         128,518   

KYB Co., Ltd.(a)

     174,000         457,646   

Mitsuba Corp.

     1,200         15,991   

Musashi Seimitsu Industry Co., Ltd.(a)

     9,500         165,704   

Nifco, Inc.(a)

     18,300         622,657   

Nissin Kogyo Co., Ltd.

     17,200         256,783   

Pacific Industrial Co., Ltd.(a)

     29,300         291,373   

Piolax, Inc.

     3,600         164,723   

Press Kogyo Co., Ltd.(a)

     65,600         249,221   

Riken Corp.(a)

     34,000         112,136   

Sanden Holdings Corp.(a)

     46,000         142,496   

Sanoh Industrial Co., Ltd.

     28,900         171,568   

Shoei Co., Ltd.

     10,100         150,954   

Showa Corp.

     53,100         421,200   

Sumitomo Riko Co., Ltd.(a)

     27,600         239,669   

Taiho Kogyo Co., Ltd.

     17,000         182,115   

Tokai Rika Co., Ltd.

     36,425         747,265   

Topre Corp.(a)

     13,900         267,172   

TPR Co., Ltd.(a)

     11,306         256,111   

TS Tech Co., Ltd.

     27,300         740,826   

Unipres Corp.

     11,100         210,387   

Yorozu Corp.(a)

     10,900         222,250   
     

 

 

 
Total Auto Components               9,189,919   
Automobiles – 0.1%      

Nissan Shatai Co., Ltd.(a)

     23,200         255,120   
Banks – 8.1%      

77 Bank Ltd. (The)

     101,000         570,926   

Akita Bank Ltd. (The)

     79,000         252,636   

Aomori Bank Ltd. (The)(a)

     84,000         269,327   

Ashikaga Holdings Co., Ltd.

     129,800         540,811   
Investments    Shares      Value  

Awa Bank Ltd. (The)

     69,000       $ 396,376   

Bank of Nagoya Ltd. (The)(a)

     78,000         298,284   

Bank of Okinawa Ltd. (The)(a)

     7,500         309,043   

Bank of Saga Ltd. (The)

     59,000         133,996   

Bank of the Ryukyus Ltd.(a)

     15,600         228,467   

Chukyo Bank Ltd. (The)

     79,000         162,268   

Daishi Bank Ltd. (The)(a)

     133,000         622,995   

Ehime Bank Ltd. (The)(a)

     120,000         248,487   

Eighteenth Bank Ltd. (The)

     83,000         255,726   

FIDEA Holdings Co., Ltd.

     94,900         189,380   

Fukui Bank Ltd. (The)(a)

     64,000         130,923   

Higashi-Nippon Bank Ltd. (The)(a)

     78,000         255,300   

Higo Bank Ltd. (The)(a)

     81,000         597,195   

Hokkoku Bank Ltd. (The)

     130,000         525,362   

Hokuetsu Bank Ltd. (The)(a)

     162,000         328,694   

Hyakugo Bank Ltd. (The)(a)

     82,000         393,688   

Hyakujushi Bank Ltd. (The)

     118,000         423,663   

Juroku Bank Ltd. (The)

     145,000         631,988   

Kagoshima Bank Ltd. (The)(a)

     64,000         518,348   

Kansai Urban Banking Corp.(a)

     40,200         464,550   

Keiyo Bank Ltd. (The)(a)

     53,000         280,566   

Kiyo Bank Ltd. (The)

     36,198         577,887   

Mie Bank Ltd. (The)

     95,000         210,203   

Minato Bank Ltd. (The)

     109,587         194,899   

Miyazaki Bank Ltd. (The)(a)

     55,000         185,530   

Musashino Bank Ltd. (The)

     13,300         478,074   

Nanto Bank Ltd. (The)(a)

     63,000         198,313   

Nishi-Nippon City Bank Ltd. (The)

     254,000         693,508   

North Pacific Bank Ltd.

     96,300         379,523   

Ogaki Kyoritsu Bank Ltd. (The)

     128,000         502,317   

Oita Bank Ltd. (The)(a)

     63,000         260,911   

San-In Godo Bank Ltd. (The)

     38,000         370,275   

Senshu Ikeda Holdings, Inc.

     160,300         693,319   

Shiga Bank Ltd. (The)(a)

     68,000         344,074   

Shikoku Bank Ltd. (The)(a)

     122,000         257,721   

Tochigi Bank Ltd. (The)

     40,000         218,762   

Toho Bank Ltd. (The)(a)

     74,000         273,101   

Tokyo TY Financial Group, Inc.(a)

     8,600         267,841   

TOMONY Holdings, Inc.(a)

     34,400         133,849   

Towa Bank Ltd. (The)

     219,000         192,001   

Yamagata Bank Ltd. (The)(a)

     60,000         238,968   

Yamanashi Chuo Bank Ltd. (The)

     63,000         327,717   
     

 

 

 
Total Banks               16,027,792   
Beverages – 1.4%      

Coca-Cola East Japan Co., Ltd.

     39,200         631,377   

Coca-Cola West Co., Ltd.(a)

     47,717         926,331   

Ito En Ltd.(a)

     31,800         663,534   

Sapporo Holdings Ltd.(a)

     105,000         408,550   

Takara Holdings, Inc.

     33,900         202,950   
     

 

 

 
Total Beverages               2,832,742   
Building Products – 1.6%      

Aica Kogyo Co., Ltd.(a)

     15,400         306,933   

Bunka Shutter Co., Ltd.

     29,500         211,092   

 

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 Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Central Glass Co., Ltd.

     60,000       $ 261,512   

Nichias Corp.

     70,000         418,486   

Nichiha Corp.

     13,900         191,500   

Nitto Boseki Co., Ltd.

     55,000         163,946   

Noritz Corp.(a)

     18,600         278,771   

Sanwa Holdings Corp.

     77,300         529,253   

Sinko Industries Ltd.

     12,500         130,673   

Takara Standard Co., Ltd.

     24,000         169,933   

Takasago Thermal Engineering Co., Ltd.(a)

     29,300         403,910   
     

 

 

 
Total Building Products               3,066,009   
Capital Markets – 2.6%      

GCA Savvian Corp.

     17,000         211,498   

Ichiyoshi Securities Co., Ltd.(a)

     17,300         149,216   

IwaiCosmo Holdings, Inc.

     28,400         322,498   

kabu.com Securities Co., Ltd.(a)

     199,700         643,629   

Kyokuto Securities Co., Ltd.(a)

     26,400         352,029   

Marusan Securities Co., Ltd.(a)

     87,200         880,264   

Matsui Securities Co., Ltd.(a)

     230,100         1,982,743   

Monex Group, Inc.(a)

     139,865         342,174   

Toyo Securities Co., Ltd.

     51,000         158,410   
     

 

 

 
Total Capital Markets               5,042,461   
Chemicals – 7.8%      

Achilles Corp.

     94,000         115,376   

ADEKA Corp.

     38,200         485,454   

Chugoku Marine Paints Ltd.

     26,000         163,904   

Dainichiseika Color & Chemicals Manufacturing Co., Ltd.

     42,000         178,499   

Daiso Co., Ltd.

     63,885         218,702   

Denki Kagaku Kogyo K.K.

     229,000         898,677   

DIC Corp.

     447,000         996,526   

Fujimori Kogyo Co., Ltd.

     5,300         129,662   

Ihara Chemical Industry Co., Ltd.(a)

     13,000         134,271   

JCU Corp.(a)

     3,700         122,648   

JSP Corp.

     6,417         99,927   

Kaneka Corp.

     135,240         991,448   

Kureha Corp.(a)

     114,000         408,350   

Lintec Corp.

     22,600         473,078   

Mitsubishi Gas Chemical Co., Inc.

     212,000         973,573   

Nihon Parkerizing Co., Ltd.(a)

     17,600         143,134   

Nippon Kayaku Co., Ltd.(a)

     62,000         642,959   

Nippon Shokubai Co., Ltd.

     13,000         879,222   

Nippon Soda Co., Ltd.

     57,000         323,158   

Nippon Synthetic Chemical Industry Co., Ltd. (The)

     26,000         161,950   

Nippon Valqua Industries Ltd.

     97,000         233,257   

NOF Corp.(a)

     64,000         437,123   

Okamoto Industries, Inc.(a)

     27,000         254,749   

Sakai Chemical Industry Co., Ltd.

     59,000         165,031   

Sakata INX Corp.

     19,700         156,264   

Sanyo Chemical Industries Ltd.

     35,000         234,376   

Sekisui Plastics Co., Ltd.

     40,000         127,249   

Shikoku Chemicals Corp.

     17,000         143,080   

Showa Denko K.K.(a)

     651,759         712,900   

Sumitomo Bakelite Co., Ltd.(a)

     116,000         424,231   
Investments    Shares      Value  

Sumitomo Seika Chemicals Co., Ltd.(a)

     13,000       $ 82,929   

Taiyo Holdings Co., Ltd.

     11,800         359,621   

Takasago International Corp.

     8,800         214,480   

Takiron Co., Ltd.(a)

     57,000         232,731   

Toagosei Co., Ltd.(a)

     77,100         556,853   

Tokai Carbon Co., Ltd.(a)

     106,000         253,129   

Toyo Ink SC Holdings Co., Ltd.

     146,000         532,727   

Toyobo Co., Ltd.(a)

     377,000         509,949   

Ube Industries Ltd.(a)

     386,800         671,769   

Zeon Corp.

     72,000         565,708   
     

 

 

 
Total Chemicals               15,408,674   
Commercial Services & Supplies – 2.2%      

Aeon Delight Co., Ltd.

     14,500         417,693   

Daiseki Co., Ltd.

     11,500         195,307   

Kokuyo Co., Ltd.

     25,600         270,396   

Mitsubishi Pencil Co., Ltd.

     3,600         169,532   

Moshi Moshi Hotline, Inc.

     32,000         329,979   

NAC Co., Ltd.(a)

     24,600         167,197   

Nippon Parking Development Co., Ltd.(a)

     111,200         117,918   

Nissha Printing Co., Ltd.

     10,200         193,925   

Okamura Corp.

     41,100         369,253   

Park24 Co., Ltd.

     69,800         1,308,987   

Pilot Corp.

     4,000         164,489   

Sato Holdings Corp.(a)

     10,800         200,643   

Toppan Forms Co., Ltd.

     35,700         422,087   
     

 

 

 
Total Commercial Services & Supplies               4,327,406   
Communications Equipment – 0.4%      

Hitachi Kokusai Electric, Inc.(a)

     52,000         546,637   

Japan Radio Co., Ltd.

     60,000         193,880   
     

 

 

 
Total Communications Equipment               740,517   
Construction & Engineering – 4.4%      

Asunaro Aoki Construction Co., Ltd.

     21,800         134,333   

COMSYS Holdings Corp.(a)

     50,700         601,974   

Dai-Dan Co., Ltd.

     19,000         128,026   

Fudo Tetra Corp.(a)

     137,500         182,545   

Hazama Ando Corp.(a)

     28,500         181,568   

Kandenko Co., Ltd.(a)

     69,000         444,771   

Kyowa Exeo Corp.

     32,600         313,846   

Kyudenko Corp.(a)

     16,000         265,453   

Maeda Corp.

     40,000         291,237   

Maeda Road Construction Co., Ltd.

     35,000         611,364   

Mirait Holdings Corp.

     37,844         341,896   

NDS Co., Ltd.

     35,000         85,334   

Nippo Corp.

     32,000         543,732   

Nippon Densetsu Kogyo Co., Ltd.

     13,000         232,288   

Nippon Koei Co., Ltd.

     38,000         157,058   

Nippon Road Co., Ltd. (The)

     86,000         428,690   

Nishimatsu Construction Co., Ltd.

     125,000         517,680   

Okumura Corp.(a)

     83,000         440,763   

Penta-Ocean Construction Co., Ltd.

     53,300         249,221   

Sumitomo Mitsui Construction Co., Ltd.(a)

     113,000         135,866   

Taikisha Ltd.

     10,700         241,222   

 

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 Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

TOA ROAD Corp.

     43,000       $ 151,872   

Toda Corp.(a)

     86,000         379,143   

Toenec Corp.(a)

     23,000         167,845   

Tokyu Construction Co., Ltd.(a)

     31,500         259,333   

Totetsu Kogyo Co., Ltd.

     6,000         128,101   

Toyo Construction Co., Ltd.(a)

     44,200         193,016   

Toyo Engineering Corp.(a)

     83,000         199,591   

Yahagi Construction Co., Ltd.(a)

     25,800         230,286   

Yokogawa Bridge Holdings Corp.(a)

     15,600         131,297   

Yurtec Corp.

     27,000         243,928   
     

 

 

 
Total Construction & Engineering               8,613,279   
Construction Materials – 0.2%      

Sumitomo Osaka Cement Co., Ltd.(a)

     135,000         477,936   
Containers & Packaging – 0.6%      

FP Corp.(a)

     11,500         424,895   

Fuji Seal International, Inc.

     9,800         281,484   

Rengo Co., Ltd.(a)

     145,381         560,815   
     

 

 

 
Total Containers & Packaging               1,267,194   
Distributors – 1.1%      

Canon Marketing Japan, Inc.

     70,900         1,045,459   

Chori Co., Ltd.

     10,900         157,905   

Doshisha Co., Ltd.(a)

     18,200         332,954   

Happinet Corp.

     15,600         151,356   

Paltac Corp.

     32,203         579,447   
     

 

 

 
Total Distributors               2,267,121   
Diversified Consumer Services – 1.0%      

Benesse Holdings, Inc.(a)

     67,300         1,795,378   

Meiko Network Japan Co., Ltd.

     10,000         109,297   

Studio Alice Co., Ltd.

     6,600         127,465   
     

 

 

 
Total Diversified Consumer Services               2,032,140   
Diversified Financial Services – 0.2%      

Financial Products Group Co., Ltd.(a)

     15,800         113,192   

Ricoh Leasing Co., Ltd.

     11,800         318,240   
     

 

 

 
Total Diversified Financial Services               431,432   
Electric Utilities – 0.1%      

Okinawa Electric Power Co., Inc. (The)

     8,000         179,485   
Electrical Equipment – 1.5%      

Daihen Corp.

     42,000         197,787   

Denyo Co., Ltd.(a)

     9,600         151,497   

Endo Lighting Corp.

     6,109         63,046   

Fujikura Ltd.

     79,000         324,536   

Furukawa Electric Co., Ltd.

     95,000         149,125   

GS Yuasa Corp.(a)

     135,000         507,243   

Idec Corp.

     28,600         219,936   

Nissin Electric Co., Ltd.

     33,300         204,363   

Nitto Kogyo Corp.

     19,300         336,318   

Sanyo Denki Co., Ltd.

     22,000         130,973   

Tatsuta Electric Wire and Cable Co., Ltd.

     47,400         171,766   

Ushio, Inc.(a)

     39,900         477,408   
     

 

 

 
Total Electrical Equipment               2,933,998   
Investments    Shares      Value  
Electronic Equipment, Instruments & Components – 5.0%   

Ai Holdings Corp.(a)

     11,400       $ 281,086   

Amano Corp.(a)

     38,000         436,588   

Anritsu Corp.(a)

     100,200         606,563   

Azbil Corp.

     32,500         819,522   

Canon Electronics, Inc.

     19,400         311,981   

Citizen Holdings Co., Ltd.

     135,300         930,883   

CONEXIO Corp.

     41,100         394,648   

Daiwabo Holdings Co., Ltd.

     145,000         253,037   

Enplas Corp.(a)

     6,529         225,147   

Hakuto Co., Ltd.(a)

     15,200         158,898   

Horiba Ltd.(a)

     14,100         512,128   

Iriso Electronics Co., Ltd.(a)

     700         30,393   

Japan Aviation Electronics Industry Ltd.

     11,000         163,762   

Kaga Electronics Co., Ltd.

     18,600         236,062   

Koa Corp.(a)

     16,500         142,867   

Mitsumi Electric Co., Ltd.(a)

     38,300         211,063   

Nippon Electric Glass Co., Ltd.(a)

     206,000         990,740   

Nippon Signal Co., Ltd.

     28,200         271,251   

Nohmi Bosai Ltd.

     14,066         152,328   

Oki Electric Industry Co., Ltd.(a)

     386,000         599,474   

Panasonic Industrial Devices SUNX Co., Ltd.

     25,700         130,898   

Ryoden Trading Co., Ltd.

     41,000         272,500   

Ryosan Co., Ltd.

     19,300         449,767   

Sanshin Electronics Co., Ltd.(a)

     24,000         243,477   

Siix Corp.

     7,200         186,666   

SMK Corp.(a)

     53,000         218,612   

Taiyo Yuden Co., Ltd.

     13,700         177,763   

Tokyo Electron Device Ltd.

     11,900         154,606   

Topcon Corp.

     7,500         97,754   

UKC Holdings Corp.

     6,200         118,342   
     

 

 

 
Total Electronic Equipment, Instruments & Components         9,778,806   
Energy Equipment & Services – 0.3%      

Modec, Inc.(a)

     24,300         294,810   

Shinko Plantech Co., Ltd.

     31,500         255,388   
     

 

 

 
Total Energy Equipment & Services               550,198   
Food & Staples Retailing – 3.2%      

Ain Pharmaciez, Inc.

     4,500         228,823   

Arcs Co., Ltd.

     17,200         323,133   

Axial Retailing, Inc.(a)

     6,500         213,021   

Belc Co., Ltd.

     5,700         194,180   

Cocokara fine, Inc.

     9,700         357,175   

Heiwado Co., Ltd.

     15,500         339,469   

Inageya Co., Ltd.

     15,200         154,202   

Kato Sangyo Co., Ltd.(a)

     17,600         379,730   

Kobe Bussan Co., Ltd.(a)

     2,500         225,650   

Life Corp.(a)

     11,100         315,117   

Matsumotokiyoshi Holdings Co., Ltd.

     15,200         671,381   

Ministop Co., Ltd.

     19,200         435,894   

Mitsubishi Shokuhin Co., Ltd.(a)

     14,000         318,541   

Qol Co., Ltd.

     10,300         147,149   

San-A Co., Ltd.

     5,100         223,137   

UNY Group Holdings Co., Ltd.(a)

     119,936         753,074   

 

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 Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Valor Co., Ltd.

     15,800       $ 395,643   

Welcia Holdings Co., Ltd.

     5,900         285,726   

Yaoko Co., Ltd.(a)

     6,400         288,565   
     

 

 

 
Total Food & Staples Retailing               6,249,610   
Food Products – 3.4%      

Ariake Japan Co., Ltd.(a)

     8,700         339,603   

Fuji Oil Co., Ltd.

     25,551         330,681   

Fujicco Co., Ltd.

     10,600         214,540   

Hokuto Corp.(a)

     20,400         367,239   

Itoham Foods, Inc.(a)

     51,000         276,366   

J-Oil Mills, Inc.

     78,000         223,387   

Kagome Co., Ltd.(a)

     23,800         381,349   

Marudai Food Co., Ltd.(a)

     63,000         247,760   

Maruha Nichiro Corp.(a)

     11,200         160,568   

Megmilk Snow Brand Co., Ltd.(a)

     34,000         648,971   

Mitsui Sugar Co., Ltd.

     75,000         311,861   

Morinaga & Co., Ltd.

     76,000         372,496   

Morinaga Milk Industry Co., Ltd.

     65,000         269,737   

Nichirei Corp.

     88,000         548,140   

Nippon Flour Mills Co., Ltd.(a)

     75,000         467,165   

Nippon Suisan Kaisha Ltd.

     65,200         193,806   

Nisshin Oillio Group Ltd. (The)

     102,000         368,772   

Riken Vitamin Co., Ltd.(a)

     7,300         231,011   

S Foods, Inc.(a)

     10,800         216,424   

Sakata Seed Corp.

     11,800         194,097   

Showa Sangyo Co., Ltd.

     72,000         279,547   

Starzen Co., Ltd.

     3,500         91,471   
     

 

 

 
Total Food Products               6,734,991   
Gas Utilities – 0.3%      

K&O Energy Group, Inc.

     14,600         176,885   

Saibu Gas Co., Ltd.

     62,000         141,327   

Shizuoka Gas Co., Ltd.

     29,400         190,247   
     

 

 

 
Total Gas Utilities               508,459   
Health Care Equipment & Supplies – 1.6%      

Asahi Intecc Co., Ltd.

     4,400         157,609   

Eiken Chemical Co., Ltd.

     10,500         178,587   

Hogy Medical Co., Ltd.(a)

     5,800         265,386   

Mani, Inc.

     10,600         205,336   

Nagaileben Co., Ltd.

     15,300         282,328   

Nakanishi, Inc.

     8,700         323,258   

Nihon Kohden Corp.

     15,800         260,948   

Nikkiso Co., Ltd.(a)

     15,700         104,741   

Nipro Corp.

     113,623         1,163,126   

Paramount Bed Holdings Co., Ltd.

     7,603         225,363   
     

 

 

 
Total Health Care Equipment & Supplies               3,166,682   
Health Care Providers & Services – 0.9%      

BML, Inc.

     9,500         263,745   

Message Co., Ltd.(a)

     5,700         118,317   

Nichii Gakkan Co.(a)

     19,800         137,219   

Ship Healthcare Holdings, Inc.

     30,759         660,048   

Toho Holdings Co., Ltd.(a)

     15,800         328,229   
Investments    Shares      Value  

Vital KSK Holdings, Inc.(a)

     33,900       $ 228,425   
     

 

 

 
Total Health Care Providers & Services               1,735,983   
Hotels, Restaurants & Leisure – 3.1%      

Accordia Golf Co., Ltd.(a)

     59,800         539,256   

Atom Corp.(a)

     25,800         139,378   

Create Restaurants Holdings, Inc.(a)

     5,700         117,698   

Doutor Nichires Holdings Co., Ltd.(a)

     10,500         160,702   

Hiramatsu, Inc.(a)

     32,600         171,758   

HIS Co., Ltd.

     7,500         243,915   

Kyoritsu Maintenance Co., Ltd.(a)

     2,100         134,488   

McDonald’s Holdings Co., Japan Ltd.(a)

     41,700         936,261   

MOS Food Services, Inc.(a)

     9,300         197,003   

Ohsho Food Service Corp.

     10,300         340,567   

Plenus Co., Ltd.(a)

     18,200         280,678   

Resorttrust, Inc.(a)

     25,100         622,235   

Round One Corp.(a)

     82,000         329,328   

Saizeriya Co., Ltd.

     7,500         169,457   

Skylark Co., Ltd.

     64,500         837,453   

St. Marc Holdings Co., Ltd.

     7,000         213,335   

Tokyo Dome Corp.

     34,000         148,190   

Tokyotokeiba Co., Ltd.

     127,000         303,277   

Yoshinoya Holdings Co., Ltd.(a)

     19,000         246,533   
     

 

 

 
Total Hotels, Restaurants & Leisure               6,131,512   
Household Durables – 2.6%      

Alpine Electronics, Inc.

     14,700         160,176   

Cleanup Corp.

     8,000         58,515   

First Juken Co., Ltd.

     13,900         155,173   

Foster Electric Co., Ltd.

     6,706         133,319   

France Bed Holdings Co., Ltd.

     19,300         136,332   

Fuji Corp., Ltd.(a)

     22,400         125,686   

Fujitsu General Ltd.

     27,000         292,172   

Misawa Homes Co., Ltd.(a)

     26,441         159,620   

Mitsui Home Co., Ltd.(a)

     46,000         229,683   

Nihon House Holdings Co., Ltd.(a)

     54,300         228,507   

Nissei Build Kogyo Co., Ltd.(a)

     59,000         182,274   

PanaHome Corp.(a)

     78,000         504,087   

Pressance Corp.(a)

     6,300         245,393   

Sangetsu Co., Ltd.

     31,100         494,681   

Starts Corp., Inc.

     28,600         441,543   

Sumitomo Forestry Co., Ltd.

     50,700         564,721   

Tamron Co., Ltd.(a)

     13,500         245,393   

TOA Corp.

     12,100         108,912   

Token Corp.

     4,280         320,915   

West Holdings Corp.(a)

     34,800         179,572   

Zojirushi Corp.(a)

     5,000         71,640   
     

 

 

 
Total Household Durables               5,038,314   
Household Products – 0.6%      

Earth Chemical Co., Ltd.

     11,300         429,299   

Lion Corp.(a)

     76,000         665,670   
     

 

 

 
Total Household Products               1,094,969   
Industrial Conglomerates – 0.2%      

Nisshinbo Holdings, Inc.

     43,000         483,263   

 

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 Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Internet & Catalog Retail – 0.3%      

ASKUL Corp.

     9,500       $ 360,518   

Belluna Co., Ltd.

     27,700         151,030   
     

 

 

 
Total Internet & Catalog Retail               511,548   
Internet Software & Services – 0.7%      

Dip Corp.

     8,500         139,248   

F@N Communications, Inc.(a)

     32,700         214,059   

GMO Internet, Inc.

     34,100         439,614   

Gree, Inc.(a)

     61,500         274,726   

Infomart Corp.(a)

     15,400         173,590   

NIFTY Corp.

     7,100         70,843   
     

 

 

 
Total Internet Software & Services               1,312,080   
IT Services – 1.6%      

DTS Corp.

     13,100         308,345   

Future Architect, Inc.

     37,400         210,788   

Ines Corp.

     18,300         164,870   

Information Services International-Dentsu Ltd.

     9,400         129,268   

IT Holdings Corp.

     19,800         446,870   

NEC Networks & System Integration Corp.(a)

     16,500         293,863   

NET One Systems Co., Ltd.(a)

     59,800         337,534   

Nihon Unisys Ltd.(a)

     31,400         323,268   

NS Solutions Corp.

     13,700         576,529   

Transcosmos, Inc.

     18,700         454,365   
     

 

 

 
Total IT Services               3,245,700   
Leisure Products – 1.3%      

Daikoku Denki Co., Ltd.

     10,100         136,196   

Dunlop Sports Co., Ltd.(a)

     23,400         219,219   

Fields Corp.(a)

     17,700         239,715   

Heiwa Corp.

     76,600         1,310,511   

Tomy Co., Ltd.(a)

     20,200         98,331   

Universal Entertainment Corp.(a)

     28,600         502,915   
     

 

 

 
Total Leisure Products               2,506,887   
Machinery – 5.6%      

Aichi Corp.

     34,000         190,206   

Aida Engineering Ltd.

     28,800         236,383   

Alinco, Inc.

     16,600         149,555   

Asahi Diamond Industrial Co., Ltd.(a)

     28,200         254,533   

Bando Chemical Industries Ltd.

     55,000         212,166   

CKD Corp.

     26,400         216,684   

Daifuku Co., Ltd.(a)

     23,800         324,911   

DMG Mori Co., Ltd.

     28,900         364,613   

Ebara Corp.(a)

     192,000         705,381   

Fujitec Co., Ltd.(a)

     28,100         244,011   

Furukawa Co., Ltd.(a)

     217,000         456,594   

Giken Ltd.(a)

     7,600         102,040   

Glory Ltd.

     19,300         453,957   

Harmonic Drive Systems, Inc.(a)

     8,300         118,091   

Hitachi Koki Co., Ltd.(a)

     56,000         389,029   

Hitachi Zosen Corp.

     53,535         276,693   

Hokuetsu Industries Co., Ltd.(a)

     18,000         116,628   

Japan Steel Works Ltd. (The)(a)

     77,018         243,083   

Kitz Corp.(a)

     60,600         268,175   
Investments    Shares      Value  

Kobelco Eco-Solutions Co., Ltd.(a)

     19,433       $ 80,318   

Kokusai Co., Ltd.(a)

     10,500         138,960   

Makino Milling Machine Co., Ltd.(a)

     22,000         137,219   

Max Co., Ltd.

     12,000         112,721   

Meidensha Corp.(a)

     60,000         177,848   

Mitsuboshi Belting Ltd.(a)

     32,000         242,608   

Mitsui Engineering & Shipbuilding Co., Ltd.

     108,000         155,104   

Miura Co., Ltd.(a)

     33,300         383,980   

Morita Holdings Corp.

     20,000         183,693   

Nachi-Fujikoshi Corp.(a)

     52,000         214,487   

Nippon Thompson Co., Ltd.

     25,000         103,119   

Nitta Corp.

     7,400         177,083   

Nitto Kohki Co., Ltd.

     7,600         145,064   

Noritake Co., Ltd.

     93,000         195,683   

Obara Group, Inc.(a)

     4,700         183,856   

Oiles Corp.(a)

     11,000         162,660   

OKUMA Corp.(a)

     28,000         173,941   

OSG Corp.(a)

     26,200         493,308   

Ryobi Ltd.

     64,000         238,333   

Shima Seiki Manufacturing Ltd.(a)

     7,000         95,854   

Sodick Co., Ltd.(a)

     17,900         111,347   

Star Micronics Co., Ltd.(a)

     20,300         275,605   

Tadano Ltd.

     24,000         264,718   

Takuma Co., Ltd.(a)

     24,000         180,554   

Tocalo Co., Ltd.

     7,700         138,872   

Toshiba Machine Co., Ltd.

     59,000         184,244   

Tsubakimoto Chain Co.

     55,000         343,047   

Tsugami Corp.(a)

     21,000         77,326   

Tsurumi Manufacturing Co., Ltd.

     10,700         171,179   

Union Tool Co.(a)

     4,000         96,289   

YAMABIKO Corp.

     16,300         132,289   
     

 

 

 
Total Machinery               11,094,042   
Marine – 0.8%      

Japan Transcity Corp.

     39,000         132,209   

Kawasaki Kisen Kaisha Ltd.(a)

     541,000         1,183,501   

NS United Kaiun Kaisha Ltd.

     120,740         236,913   
     

 

 

 
Total Marine               1,552,623   
Media – 1.3%      

Avex Group Holdings, Inc.(a)

     20,500         232,618   

Daiichikosho Co., Ltd.

     29,200         1,032,539   

SKY Perfect JSAT Holdings, Inc.

     103,300         483,875   

Toei Co., Ltd.

     19,000         148,967   

Tv Tokyo Holdings Corp.

     13,100         221,824   

Wowow, Inc.

     10,100         274,922   

Zenrin Co., Ltd.(a)

     18,900         254,230   
     

 

 

 
Total Media               2,648,975   
Metals & Mining – 2.6%      

Aichi Steel Corp.

     62,000         232,956   

Asahi Holdings, Inc.

     20,600         308,402   

Daido Steel Co., Ltd.(a)

     120,000         378,742   

Dowa Holdings Co., Ltd.(a)

     116,000         874,613   

Godo Steel Ltd.(a)

     73,000         112,763   

 

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 Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Kyoei Steel Ltd.(a)

     16,400       $ 256,616   

Mitsubishi Steel Manufacturing Co., Ltd.

     86,987         159,063   

Mitsui Mining & Smelting Co., Ltd.

     208,000         371,661   

Neturen Co., Ltd.(a)

     13,000         92,915   

Nippon Denko Co., Ltd.(a)

     15,500         27,825   

Nippon Steel & Sumitomo Metal Corp.

     70         1,267   

Nisshin Steel Co., Ltd.(a)

     59,932         532,940   

Osaka Steel Co., Ltd.

     10,800         150,865   

OSAKA Titanium Technologies Co., Ltd.(a)

     6,000         156,807   

Sanyo Special Steel Co., Ltd.

     67,000         253,421   

Toho Zinc Co., Ltd.(a)

     64,000         145,886   

Tokyo Steel Manufacturing Co., Ltd.

     19,700         107,082   

Topy Industries Ltd.(a)

     70,000         143,782   

Toyo Kohan Co., Ltd.

     41,700         124,301   

UACJ Corp.(a)

     193,532         308,643   

Yamato Kogyo Co., Ltd.(a)

     22,200         443,018   
     

 

 

 
Total Metals & Mining               5,183,568   
Multiline Retail – 0.5%      

H2O Retailing Corp.

     24,900         469,662   

Parco Co., Ltd.(a)

     39,700         317,560   

Seria Co., Ltd.(a)

     3,746         184,540   
     

 

 

 
Total Multiline Retail               971,762   
Oil, Gas & Consumable Fuels – 0.7%      

BP Castrol K.K.(a)

     19,800         196,239   

Itochu Enex Co., Ltd.

     46,000         348,366   

Nippon Coke & Engineering Co., Ltd.

     220,600         186,036   

Nippon Gas Co., Ltd.(a)

     7,800         221,434   

San-Ai Oil Co., Ltd.

     35,000         238,759   

Sinanen Co., Ltd.

     40,000         147,956   
     

 

 

 
Total Oil, Gas & Consumable Fuels               1,338,790   
Paper & Forest Products – 1.0%      

Daiken Corp.

     60,000         181,856   

Daio Paper Corp.(a)

     21,000         172,187   

Hokuetsu Kishu Paper Co., Ltd.(a)

     78,400         424,845   

Nippon Paper Industries Co., Ltd.(a)

     60,700         923,944   

Tokushu Tokai Paper Co., Ltd.(a)

     81,000         217,100   
     

 

 

 
Total Paper & Forest Products               1,919,932   
Personal Products – 1.3%      

Artnature, Inc.(a)

     25,500         255,926   

Dr. Ci:Labo Co., Ltd.(a)

     13,500         253,734   

Fancl Corp.

     24,800         354,508   

Kobayashi Pharmaceutical Co., Ltd.

     10,300         773,156   

Mandom Corp.

     7,900         257,254   

Milbon Co., Ltd.

     7,600         250,975   

Noevir Holdings Co., Ltd.

     20,500         442,299   
     

 

 

 
Total Personal Products               2,587,852   
Pharmaceuticals – 2.3%      

Fuji Pharma Co., Ltd.

     12,100         202,264   

KYORIN Holdings, Inc.

     27,500         419,279   

Mochida Pharmaceutical Co., Ltd.

     7,100         409,644   

Nichi-iko Pharmaceutical Co., Ltd.(a)

     11,100         290,557   

Nippon Shinyaku Co., Ltd.(a)

     10,000         359,454   
Investments    Shares      Value  

Rohto Pharmaceutical Co., Ltd.(a)

     29,700       $ 454,558   

Sawai Pharmaceutical Co., Ltd.

     13,200         764,898   

Torii Pharmaceutical Co., Ltd.

     10,900         255,196   

Towa Pharmaceutical Co., Ltd.(a)

     5,500         351,313   

Tsumura & Co.(a)

     32,100         695,525   

ZERIA Pharmaceutical Co., Ltd.(a)

     21,300         262,148   
     

 

 

 
Total Pharmaceuticals               4,464,836   
Professional Services – 1.5%      

Altech Corp.

     6,800         122,640   

FULLCAST Holdings Co., Ltd.

     22,300         148,213   

Funai Soken Holdings, Inc.

     15,900         225,692   

Meitec Corp.

     14,000         486,286   

Nihon M&A Center, Inc.(a)

     6,200         269,194   

Nomura Co., Ltd.

     24,700         348,541   

Space Co., Ltd.(a)

     21,400         226,570   

Temp Holdings Co., Ltd.

     10,400         472,392   

Weathernews, Inc.

     7,700         244,312   

Yumeshin Holdings Co., Ltd.(a)

     58,200         343,082   
     

 

 

 
Total Professional Services               2,886,922   
Real Estate Management & Development – 1.4%      

Airport Facilities Co., Ltd.

     38,300         174,287   

Daibiru Corp.(a)

     12,600         97,631   

Daikyo, Inc.(a)

     323,000         544,784   

Goldcrest Co., Ltd.(a)

     17,800         329,500   

Heiwa Real Estate Co., Ltd.(a)

     18,200         194,210   

Kenedix, Inc.(a)

     54,100         178,880   

Open House Co., Ltd.

     13,600         209,170   

Relo Holdings, Inc.

     3,548         345,424   

Sumitomo Real Estate Sales Co., Ltd.

     9,200         234,292   

Takara Leben Co., Ltd.(a)

     25,800         125,806   

TOC Co., Ltd.(a)

     25,600         178,697   

Unizo Holdings Co., Ltd.(a)

     4,700         196,610   
     

 

 

 
Total Real Estate Management & Development               2,809,291   
Road & Rail – 2.3%      

Fukuyama Transporting Co., Ltd.(a)

     84,000         452,386   

Hitachi Transport System Ltd.(a)

     28,700         470,885   

Ichinen Holdings Co., Ltd.

     14,100         121,145   

Maruzen Showa Unyu Co., Ltd.

     41,000         143,439   

Nankai Electric Railway Co., Ltd.(a)

     129,838         661,305   

Nippon Konpo Unyu Soko Co., Ltd.

     28,600         503,154   

Nishi-Nippon Railroad Co., Ltd.(a)

     69,000         337,035   

Sankyu, Inc.

     99,000         476,959   

Seino Holdings Co., Ltd.

     59,200         614,416   

Senko Co., Ltd.(a)

     40,000         280,549   

Sotetsu Holdings, Inc.(a)

     104,000         567,044   
     

 

 

 
Total Road & Rail               4,628,317   
Semiconductors & Semiconductor Equipment – 1.1%      

Advantest Corp.(a)

     41,800         298,758   

Axell Corp.

     14,000         168,330   

Lasertec Corp.(a)

     10,300         104,492   

MegaChips Corp.(a)

     13,992         134,003   

Mimasu Semiconductor Industry Co., Ltd.

     12,200         111,136   

 

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 Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Mitsui High-Tec, Inc.

     15,800       $ 84,696   

Nuflare Technology, Inc.(a)

     4,200         153,776   

Sanken Electric Co., Ltd.(a)

     32,000         107,410   

SCREEN Holdings Co., Ltd.(a)

     26,700         129,749   

Shindengen Electric Manufacturing Co., Ltd.

     34,000         109,013   

Shinko Electric Industries Co., Ltd.(a)

     56,500         316,549   

Tokyo Seimitsu Co., Ltd.

     21,300         393,223   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         2,111,135   
Software – 1.6%      

Capcom Co., Ltd.(a)

     22,200         436,159   

Fuji Soft, Inc.(a)

     3,700         64,568   

Imagica Robot Holdings, Inc.(a)

     22,000         83,581   

Konami Corp.(a)

     35,800         772,107   

Marvelous, Inc.(a)

     12,600         96,158   

MTI Ltd.(a)

     18,500         126,510   

NSD Co., Ltd.

     55,000         673,235   

Square Enix Holdings Co., Ltd.

     27,750         686,075   

Systena Corp.

     26,400         242,255   
     

 

 

 
Total Software               3,180,648   
Specialty Retail – 6.1%      

Adastria Co., Ltd.

     9,361         558,854   

Alpen Co., Ltd.(a)

     12,100         192,869   

AOKI Holdings, Inc.

     44,500         539,878   

Aoyama Trading Co., Ltd.

     20,100         706,559   

Arcland Sakamoto Co., Ltd.

     7,248         155,533   

Autobacs Seven Co., Ltd.(a)

     53,300         882,511   

Bic Camera, Inc.(a)

     29,500         255,922   

Chiyoda Co., Ltd.(a)

     18,500         592,389   

DCM Holdings Co., Ltd.

     59,800         436,398   

EDION Corp.(a)

     50,000         342,337   

Geo Holdings Corp.(a)

     26,100         416,022   

Gulliver International Co., Ltd.(a)

     34,100         310,919   

Joyful Honda Co., Ltd.(a)

     15,200         293,682   

K’s Holdings Corp.(a)

     22,917         717,561   

Keiyo Co., Ltd.(a)

     27,300         116,936   

Kohnan Shoji Co., Ltd.(a)

     24,400         307,228   

Komeri Co., Ltd.(a)

     11,000         237,607   

Kyoto Kimono Yuzen Co., Ltd.(a)

     22,300         186,198   

Nishimatsuya Chain Co., Ltd.

     26,400         244,018   

Nojima Corp.(a)

     12,200         134,463   

Pal Co., Ltd.

     8,600         248,453   

Sac’s Bar Holdings, Inc.

     8,500         144,855   

Sanrio Co., Ltd.(a)

     47,657         1,295,233   

Shimachu Co., Ltd.(a)

     25,200         550,859   

T-Gaia Corp.

     36,100         560,346   

United Arrows Ltd.(a)

     18,500         763,078   

VT Holdings Co., Ltd.

     54,654         328,567   

Xebio Co., Ltd.(a)

     14,200         254,442   

Yellow Hat Ltd.(a)

     7,100         153,661   
     

 

 

 
Total Specialty Retail               11,927,378   
Technology Hardware, Storage & Peripherals – 1.2%      

Eizo Corp.(a)

     12,100         280,867   

Elecom Co., Ltd.

     10,800         123,632   
Investments    Shares      Value  

Hitachi Maxell Ltd.(a)

     39,200       $ 564,606   

Riso Kagaku Corp.

     20,100         340,692   

Toshiba TEC Corp.(a)

     142,000         450,549   

Wacom Co., Ltd.(a)

     140,100         514,708   
     

 

 

 
Total Technology Hardware, Storage & Peripherals               2,275,054   
Textiles, Apparel & Luxury Goods – 2.0%      

Descente Ltd.

     11,500         161,988   

Fujibo Holdings, Inc.

     40,000         74,479   

Gunze Ltd.

     111,000         334,580   

Japan Vilene Co., Ltd.(a)

     27,000         268,501   

Japan Wool Textile Co., Ltd. (The)(a)

     45,000         377,990   

Kurabo Industries Ltd.

     124,000         219,496   

Onward Holdings Co., Ltd.(a)

     119,639         705,257   

Sanyo Shokai Ltd.(a)

     73,000         219,430   

Seiko Holdings Corp.

     57,000         329,821   

Seiren Co., Ltd.

     26,700         294,945   

Wacoal Holdings Corp.

     59,000         703,478   

Yondoshi Holdings, Inc.(a)

     9,200         223,538   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               3,913,503   
Trading Companies & Distributors – 2.8%      

Daiichi Jitsugyo Co., Ltd.(a)

     40,000         191,375   

Hanwa Co., Ltd.(a)

     123,000         449,831   

Inaba Denki Sangyo Co., Ltd.(a)

     13,700         411,806   

Inabata & Co., Ltd.

     37,100         385,358   

Iwatani Corp.(a)

     34,000         192,477   

Japan Pulp & Paper Co., Ltd.

     79,000         212,399   

Kanematsu Corp.

     195,000         271,907   

Kuroda Electric Co., Ltd.(a)

     14,300         264,353   

MonotaRO Co., Ltd.(a)

     8,300         188,988   

Nagase & Co., Ltd.(a)

     55,200         638,811   

Nippon Steel & Sumikin Bussan Corp.(a)

     169,960         500,947   

Nishio Rent All Co., Ltd.

     11,100         217,060   

Onoken Co., Ltd.

     19,400         165,061   

Sanyo Trading Co., Ltd.

     5,300         67,752   

Seika Corp.

     63,000         132,560   

Shinsho Corp.

     77,000         145,301   

Trusco Nakayama Corp.

     8,100         285,071   

Wakita & Co., Ltd.

     12,445         112,121   

Yamazen Corp.

     36,800         302,659   

Yuasa Trading Co., Ltd.

     14,400         295,178   
     

 

 

 
Total Trading Companies & Distributors               5,431,015   
Transportation Infrastructure – 0.7%      

Kamigumi Co., Ltd.

     64,000         521,555   

Mitsubishi Logistics Corp.(a)

     33,000         380,796   

Nissin Corp.

     60,000         172,337   

Sumitomo Warehouse Co., Ltd. (The)

     79,000         379,944   
     

 

 

 
Total Transportation Infrastructure               1,454,632   
TOTAL COMMON STOCKS
(Cost: $202,133,084)
              197,464,292   

 

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 Japan Hedged SmallCap Equity Fund (DXJS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 30.1%   
United States – 30.1%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $59,188,899)(c)      59,188,899       $ 59,188,899   
TOTAL INVESTMENTS IN SECURITIES – 130.5%
(Cost: $261,321,983)
         256,653,191   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (30.5)%

        (59,985,662
     

 

 

 
NET ASSETS – 100.0%             $ 196,667,529   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $57,422,258 and the total market value of the collateral held by the Fund was $60,534,774. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,345,875.

 

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 Tech, Media and Telecom Fund (DXJT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.5%      
Japan – 100.5%      
Commercial Services & Supplies – 0.1%      

Nissha Printing Co., Ltd.

     210       $ 3,993   
Communications Equipment – 0.1%      

Hitachi Kokusai Electric, Inc.

     500         5,256   
Electronic Equipment, Instruments & Components – 27.0%   

Ai Holdings Corp.

     270         6,657   

Alps Electric Co., Ltd.

     1,470         41,179   

Amano Corp.

     460         5,285   

Anritsu Corp.

     980         5,933   

Azbil Corp.

     380         9,582   

Citizen Holdings Co., Ltd.

     2,180         14,999   

Hamamatsu Photonics K.K.

     1,180         26,602   

Hirose Electric Co., Ltd.

     201         21,767   

Hitachi High-Technologies Corp.

     440         9,468   

Hitachi Ltd.

     33,600         168,582   

Horiba Ltd.

     300         10,896   

Ibiden Co., Ltd.

     870         11,354   

Japan Aviation Electronics Industry Ltd.

     600         8,933   

Japan Display, Inc.*(a)

     2,900         8,306   

Keyence Corp.

     317         140,812   

Kyocera Corp.

     2,480         113,061   

Murata Manufacturing Co., Ltd.

     1,515         194,427   

Nichicon Corp.

     430         3,077   

Nippon Electric Glass Co., Ltd.

     2,300         11,062   

Nippon Signal Co., Ltd.

     340         3,270   

Oki Electric Industry Co., Ltd.

     6,200         9,629   

Omron Corp.

     1,710         51,187   

Ryosan Co., Ltd.

     200         4,661   

Shimadzu Corp.

     2,000         28,639   

Siix Corp.

     140         3,630   

Taiyo Yuden Co., Ltd.

     840         10,899   

TDK Corp.

     940         52,822   

Topcon Corp.

     750         9,775   

Yaskawa Electric Corp.

     2,100         21,252   

Yokogawa Electric Corp.

     1,600         16,659   
     

 

 

 
Total Electronic Equipment, Instruments & Components         1,024,405   
Household Durables – 11.9%      

Alpine Electronics, Inc.

     400         4,358   

Casio Computer Co., Ltd.(a)

     1,930         34,889   

Foster Electric Co., Ltd.

     210         4,175   

Fujitsu General Ltd.

     500         5,411   

Nikon Corp.(a)

     2,720         32,749   

Panasonic Corp.

     15,980         160,581   

Pioneer Corp.*(a)

     1,440         3,114   

Sharp Corp.*(a)

     4,900         5,605   

Sony Corp.

     8,350         202,083   
     

 

 

 
Total Household Durables               452,965   
Internet & Catalog Retail – 2.9%      

ASKUL Corp.

     180         6,831   

Rakuten, Inc.

     6,700         85,257   
Investments    Shares      Value  

Start Today Co., Ltd.

     500       $ 16,449   
     

 

 

 
Total Internet & Catalog Retail               108,537   
Internet Software & Services – 2.6%      

COOKPAD, Inc.

     500         10,491   

DeNa Co., Ltd.(a)

     650         12,043   

GMO Internet, Inc.

     700         9,024   

Internet Initiative Japan, Inc.

     280         4,999   

Kakaku.com, Inc.(a)

     1,100         17,763   

Mixi, Inc.

     290         9,879   

Yahoo Japan Corp.

     9,020         34,193   
     

 

 

 
Total Internet Software & Services               98,392   
IT Services – 7.8%      

Digital Garage, Inc.

     440         6,051   

DTS Corp.

     210         4,943   

Fujitsu Ltd.

     13,400         58,013   

GMO Payment Gateway, Inc.(a)

     200         7,682   

IT Holdings Corp.

     710         16,024   

Itochu Techno-Solutions Corp.(a)

     520         11,050   

NEC Networks & System Integration Corp.(a)

     190         3,384   

Nihon Unisys Ltd.

     680         7,001   

Nomura Research Institute Ltd.

     1,078         41,179   

NS Solutions Corp.

     250         10,520   

NTT Data Corp.

     1,050         52,691   

Obic Co., Ltd.

     580         26,393   

Otsuka Corp.

     450         21,868   

SCSK Corp.(a)

     500         18,682   

Transcosmos, Inc.

     410         9,962   
     

 

 

 
Total IT Services               295,443   
Leisure Products – 2.3%      

Bandai Namco Holdings, Inc.

     1,410         32,611   

Heiwa Corp.

     200         3,422   

Sankyo Co., Ltd.

     330         11,710   

Sega Sammy Holdings, Inc.

     1,050         10,205   

Yamaha Corp.

     1,400         30,837   
     

 

 

 
Total Leisure Products               88,785   
Media – 4.9%      

Avex Group Holdings, Inc.

     300         3,404   

CyberAgent, Inc.(a)

     380         14,786   

Daiichikosho Co., Ltd.

     280         9,901   

Dentsu, Inc.

     1,730         88,403   

Hakuhodo DY Holdings, Inc.

     2,400         22,664   

Kadokawa Dwango

     260         3,445   

Shochiku Co., Ltd.

     600         5,045   

SKY Perfect JSAT Holdings, Inc.

     1,230         5,762   

Toei Co., Ltd.

     700         5,488   

Toho Co., Ltd.

     1,000         22,736   

Tokyo Broadcasting System Holdings, Inc.

     340         4,537   
     

 

 

 
Total Media               186,171   
Semiconductors & Semiconductor Equipment – 3.4%      

Advantest Corp.(a)

     1,400         10,006   

Disco Corp.

     230         16,055   

Renesas Electronics Corp.*

     2,540         13,382   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      121   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Hedged Tech, Media and Telecom Fund (DXJT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

SCREEN Holdings Co., Ltd.

     1,800       $ 8,747   

Sumco Corp.

     1,100         9,791   

Tokyo Electron Ltd.

     1,270         59,532   

Tokyo Seimitsu Co., Ltd.

     300         5,538   

Ulvac, Inc.

     370         5,994   
     

 

 

 
Total Semiconductors & Semiconductor Equipment               129,045   
Software – 3.3%      

Capcom Co., Ltd.

     500         9,823   

COLOPL, Inc.(a)

     410         6,559   

GungHo Online Entertainment, Inc.

     3,400         10,050   

Konami Corp.(a)

     870         18,763   

Nexon Co., Ltd.

     1,350         17,866   

NSD Co., Ltd.

     360         4,407   

Oracle Corp.

     300         12,625   

Square Enix Holdings Co., Ltd.

     550         13,598   

Trend Micro, Inc.

     880         30,971   
     

 

 

 
Total Software               124,662   
Technology Hardware, Storage & Peripherals – 14.3%   

Brother Industries Ltd.

     1,930         23,109   

Canon, Inc.

     7,570         218,317   

FUJIFILM Holdings Corp.

     3,410         126,873   

Hitachi Maxell Ltd.

     60         864   

Konica Minolta, Inc.

     3,520         36,856   

NEC Corp.

     17,400         53,320   

Ricoh Co., Ltd.

     4,550         45,760   

Riso Kagaku Corp.

     180         3,051   

Seiko Epson Corp.

     2,090         29,440   

Wacom Co., Ltd.(a)

     1,250         4,592   
     

 

 

 
Total Technology Hardware, Storage & Peripherals               542,182   
Trading Companies & Distributors – 0.1%      

Inaba Denki Sangyo Co., Ltd.

     90         2,705   
Wireless Telecommunication Services – 19.8%      

KDDI Corp.

     12,290         273,681   

NTT DOCOMO, Inc.

     9,680         161,084   

SoftBank Group Corp.

     6,930         316,918   
     

 

 

 
Total Wireless Telecommunication Services               751,683   
TOTAL COMMON STOCKS
(Cost: $4,003,088)
              3,814,224   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 4.8%   
United States – 4.8%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $184,218)(c)      184,218         184,218   
TOTAL INVESTMENTS IN SECURITIES – 105.3%
(Cost: $4,187,306)
        3,998,442   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (5.3)%

        (201,669
     

 

 

 
NET ASSETS – 100.0%             $ 3,796,773   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $176,512 and the total market value of the collateral held by the Fund was $185,418. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,200.

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan Quality Dividend Growth Fund (JDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Japan – 99.2%      
Air Freight & Logistics – 0.1%      

Yamato Holdings Co., Ltd.

     163       $ 3,109   
Auto Components – 6.4%      

Aisin Seiki Co., Ltd.

     300         10,020   

Bridgestone Corp.

     1,210         41,685   

Denso Corp.

     934         39,274   

Exedy Corp.

     72         1,590   

Koito Manufacturing Co., Ltd.

     81         2,628   

NGK Spark Plug Co., Ltd.

     135         3,076   

NHK Spring Co., Ltd.

     200         1,929   

Nifco, Inc.

     51         1,735   

NOK Corp.

     135         2,900   

Stanley Electric Co., Ltd.

     132         2,618   

Sumitomo Electric Industries Ltd.

     744         9,464   

Sumitomo Rubber Industries Ltd.

     429         5,932   

Toyo Tire & Rubber Co., Ltd.

     185         3,982   

Toyoda Gosei Co., Ltd.

     116         2,269   

Toyota Boshoku Corp.

     125         2,109   

TS Tech Co., Ltd.

     53         1,438   

Yokohama Rubber Co., Ltd. (The)

     200         3,509   
     

 

 

 
Total Auto Components               136,158   
Automobiles – 13.2%      

Fuji Heavy Industries Ltd.

     690         24,676   

Honda Motor Co., Ltd.

     2,335         68,998   

Isuzu Motors Ltd.

     975         9,729   

Mazda Motor Corp.

     137         2,151   

Nissan Motor Co., Ltd.

     6,885         62,891   

Suzuki Motor Corp.

     221         6,757   

Toyota Motor Corp.

     1,731         100,754   

Yamaha Motor Co., Ltd.

     334         6,668   
     

 

 

 
Total Automobiles               282,624   
Banks – 0.1%      

Suruga Bank Ltd.

     152         2,813   
Beverages – 1.2%      

Asahi Group Holdings Ltd.

     378         12,214   

Coca-Cola East Japan Co., Ltd.

     127         2,046   

Ito En Ltd.

     100         2,087   

Suntory Beverage & Food Ltd.

     261         9,992   
     

 

 

 
Total Beverages               26,339   
Building Products – 0.6%      

Daikin Industries Ltd.

     205         11,427   

Sanwa Holdings Corp.

     288         1,972   
     

 

 

 
Total Building Products               13,399   
Chemicals – 4.7%      

Air Water, Inc.

     190         2,841   

Asahi Kasei Corp.

     1,659         11,636   

Daicel Corp.

     268         3,271   

DIC Corp.

     1,377         3,070   

Hitachi Chemical Co., Ltd.

     224         3,069   

JSR Corp.

     248         3,557   
Investments    Shares      Value  

Kansai Paint Co., Ltd.

     156       $ 2,113   

Kuraray Co., Ltd.

     316         3,921   

Mitsubishi Chemical Holdings Corp.

     1,171         6,075   

Mitsubishi Gas Chemical Co., Inc.

     853         3,917   

Nihon Parkerizing Co., Ltd.

     169         1,374   

Nippon Paint Holdings Co., Ltd.

     70         1,216   

Nippon Shokubai Co., Ltd.

     41         2,773   

Nissan Chemical Industries Ltd.

     100         2,187   

Nitto Denko Corp.

     141         8,388   

NOF Corp.

     249         1,701   

Shin-Etsu Chemical Co., Ltd.

     340         17,360   

Sumitomo Chemical Co., Ltd.

     1,681         8,450   

Taiyo Holdings Co., Ltd.

     42         1,280   

Toray Industries, Inc.

     921         7,925   

Tosoh Corp.

     532         2,545   

Zeon Corp.

     219         1,721   
     

 

 

 
Total Chemicals               100,390   
Commercial Services & Supplies – 1.0%      

Aeon Delight Co., Ltd.

     100         2,881   

Park24 Co., Ltd.

     255         4,782   

Secom Co., Ltd.

     237         14,186   
     

 

 

 
Total Commercial Services & Supplies               21,849   
Construction & Engineering – 0.7%      

COMSYS Holdings Corp.

     158         1,876   

Hazama Ando Corp.

     100         637   

JGC Corp.

     148         1,957   

Kajima Corp.

     759         4,011   

Kyowa Exeo Corp.

     188         1,810   

Maeda Road Construction Co., Ltd.

     120         2,096   

Nippo Corp.

     105         1,784   

SHO-BOND Holdings Co., Ltd.

     40         1,525   
     

 

 

 
Total Construction & Engineering               15,696   
Construction Materials – 0.2%      

Sumitomo Osaka Cement Co., Ltd.

     520         1,841   

Taiheiyo Cement Corp.

     1,143         3,417   
     

 

 

 
Total Construction Materials               5,258   
Containers & Packaging – 0.1%      

Rengo Co., Ltd.

     352         1,358   
Electrical Equipment – 1.7%      

Fuji Electric Co., Ltd.

     454         1,638   

GS Yuasa Corp.

     543         2,040   

Mitsubishi Electric Corp.

     2,192         19,950   

Nidec Corp.

     151         10,321   

Nitto Kogyo Corp.

     100         1,742   
     

 

 

 
Total Electrical Equipment               35,691   
Electronic Equipment, Instruments & Components – 3.6%      

Alps Electric Co., Ltd.

     68         1,905   

Azbil Corp.

     116         2,925   

Hirose Electric Co., Ltd.

     37         4,007   

Hitachi High-Technologies Corp.

     129         2,776   

Hitachi Ltd.

     4,396         22,056   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      123   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan Quality Dividend Growth Fund (JDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Horiba Ltd.

     46       $ 1,671   

Keyence Corp.

     15         6,663   

Murata Manufacturing Co., Ltd.

     127         16,298   

Oki Electric Industry Co., Ltd.

     1,000         1,553   

Omron Corp.

     184         5,508   

Shimadzu Corp.

     188         2,692   

TDK Corp.

     87         4,889   

Yaskawa Electric Corp.

     200         2,024   

Yokogawa Electric Corp.

     154         1,603   
     

 

 

 
Total Electronic Equipment, Instruments & Components         76,570   
Food & Staples Retailing – 3.1%      

FamilyMart Co., Ltd.

     156         7,099   

Lawson, Inc.

     168         12,358   

Matsumotokiyoshi Holdings Co., Ltd.

     66         2,915   

Seven & I Holdings Co., Ltd.

     779         35,410   

Sugi Holdings Co., Ltd.

     42         1,880   

Sundrug Co., Ltd.

     60         3,146   

Tsuruha Holdings, Inc.

     33         2,835   
     

 

 

 
Total Food & Staples Retailing               65,643   
Food Products – 1.3%      

Ajinomoto Co., Inc.

     386         8,106   

Calbee, Inc.

     73         2,350   

Ezaki Glico Co., Ltd.

     37         1,705   

Kikkoman Corp.

     108         2,958   

MEIJI Holdings Co., Ltd.

     74         5,400   

NH Foods Ltd.

     239         4,861   

Yakult Honsha Co., Ltd.

     32         1,587   
     

 

 

 
Total Food Products               26,967   
Health Care Equipment & Supplies – 1.4%      

Hoya Corp.

     437         14,241   

Nakanishi, Inc.

     41         1,523   

Nipro Corp.

     374         3,829   

Sysmex Corp.

     87         4,562   

Terumo Corp.

     211         5,937   
     

 

 

 
Total Health Care Equipment & Supplies               30,092   
Health Care Technology – 0.1%      

M3, Inc.

     100         1,976   
Hotels, Restaurants & Leisure – 0.4%      

Oriental Land Co., Ltd.

     100         5,568   

Resorttrust, Inc.

     100         2,479   
     

 

 

 
Total Hotels, Restaurants & Leisure               8,047   
Household Durables – 1.3%      

Casio Computer Co., Ltd.(a)

     263         4,754   

Haseko Corp.

     162         1,826   

Rinnai Corp.

     31         2,356   

Sekisui Chemical Co., Ltd.

     345         3,610   

Sekisui House Ltd.

     1,056         16,444   
     

 

 

 
Total Household Durables               28,990   
Household Products – 0.4%      

Lion Corp.

     275         2,409   

Pigeon Corp.

     131         3,044   
Investments    Shares      Value  

Unicharm Corp.

     200       $ 3,530   
     

 

 

 
Total Household Products               8,983   
Insurance – 2.6%      

Sompo Japan Nipponkoa Holdings, Inc.

     435         12,553   

Sony Financial Holdings, Inc.

     558         9,123   

Tokio Marine Holdings, Inc.

     947         35,123   
     

 

 

 
Total Insurance               56,799   
Internet Software & Services – 1.5%      

DeNa Co., Ltd.

     78         1,445   

GMO Internet, Inc.

     161         2,076   

Kakaku.com, Inc.

     148         2,390   

Mixi, Inc.

     79         2,691   

Yahoo Japan Corp.

     6,208         23,533   
     

 

 

 
Total Internet Software & Services               32,135   
IT Services – 1.4%      

Itochu Techno-Solutions Corp.

     148         3,145   

NEC Networks & System Integration Corp.

     100         1,781   

Nihon Unisys Ltd.

     100         1,030   

Nomura Research Institute Ltd.

     254         9,703   

Obic Co., Ltd.

     82         3,731   

Otsuka Corp.

     100         4,859   

SCSK Corp.

     126         4,708   

Transcosmos, Inc.

     81         1,968   
     

 

 

 
Total IT Services               30,925   
Leisure Products – 0.9%      

Bandai Namco Holdings, Inc.

     349         8,072   

Heiwa Corp.

     210         3,593   

Shimano, Inc.

     39         5,451   

Universal Entertainment Corp.(a)

     100         1,758   
     

 

 

 
Total Leisure Products               18,874   
Machinery – 7.6%      

Ebara Corp.

     586         2,153   

FANUC Corp.

     361         55,206   

Hino Motors Ltd.

     918         9,298   

Hitachi Construction Machinery Co., Ltd.

     368         4,907   

Hoshizaki Electric Co., Ltd.

     40         2,789   

IHI Corp.

     1,000         2,555   

JTEKT Corp.

     331         4,599   

Kawasaki Heavy Industries Ltd.

     1,813         6,222   

Komatsu Ltd.

     1,390         20,340   

Kubota Corp.

     1,118         15,267   

Kurita Water Industries Ltd.

     139         2,940   

Makita Corp.

     154         8,139   

Minebea Co., Ltd.

     160         1,685   

Miura Co., Ltd.

     157         1,810   

Nabtesco Corp.

     127         2,304   

NGK Insulators Ltd.

     196         3,726   

NSK Ltd.

     513         4,939   

OSG Corp.

     100         1,883   

SMC Corp.

     23         5,004   

Sumitomo Heavy Industries Ltd.

     660         2,595   

Tadano Ltd.

     118         1,301   

 

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 Quality Dividend Growth Fund (JDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

THK Co., Ltd.

     158       $ 2,499   

Tsubakimoto Chain Co.

     208         1,297   
     

 

 

 
Total Machinery               163,458   
Marine – 0.4%      

Kawasaki Kisen Kaisha Ltd.

     1,758         3,846   

Nippon Yusen K.K.

     2,243         5,169   
     

 

 

 
Total Marine               9,015   
Media – 0.5%      

CyberAgent, Inc.

     48         1,867   

Daiichikosho Co., Ltd.

     100         3,536   

Hakuhodo DY Holdings, Inc.

     322         3,041   

Toho Co., Ltd.

     130         2,956   
     

 

 

 
Total Media               11,400   
Metals & Mining – 2.1%      

Dowa Holdings Co., Ltd.

     291         2,194   

Hitachi Metals Ltd.

     311         3,591   

Mitsubishi Materials Corp.

     1,715         5,184   

Mitsui Mining & Smelting Co., Ltd.

     1,000         1,787   

Nippon Steel & Sumitomo Metal Corp.

     968         17,518   

Sumitomo Metal Mining Co., Ltd.

     939         10,600   

UACJ Corp.

     1,000         1,595   

Yamato Kogyo Co., Ltd.

     100         1,995   
     

 

 

 
Total Metals & Mining               44,464   
Multiline Retail – 0.4%      

Isetan Mitsukoshi Holdings Ltd.

     160         2,394   

Izumi Co., Ltd.

     48         1,938   

Ryohin Keikaku Co., Ltd.

     18         3,655   
     

 

 

 
Total Multiline Retail               7,987   
Personal Products – 1.2%      

Kao Corp.

     404         18,226   

Kobayashi Pharmaceutical Co., Ltd.

     41         3,077   

Kose Corp.

     42         3,805   
     

 

 

 
Total Personal Products               25,108   
Pharmaceuticals – 4.7%      

Astellas Pharma, Inc.

     2,362         30,470   

Chugai Pharmaceutical Co., Ltd.

     488         14,934   

Eisai Co., Ltd.

     366         21,484   

Hisamitsu Pharmaceutical Co., Inc.

     119         3,965   

Kaken Pharmaceutical Co., Ltd.

     49         4,521   

KYORIN Holdings, Inc.

     125         1,906   

Mochida Pharmaceutical Co., Ltd.

     38         2,192   

Rohto Pharmaceutical Co., Ltd.

     100         1,530   

Santen Pharmaceutical Co., Ltd.

     225         3,004   

Sawai Pharmaceutical Co., Ltd.

     43         2,492   

Shionogi & Co., Ltd.

     230         8,210   

Sumitomo Dainippon Pharma Co., Ltd.

     364         3,629   

Tsumura & Co.

     134         2,903   
     

 

 

 
Total Pharmaceuticals               101,240   
Professional Services – 0.1%      

Meitec Corp.

     44         1,528   
Investments    Shares      Value  
Real Estate Management & Development – 2.1%      

Daikyo, Inc.

     1,000       $ 1,687   

Daito Trust Construction Co., Ltd.

     93         9,415   

Daiwa House Industry Co., Ltd.

     863         21,239   

Hulic Co., Ltd.

     454         4,083   

Relo Holdings, Inc.

     20         1,947   

Sumitomo Realty & Development Co., Ltd.

     155         4,906   

Tokyo Tatemono Co., Ltd.

     100         1,187   
     

 

 

 
Total Real Estate Management & Development               44,464   
Road & Rail – 2.7%      

Central Japan Railway Co.

     60         9,631   

East Japan Railway Co.

     277         23,256   

Hitachi Transport System Ltd.

     145         2,379   

Keisei Electric Railway Co., Ltd.

     137         1,497   

Nippon Express Co., Ltd.

     1,137         5,402   

Sankyu, Inc.

     377         1,816   

West Japan Railway Co.

     217         13,555   
     

 

 

 
Total Road & Rail               57,536   
Semiconductors & Semiconductor Equipment – 0.2%      

Disco Corp.

     38         2,652   

Shinko Electric Industries Co., Ltd.

     290         1,625   
     

 

 

 
Total Semiconductors & Semiconductor Equipment               4,277   
Software – 0.9%      

GungHo Online Entertainment, Inc.(a)

     474         1,401   

Konami Corp.

     107         2,308   

Nexon Co., Ltd.

     128         1,694   

Oracle Corp.

     82         3,451   

Square Enix Holdings Co., Ltd.

     93         2,299   

Trend Micro, Inc.

     256         9,009   
     

 

 

 
Total Software               20,162   
Specialty Retail – 2.1%      

ABC-Mart, Inc.

     73         4,060   

AOKI Holdings, Inc.

     152         1,844   

Fast Retailing Co., Ltd.

     41         16,600   

Hikari Tsushin, Inc.

     60         4,183   

K’s Holdings Corp.

     51         1,597   

Sanrio Co., Ltd.

     137         3,723   

Shimamura Co., Ltd.

     38         4,080   

T-Gaia Corp.

     157         2,437   

United Arrows Ltd.

     57         2,351   

USS Co., Ltd.

     220         3,645   
     

 

 

 
Total Specialty Retail               44,520   
Technology Hardware, Storage & Peripherals – 5.4%      

Brother Industries Ltd.

     214         2,562   

Canon, Inc.

     3,000         86,519   

FUJIFILM Holdings Corp.

     436         16,222   

Konica Minolta, Inc.

     386         4,042   

NEC Corp.

     1,758         5,387   
     

 

 

 
Total Technology Hardware, Storage & Peripherals               114,732   
Textiles, Apparel & Luxury Goods – 0.1%      

Asics Corp.

     100         2,370   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      125   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan Quality Dividend Growth Fund (JDG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Tobacco – 4.2%      

Japan Tobacco, Inc.

     2,900       $ 89,471   
Trading Companies & Distributors – 6.8%      

ITOCHU Corp.

     2,931         30,775   

Marubeni Corp.

     3,979         19,396   

MISUMI Group, Inc.

     300         3,078   

Mitsubishi Corp.

     2,577         42,034   

Mitsui & Co., Ltd.

     4,264         47,726   

Nippon Steel & Sumikin Bussan Corp.

     1,000         2,947   
     

 

 

 
Total Trading Companies & Distributors               145,956   
Transportation Infrastructure – 0.1%      

Kamigumi Co., Ltd.

     258         2,103   
Wireless Telecommunication Services – 9.6%      

KDDI Corp.

     3,355         74,711   

NTT DOCOMO, Inc.

     6,732         112,027   

SoftBank Group Corp.

     417         19,070   
     

 

 

 
Total Wireless Telecommunication Services               205,808   
TOTAL COMMON STOCKS
(Cost: $2,471,167)
              2,126,284   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.3%   
United States – 0.3%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $6,938)(c)      6,938         6,938   
TOTAL INVESTMENTS IN SECURITIES – 99.5%
(Cost: $2,478,105)
        2,133,222   

Cash and Other Assets in Excess of Liabilities – 0.5%

        9,782   
     

 

 

 
NET ASSETS – 100.0%             $ 2,143,004   
(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $6,616 and the total market value of the collateral held by the Fund was $6,938.

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Japan – 99.2%      
Air Freight & Logistics – 0.3%      

AIT Corp.(a)

     18,300       $ 141,951   

Kintetsu World Express, Inc.

     20,966         367,975   

Konoike Transport Co., Ltd.

     11,000         136,392   

Yusen Logistics Co., Ltd.

     25,800         263,461   
     

 

 

 
Total Air Freight & Logistics               909,779   
Auto Components – 4.5%      

Aisan Industry Co., Ltd.

     32,800         299,340   

Akebono Brake Industry Co., Ltd.(a)

     148,132         468,768   

Calsonic Kansei Corp.

     97,000         723,258   

Daido Metal Co., Ltd.

     34,100         282,446   

Daikyonishikawa Corp.

     5,300         244,721   

Eagle Industry Co., Ltd.

     16,300         289,348   

Exedy Corp.

     31,025         684,926   

FCC Co., Ltd.

     32,700         522,315   

G-Tekt Corp.

     31,000         352,282   

H-One Co., Ltd.

     33,700         178,679   

Keihin Corp.

     16,221         228,352   

Kinugawa Rubber Industrial Co., Ltd.

     42,372         209,445   

KYB Co., Ltd.(a)

     232,400         611,247   

Nifco, Inc.(a)

     38,086         1,295,875   

Nissin Kogyo Co., Ltd.(a)

     38,300         571,790   

Pacific Industrial Co., Ltd.(a)

     34,600         344,079   

Press Kogyo Co., Ltd.(a)

     66,800         253,780   

Riken Corp.

     82,687         272,712   

Sanden Holdings Corp.(a)

     70,963         219,824   

Shoei Co., Ltd.

     7,700         115,084   

Showa Corp.

     65,800         521,939   

Sumitomo Riko Co., Ltd.

     52,800         458,498   

Taiho Kogyo Co., Ltd.

     31,600         338,520   

Tokai Rika Co., Ltd.

     59,358         1,217,740   

Topre Corp.(a)

     35,400         680,423   

TPR Co., Ltd.(a)

     18,700         423,605   

TS Tech Co., Ltd.

     26,900         729,971   

Unipres Corp.

     12,503         236,979   

Yorozu Corp.(a)

     8,900         181,470   
     

 

 

 
Total Auto Components               12,957,416   
Automobiles – 0.1%      

Nissan Shatai Co., Ltd.(a)

     22,300         245,223   
Banks – 7.7%      

77 Bank Ltd. (The)

     166,000         938,354   

Akita Bank Ltd. (The)

     74,000         236,647   

Aomori Bank Ltd. (The)(a)

     142,622         457,286   

Ashikaga Holdings Co., Ltd.

     170,900         712,054   

Awa Bank Ltd. (The)

     63,378         364,080   

Bank of Nagoya Ltd. (The)(a)

     92,691         354,465   

Bank of Okinawa Ltd. (The)

     8,000         329,646   

Bank of Saga Ltd. (The)

     155,448         353,040   

Bank of the Ryukyus Ltd.

     21,708         317,921   

Chukyo Bank Ltd. (The)

     104,000         213,618   

Daishi Bank Ltd. (The)

     187,552         878,526   
Investments    Shares      Value  

Eighteenth Bank Ltd. (The)

     149,046       $ 459,216   

FIDEA Holdings Co., Ltd.

     143,127         285,621   

Fukui Bank Ltd. (The)(a)

     160,671         328,680   

Higashi-Nippon Bank Ltd. (The)

     178,000         582,608   

Higo Bank Ltd. (The)(a)

     73,000         538,212   

Hokkoku Bank Ltd. (The)

     62,621         253,067   

Hokuetsu Bank Ltd. (The)

     188,000         381,447   

Hyakugo Bank Ltd. (The)

     59,000         283,263   

Hyakujushi Bank Ltd. (The)

     129,000         463,157   

Juroku Bank Ltd. (The)

     209,000         910,934   

Kagoshima Bank Ltd. (The)(a)

     74,719         605,164   

Kansai Urban Banking Corp.

     45,800         529,263   

Keiyo Bank Ltd. (The)

     134,684         712,977   

Kiyo Bank Ltd. (The)

     39,690         633,635   

Mie Bank Ltd. (The)

     133,389         295,145   

Minato Bank Ltd. (The)

     190,000         337,912   

Miyazaki Bank Ltd. (The)

     173,000         583,576   

Musashino Bank Ltd. (The)

     18,205         654,386   

Nanto Bank Ltd. (The)(a)

     100,000         314,783   

Nishi-Nippon City Bank Ltd. (The)

     510,000         1,392,477   

North Pacific Bank Ltd.

     154,315         608,163   

Ogaki Kyoritsu Bank Ltd. (The)

     241,423         947,429   

Oita Bank Ltd. (The)(a)

     89,000         368,588   

San-In Godo Bank Ltd. (The)

     63,000         613,877   

Senshu Ikeda Holdings, Inc.

     143,240         619,533   

Shiga Bank Ltd. (The)(a)

     83,923         424,643   

Shikoku Bank Ltd. (The)

     157,000         331,658   

Tochigi Bank Ltd. (The)

     37,843         206,965   

Toho Bank Ltd. (The)

     220,000         811,923   

Tokyo TY Financial Group, Inc.

     13,700         426,677   

TOMONY Holdings, Inc.

     49,877         194,069   

Towa Bank Ltd. (The)

     307,000         269,152   

Yamagata Bank Ltd. (The)(a)

     56,000         223,037   

Yamanashi Chuo Bank Ltd. (The)

     54,066         281,243   
     

 

 

 
Total Banks               22,028,117   
Beverages – 1.3%      

Coca-Cola East Japan Co., Ltd.

     48,400         779,557   

Coca-Cola West Co., Ltd.

     63,079         1,224,554   

Ito En Ltd.(a)

     36,300         757,431   

Sapporo Holdings Ltd.

     183,992         715,904   

Takara Holdings, Inc.

     48,311         289,224   
     

 

 

 
Total Beverages               3,766,670   
Building Products – 1.9%      

Aica Kogyo Co., Ltd.

     35,115         699,866   

Bunka Shutter Co., Ltd.

     34,600         247,586   

Central Glass Co., Ltd.

     124,933         544,525   

Nichias Corp.

     55,827         333,755   

Nichiha Corp.

     11,900         163,946   

Nitto Boseki Co., Ltd.

     112,996         336,823   

Noritz Corp.

     20,500         307,248   

Okabe Co., Ltd.(a)

     40,800         343,392   

Sanwa Holdings Corp.

     133,766         915,861   

Sekisui Jushi Corp.

     24,000         312,011   

 

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 SmallCap Dividend Fund (DFJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Takara Standard Co., Ltd.(a)

     22,063       $ 156,218   

Takasago Thermal Engineering Co., Ltd.(a)

     80,572         1,110,712   
     

 

 

 
Total Building Products               5,471,943   
Capital Markets – 2.4%      

GCA Savvian Corp.

     19,400         241,356   

Ichigo, Inc.(a)

     74,000         171,152   

Ichiyoshi Securities Co., Ltd.(a)

     29,688         256,065   

IwaiCosmo Holdings, Inc.

     30,900         350,887   

kabu.com Securities Co., Ltd.(a)

     307,900         992,355   

Kyokuto Securities Co., Ltd.

     37,600         501,375   

Marusan Securities Co., Ltd.

     136,100         1,373,898   

Matsui Securities Co., Ltd.

     299,500         2,580,754   

Monex Group, Inc.(a)

     134,794         329,768   

Toyo Securities Co., Ltd.

     21,198         65,843   
     

 

 

 
Total Capital Markets               6,863,453   
Chemicals – 7.7%      

ADEKA Corp.

     70,025         889,893   

Chugoku Marine Paints Ltd.

     52,000         327,809   

Dainichiseika Color & Chemicals Manufacturing Co., Ltd.

     50,714         215,534   

Daiso Co., Ltd.

     54,000         184,862   

Denki Kagaku Kogyo K.K.

     397,000         1,557,968   

DIC Corp.

     527,000         1,174,876   

Fujimi, Inc.

     23,900         321,487   

Fujimori Kogyo Co., Ltd.

     6,300         154,127   

JSP Corp.(a)

     18,223         283,771   

Kaneka Corp.

     220,000         1,612,825   

Kureha Corp.

     134,648         482,311   

Lintec Corp.

     39,565         828,201   

Mitsubishi Gas Chemical Co., Inc.(a)

     270,000         1,239,928   

Nihon Nohyaku Co., Ltd.(a)

     20,988         140,720   

Nihon Parkerizing Co., Ltd.

     42,400         344,822   

Nippon Kayaku Co., Ltd.(a)

     95,000         985,179   

Nippon Shokubai Co., Ltd.(a)

     14,000         946,854   

Nippon Soda Co., Ltd.

     79,091         448,401   

Nippon Synthetic Chemical Industry Co., Ltd. (The)

     34,860         217,138   

Nippon Valqua Industries Ltd.

     109,688         263,768   

NOF Corp.

     102,000         696,664   

Okamoto Industries, Inc.(a)

     42,436         400,390   

Sakai Chemical Industry Co., Ltd.

     110,000         307,686   

Sakata INX Corp.

     51,500         408,508   

Sanyo Chemical Industries Ltd.

     44,176         295,822   

Sekisui Plastics Co., Ltd.(a)

     63,000         200,417   

Shikoku Chemicals Corp.

     26,000         218,829   

Showa Denko K.K.(a)

     728,692         797,050   

Sumitomo Bakelite Co., Ltd.(a)

     110,092         402,624   

Sumitomo Seika Chemicals Co., Ltd.(a)

     60,000         382,750   

Taiyo Holdings Co., Ltd.

     21,091         642,777   

Takasago International Corp.

     10,000         243,727   

Takiron Co., Ltd.

     58,000         236,814   

Toagosei Co., Ltd.

     85,300         616,077   

Tokai Carbon Co., Ltd.(a)

     94,000         224,473   

Toyo Ink SC Holdings Co., Ltd.

     237,512         866,637   
Investments    Shares      Value  

Toyobo Co., Ltd.

     374,531       $ 506,609   

Ube Industries Ltd.(a)

     746,930         1,297,219   

Zeon Corp.

     87,000         683,564   
     

 

 

 
Total Chemicals               22,049,111   
Commercial Services & Supplies – 2.2%      

Aeon Delight Co., Ltd.

     33,000         950,612   

Daiseki Co., Ltd.

     14,307         242,979   

Itoki Corp.

     32,300         205,238   

Kokuyo Co., Ltd.

     59,403         627,435   

Kyodo Printing Co., Ltd.(a)

     55,049         151,682   

Moshi Moshi Hotline, Inc.

     27,500         283,576   

NAC Co., Ltd.(a)

     40,900         277,983   

Nippon Parking Development Co., Ltd.(a)

     201,300         213,460   

Okamura Corp.

     72,776         653,839   

Park24 Co., Ltd.

     85,700         1,607,166   

Sato Holdings Corp.(a)

     19,938         370,409   

Toppan Forms Co., Ltd.

     65,100         769,687   
     

 

 

 
Total Commercial Services & Supplies               6,354,066   
Communications Equipment – 0.3%      

Hitachi Kokusai Electric, Inc.

     59,948         630,189   

Japan Radio Co., Ltd.

     55,000         177,723   
     

 

 

 
Total Communications Equipment               807,912   
Construction & Engineering – 4.5%      

COMSYS Holdings Corp.(a)

     63,200         750,390   

Fudo Tetra Corp.(a)

     169,700         225,294   

Hazama Ando Corp.

     48,300         307,710   

Kandenko Co., Ltd.

     80,138         516,566   

Kitano Construction Corp.

     100,651         263,887   

Kyowa Exeo Corp.

     64,066         616,775   

Kyudenko Corp.(a)

     32,890         545,672   

Maeda Corp.(a)

     63,087         459,332   

Maeda Road Construction Co., Ltd.

     44,694         780,694   

Mirait Holdings Corp.

     38,800         350,533   

NDS Co., Ltd.

     94,000         229,182   

Nippo Corp.

     35,358         600,789   

Nippon Densetsu Kogyo Co., Ltd.

     25,000         446,708   

Nippon Koei Co., Ltd.

     41,000         169,457   

Nippon Road Co., Ltd. (The)

     104,291         519,866   

Nishimatsu Construction Co., Ltd.

     156,037         646,219   

Obayashi Road Corp.

     33,000         179,927   

Okumura Corp.(a)

     127,853         678,951   

Penta-Ocean Construction Co., Ltd.

     33,593         157,075   

Raito Kogyo Co., Ltd.

     19,900         187,593   

SHO-BOND Holdings Co., Ltd.(a)

     5,600         213,451   

Sumitomo Densetsu Co., Ltd.

     16,200         195,458   

Taikisha Ltd.

     10,865         244,942   

TOA ROAD Corp.

     55,000         194,255   

Toda Corp.(a)

     98,549         434,466   

Toenec Corp.

     66,000         481,643   

Tokyu Construction Co., Ltd.(a)

     50,100         412,463   

Totetsu Kogyo Co., Ltd.

     13,079         279,239   

Toyo Construction Co., Ltd.(a)

     49,100         214,414   

Toyo Engineering Corp.(a)

     125,554         301,921   

 

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 SmallCap Dividend Fund (DFJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Yahagi Construction Co., Ltd.

     30,100       $ 268,667   

Yokogawa Bridge Holdings Corp.(a)

     15,800         132,980   

Yurtec Corp.

     88,000         795,024   
     

 

 

 
Total Construction & Engineering               12,801,543   
Construction Materials – 0.2%      

Sumitomo Osaka Cement Co., Ltd.

     171,404         606,816   
Containers & Packaging – 0.6%      

FP Corp.(a)

     18,600         687,221   

Fuji Seal International, Inc.(a)

     16,305         468,327   

Rengo Co., Ltd.

     138,000         532,342   
     

 

 

 
Total Containers & Packaging               1,687,890   
Distributors – 1.0%      

Canon Marketing Japan, Inc.

     89,100         1,313,828   

Doshisha Co., Ltd.

     28,700         525,042   

Happinet Corp.

     15,900         154,267   

Paltac Corp.

     55,757         1,003,268   
     

 

 

 
Total Distributors               2,996,405   
Diversified Consumer Services – 1.0%      

Benesse Holdings, Inc.(a)

     89,200         2,379,610   

Meiko Network Japan Co., Ltd.(a)

     17,586         192,210   

Studio Alice Co., Ltd.

     10,260         198,150   
     

 

 

 
Total Diversified Consumer Services               2,769,970   
Diversified Financial Services – 0.2%      

Financial Products Group Co., Ltd.(a)

     16,200         116,057   

Ricoh Leasing Co., Ltd.

     15,900         428,815   
     

 

 

 
Total Diversified Financial Services               544,872   
Electric Utilities – 0.1%      

Okinawa Electric Power Co., Inc. (The)

     7,100         159,293   
Electrical Equipment – 1.3%      

Daihen Corp.

     58,000         273,135   

Fujikura Ltd.

     145,715         598,604   

GS Yuasa Corp.(a)

     211,000         792,803   

Idec Corp.

     25,636         197,142   

Nissin Electric Co., Ltd.

     44,965         275,951   

Nitto Kogyo Corp.

     26,900         468,754   

Sanyo Denki Co., Ltd.

     18,000         107,160   

Takaoka Toko Co., Ltd.(a)

     16,900         191,909   

Ushio, Inc.

     59,475         711,624   
     

 

 

 
Total Electrical Equipment               3,617,082   
Electronic Equipment, Instruments & Components – 5.0%      

Ai Holdings Corp.(a)

     35,800         882,707   

Amano Corp.

     58,935         677,114   

Anritsu Corp.(a)

     134,800         816,015   

Azbil Corp.(a)

     61,354         1,547,106   

Canon Electronics, Inc.

     13,500         217,100   

Citizen Holdings Co., Ltd.(a)

     165,100         1,135,911   

CONEXIO Corp.

     46,500         446,499   

Daiwabo Holdings Co., Ltd.

     192,396         335,747   

Enplas Corp.(a)

     8,889         306,530   

Hakuto Co., Ltd.

     21,434         224,067   

Horiba Ltd.

     16,100         584,770   
Investments    Shares      Value  

Japan Aviation Electronics Industry Ltd.

     27,000       $ 401,962   

Kaga Electronics Co., Ltd.

     32,900         417,551   

Koa Corp.(a)

     22,147         191,763   

Mitsumi Electric Co., Ltd.(a)

     41,800         230,351   

Nippon Electric Glass Co., Ltd.

     266,000         1,279,305   

Nippon Signal Co., Ltd.

     31,300         301,070   

Nohmi Bosai Ltd.

     50,791         550,043   

Oki Electric Industry Co., Ltd.

     486,000         754,778   

Ryoden Trading Co., Ltd.

     64,723         430,172   

Ryosan Co., Ltd.

     17,500         407,820   

Sanshin Electronics Co., Ltd.(a)

     35,800         363,186   

Shinko Shoji Co., Ltd.(a)

     22,000         230,168   

Siix Corp.(a)

     16,300         422,590   

SMK Corp.(a)

     55,000         226,861   

Taiyo Yuden Co., Ltd.

     32,700         424,296   

Tokyo Electron Device Ltd.

     15,800         205,275   

Topcon Corp.

     12,200         159,013   

UKC Holdings Corp.

     8,700         166,060   
     

 

 

 
Total Electronic Equipment, Instruments & Components         14,335,830   
Energy Equipment & Services – 0.2%      

Modec, Inc.(a)

     34,004         412,540   

Shinko Plantech Co., Ltd.

     27,500         222,957   
     

 

 

 
Total Energy Equipment & Services               635,497   
Food & Staples Retailing – 3.2%      

Ain Pharmaciez, Inc.

     8,400         427,137   

Arcs Co., Ltd.

     36,494         685,605   

Belc Co., Ltd.

     17,300         589,354   

Cawachi Ltd.(a)

     21,500         352,394   

Cocokara fine, Inc.

     12,900         475,005   

Cosmos Pharmaceutical Corp.(a)

     1,300         152,724   

Heiwado Co., Ltd.

     32,563         713,170   

Kato Sangyo Co., Ltd.

     23,516         507,371   

Life Corp.

     10,400         295,245   

Matsumotokiyoshi Holdings Co., Ltd.

     22,800         1,007,072   

Qol Co., Ltd.

     40,000         571,452   

San-A Co., Ltd.

     13,000         568,781   

UNY Group Holdings Co., Ltd.

     167,200         1,049,843   

Valor Co., Ltd.

     25,791         645,825   

Welcia Holdings Co., Ltd.

     14,600         707,051   

Yaoko Co., Ltd.

     2,800         126,247   

Yokohama Reito Co., Ltd.(a)

     48,728         382,859   
     

 

 

 
Total Food & Staples Retailing               9,257,135   
Food Products – 3.8%      

Ariake Japan Co., Ltd.

     23,328         910,603   

Fuji Oil Co., Ltd.

     35,800         463,324   

Fujicco Co., Ltd.

     34,000         688,148   

Hokuto Corp.

     22,591         406,681   

J-Oil Mills, Inc.

     148,981         426,673   

Kameda Seika Co., Ltd.

     2,300         95,733   

Marudai Food Co., Ltd.

     118,000         464,059   

Maruha Nichiro Corp.(a)

     26,032         373,205   

Megmilk Snow Brand Co., Ltd.(a)

     41,200         786,400   

Mitsui Sugar Co., Ltd.

     83,492         347,172   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      129   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Morinaga & Co., Ltd.

     158,439       $ 776,551   

Morinaga Milk Industry Co., Ltd.

     103,411         429,134   

Nichirei Corp.

     141,096         878,868   

Nippon Beet Sugar Manufacturing Co., Ltd.

     148,000         237,265   

Nippon Flour Mills Co., Ltd.

     149,766         932,872   

Nippon Suisan Kaisha Ltd.

     56,100         166,757   

Nisshin Oillio Group Ltd. (The)

     142,000         513,389   

Riken Vitamin Co., Ltd.(a)

     6,200         196,201   

S Foods, Inc.(a)

     34,900         699,370   

Sakata Seed Corp.

     5,500         90,469   

Showa Sangyo Co., Ltd.

     160,000         621,217   

Starzen Co., Ltd.

     9,200         240,437   
     

 

 

 
Total Food Products               10,744,528   
Gas Utilities – 0.1%      

K&O Energy Group, Inc.

     17,100         207,173   

Shizuoka Gas Co., Ltd.

     20,692         133,898   
     

 

 

 
Total Gas Utilities               341,071   
Health Care Equipment & Supplies – 1.6%      

Asahi Intecc Co., Ltd.

     5,000         179,101   

Eiken Chemical Co., Ltd.

     10,935         185,986   

Hogy Medical Co., Ltd.(a)

     5,400         247,084   

Nagaileben Co., Ltd.

     23,126         426,740   

Nakanishi, Inc.

     8,600         319,542   

Nihon Kohden Corp.

     37,000         611,080   

Nikkiso Co., Ltd.(a)

     48,800         325,564   

Nipro Corp.

     151,200         1,547,791   

Paramount Bed Holdings Co., Ltd.

     20,721         614,199   
     

 

 

 
Total Health Care Equipment & Supplies               4,457,087   
Health Care Providers & Services – 0.6%      

BML, Inc.

     13,100         363,691   

Ship Healthcare Holdings, Inc.

     39,407         845,623   

Toho Holdings Co., Ltd.(a)

     19,900         413,403   
     

 

 

 
Total Health Care Providers & Services               1,622,717   
Hotels, Restaurants & Leisure – 3.3%      

Accordia Golf Co., Ltd.(a)

     81,000         730,431   

Doutor Nichires Holdings Co., Ltd.(a)

     33,253         508,936   

Fuji Kyuko Co., Ltd.

     27,402         255,796   

Hiramatsu, Inc.

     40,300         212,327   

HIS Co., Ltd.

     5,500         178,871   

Ichibanya Co., Ltd.(a)

     5,418         246,098   

Kyoritsu Maintenance Co., Ltd.(a)

     8,300         531,549   

McDonald’s Holdings Co., Japan Ltd.(a)

     48,500         1,088,937   

MOS Food Services, Inc.(a)

     13,000         275,381   

Ohsho Food Service Corp.

     16,200         535,649   

Plenus Co., Ltd.(a)

     29,368         452,909   

Resorttrust, Inc.(a)

     52,708         1,306,643   

Round One Corp.(a)

     117,537         472,052   

Royal Holdings Co., Ltd.

     4,600         78,584   

Saizeriya Co., Ltd.

     28,100         634,898   

Skylark Co., Ltd.

     66,300         860,823   

St. Marc Holdings Co., Ltd.

     15,800         481,526   

Tokyotokeiba Co., Ltd.(a)

     70,424         168,173   
Investments    Shares      Value  

Yoshinoya Holdings Co., Ltd.(a)

     26,600       $ 345,146   
     

 

 

 
Total Hotels, Restaurants & Leisure               9,364,729   
Household Durables – 2.4%      

Alpine Electronics, Inc.

     15,400         167,804   

Cleanup Corp.

     17,000         124,343   

First Juken Co., Ltd.

     18,500         206,525   

Foster Electric Co., Ltd.

     21,800         433,397   

France Bed Holdings Co., Ltd.

     54,800         387,098   

Fujitsu General Ltd.

     41,000         443,669   

Mitsui Home Co., Ltd.

     55,000         274,621   

Nihon House Holdings Co., Ltd.(a)

     75,300         316,881   

Nissei Build Kogyo Co., Ltd.(a)

     58,000         179,184   

PanaHome Corp.

     88,177         569,858   

Pressance Corp.(a)

     8,700         338,876   

Sangetsu Co., Ltd.

     48,300         768,267   

Starts Corp., Inc.

     32,500         501,753   

Sumitomo Forestry Co., Ltd.

     65,300         727,343   

Tamron Co., Ltd.

     14,866         270,223   

TOA Corp.

     23,952         215,591   

Token Corp.

     7,270         545,106   

West Holdings Corp.(a)

     56,600         292,062   
     

 

 

 
Total Household Durables               6,762,601   
Household Products – 0.7%      

Earth Chemical Co., Ltd.

     18,700         710,433   

Lion Corp.(a)

     160,013         1,401,525   
     

 

 

 
Total Household Products               2,111,958   
Industrial Conglomerates – 0.4%      

Nisshinbo Holdings, Inc.

     77,000         865,378   

TOKAI Holdings Corp.

     94,100         392,067   
     

 

 

 
Total Industrial Conglomerates               1,257,445   
Internet & Catalog Retail – 0.5%      

ASKUL Corp.

     21,465         814,582   

Belluna Co., Ltd.

     48,584         264,897   

Senshukai Co., Ltd.(a)

     48,576         303,790   
     

 

 

 
Total Internet & Catalog Retail               1,383,269   
Internet Software & Services – 0.8%      

Dip Corp.

     7,000         114,675   

F@N Communications, Inc.(a)

     38,200         250,063   

GMO Internet, Inc.

     50,772         654,548   

Gree, Inc.(a)

     108,700         485,572   

Gurunavi, Inc.(a)

     15,800         259,628   

Internet Initiative Japan, Inc.(a)

     18,700         333,825   

NIFTY Corp.

     14,100         140,688   
     

 

 

 
Total Internet Software & Services               2,238,999   
IT Services – 1.9%      

DTS Corp.

     19,691         463,482   

Future Architect, Inc.

     32,400         182,608   

Ines Corp.(a)

     28,010         252,351   

Information Services International-Dentsu Ltd.

     25,000         343,798   

IT Holdings Corp.

     40,800         920,823   

NEC Networks & System Integration Corp.

     33,579         598,038   

 

See Notes to Financial Statements.

 

130   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, 2015

 

  

 

 

Investments    Shares      Value  

NET One Systems Co., Ltd.

     99,258       $ 560,250   

Nihon Unisys Ltd.(a)

     50,600         520,935   

NS Solutions Corp.

     27,190         1,144,221   

Transcosmos, Inc.

     17,000         413,059   
     

 

 

 
Total IT Services               5,399,565   
Leisure Products – 1.3%      

Dunlop Sports Co., Ltd.

     37,886         354,929   

Fields Corp.(a)

     35,700         483,492   

Heiwa Corp.

     108,900         1,863,116   

Mizuno Corp.(a)

     62,616         284,416   

Tomy Co., Ltd.(a)

     34,500         167,942   

Universal Entertainment Corp.(a)

     37,900         666,450   
     

 

 

 
Total Leisure Products               3,820,345   
Life Sciences Tools & Services – 0.1%      

CMIC Holdings Co., Ltd.(a)

     16,100         228,531   

EPS Holdings, Inc.

     11,000         107,369   
     

 

 

 
Total Life Sciences Tools & Services               335,900   
Machinery – 5.6%      

Aida Engineering Ltd.

     59,200         485,898   

Alinco, Inc.(a)

     21,100         190,096   

Anest Iwata Corp.(a)

     35,500         232,092   

Asahi Diamond Industrial Co., Ltd.(a)

     29,500         266,267   

Bando Chemical Industries Ltd.

     69,787         269,207   

CKD Corp.

     29,141         239,182   

Daifuku Co., Ltd.(a)

     26,304         359,095   

DMG Mori Co., Ltd.(a)

     46,700         589,185   

Ebara Corp.(a)

     252,000         925,813   

Fujitec Co., Ltd.

     47,861         415,609   

Furukawa Co., Ltd.(a)

     253,000         532,342   

Glory Ltd.

     22,900         538,632   

Hitachi Koki Co., Ltd.

     65,827         457,296   

Hitachi Zosen Corp.

     65,200         336,983   

Iseki & Co., Ltd.(a)

     155,000         222,603   

Japan Steel Works Ltd. (The)(a)

     55,524         175,244   

Kato Works Co., Ltd.(a)

     40,000         160,314   

Kito Corp.

     14,700         108,748   

Kitz Corp.(a)

     64,789         286,713   

Kobelco Eco-Solutions Co., Ltd.(a)

     61,000         252,119   

Kyokuto Kaihatsu Kogyo Co., Ltd.

     19,980         198,857   

Makino Milling Machine Co., Ltd.

     45,578         284,280   

Max Co., Ltd.

     36,000         338,162   

Meidensha Corp.(a)

     99,000         293,450   

Mitsubishi Nichiyu Forklift Co., Ltd.(a)

     44,600         175,026   

Mitsuboshi Belting Ltd.

     17,092         129,583   

Mitsui Engineering & Shipbuilding Co., Ltd.

     226,404         325,149   

Miura Co., Ltd.

     66,600         767,959   

Morita Holdings Corp.

     27,505         252,624   

Nachi-Fujikoshi Corp.

     82,000         338,229   

Nippon Thompson Co., Ltd.

     54,051         222,946   

Nitta Corp.

     13,400         320,665   

Obara Group, Inc.(a)

     8,479         331,684   

Oiles Corp.(a)

     24,200         357,852   

OKUMA Corp.(a)

     45,852         284,840   
Investments    Shares      Value  

OSG Corp.(a)

     42,000       $ 790,799   

Ryobi Ltd.

     70,000         260,677   

Shinmaywa Industries Ltd.

     54,685         548,836   

Sodick Co., Ltd.(a)

     26,500         164,844   

Star Micronics Co., Ltd.(a)

     38,034         516,372   

Tadano Ltd.

     42,000         463,257   

Tocalo Co., Ltd.

     15,000         270,530   

Toshiba Machine Co., Ltd.

     52,806         164,902   

Tsubakimoto Chain Co.

     73,228         456,739   

Tsugami Corp.(a)

     41,000         150,971   

Union Tool Co.

     14,400         346,639   

YAMABIKO Corp.

     20,800         168,811   
     

 

 

 
Total Machinery               15,968,121   
Marine – 0.6%      

Kawasaki Kisen Kaisha Ltd.(a)

     688,000         1,505,081   

NS United Kaiun Kaisha Ltd.

     172,000         337,494   
     

 

 

 
Total Marine               1,842,575   
Media – 1.3%      

Avex Group Holdings, Inc.(a)

     26,799         304,094   

Daiichikosho Co., Ltd.

     34,800         1,230,560   

Kadokawa Dwango(a)

     23,500         311,397   

SKY Perfect JSAT Holdings, Inc.

     133,100         623,464   

Toei Co., Ltd.

     54,313         425,833   

Tv Tokyo Holdings Corp.

     15,400         260,771   

Wowow, Inc.

     5,900         160,598   

Zenrin Co., Ltd.

     21,087         283,648   
     

 

 

 
Total Media               3,600,365   
Metals & Mining – 2.4%      

Aichi Steel Corp.

     52,000         195,383   

Asahi Holdings, Inc.(a)

     24,300         363,795   

Daido Steel Co., Ltd.(a)

     149,000         470,271   

Dowa Holdings Co., Ltd.(a)

     145,000         1,093,266   

Godo Steel Ltd.

     81,000         125,120   

Kyoei Steel Ltd.(a)

     20,314         317,859   

Mitsubishi Steel Manufacturing Co., Ltd.

     98,000         179,201   

Mitsui Mining & Smelting Co., Ltd.

     296,000         528,902   

Neturen Co., Ltd.(a)

     26,800         191,549   

Nippon Denko Co., Ltd.

     115,441         207,238   

Nippon Light Metal Holdings Co., Ltd.

     346,900         515,578   

Nippon Steel & Sumitomo Metal Corp.

     12         219   

Nisshin Steel Co., Ltd.(a)

     76,228         677,851   

Osaka Steel Co., Ltd.

     13,000         181,597   

OSAKA Titanium Technologies Co., Ltd.

     5,200         135,900   

Sanyo Special Steel Co., Ltd.

     69,000         260,986   

Toho Zinc Co., Ltd.(a)

     13,967         31,837   

Tokyo Steel Manufacturing Co., Ltd.

     16,000         86,970   

Topy Industries Ltd.(a)

     55,000         112,971   

Toyo Kohan Co., Ltd.

     77,905         232,222   

UACJ Corp.(a)

     270,632         431,601   

Yamato Kogyo Co., Ltd.(a)

     30,900         616,633   
     

 

 

 
Total Metals & Mining               6,956,949   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      131   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Multiline Retail – 0.4%      

H2O Retailing Corp.

     35,200       $ 663,940   

Parco Co., Ltd.

     36,000         287,964   

Seria Co., Ltd.

     7,000         344,842   
     

 

 

 
Total Multiline Retail               1,296,746   
Oil, Gas & Consumable Fuels – 0.8%      

BP Castrol K.K.(a)

     20,000         198,221   

Itochu Enex Co., Ltd.

     93,681         709,462   

Nippon Coke & Engineering Co., Ltd.

     284,873         240,238   

Nippon Gas Co., Ltd.(a)

     20,800         590,490   

San-Ai Oil Co., Ltd.

     52,916         360,977   

Sinanen Co., Ltd.

     43,771         161,905   
     

 

 

 
Total Oil, Gas & Consumable Fuels               2,261,293   
Paper & Forest Products – 0.8%      

Daio Paper Corp.(a)

     20,478         167,907   

Hokuetsu Kishu Paper Co., Ltd.(a)

     91,732         497,091   

Nippon Paper Industries Co., Ltd.(a)

     80,800         1,229,895   

Tokushu Tokai Paper Co., Ltd.(a)

     102,000         273,385   
     

 

 

 
Total Paper & Forest Products               2,168,278   
Personal Products – 1.0%      

Artnature, Inc.

     37,400         375,359   

Fancl Corp.(a)

     41,400         591,799   

Kobayashi Pharmaceutical Co., Ltd.

     10,400         780,662   

Mandom Corp.

     11,553         376,209   

Milbon Co., Ltd.

     7,700         254,277   

Noevir Holdings Co., Ltd.

     21,000         453,087   
     

 

 

 
Total Personal Products               2,831,393   
Pharmaceuticals – 2.4%      

Fuji Pharma Co., Ltd.

     13,900         232,353   

KYORIN Holdings, Inc.

     31,785         484,611   

Mochida Pharmaceutical Co., Ltd.

     9,811         566,059   

Nichi-iko Pharmaceutical Co., Ltd.(a)

     29,400         769,582   

Nippon Shinyaku Co., Ltd.(a)

     28,000         1,006,471   

Rohto Pharmaceutical Co., Ltd.(a)

     39,100         598,424   

Sawai Pharmaceutical Co., Ltd.

     17,224         998,076   

Torii Pharmaceutical Co., Ltd.

     12,800         299,680   

Towa Pharmaceutical Co., Ltd.

     6,300         402,413   

Tsumura & Co.(a)

     47,800         1,035,703   

ZERIA Pharmaceutical Co., Ltd.(a)

     31,700         390,146   
     

 

 

 
Total Pharmaceuticals               6,783,518   
Professional Services – 1.4%      

FULLCAST Holdings Co., Ltd.

     28,400         188,756   

Funai Soken Holdings, Inc.

     18,400         261,178   

Meitec Corp.

     30,500         1,059,408   

Nihon M&A Center, Inc.(a)

     8,516         369,751   

Nomura Co., Ltd.

     25,500         359,830   

Space Co., Ltd.

     24,100         255,156   

Temp Holdings Co., Ltd.

     15,700         713,130   

Weathernews, Inc.

     6,500         206,237   

Yumeshin Holdings Co., Ltd.(a)

     84,600         498,707   
     

 

 

 
Total Professional Services               3,912,153   
Investments    Shares      Value  
Real Estate Management & Development – 1.6%      

Airport Facilities Co., Ltd.

     42,919       $ 195,306   

Daibiru Corp.

     49,800         385,876   

Daikyo, Inc.(a)

     541,000         912,470   

Goldcrest Co., Ltd.

     19,100         353,565   

Heiwa Real Estate Co., Ltd.

     27,068         288,840   

Kenedix, Inc.(a)

     60,200         199,050   

Open House Co., Ltd.(a)

     16,100         247,620   

Relo Holdings, Inc.

     7,546         734,658   

Takara Leben Co., Ltd.(a)

     55,700         271,605   

TOC Co., Ltd.(a)

     37,200         259,669   

Unizo Holdings Co., Ltd.(a)

     15,600         652,578   
     

 

 

 
Total Real Estate Management & Development               4,501,237   
Road & Rail – 2.5%      

Fukuyama Transporting Co., Ltd.(a)

     119,059         641,198   

Hitachi Transport System Ltd.

     34,600         567,687   

Ichinen Holdings Co., Ltd.

     24,200         207,922   

Maruzen Showa Unyu Co., Ltd.

     72,000         251,893   

Nankai Electric Railway Co., Ltd.

     148,000         753,810   

Nippon Konpo Unyu Soko Co., Ltd.

     48,560         854,306   

Nishi-Nippon Railroad Co., Ltd.

     135,000         659,416   

Sankyu, Inc.

     173,532         836,037   

Seino Holdings Co., Ltd.

     63,360         657,592   

Senko Co., Ltd.(a)

     93,156         653,371   

Sotetsu Holdings, Inc.

     194,000         1,057,755   
     

 

 

 
Total Road & Rail               7,140,987   
Semiconductors & Semiconductor Equipment – 1.0%      

Advantest Corp.(a)

     48,300         345,216   

Axell Corp.

     19,600         235,662   

Lasertec Corp.(a)

     14,600         148,115   

MegaChips Corp.

     19,500         186,753   

Mimasu Semiconductor Industry Co., Ltd.

     13,927         126,868   

Mitsui High-Tec, Inc.

     23,500         125,972   

Nuflare Technology, Inc.(a)

     8,700         318,536   

Sanken Electric Co., Ltd.(a)

     36,000         120,837   

SCREEN Holdings Co., Ltd.(a)

     55,000         267,273   

Shindengen Electric Manufacturing Co., Ltd.

     44,000         141,076   

Shinko Electric Industries Co., Ltd.(a)

     96,053         538,150   

Tokyo Seimitsu Co., Ltd.

     21,500         396,915   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         2,951,373   
Software – 1.6%      

Capcom Co., Ltd.(a)

     32,313         634,847   

Fuji Soft, Inc.

     13,300         232,096   

Imagica Robot Holdings, Inc.(a)

     36,100         137,148   

Konami Corp.(a)

     41,100         886,413   

Marvelous, Inc.(a)

     14,500         110,658   

MTI Ltd.(a)

     15,900         108,731   

NSD Co., Ltd.

     56,500         691,596   

Square Enix Holdings Co., Ltd.

     57,300         1,416,652   

Systena Corp.

     25,000         229,408   
     

 

 

 
Total Software               4,447,549   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Specialty Retail – 6.1%      

Adastria Co., Ltd.

     15,800       $ 943,264   

AOKI Holdings, Inc.

     50,954         618,179   

Aoyama Trading Co., Ltd.

     37,200         1,307,661   

Arcland Sakamoto Co., Ltd.

     11,208         240,509   

Autobacs Seven Co., Ltd.(a)

     73,400         1,215,315   

Bic Camera, Inc.(a)

     33,000         286,286   

Chiyoda Co., Ltd.(a)

     29,791         953,939   

DCM Holdings Co., Ltd.

     101,645         741,767   

EDION Corp.(a)

     91,839         628,798   

Geo Holdings Corp.(a)

     72,700         1,158,805   

Gulliver International Co., Ltd.(a)

     48,560         442,763   

Joshin Denki Co., Ltd.

     41,000         318,031   

Joyful Honda Co., Ltd.(a)

     16,000         309,139   

K’s Holdings Corp.(a)

     31,474         985,492   

Kohnan Shoji Co., Ltd.(a)

     51,100         643,417   

Komeri Co., Ltd.(a)

     20,937         452,252   

Konaka Co., Ltd.

     41,700         214,480   

Kyoto Kimono Yuzen Co., Ltd.

     35,700         298,084   

Nishimatsuya Chain Co., Ltd.

     41,900         387,286   

Nojima Corp.(a)

     9,100         100,296   

Pal Co., Ltd.

     14,200         410,237   

Sanrio Co., Ltd.(a)

     59,242         1,610,092   

Shimachu Co., Ltd.(a)

     27,364         598,163   

T-Gaia Corp.

     65,600         1,018,247   

United Arrows Ltd.

     24,629         1,015,883   

VT Holdings Co., Ltd.

     64,500         387,759   
     

 

 

 
Total Specialty Retail               17,286,144   
Technology Hardware, Storage & Peripherals – 1.1%      

Eizo Corp.(a)

     11,500         266,940   

Elecom Co., Ltd.

     18,200         208,343   

Hitachi Maxell Ltd.

     47,500         684,152   

Riso Kagaku Corp.

     35,100         594,940   

Roland DG Corp.

     11,300         241,351   

Toshiba TEC Corp.(a)

     179,655         570,024   

Wacom Co., Ltd.(a)

     173,711         638,190   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         3,203,940   
Textiles, Apparel & Luxury Goods – 2.1%      

Descente Ltd.

     38,153         537,420   

Fujibo Holdings, Inc.

     84,000         156,406   

Gunze Ltd.

     154,834         466,706   

Japan Vilene Co., Ltd.

     55,000         546,946   

Japan Wool Textile Co., Ltd. (The)

     51,025         428,599   

Kurabo Industries Ltd.

     152,766         270,416   

Onward Holdings Co., Ltd.(a)

     110,433         650,989   

Sanyo Shokai Ltd.(a)

     117,000         351,689   

Seiko Holdings Corp.(a)

     88,000         509,197   

Seiren Co., Ltd.

     45,111         498,325   

Wacoal Holdings Corp.

     95,000         1,132,718   

Yondoshi Holdings, Inc.(a)

     13,700         332,877   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               5,882,288   
Trading Companies & Distributors – 2.8%      

Daiichi Jitsugyo Co., Ltd.

     27,000         129,178   
Investments    Shares      Value  

Hanwa Co., Ltd.

     145,114       $ 530,705   

Inaba Denki Sangyo Co., Ltd.

     29,194         877,538   

Inabata & Co., Ltd.

     63,941         664,156   

Iwatani Corp.(a)

     38,166         216,061   

Japan Pulp & Paper Co., Ltd.

     103,578         278,480   

Kanamoto Co., Ltd.(a)

     11,028         197,420   

Kanematsu Corp.

     191,000         266,330   

Kuroda Electric Co., Ltd.(a)

     24,765         457,811   

MonotaRO Co., Ltd.

     7,200         163,941   

Nagase & Co., Ltd.

     65,804         761,528   

Nippon Steel & Sumikin Bussan Corp.

     215,000         633,699   

Nishio Rent All Co., Ltd.

     13,400         262,036   

Onoken Co., Ltd.

     25,900         220,366   

Seika Corp.

     78,000         164,121   

Shinsho Corp.

     106,000         200,025   

Trusco Nakayama Corp.

     20,300         714,437   

Wakita & Co., Ltd.

     32,400         291,902   

Yamazen Corp.

     70,006         575,760   

Yuasa Trading Co., Ltd.

     18,000         368,973   
     

 

 

 
Total Trading Companies & Distributors               7,974,467   
Transportation Infrastructure – 0.5%      

Kamigumi Co., Ltd.

     58,000         472,659   

Mitsubishi Logistics Corp.(a)

     31,000         357,717   

Nissin Corp.

     71,000         203,933   

Sumitomo Warehouse Co., Ltd. (The)

     80,538         387,341   
     

 

 

 
Total Transportation Infrastructure               1,421,650   
TOTAL COMMON STOCKS
(Cost: $266,108,205)
              283,137,263   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 25.0%   
United States – 25.0%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $71,231,563)(c)      71,231,563         71,231,563   
TOTAL INVESTMENTS IN SECURITIES – 124.2%
(Cost: $337,339,768)
         354,368,826   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (24.2)%

        (69,009,540
     

 

 

 
NET ASSETS – 100.0%             $ 285,359,286   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $70,425,862 and the total market value of the collateral held by the Fund was $74,046,234. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,814,671.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      133   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Korea Hedged Equity Fund (DXKW)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 100.6%      
South Korea – 100.6%      
Aerospace & Defense – 1.7%      

Korea Aerospace Industries Ltd.

     6,771       $ 387,877   
Air Freight & Logistics – 5.4%      

Hyundai Glovis Co., Ltd.

     6,519         1,231,972   
Auto Components – 11.7%      

Hankook Tire Co., Ltd.

     23,823         795,909   

Hanon Systems Corp.

     13,782         456,377   

Hyundai Mobis Co., Ltd.

     5,076         991,390   

Kumho Tire Co., Inc.*(a)

     26,445         161,084   

Nexen Tire Corp.

     18,889         228,682   
     

 

 

 
Total Auto Components               2,633,442   
Automobiles – 10.0%      

Hyundai Motor Co.

     7,392         1,022,769   

Kia Motors Corp.

     27,432         1,240,492   
     

 

 

 
Total Automobiles               2,263,261   
Biotechnology – 0.6%      

Medy-Tox, Inc.

     354         127,318   
Building Products – 0.6%      

LG Hausys Ltd.

     1,000         135,409   
Chemicals – 16.5%      

AK Holdings, Inc.

     1,992         134,615   

Hanwha Chemical Corp.

     10,710         194,719   

Hyosung Corp.

     9,506         902,240   

Kumho Petrochemical Co., Ltd.

     3,237         145,287   

LG Chem Ltd.

     7,302         1,758,813   

Lotte Chemical Corp.

     2,633         599,772   
     

 

 

 
Total Chemicals               3,735,446   
Construction & Engineering – 3.9%      

Hyundai Engineering & Construction Co., Ltd.

     24,306         701,312   

KEPCO Engineering & Construction Co., Inc.

     3,279         81,332   

Samsung Engineering Co., Ltd.*

     4,172         107,353   
     

 

 

 
Total Construction & Engineering               889,997   
Construction Materials – 0.8%      

Ssangyong Cement Industrial Co., Ltd.*

     11,645         192,069   
Electrical Equipment – 0.7%      

LS Corp.

     5,613         162,428   
Electronic Equipment, Instruments & Components – 6.5%      

LG Display Co., Ltd.

     39,855         761,592   

Samsung Electro-Mechanics Co., Ltd.

     13,187         715,367   
     

 

 

 
Total Electronic Equipment, Instruments & Components         1,476,959   
Food Products – 1.1%      

CJ CheilJedang Corp.

     791         253,923   
Household Durables – 3.4%      

LG Electronics, Inc.

     19,898         766,341   
Industrial Conglomerates – 5.3%      

CJ Corp.

     4,112         915,859   
Investments    Shares      Value  

Doosan Corp.

     2,975       $ 278,601   
     

 

 

 
Total Industrial Conglomerates               1,194,460   
Internet Software & Services – 2.8%      

NAVER Corp.

     1,463         633,189   
Machinery – 1.3%      

Doosan Infracore Co., Ltd.*

     10,152         56,271   

Samsung Heavy Industries Co., Ltd.(a)

     22,099         229,324   
     

 

 

 
Total Machinery               285,595   
Media – 0.7%      

Cheil Worldwide, Inc.*

     9,943         152,672   
Metals & Mining – 8.8%      

Hyundai Steel Co.

     24,913         1,082,443   

POSCO

     6,422         912,939   
     

 

 

 
Total Metals & Mining               1,995,382   
Personal Products – 0.3%      

Cosmax, Inc.

     374         67,208   
Pharmaceuticals – 0.9%      

Hanmi Pharm Co., Ltd.*

     617         193,382   
Semiconductors & Semiconductor Equipment – 3.8%      

Eo Technics Co., Ltd.

     687         63,698   

SK Hynix, Inc.

     27,835         787,872   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         851,570   
Software – 2.6%      

Com2uSCorp*

     946         92,820   

NCSoft Corp.

     2,602         414,898   

NHN Entertainment Corp.*

     1,532         83,366   
     

 

 

 
Total Software               591,084   
Technology Hardware, Storage & Peripherals – 7.9%      

Samsung Electronics Co., Ltd.

     1,871         1,790,023   
Textiles, Apparel & Luxury Goods – 1.9%      

Hansae Co., Ltd.

     3,416         159,085   

Youngone Corp.

     5,097         260,161   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               419,246   
Trading Companies & Distributors – 1.4%      

Daewoo International Corp.

     18,072        316,371  
TOTAL COMMON STOCKS
(Cost: $26,083,461)
              22,746,624  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.9%   
United States – 0.9%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $205,500)(c)      205,500         205,500   
TOTAL INVESTMENTS IN SECURITIES – 101.5% (Cost: $26,288,961)         22,952,124   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (1.5)%

        (348,956
     

 

 

 
NET ASSETS – 100.0%             $ 22,603,168   

 

See Notes to Financial Statements.

 

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


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Korea Hedged Equity Fund (DXKW)

September 30, 2015

 

  

 

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $195,140 and the total market value of the collateral held by the Fund was $205,500.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      135   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%      
United Kingdom – 99.5%      
Aerospace & Defense – 2.7%      

BAE Systems PLC

     76,033       $ 515,620   

Cobham PLC

     23,152         100,194   

Meggitt PLC

     11,792         85,059   

QinetiQ Group PLC

     6,327         21,612   

Rolls-Royce Holdings PLC*

     20,939         214,726   

Senior PLC

     2,611         9,935   

Ultra Electronics Holdings PLC

     837         21,718   
     

 

 

 
Total Aerospace & Defense               968,864   
Airlines – 0.4%      

easyJet PLC

     5,820         156,658   
Auto Components – 0.2%      

GKN PLC

     19,778         80,289   
Banks – 8.6%      

Bank of Georgia Holdings PLC

     805         21,998   

Barclays PLC

     204,893         757,748   

HSBC Holdings PLC

     215,110         1,624,953   

Standard Chartered PLC

     67,247         652,734   
     

 

 

 
Total Banks               3,057,433   
Beverages – 7.5%      

Britvic PLC

     4,300         44,194   

Diageo PLC

     40,323         1,081,408   

SABMiller PLC

     27,493         1,556,274   
     

 

 

 
Total Beverages               2,681,876   
Biotechnology – 0.1%      

Abcam PLC

     1,795         15,797   

Genus PLC

     416         8,948   
     

 

 

 
Total Biotechnology               24,745   
Building Products – 0.1%      

James Halstead PLC

     3,564         22,296   
Capital Markets – 1.6%      

Aberdeen Asset Management PLC

     30,276         135,977   

ICAP PLC

     12,479         86,422   

Investec PLC

     9,737         74,557   

Man Group PLC

     36,111         83,799   

Schroders PLC

     2,736         116,249   

Schroders PLC Non-Voting Shares

     860         28,177   

Tullett Prebon PLC

     5,854         33,155   
     

 

 

 
Total Capital Markets               558,336   
Chemicals – 0.8%      

Alent PLC

     3,297         24,271   

Croda International PLC

     1,510         61,962   

Elementis PLC

     4,118         13,923   

Essentra PLC

     2,609         31,063   

Johnson Matthey PLC

     2,170         80,466   

Synthomer PLC

     5,086         26,209   

Victrex PLC

     2,065         55,427   
     

 

 

 
Total Chemicals               293,321   
Investments    Shares      Value  
Commercial Services & Supplies – 0.7%      

Aggreko PLC

     2,477       $ 35,682   

Berendsen PLC

     2,436         37,010   

G4S PLC

     25,402         88,768   

HomeServe PLC

     4,839         29,745   

Rentokil Initial PLC

     17,259         38,456   
     

 

 

 
Total Commercial Services & Supplies               229,661   
Communications Equipment – 0.0%      

Pace PLC

     1,391         7,596   
Construction & Engineering – 0.2%      

Carillion PLC(a)

     11,332         51,787   

Keller Group PLC

     1,084         14,195   
     

 

 

 
Total Construction & Engineering               65,982   
Containers & Packaging – 0.5%      

DS Smith PLC

     12,762         76,146   

Rexam PLC

     11,465         90,914   

RPC Group PLC

     2,769         26,571   
     

 

 

 
Total Containers & Packaging               193,631   
Distributors – 0.2%      

Inchcape PLC

     5,155         56,143   
Diversified Financial Services – 0.4%      

IG Group Holdings PLC

     7,748         90,311   

London Stock Exchange Group PLC

     1,806         66,175   
     

 

 

 
Total Diversified Financial Services               156,486   
Diversified Telecommunication Services – 2.3%      

BT Group PLC

     104,060         661,394   

Cable & Wireless Communications PLC

     72,453         60,800   

Inmarsat PLC

     7,586         112,841   
     

 

 

 
Total Diversified Telecommunication Services               835,035   
Electrical Equipment – 0.1%      

HellermannTyton Group PLC

     2,441         17,260   
Electronic Equipment, Instruments & Components – 0.4%   

Electrocomponents PLC

     8,955         24,294   

Halma PLC

     3,235         35,355   

Laird PLC

     5,227         29,810   

Premier Farnell PLC

     7,406         11,751   

Renishaw PLC

     724         22,109   

Spectris PLC

     1,347         34,503   
     

 

 

 
Total Electronic Equipment, Instruments & Components         157,822   
Energy Equipment & Services – 0.5%      

Amec Foster Wheeler PLC

     10,105         109,671   

Hunting PLC

     2,502         15,194   

John Wood Group PLC

     4,894         45,591   
     

 

 

 
Total Energy Equipment & Services               170,456   
Food Products – 0.9%      

Associated British Foods PLC

     4,531         229,235   

Tate & Lyle PLC

     11,864         105,670   
     

 

 

 
Total Food Products               334,905   

 

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 United Kingdom Hedged Equity Fund (DXPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Health Care Equipment & Supplies – 0.4%      

Smith & Nephew PLC

     8,299       $ 144,943   
Health Care Providers & Services – 0.1%      

Al Noor Hospitals Group PLC

     611         7,719   

NMC Health PLC

     1,049         13,236   
     

 

 

 
Total Health Care Providers & Services               20,955   
Hotels, Restaurants & Leisure – 1.8%      

Betfair Group PLC

     655         32,950   

Carnival PLC

     2,351         121,899   

Compass Group PLC

     21,241         338,800   

InterContinental Hotels Group PLC

     2,280         78,881   

Merlin Entertainments PLC(b)

     7,913         44,541   

Millennium & Copthorne Hotels PLC

     3,432         25,094   

SSP Group PLC

     1,630         7,538   
     

 

 

 
Total Hotels, Restaurants & Leisure               649,703   
Household Products – 2.4%      

PZ Cussons PLC

     3,563         15,679   

Reckitt Benckiser Group PLC

     9,370         849,747   
     

 

 

 
Total Household Products               865,426   
Industrial Conglomerates – 0.3%      

Smiths Group PLC

     7,005         106,639   
Insurance – 4.9%      

Amlin PLC

     14,562         144,809   

Aviva PLC

     52,646         360,450   

Jardine Lloyd Thompson Group PLC

     3,184         49,146   

Old Mutual PLC

     104,673         299,824   

Prudential PLC

     30,548         644,808   

RSA Insurance Group PLC

     1,927         11,755   

Standard Life PLC

     37,833         222,239   
     

 

 

 
Total Insurance               1,733,031   
Internet Software & Services – 0.1%      

Telecity Group PLC

     1,542         25,413   
IT Services – 0.1%      

Computacenter PLC

     1,977         22,640   
Machinery – 0.8%      

Bodycote PLC

     4,956         41,364   

IMI PLC

     4,183         60,099   

Melrose Industries PLC

     15,616         62,495   

Morgan Advanced Materials PLC

     4,411         18,862   

Rotork PLC

     6,888         17,195   

Spirax-Sarco Engineering PLC

     681         28,894   

Vesuvius PLC

     5,457         29,129   

Weir Group PLC (The)

     2,360         41,825   
     

 

 

 
Total Machinery               299,863   
Media – 2.0%      

Cineworld Group PLC

     4,223         35,502   

Daily Mail & General Trust PLC Class A Non-Voting Shares

     4,339         49,524   

Informa PLC

     10,346         87,996   

Pearson PLC

     16,801         286,814   
Investments    Shares      Value  

RELX PLC

     15,491       $ 265,623   
     

 

 

 
Total Media               725,459   
Metals & Mining – 7.7%      

Acacia Mining PLC

     1,573         5,909   

Anglo American PLC

     39,346         328,333   

Antofagasta PLC

     9,174         69,440   

BHP Billiton PLC

     66,453         1,011,630   

Evraz PLC*

     16,532         18,255   

Fresnillo PLC

     1,005         9,005   

Rio Tinto PLC

     35,235         1,179,526   

Vedanta Resources PLC(a)

     15,693         101,074   
     

 

 

 
Total Metals & Mining               2,723,172   
Multi-Utilities – 5.2%      

Centrica PLC

     135,804         471,485   

National Grid PLC

     100,233         1,395,147   
     

 

 

 
Total Multi-Utilities               1,866,632   
Oil, Gas & Consumable Fuels – 14.8%      

BG Group PLC

     30,581         440,528   

BP PLC

     298,745         1,511,430   

James Fisher & Sons PLC

     341         4,809   

Nostrum Oil & Gas PLC

     2,708         18,971   

Royal Dutch Shell PLC Class A

     70,355         1,656,101   

Royal Dutch Shell PLC Class B

     69,384         1,642,704   
     

 

 

 
Total Oil, Gas & Consumable Fuels               5,274,543   
Paper & Forest Products – 0.3%      

Mondi PLC

     4,279         89,641   
Personal Products – 2.4%      

Unilever PLC

     21,180         861,733   
Pharmaceuticals – 10.1%      

AstraZeneca PLC

     27,391         1,734,926   

Dechra Pharmaceuticals PLC

     717         10,198   

GlaxoSmithKline PLC

     95,200         1,825,625   

Hikma Pharmaceuticals PLC

     708         24,452   
     

 

 

 
Total Pharmaceuticals               3,595,201   
Professional Services – 0.4%      

Hays PLC

     13,600         31,581   

Intertek Group PLC

     1,698         62,526   

Michael Page International PLC

     3,818         27,413   

WS Atkins PLC

     1,357         28,531   
     

 

 

 
Total Professional Services               150,051   
Real Estate Investment Trusts (REITs) – 0.5%      

Hammerson PLC

     10,929         103,219   

Segro PLC

     12,744         82,910   
     

 

 

 
Total Real Estate Investment Trusts (REITs)               186,129   
Real Estate Management & Development – 0.1%      

Savills PLC

     1,403         19,392   
Road & Rail – 0.1%      

National Express Group PLC

     9,642         41,596   

Northgate PLC

     1,197         8,230   
     

 

 

 
Total Road & Rail               49,826   

 

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 United Kingdom Hedged Equity Fund (DXPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Semiconductors & Semiconductor Equipment – 0.2%      

ARM Holdings PLC

     4,381       $ 62,877   
Software – 0.5%      

AVEVA Group PLC

     457         14,094   

Fidessa Group PLC

     702         19,076   

Micro Focus International PLC

     1,995         36,354   

Sage Group PLC (The)

     13,441         101,677   
     

 

 

 
Total Software               171,201   
Specialty Retail – 0.6%      

Dixons Carphone PLC

     5,801         37,292   

JD Sports Fashion PLC

     1,208         17,475   

Kingfisher PLC

     31,607         171,686   
     

 

 

 
Total Specialty Retail               226,453   
Textiles, Apparel & Luxury Goods – 0.3%      

Burberry Group PLC

     4,525         93,766   

Ted Baker PLC

     435         21,131   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               114,897   
Tobacco – 9.6%      

British American Tobacco PLC

     38,243         2,110,338   

Imperial Tobacco Group PLC

     25,240         1,304,868   
     

 

 

 
Total Tobacco               3,415,206   
Trading Companies & Distributors – 0.5%      

Ashtead Group PLC

     3,073         43,290   

Bunzl PLC

     3,367         90,273   

Diploma PLC

     1,493         15,039   

SIG PLC

     4,680         12,306   
     

 

 

 
Total Trading Companies & Distributors               160,908   
Transportation Infrastructure – 0.1%      

BBA Aviation PLC

     8,153         33,060   
Wireless Telecommunication Services – 5.0%      

Vodafone Group PLC

     557,888        1,761,529  
TOTAL COMMON STOCKS
(Cost: $40,541,183)
              35,425,318  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.4%   
United States – 0.4%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $146,879)(d)      146,879         146,879   
TOTAL INVESTMENTS IN SECURITIES – 99.9%
(Cost: $40,688,062)
        35,572,197   

Cash, Foreign Currency and Other Assets in Excess of Liabilities – 0.1%

        46,859   
     

 

 

 
NET ASSETS – 100.0%             $ 35,619,056   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (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, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $145,214 and the total market value of the collateral held by the Fund was $153,047. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $6,168.

 

See Notes to Financial Statements.

 

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


Table of Contents

Statements of Assets and Liabilities (unaudited)

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

September 30, 2015

 

  

 

 

      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

   $ 44,395,466       $ 21,109,070,837       $ 250,084,998       $ 18,871,507       $ 1,140,781,692   

Investment in affiliates, at cost (Note 7)

                                     3,791,768   

Foreign currency, at cost

     138,148        506,604        29,781        14,156        1,493,619  

Investments in securities, at value (including securities on loan) (Note 2)1

     35,215,389        18,601,312,506        234,556,027        17,173,805        1,059,730,192  

Investment in affiliates, at value (Note 7)

                                     3,633,627   

Cash

     8,465         178,933         731         3,170         163,341   

Foreign currency, at value

     138,336         506,010         29,704         14,150         1,485,739   

Unrealized appreciation on forward foreign currency contracts

             111,666,397         1,093,392         4         3,583   

Receivables:

              

Investment securities sold

             64,093,957                           

Dividends and interest

     210,001         4,103,811         65,385         12,269         1,215,726   

Foreign tax reclaims

             2,127,729        267,543        17,972        748,344  

Total Assets

     35,572,191        18,783,989,343        236,012,782        17,221,370        1,066,980,552  

LIABILITIES:

              

Unrealized depreciation on forward foreign currency contracts

     22         14,511,480         27,062                   

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     6,010,730         407,707,245         18,479,208         146,743         104,407,896   

Investment securities purchased

     194,508                 999,442                   

Capital shares redeemed

             64,090,834                           

Advisory fees (Note 3)

     14,361         9,109,286         101,425         8,223         469,874   

Service fees (Note 2)

     109         69,105         769         62         3,578   

Miscellaneous fees

                             90        6,215  

Total Liabilities

     6,219,730        495,487,950        19,607,906        155,118        104,887,563  

NET ASSETS

   $ 29,352,461      $ 18,288,501,393      $ 216,404,876      $ 17,066,252      $ 962,092,989  

NET ASSETS:

              

Paid-in capital

   $ 60,295,393       $ 20,762,373,288       $ 242,033,903       $ 19,923,836       $ 1,138,168,703   

Undistributed net investment income

     49,679         3,863,675         41,945         5,274         694,865   

Accumulated net realized loss on investments, forward foreign currency contracts and foreign currency related transactions

     (21,810,593      (67,051,195      (11,209,934      (1,164,477      (95,492,842

Net unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (9,182,018 )      (2,410,684,375 )      (14,461,038 )      (1,698,381 )      (81,277,737 )

NET ASSETS

   $ 29,352,461      $ 18,288,501,393      $ 216,404,876      $ 17,066,252      $ 962,092,989  

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     700,000        334,600,000        9,250,004        800,000        17,900,000  

Net asset value per share

   $ 41.93      $ 54.66      $ 23.40      $ 21.33      $ 53.75  

 

1     Market value of securities out on loan were as follows:

   $ 5,692,878       $ 402,427,361       $ 19,000,424       $ 139,278       $ 99,698,740   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      139   


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

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

September 30, 2015

 

  

 

 

      WisdomTree
Germany
Hedged Equity
Fund
     WisdomTree
International
Dividend
ex-Financials
Fund
     WisdomTree
International
Equity Fund
     WisdomTree
International
Hedged Equity
Fund
     WisdomTree
International
Hedged Quality
Dividend
Growth Fund
 

ASSETS:

              

Investments, at cost

   $ 376,700,404       $ 356,186,402       $ 691,768,486       $ 2,516,104       $ 535,463,579   

Investment in affiliates, at cost (Note 7)

             749,688                           

Foreign currency, at cost

     11,724         10,433         811,339         3,618         462,736   

Investments in securities, at value (including securities on loan) (Note 2)1

     320,981,312         310,740,681         676,532,532         2,323,890         492,622,511   

Investment in affiliates, at value (Note 7)

             718,889                           

Cash

     19,103         497,720         128,391         218         77,364   

Foreign currency, at value

     11,653         10,411         811,210         3,612         462,771   

Unrealized appreciation on forward foreign currency contracts

     1,441,943                 187         16,485         3,365,507   

Receivables:

              

Capital shares sold

                                     24,314,625   

Dividends and interest

     4,353         626,072         2,096,549         7,245         670,494   

Foreign tax reclaims

     291,228         551,888         1,058,528         370         188,110   

Total Assets

     322,749,592         313,145,661         680,627,397         2,351,820         521,701,382   

LIABILITIES:

              

Unrealized depreciation on forward foreign currency contracts

     15,112         7         1,617         5,269         1,371,917   

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     3,338,671         26,443,371         43,869,140         34,515         15,177,877   

Investment securities purchased

     1,060,075         422,965         878,477         2,457         24,374,019   

Advisory fees (Note 3)

     128,601         139,689         256,598         673         219,488   

Service fees (Note 2)

     1,179         1,063         2,356         8         1,666   

Miscellaneous fees

             1,739         3,415         12         1,700   

Total Liabilities

     4,543,638         27,008,834         45,011,603         42,934         41,146,667   

NET ASSETS

   $ 318,205,954       $ 286,136,827       $ 635,615,794       $ 2,308,886       $ 480,554,715   

NET ASSETS:

              

Paid-in capital

   $ 384,595,883       $ 483,287,873       $ 894,917,850       $ 2,478,975       $ 523,841,696   

Undistributed net investment income

     482,509         450,535         1,358,744         16,333         941,881   

Accumulated net realized loss on investments, forward foreign currency contracts and foreign currency related transactions

     (12,579,032      (152,081,901      (245,364,284      (5,350      (3,384,339

Net unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (54,293,406      (45,519,680      (15,296,516      (181,072      (40,844,523

NET ASSETS

   $ 318,205,954       $ 286,136,827       $ 635,615,794       $ 2,308,886       $ 480,554,715   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     12,600,000         7,500,000         14,000,000         100,004         19,350,000   

Net asset value per share

   $ 25.25       $ 38.15       $ 45.40       $ 23.09       $ 24.83   

 

1     Market value of securities out on loan were as follows:

   $ 3,175,905       $ 25,117,689       $ 42,974,882       $ 32,827       $ 14,768,279   

 

See Notes to Financial Statements.

 

140   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, 2015

 

  

 

 

      WisdomTree
International
Hedged
SmallCap
Dividend Fund
     WisdomTree
International
High Dividend
Fund
     WisdomTree
International
LargeCap
Dividend Fund
     WisdomTree
International
MidCap
Dividend Fund
     WisdomTree
International
SmallCap
Dividend Fund
 

ASSETS:

              

Investments, at cost

   $       $ 334,128,687       $ 405,410,778       $ 164,059,253       $ 1,182,059,090   

Investment in affiliates, at cost (Note 7)

     3,646,422         76,637         288,219         705         3,220,906   

Foreign currency, at cost

     258         131,932         313,192         88,187         713,136   

Investments in securities, at value (including securities on loan) (Note 2)1

             302,343,167         380,982,006         166,846,215         1,168,734,810   

Investment in affiliates, at value (Note 7)

     3,300,766         68,987         258,221         627         3,162,552   

Cash

     2,867         58,624         49,393                 88,838   

Foreign currency, at value

     256         132,146         313,194         88,292         713,781   

Unrealized appreciation on forward foreign currency contracts

     14,894                                 114   

Receivables:

              

Investment securities sold

                                     255,994   

Dividends and interest

             927,832         1,098,390         545,602         4,871,012   

Foreign tax reclaims

             385,933         625,144         124,816         490,836   

Total Assets

     3,318,783         303,916,689         383,326,348         167,605,552         1,178,317,937   

LIABILITIES:

              

Due to custodian

                             6,649           

Unrealized depreciation on forward foreign currency contracts

     12,930         116         672                 141   

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

             17,297,275         16,731,295         21,599,272         166,511,236   

Investment securities purchased

     4,460         89,026         367,856                   

Advisory fees (Note 3)

             141,065         147,581         71,007         487,160   

Service fees (Note 2)

     11         1,072         1,358         539         3,713   

Miscellaneous fees

             1,833         2,126         643         4,042   

Total Liabilities

     17,401         17,530,387         17,250,888         21,678,110         167,006,292   

NET ASSETS

   $ 3,301,382       $ 286,386,302       $ 366,075,460       $ 145,927,442       $ 1,011,311,645   

NET ASSETS:

              

Paid-in capital

   $ 3,609,025       $ 409,250,100       $ 454,163,122       $ 221,907,819       $ 1,267,518,356   

Undistributed net investment income

     12,364         523,729         682,569         410,306         3,819,820   

Accumulated net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     23,687         (91,563,173      (64,270,196      (79,169,563      (246,586,208

Net unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (343,694      (31,824,354      (24,500,035      2,778,880         (13,440,323

NET ASSETS

   $ 3,301,382       $ 286,386,302       $ 366,075,460       $ 145,927,442       $ 1,011,311,645   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     150,004         7,650,000         8,650,000         2,750,000         18,350,000   

Net asset value per share

   $ 22.01       $ 37.44       $ 42.32       $ 53.06       $ 55.11   

 

1     Market value of securities out on loan were as follows:

   $       $ 16,735,713       $ 15,908,190       $ 21,276,298       $ 161,159,534   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      141   


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

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

September 30, 2015

 

  

 

 

      WisdomTree
Japan Hedged
Capital Goods
Fund
     WisdomTree
Japan Hedged
Equity Fund
     WisdomTree
Japan Hedged
Financials Fund
     WisdomTree
Japan Hedged
Health Care
Fund
     WisdomTree
Japan Hedged
Quality
Dividend
Growth Fund
 

ASSETS:

              

Investments, at cost

   $ 2,822,070       $ 17,392,507,881       $ 27,976,033       $ 12,229,522       $ 27,768,533   

Foreign currency, at cost

     1,955         24,598         21,881         25,269         12,233   

Investments in securities, at value (including securities on loan) (Note 2)1

     2,354,037         16,085,448,381         25,033,863         11,056,424         24,799,245   

Cash

     136         4,575,668         15,474         54,905         2,141   

Foreign currency, at value

     1,957         24,631         21,904         25,295         12,275   

Unrealized appreciation on forward foreign currency contracts

     112         18,677,155         12,749         27,737         1,117   

Receivables:

              

Investment securities sold

             43,390,542                 5,039           

Capital shares sold

             69,144,125                           

Dividends and interest

     18,645         132,296,880         231,466         70,585         172,570   

Foreign tax reclaims

             6,368,724                         12,295   

Total Assets

     2,374,887         16,359,926,106         25,315,456         11,239,985         24,999,643   

LIABILITIES:

              

Unrealized depreciation on forward foreign currency contracts

     28,629         218,588,699         349,567         168,310         275,676   

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     55,905         1,133,300,658         610,140         614,943         2,431,284   

Investment securities purchased

             65,745,777                 58,439           

Capital shares redeemed

             45,656,229                           

Advisory fees (Note 3)

     937         6,304,056         9,914         5,438         7,914   

Service fees (Note 2)

     8         57,788         91         50         81   

Total Liabilities

     85,479         1,469,653,207         969,712         847,180         2,714,955   

NET ASSETS

   $ 2,289,408       $ 14,890,272,899       $ 24,345,744       $ 10,392,805       $ 22,284,688   

NET ASSETS:

              

Paid-in capital

   $ 2,696,033       $ 15,532,639,046       $ 27,644,011       $ 11,589,329       $ 25,500,192   

Undistributed net investment income

     19,151         133,413,303         197,447         65,102         179,057   

Accumulated net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     70,610         732,120,120         (218,760      51,507         (151,049

Net unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (496,386      (1,507,899,570      (3,276,954      (1,313,133      (3,243,512

NET ASSETS

   $ 2,289,408       $ 14,890,272,899       $ 24,345,744       $ 10,392,805       $ 22,284,688   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     100,000         309,100,000         950,000         350,000         1,000,004   

Net asset value per share

   $ 22.89       $ 48.17       $ 25.63       $ 29.69       $ 22.28   

 

1     Market value of securities out on loan were as follows:

   $ 53,131       $ 1,090,512,348       $ 667,185       $ 585,380       $ 2,321,542   

 

See Notes to Financial Statements.

 

142   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, 2015

 

  

 

 

      WisdomTree
Japan Hedged
Real Estate
Fund
     WisdomTree
Japan Hedged
SmallCap
Equity Fund
     WisdomTree
Japan Hedged
Tech, Media
and Telecom
Fund
     WisdomTree
Japan Quality
Dividend
Growth Fund
     WisdomTree
Japan
SmallCap
Dividend Fund
 

ASSETS:

              

Investments, at cost

   $ 30,891,455       $ 261,321,983       $ 4,187,306       $ 2,478,105       $ 337,339,768   

Foreign currency, at cost

     16,341         76,067         83                 117,349   

Investments in securities, at value (including securities on loan) (Note 2)1

     29,549,863         256,653,191         3,998,442         2,133,222         354,368,826   

Cash

     246         248,399         471         207         54,310   

Foreign currency, at value

     16,362         76,360         83                 117,854   

Unrealized appreciation on forward foreign currency contracts

     1,669         4,178         191                   

Receivables:

              

Investment securities sold

             9,698,360         8,477                   

Dividends and interest

     171,721         1,508,944         23,160         16,267         2,051,378   

Foreign tax reclaims

     427         8,669                 1,068         135,584   

Total Assets

     29,740,288         268,198,101         4,030,824         2,150,764         356,727,952   

LIABILITIES:

              

Foreign currency due to custodian, at value

                             29           

Unrealized depreciation on forward foreign currency contracts

     342,910         2,411,959         48,251                 204   

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     313,526         59,188,899         184,218         6,938         71,231,563   

Capital shares redeemed

             9,833,597                           

Advisory fees (Note 3)

     11,289         95,393         1,568         785         135,868   

Service fees (Note 2)

     103         724         14         8         1,031   

Total Liabilities

     667,828         71,530,572         234,051         7,760         71,368,666   

NET ASSETS

   $ 29,072,460       $ 196,667,529       $ 3,796,773       $ 2,143,004       $ 285,359,286   

NET ASSETS:

              

Paid-in capital

   $ 29,611,688       $ 195,381,010       $ 3,880,395       $ 2,481,645       $ 296,138,152   

Undistributed net investment income

     128,522         1,387,166         24,917         16,237         1,837,780   

Accumulated net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     1,013,646         6,974,539         128,182         (10,026      (29,626,519

Net unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (1,681,396      (7,075,186      (236,721      (344,852      17,009,873   

NET ASSETS

   $ 29,072,460       $ 196,667,529       $ 3,796,773       $ 2,143,004       $ 285,359,286   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     1,100,000         6,000,000         150,000         100,004         5,400,000   

Net asset value per share

   $ 26.43       $ 32.78       $ 25.31       $ 21.43       $ 52.84   

 

1     Market value of securities out on loan were as follows:

   $ 385,175       $ 57,422,258       $ 176,512       $ 6,616       $ 70,425,862   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      143   


Table of Contents

Statements of Assets and Liabilities (unaudited) (concluded)

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

September 30, 2015

 

  

 

 

      WisdomTree
Korea Hedged
Equity Fund
     WisdomTree
United
Kingdom
Hedged Equity
Fund
 

ASSETS:

     

Investments, at cost

   $ 26,288,961       $ 40,688,062   

Foreign currency, at cost

     962,425         3,847   

Investments in securities, at value (including securities on loan) (Note 2)1

     22,952,124         35,572,197   

Cash

             480   

Foreign currency, at value

     965,968         3,845   

Unrealized appreciation on forward foreign currency contracts

     43,299         547,929   

Receivables:

     

Investment securities sold

     22,285           

Dividends and interest

     188         93,043   

Foreign tax reclaims

             74   

Total Assets

     23,983,864         36,217,568   

LIABILITIES:

     

Due to custodian

     950,802           

Unrealized depreciation on forward foreign currency contracts

     12,996         4,627   

Payables:

     

Investment of cash collateral for securities loaned (Note 2)

     205,500         146,879   

Investment securities purchased

     200,220         432,392   

Advisory fees (Note 3)

     11,094         13,795   

Service fees (Note 2)

     84         126   

Miscellaneous fees

             693   

Total Liabilities

     1,380,696         598,512   

NET ASSETS

   $ 22,603,168       $ 35,619,056   

NET ASSETS:

     

Paid-in capital

   $ 26,126,140       $ 41,574,000   

Accumulated net investment loss

     (40,396        

Undistributed net investment income

             283,733   

Accumulated net realized loss on investments, forward foreign currency contracts and foreign currency related transactions

     (179,760      (1,664,030

Net unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (3,302,816      (4,574,647

NET ASSETS

   $ 22,603,168       $ 35,619,056   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     1,150,000         1,550,000   

Net asset value per share

   $ 19.65       $ 22.98   

 

1     Market value of securities out on loan were as follows:

   $ 195,140       $ 145,214   

 

See Notes to Financial Statements.

 

144   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, 2015

 

  

 

 

     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

  $ 789,354      $ 349,248,283      $ 4,842,746      $ 260,601      $ 21,139,307   

Dividends from affiliates (Note 7)

                                79,463   

Securities lending income (Note 2)

    13,772        11,107,009        176,490        5,390        527,817   

Total investment income

    803,126        360,355,292        5,019,236        265,991        21,746,587   

EXPENSES:

         

Advisory fees (Note 3)

    117,156        58,418,924        598,651        48,752        2,857,027   

Service fees (Note 2)

    889        443,179        4,541        370        21,674   

Miscellaneous fees

                         90        6,215   

Total expenses

    118,045        58,862,103        603,192        49,212        2,884,916   

Expense waivers (Note 3)

                                (6,339

Net expenses

    118,045        58,862,103        603,192        49,212        2,878,577   

Net investment income

    685,081        301,493,189        4,416,044        216,779        18,868,010   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

         

Net realized gain (loss) from:

         

Investment transactions

    (2,497,364     (400,639,975     (2,868,117     (1,114,314     (25,562,330

Investment transactions in affiliates (Note 7)

                                (200,740

In-kind redemptions

    1,450,567        79,989,266        284,168                 

Forward foreign currency contracts and foreign currency related transactions

    (21,446     (355,918,980     (8,644,672     1,612        107,388   

Net realized loss

    (1,068,243     (676,569,689     (11,228,621     (1,112,702     (25,655,682

Net change in unrealized appreciation (depreciation) from:

         

Investment transactions

    (7,798,815     (2,790,576,178     (16,307,879     (625,081     (12,736,992

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    5,230        (459,873,650     520,277        206        26,353   

Net change in unrealized appreciation (depreciation)

    (7,793,585     (3,250,449,828     (15,787,602     (624,875     (12,710,639

Net realized and unrealized loss on investments

    (8,861,828     (3,927,019,517     (27,016,223     (1,737,577     (38,366,321

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

  $ (8,176,747   $ (3,625,526,328   $ (22,600,179   $ (1,520,798   $ (19,498,311

 

1     Net of foreign withholding tax of:

  $ 7,274      $ 51,693,817      $ 648,246      $ 31,456      $ 2,096,239   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      145   


Table of Contents

Statements of Operations (unaudited) (continued)

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

For the Six Months or Period Ended September 30, 2015

 

  

 

 

     WisdomTree
Germany
Hedged Equity
Fund
    WisdomTree
International
Dividend
ex-Financials  Fund
    WisdomTree
International
Equity Fund
    WisdomTree
International
Hedged
Equity Fund1
    WisdomTree
International
Hedged Quality
Dividend
Growth Fund
 

INVESTMENT INCOME:

         

Dividends2

  $ 7,076,193      $ 9,071,889      $ 16,008,221      $ 18,334      $ 7,600,736   

Dividends from affiliates (Note 7)

           88,362        148,145                 

Securities lending income (Note 2)

    254,951        315,411        374,967        19        87,488   

Total investment income

    7,331,144        9,475,662        16,531,333        18,353        7,688,224   

EXPENSES:

         

Advisory fees (Note 3)

    839,662        971,656        1,669,554        1,983        1,138,616   

Service fees (Note 2)

    7,696        7,371        15,304        25        8,638   

Miscellaneous fees

           1,739        3,415        12        1,700   

Total expenses

    847,358        980,766        1,688,273        2,020        1,148,954   

Expense waivers (Note 3)

           (3,841     (4,307              

Net expenses

    847,358        976,925        1,683,966        2,020        1,148,954   

Net investment income

    6,483,786        8,498,737        14,847,367        16,333        6,539,270   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

         

Net realized gain (loss) from:

         

Investment transactions

    (4,395,003     (5,744,233     2,550,493        496        (5,937,985

Investment transactions in affiliates (Note 7)

           (170,521     (110,503              

In-kind redemptions

    205,464        616,255                      2,767,438   

In-kind redemptions in affiliates (Note 7)

           (2,452                     

Forward foreign currency contracts and foreign currency related transactions

    (11,084,970     (29,693     (20,684     (5,846     (1,848,668

Net realized gain (loss)

    (15,274,509     (5,330,644     2,419,306        (5,350     (5,019,215

Net change in unrealized appreciation (depreciation) from:

         

Investment transactions

    (60,476,148     (38,258,450     (91,459,490     (192,214     (43,114,444

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (2,131,086     11,553        (4,652     11,142        (2,043,947

Net change in unrealized appreciation (depreciation)

    (62,607,234     (38,246,897     (91,464,142     (181,072     (45,158,391

Net realized and unrealized loss on investments

    (77,881,743     (43,577,541     (89,044,836     (186,422     (50,177,606

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

  $ (71,397,957   $ (35,078,804   $ (74,197,469   $ (170,089   $ (43,638,336

1     For the period July 9, 2015 (commencement of operations) through September 30, 2015.

        

       

 

2     Net of foreign withholding tax of:

  $ 1,069,231      $ 899,540      $ 1,279,880      $ 1,047      $ 504,862   

 

See Notes to Financial Statements.

 

146   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 or Period Ended September 30, 2015

 

  

 

 

     WisdomTree
International
Hedged
SmallCap
Dividend Fund1
    WisdomTree
International
High Dividend
Fund
    WisdomTree
International
LargeCap
Dividend Fund
    WisdomTree
International
MidCap
Dividend Fund
    WisdomTree
International
SmallCap
Dividend Fund
 

INVESTMENT INCOME:

         

Dividends2

  $      $ 9,269,634      $ 9,166,802      $ 3,389,601      $ 20,593,040   

Dividends from affiliates (Note 7)

    51,502        98,281        43,068        6,811        15,680   

Interest

           746                        

Securities lending income (Note 2)

           252,336        200,509        124,937        654,881   

Total investment income

    51,502        9,620,997        9,410,379        3,521,349        21,263,601   

EXPENSES:

         

Advisory fees (Note 3)

    4,907        986,091        948,569        464,227        3,037,770   

Service fees (Note 2)

    37        7,481        8,695        3,522        23,045   

Miscellaneous fees

           1,833        2,126        643        4,042   

Total expenses

    4,944        995,405        959,390        468,392        3,064,857   

Expense waivers (Note 3)

    (4,907     (1,875     (2,357     (427     (11,115

Net expenses

    37        993,530        957,033        467,965        3,053,742   

Net investment income

    51,465        8,627,467        8,453,346        3,053,384        18,209,859   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

         

Net realized gain (loss) from:

         

Investment transactions

           (578,449     612,547        4,643,222        (12,248,223

Investment transactions in affiliates (Note 7)

    (845     (18,564     (165,297     (48,180     189,301   

In-kind redemptions

           2,424,001        769,390                 

In-kind redemptions in affiliates (Note 7)

           (792     158                 

Forward foreign currency contracts and foreign currency related transactions

    24,532        (30,348     (12,698     (19,927     (255,665

Net realized gain (loss)

    23,687        1,795,848        1,204,100        4,575,115        (12,314,587

Net change in unrealized appreciation (depreciation) from:

         

Investment transactions

    (345,656     (48,735,676     (57,527,047     (19,971,679     (69,923,178

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    1,962        (2,537     (3,754     5,449        31,737   

Net change in unrealized appreciation (depreciation)

    (343,694     (48,738,213     (57,530,801     (19,966,230     (69,891,441

Net realized and unrealized loss on investments

    (320,007     (46,942,365     (56,326,701     (15,391,115     (82,206,028

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

  $ (268,542   $ (38,314,898   $ (47,873,355   $ (12,337,731   $ (63,996,169

1     For the period June 4, 2015 (commencement of operations) through September 30, 2015.

        

       

 

2     Net of foreign withholding tax of:

  $      $ 709,921      $ 721,030      $ 303,132      $ 1,931,669   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      147   


Table of Contents

Statements of Operations (unaudited) (continued)

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

For the Six Months or Period Ended September 30, 2015

 

  

 

 

     WisdomTree
Japan Hedged
Capital Goods
Fund
    WisdomTree
Japan Hedged
Equity Fund
    WisdomTree
Japan Hedged
Financials
Fund
    WisdomTree
Japan Hedged
Health Care
Fund
    WisdomTree
Japan Hedged
Quality
Dividend
Growth Fund1
 

INVESTMENT INCOME:

         

Dividends2

  $ 24,943      $ 175,759,913      $ 240,804      $ 77,032      $ 212,787   

Interest

           292                        

Securities lending income (Note 2)

    457        1,405,089        2,615        977        1,146   

Total investment income

    25,400        177,165,294        243,419        78,009        213,933   

EXPENSES:

         

Advisory fees (Note 3)

    6,628        41,735,713        57,490        17,200        35,112   

Service fees (Note 2)

    59        382,577        527        158        322   

Total expenses

    6,687        42,118,290        58,017        17,358        35,434   

Expense waivers (Note 3)

    (480            (3,476     (782     (3,658

Net expenses

    6,207        42,118,290        54,541        16,576        31,776   

Net investment income

    19,193        135,047,004        188,878        61,433        182,157   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

         

Net realized gain (loss) from:

         

Investment transactions

    (34,312     (188,531,302     (203,171     (256,351     (248,816

In-kind redemptions

           271,939,060        267,874        364,497        210,540   

Forward foreign currency contracts and foreign currency related transactions

    39,878        188,709,035        (287,881     (129,941     (112,773

Net realized gain (loss)

    5,566        272,116,793        (223,178     (21,795     (151,049

Net change in unrealized depreciation from:

         

Investment transactions

    (457,643     (2,397,395,553     (3,068,142     (1,455,382     (2,969,288

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (34,914     (237,581,466     (338,618     (141,041     (274,224

Net change in unrealized depreciation

    (492,557     (2,634,977,019     (3,406,760     (1,596,423     (3,243,512

Net realized and unrealized loss on investments

    (486,991     (2,362,860,226     (3,629,938     (1,618,218     (3,394,561

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

  $ (467,798   $ (2,227,813,222   $ (3,441,060   $ (1,556,785   $ (3,212,404

1     For the period April 9, 2015 (commencement of operations) through September 30, 2015.

        

       

 

2     Net of foreign withholding tax of:

  $ 2,762      $ 19,528,879      $ 26,756      $ 8,559      $ 23,942   

 

See Notes to Financial Statements.

 

148   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 or Period Ended September 30, 2015

 

  

 

 

      WisdomTree
Japan Hedged
Real Estate
Fund
     WisdomTree
Japan Hedged
SmallCap
Equity Fund
     WisdomTree
Japan Hedged
Tech, Media
and Telecom
Fund
     WisdomTree
Japan Quality
Dividend
Growth Fund1
     WisdomTree
Japan
SmallCap
Dividend Fund
 

INVESTMENT INCOME:

              

Dividends2

   $ 266,055       $ 1,713,911       $ 30,436       $ 21,625       $ 2,453,783   

Dividends from affiliates (Note 7)

                                     6,444   

Securities lending income (Note 2)

     7,406         104,130         1,932         1         141,834   

Total investment income

     273,461         1,818,041         32,368         21,626         2,602,061   

EXPENSES:

              

Advisory fees (Note 3)

     76,705         548,487         10,682         3,966         898,900   

Service fees (Note 2)

     703         4,161         98         36         6,819   

Total expenses

     77,408         552,648         10,780         4,002         905,719   

Expense waivers (Note 3)

     (5,442              (763      (413      (1,113

Net expenses

     71,966         552,648         10,017         3,589         904,606   

Net investment income

     201,495         1,265,393         22,351         18,037         1,697,455   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     (233,006      (4,011,087      (68,659      (10,123      5,150,425   

Investment transactions in affiliates (Note 7)

                                     (22,615

In-kind redemptions

     82,265         5,226,236                         3,929,318   

Forward foreign currency contracts and foreign currency related transactions

     455,505         1,793,078         68,016         97         (103,874

Net realized gain (loss)

     304,764         3,008,227         (643      (10,026      8,953,254   

Net change in unrealized appreciation (depreciation) from:

              

Investment transactions

     (1,357,466      (8,765,126      (521,124      (344,883      (16,933,305

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (464,439      (2,874,394      (62,556      31         22,237   

Net change in unrealized appreciation (depreciation)

     (1,821,905      (11,639,520      (583,680      (344,852      (16,911,068

Net realized and unrealized loss on investments

     (1,517,141      (8,631,293      (584,323      (354,878      (7,957,814

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (1,315,646    $ (7,365,900    $ (561,972    $ (336,841    $ (6,260,359

1     For the period May 28, 2015 (commencement of operations) through September 30, 2015.

        

           

 

2     Net of foreign withholding tax of:

   $ 29,463       $ 189,859       $ 3,382       $ 2,661       $ 271,173   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      149   


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, 2015

 

  

 

 

      WisdomTree
Korea Hedged
Equity Fund
     WisdomTree
United Kingdom
Hedged Equity
Fund
 

INVESTMENT INCOME:

     

Dividends1

   $ 22,957       $ 863,984   

Securities lending income (Note 2)

     1,122         2,275   

Total investment income

     24,079         866,259   

EXPENSES:

     

Advisory fees (Note 3)

     67,048         81,167   

Service fees (Note 2)

     509         744   

Miscellaneous fees

             693   

Total expenses

     67,557         82,604   

Net investment income (loss)

     (43,478      783,655   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

     

Net realized gain (loss) from:

     

Investment transactions

     (1,289,499      (666,077

Forward foreign currency contracts and foreign currency related transactions

     1,557,382         (193,164

Net realized gain (loss)

     267,883         (859,241

Net change in unrealized depreciation from:

     

Investment transactions

     (3,081,670      (3,083,810

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (82,590      (473,832

Net change in unrealized depreciation

     (3,164,260      (3,557,642

Net realized and unrealized loss on investments

     (2,896,377      (4,416,883

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (2,939,855    $ (3,633,228

 

1     Net of foreign withholding tax of:

   $       $ 8,471   

 

See Notes to Financial Statements.

 

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


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, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
March 4, 2015*
through
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

          

Net investment income

  $ 685,081      $ 2,116,489      $ 301,493,189      $ 87,040,055      $ 4,416,044       $ 361,661   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

    (1,068,243     2,073,246        (676,569,689     862,968,028        (11,228,621      19,017   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (7,793,585     (8,829,312     (3,250,449,828     746,785,856        (15,787,602      1,326,564   

Net increase (decrease) in net assets resulting from operations

    (8,176,747     (4,639,577     (3,625,526,328     1,696,793,939        (22,600,179      1,707,242   

DIVIDENDS AND DISTRIBUTIONS:

            

Net investment income

    (763,007     (1,972,575     (322,180,640     (73,966,189     (4,736,090        

Capital gains

                         (184,744,238               

Total dividends and distributions

    (763,007     (1,972,575     (322,180,640     (258,710,427     (4,736,090        

CAPITAL SHARE TRANSACTIONS:

            

Net proceeds from sale of shares

           5,447,076        5,724,157,116        15,173,767,490        136,213,740         124,121,761   

Cost of shares redeemed

    (10,345,831     (5,334,442     (1,032,433,443     (127,685,798     (18,301,698        

Net increase (decrease) in net assets resulting from capital share transactions

    (10,345,831     112,634        4,691,723,673        15,046,081,692        117,912,042         124,121,761   

Net Increase (Decrease) in Net Assets

    (19,285,585     (6,499,518     744,016,705        16,484,165,204        90,575,773         125,829,003   

NET ASSETS:

            

Beginning of period

  $ 48,638,046      $ 55,137,564      $ 17,544,484,688      $ 1,060,319,484      $ 125,829,103       $ 100   

End of period

  $ 29,352,461      $ 48,638,046      $ 18,288,501,393      $ 17,544,484,688      $ 216,404,876       $ 125,829,103   

Undistributed net investment income included in net assets at end of period

  $ 49,679      $ 127,605      $ 3,863,675      $ 24,551,126      $ 41,945       $ 361,991   

SHARES CREATED AND REDEEMED:

            

Shares outstanding, beginning of period

    900,000        900,000        265,200,000        18,800,000        4,850,004         4   

Shares created

           100,000        87,350,000        248,650,000        5,150,000         4,850,000   

Shares redeemed

    (200,000     (100,000     (17,950,000     (2,250,000     (750,000        

Shares outstanding, end of period

    700,000        900,000        334,600,000        265,200,000        9,250,004         4,850,004   
* Commencement of operations.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      151   


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, 2015
(unaudited)
    For the Period
May 7, 2014*
through
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

       

Net investment income

  $ 216,779      $ 200,687      $ 18,868,010      $ 38,486,170      $ 6,483,786      $ 177,748   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

    (1,112,702     (223,873     (25,655,682     2,038,267        (15,274,509     3,974,938   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (624,875     (1,073,506     (12,710,639     (212,714,789     (62,607,234     7,691,136   

Net increase (decrease) in net assets resulting from operations

    (1,520,798     (1,096,692     (19,498,311     (172,190,352     (71,397,957     11,843,822   

DIVIDENDS AND DISTRIBUTIONS:

  

         

Net investment income

    (233,003     (174,792     (22,808,123     (37,998,494     (6,047,059     (178,439

Capital gains

                                       (1,063,257

Total dividends and distributions

    (233,003     (174,792     (22,808,123     (37,998,494     (6,047,059     (1,241,696

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    7,229,471        20,859,822        150,525,023        885,658,937        131,626,801        271,770,808   

Cost of shares redeemed

           (7,997,856            (1,268,466,721     (27,791,619       

Net increase (decrease) in net assets resulting from capital share transactions

    7,229,471        12,861,966        150,525,023        (382,807,784     103,835,182        271,770,808   

Net Increase (Decrease) in Net Assets

    5,475,670        11,590,482        108,218,589        (592,996,630     26,390,166        282,372,934   

NET ASSETS:

           

Beginning of period

  $ 11,590,582      $ 100      $ 853,874,400      $ 1,446,871,030      $ 291,815,788      $ 9,442,854   

End of period

  $ 17,066,252      $ 11,590,582      $ 962,092,989      $ 853,874,400      $ 318,205,954      $ 291,815,788   

Undistributed net investment income included in net assets at end of period

  $ 5,274      $ 21,498      $ 694,865      $ 4,634,978      $ 482,509      $ 45,782   

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    500,000        4        15,350,000        23,250,000        9,300,000        350,000   

Shares created

    300,000        850,000        2,550,000        14,550,000        4,350,000        8,950,000   

Shares redeemed

           (350,004            (22,450,000     (1,050,000       

Shares outstanding, end of period

    800,000        500,000        17,900,000        15,350,000        12,600,000        9,300,000   
* Commencement of operations.

 

See Notes to Financial Statements.

 

152   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 Dividend ex-Financials Fund
    WisdomTree
International Equity Fund
    WisdomTree
International Hedged Equity Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the Period
July 9, 2015*
through
September 30, 2015
(unaudited)
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

     

Net investment income

  $ 8,498,737      $ 15,653,193      $ 14,847,367      $ 21,501,935      $ 16,333   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

    (5,330,644     24,818,165        2,419,306        (3,579,736     (5,350

Net change in unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (38,246,897     (73,124,349     (91,464,142     (27,203,920     (181,072

Net increase (decrease) in net assets resulting from operations

    (35,078,804     (32,652,991     (74,197,469     (9,281,721     (170,089

DIVIDENDS:

         

Net investment income

    (8,848,034     (15,437,232     (15,616,108     (20,650,247       

CAPITAL SHARE TRANSACTIONS:

         

Net proceeds from sale of shares

    22,357,782        70,209,452        79,597,086        106,576,595        2,478,875   

Cost of shares redeemed

    (16,376,637     (47,582,200                     

Net increase in net assets resulting from capital share transactions

    5,981,145        22,627,252        79,597,086        106,576,595        2,478,875   

Net Increase (Decrease) in Net Assets

    (37,945,693     (25,462,971     (10,216,491     76,644,627        2,308,786   

NET ASSETS:

         

Beginning of period

  $ 324,082,520      $ 349,545,491      $ 645,832,285      $ 569,187,658      $ 100   

End of period

  $ 286,136,827      $ 324,082,520      $ 635,615,794      $ 645,832,285      $ 2,308,886   

Undistributed net investment income included in net assets at end of period

  $ 450,535      $ 799,832      $ 1,358,744      $ 2,127,485      $ 16,333   

SHARES CREATED AND REDEEMED:

         

Shares outstanding, beginning of period

    7,400,000        7,100,000        12,500,000        10,450,000        4   

Shares created

    500,000        1,400,000        1,500,000        2,050,000        100,000   

Shares redeemed

    (400,000     (1,100,000                     

Shares outstanding, end of period

    7,500,000        7,400,000        14,000,000        12,500,000        100,004   
* Commencement of operations.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      153   


Table of Contents

Statements of Changes in Net Assets (continued)

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

 

 

  

 

 

      WisdomTree
International Hedged Quality
Dividend Growth Fund
     WisdomTree
International Hedged SmallCap
Dividend Fund
     WisdomTree
International High Dividend Fund
 
      For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
May 7, 2014*
through
March 31, 2015
     For the Period
June 4, 2015*
through
September 30, 2015
(unaudited)
     For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

        

Net investment income

   $ 6,539,270       $ 1,015,552       $ 51,465       $ 8,627,467       $ 13,809,485   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     (5,019,215      1,861,841         23,687         1,795,848         419,457   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (45,158,391      4,313,868         (343,694      (48,738,213      (33,653,687

Net increase (decrease) in net assets resulting from operations

     (43,638,336      7,191,261         (268,542      (38,314,898      (19,424,745

DIVIDENDS AND DISTRIBUTIONS:

  

           

Net investment income

     (6,045,087      (341,603      (39,101      (9,147,084      (13,241,538

Capital gains

             (453,216                        

Total dividends and distributions

     (6,045,087      (794,819      (39,101      (9,147,084      (13,241,538

CAPITAL SHARE TRANSACTIONS:

              

Net proceeds from sale of shares

     411,965,559         200,056,027         3,608,925         15,673,503         65,533,642   

Cost of shares redeemed

     (88,179,888      (102              (19,445,290        

Net increase (decrease) in net assets resulting from capital share transactions

     323,785,671         200,055,925         3,608,925         (3,771,787      65,533,642   

Net Increase (Decrease) in Net Assets

     274,102,248         206,452,367         3,301,282         (51,233,769      32,867,359   

NET ASSETS:

              

Beginning of period

   $ 206,452,467       $ 100       $ 100       $ 337,620,071       $ 304,752,712   

End of period

   $ 480,554,715       $ 206,452,467       $ 3,301,382       $ 286,386,302       $ 337,620,071   

Undistributed net investment income included in net assets at end of period

   $ 941,881       $ 447,698       $ 12,364       $ 523,729       $ 1,043,346   

SHARES CREATED AND REDEEMED:

              

Shares outstanding, beginning of period

     7,650,000         4         4         7,800,000         6,400,000   

Shares created

     15,200,000         7,650,000         150,000         350,000         1,400,000   

Shares redeemed

     (3,500,000      (4              (500,000        

Shares outstanding, end of period

     19,350,000         7,650,000         150,004         7,650,000         7,800,000   
* Commencement of operations.

 

See Notes to Financial Statements.

 

154   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 LargeCap Dividend Fund
    WisdomTree
International MidCap Dividend Fund
    WisdomTree
International SmallCap Dividend Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

       

Net investment income

  $ 8,453,346      $ 12,677,361      $ 3,053,384      $ 4,474,571      $ 18,209,859      $ 29,220,559   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

    1,204,100        (2,025,000     4,575,115        5,935,280        (12,314,587     39,724,242   

Net change in unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (57,530,801     (20,391,028     (19,966,230     (10,092,610     (69,891,441     (130,956,257

Net increase (decrease) in net assets resulting from operations

    (47,873,355     (9,738,667     (12,337,731     317,241        (63,996,169     (62,011,456

DIVIDENDS:

           

Net investment income

    (8,716,078     (12,260,118     (3,183,019     (4,298,234     (20,499,319     (28,286,347

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    69,794,017        61,995,325        6,034,375        29,317,147        178,029,589        309,891,793   

Cost of shares redeemed

    (2,402,150                   (11,004,207            (225,813,659

Net increase in net assets resulting from capital share transactions

    67,391,867        61,995,325        6,034,375        18,312,940        178,029,589        84,078,134   

Net Increase (Decrease) in Net Assets

    10,802,434        39,996,540        (9,486,375     14,331,947        93,534,101        (6,219,669

NET ASSETS:

           

Beginning of period

  $ 355,273,026      $ 315,276,486      $ 155,413,817      $ 141,081,870      $ 917,777,544      $ 923,997,213   

End of period

  $ 366,075,460      $ 355,273,026      $ 145,927,442      $ 155,413,817      $ 1,011,311,645      $ 917,777,544   

Undistributed net investment income included in net assets at end of period

  $ 682,569      $ 945,301      $ 410,306      $ 539,941      $ 3,819,820      $ 6,109,280   

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    7,300,000        6,100,000        2,650,000        2,350,000        15,500,000        14,250,000   

Shares created

    1,400,000        1,200,000        100,000        500,000        2,850,000        4,800,000   

Shares redeemed

    (50,000                   (200,000            (3,550,000

Shares outstanding, end of period

    8,650,000        7,300,000        2,750,000        2,650,000        18,350,000        15,500,000   

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      155   


Table of Contents

Statements of Changes in Net Assets (continued)

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

 

 

  

 

 

     WisdomTree
Japan Hedged Capital Goods Fund
    WisdomTree
Japan Hedged Equity Fund
    WisdomTree
Japan Hedged Financials Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the Period
April 8, 2014*
through
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the Period
April 8, 2014*
through
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

       

Net investment income

  $ 19,193      $ 31,938      $ 135,047,004      $ 207,629,618      $ 188,878      $ 103,633   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

    5,566        435,751        272,116,793        1,728,402,048        (223,178     995,871   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (492,557     (3,829     (2,634,977,019     1,094,343,830        (3,406,760     129,806   

Net increase (decrease) in net assets resulting from operations

    (467,798     463,860        (2,227,813,222     3,030,375,496        (3,441,060     1,229,310   

DIVIDENDS AND DISTRIBUTIONS:

           

Net investment income

    (19,497     (17,112     (112,763,638     (207,539,167     (52,007     (43,420

Capital gains

           (144,392            (1,104,073,317            (641,620

Total dividends and distributions

    (19,497     (161,504     (112,763,638     (1,311,612,484     (52,007     (685,040

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

           5,180,742        3,192,865,160        5,763,303,856        26,439,777        10,088,110   

Cost of shares redeemed

           (2,706,495     (1,768,865,582     (3,117,040,421     (6,487,506     (2,745,940

Net increase in net assets resulting from capital share transactions

           2,474,247        1,423,999,578        2,646,263,435        19,952,271        7,342,170   

Net Increase (Decrease) in Net Assets

    (487,295     2,776,603        (916,577,282     4,365,026,447        16,459,204        7,886,440   

NET ASSETS:

           

Beginning of period

  $ 2,776,703      $ 100      $ 15,806,850,181      $ 11,441,823,734      $ 7,886,540      $ 100   

End of period

  $ 2,289,408      $ 2,776,703      $ 14,890,272,899      $ 15,806,850,181      $ 24,345,744      $ 7,886,540   

Undistributed net investment income included in net assets at end of period

  $ 19,151      $ 19,455      $ 133,413,303      $ 111,129,937      $ 197,447      $ 60,576   

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    100,000        4        287,250,000        240,900,000        300,000        4   

Shares created

           200,000        55,550,000        110,000,000        900,000        400,000   

Shares redeemed

           (100,004     (33,700,000     (63,650,000     (250,000     (100,004

Shares outstanding, end of period

    100,000        100,000        309,100,000        287,250,000        950,000        300,000   
* Commencement of operations.

 

See Notes to Financial Statements.

 

156   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 Health Care Fund
     WisdomTree
Japan Hedged Quality
Dividend Growth Fund
     WisdomTree
Japan Hedged Real Estate Fund
 
      For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
     For the Period
April 9, 2015*
through
September 30, 2015
(unaudited)
     For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

           

Net investment income

   $ 61,433       $ 24,339       $ 182,157       $ 201,495       $ 331,326   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     (21,795      385,027         (151,049      304,764         3,171,447   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (1,596,423 )      283,290         (3,243,512 )      (1,821,905 )      140,509  

Net increase (decrease) in net assets resulting from operations

     (1,556,785 )      692,656         (3,212,404 )      (1,315,646 )      3,643,282  

DIVIDENDS AND DISTRIBUTIONS:

              

Net investment income

     (12,000      (6,684      (3,100      (264,012      (236,203

Capital gains

             (194,150                      (1,864,720 )

Total dividends and distributions

     (12,000 )      (200,834      (3,100 )      (264,012 )      (2,100,923 )

CAPITAL SHARE TRANSACTIONS:

              

Net proceeds from sale of shares

     11,944,257         4,026,460         30,625,387                 35,926,393   

Cost of shares redeemed

     (3,083,382 )      (1,417,667      (5,125,295 )      (1,327,299 )      (5,489,435 )

Net increase (decrease) in net assets resulting from capital share transactions

     8,860,875        2,608,793         25,500,092        (1,327,299 )      30,436,958  

Net Increase (Decrease) in Net Assets

     7,292,090        3,100,615         22,284,588        (2,906,957 )      31,979,317  

NET ASSETS:

              

Beginning of period

   $ 3,100,715       $ 100       $ 100       $ 31,979,417       $ 100   

End of period

   $ 10,392,805      $ 3,100,715       $ 22,284,688      $ 29,072,460      $ 31,979,417  

Undistributed net investment income included in net assets at end of period

   $ 65,102      $ 15,669       $ 179,057      $ 128,522      $ 191,039  

SHARES CREATED AND REDEEMED:

              

Shares outstanding, beginning of period

     100,000         4         4         1,150,000         4   

Shares created

     350,000         150,000         1,200,000                 1,350,000   

Shares redeemed

     (100,000 )      (50,004      (200,000 )      (50,000 )      (200,004 )

Shares outstanding, end of period

     350,000        100,000         1,000,004        1,100,000        1,150,000  
* Commencement of operations.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      157   


Table of Contents

Statements of Changes in Net Assets (continued)

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

 

 

  

 

 

      WisdomTree
Japan Hedged SmallCap Equity Fund
     WisdomTree
Japan Hedged Tech,
Media and Telecom Fund
     WisdomTree
Japan Quality
Dividend Growth Fund
 
      For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
     For the Period
May 28, 2015*
through
September 30, 2015
(unaudited)
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

           

Net investment income

   $ 1,265,393       $ 1,337,825       $ 22,351       $ 38,008       $ 18,037   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     3,008,227         14,309,386         (643      585,963         (10,026

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (11,639,520 )      4,954,193        (583,680 )      346,959        (344,852 )

Net increase (decrease) in net assets resulting from operations

     (7,365,900 )      20,601,404        (561,972 )      970,930        (336,841 )

DIVIDENDS AND DISTRIBUTIONS:

              

Net investment income

     (722,008      (1,189,252      (73,001      (7,800      (1,800

Capital gains

             (6,902,460 )              (314,270 )        

Total dividends and distributions

     (722,008 )      (8,091,712 )      (73,001 )      (322,070 )      (1,800 )

CAPITAL SHARE TRANSACTIONS:

              

Net proceeds from sale of shares

     117,861,174         51,771,606                 5,131,256         2,481,545   

Cost of shares redeemed

     (30,867,829 )      (22,132,969 )              (1,348,470 )        

Net increase in net assets resulting from capital share transactions

     86,993,345        29,638,637                3,782,786        2,481,545  

Net Increase (Decrease) in Net Assets

     78,905,437        42,148,329        (634,973 )      4,431,646        2,142,904  

NET ASSETS:

              

Beginning of period

   $ 117,762,092       $ 75,613,763       $ 4,431,746       $ 100       $ 100   

End of period

   $ 196,667,529      $ 117,762,092      $ 3,796,773      $ 4,431,746      $ 2,143,004  

Undistributed net investment income included in net assets at end of period

   $ 1,387,166      $ 843,781      $ 24,917      $ 75,567      $ 16,237  

SHARES CREATED AND REDEEMED:

              

Shares outstanding, beginning of period

     3,500,000         2,600,000         150,000         4         4   

Shares created

     3,400,000         1,600,000                 200,000         100,000   

Shares redeemed

     (900,000 )      (700,000 )              (50,004 )        

Shares outstanding, end of period

     6,000,000        3,500,000        150,000        150,000        100,004  
* Commencement of operations.

 

See Notes to Financial Statements.

 

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


Table of Contents

Statements of Changes in Net Assets (concluded)

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

 

 

  

 

 

     WisdomTree
Japan SmallCap Dividend Fund
    WisdomTree
Korea Hedged Equity Fund
    WisdomTree
United Kingdom Hedged Equity Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

       

Net investment income (loss)

  $ 1,697,455      $ 4,037,659      $ (43,478   $ 71,374      $ 783,655      $ 825,310   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

    8,953,254        5,093,710        267,883        (277,371     (859,241     2,035,518   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (16,911,068 )     14,593,693       (3,164,260 )     (164,333 )     (3,557,642 )     (1,860,531 )

Net increase (decrease) in net assets resulting from operations

    (6,260,359 )     23,725,062       (2,939,855 )     (370,330 )     (3,633,228 )     1,000,297  

DIVIDENDS:

           

Net investment income

    (1,990,018 )     (4,434,720 )            (84,857 )     (619,010 )     (756,787 )

CAPITAL SHARE TRANSACTIONS:

  

         

Net proceeds from sale of shares

    31,147,420        23,851,555        13,197,915        11,774,183        11,464,154        17,699,217   

Cost of shares redeemed

    (24,188,337 )     (40,597,337 )     (7,125,007 )                   (6,125,906 )

Net increase (decrease) in net assets resulting from capital share transactions

    6,959,083       (16,745,782 )     6,072,908       11,774,183       11,464,154       11,573,311  

Net Increase (Decrease) in Net Assets

    (1,291,294 )     2,544,560       3,133,053       11,318,996       7,211,916       11,816,821  

NET ASSETS:

           

Beginning of period

  $ 286,650,580      $ 284,106,020      $ 19,470,115      $ 8,151,119      $ 28,407,140      $ 16,590,319   

End of period

  $ 285,359,286     $ 286,650,580     $ 22,603,168     $ 19,470,115     $ 35,619,056     $ 28,407,140  

Accumulated net investment loss included in net assets at end of period

  $  —      $  —      $ (40,396 )   $  —      $      $  —   

Undistributed net investment income included in net assets at end of period

  $ 1,837,780     $ 2,130,343     $      $ 3,082     $ 283,733     $ 119,088  

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    5,300,000        5,650,000        900,000        350,000        1,100,000        650,000   

Shares created

    550,000        450,000        600,000        550,000        450,000        700,000   

Shares redeemed

    (450,000 )     (800,000 )     (350,000 )                   (250,000 )

Shares outstanding, end of period

    5,400,000       5,300,000       1,150,000       900,000       1,550,000       1,100,000  

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      159   


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, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 20121
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 54.04     $ 61.26     $ 64.33     $ 55.87     $ 61.64     $ 57.24  

Investment operations:

           

Net investment income2

    0.87        2.37        2.32        2.60        2.87        2.99   

Net realized and unrealized gain (loss)

    (11.96     (7.40     (2.81     8.44        (5.48 )     4.62  

Total from investment operations

    (11.09 )     (5.03 )     (0.49 )     11.04       (2.61 )     7.61  

Dividends to shareholders:

           

Net investment income

    (1.02     (2.19     (2.58     (2.58     (3.16 )     (3.21 )

Net asset value, end of period

  $ 41.93     $ 54.04     $ 61.26     $ 64.33     $ 55.87     $ 61.64  

TOTAL RETURN3

    (20.69 )%      (8.30 )%      (0.59 )%      20.49     (3.86 )%      14.03

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 29,352      $ 48,638      $ 55,138      $ 77,193      $ 61,456      $ 80,137   

Ratios to average net assets of:

           

Expenses

    0.58 %4      0.59 %5      0.58 %4      0.58 %4      0.58 %6,7      0.58 %6,7 

Net investment income

    3.39 %4      4.09     3.86 %4      4.71 %4      5.18 %6      5.42 %6 

Portfolio turnover rate8

    33     26     27     31     68     46

 

             
WisdomTree Europe Hedged Equity Fund   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 20139
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 66.16     $ 56.40     $ 49.86     $ 43.93     $ 47.61     $ 47.72  

Investment operations:

           

Net investment income2

    0.94        1.14        1.31        0.89        1.73        1.43   

Net realized and unrealized gain (loss)

    (11.43     11.83        6.35        5.96        (3.84 )     (0.02 )

Total from investment operations

    (10.49 )     12.97       7.66       6.85       (2.11 )     1.41  

Dividends and distributions to shareholders:

           

Net investment income

    (1.01     (1.19     (1.12     (0.92     (1.57     (1.52

Capital gains

           (2.02                          

Total dividends and distributions to shareholders

    (1.01     (3.21     (1.12     (0.92     (1.57     (1.52 )

Net asset value, end of period

  $ 54.66     $ 66.16     $ 56.40     $ 49.86     $ 43.93     $ 47.61  

TOTAL RETURN3

    (16.07 )%      24.02     15.73     16.06     (4.41 )%      3.27

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 18,288,501      $ 17,544,485      $ 1,060,319      $ 164,527      $ 21,963      $ 21,425   

Ratios to average net assets of:

           

Expenses, net of expense waivers

    0.58 %4      0.59 %5      0.58 %4      0.58 %4,6      0.58 %6      0.58 %6 

Expenses, prior to expense waivers

    0.58 %4      0.59 %5      0.58 %4      0.73 %4,6      1.25 %6      1.65 %6 

Net investment income

    2.99 %4      1.91     2.43 %4      2.01 %4,6      3.99 %6      3.11 %6 

Portfolio turnover rate8

    20     12     28     43     42 %       38
1 

The information reflects the investment objective and strategy of the WisdomTree Pacific ex-Japan Equity Income Fund through June 19, 2011 and the investment objective and strategy of the WisdomTree Australia Dividend Fund thereafter.

 

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, 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 0.58%.

 

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 

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, as well.

 

9 

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.

 

See Notes to Financial Statements.

 

160   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 Hedged SmallCap Equity Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
March 4, 2015*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 25.94      $ 24.87  

Investment operations:

     

Net investment income1

     0.55         0.13   

Net realized and unrealized gain (loss)

     (2.55      0.94  

Total from investment operations

     (2.00 )      1.07  

Dividends to shareholders:

     

Net investment income

     (0.54       

Net asset value, end of period

   $ 23.40      $ 25.94  

TOTAL RETURN2

     (7.88 )%       4.30 % 

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 216,405       $ 125,829   

Ratios to average net assets of:

     

Expenses

     0.58 %3       0.58 %3 

Net investment income

     4.28 %3       6.87 %3 

Portfolio turnover rate4

     32      1 % 

 

     
WisdomTree Europe Quality Dividend Growth Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
May 7, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 23.18      $ 25.10  

Investment operations:

     

Net investment income1

     0.30         0.37   

Net realized and unrealized loss

     (1.84      (1.96 )

Total from investment operations

     (1.54 )      (1.59 )

Dividends to shareholders:

     

Net investment income

     (0.31      (0.33 )

Net asset value, end of period

   $ 21.33      $ 23.18  

TOTAL RETURN2

     (6.79 )%       (6.35 )% 

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 17,066       $ 11,591   

Ratios to average net assets of:

     

Expenses

     0.58 %3,5       0.58 %3 

Net investment income

     2.58 %3       1.75 %3 

Portfolio turnover rate4

     55      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, as well.

 

5 

Included in the expense ratio are non-recurring miscellaneous expenses (which are not annualized). Without these expenses, the annualized expense ratio would have been unchanged.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      161   


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, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 55.63     $ 62.23     $ 41.98     $ 38.22     $ 44.44     $ 37.62  

Investment operations:

           

Net investment income1

    1.11        1.94        0.73        1.32        1.44        1.09   

Net realized and unrealized gain (loss)

    (1.66     (7.03     20.90        3.82        (5.74 )     6.85  

Total from investment operations

    (0.55 )     (5.09 )     21.63       5.14       (4.30 )     7.94  

Dividends to shareholders:

           

Net investment income

    (1.33     (1.51     (1.38     (1.38     (1.92 )     (1.12 )

Net asset value, end of period

  $ 53.75     $ 55.63     $ 62.23     $ 41.98     $ 38.22     $ 44.44  

TOTAL RETURN2

    (1.18 )%      (8.26 )%      53.06     14.33     (9.80 )%      21.86

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 962,093      $ 853,874      $ 1,446,871      $ 60,874      $ 28,668      $ 28,889   

Ratios to average net assets3 of:

           

Expenses, net of expense waivers

    0.58 %4,5      0.59 %6      0.58 %4      0.58 %4      0.58     0.58

Expenses, prior to expense waivers

    0.59 %4,5      0.59 %6      0.58 %4      0.58 %4      0.58     0.58

Net investment income

    3.83 %4      3.40     1.29 %4      3.52 %4      3.79 %     2.81 %

Portfolio turnover rate7

    44     42     24     48     58     60

 

       
WisdomTree Germany Hedged Equity Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the Period
October 17, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 31.38      $ 26.98      $ 25.01  

Investment operations:

        

Net investment income (loss)1

     0.54         0.16         (0.00 )8 

Net realized and unrealized gain (loss)

     (6.16      5.90         1.97  

Total from investment operations

     (5.62 )      6.06        1.97  

Dividends and distributions to shareholders:

        

Net investment income

     (0.51      (0.41        

Capital gains

             (1.25       

Total dividends and distributions to shareholders

     (0.51 )      (1.66 )        

Net asset value, end of period

   $ 25.25      $ 31.38      $ 26.98  

TOTAL RETURN2

     (18.15 )%       23.70      7.88

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 318,206       $ 291,816       $ 9,443   

Ratios to average net assets of:

        

Expenses

     0.48 %4       0.49 %9       0.48 %4 

Net investment income (loss)

     3.71 %4       0.55      (0.00 )%4,10 

Portfolio turnover rate7

     18      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 miscellaneous expenses (which are not annualized). Without these expenses, the annualized expense ratio (net of expense waivers) would have been 0.58% and the annualized 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 (net of expense waivers) would have been 0.58% and the expense ratio (prior to expense waivers) 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, as well.

 

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.

 

162   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, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 43.79     $ 49.23     $ 42.13     $ 41.64     $ 46.85     $ 42.69  

Investment operations:

           

Net investment income1

    1.10        2.00        2.06        1.82        1.74        1.83   

Net realized and unrealized gain (loss)

    (5.60     (5.53     7.11        0.45        (5.11 )     4.21  

Total from investment operations

    (4.50 )     (3.53 )     9.17       2.27       (3.37 )     6.04  

Dividends to shareholders:

           

Net investment income

    (1.14     (1.91     (2.07     (1.78     (1.84 )     (1.88 )

Net asset value, end of period

  $ 38.15     $ 43.79     $ 49.23     $ 42.13     $ 41.64     $ 46.85  

TOTAL RETURN2

    (10.57 )%      (7.41 )%      22.58     5.98     (7.24 )%      14.93

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 286,137      $ 324,083      $ 349,545      $ 349,681      $ 355,992      $ 149,929   

Ratios to average net assets3 of:

           

Expenses4

    0.58 %5,6      0.59 %7      0.58 %5      0.58 %5      0.58     0.58

Net investment income

    5.07 %5      4.23     4.54 %5      4.58 %5      4.20 %     4.30 %

Portfolio turnover rate8

    34     44     36     50     28     52

 

             
WisdomTree International Equity Fund   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 51.67     $ 54.47     $ 47.77     $ 44.53     $ 49.51     $ 46.13  

Investment operations:

           

Net investment income1

    1.09        1.92        2.27        1.63        1.90        1.58   

Net realized and unrealized gain (loss)

    (6.22     (2.86     6.72        3.22        (4.99 )     3.39  

Total from investment operations

    (5.13 )     (0.94 )     8.99       4.85       (3.09 )     4.97  

Dividends to shareholders:

           

Net investment income

    (1.14     (1.86     (2.29     (1.61     (1.89 )     (1.59 )

Net asset value, end of period

  $ 45.40     $ 51.67     $ 54.47     $ 47.77     $ 44.53     $ 49.51  

TOTAL RETURN2

    (10.18 )%      (1.83 )%      19.43     11.42     (6.18 )%      11.33

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 635,616      $ 645,832      $ 569,188      $ 458,607      $ 385,202      $ 457,997   

Ratios to average net assets3 of:

           

Expenses4

    0.48 %5,6      0.49 %7      0.48 %5      0.48 %5      0.48     0.48

Net investment income

    4.27 %5      3.63     4.41 %5      3.75 %5      4.22 %     3.50 %

Portfolio turnover rate8

    10     19     21     20     27     30
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 miscellaneous expenses (which are not annualized). Without these expenses, the annualized expense ratio would have been 0.58%.

 

7 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58% and 0.48%, for WisdomTree International Dividend ex-Financials Fund and WisdomTree International Equity Fund, respectively.

 

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, as well.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      163   


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 Equity Fund    For the Period
July 9, 2015*
through
September 30, 2015
(unaudited)
 

Net asset value, beginning of period

   $ 25.02  

Investment operations:

  

Net investment income1

     0.16   

Net realized and unrealized loss

     (2.09 )

Total from investment operations

     (1.93 )

Net asset value, end of period

   $ 23.09  

TOTAL RETURN2

     (7.71 )% 

RATIOS/SUPPLEMENTAL DATA:

  

Net assets, end of period (000’s omitted)

   $ 2,309   

Ratios to average net assets of:

  

Expenses

     0.35 %3,4 

Net investment income

     2.88 %3 

Portfolio turnover rate5

     1

 

     
WisdomTree International Hedged Quality Dividend Growth Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
May 7, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 26.99      $ 24.90  

Investment operations:

     

Net investment income1

     0.44         0.90   

Net realized and unrealized gain (loss)

     (2.18      2.18  

Total from investment operations

     (1.74 )      3.08  

Dividends and distributions to shareholders:

     

Net investment income

     (0.42      (0.23

Capital gains

             (0.76 )

Total dividends and distributions to shareholders

     (0.42 )      (0.99 )

Net asset value, end of period

   $ 24.83      $ 26.99  

TOTAL RETURN2

     (6.54 )%       12.78

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 480,555       $ 206,452   

Ratios to average net assets of:

     

Expenses

     0.58 %3,4       0.58 %3 

Net investment income

     3.33 %3       3.89 %3 

Portfolio turnover rate5

     50      14
* 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 miscellaneous expenses (which are not annualized). Without these expenses, the annualized 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, as well.

 

See Notes to Financial Statements.

 

164   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 Hedged SmallCap Dividend Fund    For the Period
June 4, 2015*
through
September 30, 2015
(unaudited)
 

Net asset value, beginning of period

   $ 24.72   

Investment operations:

  

Net investment income1

     0.46   

Net realized and unrealized loss

     (2.80

Total from investment operations

     (2.34

Dividends to shareholders:

  

Net investment income

     (0.37

Net asset value, end of period

   $ 22.01   

TOTAL RETURN2

     (9.55 )% 

RATIOS/SUPPLEMENTAL DATA:

  

Net assets, end of period (000’s omitted)

   $ 3,301   

Ratios to average net assets of:

  

Expenses, net of expense waivers

     0.00 %3,4 

Expenses, prior to expense waivers

     0.58 %3 

Net investment income

     6.08 %3 

Portfolio turnover rate5

     2

 

             
WisdomTree International High
Dividend Fund
  For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 43.28     $ 47.62     $ 41.39     $ 38.64     $ 43.82     $ 41.85  

Investment operations:

           

Net investment income1

    1.08        1.94        2.57        1.74        1.90        1.75   

Net realized and unrealized gain (loss)

    (5.78     (4.41     6.14        2.70        (5.17 )     2.01  

Total from investment operations

    (4.70 )     (2.47 )     8.71       4.44       (3.27 )     3.76  

Dividends to shareholders:

           

Net investment income

    (1.14     (1.87     (2.48     (1.69     (1.91 )     (1.79 )

Net asset value, end of period

  $ 37.44     $ 43.28     $ 47.62     $ 41.39     $ 38.64     $ 43.82  

TOTAL RETURN2

    (11.15 )%      (5.41 )%      21.82     12.08     (7.45 )%      9.74

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 286,386      $ 337,620      $ 304,753      $ 209,010      $ 175,809      $ 131,454   

Ratios to average net assets6 of:

           

Expenses7

    0.58 %3,8      0.59 %9      0.58 %3      0.58 %3      0.58     0.58

Net investment income

    5.07 %3      4.24     5.71 %3      4.58 %3      4.84 %     4.39 %

Portfolio turnover rate5

    17     20     26     31     32     34
* 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 

Amount represents less than 0.005%.

 

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, as well.

 

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 non-recurring miscellaneous expenses (which are not annualized). Without these expenses, the annualized 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.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      165   


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, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 48.67     $ 51.68     $ 45.77     $ 42.89     $ 47.68     $ 45.34  

Investment operations:

           

Net investment income1

    1.03        1.88        2.35        1.59        1.86        1.56   

Net realized and unrealized gain (loss)

    (6.34     (3.09     5.79        2.84        (4.75 )     2.37  

Total from investment operations

    (5.31 )     (1.21 )     8.14       4.43       (2.89 )     3.93  

Dividends to shareholders:

           

Net investment income

    (1.04     (1.80     (2.23     (1.55     (1.90 )     (1.59 )

Net asset value, end of period

  $ 42.32     $ 48.67     $ 51.68     $ 45.77     $ 42.89     $ 47.68  

TOTAL RETURN2

    (11.16 )%      (2.47 )%      18.35     10.80     (6.02 )%      9.21

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 366,075      $ 355,273      $ 315,276      $ 210,541      $ 167,253      $ 164,489   

Ratios to average net assets3 of:

           

Expenses4

    0.48 %5,6      0.49 %7      0.48 %5      0.48 %5      0.48     0.48

Net investment income

    4.28 %5      3.72     4.77 %5      3.77 %5      4.34 %     3.56 %

Portfolio turnover rate8

    17     12     15     19     23     22

 

             
WisdomTree International MidCap
Dividend Fund
  For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 58.65     $ 60.03     $ 51.77     $ 48.10     $ 53.80     $ 48.69  

Investment operations:

           

Net investment income1

    1.12        1.81        1.83        1.51        1.79        1.53   

Net realized and unrealized gain (loss)

    (5.54     (1.45     8.31        3.68        (5.69 )     5.19  

Total from investment operations

    (4.42 )     0.36       10.14       5.19       (3.90 )     6.72  

Dividends to shareholders:

           

Net investment income

    (1.17     (1.74     (1.88     (1.52     (1.80 )     (1.61 )

Net asset value, end of period

  $ 53.06     $ 58.65     $ 60.03     $ 51.77     $ 48.10     $ 53.80  

TOTAL RETURN2

    (7.72 )%      0.57     20.22     11.32     (7.21 )%      14.38

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 145,927      $ 155,414      $ 141,082      $ 119,069      $ 105,823      $ 156,006   

Ratios to average net assets3 of:

           

Expenses4

    0.58 %5,6      0.59 %7      0.58 %5      0.58 %5      0.58     0.58

Net investment income

    3.81 %5      3.09     3.27 %5      3.23 %5      3.69 %     3.14 %

Portfolio turnover rate8

    20     29     22     38     47     40
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 miscellaneous expenses (which are not annualized). Without these expenses, the annualized 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% and 0.58%, for WisdomTree International LargeCap Dividend Fund and WisdomTree International MidCap Dividend Fund, respectively.

 

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, as well.

 

See Notes to Financial Statements.

 

166   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 SmallCap
Dividend Fund
  For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 59.21     $ 64.84     $ 55.38     $ 49.33     $ 53.15     $ 46.98  

Investment operations:

           

Net investment income1

    1.04        1.91        1.91        1.82        1.77        1.43   

Net realized and unrealized gain (loss)

    (4.00     (5.67     9.97        6.09        (3.66 )     6.14  

Total from investment operations

    (2.96 )     (3.76 )     11.88       7.91       (1.89 )     7.57  

Dividends to shareholders:

           

Net investment income

    (1.14     (1.87     (2.42     (1.86     (1.93 )     (1.40 )

Net asset value, end of period

  $ 55.11     $ 59.21     $ 64.84     $ 55.38     $ 49.33     $ 53.15  

TOTAL RETURN2

    (5.15 )%     (5.87 )%     22.26     16.78 %     (3.41 )%       16.64 %  

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 1,011,312      $ 917,778      $ 923,997      $ 562,133      $ 424,264      $ 475,703   

Ratios to average net assets3 of:

           

Expenses4

    0.58 %5,6      0.59 %7      0.58 %5      0.58 %5      0.58     0.58

Net investment income

    3.48 %5      3.16     3.20 %5      3.76 %5      3.65 %     2.99 %

Portfolio turnover rate8

    44 %     25 %     42 %     56 %     52 %       55 %  

 

     
WisdomTree Japan Hedged Capital Goods Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 27.77      $ 24.11  

Investment operations:

     

Net investment income1

     0.19         0.38   

Net realized and unrealized gain (loss)

     (4.87      6.51  

Total from investment operations

     (4.68 )      6.89  

Dividends and distributions to shareholders:

     

Net investment income

     (0.20      (0.34

Capital gains

             (2.89 )

Total dividends and distributions to shareholders

     (0.20 )      (3.23 )

Net asset value, end of period

   $ 22.89      $ 27.77  

TOTAL RETURN2

     (17.02 )%      29.47 % 

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 2,289       $ 2,777   

Ratios to average net assets of:

     

Expenses, net of expense waivers

     0.45 %5       0.44 %5 

Expenses, prior to expense waivers

     0.48 %5       0.49 %5 

Net investment income

     1.39 %5       1.47 %5 

Portfolio turnover rate8

     7 %      35 % 
* 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 non-recurring miscellaneous expenses (which are not annualized). Without these expenses, the annualized 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, as well.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      167   


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
Equity Fund
  For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 55.03     $ 47.50     $ 42.95     $ 36.66     $ 36.94     $ 42.12  

Investment operations:

           

Net investment income1

    0.43        0.91        0.88        1.54        0.81        1.79   

Net realized and unrealized gain (loss)

    (6.93     12.34        4.91        5.30        (0.34 )     (6.52 )

Total from investment operations

    (6.50 )     13.25       5.79       6.84       0.47       (4.73 )

Dividends and distributions to shareholders:

           

Net investment income

    (0.36     (0.94     (0.62     (0.55     (0.75     (0.45

Capital gains

           (4.78     (0.62                   

Total dividends and distributions to shareholders

    (0.36 )     (5.72 )     (1.24 )     (0.55 )     (0.75 )       (0.45 )

Net asset value, end of period

  $ 48.17     $ 55.03     $ 47.50     $ 42.95     $ 36.66     $ 36.94  

TOTAL RETURN2

    (11.92 )%     29.30 %     13.48 %     19.12 %     1.46 %       (11.25 )% 

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 14,890,273      $ 15,806,850      $ 11,441,824      $ 5,632,633      $ 606,707      $ 494,981   

Ratios to average net assets of:

           

Expenses

    0.48 %3      0.49 %4      0.48 %3      0.48 %3      0.48     0.48 %5,6 

Net investment income

    1.55 %3      1.81     1.84 %3      4.22 %3      2.41 %     5.40 %5 

Portfolio turnover rate7

    15 %     31 %     24 %     36 %     41 %       28 %  

 

     
WisdomTree Japan Hedged Financials Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 26.29      $ 23.83  

Investment operations:

     

Net investment income1

     0.23         0.45   

Net realized and unrealized gain (loss)

     (0.84      5.44  

Total from investment operations

     (0.61 )      5.89  

Dividends and distributions to shareholders:

     

Net investment income

     (0.05      (0.22

Capital gains

             (3.21 )

Total dividends and distributions to shareholders

     (0.05 )      (3.43 )

Net asset value, end of period

   $ 25.63      $ 26.29  

TOTAL RETURN2

     (2.35 )%        25.94 % 

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 24,346       $ 7,887   

Ratios to average net assets of:

     

Expenses, net of expense waivers

     0.46 %3       0.43 %3 

Expenses, prior to expense waivers

     0.48 %3       0.49 %3 

Net investment income

     1.58 %3       1.80 %3 

Portfolio turnover rate7

     11 %      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 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.48%.

 

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 

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, as well.

 

See Notes to Financial Statements.

 

168   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 Health Care Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 31.01      $ 24.20  

Investment operations:

     

Net investment income1

     0.27         0.32   

Net realized and unrealized gain (loss)

     (1.51      10.50  

Total from investment operations

     (1.24 )      10.82  

Dividends and distributions to shareholders:

     

Net investment income

     (0.08      (0.13

Capital gains

             (3.88 )

Total dividends and distributions to shareholders

     (0.08 )      (4.01 )

Net asset value, end of period

   $ 29.69      $ 31.01  

TOTAL RETURN2

     (4.02 )%      48.27 % 

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 10,393       $ 3,101   

Ratios to average net assets of:

     

Expenses, net of expense waivers

     0.46 %3       0.44 %3 

Expenses, prior to expense waivers

     0.48 %3       0.49 %3 

Net investment income

     1.71 %3       1.24 %3 

Portfolio turnover rate4

     29 %        29 % 

 

   
WisdomTree Japan Hedged Quality Dividend Growth Fund    For the Period
April 9, 2015*
through
September 30, 2015
(unaudited)
 

Net asset value, beginning of period

   $ 25.59  

Investment operations:

  

Net investment income1

     0.30   

Net realized and unrealized loss

     (3.61 )

Total from investment operations

     (3.31 )

Dividends to shareholders:

  

Net investment income

     (0.00 )5 

Net asset value, end of period

   $ 22.28  

TOTAL RETURN2

     (12.92 )% 

RATIOS/SUPPLEMENTAL DATA:

  

Net assets, end of period (000’s omitted)

   $ 22,285   

Ratios to average net assets of:

  

Expenses, net of expense waivers

     0.43 %3 

Expenses, prior to expense waivers

     0.48 %3 

Net investment income

     2.49 %3 

Portfolio turnover rate4

     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, 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, as well.

 

5 

Amount represents less than $0.005.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      169   


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 Real Estate Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 27.81      $ 24.32  

Investment operations:

     

Net investment income1

     0.18         0.42   

Net realized and unrealized gain (loss)

     (1.33      4.98  

Total from investment operations

     (1.15 )      5.40  

Dividends and distributions to shareholders:

     

Net investment income

     (0.23      (0.21

Capital gains

             (1.70 )

Total dividends and distributions to shareholders

     (0.23 )      (1.91 )

Net asset value, end of period

   $ 26.43      $ 27.81  

TOTAL RETURN2

     (4.17 )%       22.59 %  

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 29,072       $ 31,979   

Ratios to average net assets of:

     

Expenses, net of expense waivers

     0.45 %3       0.43 %3 

Expenses, prior to expense waivers

     0.48 %3       0.48 %3 

Net investment income

     1.26 %3       1.59 %3 

Portfolio turnover rate4

     10      20 %  

 

       
WisdomTree Japan Hedged SmallCap Equity Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the Period
June 28, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 33.65      $ 29.08      $ 26.17  

Investment operations:

        

Net investment income1

     0.23         0.47         0.59   

Net realized and unrealized gain (loss)

     (0.97      6.74         2.38  

Total from investment operations

     (0.74 )      7.21        2.97  

Dividends and distributions to shareholders:

        

Net investment income

     (0.13      (0.41      (0.06

Capital gains

             (2.23       

Total dividends and distributions to shareholders

     (0.13      (2.64      (0.06 )

Net asset value, end of period

   $ 32.78      $ 33.65      $ 29.08  

TOTAL RETURN2

     (2.24 )%       25.86      11.37 %  

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 196,668       $ 117,762       $ 75,614   

Ratios to average net assets of:

        

Expenses

     0.58 %3       0.59 %5       0.58 %3 

Net investment income

     1.34 %3       1.52      2.75 %3 

Portfolio turnover rate4

     36      41      19 %  
* 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 Real Estate Fund, 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, as well.

 

5 

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.

 

170   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 Tech, Media and Telecom Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
April 8, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 29.54      $ 24.02  

Investment operations:

     

Net investment income1

     0.15         0.31   

Net realized and unrealized gain (loss)

     (3.89      7.36  

Total from investment operations

     (3.74 )      7.67  

Dividends and distributions to shareholders:

     

Net investment income

     (0.49      (0.05

Capital gains

             (2.10 )

Total dividends and distributions to shareholders

     (0.49 )      (2.15 )

Net asset value, end of period

   $ 25.31      $ 29.54  

TOTAL RETURN2

     (12.96 )%       32.83

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 3,797       $ 4,432   

Ratios to average net assets of:

     

Expenses, net of expense waivers

     0.45 %3       0.44 %3 

Expenses, prior to expense waivers

     0.48 %3       0.49 %3 

Net investment income

     1.00 %3       1.18 %3 

Portfolio turnover rate4

     13      28 %  

 

   
WisdomTree Japan Quality Dividend Growth Fund    For the Period
May 28, 2015*
through
September 30, 2015
(unaudited)
 

Net asset value, beginning of period

   $ 24.67  

Investment operations:

  

Net investment income1

     0.18   

Net realized and unrealized loss

     (3.40 )

Total from investment operations

     (3.22 )

Dividends to shareholders:

  

Net investment income

     (0.02 )

Net asset value, end of period

   $ 21.43  

TOTAL RETURN2

     (13.06 )% 

RATIOS/SUPPLEMENTAL DATA:

  

Net assets, end of period (000’s omitted)

   $ 2,143   

Ratios to average net assets of:

  

Expenses, net of expense waivers

     0.43 %3 

Expenses, prior to expense waivers

     0.48 %3 

Net investment income

     2.18 %3 

Portfolio turnover rate4

     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, 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, as well.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      171   


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 SmallCap
Dividend Fund
  For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 54.09     $ 50.28     $ 48.84     $ 45.45     $ 43.25     $ 41.54  

Investment operations:

           

Net investment income1

    0.30        0.71        0.72        0.78        0.68        0.99   

Net realized and unrealized gain (loss)

    (1.20     3.89        1.84        3.58        2.42       1.47  

Total from investment operations

    (0.90 )     4.60       2.56       4.36       3.10       2.46  

Dividends to shareholders:

           

Net investment income

    (0.35     (0.79     (1.12     (0.97     (0.90 )     (0.75 )

Net asset value, end of period

  $ 52.84     $ 54.09     $ 50.28     $ 48.84     $ 45.45     $ 43.25  

TOTAL RETURN2

    (1.71 )%      9.26     5.41     9.97     7.36 %       6.02 %  

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 285,359      $ 286,651      $ 284,106      $ 192,914      $ 193,172      $ 235,685   

Ratios to average net assets3 of:

           

Expenses4

    0.58 %5      0.59 %6      0.58 %5      0.58 %5      0.58     0.58

Net investment income

    1.10 %5      1.40     1.44 %5      1.84 %5      1.58 %     2.51 %

Portfolio turnover rate7

    27     36     21     41     36 %       39 %  

 

       
WisdomTree Korea Hedged Equity Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the Period
November 7, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 21.63      $ 23.29      $ 25.01  

Investment operations:

        

Net investment income (loss)1

     (0.04      0.15         0.06   

Net realized and unrealized loss

     (1.94      (1.64      (1.55 )

Total from investment operations

     (1.98 )      (1.49 )      (1.49 )

Dividends to shareholders:

        

Net investment income

             (0.17      (0.23 )

Net asset value, end of period

   $ 19.65      $ 21.63      $ 23.29  

TOTAL RETURN2

     (9.15 )%       (6.41 )%       (5.97 )% 

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 22,603       $ 19,470       $ 8,151   

Ratios to average net assets of:

        

Expenses

     0.58 %5       0.59 %6       0.58 %5 

Net investment income (loss)

     (0.38 )%5       0.70      0.64 %5 

Portfolio turnover rate7

     38      84 %        37 %  
* 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 

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 0.58%.

 

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, as well.

 

See Notes to Financial Statements.

 

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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, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the Period
June 28, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 25.82      $ 25.52      $ 24.99  

Investment operations:

        

Net investment income1

     0.58         0.97         1.40   

Net realized and unrealized gain (loss)

     (2.97      0.23         0.91  

Total from investment operations

     (2.39 )      1.20        2.31  

Dividends to shareholders:

        

Net investment income

     (0.45      (0.90      (1.78 )

Net asset value, end of period

   $ 22.98      $ 25.82      $ 25.52  

TOTAL RETURN2

     (9.42 )%       4.71      9.36 %  

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 35,619       $ 28,407       $ 16,590   

Ratios to average net assets of:

        

Expenses

     0.49 %3,4       0.49 %5       0.48 %3 

Net investment income

     4.63 %3       3.75      6.98 %3 

Portfolio turnover rate6

     18      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 miscellaneous expenses (which are not annualized). Without these expenses, the annualized 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, as well.

 

See Notes to Financial Statements.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      173   


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, 2015, the Trust offered 79 investment funds (each a “Fund”, collectively, the “Funds”). In accordance with Accounting Standard Update (“ASU”) 2013-08, Financial Services-Investment Companies, each Fund 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”)

     December 31, 2009   

WisdomTree Europe Hedged SmallCap Equity Fund (“Europe Hedged SmallCap Equity Fund”)

     March 4, 2015   

WisdomTree Europe Quality Dividend Growth Fund (“Europe Quality Dividend Growth Fund”) (formerly, WisdomTree Europe 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”)

     October 17, 2013   

WisdomTree International Dividend ex-Financials Fund (“International Dividend ex-Financials Fund”)

     June 16, 2006   

WisdomTree International Equity Fund (“International Equity Fund”) (formerly, WisdomTree DEFA Fund)

     June 16, 2006   

WisdomTree International Hedged Equity Fund (“International Hedged Equity Fund”)

     July 9, 2015   

WisdomTree International Hedged Quality Dividend Growth Fund (“International Hedged Quality Dividend Growth Fund”) (formerly, WisdomTree International Hedged Dividend Growth Fund)

     May 7, 2014   

WisdomTree International Hedged SmallCap Dividend Fund (“International Hedged SmallCap Dividend Fund”)

     June 4, 2015   

WisdomTree International High Dividend Fund (“International High Dividend Fund”) (formerly, WisdomTree DEFA Equity Income 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 SmallCap Dividend Fund (“International SmallCap Dividend Fund”)

     June 16, 2006   

WisdomTree Japan Hedged Capital Goods Fund (“Japan Hedged Capital Goods Fund”)

     April 8, 2014   

WisdomTree Japan Hedged Equity Fund (“Japan Hedged Equity Fund”)

     June 16, 2006   

WisdomTree Japan Hedged Financials Fund (“Japan Hedged Financials Fund”)

     April 8, 2014   

WisdomTree Japan Hedged Health Care Fund (“Japan Hedged Health Care Fund”)

     April 8, 2014   

WisdomTree Japan Hedged Quality Dividend Growth Fund (“Japan Hedged Quality Dividend Growth Fund”) (formerly, WisdomTree Japan Hedged Dividend Growth Fund)

     April 9, 2015   

WisdomTree Japan Hedged Real Estate Fund (“Japan Hedged Real Estate Fund”)

     April 8, 2014   

WisdomTree Japan Hedged SmallCap Equity Fund (“Japan Hedged SmallCap Equity Fund”)

     June 28, 2013   

WisdomTree Japan Hedged Tech, Media and Telecom Fund (“Japan Hedged Tech, Media and Telecom Fund”)

     April 8, 2014   

WisdomTree Japan Quality Dividend Growth Fund (“Japan Quality Dividend Growth Fund”) (formerly, WisdomTree Japan Dividend Growth Fund)

     May 28, 2015   

WisdomTree Japan SmallCap Dividend Fund (“Japan SmallCap Dividend Fund”)

     June 16, 2006   

WisdomTree Korea Hedged Equity Fund (“Korea Hedged Equity Fund”)

     November 7, 2013   

WisdomTree United Kingdom Hedged Equity Fund (“United Kingdom 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 mark 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.

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.

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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 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. 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 affiliated ETFs which are valued at their last sale or official closing price on the exchange on which they are principally traded. Fixed income securities (including short-term debt securities with remaining maturities of 60 days or less) 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. Forward 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 Korea Hedged Equity Fund, which values forward foreign currency contracts daily using WM/Reuters closing spot and forward rates as of 2:00 p.m. Singapore 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 and derivatives will be fair valued in accordance with the Fund’s pricing policy. The Board of Trustees of the Trust has established a pricing committee (the “Pricing Committee”) which is comprised of senior representatives of WisdomTree Asset Management, Inc. (“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.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      175   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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 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, book values, 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, 2015 in valuing each Fund’s assets:

 

Australia Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Oil, Gas & Consumable Fuels

   $ 1,891,595       $ 267,733       $   

Other*

     27,045,331                   

Investment of Cash Collateral for Securities Loaned

             6,010,730           

Total

     28,936,926         6,278,463           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (22        

Total - Net

   $ 28,936,926       $ 6,278,441       $   

 

Europe Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 18,193,605,261       $       $   

Investment of Cash Collateral for Securities Loaned

             407,707,245           

Total

     18,193,605,261         407,707,245           

Unrealized Appreciation on Forward Foreign Currency Contracts

             111,666,397           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (14,511,480        

Total - Net

   $ 18,193,605,261       $ 504,862,162       $   

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

 

Europe Hedged SmallCap Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 216,076,819       $       $   

Investment of Cash Collateral for Securities Loaned

             18,479,208           

Total

     216,076,819         18,479,208           

Unrealized Appreciation on Forward Foreign Currency Contracts

             1,093,392           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (27,062        

Total - Net

   $ 216,076,819       $ 19,545,538       $   
        
Europe Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 17,027,062       $       $   

Investment of Cash Collateral for Securities Loaned

             146,743           

Total

     17,027,062         146,743           

Unrealized Appreciation on Forward Foreign Currency Contracts

             4           

Total - Net

   $ 17,027,062       $ 146,747       $   
        
Europe SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Spain

   $ 25,384,967       $       $ 0 ** 

United Kingdom

     268,085,814         35,231           

Other*

     661,816,284                   

Exchange-Traded Fund

     3,633,627                   

Investment of Cash Collateral for Securities Loaned

             104,407,896           

Total

     958,920,692         104,443,127         0   

Unrealized Appreciation on Forward Foreign Currency Contracts

             3,583           

Total - Net

   $ 958,920,692       $ 104,446,710       $ 0   
        
Germany Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 317,642,641       $       $   

Investment of Cash Collateral for Securities Loaned

             3,338,671           

Total

     317,642,641         3,338,671           

Unrealized Appreciation on Forward Foreign Currency Contracts

             1,441,943           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (15,112        

Total - Net

   $ 317,642,641       $ 4,765,502       $   
        
International Dividend ex-Financials Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 284,297,310       $       $   

Exchange-Traded Fund

     718,889                   

Investment of Cash Collateral for Securities Loaned

             26,443,371           

Total

     285,016,199         26,443,371           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (7        

Total - Net

   $ 285,016,199       $ 26,443,364       $   

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      177   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

International Equity Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Australia

   $ 49,080,040       $ 108,447       $   

Singapore

     12,589,053                 148,824 ** 

Other*

     570,737,028                   

Rights*

             0           

Investment of Cash Collateral for Securities Loaned

             43,869,140           

Total

     632,406,121         43,977,587         148,824   

Unrealized Appreciation on Forward Foreign Currency Contracts

             187           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (1,617        

Total - Net

   $ 632,406,121       $ 43,976,157       $ 148,824   
        
International Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Australia

   $ 173,878       $ 814       $   

New Zealand

     11,902         717           

Other*

     2,102,061                   

Rights*

             3           

Investment of Cash Collateral for Securities Loaned

             34,515           

Total

     2,287,841         36,049           

Unrealized Appreciation on Forward Foreign Currency Contracts

             16,485           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (5,269        

Total - Net

   $ 2,287,841       $ 47,265       $   
        
International Hedged Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 477,444,634       $       $   

Rights*

             0           

Investment of Cash Collateral for Securities Loaned

             15,177,877           

Total

     477,444,634         15,177,877           

Unrealized Appreciation on Forward Foreign Currency Contracts

             3,365,507           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (1,371,917        

Total - Net

   $ 477,444,634       $ 17,171,467       $   
        
International Hedged SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Exchange-Traded Fund

   $ 3,300,766       $       $   

Total

     3,300,766                   

Unrealized Appreciation on Forward Foreign Currency Contracts

             14,894           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (12,930        

Total - Net

   $ 3,300,766       $ 1,964       $   
        
International High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Australia

   $ 30,908,441       $ 159,025       $   

Other*

     253,978,426                   

Exchange-Traded Fund

     68,987                   

Investment of Cash Collateral for Securities Loaned

             17,297,275           

Total

     284,955,854         17,456,300           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (116        

Total - Net

   $ 284,955,854       $ 17,456,184       $   

 

178   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*

   $ 364,250,711       $       $   

Exchange-Traded Fund

     258,221                   

Investment of Cash Collateral for Securities Loaned

             16,731,295           

Total

     364,508,932         16,731,295           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (672        

Total - Net

   $ 364,508,932       $ 16,730,623       $   
        
International MidCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Australia

   $ 10,459,995       $ 260,935       $   

Other*

     134,525,017                   

Rights*

             996           

Exchange-Traded Funds

     627                   

Investment of Cash Collateral for Securities Loaned

             21,599,272           

Total

   $ 144,985,639       $ 21,861,203       $   
        
International SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Japan

   $ 266,154,743       $ 890,911       $   

New Zealand

     38,487,181         3,756,868           

Singapore

     34,315,176                 429,619 ** 

Spain

     7,381,593                 0 ** 

United Kingdom

     175,950,588         14,293           

Other*

     474,842,602                   

Exchange-Traded Funds

     3,162,552                   

Investment of Cash Collateral for Securities Loaned

             166,511,236           

Total

     1,000,294,435         171,173,308         429,619   

Unrealized Appreciation on Forward Foreign Currency Contracts

             114           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (141        

Total - Net

   $ 1,000,294,435       $ 171,173,281       $ 429,619   
        
Japan Hedged Capital Goods Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 2,298,132       $       $   

Investment of Cash Collateral for Securities Loaned

             55,905           

Total

     2,298,132         55,905           

Unrealized Appreciation on Forward Foreign Currency Contracts

             112           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (28,629        

Total - Net

   $ 2,298,132       $ 27,388       $   
        
Japan Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 14,952,147,723       $       $   

Investment of Cash Collateral for Securities Loaned

             1,133,300,658           

Total

     14,952,147,723         1,133,300,658           

Unrealized Appreciation on Forward Foreign Currency Contracts

             18,677,155           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (218,588,699        

Total - Net

   $ 14,952,147,723       $ 933,389,114       $   

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      179   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Japan Hedged Financials Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Banks

   $ 14,612,014       $ 188,395       $   

Other*

     9,623,314                   

Investment of Cash Collateral for Securities Loaned

             610,140           

Total

     24,235,328         798,535           

Unrealized Appreciation on Forward Foreign Currency Contracts

             12,749           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (349,567        

Total - Net

   $ 24,235,328       $ 461,717       $   
        
Japan Hedged Health Care Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 10,441,481       $       $   

Investment of Cash Collateral for Securities Loaned

             614,943           

Total

     10,441,481         614,943           

Unrealized Appreciation on Forward Foreign Currency Contracts

             27,737           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (168,310        

Total - Net

   $ 10,441,481       $ 474,370       $   
        
Japan Hedged Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 22,367,961       $       $   

Investment of Cash Collateral for Securities Loaned

             2,431,284           

Total

     22,367,961         2,431,284           

Unrealized Appreciation on Forward Foreign Currency Contracts

             1,117           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (275,676        

Total - Net

   $ 22,367,961       $ 2,156,725       $   
        
Japan Hedged Real Estate Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Real Estate Investment Trusts (REITs)

   $ 7,596,303       $ 482,573       $   

Other*

     21,157,461                   

Investment of Cash Collateral for Securities Loaned

             313,526           

Total

     28,753,764         796,099           

Unrealized Appreciation on Forward Foreign Currency Contracts

             1,669           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (342,910        

Total - Net

   $ 28,753,764       $ 454,858       $   
        
Japan Hedged SmallCap Equity Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Banks

   $ 14,912,249       $ 1,115,543       $   

Other*

     181,436,500                   

Investment of Cash Collateral for Securities Loaned

             59,188,899           

Total

     196,348,749         60,304,442           

Unrealized Appreciation on Forward Foreign Currency Contracts

             4,178           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (2,411,959        

Total - Net

   $ 196,348,749       $ 57,896,661       $   

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Japan Hedged Tech, Media and Telecom Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 3,814,224       $       $   

Investment of Cash Collateral for Securities Loaned

             184,218           

Total

     3,814,224         184,218           

Unrealized Appreciation on Forward Foreign Currency Contracts

             191           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (48,251        

Total - Net

   $ 3,814,224       $ 136,158       $   
        
Japan Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 2,126,284       $       $   

Investment of Cash Collateral for Securities Loaned

             6,938           

Total

   $ 2,126,284       $ 6,938       $   
        
Japan SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Banks

   $ 20,884,741       $ 1,143,376       $   

Other*

     261,109,146                   

Investment of Cash Collateral for Securities Loaned

             71,231,563           

Total

     281,993,887         72,374,939           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (204        

Total - Net

   $ 281,993,887       $ 72,374,735       $   
        
Korea Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 22,746,624       $       $   

Investment of Cash Collateral for Securities Loaned

             205,500           

Total

     22,746,624         205,500           

Unrealized Appreciation on Forward Foreign Currency Contracts

             43,299           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (12,996        

Total - Net

   $ 22,746,624       $ 235,803       $   
        
United Kingdom Hedged Equity Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 35,425,318       $       $   

Investment of Cash Collateral for Securities Loaned

             146,879           

Total

     35,425,318         146,879           

Unrealized Appreciation on Forward Foreign Currency Contracts

             547,929           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (4,627        

Total - Net

   $ 35,425,318       $ 690,181       $   
  * Please refer to Schedule of Investments for a breakdown of the valuation by industry type and country.

 

  ** Security is being fair valued by the Pricing Committee.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      181   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

The following is a summary of transfers between fair value measurement levels that occurred during six months ended September 30, 2015. 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
     Transfers from
Level 1 to Level 32
     Transfers from
Level 2 to Level 13
 

WisdomTree Australia Dividend Fund

   $ 352,463       $       $   

WisdomTree International Equity Fund

             187,760           

WisdomTree International High Dividend Fund

     327,190                   

WisdomTree International SmallCap Dividend Fund

     4,241,582                 972,986   

WisdomTree Japan Hedged Financials Fund

     68,049                   

WisdomTree Japan Hedged Real Estate Fund

     516,563                   

WisdomTree Japan Hedged SmallCap Equity Fund

     480,926                   

WisdomTree Japan SmallCap Dividend Fund

     1,035,401                   
  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, 2015.

 

  2

Transfers from Level 1 to Level 3 are as a result of the unavailability of a quoted price in an active market for identical investments as of September 30, 2015.

 

  3

Transfers from Level 2 to Level 1 are as a result of the availability of a quoted price in an active market for identical investments as of September 30, 2015.

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 forward foreign currency contracts during the six months or period ended September 30, 2015 which are detailed in the tables herein. All of the derivative instruments disclosed and described herein are subject to risk. Risks may arise upon entering into forward foreign currency contracts from the potential inability of a counterparty 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. The Funds’ derivative agreements 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, 2015 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 in pages 209 to 211. At September 30, 2015, 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.

As of September 30, 2015, 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  

Australia Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts    $      Unrealized depreciation on forward foreign currency contracts    $ 22   

Europe Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      111,666,397      Unrealized depreciation on forward foreign currency contracts      14,511,480   

Europe Hedged SmallCap Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      1,093,392      Unrealized depreciation on forward foreign currency contracts      27,062   

Europe Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      4       Unrealized depreciation on forward foreign currency contracts        

Europe SmallCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      3,583       Unrealized depreciation on forward foreign currency contracts        

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

      Asset Derivatives      Liability Derivatives  
Fund    Balance Sheet Location    Value      Balance Sheet Location    Value  

Germany Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts    $ 1,441,943       Unrealized depreciation on forward foreign currency contracts    $ 15,112   

International Dividend ex-Financials Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts            Unrealized depreciation on forward foreign currency contracts      7   

International Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      187      Unrealized depreciation on forward foreign currency contracts      1,617   

International Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      16,485       Unrealized depreciation on forward foreign currency contracts      5,269   

International Hedged Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      3,365,507       Unrealized depreciation on forward foreign currency contracts      1,371,917   

International Hedged SmallCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      14,894       Unrealized depreciation on forward foreign currency contracts      12,930   

International High Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts           Unrealized depreciation on forward foreign currency contracts      116   

International LargeCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts           Unrealized depreciation on forward foreign currency contracts      672   

International SmallCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      114      Unrealized depreciation on forward foreign currency contracts      141   

Japan Hedged Capital Goods Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      112      Unrealized depreciation on forward foreign currency contracts      28,629   

Japan Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      18,677,155      Unrealized depreciation on forward foreign currency contracts      218,588,699   

Japan Hedged Financials Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      12,749      Unrealized depreciation on forward foreign currency contracts      349,567   

Japan Hedged Health Care Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      27,737      Unrealized depreciation on forward foreign currency contracts      168,310   

Japan Hedged Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      1,117      Unrealized depreciation on forward foreign currency contracts      275,676   

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      183   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

      Asset Derivatives      Liability Derivatives  
Fund    Balance Sheet Location    Value      Balance Sheet Location    Value  

Japan Hedged Real Estate Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts    $ 1,669      Unrealized depreciation on forward foreign currency contracts    $ 342,910   

Japan Hedged SmallCap Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      4,178      Unrealized depreciation on forward foreign currency contracts      2,411,959   

Japan Hedged Tech, Media and Telecom Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      191      Unrealized depreciation on forward foreign currency contracts      48,251   

Japan SmallCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts           Unrealized depreciation on forward foreign currency contracts      204   

Korea Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      43,299      Unrealized depreciation on forward foreign currency contracts      12,996   

United Kingdom Hedged Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      547,929      Unrealized depreciation on forward foreign currency contracts      4,627   

For the six months or period ended September 30, 2015, the effect 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

   $ 1,433       $ (22

Europe Hedged Equity Fund

     

Foreign exchange contracts

     (330,335,730      (460,088,517

Europe Hedged SmallCap Equity Fund

     

Foreign exchange contracts

     (8,401,655      514,240   

Europe Quality Dividend Growth Fund

     

Foreign exchange contracts

     (3,076      2   

Europe SmallCap Dividend Fund

     

Foreign exchange contracts

     860,703         3,677   

Germany Hedged Equity Fund

     

Foreign exchange contracts

     (10,648,016      (2,132,343

International Dividend ex-Financials Fund

     

Foreign exchange contracts

     (80,211      118   

International Equity Fund

     

Foreign exchange contracts

     (45,354      (10,249

International Hedged Equity Fund3

     

Foreign exchange contracts

     (5,774      11,216   

International Hedged Quality Dividend Growth Fund

     

Foreign exchange contracts

     (1,810,546      (2,049,517

International Hedged SmallCap Dividend Fund4

     

Foreign exchange contracts

     24,533         1,964   

International High Dividend Fund

     

Foreign exchange contracts

     111,516         (4,892

International LargeCap Dividend Fund

     

Foreign exchange contracts

     (92,408      157   

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Amount of Realized
Gain or (Loss) on Derivatives
Recognized1
     Change in Unrealized
Appreciation or (Depreciation) on
Derivatives Recognized2
 

International MidCap Dividend Fund

     

Foreign exchange contracts

   $ 30,694       $ 33   

International SmallCap Dividend Fund

     

Foreign exchange contracts

     62,081         (8,086

Japan Hedged Capital Goods Fund

     

Foreign exchange contracts

     40,265         (35,228

Japan Hedged Equity Fund

     

Foreign exchange contracts

     188,304,451         (238,474,862

Japan Hedged Financials Fund

     

Foreign exchange contracts

     (290,395      (341,150

Japan Hedged Health Care Fund

     

Foreign exchange contracts

     (131,818      (141,716

Japan Hedged Quality Dividend Growth Fund5

     

Foreign exchange contracts

     (110,850      (274,559

Japan Hedged Real Estate Fund

     

Foreign exchange contracts

     458,922         (468,059

Japan Hedged SmallCap Equity Fund

     

Foreign exchange contracts

     1,804,272         (2,884,268

Japan Hedged Tech, Media and Telecom Fund

     

Foreign exchange contracts

     68,680         (62,873

Japan Quality Dividend Growth Fund6

     

Foreign exchange contracts

     70           

Japan SmallCap Dividend Fund

     

Foreign exchange contracts

     (352      108   

Korea Hedged Equity Fund

     

Foreign exchange contracts

     1,574,354         (87,655

United Kingdom Hedged Equity Fund

     

Foreign exchange contracts

     (176,082      (472,701

 

  1 

Realized gains (losses) on derivatives are located on the Statement of Operations as follows:

 

Foreign exchange contracts

   Net realized gain (loss) from forward foreign currency contracts and foreign
currency related transactions

 

  2 

Change in unrealized appreciation (depreciation) is located on the Statement of Operations as follows:

 

Foreign exchange contracts

   Net change in unrealized appreciation (depreciation) from forward foreign
currency contracts and translation of assets and liabilities denominated in
foreign currencies

 

  3 

For the period July 9, 2015 (commencement of operations) through September 30, 2015.

 

  4 

For the period June 4, 2015 (commencement of operations) through September 30, 2015.

 

  5 

For the period April 9, 2015 (commencement of operations) through September 30, 2015.

 

  6 

For the period May 28, 2015 (commencement of operations) through September 30, 2015.

During the six months or period ended September 30, 2015, the volume of derivative activity (based on the average of month-end balances) for the Funds was as follows:

 

      Average Notional  
Fund    Forward foreign
currency contracts
(to deliver)
     Forward foreign
currency contracts
(to receive)
 

Australia Dividend Fund

  

Foreign exchange contracts

   $       $ 7,957  

Europe Hedged Equity Fund

  

Foreign exchange contracts

     20,457,274,526         39,931,335,728  

Europe Hedged SmallCap Equity Fund

  

Foreign exchange contracts

     213,041,920         406,508,570  

Europe Quality Dividend Growth Fund

  

Foreign exchange contracts

     822         3,473  

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      185   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

      Average Notional  
Fund    Forward foreign
currency contracts
(to deliver)
     Forward foreign
currency contracts
(to receive)
 

Europe SmallCap Dividend Fund

  

Foreign exchange contracts

   $ 481,873       $ 465,968  

Germany Hedged Equity Fund

  

Foreign exchange contracts

     355,265,370         693,682,870  

International Dividend ex-Financials Fund

  

Foreign exchange contracts

             119,111  

International Equity Fund

  

Foreign exchange contracts

     114,362         490,897  

International Hedged Equity Fund1

  

Foreign exchange contracts

     2,438,628         4,786,356  

International Hedged Quality Dividend Growth Fund

  

Foreign exchange contracts

     393,653,748         771,907,540  

International Hedged SmallCap Dividend Fund2

  

Foreign exchange contracts

     2,599,743         5,126,098  

International High Dividend Fund

  

Foreign exchange contracts

     316,976         377,208  

International LargeCap Dividend Fund

  

Foreign exchange contracts

     125,246         206,956  

International MidCap Dividend Fund

  

Foreign exchange contracts

     24,636         65,432  

International SmallCap Dividend Fund

  

Foreign exchange contracts

     219,111         773,219  

Japan Hedged Capital Goods Fund

  

Foreign exchange contracts

     2,797,334         5,522,839  

Japan Hedged Equity Fund

  

Foreign exchange contracts

     17,734,270,261         34,642,262,783   

Japan Hedged Financials Fund

  

Foreign exchange contracts

     24,601,534         47,595,346  

Japan Hedged Health Care Fund

  

Foreign exchange contracts

     7,616,071         14,592,603  

Japan Hedged Quality Dividend Growth Fund3

  

Foreign exchange contracts

     18,037,911         34,508,458  

Japan Hedged Real Estate Fund

  

Foreign exchange contracts

     32,700,812         64,356,371  

Japan Hedged SmallCap Equity Fund

  

Foreign exchange contracts

     188,432,626         370,013,759  

Japan Hedged Tech, Media and Telecom Fund

  

Foreign exchange contracts

     4,466,870         8,852,641  

Japan Quality Dividend Growth Fund4

  

Foreign exchange contracts

             394  

Japan SmallCap Dividend Fund

  

Foreign exchange contracts

             109,223  

Korea Hedged Equity Fund

  

Foreign exchange contracts

     22,011,707         48,504,613  

United Kingdom Hedged Equity Fund

  

Foreign exchange contracts

     34,257,184         68,055,330  
  1 

For the period July 9, 2015 (commencement of operations) through September 30, 2015.

 

  2 

For the period June 4, 2015 (commencement of operations) through September 30, 2015.

 

  3 

For the period April 9, 2015 (commencement of operations) through September 30, 2015.

 

  4 

For the period May 28, 2015 (commencement of operations) through September 30, 2015.

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 is recognized on the ex-dividend date, net of any foreign taxes withheld. Interest income including amortization of premiums and discounts, is accrued daily.

 

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


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Notes to Financial Statements (unaudited) (continued)

 

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 change in unrealized appreciation (depreciation) from investment transactions, respectively, on the Statement of Operations. Net realized and unrealized foreign exchange gains or losses arising from sales of foreign currencies, including gains and losses of forward foreign currency contracts, currency gains or losses recognized between the trade and settlement dates on investment transactions, and the difference between the amounts of dividends 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 forward foreign currency contracts and foreign currency related transactions and/or net change in unrealized appreciation (depreciation) from forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies in the Statement 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 Europe Hedged SmallCap Equity Fund, Europe Quality Dividend Growth Fund, Germany Hedged Equity Fund, International Hedged Equity Fund, International Hedged Quality Dividend Growth Fund, International Hedged SmallCap Dividend Fund, Japan Hedged Capital Goods Fund, Japan Hedged Financials Fund, Japan Hedged Health Care Fund, Japan Hedged Quality Dividend Growth Fund, Japan Hedged Real Estate Fund, Japan Hedged SmallCap Equity Fund, Japan Hedged Tech, Media and Telecom Fund, Japan Quality Dividend Growth Fund, Korea Hedged Equity Fund and United Kingdom Hedged Equity Fund, 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 Europe Hedged SmallCap Equity Fund, Europe Quality Dividend Growth Fund, Germany Hedged Equity Fund, International Hedged Equity Fund, International Hedged Quality Dividend Growth Fund, International Hedged SmallCap Dividend Fund, Japan Hedged Capital Goods Fund, Japan Hedged Financials Fund, Japan Hedged Health Care Fund, Japan Hedged Quality Dividend Growth Fund, Japan Hedged Real Estate Fund, Japan Hedged SmallCap Equity Fund, Japan Hedged Tech, Media and Telecom Fund, Japan Quality Dividend Growth Fund, Korea Hedged Equity Fund and United Kingdom Hedged Equity Fund, 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.

The internal expenses of pooled investment vehicles in which the Funds may invest (acquired fund fees and expenses) are not expenses of the Funds and are not paid by WTAM.

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 in connection with distributions to shareholders. The Funds, other than Europe Hedged Equity Fund, Europe Hedged SmallCap Equity Fund, Germany Hedged Equity Fund, International Hedged Equity Fund, International Hedged Quality Dividend Growth Fund, International Hedged SmallCap Dividend Fund, Japan Hedged Capital Goods Fund, Japan Hedged Equity Fund, Japan Hedged Financials Fund, Japan Hedged Health Care Fund, Japan Hedged Quality Dividend Growth Fund, Japan Hedged Real Estate Fund, Japan Hedged SmallCap Equity Fund, Japan Hedged Tech, Media and Telecom Fund, Korea Hedged Equity Fund and the United Kingdom Hedged Equity Fund, do not expect to engage in currency transactions for the purpose of hedging against declines in the value of a Fund’s assets that are denominated in one or more foreign currencies. The Funds may not enter into such contracts for speculative purposes.

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      187   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Forward Foreign Currency Contracts — A forward foreign currency contract (“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. Realized gains and losses on Forward Contracts include net gains or losses recognized by the Funds on contracts which have matured or were sold.

The following Forward Contracts were open at September 30, 2015:

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Australia Dividend Fund

                                               
     10/1/2015      AUD        16,000         USD        11,214       $ (22

Europe Hedged Equity Fund

                                               
   10/1/2015      EUR        7,973,539         USD        8,900,000       $ (459
   10/2/2015      EUR        1,158,527,066         USD        1,298,679,878         5,474,527   
   10/2/2015      EUR        980,252,782         USD        1,098,882,974         4,676,217   
   10/2/2015      EUR        980,408,459         USD        1,098,882,978         4,502,447   
   10/2/2015      EUR        978,289,257         USD        1,098,882,974         6,868,001   
   10/2/2015      EUR        979,850,710         USD        1,098,882,974         5,125,031   
   10/2/2015      EUR        980,105,900         USD        1,098,882,974         4,840,175   
   10/2/2015      EUR        977,675,637         USD        1,098,882,974         7,552,955   
   10/2/2015      EUR        977,597,358         USD        1,098,882,974         7,640,334   
   10/2/2015      EUR        977,088,849         USD        1,098,882,974         8,207,957   
   10/2/2015      EUR        977,771,328         USD        1,098,882,974         7,446,139   
   10/2/2015      EUR        978,975,160         USD        1,098,882,974         6,102,363   
   10/2/2015      EUR        978,289,257         USD        1,098,882,974         6,868,001   
   10/2/2015      EUR        979,855,078         USD        1,098,882,974         5,120,154   
   10/2/2015      EUR        981,434,685         USD        1,098,882,974         3,356,919   
   10/2/2015      EUR        981,599,502         USD        1,098,882,974         3,172,942   
   10/2/2015      EUR        980,290,384         USD        1,098,882,974         4,634,244   
   10/2/2015      EUR        980,287,761         USD        1,098,882,974         4,637,173   
   10/2/2015      EUR        981,101,713         USD        1,098,882,974         3,728,599   
   10/2/2015      EUR        31,269,502         USD        34,853,518         (51,050
   10/2/2015      USD        29,044,599         EUR        25,907,811         (125,016
   10/2/2015      USD        52,280,277         EUR        46,304,497         (592,902
   10/2/2015      USD        14,276,142         EUR        12,749,424         (44,603
   10/2/2015      USD        360,153,021         EUR        322,288,043         (399,128
   10/2/2015      USD        69,707,036         EUR        62,184,402         (293,723
   10/2/2015      USD        69,707,036         EUR        62,127,151         (357,630
   10/2/2015      USD        982,924,730         EUR        880,283,656         (308,469
   10/2/2015      USD        982,924,746         EUR        879,968,439         (660,346
   10/2/2015      USD        982,924,730         EUR        878,552,673         (2,240,678
   10/2/2015      USD        982,924,730         EUR        878,395,648         (2,415,957
   10/2/2015      USD        982,924,730         EUR        879,338,638         (1,363,344
   10/2/2015      USD        982,924,730         EUR        879,181,333         (1,538,937
   10/2/2015      USD        982,924,730         EUR        879,181,333         (1,538,937
   10/2/2015      USD        982,924,730         EUR        880,559,669         (370

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Europe Hedged Equity Fund (continued)

  

                                 
   10/2/2015      USD        982,924,730         EUR        879,968,424       $ (660,346
   10/2/2015      USD        1,161,638,318         EUR        1,040,661,427         (437
   10/2/2015      USD        982,924,730         EUR        880,559,669         (370
   10/2/2015      USD        982,924,730         EUR        880,559,669         (370
   10/2/2015      USD        982,924,730         EUR        880,559,669         (370
   10/2/2015      USD        982,924,730         EUR        880,559,669         (370
   10/2/2015      USD        982,924,730         EUR        880,047,211         (572,400
   10/2/2015      USD        510,845,659         EUR        457,582,998         (68,830
   10/2/2015      USD        982,924,730         EUR        880,678,013         131,732   
   10/2/2015      USD        982,924,730         EUR        880,126,012         (484,439
   10/2/2015      USD        510,845,629         EUR        457,619,863         (27,649
   10/2/2015      USD        982,924,730         EUR        880,520,228         (44,396
   10/2/2015      USD        526,325,815         EUR        471,087,086         (475,054
   11/3/2015      EUR        878,148,448         USD        982,924,730         2,219,164   
   11/3/2015      EUR        878,925,831         USD        982,924,730         1,350,992   
   11/3/2015      EUR        878,780,458         USD        982,924,730         1,513,343   
   11/3/2015      EUR        878,776,530         USD        982,924,730         1,517,730   
   11/3/2015      EUR        880,141,774         USD        982,924,730         (6,958
   11/3/2015      EUR        879,876,262         USD        982,924,730         289,563   
   11/3/2015      EUR        877,987,646         USD        982,924,730         2,398,745   
   11/3/2015      EUR        879,550,303         USD        982,924,730         653,589   
   11/3/2015      EUR        1,040,175,003         USD        1,161,638,318         (16,544
   11/3/2015      EUR        880,149,655         USD        982,924,730         (15,759
   11/3/2015      EUR        880,149,655         USD        982,924,730         (15,759
   11/3/2015      EUR        880,157,536         USD        982,924,730         (24,561
   11/3/2015      EUR        880,157,536         USD        982,924,730         (24,561
   11/3/2015      EUR        879,736,086         USD        982,924,730         446,110   
   11/3/2015      EUR        879,651,844         USD        982,924,730         540,190   
   11/3/2015      EUR        880,261,582         USD        982,924,730         (140,758
   11/3/2015      EUR        879,569,994         USD        982,924,746         631,615   
   11/3/2015      EUR        880,118,131         USD        982,924,730         19,446   
                                            $ 97,154,917   

Europe Hedged SmallCap Equity Fund

                                               
   10/2/2015      EUR        30,421,796         USD        34,103,959       $ 145,642   
   10/2/2015      EUR        39,929,034         USD        44,761,445         190,678   
   10/2/2015      EUR        39,930,067         USD        44,761,445         189,525   
   10/2/2015      EUR        39,928,749         USD        44,761,445         190,996   
   10/2/2015      EUR        39,928,820         USD        44,761,445         190,916   
   10/2/2015      EUR        10,761,506         USD        12,179,980         167,454   
   10/2/2015      USD        906,000         EUR        809,111         (2,831
   10/2/2015      USD        47,128,980         EUR        42,218,541         (2,551
   10/2/2015      USD        47,128,980         EUR        42,219,563         (1,411
   10/2/2015      USD        35,907,799         EUR        32,153,838         (16,090
   10/2/2015      USD        47,128,980         EUR        42,219,752         (1,200
   10/2/2015      USD        47,128,980         EUR        42,218,693         (2,382
   11/3/2015      EUR        40,074,135         USD        44,755,996         1,687   
   11/3/2015      EUR        40,074,637         USD        44,755,996         1,126   
   11/3/2015      EUR        30,520,679         USD        34,099,808         14,683   
   11/3/2015      EUR        40,076,180         USD        44,755,996         (597
   11/3/2015      EUR        40,075,032         USD        44,755,996         685   
                                            $ 1,066,330   

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Europe Quality Dividend Growth Fund

                                               
     10/1/2015      GBP        4,500         USD        6,820       $ 4   

Europe SmallCap Dividend Fund

                                               
     10/1/2015      EUR        364,092         USD        410,000       $ 3,583   

Germany Hedged Equity Fund

                                               
   10/2/2015      EUR        63,102,319         USD        70,739,656       $ 301,719   
   10/2/2015      EUR        63,102,657         USD        70,739,656         301,342   
   10/2/2015      EUR        63,104,289         USD        70,739,656         299,520   
   10/2/2015      EUR        48,077,703         USD        53,896,884         230,168   
   10/2/2015      EUR        63,102,207         USD        70,739,656         301,844   
   10/2/2015      EUR        125,291         USD        140,000         144   
   10/2/2015      USD        70,739,656         EUR        63,369,186         (3,829
   10/2/2015      USD        70,739,656         EUR        63,369,413         (3,575
   10/2/2015      USD        53,896,884         EUR        48,281,287         (2,917
   10/2/2015      USD        70,739,656         EUR        63,370,719         (2,118
   10/2/2015      USD        70,739,656         EUR        63,371,003         (1,801
   11/3/2015      EUR        58,509,248         USD        65,344,883         2,463   
   11/3/2015      EUR        58,510,557         USD        65,344,883         1,000   
   11/3/2015      EUR        58,509,981         USD        65,344,883         1,644   
   11/3/2015      EUR        44,578,275         USD        49,786,578         2,099   
   11/3/2015      EUR        58,512,234         USD        65,344,883         (872
                                            $ 1,426,831   

International Dividend ex-Financials Fund

                                               
   10/1/2015      GBP        43,200         USD        65,432       $ (5
   10/2/2015      AUD        3,100         USD        2,175         (2
                                            $ (7

International Equity Fund

                                               
   10/1/2015      AUD        177,350         CHF        120,726       $ (989
   10/1/2015      AUD        176,022         SEK        1,034,639         (250
   10/1/2015      AUD        270,000         USD        189,230         (378
   10/2/2015      GBP        74,871         JPY        13,605,213         187   
                                            $ (1,430

International Hedged Equity Fund

                                               
   10/1/2015      AUD        1,142         JPY        95,797       $ (2
   10/2/2015      CHF        41,502         USD        42,958         483   
   10/2/2015      CHF        41,505         USD        42,958         480   
   10/2/2015      CHF        41,503         USD        42,958         483   
   10/2/2015      CHF        41,501         USD        42,958         484   
   10/2/2015      CHF        31,626         USD        32,734         367   
   10/2/2015      DKK        36,525         USD        5,487         22   
   10/2/2015      DKK        36,527         USD        5,487         22   
   10/2/2015      DKK        36,526         USD        5,487         22   
   10/2/2015      DKK        36,524         USD        5,487         22   
   10/2/2015      DKK        27,844         USD        4,183         17   
   10/2/2015      EUR        141,685         USD        158,833         677   
   10/2/2015      EUR        141,686         USD        158,833         677   
   10/2/2015      EUR        141,685         USD        158,833         678   
   10/2/2015      EUR        141,689         USD        158,833         672   
   10/2/2015      EUR        107,960         USD        121,020         510   
   10/2/2015      GBP        549         HKD        6,447           
   10/2/2015      GBP        76,720         USD        117,981         1,769   

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Equity Fund (continued)

  

                                 
   10/2/2015      GBP        76,730         USD        117,981       $ 1,755   
   10/2/2015      GBP        76,724         USD        117,981         1,763   
   10/2/2015      GBP        76,720         USD        117,981         1,770   
   10/2/2015      GBP        58,457         USD        89,892         1,344   
   10/2/2015      GBP        700         USD        1,061           
   10/2/2015      NOK        57,550         USD        6,859         112   
   10/2/2015      NOK        57,550         USD        6,859         112   
   10/2/2015      NOK        57,549         USD        6,859         112   
   10/2/2015      NOK        57,548         USD        6,859         112   
   10/2/2015      NOK        43,859         USD        5,227         85   
   10/2/2015      SEK        151,354         USD        17,850         (196
   10/2/2015      SEK        151,356         USD        17,850         (196
   10/2/2015      SEK        151,358         USD        17,850         (197
   10/2/2015      SEK        151,349         USD        17,850         (196
   10/2/2015      SEK        115,357         USD        13,604         (150
   10/2/2015      USD        42,958         CHF        41,974           
   10/2/2015      USD        42,958         CHF        41,973         (1
   10/2/2015      USD        42,958         CHF        41,972         (2
   10/2/2015      USD        42,958         CHF        41,973         (1
   10/2/2015      USD        32,734         CHF        31,984           
   10/2/2015      USD        5,487         DKK        36,671           
   10/2/2015      USD        5,487         DKK        36,670           
   10/2/2015      USD        5,487         DKK        36,669           
   10/2/2015      USD        5,487         DKK        36,641         (4
   10/2/2015      USD        4,183         DKK        27,956           
   10/2/2015      USD        158,833         EUR        142,292           
   10/2/2015      USD        158,833         EUR        142,288         (4
   10/2/2015      USD        158,833         EUR        142,284         (9
   10/2/2015      USD        158,833         EUR        142,287         (5
   10/2/2015      USD        121,020         EUR        108,368         (54
   10/2/2015      USD        117,981         GBP        77,888           
   10/2/2015      USD        117,981         GBP        77,886         (3
   10/2/2015      USD        117,981         GBP        77,884         (6
   10/2/2015      USD        117,981         GBP        77,886         (4
   10/2/2015      USD        89,892         GBP        59,344           
   10/2/2015      USD        6,859         NOK        58,507           
   10/2/2015      USD        6,859         NOK        58,506           
   10/2/2015      USD        6,859         NOK        58,504           
   10/2/2015      USD        6,859         NOK        58,504           
   10/2/2015      USD        5,227         NOK        44,586           
   10/2/2015      USD        17,850         SEK        149,709           
   10/2/2015      USD        17,850         SEK        149,705           
   10/2/2015      USD        17,850         SEK        149,701         (1
   10/2/2015      USD        17,850         SEK        149,701         (1
   10/2/2015      USD        13,604         SEK        114,042         (7
   10/5/2015      HKD        212,902         USD        27,467         (4
   10/5/2015      HKD        212,899         USD        27,467         (4
   10/5/2015      HKD        212,896         USD        27,467         (3
   10/5/2015      HKD        212,907         USD        27,467         (5
   10/5/2015      HKD        162,214         USD        20,929         (2

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      191   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Equity Fund (continued)

  

                                 
   10/5/2015      JPY        8,791,579         USD        72,583       $ (826
   10/5/2015      JPY        8,790,991         USD        72,583         (821
   10/5/2015      JPY        8,790,831         USD        72,583         (820
   10/5/2015      JPY        8,790,882         USD        72,583         (820
   10/5/2015      JPY        6,698,382         USD        55,303         (628
   10/5/2015      NZD        4,330         USD        2,735         (34
   10/5/2015      NZD        4,330         USD        2,735         (34
   10/5/2015      NZD        4,330         USD        2,735         (34
   10/5/2015      NZD        4,330         USD        2,735         (34
   10/5/2015      NZD        3,304         USD        2,087         (26
   10/5/2015      SGD        14,529         USD        10,281         64   
   10/5/2015      SGD        14,525         USD        10,281         66   
   10/5/2015      SGD        14,526         USD        10,281         66   
   10/5/2015      SGD        14,525         USD        10,281         66   
   10/5/2015      SGD        11,068         USD        7,834         50   
   10/5/2015      USD        27,467         HKD        212,871           
   10/5/2015      USD        27,467         HKD        212,876         1   
   10/5/2015      USD        27,467         HKD        212,881         1   
   10/5/2015      USD        27,467         HKD        212,877         1   
   10/5/2015      USD        20,929         HKD        162,201           
   10/5/2015      USD        72,583         JPY        8,692,902         2   
   10/5/2015      USD        72,583         JPY        8,691,981         (5
   10/5/2015      USD        72,583         JPY        8,692,177         (4
   10/5/2015      USD        72,583         JPY        8,692,648           
   10/5/2015      USD        55,303         JPY        6,624,431         11   
   10/5/2015      USD        2,735         NZD        4,275         (1
   10/5/2015      USD        2,735         NZD        4,277           
   10/5/2015      USD        2,735         NZD        4,276           
   10/5/2015      USD        2,735         NZD        4,276           
   10/5/2015      USD        2,087         NZD        3,263           
   10/5/2015      USD        10,281         SGD        14,619         (1
   10/5/2015      USD        10,281         SGD        14,618         (1
   10/5/2015      USD        10,281         SGD        14,618         (1
   10/5/2015      USD        10,281         SGD        14,618         (1
   10/5/2015      USD        7,834         SGD        11,140           
   10/6/2015      AUD        56,132         USD        39,726         316   
   10/6/2015      AUD        56,134         USD        39,726         315   
   10/6/2015      AUD        56,132         USD        39,726         316   
   10/6/2015      AUD        56,133         USD        39,726         316   
   10/6/2015      AUD        42,770         USD        30,268         239   
   10/6/2015      ILS        13,503         USD        3,434         (6
   10/6/2015      ILS        13,499         USD        3,434         (5
   10/6/2015      ILS        13,508         USD        3,434         (8
   10/6/2015      ILS        13,501         USD        3,434         (6
   10/6/2015      ILS        10,293         USD        2,618         (4
   10/6/2015      USD        39,726         AUD        56,570         (9
   10/6/2015      USD        39,726         AUD        56,579         (3
   10/6/2015      USD        39,726         AUD        56,580         (2
   10/6/2015      USD        39,726         AUD        56,581         (1
   10/6/2015      USD        30,268         AUD        43,096         (11

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Equity Fund (continued)

  

                                 
   10/6/2015      USD        3,434         ILS        13,478       $   
   10/6/2015      USD        3,434         ILS        13,474         (1
   10/6/2015      USD        3,434         ILS        13,477           
   10/6/2015      USD        3,434         ILS        13,477           
   10/6/2015      USD        2,618         ILS        10,274           
   11/3/2015      CHF        40,196         USD        41,178         (3
   11/3/2015      CHF        40,193         USD        41,178           
   11/3/2015      CHF        40,191         USD        41,178         2   
   11/3/2015      CHF        40,192         USD        41,178         1   
   11/3/2015      CHF        30,626         USD        31,376         (1
   11/3/2015      DKK        35,717         USD        5,348           
   11/3/2015      DKK        35,721         USD        5,348         (1
   11/3/2015      DKK        35,716         USD        5,348           
   11/3/2015      DKK        35,689         USD        5,348         4   
   11/3/2015      DKK        27,229         USD        4,077           
   11/3/2015      EUR        133,724         USD        149,336         (5
   11/3/2015      EUR        133,721         USD        149,336         (2
   11/3/2015      EUR        133,714         USD        149,336         6   
   11/3/2015      EUR        133,717         USD        149,336         2   
   11/3/2015      EUR        101,839         USD        113,781         49   
   11/3/2015      GBP        73,360         USD        111,104         (1
   11/3/2015      GBP        73,359         USD        111,104           
   11/3/2015      GBP        73,356         USD        111,104         5   
   11/3/2015      GBP        73,357         USD        111,104         3   
   11/3/2015      GBP        55,894         USD        84,653           
   11/3/2015      HKD        206,778         USD        26,679         (1
   11/3/2015      HKD        206,780         USD        26,679         (1
   11/3/2015      HKD        206,788         USD        26,679         (3
   11/3/2015      HKD        206,769         USD        26,679           
   11/3/2015      HKD        157,548         USD        20,328           
   11/3/2015      ILS        12,754         USD        3,250           
   11/3/2015      ILS        12,750         USD        3,250         1   
   11/3/2015      ILS        12,752         USD        3,250           
   11/3/2015      ILS        12,753         USD        3,250           
   11/3/2015      ILS        9,724         USD        2,478           
   11/3/2015      NOK        55,816         USD        6,540           
   11/3/2015      NOK        55,815         USD        6,540           
   11/3/2015      NOK        55,813         USD        6,540           
   11/3/2015      NOK        55,813         USD        6,540           
   11/3/2015      NOK        42,545         USD        4,985           
   11/3/2015      SEK        142,045         USD        16,948           
   11/3/2015      SEK        142,047         USD        16,948           
   11/3/2015      SEK        142,038         USD        16,948         1   
   11/3/2015      SEK        142,038         USD        16,948         1   
   11/3/2015      SEK        108,209         USD        12,917         6   
   11/4/2015      NZD        4,137         USD        2,639         (1
   11/4/2015      NZD        4,135         USD        2,639           
   11/4/2015      NZD        4,135         USD        2,639           
   11/4/2015      NZD        4,135         USD        2,639           
   11/4/2015      NZD        3,155         USD        2,013           

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      193   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Equity Fund (continued)

  

                                 
   11/4/2015      SGD        13,432         USD        9,435       $ (1
   11/4/2015      SGD        13,432         USD        9,435         (1
   11/4/2015      SGD        13,431         USD        9,435         (1
   11/4/2015      SGD        13,433         USD        9,435         (2
   11/4/2015      SGD        10,236         USD        7,190         (1
   11/5/2015      AUD        51,309         USD        35,972         7   
   11/5/2015      AUD        51,322         USD        35,972         (2
   11/5/2015      AUD        51,317         USD        35,972         1   
   11/5/2015      AUD        51,318         USD        35,972         1   
   11/5/2015      AUD        39,087         USD        27,408         10   
   11/5/2015      JPY        6,025,153         USD        50,317         (11
   11/5/2015      JPY        7,908,655         USD        66,035         (26
   11/5/2015      JPY        7,905,201         USD        66,035         3   
   11/5/2015      JPY        7,905,247         USD        66,035         2   
   11/5/2015      JPY        7,905,611         USD        66,035         (1
                                            $ 11,216   

International Hedged Quality Dividend Growth Fund

  

                
   10/2/2015      CHF        10,661,823         USD        11,044,104       $ 132,403   
   10/2/2015      CHF        10,670,095         USD        11,044,104         123,937   
   10/2/2015      CHF        8,124,845         USD        8,414,558         99,294   
   10/2/2015      CHF        10,671,178         USD        11,044,104         122,829   
   10/2/2015      CHF        10,668,549         USD        11,044,104         125,519   
   10/2/2015      CHF        2,637,153         USD        2,710,875         11,916   
   10/2/2015      DKK        29,668,505         USD        4,458,935         19,702   
   10/2/2015      DKK        22,613,627         USD        3,397,284         13,657   
   10/2/2015      DKK        29,679,924         USD        4,458,935         17,993   
   10/2/2015      DKK        29,682,997         USD        4,458,935         17,534   
   10/2/2015      DKK        29,685,806         USD        4,458,935         17,113   
   10/2/2015      DKK        7,278,340         USD        1,094,486         5,444   
   10/2/2015      EUR        26,250,355         USD        29,429,877         127,929   
   10/2/2015      EUR        20,002,252         USD        22,422,764         95,259   
   10/2/2015      EUR        26,245,743         USD        29,429,877         133,077   
   10/2/2015      EUR        26,253,821         USD        29,429,877         124,060   
   10/2/2015      EUR        26,253,236         USD        29,429,877         124,714   
   10/2/2015      EUR        6,438,315         USD        7,223,828         37,062   
   10/2/2015      GBP        13,579,069         USD        20,881,037         312,144   
   10/2/2015      GBP        13,576,579         USD        20,881,037         315,915   
   10/2/2015      GBP        10,342,992         USD        15,909,363         242,317   
   10/2/2015      GBP        13,584,679         USD        20,881,037         303,646   
   10/2/2015      GBP        13,578,380         USD        20,881,037         313,187   
   10/2/2015      GBP        3,386,380         USD        5,125,439         (4,080
   10/2/2015      NOK        17,563,837         USD        2,094,928         35,862   
   10/2/2015      NOK        13,388,139         USD        1,596,138         26,602   
   10/2/2015      NOK        17,577,158         USD        2,094,928         34,300   
   10/2/2015      NOK        17,578,069         USD        2,094,928         34,193   
   10/2/2015      NOK        17,574,979         USD        2,094,928         34,555   
   10/2/2015      NOK        4,364,580         USD        514,219         2,545   
   10/2/2015      SEK        60,224,299         USD        7,106,434         (74,196
   10/2/2015      SEK        45,898,966         USD        5,414,426         (58,174
   10/2/2015      SEK        60,241,362         USD        7,106,434         (76,230

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Quality Dividend Growth Fund (continued)

  

                                 
   10/2/2015      SEK        60,260,272         USD        7,106,434       $ (78,485
   10/2/2015      SEK        60,253,322         USD        7,106,434         (77,656
   10/2/2015      SEK        14,668,225         USD        1,744,338         (4,576
   10/2/2015      USD        2,033,156         CHF        1,969,537         (17,460
   10/2/2015      USD        813,262         CHF        793,605         (1,057
   10/2/2015      USD        164,181         CHF        159,534         (908
   10/2/2015      USD        10,981,162         CHF        10,729,144         (562
   10/2/2015      USD        10,981,162         CHF        10,729,693           
   10/2/2015      USD        10,981,162         CHF        10,729,375         (326
   10/2/2015      USD        10,981,162         CHF        10,729,419         (281
   10/2/2015      USD        8,366,602         CHF        8,175,007           
   10/2/2015      USD        820,864         DKK        5,450,699         (5,288
   10/2/2015      USD        328,346         DKK        2,206,293         1,777   
   10/2/2015      USD        66,286         DKK        441,613         (208
   10/2/2015      USD        4,433,522         DKK        29,628,873         (219
   10/2/2015      USD        4,433,522         DKK        29,606,484         (3,569
   10/2/2015      USD        4,433,522         DKK        29,630,336           
   10/2/2015      USD        4,433,522         DKK        29,629,675         (99
   10/2/2015      USD        3,377,926         DKK        22,575,524           
   10/2/2015      USD        5,417,871         EUR        4,822,015         (35,299
   10/2/2015      USD        2,167,149         EUR        1,952,197         11,990   
   10/2/2015      USD        437,503         EUR        390,716         (1,367
   10/2/2015      USD        29,262,151         EUR        26,213,284         (1,584
   10/2/2015      USD        29,262,151         EUR        26,213,918         (876
   10/2/2015      USD        29,262,151         EUR        26,213,378         (1,479
   10/2/2015      USD        29,262,151         EUR        26,214,035         (745
   10/2/2015      USD        22,294,973         EUR        19,964,158         (9,990
   10/2/2015      USD        3,844,079         GBP        2,513,970         (36,043
   10/2/2015      USD        1,537,632         GBP        1,009,955         (7,803
   10/2/2015      USD        310,417         GBP        200,425         (6,822
   10/2/2015      USD        20,762,032         GBP        13,705,850         (1,098
   10/2/2015      USD        20,762,032         GBP        13,706,573         (2
   10/2/2015      USD        20,762,032         GBP        13,706,166         (618
   10/2/2015      USD        20,762,032         GBP        13,706,230         (523
   10/2/2015      USD        15,818,694         GBP        10,443,105         (1
   10/2/2015      USD        100,000         JPY        11,975,900         (5
   10/2/2015      USD        385,664         NOK        3,192,721         (11,371
   10/2/2015      USD        154,266         NOK        1,277,202         (4,535
   10/2/2015      USD        31,143         NOK        255,932         (1,139
   10/2/2015      USD        125,000         NOK        1,066,196         (6
   10/2/2015      USD        2,082,989         NOK        17,767,000         (105
   10/2/2015      USD        2,082,989         NOK        17,767,896           
   10/2/2015      USD        2,082,989         NOK        17,767,009         (104
   10/2/2015      USD        2,082,989         NOK        17,767,480         (49
   10/2/2015      USD        1,587,040         NOK        13,537,451           
   10/2/2015      USD        1,308,254         SEK        11,015,705         5,164   
   10/2/2015      USD        523,301         SEK        4,411,476         2,686   
   10/2/2015      USD        105,644         SEK        882,103         (470
   10/2/2015      USD        50,000         SEK        419,332         (2
   10/2/2015      USD        7,065,933         SEK        59,259,366         (354

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      195   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Quality Dividend Growth Fund (continued)

  

                                 
   10/2/2015      USD        7,065,933         SEK        59,262,333       $   
   10/2/2015      USD        7,065,933         SEK        59,259,373         (353
   10/2/2015      USD        7,065,933         SEK        59,260,991         (160
   10/2/2015      USD        5,383,569         SEK        45,130,459         (2,600
   10/5/2015      HKD        39,719,475         USD        5,124,796         (264
   10/5/2015      HKD        39,720,572         USD        5,124,796         (406
   10/5/2015      HKD        30,263,195         USD        3,904,611         (292
   10/5/2015      HKD        39,721,576         USD        5,124,796         (536
   10/5/2015      HKD        39,721,935         USD        5,124,796         (582
   10/5/2015      HKD        9,749,863         USD        1,257,928         (111
   10/5/2015      JPY        1,293,424,169         USD        10,679,994         (120,038
   10/5/2015      JPY        1,698,005,968         USD        14,017,491         (160,780
   10/5/2015      JPY        1,697,819,536         USD        14,017,491         (159,224
   10/5/2015      JPY        1,698,000,361         USD        14,017,491         (160,733
   10/5/2015      JPY        1,697,553,203         USD        14,017,491         (157,000
   10/5/2015      JPY        412,590,034         USD        3,440,719         (4,389
   10/5/2015      NZD        1,324,781         USD        836,807         (10,473
   10/5/2015      NZD        1,322,741         USD        836,807         (9,169
   10/5/2015      NZD        1,009,307         USD        637,570         (7,945
   10/5/2015      NZD        1,325,992         USD        836,807         (11,248
   10/5/2015      NZD        1,325,173         USD        836,807         (10,724
   10/5/2015      NZD        322,446         USD        205,402         (822
   10/5/2015      SGD        1,170,271         USD        828,207         5,213   
   10/5/2015      SGD        1,170,214         USD        828,207         5,253   
   10/5/2015      SGD        892,157         USD        631,017         3,607   
   10/5/2015      SGD        1,169,001         USD        828,207         6,107   
   10/5/2015      SGD        1,170,049         USD        828,207         5,369   
   10/5/2015      SGD        290,448         USD        203,291         (967
   10/5/2015      USD        943,446         HKD        7,311,478         (36
   10/5/2015      USD        377,378         HKD        2,925,123         55   
   10/5/2015      USD        76,185         HKD        590,426         (2
   10/5/2015      USD        5,095,589         HKD        39,493,057         256   
   10/5/2015      USD        5,095,589         HKD        39,491,070           
   10/5/2015      USD        5,095,589         HKD        39,492,252         153   
   10/5/2015      USD        5,095,589         HKD        39,492,058         128   
   10/5/2015      USD        3,882,358         HKD        30,088,469           
   10/5/2015      USD        2,580,540         JPY        309,901,177         7,120   
   10/5/2015      USD        1,032,216         JPY        124,081,033         3,855   
   10/5/2015      USD        208,383         JPY        25,092,647         1,139   
   10/5/2015      USD        10,619,130         JPY        1,272,005,053         2,053   
   10/5/2015      USD        13,937,602         JPY        1,669,059,895         (1,029
   10/5/2015      USD        13,937,602         JPY        1,669,188,121         42   
   10/5/2015      USD        13,937,602         JPY        1,669,097,527         (715
   10/5/2015      USD        13,937,602         JPY        1,669,153,277         (249
   10/5/2015      USD        154,051         NZD        243,433         1,640   
   10/5/2015      USD        61,621         NZD        96,715         235   
   10/5/2015      USD        12,440         NZD        19,707         164   
   10/5/2015      USD        832,038         NZD        1,300,862         (55
   10/5/2015      USD        832,038         NZD        1,300,921         (17
   10/5/2015      USD        832,038         NZD        1,300,885         (41

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Quality Dividend Growth Fund (continued)

  

                                 
   10/5/2015      USD        832,038         NZD        1,301,159       $ 135   
   10/5/2015      USD        633,936         NZD        991,180         (14
   10/5/2015      USD        152,468         SGD        216,448         (251
   10/5/2015      USD        60,987         SGD        86,445         (194
   10/5/2015      USD        12,312         SGD        17,370         (97
   10/5/2015      USD        823,487         SGD        1,170,891         (57
   10/5/2015      USD        823,487         SGD        1,170,837         (95
   10/5/2015      USD        823,487         SGD        1,170,905         (48
   10/5/2015      USD        627,421         SGD        892,169         (3
   10/5/2015      USD        823,487         SGD        1,170,927         (32
   10/6/2015      AUD        9,694,340         USD        6,867,577         61,277   
   10/6/2015      AUD        7,391,214         USD        5,232,440         43,142   
   10/6/2015      AUD        9,704,175         USD        6,867,577         54,371   
   10/6/2015      AUD        9,706,576         USD        6,867,577         52,686   
   10/6/2015      AUD        9,702,434         USD        6,867,577         55,594   
   10/6/2015      AUD        2,405,311         USD        1,685,709         (3,036
   10/6/2015      ILS        5,657,594         USD        1,440,709         (763
   10/6/2015      ILS        4,315,553         USD        1,097,686         (1,854
   10/6/2015      ILS        5,661,269         USD        1,440,709         (1,700
   10/6/2015      ILS        5,664,217         USD        1,440,709         (2,451
   10/6/2015      ILS        5,663,701         USD        1,440,709         (2,319
   10/6/2015      ILS        1,389,270         USD        353,635         (331
   10/6/2015      USD        1,264,282         AUD        1,807,648         4,850   
   10/6/2015      USD        505,713         AUD        720,781         340   
   10/6/2015      USD        102,093         AUD        143,088         (1,632
   10/6/2015      USD        6,828,437         AUD        9,725,359         (359
   10/6/2015      USD        6,828,437         AUD        9,725,927         40   
   10/6/2015      USD        6,828,437         AUD        9,725,650         (154
   10/6/2015      USD        6,828,437         AUD        9,725,206         (466
   10/6/2015      USD        5,202,621         AUD        7,407,543         (1,858
   10/6/2015      USD        265,226         ILS        1,041,748         196   
   10/6/2015      USD        106,091         ILS        417,808         360   
   10/6/2015      USD        21,418         ILS        84,284         56   
   10/6/2015      USD        1,432,498         ILS        5,622,060         (79
   10/6/2015      USD        1,432,498         ILS        5,622,019         (90
   10/6/2015      USD        1,432,498         ILS        5,622,093         (71
   10/6/2015      USD        1,432,498         ILS        5,620,831         (392
   10/6/2015      USD        1,091,430         ILS        4,283,372         (89
   11/3/2015      CHF        10,178,004         USD        10,427,962         481   
   11/3/2015      CHF        10,178,275         USD        10,427,962         203   
   11/3/2015      CHF        10,178,473         USD        10,427,962           
   11/3/2015      CHF        7,755,156         USD        7,945,116         (130
   11/3/2015      CHF        10,178,400         USD        10,427,962         75   
   11/3/2015      DKK        29,320,451         USD        4,390,390         88   
   11/3/2015      DKK        29,298,258         USD        4,390,390         3,411   
   11/3/2015      DKK        29,324,736         USD        4,390,390         (554
   11/3/2015      DKK        22,340,930         USD        3,345,062         (160
   11/3/2015      DKK        29,322,265         USD        4,390,390         (183
   11/3/2015      EUR        25,313,111         USD        28,270,442         1,066   
   11/3/2015      EUR        25,313,429         USD        28,270,442         711   

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      197   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged Quality Dividend Growth Fund (continued)

  

                                 
   11/3/2015      EUR        25,313,678         USD        28,270,442       $ 433   
   11/3/2015      EUR        25,314,403         USD        28,270,442         (377
   11/3/2015      EUR        19,278,606         USD        21,539,389         9,275   
   11/3/2015      GBP        13,389,988         USD        20,280,275         845   
   11/3/2015      GBP        13,390,174         USD        20,280,275         564   
   11/3/2015      GBP        13,390,536         USD        20,280,275         15   
   11/3/2015      GBP        10,202,354         USD        15,451,639         (50
   11/3/2015      GBP        13,390,563         USD        20,280,275         (25
   11/3/2015      HKD        39,694,065         USD        5,121,166         (483
   11/3/2015      HKD        39,692,519         USD        5,121,166         (284
   11/3/2015      HKD        39,691,280         USD        5,121,166         (124
   11/3/2015      HKD        39,692,012         USD        5,121,166         (218
   11/3/2015      HKD        30,240,403         USD        3,901,843         (18
   11/3/2015      ILS        5,617,447         USD        1,431,654         33   
   11/3/2015      ILS        5,618,591         USD        1,431,654         (259
   11/3/2015      ILS        5,617,840         USD        1,431,654         (67
   11/3/2015      ILS        5,616,446         USD        1,431,654         288   
   11/3/2015      ILS        4,280,284         USD        1,090,784         (58
   11/3/2015      NOK        16,647,662         USD        1,950,727         68   
   11/3/2015      NOK        16,648,361         USD        1,950,727         (14
   11/3/2015      NOK        16,648,275         USD        1,950,727         (4
   11/3/2015      NOK        16,647,666         USD        1,950,727         68   
   11/3/2015      NOK        12,684,647         USD        1,486,271         (29
   11/3/2015      SEK        55,048,964         USD        6,568,446         284   
   11/3/2015      SEK        55,049,016         USD        6,568,446         278   
   11/3/2015      SEK        55,052,511         USD        6,568,446         (139
   11/3/2015      SEK        41,924,136         USD        5,004,532         2,358   
   11/3/2015      SEK        55,052,051         USD        6,568,446         (84
   11/4/2015      NZD        1,207,713         USD        770,718         18   
   11/4/2015      NZD        1,207,719         USD        770,718         14   
   11/4/2015      NZD        1,207,751         USD        770,718         (7
   11/4/2015      NZD        1,208,079         USD        770,718         (216
   11/4/2015      NZD        920,210         USD        587,218         (12
   11/4/2015      SGD        1,142,066         USD        802,251         (43
   11/4/2015      SGD        1,142,196         USD        802,251         (134
   11/4/2015      SGD        1,142,137         USD        802,251         (93
   11/4/2015      SGD        870,170         USD        611,242         (46
   11/4/2015      SGD        1,142,219         USD        802,251         (150
   11/5/2015      AUD        9,192,736         USD        6,443,924         267   
   11/5/2015      AUD        9,192,985         USD        6,443,924         92   
   11/5/2015      AUD        9,192,919         USD        6,443,924         138   
   11/5/2015      AUD        9,193,680         USD        6,443,924         (395
   11/5/2015      AUD        7,001,714         USD        4,909,658         1,799   
   11/5/2015      JPY        1,477,799,283         USD        12,344,518         401   
   11/5/2015      JPY        1,477,867,178         USD        12,344,518         (166
   11/5/2015      JPY        1,477,861,005         USD        12,344,518         (114
   11/5/2015      JPY        1,477,790,642         USD        12,344,518         473   
   11/5/2015      JPY        1,126,233,050         USD        9,405,348         (2,122
                                            $ 1,993,590   

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged SmallCap Dividend Fund

  

                
   10/2/2015      CHF        400         JPY        49,192       $ 1   
   10/2/2015      CHF        5,527         USD        5,724         68   
   10/2/2015      CHF        7,258         USD        7,512         84   
   10/2/2015      CHF        7,257         USD        7,512         85   
   10/2/2015      CHF        7,258         USD        7,512         84   
   10/2/2015      CHF        7,257         USD        7,512         85   
   10/2/2015      CHF        17,467         USD        17,900         23   
   10/2/2015      DKK        25,254         USD        3,794         15   
   10/2/2015      DKK        33,145         USD        4,979         20   
   10/2/2015      DKK        33,147         USD        4,979         19   
   10/2/2015      DKK        33,142         USD        4,979         20   
   10/2/2015      DKK        33,148         USD        4,979         19   
   10/2/2015      DKK        79,719         USD        11,864         (64
   10/2/2015      EUR        614         JPY        82,247         1   
   10/2/2015      EUR        67,024         USD        75,135         319   
   10/2/2015      EUR        87,972         USD        98,614         416   
   10/2/2015      EUR        87,966         USD        98,614         422   
   10/2/2015      EUR        87,945         USD        98,614         446   
   10/2/2015      EUR        87,970         USD        98,614         418   
   10/2/2015      EUR        211,670         USD        234,977         (1,300
   10/2/2015      GBP        6         HKD        65           
   10/2/2015      GBP        120         ILS        712           
   10/2/2015      GBP        2,535         JPY        460,000           
   10/2/2015      GBP        888         NZD        2,100         (2
   10/2/2015      GBP        1,139         SEK        14,429         (5
   10/2/2015      GBP        42,323         USD        65,100         992   
   10/2/2015      GBP        55,562         USD        85,439         1,277   
   10/2/2015      GBP        55,559         USD        85,439         1,281   
   10/2/2015      GBP        55,584         USD        85,439         1,242   
   10/2/2015      GBP        55,559         USD        85,439         1,281   
   10/2/2015      GBP        133,720         USD        203,585         1,033   
   10/2/2015      NOK        21,358         JPY        300,515         5   
   10/2/2015      NOK        108,404         USD        12,924         215   
   10/2/2015      NOK        142,290         USD        16,959         278   
   10/2/2015      NOK        142,299         USD        16,959         277   
   10/2/2015      NOK        142,292         USD        16,959         278   
   10/2/2015      NOK        142,274         USD        16,959         280   
   10/2/2015      NOK        334,571         USD        40,411         1,188   
   10/2/2015      SEK        172,637         USD        20,365         (219
   10/2/2015      SEK        226,598         USD        26,724         (294
   10/2/2015      SEK        226,611         USD        26,724         (295
   10/2/2015      SEK        226,540         USD        26,724         (287
   10/2/2015      SEK        226,585         USD        26,724         (292
   10/2/2015      SEK        536,828         USD        63,680         (327
   10/2/2015      USD        110         CHF        107         (1
   10/2/2015      USD        11,248         CHF        10,990         (1
   10/2/2015      USD        11,248         CHF        10,990           
   10/2/2015      USD        8,570         CHF        8,373           
   10/2/2015      USD        11,248         CHF        10,990           
   10/2/2015      USD        11,248         CHF        10,990           

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      199   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged SmallCap Dividend Fund (continued)

  

                                 
   10/2/2015      USD        73         DKK        486       $   
   10/2/2015      USD        7,455         DKK        49,821           
   10/2/2015      USD        7,455         DKK        49,823           
   10/2/2015      USD        5,681         DKK        37,966           
   10/2/2015      USD        7,455         DKK        49,784         (6
   10/2/2015      USD        7,455         DKK        49,824           
   10/2/2015      USD        1,447         EUR        1,292         (4
   10/2/2015      USD        147,655         EUR        132,271         (8
   10/2/2015      USD        112,501         EUR        100,780         (6
   10/2/2015      USD        147,655         EUR        132,274         (4
   10/2/2015      USD        147,655         EUR        132,274         (4
   10/2/2015      USD        147,655         EUR        132,271         (7
   10/2/2015      USD        1,253         GBP        809         (28
   10/2/2015      USD        127,929         GBP        84,451         (7
   10/2/2015      USD        97,472         GBP        64,345         (5
   10/2/2015      USD        127,929         GBP        84,453         (4
   10/2/2015      USD        127,929         GBP        84,453         (3
   10/2/2015      USD        127,929         GBP        84,456           
   10/2/2015      USD        249         NOK        2,046         (9
   10/2/2015      USD        25,393         NOK        216,591         (1
   10/2/2015      USD        25,393         NOK        216,597         (1
   10/2/2015      USD        19,350         NOK        165,047         (1
   10/2/2015      USD        25,393         NOK        216,591         (1
   10/2/2015      USD        25,393         NOK        216,602           
   10/2/2015      USD        392         SEK        3,273         (2
   10/2/2015      USD        40,015         SEK        335,591         (2
   10/2/2015      USD        40,015         SEK        335,608           
   10/2/2015      USD        30,489         SEK        255,700         (2
   10/2/2015      USD        40,015         SEK        335,600         (1
   10/2/2015      USD        40,015         SEK        335,591         (2
   10/5/2015      HKD        60,114         USD        7,756         (1
   10/5/2015      HKD        78,874         USD        10,176         (1
   10/5/2015      HKD        78,869         USD        10,176         (1
   10/5/2015      HKD        78,873         USD        10,176         (1
   10/5/2015      HKD        78,873         USD        10,176         (1
   10/5/2015      HKD        187,958         USD        24,249         (4
   10/5/2015      JPY        11,717,727         USD        96,755         (1,087
   10/5/2015      JPY        15,380,613         USD        126,985         (1,442
   10/5/2015      JPY        15,382,302         USD        126,985         (1,456
   10/5/2015      JPY        15,379,267         USD        126,985         (1,431
   10/5/2015      JPY        15,378,200         USD        126,985         (1,422
   10/5/2015      JPY        36,372,777         USD        302,581         (1,130
   10/5/2015      NZD        23,413         USD        14,790         (184
   10/5/2015      NZD        30,730         USD        19,411         (243
   10/5/2015      NZD        30,729         USD        19,411         (242
   10/5/2015      NZD        30,758         USD        19,411         (261
   10/5/2015      NZD        30,739         USD        19,411         (249
   10/5/2015      NZD        72,595         USD        46,253         (176
   10/5/2015      SGD        900         JPY        75,842           
   10/5/2015      SGD        17,635         USD        12,473         71   

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged SmallCap Dividend Fund (continued)

  

                                 
   10/5/2015      SGD        23,128         USD        16,368       $ 103   
   10/5/2015      SGD        23,130         USD        16,368         102   
   10/5/2015      SGD        23,103         USD        16,368         121   
   10/5/2015      SGD        23,124         USD        16,368         106   
   10/5/2015      SGD        55,284         USD        39,003         124   
   10/5/2015      USD        149         HKD        1,155           
   10/5/2015      USD        15,237         HKD        118,093         1   
   10/5/2015      USD        15,237         HKD        118,088           
   10/5/2015      USD        11,612         HKD        89,985         (1
   10/5/2015      USD        15,237         HKD        118,091           
   10/5/2015      USD        15,237         HKD        118,090           
   10/5/2015      USD        1,863         JPY        224,335         10   
   10/5/2015      USD        190,136         JPY        22,770,972         1   
   10/5/2015      USD        190,136         JPY        22,769,736         (10
   10/5/2015      USD        190,136         JPY        22,769,223         (14
   10/5/2015      USD        144,869         JPY        17,349,366         (3
   10/5/2015      USD        190,136         JPY        22,770,497         (3
   10/5/2015      USD        285         NZD        451         4   
   10/5/2015      USD        29,064         NZD        45,441         (2
   10/5/2015      USD        29,064         NZD        45,443         (1
   10/5/2015      USD        29,064         NZD        45,441         (1
   10/5/2015      USD        29,064         NZD        45,451         5   
   10/5/2015      USD        22,146         NZD        34,624         (2
   10/5/2015      USD        240         SGD        339         (2
   10/5/2015      USD        24,508         SGD        34,847         (2
   10/5/2015      USD        24,508         SGD        34,848         (1
   10/5/2015      USD        24,508         SGD        34,846         (3
   10/5/2015      USD        24,508         SGD        34,848         (1
   10/5/2015      USD        18,676         SGD        26,553         (2
   10/6/2015      AUD        56,986         USD        40,342         333   
   10/6/2015      AUD        74,814         USD        52,945         419   
   10/6/2015      AUD        74,809         USD        52,945         422   
   10/6/2015      AUD        74,832         USD        52,945         406   
   10/6/2015      AUD        74,800         USD        52,945         429   
   10/6/2015      AUD        179,812         USD        126,159         (85
   10/6/2015      AUD        2,700         USD        1,894         (2
   10/6/2015      ILS        33,115         USD        8,423         (14
   10/6/2015      ILS        43,451         USD        11,053         (18
   10/6/2015      ILS        43,455         USD        11,053         (19
   10/6/2015      ILS        43,433         USD        11,053         (13
   10/6/2015      ILS        43,451         USD        11,053         (18
   10/6/2015      ILS        103,724         USD        26,338         (89
   10/6/2015      USD        777         AUD        1,089         (12
   10/6/2015      USD        79,275         AUD        112,907         (4
   10/6/2015      USD        79,275         AUD        112,914           
   10/6/2015      USD        60,404         AUD        86,030         (3
   10/6/2015      USD        79,275         AUD        112,910         (2
   10/6/2015      USD        79,275         AUD        112,905         (5
   10/6/2015      USD        162         ILS        638           
   10/6/2015      USD        16,550         ILS        64,953         (1

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      201   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged SmallCap Dividend Fund (continued)

  

                                 
   10/6/2015      USD        16,550         ILS        64,953       $ (1
   10/6/2015      USD        16,550         ILS        64,939         (5
   10/6/2015      USD        12,611         ILS        49,494         (1
   10/6/2015      USD        16,550         ILS        64,953         (1
   11/3/2015      CHF        10,842         USD        11,108         1   
   11/3/2015      CHF        8,264         USD        8,466         (1
   11/3/2015      CHF        10,842         USD        11,108           
   11/3/2015      CHF        10,842         USD        11,108           
   11/3/2015      CHF        10,842         USD        11,108           
   11/3/2015      DKK        50,041         USD        7,493           
   11/3/2015      DKK        50,044         USD        7,493           
   11/3/2015      DKK        38,131         USD        5,709         (1
   11/3/2015      DKK        50,048         USD        7,493         (1
   11/3/2015      DKK        50,003         USD        7,493         6   
   11/3/2015      EUR        125,784         USD        140,479         5   
   11/3/2015      EUR        95,837         USD        107,034         5   
   11/3/2015      EUR        125,787         USD        140,479         2   
   11/3/2015      EUR        125,785         USD        140,479         4   
   11/3/2015      EUR        125,790         USD        140,479         (2
   11/3/2015      GBP        80,610         USD        122,091         5   
   11/3/2015      GBP        80,614         USD        122,091           
   11/3/2015      GBP        61,426         USD        93,025         (6
   11/3/2015      GBP        80,614         USD        122,091           
   11/3/2015      GBP        80,611         USD        122,091         3   
   11/3/2015      HKD        112,741         USD        14,546         (1
   11/3/2015      HKD        112,740         USD        14,546         (1
   11/3/2015      HKD        85,918         USD        11,085         (1
   11/3/2015      HKD        112,746         USD        14,546         (1
   11/3/2015      HKD        112,738         USD        14,546           
   11/3/2015      ILS        62,321         USD        15,883           
   11/3/2015      ILS        62,325         USD        15,883         (1
   11/3/2015      ILS        62,310         USD        15,883         3   
   11/3/2015      ILS        47,492         USD        12,102         (1
   11/3/2015      ILS        62,334         USD        15,883         (3
   11/3/2015      NOK        216,185         USD        25,332         1   
   11/3/2015      NOK        216,193         USD        25,332           
   11/3/2015      NOK        164,766         USD        19,305         (1
   11/3/2015      NOK        216,185         USD        25,332         1   
   11/3/2015      NOK        216,194         USD        25,332           
   11/3/2015      SEK        333,842         USD        39,834         2   
   11/3/2015      SEK        254,402         USD        30,352         (2
   11/3/2015      SEK        333,860         USD        39,834           
   11/3/2015      SEK        333,842         USD        39,834         2   
   11/3/2015      SEK        333,863         USD        39,834         (1
   11/4/2015      NZD        45,877         USD        29,277         1   
   11/4/2015      NZD        45,891         USD        29,277         (8
   11/4/2015      NZD        34,960         USD        22,308         (2
   11/4/2015      NZD        45,878         USD        29,277           
   11/4/2015      NZD        45,877         USD        29,277         1   
   11/4/2015      SGD        34,416         USD        24,176         (1

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

International Hedged SmallCap Dividend Fund (continued)

  

                                 
   11/4/2015      SGD        34,419         USD        24,176       $ (3
   11/4/2015      SGD        26,230         USD        18,423         (3
   11/4/2015      SGD        34,420         USD        24,176         (4
   11/4/2015      SGD        34,421         USD        24,176         (4
   11/5/2015      AUD        105,308         USD        73,819         3   
   11/5/2015      AUD        105,311         USD        73,819         1   
   11/5/2015      AUD        80,245         USD        56,244         (4
   11/5/2015      AUD        105,310         USD        73,819         2   
   11/5/2015      AUD        105,319         USD        73,819         (5
   11/5/2015      JPY        21,422,188         USD        178,938         (2
   11/5/2015      JPY        21,421,079         USD        178,938         7   
   11/5/2015      JPY        21,421,204         USD        178,938         6   
   11/5/2015      JPY        16,321,311         USD        136,337         4   
   11/5/2015      JPY        21,422,099         USD        178,938         (2
                                            $ 1,964   

International High Dividend Fund

  

                
     10/1/2015      GBP        64,097         USD        96,975       $ (116

International LargeCap Dividend Fund

  

                
   10/2/2015      AUD        245,000         USD        171,985       $ (66
   10/2/2015      GBP        203,230         JPY        36,800,000         (574
   10/2/2015      HKD        485,577         JPY        7,500,000         (32
                                            $ (672

International SmallCap Dividend Fund

  

                
   10/1/2015      AUD        462,999         USD        325,000       $ (141
   10/1/2015      EUR        102,710         USD        114,764         114   
                                            $ (27

Japan Hedged Capital Goods Fund

  

                
   10/5/2015      JPY        63,947,642         USD        527,985       $ (5,975
   10/5/2015      JPY        63,951,919         USD        527,985         (6,011
   10/5/2015      JPY        63,946,850         USD        527,985         (5,968
   10/5/2015      JPY        48,721,094         USD        402,275         (4,544
   10/5/2015      JPY        63,946,480         USD        527,985         (5,965
   10/5/2015      USD        527,985         JPY        63,232,275         1   
   10/5/2015      USD        527,985         JPY        63,228,843         (27
   10/5/2015      USD        527,985         JPY        63,230,955         (10
   10/5/2015      USD        527,985         JPY        63,227,418         (39
   10/5/2015      USD        402,275         JPY        48,186,229         78   
   11/5/2015      JPY        55,903,608         USD        466,983         18   
   11/5/2015      JPY        55,903,935         USD        466,983         15   
   11/5/2015      JPY        55,906,504         USD        466,983         (6
   11/5/2015      JPY        55,906,270         USD        466,983         (4
   11/5/2015      JPY        42,604,520         USD        355,797         (80
                                            $ (28,517

Japan Hedged Equity Fund

  

                
   10/5/2015      JPY        113,969,431,492         USD        939,540,289       $ (12,099,189
   10/5/2015      JPY        134,489,170,760         USD        1,110,365,796         (12,612,555
   10/5/2015      JPY        4,825,672,073         USD        39,840,101         (454,038
   10/5/2015      JPY        113,870,404,794         USD        939,540,296         (11,272,314
   10/5/2015      JPY        113,866,176,014         USD        939,540,289         (11,237,011
   10/5/2015      JPY        113,812,152,448         USD        939,540,289         (10,785,916

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      203   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Japan Hedged Equity Fund (continued)

  

                                 
   10/5/2015      JPY        113,803,884,493         USD        939,540,289       $ (10,716,879
   10/5/2015      JPY        113,763,766,123         USD        939,540,289         (10,381,893
   10/5/2015      JPY        113,872,283,027         USD        939,540,289         (11,288,004
   10/5/2015      JPY        113,782,087,159         USD        939,540,289         (10,534,873
   10/5/2015      JPY        113,810,743,137         USD        939,540,289         (10,774,149
   10/5/2015      JPY        113,707,393,706         USD        939,540,289         (9,911,186
   10/5/2015      JPY        113,846,915,438         USD        939,540,289         (11,076,186
   10/5/2015      JPY        113,952,613,721         USD        939,540,289         (11,958,762
   10/5/2015      JPY        113,860,538,773         USD        939,540,289         (11,189,940
   10/5/2015      JPY        113,794,301,182         USD        939,540,289         (10,636,859
   10/5/2015      JPY        113,794,301,182         USD        939,540,289         (10,636,859
   10/5/2015      JPY        113,774,101,067         USD        939,540,289         (10,468,189
   10/5/2015      JPY        113,791,294,653         USD        939,540,289         (10,611,755
   10/5/2015      JPY        321,127,182         USD        2,656,007         (25,390
   10/5/2015      JPY        320,738,874         USD        2,656,007         (22,148
   10/5/2015      JPY        8,914,440,327         USD        74,368,188         (66,976
   10/5/2015      USD        15,936,040         JPY        1,909,193,368         5,636   
   10/5/2015      USD        61,088,154         JPY        7,336,174,154         168,561   
   10/5/2015      USD        2,656,007         JPY        317,855,247         (1,930
   10/5/2015      USD        15,936,040         JPY        1,912,205,279         30,786   
   10/5/2015      USD        31,872,080         JPY        3,828,856,714         98,696   
   10/5/2015      USD        21,248,054         JPY        2,559,455,592         123,282   
   10/5/2015      USD        23,904,060         JPY        2,888,196,097         212,244   
   10/5/2015      USD        11,402,203         JPY        1,373,007,676         62,348   
   10/5/2015      USD        4         JPY        476           
   10/5/2015      USD        164,539,612         JPY        19,619,045,176         (721,493
   10/5/2015      USD        305,573,570         JPY        36,434,453,471         (1,347,570
   10/5/2015      USD        95,616,241         JPY        11,545,890,579         791,411   
   10/5/2015      USD        5,312,013         JPY        636,984,195         6,776   
   10/5/2015      USD        802,807,081         JPY        96,108,852,508         (302,611
   10/5/2015      USD        629,168,144         JPY        75,412,534,157         523,026   
   10/5/2015      USD        802,807,081         JPY        96,128,119,878         (141,729
   10/5/2015      USD        802,807,081         JPY        96,176,288,303         260,475   
   10/5/2015      USD        802,807,081         JPY        96,449,242,711         2,539,632   
   10/5/2015      USD        802,807,081         JPY        96,529,523,419         3,209,972   
   10/5/2015      USD        802,807,081         JPY        96,393,046,215         2,070,394   
   10/5/2015      USD        802,807,081         JPY        96,401,074,286         2,137,428   
   10/5/2015      USD        802,807,081         JPY        96,417,130,428         2,271,496   
   10/5/2015      USD        802,807,081         JPY        96,148,190,056         25,856   
   10/5/2015      USD        802,807,081         JPY        96,148,190,055         25,856   
   10/5/2015      USD        802,807,081         JPY        96,256,569,011         930,815   
   10/5/2015      USD        802,807,081         JPY        96,148,190,055         25,856   
   10/5/2015      USD        802,807,081         JPY        96,148,190,055         25,856   
   10/5/2015      USD        802,807,081         JPY        96,144,176,020         (7,661
   10/5/2015      USD        948,772,005         JPY        113,629,679,178         30,557   
   10/5/2015      USD        610,663,218         JPY        73,084,357,129         (412,219
   10/5/2015      USD        610,663,182         JPY        73,078,673,653         (459,639
   10/5/2015      USD        802,807,096         JPY        96,136,149,746         (74,695
   10/5/2015      USD        802,807,081         JPY        96,376,990,074         1,936,325   
   10/5/2015      USD        802,807,081         JPY        96,055,867,241         (745,035

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Japan Hedged Equity Fund (continued)

  

                                 
   11/5/2015      JPY        96,096,007,595         USD        802,807,081       $ 113,262   
   11/5/2015      JPY        96,414,320,603         USD        802,807,081         (2,545,619
   11/5/2015      JPY        96,494,360,469         USD        802,807,081         (3,214,195
   11/5/2015      JPY        96,358,926,914         USD        802,807,081         (2,082,913
   11/5/2015      JPY        96,367,757,792         USD        802,807,081         (2,156,678
   11/5/2015      JPY        96,112,866,544         USD        802,807,081         (27,561
   11/5/2015      JPY        96,220,844,096         USD        802,807,081         (929,502
   11/5/2015      JPY        96,382,609,723         USD        802,807,081         (2,280,737
   11/5/2015      JPY        96,114,070,755         USD        802,807,081         (37,620
   11/5/2015      JPY        96,113,669,351         USD        802,807,081         (34,267
   11/5/2015      JPY        96,110,377,842         USD        802,807,081         (6,773
   11/5/2015      JPY        96,115,274,965         USD        802,807,081         (47,679
   11/5/2015      JPY        113,588,881,982         USD        948,772,005         (40,497
   11/5/2015      JPY        96,076,740,225         USD        802,807,081         274,203   
   11/5/2015      JPY        96,141,526,757         USD        802,807,081         (266,961
   11/5/2015      JPY        96,102,833,251         USD        802,807,096         56,262   
   11/5/2015      JPY        96,341,666,562         USD        802,807,081         (1,938,737
   11/5/2015      JPY        96,023,353,554         USD        802,807,081         720,144   
   11/5/2015      USD        40,029,097         JPY        4,791,763,114         (3,307
                                            $ (199,911,544

Japan Hedged Financials Fund

                                               
   10/5/2015      JPY        781,420,485         USD        6,451,814       $ (73,011
   10/5/2015      JPY        781,472,744         USD        6,451,814         (73,447
   10/5/2015      JPY        781,410,807         USD        6,451,814         (72,930
   10/5/2015      JPY        595,355,722         USD        4,915,668         (55,525
   10/5/2015      JPY        781,406,291         USD        6,451,814         (72,892
   10/5/2015      USD        4,189,490         JPY        503,122,557         11,560   
   10/5/2015      USD        5,572,021         JPY        667,313,592         17   
   10/5/2015      USD        5,572,021         JPY        667,277,374         (286
   10/5/2015      USD        5,572,021         JPY        667,299,662         (100
   10/5/2015      USD        5,572,021         JPY        667,262,330         (411
   10/5/2015      USD        4,245,350         JPY        508,526,278         821   
   11/5/2015      JPY        452,040,646         USD        3,775,062         (852
   11/5/2015      JPY        593,177,392         USD        4,954,768         (67
   11/5/2015      JPY        593,150,141         USD        4,954,768         161   
   11/5/2015      JPY        593,174,915         USD        4,954,768         (46
   11/5/2015      JPY        593,146,673         USD        4,954,768         190   
                                            $ (336,818

Japan Hedged Health Care Fund

                                               
   10/1/2015      USD        45,040         JPY        5,395,049       $ 7   
   10/2/2015      USD        4,000         JPY        479,033           
   10/5/2015      JPY        376,440,308         USD        3,108,087         (35,172
   10/5/2015      JPY        376,465,483         USD        3,108,087         (35,382
   10/5/2015      JPY        376,435,646         USD        3,108,087         (35,133
   10/5/2015      JPY        286,805,829         USD        2,368,067         (26,748
   10/5/2015      JPY        376,433,470         USD        3,108,087         (35,115
   10/5/2015      USD        3,288,168         JPY        397,054,177         27,216   
   10/5/2015      USD        1,841,963         JPY        220,638,248         356   
   10/5/2015      USD        2,417,571         JPY        289,509,687         (179
   10/5/2015      USD        2,417,571         JPY        289,516,215         (124

 

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Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Japan Hedged Health Care Fund (continued)

                                               
   10/5/2015      USD        2,417,571         JPY        289,525,885       $ (43
   10/5/2015      USD        2,417,571         JPY        289,531,929         7   
   11/5/2015      JPY        254,196,379         USD        2,123,394         82   
   11/5/2015      JPY        254,209,544         USD        2,123,394         (29
   11/5/2015      JPY        254,197,865         USD        2,123,394         69   
   11/5/2015      JPY        254,208,482         USD        2,123,394         (20
   11/5/2015      JPY        193,724,675         USD        1,617,825         (365
                                            $ (140,573

Japan Hedged Quality Dividend Growth Fund

  

                                 
   10/5/2015      JPY        562,930,958         USD        4,647,540       $ (52,908
   10/5/2015      JPY        428,862,382         USD        3,540,984         (39,997
   10/5/2015      JPY        562,893,313         USD        4,647,540         (52,593
   10/5/2015      JPY        562,883,089         USD        4,647,540         (52,508
   10/5/2015      JPY        562,886,342         USD        4,647,540         (52,535
   10/5/2015      JPY        297,308,458         USD        2,459,005         (23,507
   10/5/2015      USD        3,100         JPY        373,289         17   
   10/5/2015      USD        3,933,929         JPY        471,222,931         761   
   10/5/2015      USD        5,163,280         JPY        618,362,157         15   
   10/5/2015      USD        5,163,280         JPY        618,314,655         (381
   10/5/2015      USD        5,163,280         JPY        618,328,596         (265
   10/5/2015      USD        5,163,280         JPY        618,349,249         (92
   11/5/2015      JPY        417,202,595         USD        3,484,124         (786
   11/5/2015      JPY        547,436,655         USD        4,572,909         149   
   11/5/2015      JPY        547,459,519         USD        4,572,909         (42
   11/5/2015      JPY        547,461,806         USD        4,572,909         (62
   11/5/2015      JPY        547,433,454         USD        4,572,909         175   
                                            $ (274,559

Japan Hedged Real Estate Fund

                                               
   10/5/2015      JPY        765,772,246         USD        6,322,614       $ (71,549
   10/5/2015      JPY        765,823,459         USD        6,322,614         (71,976
   10/5/2015      JPY        765,762,762         USD        6,322,614         (71,470
   10/5/2015      JPY        583,433,633         USD        4,817,231         (54,413
   10/5/2015      JPY        765,758,336         USD        6,322,614         (71,433
   10/5/2015      USD        54,000         JPY        6,502,464         295   
   10/5/2015      USD        4,808,591         JPY        575,993,706         930   
   10/5/2015      USD        6,311,274         JPY        755,806,617         (324
   10/5/2015      USD        6,311,274         JPY        755,847,641         19   
   10/5/2015      USD        6,311,274         JPY        755,831,862         (113
   10/5/2015      USD        6,311,274         JPY        755,789,577         (466
   11/5/2015      JPY        717,087,091         USD        5,990,087         230   
   11/5/2015      JPY        717,124,230         USD        5,990,087         (81
   11/5/2015      JPY        717,091,285         USD        5,990,087         195   
   11/5/2015      JPY        546,496,431         USD        4,563,877         (1,030
   11/5/2015      JPY        717,121,235         USD        5,990,087         (55
                                            $ (341,241

Japan Hedged SmallCap Equity Fund

                                               
   10/2/2015      USD        130,000         JPY        15,568,579       $ (7
   10/5/2015      JPY        3,815,634,558         USD        31,504,514         (355,858
   10/5/2015      JPY        5,008,123,656         USD        41,349,674         (467,927
   10/5/2015      JPY        5,008,458,588         USD        41,349,674         (470,723

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Japan Hedged SmallCap Equity Fund (continued)

                                               
   10/5/2015      JPY        5,008,032,686         USD        41,349,674       $ (467,167
   10/5/2015      JPY        5,008,061,631         USD        41,349,674         (467,409
   10/5/2015      JPY        2,503,606,664         USD        20,732,120         (172,880
   10/5/2015      USD        45,703,419         JPY        5,473,510,014         136   
   10/5/2015      USD        45,703,419         JPY        5,473,212,942         (2,344
   10/5/2015      USD        45,703,419         JPY        5,473,395,756         (818
   10/5/2015      USD        34,821,654         JPY        4,170,077,621         (1,699
   10/5/2015      USD        45,703,419         JPY        5,473,089,543         (3,374
   11/5/2015      JPY        3,857,049,188         USD        32,219,134         1,047   
   11/5/2015      JPY        5,062,609,357         USD        42,287,611         (569
   11/5/2015      JPY        5,062,376,775         USD        42,287,611         1,374   
   11/5/2015      JPY        5,062,588,213         USD        42,287,611         (392
   11/5/2015      JPY        5,062,347,174         USD        42,287,611         1,621   
   11/5/2015      USD        9,589,028         JPY        1,147,873,774         (792
                                            $ (2,407,781

Japan Hedged Tech, Media and Telecom Fund

  

                                 
   10/2/2015      JPY        212,115         USD        1,773       $ 2   
   10/5/2015      JPY        107,781,242         USD        889,898         (10,070
   10/5/2015      JPY        107,788,450         USD        889,898         (10,131
   10/5/2015      JPY        107,779,907         USD        889,898         (10,059
   10/5/2015      JPY        82,117,888         USD        678,022         (7,659
   10/5/2015      JPY        107,779,284         USD        889,898         (10,054
   10/5/2015      USD        678,022         JPY        81,216,390         131   
   10/5/2015      USD        889,898         JPY        106,569,734         (46
   10/5/2015      USD        889,898         JPY        106,573,294         (16
   10/5/2015      USD        889,898         JPY        106,575,519         3   
   10/5/2015      USD        889,898         JPY        106,567,332         (66
   11/5/2015      JPY        70,761,699         USD        590,942         (133
   11/5/2015      JPY        92,854,865         USD        775,610         (10
   11/5/2015      JPY        92,850,599         USD        775,610         25   
   11/5/2015      JPY        92,854,477         USD        775,610         (7
   11/5/2015      JPY        92,850,057         USD        775,610         30   
                                            $ (48,060

Japan SmallCap Dividend Fund

                                               
     10/1/2015      JPY        14,103,743         USD        117,558       $ (204

Korea Hedged Equity Fund

                                               
   10/1/2015      KRW        1,142,548,127         USD        957,229       $ (6,703
   10/5/2015      KRW        9,711,404,281         USD        8,201,507         9,246   
   10/5/2015      KRW        9,711,403,986         USD        8,202,546         10,285   
   10/5/2015      KRW        10,005,688,663         USD        8,447,897         7,386   
   10/5/2015      USD        38,930         KRW        46,125,000         (20
   10/5/2015      USD        1,879,749         KRW        2,236,525,509         6,919   
   10/5/2015      USD        28,904         KRW        34,620,000         301   
   10/5/2015      USD        944,103         KRW        1,125,370,329         5,227   
   10/5/2015      USD        10,198         KRW        12,206,337         99   
   10/5/2015      USD        7,449,212         KRW        8,831,040,658         400   
   10/5/2015      USD        7,227,070         KRW        8,571,304,678         3,436   
   10/5/2015      USD        7,231,338         KRW        8,571,304,419         (832
   11/4/2015      KRW        9,108,992,243         USD        7,674,608         (776
   11/4/2015      KRW        8,841,080,964         USD        7,449,512         (125

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      207   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Korea Hedged Equity Fund (continued)

                                               
   11/4/2015      KRW        8,841,081,232         USD        7,445,121       $ (4,517
   11/4/2015      USD        96,560         KRW        114,569,000         (23
                                            $ 30,303   

United Kingdom Hedged Equity Fund

  

                                 
   10/2/2015      GBP        4,681,239         USD        7,198,865       $ 107,959   
   10/2/2015      GBP        4,681,817         USD        7,198,865         107,083   
   10/2/2015      GBP        4,681,223         USD        7,198,865         107,982   
   10/2/2015      GBP        4,681,476         USD        7,198,865         107,600   
   10/2/2015      GBP        3,566,834         USD        5,484,852         81,991   
   10/2/2015      GBP        1,538,678         USD        2,364,875         34,164   
   10/2/2015      GBP        10,000         USD        15,148           
   10/2/2015      USD        139,004         GBP        89,752         (3,053
   10/2/2015      USD        7,666,298         GBP        5,060,831         (405
   10/2/2015      USD        5,840,991         GBP        3,855,872         (309
   10/2/2015      USD        7,666,298         GBP        5,061,365         404   
   10/2/2015      USD        7,666,298         GBP        5,060,948         (228
   10/2/2015      USD        7,666,298         GBP        5,060,971         (193
   11/3/2015      GBP        3,681,308         USD        5,575,654         232   
   11/3/2015      GBP        4,831,714         USD        7,318,042         305   
   11/3/2015      GBP        4,831,781         USD        7,318,042         204   
   11/3/2015      GBP        4,832,206         USD        7,318,042         (439
   11/3/2015      GBP        4,831,912         USD        7,318,042         5   
                                            $ 543,302   

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

KRW - South Korean won

NOK - Norwegian krone

NZD - New Zealand dollar

SEK - Swedish krona

SGD - Singapore dollar

USD - U.S. dollar

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 value of the investment of cash collateral for securities on loan along with the obligation to return such collateral are included on the Statements of Assets and Liabilities. The value of securities received as collateral for securities on loan are not included on 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 Statement 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.

 

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


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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 counterparty 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, 2015, 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
Statement of

Assets and Liabilities

    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
   

Net
Amount

        

Gross Amounts in
Statement of

Assets and Liabilities

    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
    Net
Amount
 
    Financial
Instruments
    Collateral
Received
          Financial
Instruments
    Collateral
Pledged
   

Australia Dividend Fund

  

       

Securities Lending

  $ 5,692,878      $      $ (5,692,878 )1    $          $      $      $      $   

Forward Foreign Currency Contracts

                                    22                      22   

Europe Hedged Equity Fund

  

       

Securities Lending

    402,427,361               (402,427,361 )1                                        

Forward Foreign Currency Contracts

    111,666,397        (6,240,617            105,425,780            14,511,480        (6,240,617            8,270,863   

 

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Notes to Financial Statements (unaudited) (continued)

 

     Assets          Liabilities  

Fund

 

Gross Amounts in
Statement of

Assets and Liabilities

    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
   

Net
Amount

        

Gross Amounts in
Statement of

Assets and Liabilities

    Gross Amounts Not
Offset in Statement of
Assets and Liabilities
    Net
Amount
 
    Financial
Instruments
    Collateral
Received
          Financial
Instruments
    Collateral
Pledged
   

Europe Hedged SmallCap Equity Fund

  

       

Securities Lending

  $ 19,000,424      $      $ (19,000,424 )1    $          $      $      $      $   

Forward Foreign Currency Contracts

    1,093,392                      1,093,392            27,062                      27,062   

Europe Quality Dividend Growth Fund

  

       

Securities Lending

    139,278               (139,278 )1                                        

Forward Foreign Currency Contracts

    4                      4                                   

Europe SmallCap Dividend Fund

  

       

Securities Lending

    99,698,740               (99,698,740 )1                                        

Forward Foreign Currency Contracts

    3,583                      3,583                                   

Germany Hedged Equity Fund

  

       

Securities Lending

    3,175,905               (3,175,905 )1                                        

Forward Foreign Currency Contracts

    1,441,943        (4,575            1,437,368            15,112        (4,575            10,537   

International Dividend ex-Financials Fund

  

       

Securities Lending

    25,117,689               (25,117,689 )1                                        

Forward Foreign Currency Contracts

                                    7                      7   

International Equity Fund

  

       

Securities Lending

    42,974,882               (42,974,882 )1                                        

Forward Foreign Currency Contracts

    187                      187            1,617                      1,617   

International Hedged Equity Fund

  

       

Securities Lending

    32,827               (32,827 )1                                        

Forward Foreign Currency Contracts

    16,485                      16,485            5,269                      5,269   

International Hedged Quality Dividend Growth Fund

  

       

Securities Lending

    14,768,279               (14,768,279 )1                                        

Forward Foreign Currency Contracts

    3,365,507                      3,365,507            1,371,917                      1,371,917   

International Hedged SmallCap Dividend Fund

  

       

Forward Foreign Currency Contracts

    14,894                      14,894            12,930                      12,930   

International High Dividend Fund

  

       

Securities Lending

    16,735,713               (16,735,713 )1                                        

Forward Foreign Currency Contracts

                                    116                      116   

International LargeCap Dividend Fund

  

       

Securities Lending

    15,908,190               (15,908,190 )1                                        

Forward Foreign Currency Contracts

                                    672                      672   

International MidCap Dividend Fund

  

       

Securities Lending

    21,276,298               (21,276,298 )1                                        

International SmallCap Dividend Fund

  

       

Securities Lending

    161,159,534               (161,159,534 )1                                        

Forward Foreign Currency Contracts

    114                      114            141                      141   

Japan Hedged Capital Goods Fund

  

       

Securities Lending

    53,131               (53,131 )1                                        

Forward Foreign Currency Contracts

    112                      112            28,629                      28,629   

 

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Notes to Financial Statements (unaudited) (continued)

 

     Assets          Liabilities  

Fund

 

Gross Amounts in
Statement of

Assets and Liabilities

    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
   

Net
Amount

        

Gross Amounts in
Statement of

Assets and Liabilities

    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
    Net
Amount
 
    Financial
Instruments
    Collateral
Received
          Financial
Instruments
    Collateral
Pledged
   

Japan Hedged Equity Fund

  

       

Securities Lending

  $ 1,090,512,348      $      $ (1,090,512,348 )1    $          $      $      $      $   

Forward Foreign Currency Contracts

    18,677,155        (8,794,370            9,882,785            218,588,699        (8,794,370            209,794,329   

Japan Hedged Financials Fund

  

       

Securities Lending

    667,185               (667,185 )1                                        

Forward Foreign Currency Contracts

    12,749                      12,749            349,567                      349,567   

Japan Hedged Health Care Fund

  

       

Securities Lending

    585,380               (585,380 )1                                        

Forward Foreign Currency Contracts

    27,737                      27,737            168,310                      168,310   

Japan Hedged Quality Dividend Growth Fund

  

       

Securities Lending

    2,321,542               (2,321,542 )1                                        

Forward Foreign Currency Contracts

    1,117                      1,117            275,676                      275,676   

Japan Hedged Real Estate Fund

  

       

Securities Lending

    385,175               (385,175 )1                                        

Forward Foreign Currency Contracts

    1,669                      1,669            342,910                      342,910   

Japan Hedged SmallCap Equity Fund

  

       

Securities Lending

    57,422,258               (57,422,258 )1                                        

Forward Foreign Currency Contracts

    4,178        (136            4,042            2,411,959        (136            2,411,823   

Japan Hedged Tech, Media and Telecom Fund

  

       

Securities Lending

    176,512               (176,512 )1                                        

Forward Foreign Currency Contracts

    191                      191            48,251                      48,251   

Japan Quality Dividend Growth Fund

  

       

Securities Lending

    6,616               (6,616 )1                                        

Japan SmallCap Dividend Fund

  

       

Securities Lending

    70,425,862               (70,425,862 )1                                        

Forward Foreign Currency Contracts

                                    204                      204   

Korea Hedged Equity Fund

  

       

Securities Lending

    195,140               (195,140 )1                                        

Forward Foreign Currency Contracts

    43,299        (4,917            38,382            12,996        (4,917            8,079   

United Kingdom Hedged Equity Fund

  

       

Securities Lending

    145,214               (145,214 )1                                        

Forward Foreign Currency Contracts

    547,929        (228            547,701            4,627        (228            4,399   
  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. It is the policy of each Fund to pay out dividends, if any, to investors’ at least annually. 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

 

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Notes to Financial Statements (unaudited) (continued)

 

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 TRANSACTIONS

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 a fee 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
 

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

International Dividend ex-Financials Fund

     0.58

International Equity Fund

     0.48

International Hedged Equity Fund

     0.35

International Hedged Quality Dividend Growth Fund

     0.58

International Hedged SmallCap Dividend Fund

     0.58 %* 

International High Dividend Fund

     0.58

International LargeCap Dividend Fund

     0.48

International MidCap Dividend Fund

     0.58

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 %** 

Japan Hedged Real Estate Fund

     0.48 %† 

Japan Hedged SmallCap Equity Fund

     0.58

Japan Hedged Tech, Media and Telecom Fund

     0.48 %† 

Japan Quality Dividend Growth Fund

     0.48 %** 

Japan SmallCap Dividend Fund

     0.58

Korea Hedged Equity Fund

     0.58

United Kingdom Hedged Equity Fund

     0.48
  During the period, WTAM had contractually agreed to limit the advisory fee to 0.43% through July 31, 2015. On July 31, 2015, the contractual waivers expired and were not renewed.

 

  * WTAM has contractually agreed to waive a portion of its advisory fee in an amount equal to the AFFEs attributable to the Fund’s investments in the Underlying Fund through July 31, 2018, unless earlier terminated by the Board of Trustees the Trust for any reason.

 

  ** WTAM has contractually agreed to limit the advisory fee to 0.43% through July 31, 2016, unless earlier terminated by the Board of Trustees of the Trust for any reason.

 

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Each Fund may purchase shares of affiliated exchanged-traded funds (“ETF”) in secondary market transactions. WTAM waives its advisory fees for each Fund’s investment, associated with daily uninvested cash, in correlated affiliated ETFs net of any incremental costs as a result of these transactions (fund accounting, safekeeping, transaction fees, etc.) that are paid by WTAM out of the advisory fee received from the affiliated ETFs. The dollar amount of advisory fees waived during the period for the Funds, if any, are shown in the Statements of Operations. Please see Note 7 “Other Affiliated Parties and Transactions” for additional information.

4. CAPITAL SHARE TRANSACTIONS

As of September 30, 2015, 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 designated portfolio of equity securities constituting a portfolio sampling representation of the securities included in the relevant Fund’s underlying Index 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 or period ended September 30, 2015 are shown in the below table. Realized gains and losses on sales resulting from in-kind capital share redemptions, as shown in 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

   $ 13,045,771       $ 13,034,681       $       $ 10,334,887   

Europe Hedged Equity Fund

     3,906,408,285         4,345,315,274         5,386,506,434         1,042,947,218   

Europe Hedged SmallCap Equity Fund

     63,783,281         71,039,286         135,491,765         18,158,006   

Europe Quality Dividend Growth Fund

     8,951,751         8,946,883         7,196,818           

Europe SmallCap Dividend Fund

     429,944,478         424,368,770         149,362,510           

Germany Hedged Equity Fund

     59,579,289         72,581,912         133,177,213         28,453,687   

International Dividend ex-Financials Fund

     111,347,339         111,618,948         22,237,265         16,282,030   

International Equity Fund

     73,959,574         70,168,381         75,860,363           

International Hedged Equity Fund1

     96,754         15,783         2,400,150           

International Hedged Quality Dividend Growth Fund

     201,178,880         197,801,440         401,110,410         86,388,768   

International Hedged SmallCap Dividend Fund2

     59,853         40,526         3,627,940           

International High Dividend Fund

     56,887,153         57,296,122         15,363,255         19,223,856   

International LargeCap Dividend Fund

     66,941,501         66,930,701         69,081,431         2,283,915   

International MidCap Dividend Fund

     32,416,589         32,089,404         5,921,244           

International SmallCap Dividend Fund

     459,863,750         453,898,130         172,820,693           

Japan Hedged Capital Goods Fund

     224,478         183,585                   

Japan Hedged Equity Fund

     3,300,403,683         2,632,404,920         2,673,289,376         1,711,003,347   

Japan Hedged Financials Fund

     2,911,421         2,487,575         25,681,333         6,503,692   

Japan Hedged Health Care Fund

     2,044,043         2,171,237         11,976,350         3,137,885   

Japan Hedged Quality Dividend Growth Fund3

     6,066,539         5,155,840         29,503,015         5,038,191   

Japan Hedged Real Estate Fund

     3,492,554         3,146,270                 1,338,987   

Japan Hedged SmallCap Equity Fund

     65,989,991         66,244,500         118,248,822         29,538,127   

Japan Hedged Tech, Media and Telecom Fund

     573,879         565,771                   

Japan Quality Dividend Growth Fund4

     1,771,619         730,176         2,502,141           

Japan SmallCap Dividend Fund

     83,342,760         82,960,090         30,997,760         23,952,771   

Korea Hedged Equity Fund

     16,648,069         8,831,501                   

United Kingdom Hedged Equity Fund

     6,017,843         6,421,324         11,416,661           
  1 

For the period July 9, 2015 (commencement of operations) through September 30, 2015.

 

  2 

For the period June 4, 2015 (commencement of operations) through September 30, 2015.

 

  3 

For the period April 9, 2015 (commencement of operations) through September 30, 2015.

 

  4 

For the period May 28, 2015 (commencement of operations) through September 30, 2015.

 

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6. FEDERAL INCOME TAXES

At September 30, 2015, 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/
(Depreciation)
 

Australia Dividend Fund

   $ 44,895,875       $ 1,333,135       $ (11,013,621    $ (9,680,486

Europe Hedged Equity Fund

     21,160,109,634         173,147,353         (2,731,944,481      (2,558,797,128

Europe Hedged SmallCap Equity Fund

     250,103,477         9,605,347         (25,152,797      (15,547,450

Europe Quality Dividend Growth Fund

     18,871,507         240,002         (1,937,704      (1,697,702

Europe SmallCap Dividend Fund

     1,145,948,510         47,950,631         (130,535,322      (82,584,691

Germany Hedged Equity Fund

     376,837,087         2,981,551         (58,837,326      (55,855,775

International Dividend ex-Financials Fund

     357,235,936         13,559,857         (59,336,223      (45,776,366

International Equity Fund

     692,298,536         64,099,507         (79,865,511      (15,766,004

International Hedged Equity Fund

     2,516,104         40,487         (232,701      (192,214

International Hedged Quality Dividend Growth Fund

     535,479,727         2,880,012         (45,737,228      (42,857,216

International Hedged SmallCap Dividend Fund

     3,646,422                 (345,656      (345,656

International High Dividend Fund

     335,704,266         20,459,147         (53,751,259      (33,292,112

International LargeCap Dividend Fund

     406,412,382         26,224,398         (51,396,553      (25,172,155

International MidCap Dividend Fund

     164,167,560         19,183,001         (16,503,719      2,679,282   

International SmallCap Dividend Fund

     1,186,570,658         106,843,653         (121,516,949      (14,673,296

Japan Hedged Capital Goods Fund

     2,831,150         22,655         (499,768      (477,113

Japan Hedged Equity Fund

     17,558,348,685         537,417,662         (2,010,317,966      (1,472,900,304

Japan Hedged Financials Fund

     28,010,363         168,535         (3,145,035      (2,976,500

Japan Hedged Health Care Fund

     12,240,460         50,886         (1,234,922      (1,184,036

Japan Hedged Quality Dividend Growth Fund

     27,768,533         101,533         (3,070,821      (2,969,288

Japan Hedged Real Estate Fund

     31,349,723         1,563,798         (3,363,658      (1,799,860

Japan Hedged SmallCap Equity Fund

     261,546,887         10,801,526         (15,695,222      (4,893,696

Japan Hedged Tech, Media and Telecom Fund

     4,211,679         282,511         (495,748      (213,237

Japan Quality Dividend Growth Fund

     2,478,105         16,989         (361,872      (344,883

Japan SmallCap Dividend Fund

     338,985,823         36,548,718         (21,165,715      15,383,003   

Korea Hedged Equity Fund

     26,484,863         845,415         (4,378,154      (3,532,739

United Kingdom Hedged Equity Fund

     40,913,008         879,594         (6,220,405      (5,340,811

7. OTHER AFFILIATED PARTIES AND TRANSACTIONS

Affiliated holdings are funds which are managed by, or an affiliate of, WTAM. Transactions with affiliated funds during the six months or period ended September 30, 2015 are as follows:

 

Fund    Value at
3/31/2015
     Purchases/
Additions
     Sales/
Reductions
     Value at
9/30/2015
     Dividend
Income
 

Europe SmallCap Dividend Fund

                                            

WisdomTree International MidCap Dividend Fund

   $ 940,186       $ 8,186,085       $ 5,111,008       $ 3,633,627       $ 79,463   

International Dividend ex-Financials Fund

                                            

WisdomTree International LargeCap Dividend Fund

   $ 217,173       $ 6,113,035       $ 5,419,531       $ 718,889       $ 88,362   

International Equity Fund

                                            

WisdomTree International Dividend ex-Financials Fund

   $ 1,935,496       $ 12,368,837       $ 14,193,309       $       $ 148,145   

International Hedged SmallCap Dividend Fund1

                                            

WisdomTree International SmallCap Dividend Fund

   $       $ 3,687,793       $ 40,526       $ 3,300,766       $ 51,502   

International High Dividend Fund

                                            

WisdomTree International LargeCap Dividend Fund

   $ 409,180       $ 7,572,071       $ 7,889,151       $ 68,987       $ 98,281   

 

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Notes to Financial Statements (unaudited) (continued)

 

Fund    Value at
3/31/2015
     Purchases/
Additions
     Sales/
Reductions
     Value at
9/30/2015
     Dividend
Income
 

International LargeCap Dividend Fund

                                            

WisdomTree International MidCap Dividend Fund

   $ 531,164       $ 3,206,392       $ 3,281,673       $ 258,221       $ 43,068   

International MidCap Dividend Fund

                                            

WisdomTree Australia Dividend Fund

   $ 285,049       $ 498,825       $ 757,688       $ 335       $ 4,546   

WisdomTree Japan Hedged Equity Fund

     287,065         487,056         760,974         292         2,265   

Total

   $ 572,114       $ 985,881       $ 1,518,662       $ 627       $ 6,811   

International SmallCap Dividend Fund

                                            

WisdomTree Europe SmallCap Dividend Fund

   $ 3,658,097       $ 10,726,107       $ 12,718,086       $ 1,711,461       $ 15,680   

WisdomTree Japan SmallCap Dividend Fund

     3,007,859         8,956,788         10,523,720         1,451,091           

Total

   $ 6,665,956       $ 19,682,895       $ 23,241,806       $ 3,162,552       $ 15,680   

Japan SmallCap Dividend Fund

                                            

WisdomTree Japan Hedged Equity Fund

   $ 258,844       $ 2,182,900       $ 2,425,750       $       $ 6,444   
  1 

For the period June 4, 2015 (commencement of operations) through September 30, 2015.

8. RECENT ACCOUNTING PRONOUNCEMENT

In May 2015, the FASB issued ASU 2015-07 Fair Value Measurement (Topic 820): Disclosures for Investments in Certain Entities that Calculate Net Asset Value per Share (or its Equivalent). This is an update to Fair Value Measurement Topic 820. The amendments in this ASU remove the requirement to categorize within the fair value hierarchy all investments for which fair value is measured using the net asset value per share practical expedient. The amendments also remove the requirement to make certain disclosures for all investments that are eligible to be measured at fair value using the net asset value per share practical expedient. Rather, those disclosures are limited to investments for which the entity has elected to measure the fair value using that practical expedient. ASU 2015-07 is effective for financial statements issued for fiscal years beginning after December 15, 2015, and interim periods within those fiscal years. WTAM is evaluating the impact, if any, of this guidance on the Trust’s financial statement disclosures.

 

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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 21-22, 2015 (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 series included in this report (each, a “Fund,” and, collectively, the “Funds”), pursuant to which WTAM provides the Funds with investment advisory services (the “Advisory Agreements”) and the Sub- Advisory Agreement (the “Sub-Advisory Agreement”), pursuant to which Mellon Capital Management Corporation (the “Sub-Adviser”) coordinates the investment and reinvestment of the assets of the Funds.

The Independent Trustees requested, and WTAM provided, such information as the Independent Trustees, with advice from independent legal counsel, deemed reasonably necessary to evaluate the Agreements. On June 10, 2015, a committee of Independent Trustees (the “Contracts Review Committee”) met with independent legal counsel to discuss the types of information the Independent Trustees required and the manner in which Fund management would organize and present such information. On July 15, 2015, members of the Contracts Review Committee met with representatives from WTAM for a preliminary discussion of matters relating to the Board’s consideration of the continuance of the Agreements. At a meeting of the Contracts Review Committee held on August 6, 2015, 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 the Funds and other index-based funds in the WisdomTree fund complex, 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 the 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 Agreement, 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 Lipper, Inc. (“Lipper”), an independent provider of investment company data, which included information (1) measuring each Fund’s performance by how well it tracked the relevant WisdomTree 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 Lipper as of the date of its analysis. The Contracts Review Committee and the Independent Trustees previously had reviewed and discussed the methodology Lipper used to select the Expense Groups and Expense Universes. The Board noted that the Expense Groups and Expense Universes included only pure-index exchange traded funds (“ETFs”) as comparison funds. The

 

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Approval of Investment Advisory and Sub-Advisory Agreement (unaudited) (continued)

 

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 Lipper reports may or may not provide meaningful direct comparisons to the Funds.

The Board discussed the Funds’ performance, noting that the 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 Lipper 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 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 their entire management fee and reimbursement of certain operating expenses. The Board noted that the Funds’ actual management fees and total expenses generally were within 10 basis points of the actual management fees and total expenses of the funds in their respective Expense Groups and Expense Universes. In those specific instances where a Fund’s actual management fees or 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, the unique attributes of a Fund or certain comparison funds and temporary fee waivers in place for marketing or other reasons.

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), although the current trend is positive. 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 advisers, respectively, and noted that there were no soft dollar

 

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Approval of Investment Advisory and Sub-Advisory Agreement (unaudited) (concluded)

 

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 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

 

WisdomTree Developed World ex-U.S. and Currency Hedged Equity Funds      219   


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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, 2015:

 

WisdomTree Domestic Earnings and Dividend Funds

 

WisdomTree Dividend ex-Financials Fund (DTN)

 

WisdomTree Earnings 500 Fund (EPS)

 

WisdomTree High Dividend Fund (DHS)

 

WisdomTree LargeCap Dividend Fund (DLN)

 

WisdomTree LargeCap Value Fund (EZY)

 

WisdomTree MidCap Dividend Fund (DON)

 

WisdomTree MidCap Earnings Fund (EZM)

 

WisdomTree SmallCap Dividend Fund (DES)

 

WisdomTree SmallCap Earnings Fund (EES)

 

WisdomTree Total Dividend Fund (DTD)

 

WisdomTree Total Earnings Fund (EXT)

 

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

 

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

 

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 International Dividend ex-Financials Fund (DOO)

 

WisdomTree International Equity Fund (DWM)

 

WisdomTree International Hedged Equity Fund (HDWM)

 

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

 

WisdomTree International Hedged SmallCap Dividend Fund (HDLS)

 

WisdomTree International High Dividend Fund (DTH)

 

WisdomTree International LargeCap Dividend Fund (DOL)

 

WisdomTree International MidCap Dividend Fund (DIM)

 

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 Hedged Tech, Media and Telecom Fund (DXJT)

 

WisdomTree Japan Quality Dividend Growth Fund (JDG)

 

WisdomTree Japan SmallCap Dividend Fund (DFJ)

 

WisdomTree Korea Hedged Equity Fund (DXKW)

 

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 Commodity Country Equity Fund (CCXE)

 

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. Hedged Dividend Fund (DXUS)

 

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

 

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

 

WisdomTree Global ex-U.S. Utilities Fund (DBU)

 

WisdomTree Global High Dividend Fund (DEW)

 

WisdomTree Global Natural Resources Fund (GNAT)

 

WisdomTree India Earnings Fund (EPI)

 

WisdomTree Middle East Dividend Fund (GULF)

 

WisdomTree Dollar Sensitive Equity Funds

 

WisdomTree Strong Dollar U.S. Equity Fund (USSD)

 

WisdomTree Weak Dollar U.S. Equity Fund (USWD)

 

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 Commodity Currency Strategy Fund (CCX)

 

WisdomTree Emerging Currency Strategy Fund (CEW)

 

WisdomTree Indian Rupee Strategy Fund (ICN)

 

WisdomTree Fixed Income Funds

 

WisdomTree Asia Local Debt Fund (ALD)

 

WisdomTree Australia & New Zealand Debt Fund (AUNZ)

 

WisdomTree Barclays U.S. Aggregate Bond Enhanced Yield Fund (AGGY)

 

WisdomTree Barclays U.S. Aggregate Bond Negative Duration Fund (AGND)

 

WisdomTree Barclays U.S. Aggregate Bond Zero Duration Fund (AGZD)

 

WisdomTree Bloomberg Floating Rate Treasury Fund (USFR)

 

WisdomTree BofA Merrill Lynch High Yield Bond Negative Duration Fund (HYND)

 

WisdomTree BofA Merrill Lynch High Yield Bond Zero Duration Fund (HYZD)

 

WisdomTree Emerging Markets Corporate Bond Fund (EMCB)

 

WisdomTree Emerging Markets Local Debt Fund (ELD)

 

WisdomTree Japan Interest Rate Strategy Fund (JGBB)

 

WisdomTree Strategic Corporate Bond Fund (CRDT)

 

WisdomTree Western Asset Unconstrained Bond Fund (UBND)

 

WisdomTree Alternative Funds

 

WisdomTree Global Real Return Fund (RRF)

 

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 in large amounts of 50,000 shares or more.


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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)

(formerly, WisdomTree Europe Dividend Growth Fund)

WisdomTree Europe SmallCap Dividend Fund (DFE)

WisdomTree Germany Hedged Equity Fund (DXGE)

WisdomTree International Dividend ex-Financials Fund (DOO)

WisdomTree International Equity Fund (DWM)

(formerly, WisdomTree DEFA Fund)

WisdomTree International Hedged Equity Fund (HDWM)

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

(formerly, WisdomTree International Hedged Dividend Growth Fund)

WisdomTree International Hedged SmallCap Dividend Fund (HDLS)

WisdomTree International High Dividend Fund (DTH)

(formerly, WisdomTree DEFA Equity Income Fund)

WisdomTree International LargeCap Dividend Fund (DOL)

WisdomTree International MidCap Dividend Fund (DIM)

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)

(formerly, WisdomTree Japan Hedged Dividend Growth Fund)

WisdomTree Japan Hedged Real Estate Fund (DXJR)

WisdomTree Japan Hedged SmallCap Equity Fund (DXJS)

WisdomTree Japan Hedged Tech, Media and Telecom Fund (DXJT)

WisdomTree Japan Quality Dividend Growth Fund (JDG)

(formerly, WisdomTree Japan Dividend Growth Fund)

WisdomTree Japan SmallCap Dividend Fund (DFJ)

WisdomTree Korea Hedged Equity Fund (DXKW)

WisdomTree United Kingdom Hedged Equity Fund (DXPS)

WisdomTree Fund shares are distributed by Foreside Fund Services, LLC.

WTGM-0810


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LOGO

 

LOGO

 

WisdomTree Trust

Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

Semi-Annual Report

September 30, 2015

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

(formerly, WisdomTree China Dividend ex-Financials Fund (CHXF))

WisdomTree Commodity Country Equity Fund (CCXE)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

WisdomTree Emerging Markets High Dividend Fund (DEM)

(formerly, WisdomTree Emerging Markets Equity Income Fund)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

(formerly, WisdomTree Emerging Markets Dividend Growth Fund)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

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

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

(formerly, WisdomTree Global ex-U.S. Dividend Growth Fund)

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

WisdomTree Global ex-U.S. Utilities Fund (DBU)

WisdomTree Global High Dividend Fund (DEW)

(formerly, WisdomTree Global Equity Income Fund)

WisdomTree Global Natural Resources Fund (GNAT)

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)

       17   

Shareholder Expense Examples (unaudited)

       20   
Schedules of Investments (unaudited)     

WisdomTree Asia Pacific ex-Japan Fund

       23   

WisdomTree China ex-State-Owned Enterprises Fund

       26   

WisdomTree Commodity Country Equity Fund

       28   

WisdomTree Emerging Markets Consumer Growth Fund

       30   

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund

       33   

WisdomTree Emerging Markets High Dividend Fund

       38   

WisdomTree Emerging Markets Quality Dividend Growth Fund

       42   

WisdomTree Emerging Markets SmallCap Dividend Fund

       45   

WisdomTree Global ex-U.S. Hedged Dividend Fund

       52   

WisdomTree Global ex-U.S. Quality Dividend Growth Fund

       57   

WisdomTree Global ex-U.S. Real Estate Fund

       61   

WisdomTree Global ex-U.S. Utilities Fund

       64   

WisdomTree Global High Dividend Fund

       66   

WisdomTree Global Natural Resources Fund

       73   

WisdomTree India Earnings Fund (consolidated)

       75   

WisdomTree Middle East Dividend Fund

       79   

Statements of Assets and Liabilities (unaudited)

       80   

Statements of Operations (unaudited)

       84   

Statements of Changes in Net Assets (unaudited)

       88   

Financial Highlights (unaudited)

       94   

Notes to Financial Statements (unaudited)

       102   

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

       128   

General Information (unaudited)

       131   

 

“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 9/30/15

 

Sector   % of
Net Assets
 

Financials

    25.3%   

Telecommunication Services

    23.5%   

Information Technology

    8.4%   

Materials

    8.1%   

Energy

    7.8%   

Industrials

    7.1%   

Consumer Staples

    6.6%   

Utilities

    5.0%   

Consumer Discretionary

    3.8%   

Investment Company

    3.3%   

Healthcare

    0.8%   

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 9/30/15

 

Description   % of Net Assets  

China Mobile Ltd.

    9.2%   

China Construction Bank Corp., Class H

    5.0%   

Telstra Corp., Ltd.

    3.1%   

iPath MSCI India Index ETN

    2.9%   

Taiwan Semiconductor Manufacturing Co., Ltd.

    2.8%   

CNOOC Ltd.

    2.2%   

Samsung Electronics Co., Ltd.

    2.1%   

Singapore Telecommunications Ltd.

    2.0%   

BHP Billiton Ltd.

    2.0%   

Commonwealth Bank of Australia

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.48%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -17.35      -16.32      -2.73      0.63      5.23

Fund Market Price Returns

       -17.03      -16.09      -2.37      0.71      5.28

WisdomTree Pacific ex-Japan Dividend/Asia Pacific ex-Japan Spliced Index2

       -17.34      -16.39      -2.44      1.15      6.10

MSCI Pacific ex-Japan/MSCI AC Asia Pacific ex-Japan Spliced Index3

       -17.48      -14.46      -0.97      0.61      4.86
* 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 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. 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)

(formerly, WisdomTree China Dividend ex-Financials Fund (CHXF))

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Information Technology

    35.6%   

Consumer Discretionary

    25.4%   

Financials

    19.0%   

Consumer Staples

    10.3%   

Healthcare

    6.2%   

Industrials

    1.9%   

Materials

    1.2%   

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 9/30/15

 

Description   % of Net Assets  

Alibaba Group Holding Ltd., ADR

    15.4%   

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

    10.1%   

JD.com, Inc., ADR

    9.5%   

Tencent Holdings Ltd.

    6.4%   

Baidu, Inc., ADR

    4.7%   

Hengan International Group Co., Ltd.

    3.2%   

China Minsheng Banking Corp., Ltd., Class H

    2.8%   

Ctrip.com International Ltd., ADR

    2.7%   

Want Want China Holdings Ltd.

    2.6%   

NetEase, Inc., ADR

    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 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 chart 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, 2015, the Fund’s net and gross annual expense ratios were 0.53% and 0.63%, respectively. WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.53% effective July 1, 2015 through July 31, 2016, unless earlier terminated by the Board of Trustees of the Trust for any reason at any time.

Performance as of 9/30/15

 

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

Since

Inception1

 

Fund NAV Returns

       -21.51      -16.44      -2.90      -2.88

Fund Market Price Returns

       -22.50      -17.37      -2.97      -3.41

WisdomTree China Dividend ex-Financials/China ex-State-Owned Enterprises Spliced Index2

       -20.14      -14.69      -2.08      -2.07

MSCI China Index

       -18.05      -5.04      3.82      3.84

FTSE China 50 Index

       -19.69      -5.27      3.25      3.11
* 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. 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 Commodity Country Equity Fund (CCXE)

 

Sector Breakdown as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    26.1%   

Energy

    20.3%   

Telecommunication Services

    16.7%   

Materials

    9.4%   

Consumer Staples

    8.7%   

Consumer Discretionary

    6.7%   

Utilities

    4.7%   

Industrials

    3.7%   

Healthcare

    2.2%   

Information Technology

    0.9%   

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 9/30/15

 

Description   % of Net Assets  

Statoil ASA

    5.2%   

Spark New Zealand Ltd.

    3.7%   

Telenor ASA

    3.0%   

Ambev S.A.

    2.8%   

Gazprom PAO, ADR

    2.4%   

Fletcher Building Ltd.

    2.2%   

MTN Group Ltd.

    2.2%   

Enersis S.A.

    2.2%   

Rosneft OAO, GDR Reg S

    2.1%   

Vodacom Group 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 investment of cash collateral for securities on loan (if any).

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -17.30      -27.47      -9.19      -2.47      0.83

Fund Market Price Returns

       -16.86      -27.40      -9.15      -2.51      0.69

WisdomTree International Basic Materials Sector/Commodity Country Equity Spliced Index2

       -17.25      -27.27      -8.89      -2.11      1.40

S&P Developed ex-U.S. BMI Materials Sector/MSCI ACWI ex-USA Spliced Index3

       -11.71      -12.16      2.34      2.94      0.78
* 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 13, 2006. The S&P Developed ex-U.S. Sector Index total returns are based on the index’s inception date of April 1, 2008.

2 

WisdomTree International Basic Materials Sector Index through June 17, 2011; WisdomTree Commodity Country Equity Index thereafter.

3 

S&P Developed ex-U.S. BMI Materials Sector Index through June 17, 2011; MSCI ACWI ex-USA 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. 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 Consumer Growth Fund (EMCG)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Staples

    27.4%   

Consumer Discretionary

    27.1%   

Financials

    26.7%   

Telecommunication Services

    7.5%   

Industrials

    3.6%   

Information Technology

    3.6%   

Utilities

    2.7%   

Healthcare

    1.1%   

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 9/30/15

 

Description   % of Net Assets  

Ambev S.A.

    6.9%   

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

    5.4%   

China Life Insurance Co., Ltd., Class H

    4.5%   

Astra International Tbk PT

    2.6%   

Dongfeng Motor Group Co., Ltd., Class H

    2.2%   

MTN Group Ltd.

    1.9%   

Magnit PJSC, GDR Reg S

    1.8%   

Great Wall Motor Co., Ltd., Class H

    1.8%   

S.A.C.I. Falabella

    1.7%   

Huaneng Power International, Inc., Class H

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.63%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -21.00      -21.20      -9.92

Fund Market Price Returns

       -20.79      -20.97      -10.06

WisdomTree Emerging Markets Consumer Growth Index

       -20.83      -20.23      -9.17

MSCI Emerging Markets Index

       -17.33      -19.28      -8.78
* 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. 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 ex-State-Owned Enterprises Fund (XSOE)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Information Technology

    23.0%   

Financials

    20.7%   

Consumer Discretionary

    15.6%   

Consumer Staples

    11.3%   

Materials

    6.9%   

Industrials

    6.6%   

Energy

    5.1%   

Telecommunication Services

    5.0%   

Healthcare

    4.1%   

Utilities

    1.5%   

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 9/30/15

 

Description   % of Net Assets  

Tencent Holdings Ltd.

    5.5%   

Samsung Electronics Co., Ltd.

    3.0%   

Baidu, Inc., ADR

    2.2%   

Taiwan Semiconductor Manufacturing Co., Ltd.

    2.2%   

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

    2.0%   

Naspers Ltd., Class N

    1.8%   

Ambev S.A.

    1.4%   

Reliance Industries Ltd., GDR

    1.3%   

Lukoil PJSC, ADR

    1.3%   

Infosys Ltd., ADR

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

        Cumulative Total Return  
        6-Month      Since
Inception1
 

Fund NAV Returns

       -17.70      -15.58

Fund Market Price Returns

       -17.77      -15.13

WisdomTree Emerging Markets ex-State-Owned Enterprises Index

       -16.60      -14.24

MSCI Emerging Markets Index

       -17.33      -15.52
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. 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 High Dividend Fund (DEM)

(formerly, WisdomTree Emerging Markets Equity Income Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    28.6%   

Energy

    18.7%   

Telecommunication Services

    16.0%   

Materials

    9.9%   

Utilities

    6.9%   

Information Technology

    6.1%   

Industrials

    5.0%   

Consumer Discretionary

    4.4%   

Consumer Staples

    3.6%   

Investment Company

    0.1%   

Healthcare

    0.1%   

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 9/30/15

 

Description   % of Net Assets  

China Construction Bank Corp., Class H

    4.8%   

Gazprom PAO, ADR

    4.5%   

Rosneft OAO, GDR Reg S

    4.0%   

Industrial & Commercial Bank of China Ltd., Class H

    3.7%   

Lukoil PJSC, ADR

    3.2%   

Bank of China Ltd., Class H

    2.8%   

MMC Norilsk Nickel PJSC, ADR

    2.8%   

MTN Group Ltd.

    2.0%   

Advanced Info Service PCL

    1.7%   

Vodacom Group 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 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. Prior to August 31, 2015, the WisdomTree Emerging Markets High Dividend Index was named the WisdomTree Emerging Markets Equity Income Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.63%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -18.79      -27.06      -10.89      -5.68      -0.87

Fund Market Price Returns

       -18.22      -26.47      -10.76      -5.77      -1.18

WisdomTree Emerging Markets High Dividend Index

       -18.52      -25.98      -9.92      -4.70      0.15

MSCI Emerging Markets Index

       -17.33      -19.28      -5.27      -3.58      -2.07
* 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. 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 Quality Dividend Growth Fund (DGRE)

(formerly, WisdomTree Emerging Markets Dividend Growth Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Staples

    19.5%   

Information Technology

    17.7%   

Telecommunication Services

    17.0%   

Consumer Discretionary

    11.5%   

Materials

    8.4%   

Financials

    6.3%   

Energy

    5.8%   

Industrials

    5.0%   

Investment Company

    3.8%   

Utilities

    2.7%   

Healthcare

    2.1%   

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 9/30/15

 

Description   % of Net Assets  

Taiwan Semiconductor Manufacturing Co., Ltd.

    6.5%   

Ambev S.A.

    5.0%   

MTN Group Ltd.

    3.9%   

iPath MSCI India Index ETN

    3.8%   

Advanced Info Service PCL, NVDR

    3.5%   

Vodacom Group Ltd.

    3.3%   

Sasol Ltd.

    2.5%   

NovaTek OAO, GDR Reg S

    2.5%   

Telekomunikasi Indonesia Persero Tbk PT

    1.9%   

Cielo S.A.

    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 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. Prior to August 31, 2015, the WisdomTree Emerging Markets Quality Dividend Growth Index was named the WisdomTree Emerging Markets Dividend Growth Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.63%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -18.29      -22.56      -9.54

Fund Market Price Returns

       -17.62      -22.26      -9.95

WisdomTree Emerging Markets Quality Dividend Growth Index

       -18.12      -21.84      -8.72

MSCI Emerging Markets Index

       -17.33      -19.28      -5.98
* 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. 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 Emerging Markets SmallCap Dividend Fund (DGS)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    18.5%   

Industrials

    17.7%   

Consumer Discretionary

    15.8%   

Information Technology

    13.9%   

Materials

    12.4%   

Consumer Staples

    8.1%   

Utilities

    5.6%   

Healthcare

    3.9%   

Energy

    2.3%   

Investment Company

    1.0%   

Telecommunication Services

    0.4%   

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 9/30/15

 

Description   % of Net Assets  

iPath MSCI India Index ETN

    1.0%   

Macquarie Korea Infrastructure Fund

    1.0%   

Delta Electronics Thailand PCL

    0.9%   

HAP Seng Consolidated Bhd

    0.9%   

Grupo Aeroportuario del Centro Norte S.A.B. de C.V.

    0.8%   

AVI Ltd.

    0.7%   

Semirara Mining and Power Corp.

    0.7%   

EDP-Energias do Brasil S.A.

    0.7%   

Foschini Group Ltd. (The)

    0.7%   

Bumrungrad Hospital PCL

    0.7%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes 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 chart 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, 2015, the Fund’s annual expense ratio was 0.63%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -17.63      -20.80      -5.22      -3.38      -1.16

Fund Market Price Returns

       -17.31      -20.43      -5.17      -3.55      -1.17

WisdomTree Emerging Markets SmallCap Dividend Index

       -17.30      -19.54      -4.21      -2.32      -0.04

MSCI Emerging Markets Small Cap Index

       -12.92      -15.23      -1.09      -2.43      -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 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. 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. Hedged Dividend Fund (DXUS)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    24.2%   

Consumer Discretionary

    11.3%   

Consumer Staples

    10.8%   

Telecommunication Services

    10.2%   

Industrials

    9.8%   

Healthcare

    9.1%   

Energy

    7.6%   

Materials

    6.1%   

Information Technology

    4.7%   

Utilities

    4.3%   

Investment Company

    1.3%   

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 9/30/15

 

Description   % of Net Assets  

Toyota Motor Corp.

    1.9%   

Nestle S.A., Registered Shares

    1.7%   

Novartis AG, Registered Shares

    1.6%   

Roche Holding AG, Genusschein

    1.4%   

iShares MSCI India ETF

    1.3%   

Vodafone Group PLC

    1.2%   

HSBC Holdings PLC

    1.1%   

GlaxoSmithKline PLC

    1.1%   

BP PLC

    1.0%   

Total S.A.

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.44%.

Performance as of 9/30/15

 

        Cumulative Total Return  
        Since
Inception1
 

Fund NAV Returns

       -12.21

Fund Market Price Returns

       -12.21

WisdomTree Global ex-U.S. Hedged Dividend Index

       -11.96

MSCI AC World ex-USA Local Index

       -12.31
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. 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 ex-U.S. Quality Dividend Growth Fund (DNL)

(formerly, WisdomTree Global ex-U.S. Dividend Growth Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Consumer Discretionary

    22.9%   

Information Technology

    14.2%   

Industrials

    11.9%   

Consumer Staples

    11.6%   

Healthcare

    9.5%   

Financials

    7.9%   

Telecommunication Services

    7.5%   

Materials

    6.8%   

Energy

    4.1%   

Investment Company

    2.3%   

Utilities

    1.0%   

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 9/30/15

 

Description   % of Net Assets  

Novo Nordisk A/S, Class B

    5.0%   

Taiwan Semiconductor Manufacturing Co., Ltd.

    4.7%   

Ambev S.A.

    4.6%   

Industria de Diseno Textil S.A.

    3.1%   

Hennes & Mauritz AB, Class B

    2.8%   

iPath MSCI India Index ETN

    2.3%   

MTN Group Ltd.

    2.1%   

Syngenta AG, Registered Shares

    2.0%   

Vodacom Group Ltd.

    1.8%   

Sky 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 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. Prior to August 31, 2015, the WisdomTree Global ex-U.S. Quality Dividend Growth Index was named the WisdomTree Global ex-U.S. Dividend Growth Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -12.91      -12.25      -1.52      -0.72      1.00

Fund Market Price Returns

       -12.94      -12.11      -1.42      -0.70      1.07

WisdomTree Japan Equity Income/Global ex-U.S. Quality Dividend Growth Spliced Index2

       -12.76      -11.83      -0.93      -0.02      1.57

MSCI Japan Value/MSCI AC World ex-USA Growth Spliced Index3

       -10.25      -8.12      3.63      2.74      3.15
* 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. 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 Global ex-U.S. Real Estate Fund (DRW)

 

Industry Breakdown† as of 9/30/15

 

Industry   % of
Net Assets
 

Real Estate Investment Trusts (REITs)

    55.8%   

Real Estate Management & Development

    43.6%   

Health Care Providers & Services

    0.3%   

Other Assets less Liabilities

    0.3%   

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 9/30/15

 

Description   % of Net Assets  

Unibail-Rodamco SE

    4.6%   

Westfield Corp.

    4.3%   

Sun Hung Kai Properties Ltd.

    3.7%   

Klepierre

    2.9%   

Federation Centres

    2.1%   

British Land Co. PLC (The)

    2.0%   

China Overseas Land & Investment Ltd.

    2.0%   

Wharf Holdings Ltd. (The)

    1.9%   

Daiwa House Industry Co., Ltd.

    1.8%   

Land Securities Group PLC

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -10.72      -4.70      2.03      4.29      -2.06

Fund Market Price Returns

       -10.54      -4.27      2.15      4.15      -2.20

WisdomTree International Real Estate/Global ex-U.S. Real Estate Spliced Index2

       -10.73      -4.47      2.22      4.46      -1.92

Dow Jones Global ex-U.S. Select Real Estate Securities Index

       -7.62      -2.44      4.98      6.46      -1.60
* 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. 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 Global ex-U.S. Utilities Fund (DBU)

 

Industry Breakdown† as of 9/30/15

 

Industry   % of
Net Assets
 

Electric Utilities

    35.7%   

Multi-Utilities

    20.4%   

Independent Power and Renewable Electricity Producers

    20.4%   

Gas Utilities

    13.3%   

Water Utilities

    8.6%   

Investment Company

    1.3%   

Other Assets less Liabilities

    0.3%   

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 9/30/15

 

Description   % of Net Assets  

China Power International Development Ltd.

    3.2%   

Veolia Environnement S.A.

    2.8%   

SSE PLC

    2.4%   

AGL Energy Ltd.

    2.3%   

Snam SpA

    2.3%   

Huaneng Power International, Inc., Class H

    2.3%   

A2A SpA

    2.3%   

Suez Environnement Co.

    2.2%   

United Utilities Group PLC

    2.2%   

National Grid PLC

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

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

The following performance chart 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, 2015, as revised October 7, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -7.11      -14.42      0.62      -0.43      -0.97

Fund Market Price Returns

       -6.83      -14.27      0.70      -0.37      -1.04

WisdomTree International Utilities Sector/Global ex-U.S. Utilities Spliced Index2

       -7.19      -14.26      0.87      -0.43      -0.82

S&P Developed ex-U.S. BMI Utilities Sector Index

       -3.48      -11.52      3.61      -0.16      -3.83
* 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 13, 2006. The S&P Developed ex-U.S. BMI Utilities Sector Index total returns are based on the index’s inception date of April 1, 2008.

2 

WisdomTree International Utilities Sector Index through June 17, 2011; WisdomTree Global ex-U.S. Utilities 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. 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

Performance Summary (unaudited)

WisdomTree Global High Dividend Fund (DEW)

(formerly, WisdomTree Global Equity Income Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    24.5%   

Telecommunication Services

    14.9%   

Energy

    11.6%   

Consumer Staples

    10.1%   

Utilities

    9.8%   

Industrials

    8.9%   

Consumer Discretionary

    6.4%   

Healthcare

    6.2%   

Materials

    5.1%   

Information Technology

    1.7%   

Investment Company

    0.4%   

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 9/30/15

 

Description   % of Net Assets  

General Electric Co.

    1.7%   

AT&T, Inc.

    1.7%   

China Construction Bank Corp., Class H

    1.7%   

China Mobile Ltd.

    1.6%   

Verizon Communications, Inc.

    1.6%   

Nestle S.A., Registered Shares

    1.6%   

Pfizer, Inc.

    1.5%   

BP PLC

    1.3%   

Vodafone Group PLC

    1.3%   

GlaxoSmithKline PLC

    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 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. Prior to August 31, 2015, the WisdomTree Global High Dividend Index was named the WisdomTree Global Equity Income Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -10.99      -14.02      1.50      3.00      1.65

Fund Market Price Returns

       -10.86      -13.67      1.45      2.93      1.57

WisdomTree Europe Equity Income/Global High Dividend Spliced Index2

       -11.17      -14.22      1.71      3.12      1.93

MSCI Europe Value/MSCI AC World Spliced Index3

       -9.14      -6.66      6.95      6.82      3.18
* 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. 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      13   


Table of Contents

Performance Summary (unaudited)

WisdomTree Global Natural Resources Fund (GNAT)

 

Industry Breakdown† as of 9/30/15

 

Industry   % of
Net Assets
 

Oil, Gas & Consumable Fuels

    43.5%   

Metals & Mining

    27.9%   

Energy Equipment & Services

    11.2%   

Chemicals

    10.8%   

Food Products

    5.8%   

Investment Company

    0.4%   

Other Assets less Liabilities

    0.4%   

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 9/30/15

 

Description   % of Net Assets  

Antofagasta PLC

    3.2%   

MMC Norilsk Nickel PJSC, ADR

    2.9%   

Woodside Petroleum Ltd.

    2.6%   

Diamond Offshore Drilling, Inc.

    2.5%   

Eni SpA

    2.3%   

Lukoil PJSC, ADR

    2.2%   

BP PLC

    2.2%   

Rosneft OAO, GDR Reg S

    2.0%   

Fortescue Metals Group Ltd.

    1.9%   

Total S.A.

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

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.58%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -22.74      -39.56      -17.73      -10.05      -4.79

Fund Market Price Returns

       -22.69      -39.28      -17.51      -10.04      -4.85

WisdomTree International Energy Sector/Global Natural Resources Spliced Index2

       -22.81      -39.60      -17.52      -9.62      -4.47

S&P Developed ex-U.S. BMI Energy Sector/S&P Global Natural Resources Spliced Index3

       -22.72      -31.21      -11.61      -5.98      -5.40
* 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 October 13, 2006. The S&P Developed ex-U.S. BMI Energy Sector Index total returns are based on the index’s inception date of April 1, 2008.

2 

WisdomTree International Energy Sector Index through June 17, 2011; WisdomTree Global Natural Resources Index thereafter.

3 

S&P Developed ex-U.S. BMI Energy Sector Index through June 17, 2011; S&P Global Natural Resources 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. 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 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 9/30/15

 

Sector   % of
Net Assets
 

Financials

    25.4%   

Information Technology

    19.5%   

Energy

    17.2%   

Consumer Discretionary

    8.5%   

Healthcare

    6.1%   

Materials

    5.5%   

Industrials

    5.4%   

Utilities

    4.7%   

Consumer Staples

    4.6%   

Telecommunication Services

    2.8%   

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 9/30/15

 

Description   % of Net Assets  

Reliance Industries Ltd.

    8.9%   

Infosys Ltd.

    8.7%   

Housing Development Finance Corp., Ltd.

    5.8%   

ICICI Bank Ltd.

    3.8%   

Tata Consultancy Services Ltd.

    3.6%   

Tata Motors Ltd.

    3.3%   

Oil & Natural Gas Corp., Ltd.

    3.1%   

Axis Bank Ltd.

    2.4%   

HCL Technologies Ltd.

    2.3%   

State Bank of India

    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 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 chart 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, 2015, the Fund’s annual expense ratio was 0.83%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -12.03      -9.31      2.34      -4.68      -2.21

Fund Market Price Returns

       -11.80      -8.21      2.77      -4.58      -2.20

WisdomTree India Earnings Index

       -11.04      -8.27      3.55      -3.48      -0.82

MSCI India Index

       -10.11      -5.90      4.28      -1.80      -0.77
* 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. 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      15   


Table of Contents

Performance Summary (unaudited)

WisdomTree Middle East Dividend Fund (GULF)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of
Net Assets
 

Financials

    63.0%   

Telecommunication Services

    16.5%   

Industrials

    12.5%   

Energy

    2.1%   

Utilities

    1.5%   

Consumer Staples

    1.4%   

Consumer Discretionary

    1.2%   

Materials

    1.1%   

Healthcare

    0.2%   

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 9/30/15

 

Description   % of Net Assets  

Qatar National Bank SAQ

    8.0%   

First Gulf Bank PJSC

    7.9%   

Industries Qatar QSC

    7.8%   

Maroc Telecom

    5.9%   

Mobile Telecommunications Co. KSC

    4.7%   

Abu Dhabi Commercial Bank PJSC

    4.5%   

National Bank of Kuwait SAKP

    4.3%   

National Bank of Abu Dhabi PJSC

    3.7%   

Oman Telecommunications Co. SAOG

    2.6%   

Ahli United Bank BSC

    2.6%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes 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 chart 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, 2015, the Fund’s annual expense ratio was 0.88%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -6.16      -19.00      11.99      7.60      0.05

Fund Market Price Returns

       -6.48      -20.37      11.92      7.17      -0.34

WisdomTree Middle East Dividend Index

       -5.58      -18.25      12.21      8.03      1.29

MSCI Arabian Markets ex-Saudi Arabia Index

       -6.64      -22.19      5.43      1.83      -4.99
* 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. 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 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 ex-USA Local 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 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 capitalization weighted index that is comprised of stocks in China.

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 comprised of stocks in India.

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 S&P Developed ex-U.S. BMI Sector Indexes are indexes that track specific sectors of developed global markets outside the United States. The S&P Developed ex-U.S. BMI Utilities Index includes companies that are classified as members of the GICS utilities sector and sub-industries; the S&P Developed ex-U.S. BMI Materials Index includes companies of the GICS material sector and sub-industries; the S&P Developed ex-U.S. BMI Energy Index includes companies of the GICS energy sector and sub-industries.

The S&P Global Natural Resources Index is comprised of the largest publicly traded companies in natural resources and commodities businesses that meet specific eligibility requirements.

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.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      17   


Table of Contents

Description of Indexes (unaudited) (continued)

 

 

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 Commodity Country Equity Index is comprised of dividend-paying companies in developed and emerging market countries outside the U.S. and Canada in the Commodities sector.

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.

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. 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. 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 ex-U.S. Utilities Index is comprised of dividend-paying

companies in developed and emerging market countries outside the U.S. and Canada in the Utilities sector.

The WisdomTree Global High Dividend Index is comprised of high dividend-paying companies selected from the WisdomTree Global Dividend Index.

The WisdomTree Global Natural Resources Index is comprised of dividend-paying companies in developed and emerging market countries outside the U.S. and Canada in the Natural Resources sector.

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.

 

18   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Description of Indexes (unaudited) (concluded)

 

The WisdomTree International Sector Indexes, which encompass Basic Materials, Energy and Utilities, are derived from the WisdomTree DEFA Index, and measure the performance of dividend-paying companies in developed markets outside the U.S. and Canada, within their specific international sectors.

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 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 and WisdomTree Asset Management (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 net 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      19   


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, 2015 to September 30, 2015.

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 4/1/15 to 9/30/15” 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.

 

20   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Shareholder Expense Examples (unaudited) (continued)

 

      Beginning
Account Value
4/1/15
     Ending
Account Value
9/30/15
     Annualized
Expense Ratio
Based on the
Period
4/1/15 to
9/30/15
    Expenses Paid
During the
Period†
4/1/15 to
9/30/15
 

WisdomTree Asia Pacific ex-Japan Fund

          

Actual

   $ 1,000.00       $ 826.50         0.48   $ 2.19   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.60         0.48   $ 2.43   

WisdomTree China ex-State-Owned Enterprises Fund

          

Actual

   $ 1,000.00       $ 784.90         0.59 %*    $ 2.63   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.05         0.59 %*    $ 2.98   

WisdomTree Commodity Country Equity Fund

          

Actual

   $ 1,000.00       $ 827.00         0.58   $ 2.65   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.10         0.58   $ 2.93   

WisdomTree Emerging Markets Consumer Growth Fund

          

Actual

   $ 1,000.00       $ 790.00         0.63   $ 2.82   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,021.85         0.63   $ 3.18   

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund

          

Actual

   $ 1,000.00       $ 823.00         0.58   $ 2.64   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.10         0.58   $ 2.93   

WisdomTree Emerging Markets High Dividend Fund

          

Actual

   $ 1,000.00       $ 812.10         0.63   $ 2.85   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,021.85         0.63   $ 3.18   

WisdomTree Emerging Markets Quality Dividend Growth Fund

          

Actual

   $ 1,000.00       $ 817.10         0.63   $ 2.86   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,021.85         0.63   $ 3.18   

WisdomTree Emerging Markets SmallCap Dividend Fund

          

Actual

   $ 1,000.00       $ 823.70         0.63   $ 2.87   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,021.85         0.63   $ 3.18   

WisdomTree Global ex-U.S. Hedged Dividend Fund

          

Actual1

   $ 1,000.00       $ 877.90         0.44   $ 1.35   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.80         0.44   $ 2.23   

WisdomTree Global ex-U.S. Quality Dividend Growth Fund

          

Actual

   $ 1,000.00       $ 870.90         0.58   $ 2.71   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.10         0.58   $ 2.93   

WisdomTree Global ex-U.S. Real Estate Fund

          

Actual

   $ 1,000.00       $ 892.80         0.58   $ 2.74   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.10         0.58   $ 2.93   

WisdomTree Global ex-U.S. Utilities Fund

          

Actual

   $ 1,000.00       $ 928.90         0.58   $ 2.80   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.10         0.58   $ 2.93   

WisdomTree Global High Dividend Fund

          

Actual

   $ 1,000.00       $ 890.10         0.58   $ 2.74   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.10         0.58   $ 2.93   

WisdomTree Global Natural Resources Fund

          

Actual

   $ 1,000.00       $ 772.60         0.58   $ 2.57   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,022.10         0.58   $ 2.93   

WisdomTree India Earnings Fund (consolidated)

          

Actual

   $ 1,000.00       $ 879.70         0.84   $ 3.95   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,020.80         0.84   $ 4.24   

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      21   


Table of Contents

Shareholder Expense Examples (unaudited) (concluded)

 

 

      Beginning
Account Value
4/1/15
     Ending
Account Value
9/30/15
     Annualized
Expense Ratio
Based on the
Period
4/1/15 to
9/30/15
    Expenses Paid
During the
Period†
4/1/15 to
9/30/15
 

WisdomTree Middle East Dividend Fund

          

Actual

   $ 1,000.00       $ 938.40         0.88   $ 4.26   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,020.60         0.88   $ 4.45   
Expenses are calculated using each Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/366 (to reflect the one-half year period).

 

* WisdomTree Asset Management, Inc. has contractually agreed to limit the management fee to 0.53% effective July 1, 2015 through July 31, 2016, unless earlier terminated by the Board of Trustees of the WisdomTree Trust for any reason.

 

1 

Fund commenced operations on June 4, 2015. Actual expenses are calculated using the Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 119/366 (to reflect the period since commencement of operations).

 

22   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 96.4%      
Australia – 20.6%      

AGL Energy Ltd.

     13,305       $ 149,215   

Amcor Ltd.

     17,361         160,566   

AMP Ltd.

     27,555         107,589   

Aurizon Holdings Ltd.

     36,549         128,589   

Australia & New Zealand Banking Group Ltd.

     28,822         548,106   

BHP Billiton Ltd.

     56,217         877,210   

Brambles Ltd.

     20,486         140,123   

CIMIC Group Ltd.(a)

     8,882         146,579   

Coca-Cola Amatil Ltd.

     22,124         139,985   

Commonwealth Bank of Australia

     16,600         847,723   

Crown Resorts Ltd.

     10,784         74,973   

CSL Ltd.

     2,908         182,159   

Fortescue Metals Group Ltd.(a)

     92,281         117,944   

Insurance Australia Group Ltd.(a)

     29,851         101,460   

Macquarie Group Ltd.

     2,886         155,366   

National Australia Bank Ltd.

     26,940         567,180   

Orica Ltd.(a)

     9,309         98,320   

Origin Energy Ltd.

     15,767         67,542   

QBE Insurance Group Ltd.

     4,845         43,857   

Rio Tinto Ltd.

     8,752         298,700   

Santos Ltd.(a)

     16,232         45,368   

Sonic Healthcare Ltd.

     8,475         108,616   

Suncorp Group Ltd.

     14,350         122,842   

Telstra Corp., Ltd.

     336,003         1,323,725   

Wesfarmers Ltd.

     25,253         695,524   

Westpac Banking Corp.

     35,658         743,713   

Woodside Petroleum Ltd.

     24,569         499,146   

Woolworths Ltd.(a)

     24,655         430,079   
     

 

 

 
Total Australia         8,922,199   
China – 27.2%      

Agricultural Bank of China Ltd. Class H

     398,000         150,469   

Bank of China Ltd. Class H

     1,126,255         483,923   

Bank of Communications Co., Ltd. Class H

     418,955         290,293   

Beijing Enterprises Holdings Ltd.

     7,000         41,955   

China Construction Bank Corp. Class H

     3,242,100         2,154,414   

China Life Insurance Co., Ltd. Class H

     24,396         84,362   

China Merchants Bank Co., Ltd. Class H

     60,904         146,955   

China Merchants Holdings International Co., Ltd.

     44,850         131,656   

China Mobile Ltd.

     334,234         3,959,030   

China National Building Material Co., Ltd. Class H(a)

     54,973         31,636   

China Overseas Land & Investment Ltd.

     45,065         136,066   

China Petroleum & Chemical Corp. Class H

     592,261         359,940   

China Resources Power Holdings Co., Ltd.

     86,218         196,687   

China Shenhua Energy Co., Ltd. Class H

     94,736         144,731   

China Telecom Corp., Ltd. Class H

     799,038         384,567   

China Unicom Hong Kong Ltd.

     196,345         248,533   

CITIC Ltd.(a)

     44,000         80,051   

CNOOC Ltd.(a)

     930,561         952,168   

Dongfeng Motor Group Co., Ltd. Class H

     84,181         104,818   

Fosun International Ltd.(a)

     60,500         103,825   

Guangdong Investment Ltd.

     90,000         133,780   

Industrial & Commercial Bank of China Ltd. Class H

     1,114,270       $ 641,240   

Lenovo Group Ltd.(a)

     103,000         86,785   

PetroChina Co., Ltd. Class H

     446,919         309,670   

PICC Property & Casualty Co., Ltd. Class H

     65,444         127,172   

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

     18,646         92,267   

Sinopharm Group Co., Ltd. Class H

     13,251         46,335   

Sun Art Retail Group Ltd.(a)

     157,225         120,707   
     

 

 

 
Total China         11,744,035   
Hong Kong – 7.2%      

AIA Group Ltd.

     33,925         175,314   

BOC Hong Kong Holdings Ltd.

     97,889         287,350   

CLP Holdings Ltd.

     49,104         419,124   

Hang Lung Properties Ltd.

     33,000         73,920   

Hang Seng Bank Ltd.

     16,003         287,433   

Henderson Land Development Co., Ltd.

     19,196         114,184   

Hong Kong & China Gas Co., Ltd.

     106,062         198,711   

Hong Kong Exchanges and Clearing Ltd.

     5,135         117,143   

MTR Corp., Ltd.

     88,765         384,837   

New World Development Co., Ltd.

     73,409         71,041   

Power Assets Holdings Ltd.

     37,079         349,736   

Sino Land Co., Ltd.

     60,924         92,289   

SJM Holdings Ltd.(a)

     191,276         135,250   

Sun Hung Kai Properties Ltd.

     16,534         214,407   

Swire Properties Ltd.

     33,800         93,331   

Wharf Holdings Ltd. (The)

     20,350         114,222   
     

 

 

 
Total Hong Kong         3,128,292   
India – 0.3%      

Infosys Ltd. ADR

     6,967         133,000   
Indonesia – 3.0%      

Astra International Tbk PT

     698,561         249,145   

Bank Central Asia Tbk PT

     89,475         74,970   

Bank Mandiri Persero Tbk PT

     149,424         80,832   

Bank Rakyat Indonesia Persero Tbk PT

     159,000         93,881   

Indocement Tunggal Prakarsa Tbk PT

     91,800         103,079   

Perusahaan Gas Negara Persero Tbk PT

     486,700         84,051   

Semen Indonesia Persero Tbk PT

     61,833         38,197   

Telekomunikasi Indonesia Persero Tbk PT

     1,530,900         276,398   

Unilever Indonesia Tbk PT

     90,835         235,613   

United Tractors Tbk PT

     58,000         69,184   
     

 

 

 
Total Indonesia         1,305,350   
Malaysia – 5.8%      

Astro Malaysia Holdings Bhd

     99,500         63,832   

Axiata Group Bhd

     134,300         177,203   

British American Tobacco Malaysia Bhd

     7,000         96,057   

DiGi.Com Bhd

     163,500         206,432   

Genting Malaysia Bhd

     78,440         74,055   

IOI Corp. Bhd

     147,600         136,662   

Kuala Lumpur Kepong Bhd

     17,300         85,403   

Malayan Banking Bhd

     102,094         198,811   

Maxis Bhd

     226,100         336,906   

Petronas Chemicals Group Bhd

     116,408         162,599   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      23   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Petronas Dagangan Bhd

     18,000       $ 89,350   

Petronas Gas Bhd

     27,300         136,384   

Public Bank Bhd

     32,490         129,494   

Sime Darby Bhd

     107,600         190,685   

Telekom Malaysia Bhd

     67,700         102,880   

Tenaga Nasional Bhd

     62,500         170,904   

YTL Corp. Bhd

     381,000         138,679   
     

 

 

 
Total Malaysia         2,496,336   
Philippines – 2.0%      

Aboitiz Equity Ventures, Inc.

     126,350         155,978   

Aboitiz Power Corp.

     139,600         129,027   

Manila Electric Co.

     9,650         61,195   

Philippine Long Distance Telephone Co.

     6,770         317,208   

SM Investments Corp.

     6,786         129,288   

Universal Robina Corp.

     23,020         94,562   
     

 

 

 
Total Philippines         887,258   
Singapore – 6.6%      

DBS Group Holdings Ltd.

     22,817         260,119   

Hutchison Port Holdings Trust(a)

     330,007         181,504   

Jardine Cycle & Carriage Ltd.

     6,878         130,701   

Keppel Corp., Ltd.(a)

     36,484         173,966   

Oversea-Chinese Banking Corp., Ltd.(a)

     22,001         136,007   

Sembcorp Industries Ltd.(a)

     44,716         108,810   

Sembcorp Marine Ltd.(a)

     52,357         84,322   

Singapore Airlines Ltd.

     30,457         229,193   

Singapore Press Holdings Ltd.(a)

     45,200         122,068   

Singapore Technologies Engineering Ltd.(a)

     76,225         159,752   

Singapore Telecommunications Ltd.

     348,177         881,523   

StarHub Ltd.(a)

     44,100         107,311   

United Overseas Bank Ltd.

     9,774         127,511   

Wilmar International Ltd.

     78,800         142,426   
     

 

 

 
Total Singapore         2,845,213   
South Korea – 6.4%      

Coway Co., Ltd.

     831         58,681   

Hyundai Mobis Co., Ltd.

     507         99,022   

Hyundai Motor Co.

     1,317         182,222   

Kangwon Land, Inc.

     2,649         94,535   

KB Financial Group, Inc.

     1,868         55,553   

Kia Motors Corp.

     2,589         117,076   

Korea Zinc Co., Ltd.

     166         65,193   

KT&G Corp.

     2,617         246,178   

LG Chem Ltd.

     628         151,265   

LG Corp.

     1,678         86,215   

LG Household & Health Care Ltd.

     59         42,509   

POSCO

     1,206         171,443   

Samsung Electronics Co., Ltd.

     946         905,057   

Samsung Heavy Industries Co., Ltd.

     2,680         27,811   

Samsung Life Insurance Co., Ltd.

     594         49,563   

SK Holdings Co., Ltd.

     453         93,252   

SK Telecom Co., Ltd.

     473         104,951   

SK Telecom Co., Ltd. ADR(a)

     8,459         206,400   
     

 

 

 
Total South Korea         2,756,926   
Taiwan – 12.2%      

Advanced Semiconductor Engineering, Inc.

     126,175       $ 135,266   

Asustek Computer, Inc.

     24,740         212,256   

Cathay Financial Holding Co., Ltd.

     73,614         100,492   

Cheng Shin Rubber Industry Co., Ltd.

     77,948         127,832   

China Steel Corp.(a)

     219,078         127,744   

Chunghwa Telecom Co., Ltd.

     97,436         292,360   

CTBC Financial Holding Co., Ltd.

     45,805         23,579   

Delta Electronics, Inc.

     40,000         187,078   

Far Eastern New Century Corp.

     129,683         115,396   

Far EasTone Telecommunications Co., Ltd.

     82,000         176,813   

First Financial Holding Co., Ltd.

     66,112         30,117   

Formosa Chemicals & Fibre Corp.

     88,685         179,915   

Formosa Petrochemical Corp.

     164,511         391,199   

Formosa Plastics Corp.

     69,444         146,364   

Fubon Financial Holding Co., Ltd.

     70,803         110,309   

Hon Hai Precision Industry Co., Ltd.

     135,120         351,265   

Hua Nan Financial Holdings Co., Ltd.

     86,536         40,210   

MediaTek, Inc.

     27,000         199,666   

Nan Ya Plastics Corp.

     128,537         217,042   

President Chain Store Corp.

     15,000         93,387   

Quanta Computer, Inc.

     115,000         199,423   

Taiwan Cement Corp.

     116,772         118,270   

Taiwan Mobile Co., Ltd.

     98,100         299,417   

Taiwan Semiconductor Manufacturing Co., Ltd.

     306,241         1,209,060   

Uni-President Enterprises Corp.

     82,346         142,547   

Yuanta Financial Holding Co., Ltd.

     80,159         29,700   
     

 

 

 
Total Taiwan         5,256,707   
Thailand – 5.1%      

Advanced Info Service PCL

     65,900         410,343   

Advanced Info Service PCL NVDR

     14,800         92,156   

Airports of Thailand PCL NVDR

     17,484         135,363   

Bangkok Bank PCL NVDR

     12,700         55,986   

Charoen Pokphand Foods PCL

     92,399         52,698   

CP ALL PCL

     84,900         111,695   

Intouch Holdings PCL NVDR

     88,585         177,560   

Krung Thai Bank PCL NVDR

     142,100         66,949   

PTT Exploration & Production PCL

     79,513         153,352   

PTT Global Chemical PCL

     132,394         196,065   

PTT PCL

     46,600         308,142   

PTT PCL NVDR

     8,300         54,883   

Siam Cement PCL (The) NVDR

     17,771         227,187   

Siam Commercial Bank PCL (The)

     21,700         80,116   

Total Access Communication PCL NVDR

     42,881         68,229   
     

 

 

 
Total Thailand         2,190,724   

TOTAL COMMON STOCKS

(Cost: $48,449,889)

              41,666,040   
RIGHTS – 0.0%      
China – 0.0%      

Fosun International Ltd., expiring 10/19/15* (Cost $0)

     7,616         0   

 

See Notes to Financial Statements.

 

24   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Asia Pacific ex-Japan Fund (AXJL)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
EXCHANGE-TRADED FUNDS AND NOTES – 3.3%      
United States – 3.3%      

iPath MSCI India Index ETN*(a)

     19,033       $ 1,259,604   

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

     5,506         143,156   
     

 

 

 

TOTAL EXCHANGE-TRADED FUNDS AND NOTES

(Cost: $1,204,914)

              1,402,760   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 9.5%   
United States – 9.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $4,091,789)(d)      4,091,789         4,091,789   

TOTAL INVESTMENTS IN SECURITIES – 109.2%

(Cost: $53,746,592)

        47,160,589   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (9.2)%

        (3,957,987
     

 

 

 
NET ASSETS – 100.0%             $ 43,202,602   
* Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Affiliated company (See Note 8).

 

(c)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d)

At September 30, 2015, the total market value of the Fund’s securities on loan was $4,054,750 and the total market value of the collateral held by the Fund was $4,274,062. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $182,273.

ADR – American Depositary Receipt

ETN – Exchange-Traded Note

NVDR – Non-Voting Depositary Receipt

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      25   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree China ex-State-Owned Enterprises Fund (CXSE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%      
China – 99.6%      
Auto Components – 0.9%      

Minth Group Ltd.

     24,000       $ 42,797   

Xinyi Glass Holdings Ltd.

     76,000         33,930   
     

 

 

 
Total Auto Components         76,727   
Automobiles – 3.5%      

Byd Co., Ltd. Class H*(a)

     20,500         108,054   

Geely Automobile Holdings Ltd.

     170,000         80,942   

Great Wall Motor Co., Ltd. Class H

     100,500         111,003   
     

 

 

 
Total Automobiles         299,999   
Banks – 2.8%      

China Minsheng Banking Corp., Ltd. Class H

     256,000         235,849   
Chemicals – 0.3%      

Huabao International Holdings Ltd.

     77,000         24,342   
Communications Equipment – 0.4%      

ZTE Corp. Class H

     15,400         35,052   
Diversified Consumer Services – 1.1%      

New Oriental Education & Technology Group, Inc. ADR

     3,030         61,236   

TAL Education Group ADR*

     1,117         35,912   
     

 

 

 
Total Diversified Consumer Services         97,148   
Electronic Equipment, Instruments & Components – 1.7%   

AAC Technologies Holdings, Inc.(a)

     15,500         96,499   

Kingboard Chemical Holdings Ltd.

     16,500         19,992   

Sunny Optical Technology Group Co., Ltd.

     12,000         23,814   
     

 

 

 
Total Electronic Equipment, Instruments & Components         140,305   
Food & Staples Retailing – 0.8%      

Sun Art Retail Group Ltd.(a)

     93,000         71,400   
Food Products – 6.3%      

Tingyi Cayman Islands Holding Corp.

     86,000         136,711   

Uni-President China Holdings Ltd.(a)

     55,000         53,083   

Want Want China Holdings Ltd.

     267,000         219,111   

WH Group Ltd.*(b)

     247,000         122,384   
     

 

 

 
Total Food Products         531,289   
Health Care Equipment & Supplies – 1.2%      

Mindray Medical International Ltd. ADR

     3,017         65,982   

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

     60,000         37,780   
     

 

 

 
Total Health Care Equipment & Supplies         103,762   
Household Durables – 0.9%      

Haier Electronics Group Co., Ltd.

     47,000         78,353   
Insurance – 10.1%      

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

     172,500         853,591   
Internet & Catalog Retail – 13.8%      

Ctrip.com International Ltd. ADR*

     3,654         230,860   

JD.com, Inc. ADR*

     30,878         804,681   

Vipshop Holdings Ltd. ADR*(a)

     8,279         139,087   
     

 

 

 
Total Internet & Catalog Retail         1,174,628   
Internet Software & Services – 32.2%      

Alibaba Group Holding Ltd. ADR*

     22,130       $ 1,305,006   

Baidu, Inc. ADR*

     2,926         402,062   

Bitauto Holdings Ltd. ADR*

     827         24,620   

NetEase, Inc. ADR

     1,403         168,528   

Qihoo 360 Technology Co., Ltd. ADR*

     1,564         74,806   

SINA Corp.*

     1,503         60,300   

Sohu.com, Inc.*

     614         25,358   

SouFun Holdings Ltd. ADR

     5,166         34,096   

Tencent Holdings Ltd.

     32,400         540,554   

Youku Tudou, Inc. ADR*

     3,409         60,101   

YY, Inc. ADR*

     621         33,869   
     

 

 

 
Total Internet Software & Services         2,729,300   
Life Sciences Tools & Services – 1.4%      

WuXi PharmaTech Cayman, Inc. ADR*

     2,776         119,951   
Machinery – 1.4%      

China Conch Venture Holdings Ltd.

     38,363         81,379   

Haitian International Holdings Ltd.

     24,000         39,576   
     

 

 

 
Total Machinery         120,955   
Paper & Forest Products – 1.0%      

Lee & Man Paper Manufacturing Ltd.

     83,000         41,982   

Nine Dragons Paper Holdings Ltd.

     75,000         38,806   
     

 

 

 
Total Paper & Forest Products         80,788   
Personal Products – 3.2%      

Hengan International Group Co., Ltd.

     27,500         267,369   
Pharmaceuticals – 3.5%      

China Medical System Holdings Ltd.

     55,000         62,948   

Luye Pharma Group Ltd.*

     61,107         54,326   

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     12,500         39,113   

Sihuan Pharmaceutical Holdings Group Ltd.

     47,000         21,395   

Sino Biopharmaceutical Ltd.

     100,000         122,838   
     

 

 

 
Total Pharmaceuticals         300,620   
Real Estate Management & Development – 6.2%      

China Vanke Co., Ltd. Class H

     47,976         102,389   

Country Garden Holdings Co., Ltd.

     268,000         96,479   

Evergrande Real Estate Group Ltd.(a)

     163,000         92,541   

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

     41,600         37,681   

Longfor Properties Co., Ltd.

     44,500         56,041   

Shimao Property Holdings Ltd.

     43,500         65,222   

SOHO China Ltd.

     87,500         33,984   

Sunac China Holdings Ltd.

     73,000         38,054   
     

 

 

 
Total Real Estate Management & Development         522,391   
Road & Rail – 0.5%      

CAR, Inc.*

     28,635         41,234   
Semiconductors & Semiconductor Equipment – 1.2%   

GCL-Poly Energy Holdings Ltd.*(a)

     161,000         30,953   

Hanergy Thin Film Power Group Ltd.*†

     502,000         70,294   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         101,247   

 

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 China ex-State-Owned Enterprises Fund (CXSE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Software – 0.2%      

Kingsoft Corp., Ltd.

     8,000       $ 15,587   
Specialty Retail – 0.7%      

GOME Electrical Appliances Holding Ltd.

     410,000         62,425   
Textiles, Apparel & Luxury Goods – 4.3%      

ANTA Sports Products Ltd.

     42,000         108,386   

Belle International Holdings Ltd.

     185,000         159,935   

Shenzhou International Group Holdings Ltd.

     19,000         97,819   
     

 

 

 
Total Textiles, Apparel & Luxury Goods         366,140   

TOTAL COMMON STOCKS

(Cost: $10,665,038)

              8,450,452   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 5.5%   
United States – 5.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $465,220)(d)      465,220         465,220   

TOTAL INVESTMENTS IN SECURITIES – 105.1%

(Cost: $11,130,258)

        8,915,672   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (5.1)%

        (428,647
     

 

 

 
NET ASSETS – 100.0%             $ 8,487,025   
* Non-income producing security.

 

Security is being fair valued by a valuation committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $91,689, which represents 1.1% of net assets.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (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, 2015.

 

(d)

At September 30, 2015, the total market value of the Fund’s securities on loan was $503,700 and the total market value of the collateral held by the Fund was $538,580. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $73,360.

ADR – American Depositary Receipt

 

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 Commodity Country Equity Fund (CCXE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%      
Australia – 11.8%      

AGL Energy Ltd.

     1,307       $ 14,658   

Amcor Ltd.

     1,508         13,947   

AMP Ltd.

     3,740         14,603   

Australia & New Zealand Banking Group Ltd.

     4,739         90,121   

BHP Billiton Ltd.

     5,420         84,574   

Coca-Cola Amatil Ltd.

     2,023         12,800   

Commonwealth Bank of Australia(a)

     2,692         137,474   

CSL Ltd.

     256         16,036   

Fortescue Metals Group Ltd.(a)

     8,539         10,914   

Insurance Australia Group Ltd.(a)

     4,637         15,761   

Macquarie Group Ltd.

     387         20,834   

National Australia Bank Ltd.

     4,489         94,509   

Origin Energy Ltd.

     1,471         6,301   

Rio Tinto Ltd.

     764         26,075   

Suncorp Group Ltd.

     2,098         17,960   

Telstra Corp., Ltd.

     31,295         123,290   

Wesfarmers Ltd.(a)

     2,363         65,082   

Westpac Banking Corp.

     5,269         109,895   

Woodside Petroleum Ltd.(a)

     2,260         45,914   

Woolworths Ltd.(a)

     2,319         40,452   
     

 

 

 
Total Australia         961,200   
Brazil – 9.2%      

Ambev S.A.

     46,750         228,000   

Banco Bradesco S.A.

     3,876         22,992   

Banco do Brasil S.A.

     9,306         35,523   

Banco Santander Brasil S.A.

     7,430         23,529   

BB Seguridade Participacoes S.A.

     4,670         29,097   

BM&FBovespa S.A. – Bolsa de Valores Mercadorias e Futuros

     3,950         10,991   

BRF S.A.

     1,019         18,064   

CCR S.A.

     7,015         21,440   

Cia Siderurgica Nacional S.A.

     9,415         9,269   

Cielo S.A.

     5,274         48,555   

CPFL Energia S.A.*

     4,494         16,782   

Itau Unibanco Holding S.A.

     6,550         40,334   

Natura Cosmeticos S.A.

     1,659         8,124   

Petroleo Brasileiro S.A.*

     18,933         40,605   

Porto Seguro S.A.

     1,908         14,423   

Souza Cruz S.A.

     6,789         45,693   

Tim Participacoes S.A.

     6,514         12,286   

Transmissora Alianca de Energia Eletrica S.A.

     3,627         17,370   

Ultrapar Participacoes S.A.

     1,462         24,526   

Vale S.A.

     20,247         84,304   
     

 

 

 
Total Brazil         751,907   
Canada – 12.7%      

Bank of Montreal

     972         52,765   

Bank of Nova Scotia (The)

     1,801         79,028   

BCE, Inc.

     2,285         93,091   

Canadian Imperial Bank of Commerce(a)

     617         44,125   

Canadian Natural Resources Ltd.

     1,470         28,496   

Crescent Point Energy Corp.(a)

     1,796         20,456   

Enbridge, Inc.

     1,291       $ 47,713   

Great-West Lifeco, Inc.

     1,528         36,436   

Husky Energy, Inc.(a)

     2,515         39,037   

Manulife Financial Corp.

     1,935         29,789   

Potash Corp. of Saskatchewan, Inc.

     2,104         43,047   

Power Financial Corp.(a)

     1,193         27,229   

Rogers Communications, Inc. Class B

     1,271         43,590   

Royal Bank of Canada(a)

     2,002         110,187   

Sun Life Financial, Inc.(a)

     909         29,181   

Suncor Energy, Inc.

     2,193         58,379   

TELUS Corp.

     1,341         42,059   

Thomson Reuters Corp.

     1,733         69,335   

Toronto-Dominion Bank (The)

     2,494         97,848   

TransCanada Corp.(a)

     1,456         45,829   
     

 

 

 
Total Canada         1,037,620   
Chile – 12.8%      

Administradora de Fondos de Pensiones Habitat S.A.

     8,446         9,844   

Aguas Andinas S.A. Class A

     46,329         24,043   

Banco de Chile

     1,136,759         118,210   

Banco de Credito e Inversiones

     976         39,523   

Banco Santander Chile

     2,467,630         111,556   

CAP S.A.

     2,857         7,487   

Cencosud S.A.

     15,351         29,823   

Cia Cervecerias Unidas S.A.

     2,672         29,396   

Corpbanca S.A.

     3,404,261         29,916   

Empresa Nacional de Electricidad S.A.

     90,295         106,033   

Empresa Nacional de Telecomunicaciones S.A.

     4,701         44,282   

Empresas CMPC S.A.

     10,579         27,164   

Empresas COPEC S.A.

     10,786         97,639   

Enersis S.A.

     698,858         175,588   

Inversiones Aguas Metropolitanas S.A.

     19,404         26,752   

Inversiones La Construccion S.A.

     1,638         17,625   

S.A.C.I. Falabella

     18,179         112,383   

Sociedad Matriz del Banco de Chile S.A. Class B

     73,003         20,208   

SONDA S.A.

     9,262         13,830   
     

 

 

 
Total Chile         1,041,302   
New Zealand – 14.7%      

Air New Zealand Ltd.

     52,666         82,710   

Auckland International Airport Ltd.

     35,809         111,786   

Fisher & Paykel Healthcare Corp., Ltd.

     21,811         99,063   

Fletcher Building Ltd.

     40,719         177,126   

Fonterra Co-operative Group Ltd.(a)

     1,390         4,837   

Heartland New Zealand Ltd.(a)

     15,345         10,994   

Kathmandu Holdings Ltd.(a)

     12,705         11,378   

Mainfreight Ltd.

     2,405         23,308   

Metlifecare Ltd.

     2,033         5,501   

Nuplex Industries Ltd.

     11,150         27,746   

Ryman Healthcare Ltd.

     9,516         44,499   

Sky Network Television Ltd.(a)

     31,623         94,066   

SKYCITY Entertainment Group Ltd.

     46,602         111,494   

Spark New Zealand Ltd.

     158,213         301,603   

Summerset Group Holdings Ltd.

     4,615         10,421   

 

See Notes to Financial Statements.

 

28   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Commodity Country Equity Fund (CCXE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Tower Ltd.(a)

     9,646       $ 12,341   

Trade Me Group Ltd.

     29,383         68,795   
     

 

 

 
Total New Zealand         1,197,668   
Norway – 13.5%      

Aker ASA Class A

     599         10,393   

Atea ASA*

     1,429         13,109   

DNB ASA

     4,511         58,543   

Gjensidige Forsikring ASA

     2,909         39,082   

Kongsberg Gruppen ASA

     520         7,498   

Leroy Seafood Group ASA

     393         14,098   

Marine Harvest ASA*

     6,419         81,573   

Norsk Hydro ASA

     7,549         25,098   

Orkla ASA

     7,799         57,693   

Petroleum Geo-Services ASA(a)

     2,581         9,903   

Salmar ASA

     1,382         21,791   

SpareBank 1 SR-Bank ASA

     808         4,016   

Statoil ASA

     28,875         420,092   

Telenor ASA

     12,935         240,958   

TGS Nopec Geophysical Co. ASA(a)

     941         17,353   

Veidekke ASA

     1,032         11,524   

Wilh. Wilhelmsen ASA

     1,020         4,377   

Yara International ASA

     1,518         60,418   
     

 

 

 
Total Norway         1,097,519   
Russia – 12.8%      

Gazprom Neft OAO ADR

     2,983         32,813   

Gazprom PAO ADR

     48,886         196,522   

Lukoil PJSC ADR

     4,109         139,542   

Magnit PJSC GDR Reg S

     492         23,503   

MegaFon PJSC GDR Reg S

     3,161         38,406   

MMC Norilsk Nickel PJSC ADR

     8,377         120,168   

Mobile TeleSystems PJSC ADR

     7,398         53,414   

NovaTek OAO GDR Reg S

     570         52,725   

Novolipetsk Steel OJSC GDR Reg S

     1,319         15,103   

PhosAgro OAO GDR Reg S

     998         13,772   

Rosneft OAO GDR Reg S

     47,309         174,570   

Rostelecom PJSC ADR

     1,036         8,205   

RusHydro PJSC ADR

     5,675         5,334   

Sberbank of Russia ADR

     11,825         58,362   

Severstal PAO GDR Reg S

     1,706         18,084   

Sistema JSFC GDR Reg S

     5,442         37,441   

Tatneft PAO ADR

     1,087         30,382   

VTB Bank PJSC GDR Reg S

     10,072         20,345   
     

 

 

 
Total Russia         1,038,691   
South Africa – 11.9%      

Barclays Africa Group Ltd.

     5,073         62,445   

Bidvest Group Ltd. (The)(a)

     1,492         35,201   

Coronation Fund Managers Ltd.

     2,170         10,247   

Exxaro Resources Ltd.(a)

     2,837         10,772   

FirstRand Ltd.

     25,502         90,650   

Imperial Holdings Ltd.

     1,502         18,417   

Liberty Holdings Ltd.

     1,507         13,760   

MMI Holdings Ltd.

     9,084         15,629   

MTN Group Ltd.

     13,672         176,005   

Naspers Ltd. Class N

     229       $ 28,663   

Nedbank Group Ltd.

     2,423         38,499   

Remgro Ltd.

     814         14,842   

RMB Holdings Ltd.

     6,302         30,045   

Sanlam Ltd.

     7,343         31,757   

Sasol Ltd.(a)

     3,935         110,306   

Shoprite Holdings Ltd.

     2,275         25,858   

Standard Bank Group Ltd.

     7,530         73,519   

Vodacom Group Ltd.

     15,002         149,185   

Woolworths Holdings Ltd.

     4,754         33,282   
     

 

 

 
Total South Africa               969,082   

TOTAL COMMON STOCKS

(Cost: $11,824,444)

              8,094,989   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 8.1%   
United States – 8.1%      
State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)
(Cost: $657,438)(c)
     657,438         657,438   

TOTAL INVESTMENTS IN SECURITIES – 107.5%

(Cost: $12,481,882)

        8,752,427   

Liabilities in Excess of Cash, Foreign Currency and
Other Assets – (7.5)%

   

     (609,252
     

 

 

 
NET ASSETS – 100.0%             $ 8,143,175   
* Non-income producing security.

 

(a) Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) At September 30, 2015, the total market value of the Fund’s securities on loan was $760,562 and the total market value of the collateral held by the Fund was $801,088. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $143,650.

ADR – American Depositary Receipt

GDR – Global 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      29   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
Brazil – 13.8%      

AES Tiete S.A.

     8,692       $ 30,713   

Ambev S.A.

     163,612         797,937   

Arteris S.A.

     4,658         11,113   

BB Seguridade Participacoes S.A.

     12,322         76,774   

CCR S.A.

     12,198         37,281   

Cia Hering

     4,560         16,090   

CVC Brasil Operadora e Agencia de Viagens S.A.

     2,104         7,292   

Cyrela Brazil Realty S.A. Empreendimentos e Participacoes

     16,608         34,493   

Direcional Engenharia S.A.

     8,266         7,515   

Estacio Participacoes S.A.

     1,878         6,650   

Even Construtora e Incorporadora S.A.

     16,004         13,826   

Ez Tec Empreendimentos e Participacoes S.A.

     9,037         26,235   

Grendene S.A.

     7,190         31,833   

Guararapes Confeccoes S.A.

     1,328         16,342   

Helbor Empreendimentos S.A.

     12,924         6,232   

Localiza Rent a Car S.A.

     2,180         13,380   

Lojas Americanas S.A.

     11,572         34,263   

Lojas Renner S.A.

     7,890         36,458   

M. Dias Branco S.A.

     1,278         18,647   

Magazine Luiza S.A.

     5,486         2,480   

MRV Engenharia e Participacoes S.A.

     15,582         23,831   

Natura Cosmeticos S.A.

     6,312         30,910   

Porto Seguro S.A.

     7,514         56,799   

Sonae Sierra Brasil S.A.

     1,654         6,023   

Souza Cruz S.A.

     22,166         149,185   

Sul America S.A.

     5,836         26,161   

Tecnisa S.A.

     13,826         10,764   

Tractebel Energia S.A.

     6,388         54,159   

Via Varejo S.A.

     14,980         14,897   
     

 

 

 
Total Brazil         1,598,283   
Chile – 3.4%      

Administradora de Fondos de Pensiones Habitat S.A.

     11,009         12,831   

Cencosud S.A.

     39,186         76,129   

Cia Cervecerias Unidas S.A.

     6,146         67,614   

Empresa Nacional de Telecomunicaciones S.A.

     3,736         35,192   

S.A.C.I. Falabella

     31,544         195,005   
     

 

 

 
Total Chile         386,771   
China – 28.2%      

Air China Ltd. Class H

     90,000         70,954   

Anhui Expressway Co., Ltd. Class H

     26,000         21,135   

Baidu, Inc. ADR*

     889         122,158   

Bank of Chongqing Co., Ltd. Class H

     67,500         46,596   

China Life Insurance Co., Ltd. Class H

     151,000         522,164   

China Pacific Insurance Group Co., Ltd. Class H

     45,800         169,311   

China Southern Airlines Co., Ltd. Class H

     98,000         71,951   

Chongqing Rural Commercial Bank Co., Ltd. Class H(a)

     232,900         131,325   

Datang International Power Generation Co., Ltd. Class H

     126,000         47,636   

Dongfeng Motor Group Co., Ltd. Class H

     206,000       $ 256,502   

Fuguiniao Co., Ltd. Class H(a)

     11,200         16,995   

Great Wall Motor Co., Ltd. Class H

     184,500         203,782   

Guangzhou Automobile Group Co., Ltd. Class H(a)

     86,000         70,020   

Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd. Class H(a)

     6,000         15,406   

Guangzhou R&F Properties Co., Ltd. Class H(a)

     129,600         117,392   

Haitong Securities Co., Ltd. Class H(a)

     46,000         66,240   

Hisense Kelon Electrical Holdings Co., Ltd. Class H*

     39,000         19,525   

Huaneng Power International, Inc. Class H

     166,000         178,422   

Huishang Bank Corp., Ltd. Class H

     125,000         54,677   

Jiangsu Expressway Co., Ltd. Class H

     48,000         61,130   

Livzon Pharmaceutical Group, Inc. Class H

     2,210         11,406   

NetEase, Inc. ADR

     924         110,991   

New China Life Insurance Co., Ltd. Class H

     22,500         96,677   

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

     126,000         623,493   

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     11,978         37,479   

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

     18,600         38,784   

SouFun Holdings Ltd. ADR

     3,337         22,024   

Tsingtao Brewery Co., Ltd. Class H(a)

     8,000         34,993   

Wumart Stores, Inc. Class H*(a)

     19,000         7,649   

Xinhua Winshare Publishing and Media Co., Ltd. Class H

     20,000         15,742   
     

 

 

 
Total China         3,262,559   
India – 3.4%      

Apollo Tyres Ltd.

     12,613         34,578   

Bajaj Auto Ltd.

     1,502         52,906   

Hindustan Unilever Ltd.

     5,097         63,266   

ITC Ltd.

     16,352         81,909   

Tata Motors Ltd. ADR*

     3,715         83,588   

Union Bank of India

     12,981         34,648   

Zee Entertainment Enterprises Ltd.

     7,388         44,172   
     

 

 

 
Total India         395,067   
Indonesia – 7.1%      

Ace Hardware Indonesia Tbk PT

     209,600         7,225   

Astra International Tbk PT

     844,400         301,160   

Bank Danamon Indonesia Tbk PT

     180,600         35,688   

Bank Negara Indonesia Persero Tbk PT

     266,200         75,136   

Bekasi Fajar Industrial Estate Tbk PT

     277,700         5,232   

Bumi Serpong Damai Tbk PT

     317,900         30,488   

Ciputra Development Tbk PT

     156,886         8,728   

Erajaya Swasembada Tbk PT

     104,300         3,987   

Gudang Garam Tbk PT

     23,100         66,225   

Indofood CBP Sukses Makmur Tbk PT

     52,300         44,268   

Industri Jamu Dan Farmasi Sido Muncul Tbk PT

     150,700         5,040   

Lippo Cikarang Tbk PT*

     11,700         5,331   

Media Nusantara Citra Tbk PT

     186,300         20,855   

Modernland Realty Tbk PT

     837,400         24,808   

Panin Financial Tbk PT*

     828,000         10,852   

Summarecon Agung Tbk PT

     142,500         10,894   

Surya Citra Media Tbk PT

     109,100         20,405   

Surya Semesta Internusa Tbk PT

     242,900         11,192   

 

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 Consumer Growth Fund (EMCG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Tiga Pilar Sejahtera Food Tbk

     75,614       $ 7,484   

Unilever Indonesia Tbk PT

     49,600         128,655   
     

 

 

 
Total Indonesia         823,653   
Malaysia – 3.3%      

Aeon Co. M Bhd

     19,400         11,916   

Astro Malaysia Holdings Bhd

     42,600         27,329   

British American Tobacco Malaysia Bhd

     2,900         39,795   

Genting Bhd

     60,200         99,563   

Genting Malaysia Bhd

     99,000         93,465   

Kulim Malaysia Bhd

     21,300         14,779   

Mah Sing Group Bhd

     29,962         8,929   

MKH Bhd

     18,500         9,554   

Padini Holdings Bhd

     24,800         7,616   

Sunway Bhd

     37,800         27,088   

Sunway Construction Group Bhd*

     35,440         9,433   

UMW Holdings Bhd

     15,200         26,003   
     

 

 

 
Total Malaysia         375,470   
Mexico – 3.6%      

Coca-Cola Femsa S.A.B. de C.V. Series L

     21,640         150,066   

Consorcio ARA S.A.B. de C.V.*

     26,976         9,710   

Controladora Comercial Mexicana S.A.B. de C.V.

     17,432         50,496   

Corp. Inmobiliaria Vesta S.A.B. de C.V.

     5,034         7,863   

Grupo Herdez S.A.B. de C.V.

     5,210         13,745   

Grupo Sanborns S.A.B. de C.V.

     37,146         59,357   

Kimberly-Clark de Mexico S.A.B. de C.V. Class A(a)

     37,720         85,092   

Megacable Holdings S.A.B. de C.V. Series CPO

     8,354         30,312   

TV Azteca S.A.B. de C.V. Series CPO

     64,846         10,217   
     

 

 

 
Total Mexico         416,858   
Philippines – 1.8%      

Jollibee Foods Corp.

     4,750         19,593   

LT Group, Inc.

     135,800         29,287   

Metropolitan Bank & Trust Co.

     40,705         71,064   

Robinsons Retail Holdings, Inc.

     13,010         20,305   

Travellers International Hotel Group, Inc.

     61,700         4,409   

Universal Robina Corp.

     15,790         64,863   
     

 

 

 
Total Philippines         209,521   
Poland – 0.3%      

CCC S.A.

     252         10,865   

Eurocash S.A.

     1,751         20,574   
     

 

 

 
Total Poland         31,439   
Russia – 2.8%      

Magnit PJSC GDR Reg S

     4,451         212,624   

MegaFon PJSC GDR Reg S

     8,968         108,961   
     

 

 

 
Total Russia         321,585   
South Africa – 10.7%      

Adcock Ingram Holdings Ltd.

     2,510         9,058   

Capitec Bank Holdings Ltd.

     1,418         51,379   

City Lodge Hotels Ltd.

     649         6,736   

Clicks Group Ltd.

     4,183         27,176   

Distell Group Ltd.

     3,238         40,747   

Famous Brands Ltd.

     1,846         18,024   

Foschini Group Ltd. (The)

     5,163       $ 52,399   

Hudaco Industries Ltd.

     589         4,627   

Imperial Holdings Ltd.

     4,870         59,714   

Life Healthcare Group Holdings Ltd.

     6,617         17,041   

Massmart Holdings Ltd.

     2,807         21,945   

Mr. Price Group Ltd.

     3,056         42,656   

MTN Group Ltd.

     17,432         224,409   

Pick n Pay Holdings Ltd.

     7,925         16,134   

Pick n Pay Stores Ltd.

     3,734         17,904   

Resilient Property Income Fund Ltd.

     5,925         49,711   

RMB Holdings Ltd.

     18,089         86,239   

Shoprite Holdings Ltd.

     6,750         76,722   

SPAR Group Ltd. (The)

     3,158         42,253   

Super Group Ltd.*

     8,739         18,278   

Tiger Brands Ltd.

     2,189         48,252   

Truworths International Ltd.

     8,587         52,800   

Tsogo Sun Holdings Ltd.

     20,644         36,131   

Vodacom Group Ltd.

     14,789         147,067   

Woolworths Holdings Ltd.

     10,087         70,617   
     

 

 

 
Total South Africa         1,238,019   
South Korea – 5.5%      

Amorepacific Corp.

     275         89,323   

CJ Hellovision Co., Ltd.

     1,709         16,148   

Grand Korea Leisure Co., Ltd.

     973         27,295   

GS Home Shopping, Inc.

     136         21,800   

Hanssem Co., Ltd.

     103         24,809   

Kangwon Land, Inc.

     2,149         76,692   

KT Skylife Co., Ltd.

     1,166         20,019   

KT&G Corp.

     1,370         128,875   

LF Corp.

     816         22,546   

Modetour Network, Inc.

     368         11,907   

Muhak Co., Ltd.*

     470         18,656   

NAVER Corp.

     353         152,779   

Nexen Tire Corp.

     2,493         30,182   
     

 

 

 
Total South Korea         641,031   
Taiwan – 2.7%      

Cathay Real Estate Development Co., Ltd.

     44,000         18,908   

Cheng Shin Rubber Industry Co., Ltd.

     70,000         114,798   

Grape King Bio Ltd.

     2,000         9,931   

Kenda Rubber Industrial Co., Ltd.

     18,150         25,907   

Merida Industry Co., Ltd.

     4,000         21,502   

President Chain Store Corp.

     10,000         62,258   

Shining Building Business Co., Ltd.*

     19,300         6,184   

Sinyi Realty, Inc.

     20,870         17,652   

Yulon Nissan Motor Co., Ltd.

     5,000         37,658   
     

 

 

 
Total Taiwan         314,798   
Thailand – 4.5%      

Advanced Info Service PCL NVDR

     22,900         142,593   

Amata Corp. PCL NVDR

     28,100         9,600   

AP Thailand PCL NVDR

     73,370         10,916   

Asia Plus Group Holdings PCL NVDR

     74,600         7,564   

Bangkok Expressway PCL NVDR

     22,100         22,073   

BEC World PCL NVDR

     25,300         22,306   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      31   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Big C Supercenter PCL NVDR

     8,700       $ 48,180   

BTS Group Holdings PCL NVDR

     149,600         40,187   

CP ALL PCL NVDR

     64,000         84,199   

Erawan Group PCL (The) NVDR

     59,900         6,106   

GFPT PCL NVDR

     12,600         3,350   

Home Product Center PCL NVDR

     109,359         20,640   

Jasmine International PCL NVDR

     83,200         12,837   

Major Cineplex Group PCL NVDR

     10,800         9,522   

Minor International PCL NVDR

     27,420         21,720   

RS PCL NVDR

     22,200         6,422   

Supalai PCL NVDR

     32,300         16,286   

Thai Vegetable Oil PCL NVDR

     18,900         14,841   

TICON Industrial Connection PCL NVDR

     5,400         1,726   

Total Access Communication PCL NVDR

     11,700         18,616   
     

 

 

 
Total Thailand         519,684   
Turkey – 8.6%      

Anadolu Efes Biracilik ve Malt Sanayii AS

     7,520         53,027   

Anadolu Isuzu Otomotiv Sanayi Ve Ticaret AS Class C

     1,610         9,119   

BIM Birlesik Magazalar AS

     2,343         41,517   

Bizim Toptan Satis Magazalari AS

     1,750         7,340   

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS

     5,671         15,715   

Coca-Cola Icecek AS

     3,182         36,363   

Dogus Otomotiv Servis ve Ticaret AS

     6,961         22,301   

Emlak Konut Gayrimenkul Yatirim Ortakligi AS

     78,433         65,021   

Ford Otomotiv Sanayi AS

     6,959         74,238   

Goodyear Lastikleri TAS

     384         7,673   

Is Gayrimenkul Yatirim Ortakligi AS

     8,828         4,082   

NET Holding AS*

     17,582         18,176   

Otokar Otomotiv ve Savunma Sanayi AS

     290         7,528   

Tofas Turk Otomobil Fabrikasi AS

     9,760         57,862   

Turk Telekomunikasyon AS

     34,992         68,996   

Turkcell Iletisim Hizmetleri AS

     30,987         107,972   

Turkiye Halk Bankasi AS

     34,469         114,982   

Turkiye Sinai Kalkinma Bankasi AS

     37,537         17,481   

Turkiye Vakiflar Bankasi Tao Class D(a)

     70,414         89,071   

Ulker Biskuvi Sanayi AS

     3,371         21,321   

Yapi ve Kredi Bankasi AS

     134,000         149,147   
     

 

 

 
Total Turkey         988,932   

TOTAL COMMON STOCKS

(Cost: $14,331,668)

              11,523,670   
RIGHTS – 0.0%      
South Africa – 0.0%      

Super Group Ltd., expiring 10/9/15*

(Cost $0)

     1,023         255   
WARRANTS – 0.0%      
South Africa – 0.0%      

Adcock Ingram Holdings Ltd., 7/26/19*(a)

(Cost: $0)

     182         73   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.8%   
United States – 3.8%      
State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)
(Cost: $443,774)(c)
     443,774       $ 443,774   

TOTAL INVESTMENTS IN SECURITIES – 103.5%

(Cost: $14,775,442)

        11,967,772   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (3.5)%

        (406,433
     

 

 

 
NET ASSETS – 100.0%             $ 11,561,339   

 

* Non-income producing security.

 

Security is being fair valued by a valuation committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $11,406, which represents 0.1% of net assets.

 

(a) Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) At September 30, 2015, the total market value of the Fund’s securities on loan was $410,604 and the total market value of the collateral held by the Fund was $443,774.

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.

 

32   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
Brazil – 7.5%      

Ambev S.A.

     5,582       $ 27,223   

Banco Bradesco S.A.

     1,061         6,294   

Banco Santander Brasil S.A.

     645         2,043   

BM&FBovespa S.A. – Bolsa de Valores Mercadorias e Futuros

     2,561         7,126   

BR Malls Participacoes S.A.

     895         2,351   

BRF S.A.

     767         13,597   

CCR S.A.

     1,315         4,019   

CETIP S.A. – Mercados Organizados

     335         2,768   

Cia Hering

     1,400         4,940   

Cielo S.A.

     774         7,126   

Cosan Logistica S.A.

     1,279         373   

Cosan S.A. Industria e Comercio

     216         1,092   

CPFL Energia S.A.*

     416         1,554   

Cyrela Brazil Realty S.A. Empreendimentos e Participacoes

     326         677   

Duratex S.A.

     598         883   

EcoRodovias Infraestrutura e Logistica S.A.

     1,279         1,959   

EDP – Energias do Brasil S.A.

     382         1,101   

Embraer S.A.

     911         5,834   

Equatorial Energia S.A.

     263         2,236   

Estacio Participacoes S.A.

     410         1,452   

Hypermarcas S.A.*

     504         1,934   

Itau Unibanco Holding S.A.

     396         2,438   

Itausa – Investimentos Itau S.A.

     794         1,517   

JBS S.A.

     839         3,540   

Klabin S.A.

     933         5,127   

Kroton Educacional S.A.

     1,891         3,661   

Lojas Renner S.A.

     955         4,413   

M. Dias Branco S.A.

     147         2,145   

Multiplan Empreendimentos Imobiliarios S.A.

     119         1,267   

Odontoprev S.A.

     51         122   

Porto Seguro S.A.

     119         900   

Raia Drogasil S.A.

     263         2,582   

Rumo Logistica Operadora Multimodal S.A.*

     800         1,207   

Souza Cruz S.A.

     504         3,392   

Sul America S.A.

     360         1,614   

Tim Participacoes S.A.

     1,533         2,891   

Tractebel Energia S.A.

     288         2,442   

Ultrapar Participacoes S.A.

     670         11,240   

WEG S.A.

     911         3,535   
     

 

 

 
Total Brazil         150,615   
Chile – 1.9%      

Aguas Andinas S.A. Class A

     4,202         2,181   

AntarChile S.A.

     122         1,199   

Banco de Credito e Inversiones

     16         648   

Banco Santander Chile

     56,167         2,539   

Cencosud S.A.

     1,395         2,710   

Cia Cervecerias Unidas S.A.

     213         2,343   

Colbun S.A.

     10,863         2,793   

Corpbanca S.A.

     169,909         1,493   

Empresa Nacional de Electricidad S.A.

     3,081         3,618   

Empresa Nacional de Telecomunicaciones S.A.

     114       $ 1,074   

Empresas CMPC S.A.

     1,256         3,225   

Empresas COPEC S.A.

     434         3,929   

Enersis S.A.

     17,264         4,338   

S.A.C.I. Falabella

     871         5,384   

SONDA S.A.

     357         533   
     

 

 

 
Total Chile         38,007   
China – 20.8%      

21Vianet Group, Inc. ADR*

     88         1,609   

58.com, Inc. ADR*

     18         847   

AAC Technologies Holdings, Inc.

     1,000         6,226   

ANTA Sports Products Ltd.

     1,000         2,580   

Baidu, Inc. ADR*

     327         44,933   

Belle International Holdings Ltd.

     8,000         6,916   

Byd Co., Ltd. Class H*

     1,000         5,271   

China Conch Venture Holdings Ltd.

     1,400         2,970   

China Huishan Dairy Holdings Co., Ltd.

     10,000         3,600   

China Minsheng Banking Corp., Ltd. Class H

     11,500         10,595   

China Modern Dairy Holdings Ltd.

     3,000         913   

China South City Holdings Ltd.

     10,000         2,439   

Country Garden Holdings Co., Ltd.

     12,000         4,320   

Ctrip.com International Ltd. ADR*

     233         14,721   

Evergrande Real Estate Group Ltd.

     13,000         7,380   

GCL-Poly Energy Holdings Ltd.*

     9,000         1,730   

Geely Automobile Holdings Ltd.

     15,000         7,142   

GOME Electrical Appliances Holding Ltd.

     22,000         3,350   

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

     1,600         1,449   

Haier Electronics Group Co., Ltd.

     2,000         3,334   

Haitian International Holdings Ltd.

     2,000         3,298   

Hanergy Thin Film Power Group Ltd.*†

     102,000         14,283   

Hengan International Group Co., Ltd.

     1,500         14,584   

Kingboard Chemical Holdings Ltd.

     500         606   

Lee & Man Paper Manufacturing Ltd.

     4,000         2,023   

Longfor Properties Co., Ltd.

     2,000         2,519   

Mindray Medical International Ltd. ADR

     156         3,412   

NetEase, Inc. ADR

     86         10,330   

New Oriental Education & Technology Group, Inc. ADR

     222         4,486   

Nine Dragons Paper Holdings Ltd.

     2,000         1,035   

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

     8,000         39,587   

Qihoo 360 Technology Co., Ltd. ADR*

     90         4,305   

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

     4,000         2,519   

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     249         779   

Shenzhou International Group Holdings Ltd.

     2,000         10,297   

Shimao Property Holdings Ltd.

     2,000         2,999   

Sihuan Pharmaceutical Holdings Group Ltd.

     46,000         20,940   

SINA Corp.*

     85         3,410   

Sohu.com, Inc.*

     29         1,198   

Sun Art Retail Group Ltd.

     1,500         1,151   

Sunac China Holdings Ltd.

     3,000         1,564   

TAL Education Group ADR*

     71         2,283   

Tencent Holdings Ltd.

     6,600         110,113   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      33   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Uni-President China Holdings Ltd.

     3,000       $ 2,895   

Vipshop Holdings Ltd. ADR*(a)

     470         7,896   

Want Want China Holdings Ltd.

     6,000         4,924   

WuXi PharmaTech Cayman, Inc. ADR*

     108         4,667   

Xinyi Glass Holdings Ltd.

     4,000         1,786   

Yingde Gases Group Co., Ltd.

     2,500         1,029   

Youku Tudou, Inc. ADR*

     145         2,556   

YY, Inc. ADR*

     32         1,745   

ZTE Corp. Class H

     560         1,274   
     

 

 

 
Total China         418,818   
Czech Republic – 0.2%      

Komercni Banka AS

     20         4,329   
Hungary – 0.3%      

OTP Bank PLC

     309         5,952   
India – 10.1%      

Adani Enterprises Ltd.

     176         217   

Adani Ports & Special Economic Zone Ltd.

     626         2,851   

Adani Power Ltd.*

     327         123   

Adani Transmissions Ltd.*

     176         72   

Ambuja Cements Ltd.

     248         778   

Asian Paints Ltd.

     143         1,833   

Aurobindo Pharma Ltd.

     110         1,289   

Bajaj Auto Ltd.

     58         2,043   

Bharat Forge Ltd.

     11         152   

Bharti Airtel Ltd.

     1,263         6,501   

Cairn India Ltd.

     1,949         4,553   

Cipla Ltd.

     153         1,483   

Dabur India Ltd.

     221         929   

DLF Ltd.

     1,543         3,229   

Dr. Reddy’s Laboratories Ltd.

     58         3,678   

Glenmark Pharmaceuticals Ltd.

     67         1,071   

HCL Technologies Ltd.

     285         4,264   

Hero MotoCorp Ltd.

     69         2,517   

Hindalco Industries Ltd.

     1,177         1,269   

Hindustan Unilever Ltd.

     482         5,983   

ICICI Bank Ltd. ADR

     1,520         12,738   

Idea Cellular Ltd.

     808         1,840   

Infosys Ltd. ADR

     1,196         22,832   

ITC Ltd.

     1,950         9,768   

Jaiprakash Associates Ltd.*

     13,018         2,241   

Jindal Steel & Power Ltd.*

     2,269         2,096   

JSW Steel Ltd.

     115         1,558   

Kotak Mahindra Bank Ltd.

     960         9,479   

Larsen & Toubro Ltd. GDR Reg S

     377         8,426   

Mahindra & Mahindra Ltd.

     248         4,775   

Motherson Sumi Systems Ltd.

     175         614   

Reliance Communications Ltd.*

     5,108         5,280   

Reliance Industries Ltd. GDR(b)

     1,017         26,442   

Reliance Infrastructure Ltd.

     465         2,465   

Siemens Ltd.

     43         869   

Sun Pharmaceutical Industries Ltd.

     1,045         13,825   

Tata Consultancy Services Ltd.

     286         11,276   

Tata Motors Ltd. ADR*

     240         5,400   

Tata Power Co., Ltd.

     1,106       $ 1,094   

Tata Steel Ltd.

     600         1,943   

Tech Mahindra Ltd.

     203         1,724   

United Spirits Ltd.*

     52         2,451   

UPL Ltd.

     118         824   

Vedanta Ltd.

     1,044         1,347   

Wipro Ltd.

     293         2,669   

Yes Bank Ltd.

     306         3,402   
     

 

 

 
Total India         202,213   
Indonesia – 2.3%      

Adaro Energy Tbk PT

     18,400         672   

Astra International Tbk PT

     28,300         10,093   

Bank Central Asia Tbk PT

     17,700         14,831   

Bumi Serpong Damai Tbk PT

     13,300         1,275   

Gudang Garam Tbk PT

     300         860   

Indocement Tunggal Prakarsa Tbk PT

     1,300         1,460   

Indofood CBP Sukses Makmur Tbk PT

     1,600         1,354   

Indofood Sukses Makmur Tbk PT

     6,000         2,253   

Kalbe Farma Tbk PT

     33,400         3,135   

Lippo Karawaci Tbk PT

     27,000         2,083   

Media Nusantara Citra Tbk PT

     9,900         1,108   

Summarecon Agung Tbk PT

     19,300         1,475   

Unilever Indonesia Tbk PT

     1,200         3,113   

United Tractors Tbk PT

     2,100         2,505   
     

 

 

 
Total Indonesia         46,217   
Malaysia – 2.9%      

AirAsia Bhd

     2,800         815   

Astro Malaysia Holdings Bhd

     6,800         4,362   

British American Tobacco Malaysia Bhd

     300         4,117   

Dialog Group Bhd

     10,200         3,713   

Genting Bhd

     6,400         10,585   

Genting Malaysia Bhd

     8,500         8,025   

Hong Leong Bank Bhd

     900         2,686   

Hong Leong Financial Group Bhd

     500         1,592   

IOI Corp. Bhd

     7,300         6,759   

IOI Properties Group Bhd

     9,800         4,414   

Lafarge Malaysia Bhd

     900         1,843   

PPB Group Bhd

     1,200         4,210   

YTL Corp. Bhd

     12,900         4,695   
     

 

 

 
Total Malaysia         57,816   
Mexico – 5.0%      

Alfa S.A.B. de C.V. Class A

     1,844         3,588   

Alsea S.A.B. de C.V.

     263         779   

America Movil S.A.B. de C.V. Series L

     23,110         19,119   

Arca Continental S.A.B. de C.V.

     169         949   

Cemex S.A.B. de C.V.*

     7,193         5,004   

Coca-Cola Femsa S.A.B. de C.V. Series L

     363         2,517   

El Puerto de Liverpool S.A.B. de C.V. Class C1

     360         4,664   

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

     1,124         10,033   

Genomma Lab Internacional S.A.B. de C.V. Class B*

     170         141   

Gruma S.A.B. de C.V. Class B

     18         249   

Grupo Aeroportuario del Pacifico S.A.B. de C.V. Class B

     407         3,531   

 

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 ex-State-Owned Enterprises Fund (XSOE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Grupo Aeroportuario del Sureste S.A.B. de C.V. Class B

     238       $ 3,627   

Grupo Bimbo S.A.B. de C.V. Series A*

     839         2,119   

Grupo Elektra S.A.B. de C.V.

     65         1,114   

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

     1,700         8,306   

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

     1,315         2,711   

Grupo Financiero Santander Mexico S.A.B. de C.V. Class B

     1,479         2,185   

Grupo Lala S.A.B. de C.V.

     479         1,129   

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

     2,273         5,489   

Grupo Televisa S.A.B. Series CPO

     1,437         7,479   

Industrias Penoles S.A.B. de C.V.

     75         1,020   

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     933         2,105   

Mexichem S.A.B. de C.V.

     288         705   

Minera Frisco S.A.B. de C.V.*

     3,800         1,985   

OHL Mexico S.A.B. de C.V.*

     507         652   

Promotora y Operadora de Infraestructura S.A.B. de C.V.*

     238         2,612   

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

     2,561         6,273   
     

 

 

 
Total Mexico         100,085   
Peru – 0.1%      

Volcan Cia Minera S.A.A. Class B

     8,764         1,029   
Philippines – 2.2%      

Aboitiz Equity Ventures, Inc.

     2,690         3,321   

Alliance Global Group, Inc.

     4,700         1,540   

Ayala Corp.

     260         4,266   

Ayala Land, Inc.

     6,200         4,510   

Bank of the Philippine Islands

     1,590         2,732   

BDO Unibank, Inc.

     1,510         3,344   

DMCI Holdings, Inc.

     3,800         1,041   

JG Summit Holdings, Inc.

     2,580         3,911   

Jollibee Foods Corp.

     510         2,104   

LT Group, Inc.

     1,700         366   

Philippine Long Distance Telephone Co.

     75         3,514   

Puregold Price Club, Inc.

     1,200         796   

SM Investments Corp.

     290         5,525   

SM Prime Holdings, Inc.

     8,000         3,534   

Universal Robina Corp.

     730         2,999   
     

 

 

 
Total Philippines         43,503   
Poland – 1.4%      

Bank Handlowy w Warszawie S.A.

     60         1,275   

Bank Pekao S.A.

     269         10,923   

Bank Zachodni WBK S.A.*

     62         4,785   

Cyfrowy Polsat S.A.*

     410         2,520   

Getin Noble Bank S.A.*

     14,318         3,238   

Lubelski Wegiel Bogdanka S.A.

     166         2,480   

mBank S.A.*

     4         365   

Orange Polska S.A.

     1,657         3,168   
     

 

 

 
Total Poland         28,754   
Russia – 4.4%      

Eurasia Drilling Co., Ltd. GDR Reg S

     397         3,652   

Lukoil PJSC ADR

     752         25,538   

Magnit PJSC GDR Reg S

     261         12,468   

Mail.ru Group Ltd. GDR Reg S*

     119       $ 2,071   

MegaFon PJSC GDR Reg S

     140         1,701   

MMC Norilsk Nickel PJSC ADR

     630         9,037   

Mobile TeleSystems PJSC ADR

     645         4,657   

NovaTek OAO GDR Reg S

     112         10,360   

Novolipetsk Steel OJSC GDR Reg S

     107         1,225   

PhosAgro OAO GDR Reg S

     149         2,056   

Polymetal International PLC

     249         2,144   

Polyus Gold International Ltd.

     650         1,895   

Severstal PAO GDR Reg S

     263         2,788   

Sistema JSFC GDR Reg S

     214         1,472   

Uralkali PJSC GDR Reg S*

     115         1,706   

VimpelCom Ltd. ADR

     316         1,300   

X5 Retail Group N.V. GDR Reg S*

     119         2,071   

Yandex N.V. Class A*

     201         2,157   
     

 

 

 
Total Russia         88,298   
South Africa – 8.5%      

Anglo American Platinum Ltd.*

     30         497   

AngloGold Ashanti Ltd.*

     330         2,613   

Aspen Pharmacare Holdings Ltd.*

     212         4,508   

Assore Ltd.

     48         258   

Attacq Ltd.*

     1,237         1,964   

AVI Ltd.

     153         969   

Barclays Africa Group Ltd.

     245         3,016   

Barloworld Ltd.

     143         780   

Bidvest Group Ltd. (The)

     238         5,615   

Capitec Bank Holdings Ltd.

     19         688   

Coronation Fund Managers Ltd.

     117         552   

Discovery Ltd.

     323         3,216   

Exxaro Resources Ltd.(a)

     297         1,128   

FirstRand Ltd.

     2,285         8,122   

Foschini Group Ltd. (The)

     181         1,837   

Gold Fields Ltd.

     625         1,630   

Harmony Gold Mining Co., Ltd.*(a)

     653         408   

Imperial Holdings Ltd.

     179         2,195   

Investec Ltd.

     266         2,036   

Life Healthcare Group Holdings Ltd.

     897         2,310   

Mediclinic International Ltd.

     417         3,330   

Mr. Price Group Ltd.

     201         2,806   

MTN Group Ltd.

     1,061         13,659   

Nampak Ltd.

     361         674   

Naspers Ltd. Class N

     292         36,548   

Nedbank Group Ltd.

     112         1,780   

Netcare Ltd.

     1,358         3,565   

Northam Platinum Ltd.*

     52         101   

Pioneer Foods Group Ltd.

     63         892   

PPC Ltd.

     1,749         2,163   

Rand Merchant Insurance Holdings Ltd.

     768         2,301   

Remgro Ltd.

     324         5,908   

Resilient Property Income Fund Ltd.

     352         2,953   

RMB Holdings Ltd.

     613         2,922   

Sanlam Ltd.

     1,164         5,034   

Sappi Ltd.*

     488         1,500   

 

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 ex-State-Owned Enterprises Fund (XSOE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Shoprite Holdings Ltd.

     424       $ 4,819   

Sibanye Gold Ltd.

     731         829   

SPAR Group Ltd. (The)

     63         843   

Standard Bank Group Ltd.

     892         8,709   

Steinhoff International Holdings Ltd.

     2,292         14,073   

Tongaat Hulett Ltd.

     162         1,264   

Truworths International Ltd.

     375         2,306   

Vodacom Group Ltd.

     415         4,127   

Woolworths Holdings Ltd.

     541         3,787   
     

 

 

 
Total South Africa         171,235   
South Korea – 15.5%      

Amorepacific Corp.

     16         5,197   

BNK Financial Group, Inc.

     206         2,381   

Celltrion, Inc.*

     79         4,526   

Cheil Worldwide, Inc.*

     93         1,428   

CJ CheilJedang Corp.

     6         1,926   

CJ Corp.

     11         2,450   

Coway Co., Ltd.

     45         3,178   

Daelim Industrial Co., Ltd.

     26         1,472   

Daesang Corp.

     7         182   

Daewoo International Corp.

     38         665   

DGB Financial Group, Inc.

     36         319   

Dongbu Insurance Co., Ltd.

     41         2,120   

Doosan Corp.

     15         1,405   

E-Mart Co., Ltd.

     13         2,528   

GS Engineering & Construction Corp.*

     55         1,139   

GS Holdings Corp.

     44         1,691   

Hana Financial Group, Inc.

     265         5,902   

Hankook Tire Co., Ltd.

     51         1,704   

Hanon Systems Corp.

     27         894   

Hanssem Co., Ltd.

     20         4,817   

Hanwha Chemical Corp.

     78         1,418   

Hanwha Corp.

     58         1,901   

Hanwha Techwin Co., Ltd.*

     45         1,173   

Hotel Shilla Co., Ltd.

     26         2,523   

Hyosung Corp.

     16         1,519   

Hyundai Department Store Co., Ltd.

     15         1,696   

Hyundai Development Co-Engineering & Construction

     55         2,529   

Hyundai Engineering & Construction Co., Ltd.

     59         1,702   

Hyundai Glovis Co., Ltd.

     7         1,323   

Hyundai Heavy Industries Co., Ltd.*

     37         3,012   

Hyundai Mobis Co., Ltd.

     55         10,742   

Hyundai Motor Co.

     116         16,050   

Hyundai Steel Co.

     63         2,737   

Hyundai Wia Corp.

     1         109   

KB Financial Group, Inc.

     299         8,892   

Kia Motors Corp.

     194         8,773   

Kolon Industries, Inc.

     14         739   

Korea Investment Holdings Co., Ltd.

     38         1,959   

Korea Zinc Co., Ltd.

     9         3,535   

KT Corp.*

     113         2,927   

KT&G Corp.

     81         7,620   

LG Chem Ltd.

     37         8,912   

LG Corp.

     106       $ 5,446   

LG Electronics, Inc.

     86         3,312   

LG Household & Health Care Ltd.

     6         4,323   

LG Uplus Corp.

     205         2,093   

Lotte Chemical Corp.

     13         2,961   

Lotte Shopping Co., Ltd.

     10         2,409   

Macquarie Korea Infrastructure Fund

     390         2,613   

NAVER Corp.

     14         6,059   

NCSoft Corp.

     9         1,435   

OCI Co., Ltd.

     19         1,321   

Paradise Co., Ltd.*

     36         682   

POSCO

     58         8,245   

Samsung Electro-Mechanics Co., Ltd.

     37         2,007   

Samsung Electronics Co., Ltd.

     63         60,273   

Samsung Engineering Co., Ltd.*

     100         2,573   

Samsung Fire & Marine Insurance Co., Ltd.

     28         6,614   

Samsung Heavy Industries Co., Ltd.

     75         778   

Samsung Life Insurance Co., Ltd.

     64         5,340   

Samsung Securities Co., Ltd.

     67         2,569   

Seoul Semiconductor Co., Ltd.*

     78         935   

Shinhan Financial Group Co., Ltd.

     360         12,574   

Shinsegae Co., Ltd.

     29         5,786   

SK Holdings Co., Ltd.

     48         9,881   

SK Hynix, Inc.

     293         8,293   

SK Innovation Co., Ltd.*

     54         4,465   

SK Telecom Co., Ltd.

     32         7,100   

Woori Bank

     344         2,725   

Yuhan Corp.

     6         1,233   
     

 

 

 
Total South Korea         311,760   
Taiwan – 12.2%      

Advanced Semiconductor Engineering, Inc.

     3,000         3,216   

Asia Cement Corp.

     2,000         1,956   

AU Optronics Corp.

     6,000         1,769   

Catcher Technology Co., Ltd.

     1,000         10,645   

Cathay Financial Holding Co., Ltd.

     7,000         9,556   

Cheng Shin Rubber Industry Co., Ltd.

     1,000         1,640   

China Development Financial Holding Corp.

     16,000         4,300   

China Life Insurance Co., Ltd.

     4,400         3,341   

Compal Electronics, Inc.

     5,000         2,824   

CTBC Financial Holding Co., Ltd.

     16,215         8,347   

Delta Electronics, Inc.

     1,000         4,677   

E.Sun Financial Holding Co., Ltd.

     9,782         5,748   

Far Eastern New Century Corp.

     4,080         3,631   

Far EasTone Telecommunications Co., Ltd.

     1,000         2,156   

Formosa Chemicals & Fibre Corp.

     3,000         6,086   

Formosa Plastics Corp.

     4,000         8,431   

Foxconn Technology Co., Ltd.

     1,010         2,889   

Fubon Financial Holding Co., Ltd.

     7,000         10,906   

Giant Manufacturing Co., Ltd.

     1,000         7,258   

Hon Hai Precision Industry Co., Ltd.

     7,350         19,107   

HTC Corp.

     3,000         5,785   

Innolux Corp.

     7,000         2,179   

Inotera Memories, Inc.*

     1,000         624   

 

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 ex-State-Owned Enterprises Fund (XSOE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Inventec Corp.

     2,000       $ 948   

Lite-On Technology Corp.

     1,005         922   

Merida Industry Co., Ltd.

     1,000         5,375   

Nan Ya Plastics Corp.

     6,000         10,131   

Pegatron Corp.

     2,000         4,871   

Pou Chen Corp.

     2,000         2,998   

Quanta Computer, Inc.

     3,000         5,202   

Radiant Opto-Electronics Corp.

     1,000         3,083   

Ruentex Development Co., Ltd.

     1,000         1,089   

Ruentex Industries Ltd.

     2,000         3,541   

Shin Kong Financial Holding Co., Ltd.

     11,449         2,712   

Siliconware Precision Industries Co., Ltd.

     1,000         1,241   

SinoPac Financial Holdings Co., Ltd.

     9,662         3,052   

Taishin Financial Holding Co., Ltd.

     8,000         2,831   

Taiwan Cement Corp.

     2,000         2,026   

Taiwan Mobile Co., Ltd.

     1,000         3,052   

Taiwan Semiconductor Manufacturing Co., Ltd.

     11,000         43,429   

Uni-President Enterprises Corp.

     4,160         7,201   

Unimicron Technology Corp.

     12,000         4,556   

United Microelectronics Corp.

     10,000         3,280   

Wistron Corp.

     3,092         1,610   

Yuanta Financial Holding Co., Ltd.

     9,236         3,422   

Yulon Motor Co., Ltd.

     2,000         1,789   
     

 

 

 
Total Taiwan         245,432   
Thailand – 2.5%      

Advanced Info Service PCL NVDR

     1,500         9,340   

Bangkok Dusit Medical Services PCL NVDR

     4,500         2,294   

Big C Supercenter PCL NVDR

     400         2,215   

BTS Group Holdings PCL NVDR

     8,100         2,176   

Bumrungrad Hospital PCL NVDR

     500         2,976   

Central Pattana PCL NVDR

     2,500         3,082   

Charoen Pokphand Foods PCL NVDR

     4,800         2,738   

CP ALL PCL NVDR

     5,500         7,236   

Energy Absolute PCL NVDR

     2,800         1,659   

Glow Energy PCL NVDR

     700         1,639   

Indorama Ventures PCL NVDR

     2,600         1,648   

Kasikornbank PCL NVDR

     1,600         7,538   

Minor International PCL NVDR

     2,510         1,988   

Thai Union Group PCL NVDR

     2,700         1,369   

Total Access Communication PCL NVDR

     300         477   

True Corp. PCL NVDR*

     9,200         2,471   
     

 

 

 
Total Thailand         50,846   
Turkey – 2.0%      

Akbank TAS

     2,183         4,888   

Arcelik AS

     495         2,412   

BIM Birlesik Magazalar AS

     202         3,579   

Enka Insaat ve Sanayi AS

     1,660         2,741   

Haci Omer Sabanci Holding AS

     1,653         4,843   

KOC Holding AS

     1,211         4,720   

TAV Havalimanlari Holding AS

     262         2,055   

Tupras Turkiye Petrol Rafinerileri AS*

     182         4,454   

Turkiye Garanti Bankasi AS

     3,032         7,040   

Yapi ve Kredi Bankasi AS

     3,454       $ 3,844   
     

 

 

 
Total Turkey         40,576   

TOTAL COMMON STOCKS

(Cost: $2,354,491)

  

  

     2,005,485   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.4%   
United States – 0.4%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

(Cost: $8,414)(d)

     8,414         8,414   

TOTAL INVESTMENTS IN SECURITIES – 100.2%

(Cost: $2,362,905)

  

  

     2,013,899   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (0.2)%

        (4,167
     

 

 

 
NET ASSETS – 100.0%       $ 2,009,732   
* Non-income producing security.

 

Security is being fair valued by a valuation committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $35,223, which represents 1.8% of net assets.

 

(a) Security, or portion thereof, was on loan at September 30, 2015 (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, 2015.

 

(d) At September 30, 2015, the total market value of the Fund’s securities on loan was $8,157 and the total market value of the collateral held by the Fund was $8,414.

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      37   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets High Dividend Fund (DEM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.3%      
Brazil – 7.3%      

AES Tiete S.A.

     319,132       $ 1,127,635   

Alupar Investimento S.A.

     704,333         2,635,533   

Banco do Brasil S.A.

     2,556,584         9,759,057   

BM&FBovespa S.A. – Bolsa de Valores Mercadorias e Futuros

     1,186,496         3,301,492   

CCR S.A.

     2,350,732         7,184,522   

Centrais Eletricas Brasileiras S.A.*

     1,951,948         2,573,545   

CETIP S.A. – Mercados Organizados

     263,676         2,178,566   

Cia de Saneamento Basico do Estado de Sao Paulo

     773,756         3,077,963   

Cia Energetica de Minas Gerais

     582,206         1,004,472   

Cia Siderurgica Nacional S.A.

     2,960,269         2,914,214   

CPFL Energia S.A.*

     1,020,659         3,811,499   

EcoRodovias Infraestrutura e Logistica S.A.

     1,788,850         2,740,362   

EDP – Energias do Brasil S.A.

     689,934         1,989,086   

Even Construtora e Incorporadora S.A.

     696,332         601,560   

Ez Tec Empreendimentos e Participacoes S.A.

     332,843         966,277   

Fleury S.A.

     366,110         1,494,064   

Gafisa S.A.*

     2,208,313         1,120,253   

Grendene S.A.

     406,094         1,797,973   

Iochpe-Maxion S.A.

     219,286         834,311   

Light S.A.

     611,867         1,774,775   

Mahle-Metal Leve S.A.

     373,735         2,161,533   

MRV Engenharia e Participacoes S.A.

     543,911         831,858   

Multiplus S.A.

     175,353         1,407,862   

Natura Cosmeticos S.A.

     325,112         1,592,105   

Porto Seguro S.A.

     562,285         4,250,374   

Souza Cruz S.A.

     2,140,172         14,404,151   

Tecnisa S.A.

     1,199,720         933,998   

TPI – Triunfo Participacoes e Investimentos S.A.

     602,268         586,848   

Transmissora Alianca de Energia Eletrica S.A.

     1,198,016         5,737,432   

Vale S.A.

     6,067,052         25,261,925   
     

 

 

 
Total Brazil               110,055,245   
Chile – 1.7%      

AES Gener S.A.

     11,033,637         5,148,567   

Banco de Chile

     81,243,553         8,448,435   

Banco Santander Chile

     142,700,072         6,451,130   

CAP S.A.

     225,670         591,354   

Empresa Nacional de Telecomunicaciones S.A.

     168,194         1,584,327   

Inversiones Aguas Metropolitanas S.A.

     1,365,449         1,882,549   

Salfacorp S.A.

     571,893         300,304   

Sociedad Matriz SAAM S.A.

     11,397,290         756,367   
     

 

 

 
Total Chile               25,163,033   
China – 21.2%      

Agricultural Bank of China Ltd. Class H

     32,951,000         12,457,523   

Anhui Expressway Co., Ltd. Class H

     1,217,057         989,343   

Bank of China Ltd. Class H

     98,158,084         42,176,040   

Bank of Communications Co., Ltd. Class H

     34,890,287       $ 24,175,436   

Beijing Capital Land Ltd. Class H

     3,530,000         1,393,772   

China Communications Construction Co., Ltd. Class H

     4,837,585         5,948,631   

China Communications Services Corp., Ltd. Class H

     8,680,000         3,337,578   

China Construction Bank Corp. Class H

     108,184,054         71,889,585   

China Everbright Bank Co., Ltd. Class H

     7,777,000         3,381,719   

China Machinery Engineering Corp. Class H

     6,309,000         5,421,635   

China Merchants Bank Co., Ltd. Class H

     4,422,432         10,670,832   

China Petroleum & Chemical Corp. Class H

     30,663,799         18,635,556   

China Shenhua Energy Co., Ltd. Class H

     4,897,000         7,481,304   

Chongqing Machinery & Electric Co., Ltd. Class H

     9,270,000         1,220,044   

Chongqing Rural Commercial Bank Co., Ltd. Class H

     10,560,991         5,954,998   

Datang International Power Generation Co., Ltd. Class H

     3,198,350         1,209,175   

Huadian Power International Corp., Ltd. Class H

     1,702,000         1,324,257   

Huaneng Power International, Inc. Class H

     5,418,000         5,823,439   

Huishang Bank Corp., Ltd. Class H(a)

     11,517,000         5,037,726   

Industrial & Commercial Bank of China Ltd. Class H

     96,495,823         55,531,431   

Jiangsu Expressway Co., Ltd. Class H

     1,628,527         2,073,995   

Jiangxi Copper Co., Ltd. Class H

     1,930,000         2,340,888   

PetroChina Co., Ltd. Class H

     23,591,144         16,346,274   

Shenzhen Expressway Co., Ltd. Class H

     1,170,000         762,382   

Sinopec Engineering Group Co., Ltd. Class H

     2,153,000         1,872,403   

Weiqiao Textile Co. Class H

     2,678,500         1,078,305   

Xinhua Winshare Publishing and Media Co., Ltd. Class H

     1,636,000         1,287,682   

Zhejiang Expressway Co., Ltd. Class H

     6,292,398         6,828,223   

Zijin Mining Group Co., Ltd. Class H(a)

     9,024,000         2,352,047   

Zoomlion Heavy Industry Science and Technology Co., Ltd. Class H(a)

     2,161,800         811,716   
     

 

 

 
Total China               319,813,939   
Czech Republic – 2.0%      

CEZ AS

     1,018,688         21,181,433   

Komercni Banka AS

     36,513         7,904,058   

O2 Czech Republic AS

     222,267         1,944,673   
     

 

 

 
Total Czech Republic               31,030,164   
Hungary – 0.4%      

MOL Hungarian Oil & Gas PLC

     151,461         6,596,051   
Indonesia – 1.0%      

Bank Bukopin Tbk

     11,696,400         502,985   

Indo Tambangraya Megah Tbk PT

     2,323,100         1,565,912   

Indocement Tunggal Prakarsa Tbk PT

     4,343,600         4,877,285   

Industri Jamu Dan Farmasi Sido Muncul Tbk PT

     35,122,100         1,174,732   

Matahari Putra Prima Tbk PT

     10,012,900         1,312,271   

Perusahaan Gas Negara Persero Tbk PT

     24,918,608         4,303,350   

Surya Semesta Internusa Tbk PT

     12,240,500         563,982   

 

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 High Dividend Fund (DEM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Tambang Batubara Bukit Asam Persero Tbk PT

     2,449,126       $ 940,364   
     

 

 

 
Total Indonesia               15,240,881   
Malaysia – 6.1%      

Berjaya Sports Toto Bhd

     1,942,200         1,360,854   

Boustead Holdings Bhd

     521,067         468,228   

British American Tobacco Malaysia Bhd

     370,897         5,089,577   

Carlsberg Brewery Malaysia Bhd

     89,336         243,066   

DiGi.Com Bhd

     10,199,047         12,877,145   

Felda Global Ventures Holdings Bhd

     6,926,500         2,363,590   

Gas Malaysia Bhd

     295,033         166,452   

HAP Seng Consolidated Bhd

     2,569,865         3,244,668   

IOI Corp. Bhd

     7,935,387         7,347,330   

JCY International Bhd

     5,014,800         764,356   

Lafarge Malaysia Bhd

     997,327         2,041,959   

Malayan Banking Bhd

     9,383,665         18,273,144   

Maxis Bhd

     12,657,584         18,860,758   

Telekom Malaysia Bhd

     4,307,650         6,546,119   

Tropicana Corp. Bhd*

     1,008,604         209,947   

YTL Corp. Bhd

     20,748,500         7,552,204   

YTL Power International Bhd

     11,958,900         4,380,101   
     

 

 

 
Total Malaysia               91,789,498   
Mexico – 1.6%      

Grupo Aeroportuario del Centro Norte S.A.B. de C.V.*

     786,557         3,890,375   

Grupo Aeroportuario del Pacifico S.A.B. de C.V. Class B

     594,156         5,154,547   

Infraestructura Energetica Nova S.A.B. de C.V.(a)

     1,245,722         5,074,994   

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     3,617,672         8,161,069   

Megacable Holdings S.A.B. de C.V. Series CPO

     622,669         2,259,307   
     

 

 

 
Total Mexico         24,540,292   
Philippines – 1.1%      

Philippine Long Distance Telephone Co.

     346,974         16,257,447   
Poland – 3.6%      

Asseco Poland S.A.

     120,938         1,717,758   

Bank Pekao S.A.

     250,936         10,189,088   

Energa S.A.

     574,680         2,548,054   

KGHM Polska Miedz S.A.

     231,548         4,990,167   

Lubelski Wegiel Bogdanka S.A.

     65,120         972,720   

Orange Polska S.A.

     1,947,177         3,722,759   

PGE Polska Grupa Energetyczna S.A.(a)

     2,727,768         9,669,909   

Powszechny Zaklad Ubezpieczen S.A.(a)

     163,931         16,800,282   

Synthos S.A.

     2,491,280         2,476,506   

Tauron Polska Energia S.A.

     2,257,685         1,947,432   
     

 

 

 
Total Poland               55,034,675   
Russia – 19.5%      

Gazprom PAO ADR

     17,025,492         68,442,478   

LSR Group PJSC GDR Reg S

     548,631         993,022   

Lukoil PJSC ADR

     1,426,548         48,445,570   

MegaFon PJSC GDR Reg S

     1,095,071       $ 13,305,113   

MMC Norilsk Nickel PJSC ADR

     2,933,008         42,074,000   

Mobile TeleSystems PJSC ADR

     2,612,386         18,861,427   

Rosneft OAO GDR Reg S

     16,422,951         60,600,689   

Sberbank of Russia ADR

     3,787,135         18,691,405   

Sistema JSFC GDR Reg S

     1,864,578         12,828,296   

Tatneft PAO ADR

     357,914         10,003,696   
     

 

 

 
Total Russia               294,245,696   
South Africa – 10.3%      

African Rainbow Minerals Ltd.

     254,976         956,506   

Assore Ltd.(a)

     183,556         986,877   

AVI Ltd.

     545,691         3,455,609   

Barclays Africa Group Ltd.

     655,723         8,071,458   

Coronation Fund Managers Ltd.

     312,353         1,474,906   

Exxaro Resources Ltd.(a)

     462,545         1,756,246   

FirstRand Ltd.(a)

     4,212,706         14,974,651   

Foschini Group Ltd. (The)

     308,129         3,127,196   

Imperial Holdings Ltd.

     283,740         3,479,083   

JSE Ltd.

     95,458         890,582   

Liberty Holdings Ltd.

     223,862         2,044,014   

MMI Holdings Ltd.(a)

     1,547,856         2,663,159   

MTN Group Ltd.

     2,316,388         29,819,705   

Nampak Ltd.

     659,869         1,231,259   

Nedbank Group Ltd.

     477,183         7,582,057   

Oceana Group Ltd.(a)

     241,825         1,685,972   

Resilient Property Income Fund Ltd.

     244,462         2,051,062   

RMB Holdings Ltd.(a)

     1,044,369         4,979,012   

Sasol Ltd.(a)

     678,607         19,022,787   

Sibanye Gold Ltd.

     1,233,215         1,399,374   

SPAR Group Ltd. (The)

     201,504         2,696,047   

Standard Bank Group Ltd.

     1,320,264         12,890,406   

Truworths International Ltd.

     599,471         3,686,051   

Vodacom Group Ltd.

     2,548,135         25,339,449   
     

 

 

 
Total South Africa               156,263,468   
South Korea – 0.3%      

Hite Jinro Co., Ltd.(a)

     82,357         1,584,190   

Macquarie Korea Infrastructure Fund

     291,549         1,953,007   

Moorim P&P Co., Ltd.

     177,652         767,382   
     

 

 

 
Total South Korea               4,304,579   
Taiwan – 13.5%      

Achem Technology Corp.

     1,213,683         466,270   

ALI Corp.(a)

     1,176,000         557,151   

Asia Cement Corp.

     4,757,158         4,652,053   

ASROCK, Inc.

     325,000         369,144   

Asustek Computer, Inc.(a)

     1,264,000         10,844,431   

Capital Securities Corp.

     5,141,121         1,402,088   

Cathay Real Estate Development Co., Ltd.

     1,983,489         852,369   

Cheng Loong Corp.

     3,177,000         1,090,277   

Cheng Shin Rubber Industry Co., Ltd.(a)

     4,123,000         6,761,582   

Chicony Electronics Co., Ltd.(a)

     1,186,276         2,730,840   

Chin-Poon Industrial Co., Ltd.(a)

     750,000         1,022,701   

China Development Financial Holding Corp.(a)

     11,105,000         2,984,716   

China Steel Chemical Corp.(a)

     689,000         2,123,863   

 

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 High Dividend Fund (DEM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

China Synthetic Rubber Corp.

     1,742,176       $ 1,269,827   

Chong Hong Construction Co., Ltd.(a)

     409,050         537,905   

Chung-Hsin Electric & Machinery Manufacturing Corp.

     306,750         151,850   

Clevo Co.(a)

     1,631,000         1,785,667   

Cyberlink Corp.

     470,571         973,226   

Eastern Media International Corp.*

     1,858,000         363,954   

Elan Microelectronics Corp.(a)

     689,000         711,442   

Elite Material Co., Ltd.

     492,678         1,083,286   

Elitegroup Computer Systems Co., Ltd.

     2,955,000         1,745,494   

Eternal Materials Co., Ltd.

     122,820         108,170   

Everlight Electronics Co., Ltd.(a)

     438,000         659,777   

Far Eastern Department Stores Ltd.

     2,901,000         1,541,796   

Far Eastern New Century Corp.

     7,129,402         6,343,982   

Far EasTone Telecommunications Co., Ltd.

     4,853,000         10,464,293   

Faraday Technology Corp.

     661,800         813,997   

Feng Hsin Iron & Steel Co.

     225,000         248,045   

Flytech Technology Co., Ltd.

     196,098         558,025   

Formosa Chemicals & Fibre Corp.

     5,763,303         11,692,009   

Formosan Rubber Group, Inc.

     1,389,000         757,195   

GeoVision, Inc.*(a)

     227,000         637,689   

Getac Technology Corp.

     1,515,000         959,312   

Grape King Bio Ltd.

     227,000         1,127,158   

Holtek Semiconductor, Inc.

     227,000         292,992   

Hua Nan Financial Holdings Co., Ltd.

     7,442,370         3,458,151   

Huaku Development Co., Ltd.

     458,726         795,483   

IEI Integration Corp.(a)

     746,000         897,171   

Inventec Corp.

     7,893,000         3,739,452   

Jentech Precision Industrial Co., Ltd.(a)

     227,000         308,159   

KEE TAI Properties Co., Ltd.(a)

     2,499,000         1,244,662   

King Yuan Electronics Co., Ltd.

     1,928,000         1,223,755   

Lextar Electronics Corp.(a)

     745,000         307,706   

Lite-On Technology Corp.

     4,021,225         3,688,133   

Lumax International Corp., Ltd.

     224,000         294,562   

Makalot Industrial Co., Ltd.

     284,645         2,338,364   

Mega Financial Holding Co., Ltd.(a)

     9,277,071         6,423,725   

Micro-Star International Co., Ltd.

     1,194,000         1,011,695   

Novatek Microelectronics Corp.

     689,000         2,155,250   

OptoTech Corp.

     436,000         131,353   

Pegatron Corp.

     3,140,000         7,647,954   

Quanta Computer, Inc.(a)

     5,544,990         9,615,638   

Radiant Opto-Electronics Corp.(a)

     753,170         2,321,669   

Realtek Semiconductor Corp.(a)

     688,000         1,165,907   

Rechi Precision Co., Ltd.

     294,993         205,158   

Richtek Technology Corp.

     225,000         1,311,973   

Ruentex Development Co., Ltd.

     1,935,266         2,107,032   

Ruentex Industries Ltd.(a)

     2,052,000         3,633,182   

Sercomm Corp.

     279,000         682,937   

Shin Zu Shing Co., Ltd.

     270,000         812,604   

Siliconware Precision Industries Co., Ltd.(a)

     3,648,724         4,526,623   

Sonix Technology Co., Ltd.

     302,000         347,148   

Sunspring Metal Corp.(a)

     573,000         708,256   

Syncmold Enterprise Corp.(a)

     688,324         972,047   

Synnex Technology International Corp.

     3,157,786         3,145,559   

Taiflex Scientific Co., Ltd.(a)

     564,254       $ 601,483   

Taiwan Cement Corp.

     5,349,485         5,418,125   

Taiwan Cogeneration Corp.

     1,603,000         1,027,205   

Taiwan Fertilizer Co., Ltd.

     1,829,000         2,277,397   

Taiwan Mobile Co., Ltd.(a)

     5,750,253         17,550,693   

Taiwan Paiho Ltd.(a)

     283,000         769,220   

Taiwan Secom Co., Ltd.(a)

     496,538         1,393,368   

Taiwan Surface Mounting Technology Corp.(a)

     691,900         632,486   

Test Rite International Co., Ltd.

     2,104,000         1,281,154   

Tong Hsing Electronic Industries Ltd.(a)

     263,000         667,734   

Topco Scientific Co., Ltd.

     225,718         323,899   

Transcend Information, Inc.

     898,000         2,263,579   

Tripod Technology Corp.(a)

     769,000         1,104,660   

TSRC Corp.(a)

     1,375,584         831,345   

Tung Ho Steel Enterprise Corp.

     400,000         208,944   

TXC Corp.(a)

     695,000         718,693   

U-Ming Marine Transport Corp.(a)

     1,153,048         1,225,622   

United Integrated Services Co., Ltd.

     801,853         863,281   

Vivotek, Inc.(a)

     225,785         575,991   

Wah Lee Industrial Corp.

     227,000         296,784   

Wistron Corp.(a)

     3,478,179         1,811,579   

Wistron NeWeb Corp.

     494,381         1,028,475   

WPG Holdings Ltd.(a)

     3,212,000         3,092,260   

WT Microelectronics Co., Ltd.

     248,470         248,640   

YC INOX Co., Ltd.

     1,317,000         703,947   

Yuanta Financial Holding Co., Ltd.(a)

     8,069,913         2,989,991   

Yulon Nissan Motor Co., Ltd.(a)

     570,000         4,293,068   

Zinwell Corp.(a)

     1,067,000         1,182,765   
     

 

 

 
Total Taiwan               203,288,272   
Thailand – 6.9%      

Advanced Info Service PCL

     4,159,861         25,902,427   

Bangkok Expressway PCL NVDR

     1,173,100         1,171,646   

Banpu PCL NVDR

     3,797,280         2,092,454   

BEC World PCL NVDR

     2,638,700         2,326,447   

BTS Group Holdings PCL NVDR

     12,489,643         3,355,118   

Delta Electronics Thailand PCL NVDR

     1,651,183         4,003,419   

Dynasty Ceramic PCL NVDR

     12,162,680         1,239,893   

Electricity Generating PCL

     529,600         2,232,506   

Hana Microelectronics PCL NVDR(a)

     420,200         327,060   

Intouch Holdings PCL NVDR(a)

     5,090,059         10,202,557   

Land & Houses PCL NVDR(a)

     11,805,253         2,618,330   

LPN Development PCL NVDR(a)

     1,194,300         559,391   

Major Cineplex Group PCL NVDR

     1,649,900         1,454,658   

MK Restaurants Group PCL NVDR(a)

     1,133,900         1,804,180   

Nok Airlines PCL NVDR*

     2,208,700         425,979   

PTT Global Chemical PCL NVDR

     5,954,934         8,818,782   

PTT PCL NVDR

     2,943,494         19,463,798   

Ratchaburi Electricity Generating Holding PCL

     1,681,696         2,478,874   

Sansiri PCL NVDR

     4,420,779         207,062   

Siamgas & Petrochemicals PCL NVDR(a)

     2,723,500         810,409   

Sri Trang Agro-Industry PCL NVDR

     3,156,400         974,010   

Sriracha Construction PCL NVDR

     921,200         616,756   

Srithai Superware PCL NVDR

     4,707,200         290,512   

 

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 High Dividend Fund (DEM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

SVI PCL NVDR*

     5,462,400       $ 760,025   

Thai Factory Development PCL NVDR*

     1,364,800         112,809   

Thai Vegetable Oil PCL NVDR

     2,482,570         1,949,394   

Thanachart Capital PCL NVDR

     1,649,500         1,442,943   

TICON Industrial Connection PCL NVDR

     836,000         267,188   

Total Access Communication PCL NVDR(a)

     2,475,824         3,939,354   

TTW PCL NVDR(a)

     6,420,577         1,928,208   
     

 

 

 
Total Thailand               103,776,189   
Turkey – 2.8%      

Akcansa Cimento AS(a)

     234,558         1,092,319   

Aksa Akrilik Kimya Sanayii AS

     468,401         1,508,351   

Anadolu Cam Sanayii AS*(a)

     675,032         465,962   

Anadolu Isuzu Otomotiv Sanayi Ve Ticaret AS Class C(a)

     97,105         550,029   

Arcelik AS

     580,471         2,827,825   

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS(a)

     477,972         1,324,477   

Cimsa Cimento Sanayi ve Ticaret AS

     358,614         1,758,870   

Dogus Otomotiv Servis ve Ticaret AS

     480,555         1,539,554   

Emlak Konut Gayrimenkul Yatirim Ortakligi AS(a)

     3,398,717         2,817,531   

Eregli Demir ve Celik Fabrikalari TAS

     5,384,423         6,633,275   

Goodyear Lastikleri TAS

     22,756         454,707   

Gubre Fabrikalari TAS(a)

     688,478         1,441,648   

Koza Altin Isletmeleri AS(a)

     211,325         1,532,023   

Otokar Otomotiv ve Savunma Sanayi AS(a)

     59,224         1,537,447   

Park Elektrik Uretim Madencilik Sanayi ve Ticaret AS*

     775,791         942,915   

Saf Gayrimenkul Yatirim Ortakligi AS

     2,302,333         821,243   

Teknosa Ic Ve Dis Ticaret AS(a)

     292,627         613,717   

Tofas Turk Otomobil Fabrikasi AS

     746,051         4,422,959   

Turk Telekomunikasyon AS

     4,236,258         8,352,889   

Turk Traktor ve Ziraat Makineleri AS(a)

     84,868         2,053,202   
     

 

 

 
Total Turkey               42,690,943   
TOTAL COMMON STOCKS
(Cost: $2,121,772,940)
              1,500,090,372   
EXCHANGE-TRADED FUND – 0.1%      
United States – 0.1%      
WisdomTree Global High Dividend Fund(b)
(Cost: $2,185,639)
     54,792         2,106,204   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 5.2%   
United States – 5.2%      

State Street Navigator Securities Lending Prime Portfolio(c)

(Cost: $78,341,141)(d)

     78,341,141         78,341,141   
TOTAL INVESTMENTS IN SECURITIES – 104.6%
(Cost: $2,202,299,720)
         1,580,537,717   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (4.6)%

        (70,157,463
     

 

 

 
NET ASSETS – 100.0%             $ 1,510,380,254   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 8).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $107,039,173 and the total market value of the collateral held by the Fund was $113,445,191. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $35,104,050.

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 Quality Dividend Growth Fund (DGRE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 96.0%      
Brazil – 14.0%      

Ambev S.A.

     295,093       $ 1,439,171   

Arezzo Industria e Comercio S.A.

     1,418         7,087   

BB Seguridade Participacoes S.A.

     72,359         450,841   

Brasil Insurance Participacoes e Administracao S.A.

     36,541         6,515   

CCR S.A.

     49,784         152,154   

CETIP S.A. – Mercados Organizados

     13,166         108,781   

Cia Hering

     12,211         43,086   

Cielo S.A.

     58,295         536,696   

Ez Tec Empreendimentos e Participacoes S.A.

     13,796         40,051   

Iochpe-Maxion S.A.

     10,356         39,401   

Linx S.A.

     1,959         21,647   

Localiza Rent a Car S.A.

     3,267         20,052   

Lojas Renner S.A.

     13,920         64,322   

M. Dias Branco S.A.

     1,422         20,748   

MRV Engenharia e Participacoes S.A.

     24,020         36,736   

Natura Cosmeticos S.A.

     17,169         84,078   

Odontoprev S.A.

     20,631         49,480   

Santos Brasil Participacoes S.A.

     15,842         50,924   

Souza Cruz S.A.

     75,731         509,698   

Tegma Gestao Logistica

     8,424         7,574   

Tractebel Energia S.A.

     19,187         162,672   

Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao S.A

     2,702         31,051   

WEG S.A.

     35,644         138,299   
     

 

 

 
Total Brazil         4,021,064   
Chile – 0.5%      

Administradora de Fondos de Pensiones Habitat S.A.

     18,690         21,783   

Cia Cervecerias Unidas S.A.

     8,950         98,462   

Forus S.A.

     5,631         12,638   
     

 

 

 
Total Chile         132,883   
China – 2.5%      

Anhui Conch Cement Co., Ltd. Class H

     26,500         77,790   

Dongfeng Motor Group Co., Ltd. Class H

     176,000         219,147   

Great Wall Motor Co., Ltd. Class H

     73,500         81,181   

Guangzhou Automobile Group Co., Ltd. Class H(a)

     84,000         68,392   

Shandong Luoxin Pharmaceutical Group Stock Co., Ltd. Class H

     16,000         25,187   

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

     57,300         36,080   

Tong Ren Tang Technologies Co., Ltd. Class H

     24,000         32,702   

Zhaojin Mining Industry Co., Ltd. Class H(a)

     95,500         49,906   

Zhuzhou CSR Times Electric Co., Ltd. Class H

     17,864         131,501   
     

 

 

 
Total China         721,886   
India – 1.5%      

Infosys Ltd. ADR

     19,062         363,893   

Wipro Ltd. ADR(a)

     6,223         76,481   
     

 

 

 
Total India         440,374   
Indonesia – 9.7%      

Adaro Energy Tbk PT

     60,800         2,220   

Adhi Karya Persero Tbk PT

     136,040         20,894   

AKR Corporindo Tbk PT

     76,700       $ 30,628   

Astra Agro Lestari Tbk PT

     43,400         53,695   

Astra International Tbk PT

     1,405,000         501,101   

Bank Rakyat Indonesia Persero Tbk PT

     642,168         379,164   

Bumi Serpong Damai Tbk PT

     230,800         22,135   

Charoen Pokphand Indonesia Tbk PT

     161,000         21,980   

Ciputra Development Tbk PT

     256,255         14,256   

Gudang Garam Tbk PT

     25,500         73,106   

Harum Energy Tbk PT*

     85,300         4,920   

Indocement Tunggal Prakarsa Tbk PT

     140,400         157,650   

Indofood CBP Sukses Makmur Tbk PT

     106,700         90,313   

Industri Jamu Dan Farmasi Sido Muncul Tbk PT

     643,500         21,523   

Jasa Marga Persero Tbk PT

     117,500         38,699   

Kalbe Farma Tbk PT

     524,131         49,193   

Media Nusantara Citra Tbk PT

     346,700         38,811   

Pembangunan Perumahan Persero Tbk PT

     56,264         13,307   

Perusahaan Gas Negara Persero Tbk PT

     460,855         79,588   

Perusahaan Perkebunan London Sumatra Indonesia Tbk PT

     133,643         12,634   

Semen Indonesia Persero Tbk PT

     167,500         103,473   

Summarecon Agung Tbk PT

     288,700         22,071   

Surya Citra Media Tbk PT

     310,500         58,073   

Surya Semesta Internusa Tbk PT

     405,663         18,691   

Telekomunikasi Indonesia Persero Tbk PT

     2,975,700         537,251   

Tower Bersama Infrastructure Tbk PT*

     38,200         17,079   

Unilever Indonesia Tbk PT

     138,800         360,027   

Vale Indonesia Tbk PT

     113,000         16,854   

Waskita Karya Persero Tbk PT

     186,929         19,777   
     

 

 

 
Total Indonesia         2,779,113   
Malaysia – 2.8%      

Berjaya Sports Toto Bhd

     80,700         56,545   

British American Tobacco Malaysia Bhd

     13,300         182,507   

Dayang Enterprise Holdings Bhd

     144,700         55,302   

Dialog Group Bhd

     75,144         27,352   

Hartalega Holdings Bhd

     35,400         39,058   

Mah Sing Group Bhd

     74,800         22,292   

Petronas Gas Bhd

     55,400         276,764   

Westports Holdings Bhd

     149,400         144,106   
     

 

 

 
Total Malaysia         803,926   
Mexico – 2.9%      

Controladora Comercial Mexicana S.A.B. de C.V.

     15,257         44,195   

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

     186,901         451,295   

Kimberly-Clark de Mexico S.A.B. de C.V. Class A

     135,959         306,709   

TV Azteca S.A.B. de C.V. Series CPO(a)

     163,080         25,694   
     

 

 

 
Total Mexico         827,893   
Philippines – 2.6%      

Aboitiz Power Corp.

     249,300         230,419   

D&L Industries, Inc.

     74,800         15,987   

DMCI Holdings, Inc.

     413,440         113,223   

Energy Development Corp.

     203,600         23,958   

International Container Terminal Services, Inc.

     11,100         17,823   

Jollibee Foods Corp.

     9,450         38,981   

Security Bank Corp.

     2,650         7,779   

 

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 Quality Dividend Growth Fund (DGRE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Semirara Mining and Power Corp.

     37,880       $ 110,301   

Universal Robina Corp.

     43,590         179,060   
     

 

 

 
Total Philippines         737,531   
Poland – 0.7%      

CCC S.A.

     372         16,039   

Eurocash S.A.

     3,683         43,275   

KGHM Polska Miedz S.A.

     6,731         145,062   
     

 

 

 
Total Poland         204,376   
Russia – 5.7%      

Magnit PJSC GDR Reg S

     6,586         314,613   

MegaFon PJSC GDR Reg S

     34,304         416,794   

NovaTek OAO GDR Reg S

     7,804         721,870   

PhosAgro OAO GDR Reg S

     13,273         183,167   
     

 

 

 
Total Russia         1,636,444   
South Africa – 17.6%      

Aspen Pharmacare Holdings Ltd.*

     2,041         43,397   

AVI Ltd.

     20,253         128,253   

Capitec Bank Holdings Ltd.

     3,124         113,193   

Clicks Group Ltd.

     11,297         73,393   

Exxaro Resources Ltd.(a)

     14,815         56,251   

Famous Brands Ltd.

     2,167         21,158   

Foschini Group Ltd. (The)

     11,055         112,197   

Life Healthcare Group Holdings Ltd.

     30,407         78,310   

Massmart Holdings Ltd.

     6,045         47,260   

Mr. Price Group Ltd.

     5,693         79,464   

MTN Group Ltd.

     88,038         1,133,345   

Naspers Ltd. Class N

     1,495         187,122   

Oceana Group Ltd.

     5,431         37,864   

Pick n Pay Stores Ltd.

     8,042         38,561   

Pioneer Foods Group Ltd.

     5,224         73,961   

PPC Ltd.

     42,790         52,919   

Reunert Ltd.

     13,165         58,080   

RMB Holdings Ltd.

     58,762         280,147   

Sasol Ltd.(a)

     26,027         729,592   

Shoprite Holdings Ltd.

     14,314         162,695   

SPAR Group Ltd. (The)

     9,979         133,515   

Tiger Brands Ltd.

     5,427         119,628   

Truworths International Ltd.

     22,991         141,368   

Vodacom Group Ltd.

     96,385         958,483   

Woolworths Holdings Ltd.

     29,168         204,199   
     

 

 

 
Total South Africa         5,064,355   
South Korea – 3.6%      

Amorepacific Corp.

     186         60,415   

Grand Korea Leisure Co., Ltd.

     1,528         42,863   

Hanssem Co., Ltd.

     122         29,386   

Hyundai Glovis Co., Ltd.

     223         42,143   

Kangwon Land, Inc.

     4,818         171,941   

Korea Zinc Co., Ltd.

     290         113,891   

LG Chem Ltd.

     1,242         299,157   

LG Household & Health Care Ltd.

     160         115,279   

NAVER Corp.

     43         18,610   

Partron Co., Ltd.

     3,480         27,598   

S-1 Corp.

     675       $ 53,132   

SK Holdings Co., Ltd.

     348         71,638   
     

 

 

 
Total South Korea         1,046,053   
Taiwan – 17.2%      

Advanced Semiconductor Engineering, Inc.(a)

     282,000         302,319   

Advantech Co., Ltd.

     17,000         116,164   

Catcher Technology Co., Ltd.

     14,000         149,024   

Cathay Real Estate Development Co., Ltd.

     91,000         39,106   

Chicony Electronics Co., Ltd.

     40,245         92,645   

China Steel Chemical Corp.

     10,000         30,825   

Chong Hong Construction Co., Ltd.

     29,500         38,793   

Delta Electronics, Inc.

     79,000         369,478   

Eclat Textile Co., Ltd.

     9,000         142,131   

Elan Microelectronics Corp.

     38,000         39,238   

Formosa International Hotels Corp.

     2,168         14,485   

Giant Manufacturing Co., Ltd.

     10,000         72,584   

Kinsus Interconnect Technology Corp.

     12,916         24,712   

Largan Precision Co., Ltd.

     2,000         155,493   

Makalot Industrial Co., Ltd.

     10,454         85,880   

MediaTek, Inc.

     50,000         369,752   

Merida Industry Co., Ltd.

     9,000         48,379   

Novatek Microelectronics Corp.

     28,000         87,586   

President Chain Store Corp.

     24,000         149,419   

Radiant Opto-Electronics Corp.

     25,000         77,063   

Richtek Technology Corp.

     11,000         64,141   

Ruentex Development Co., Ltd.

     105,364         114,716   

Ruentex Industries Ltd.

     76,000         134,562   

Siliconware Precision Industries Co., Ltd.

     154,000         191,053   

Taiwan Semiconductor Manufacturing Co., Ltd.

     474,291         1,872,533   

TSRC Corp.

     36,000         21,757   

Yulon Nissan Motor Co., Ltd.(a)

     20,000         150,634   
     

 

 

 
Total Taiwan         4,954,472   
Thailand – 11.6%      

Advanced Info Service PCL NVDR

     160,316         998,248   

Bangkok Dusit Medical Services PCL NVDR

     240,700         122,688   

BEC World PCL NVDR

     84,811         74,775   

Big C Supercenter PCL NVDR

     8,566         47,438   

Bumrungrad Hospital PCL NVDR

     19,262         114,633   

Central Pattana PCL NVDR

     60,316         74,367   

Charoen Pokphand Foods PCL NVDR

     155,974         88,956   

CP ALL PCL NVDR

     200,217         263,407   

Delta Electronics Thailand PCL NVDR

     61,500         149,111   

Dynasty Ceramic PCL NVDR

     451,420         46,019   

Intouch Holdings PCL NVDR

     204,942         410,787   

Jasmine International PCL NVDR

     363,100         56,023   

LPN Development PCL NVDR

     76,600         35,878   

Minor International PCL NVDR

     76,410         60,526   

Robinson Department Store PCL NVDR

     26,300         27,535   

Samart Corp. PCL NVDR

     2,100         1,227   

Siam Cement PCL (The) NVDR

     35,124         449,030   

Siam City Cement PCL NVDR

     9,520         89,180   

Sriracha Construction PCL NVDR

     23,500         15,734   

STP & I PCL NVDR

     70,610         29,182   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      43   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Supalai PCL NVDR

     85,200       $ 42,958   

Thai Union Group PCL NVDR

     123,900         62,812   

Total Access Communication PCL NVDR

     51,700         82,261   

VGI Global Media PCL NVDR

     70,880         6,835   
     

 

 

 
Total Thailand         3,349,610   
Turkey – 3.1%      

Akcansa Cimento AS

     10,821         50,392   

Aselsan Elektronik Sanayi ve Ticaret AS

     3,815         17,325   

BIM Birlesik Magazalar AS

     4,992         88,455   

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS

     17,380         48,161   

Coca-Cola Icecek AS

     2,969         33,929   

Koza Altin Isletmeleri AS

     8,976         65,072   

Tofas Turk Otomobil Fabrikasi AS

     26,534         157,307   

Turk Telekomunikasyon AS

     148,600         293,004   

Turk Traktor ve Ziraat Makineleri AS

     4,764         115,255   

Ulker Biskuvi Sanayi AS

     4,442         28,095   
     

 

 

 
Total Turkey         896,995   

TOTAL COMMON STOCKS

(Cost: $34,089,582)

              27,616,975   
EXCHANGE-TRADED NOTE – 3.8%      

United States – 3.8% iPath MSCI India Index ETN*(a)

     
(Cost: $1,079,219)      16,398         1,085,220   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 6.0%   
United States – 6.0%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $1,740,408)(c)      1,740,408         1,740,408   

TOTAL INVESTMENTS IN SECURITIES – 105.8%

(Cost: $36,909,209)

        30,442,603   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (5.8)%

        (1,663,626
     

 

 

 
NET ASSETS – 100.0%             $ 28,778,977   
* Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c)

At September 30, 2015, the total market value of the Fund’s securities on loan was $1,850,749 and the total market value of the collateral held by the Fund was $1,926,958. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $186,550.

ADR – American Depositary Receipt

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.

 

44   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 98.6%      
Brazil – 6.5%      

Aliansce Shopping Centers S.A.

     172,217       $ 460,606   

Arezzo Industria e Comercio S.A.

     119,667         598,042   

Arteris S.A.

     929,073         2,216,551   

Brasil Brokers Participacoes S.A.

     1,497,848         658,279   

Brasil Insurance Participacoes e Administracao S.A.

     920,000         164,040   

Cia de Saneamento de Minas Gerais-COPASA

     219,038         684,846   

Cia Hering

     397,744         1,403,409   

CVC Brasil Operadora e Agencia de Viagens S.A.

     63,472         219,971   

Cyrela Brazil Realty S.A. Empreendimentos e Participacoes

     939,338         1,950,885   

Direcional Engenharia S.A.

     419,417         381,293   

EDP – Energias do Brasil S.A.

     2,424,544         6,989,984   

Equatorial Energia S.A.

     140,855         1,197,742   

Even Construtora e Incorporadora S.A.

     957,660         827,321   

Ez Tec Empreendimentos e Participacoes S.A.

     454,532         1,319,552   

Fleury S.A.

     651,975         2,660,655   

Gafisa S.A.*

     4,166,615         2,113,678   

Grendene S.A.

     1,045,727         4,629,934   

Guararapes Confeccoes S.A.

     53,354         656,549   

Helbor Empreendimentos S.A.

     1,474,511         710,973   

Iguatemi Empresa de Shopping Centers S.A.

     94,080         485,527   

Iochpe-Maxion S.A.

     336,916         1,281,854   

JHSF Participacoes S.A.

     434,673         158,283   

JSL S.A.

     100,845         243,125   

Kepler Weber S.A.

     22,613         119,143   

Light S.A.

     1,531,975         4,443,630   

Linx S.A.

     27,467         303,507   

Lojas Americanas S.A.

     200,319         593,117   

LPS Brasil Consultoria de Imoveis S.A.

     367,671         263,153   

Magazine Luiza S.A.

     304,303         137,557   

Mahle-Metal Leve S.A.

     465,838         2,694,220   

Marisa Lojas S.A.

     56,554         99,418   

Mills Estruturas e Servicos de Engenharia S.A.*

     258,112         291,692   

MRV Engenharia e Participacoes S.A.

     1,164,844         1,781,514   

Multiplus S.A.

     558,467         4,483,781   

Odontoprev S.A.

     1,258,372         3,017,982   

QGEP Participacoes S.A.

     418,971         643,931   

Santos Brasil Participacoes S.A.

     623,436         2,004,038   

Sao Martinho S.A.

     118,693         1,168,464   

Ser Educacional S.A.

     48,849         105,133   

SLC Agricola S.A.

     139,778         628,342   

Smiles S.A.

     221,577         1,672,143   

Somos Educacao S.A.

     134,364         442,037   

Sul America S.A.

     803,699         3,602,764   

Tecnisa S.A.

     1,352,444         1,052,895   

Tegma Gestao Logistica

     143,375         128,902   

TPI – Triunfo Participacoes e Investimentos S.A.

     614,499         598,766   

Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao S.A

     170,681         1,961,442   
     

 

 

 
Total Brazil         64,250,670   
Chile – 2.1%      

Administradora de Fondos de Pensiones Habitat S.A.

     1,654,463       $ 1,928,266   

CAP S.A.

     519,089         1,360,240   

E.CL S.A.

     1,205,043         1,671,346   

Forus S.A.

     422,837         948,985   

Hortifrut S.A.

     694,307         628,058   

Inversiones Aguas Metropolitanas S.A.

     2,441,717         3,366,403   

Inversiones La Construccion S.A.

     200,334         2,155,585   

Parque Arauco S.A.

     1,358,478         2,326,277   

Ripley Corp. S.A.

     2,744,134         904,695   

Salfacorp S.A.

     1,556,831         817,500   

Sociedad Matriz SAAM S.A.

     14,126,289         937,474   

SONDA S.A.

     1,247,705         1,863,143   

Vina Concha y Toro S.A.

     1,385,518         2,291,356   
     

 

 

 
Total Chile         21,199,328   
China – 9.0%      

Anhui Expressway Co., Ltd. Class H

     1,927,666         1,566,996   

BBMG Corp. Class H

     807,169         553,037   

China BlueChemical Ltd. Class H

     16,114,000         4,303,970   

China Galaxy Securities Co., Ltd. Class H(a)

     1,480,500         1,039,209   

China National Materials Co., Ltd. Class H

     2,753,000         664,268   

China Railway Construction Corp., Ltd. Class H

     3,115,098         4,574,140   

China Railway Group Ltd. Class H

     5,483,801         4,974,306   

China Southern Airlines Co., Ltd. Class H

     3,558,000         2,612,244   

China Suntien Green Energy Corp., Ltd. Class H(a)

     7,263,039         1,283,910   

Chongqing Machinery & Electric Co., Ltd. Class H

     11,590,855         1,525,496   

Dalian Port PDA Co., Ltd. Class H(a)

     4,678,507         1,460,892   

Datang International Power Generation Co., Ltd. Class H

     9,665,049         3,653,988   

Dongfang Electric Corp., Ltd. Class H(a)

     312,581         320,645   

Guangshen Railway Co., Ltd. Class H(a)

     3,252,665         1,292,664   

Guangzhou Automobile Group Co., Ltd. Class H

     5,226,000         4,254,948   

Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd. Class H(a)

     176,000         451,920   

Haitong Securities Co., Ltd. Class H

     1,157,600         1,666,933   

Harbin Electric Co., Ltd. Class H(a)

     1,850,071         1,016,936   

Huadian Power International Corp., Ltd. Class H

     4,768,000         3,709,788   

Jiangsu Expressway Co., Ltd. Class H

     4,951,933         6,306,486   

Jiangxi Copper Co., Ltd. Class H

     4,427,000         5,369,488   

Livzon Pharmaceutical Group, Inc. Class H

     127,860         659,918   

Metallurgical Corp. of China Ltd. Class H†(a)

     6,374,000         2,352,196   

Shandong Luoxin Pharmaceutical Group Stock Co., Ltd. Class H

     824,000         1,297,127   

Shanghai Electric Group Co., Ltd. Class H(a)

     4,800,000         2,607,467   

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

     311,000         973,123   

Shanghai Jin Jiang International Hotels Group Co., Ltd. Class H

     10,203,587         2,856,986   

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

     799,500         1,667,076   

Shenzhen Expressway Co., Ltd. Class H

     3,573,697         2,328,652   

Sichuan Expressway Co., Ltd. Class H

     1,400,768         439,206   

Sinopec Engineering Group Co., Ltd. Class H(a)

     4,581,000         3,983,967   

 

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, 2015

 

  

 

 

Investments    Shares      Value  

Tong Ren Tang Technologies Co., Ltd. Class H(a)

     1,239,888       $ 1,689,436   

Weichai Power Co., Ltd. Class H

     605,538         561,779   

Xinhua Winshare Publishing and Media Co., Ltd. Class H

     4,130,000         3,250,689   

Xinjiang Goldwind Science & Technology Co., Ltd. Class H(a)

     202,800         350,645   

Yanzhou Coal Mining Co., Ltd. Class H(a)

     1,358,000         602,773   

Zhaojin Mining Industry Co., Ltd. Class H(a)

     6,107,500         3,191,641   

Zijin Mining Group Co., Ltd. Class H(a)

     21,142,000         5,510,524   

Zoomlion Heavy Industry Science and Technology Co., Ltd. Class H(a)

     4,142,600         1,555,469   
     

 

 

 
Total China         88,480,938   
Indonesia – 3.0%      

Ace Hardware Indonesia Tbk PT

     9,797,900         337,743   

Adhi Karya Persero Tbk PT

     3,641,800         559,321   

Agung Podomoro Land Tbk PT*

     28,465,400         582,909   

AKR Corporindo Tbk PT

     5,005,145         1,998,641   

Alam Sutera Realty Tbk PT

     22,859,877         493,087   

Bank Bukopin Tbk

     24,852,218         1,068,730   

Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT

     69,095,112         2,900,580   

Bank Tabungan Negara Persero Tbk PT

     29,468,716         2,001,459   

Bumi Serpong Damai Tbk PT

     11,126,300         1,067,062   

Ciputra Development Tbk PT

     18,479,812         1,028,058   

Elnusa Tbk PT

     15,729,800         358,618   

Global Mediacom Tbk PT

     14,091,700         904,177   

Harum Energy Tbk PT*

     8,272,463         477,149   

Intiland Development Tbk PT

     9,496,600         379,216   

Japfa Comfeed Indonesia Tbk PT*

     8,409,891         170,494   

Lippo Karawaci Tbk PT

     17,565,900         1,354,912   

Malindo Feedmill Tbk PT

     1,713,600         136,269   

Matahari Putra Prima Tbk PT

     25,589,600         3,353,722   

Medco Energi Internasional Tbk PT

     1,217,500         95,156   

MNC Investama Tbk PT

     32,199,200         437,382   

Pakuwon Jati Tbk PT

     33,384,500         754,285   

Pembangunan Perumahan Persero Tbk PT

     6,493,270         1,535,780   

Perusahaan Perkebunan London Sumatra Indonesia Tbk PT

     11,649,652         1,101,349   

Salim Ivomas Pratama Tbk PT

     13,611,000         413,440   

Summarecon Agung Tbk PT

     20,755,372         1,586,759   

Surya Semesta Internusa Tbk PT

     18,768,400         864,756   

Timah Persero Tbk PT

     19,312,822         843,700   

Total Bangun Persada Tbk PT

     11,573,500         462,150   

Waskita Karya Persero Tbk PT

     12,754,969         1,349,502   

Wijaya Karya Persero Tbk PT

     3,713,152         656,455   
     

 

 

 
Total Indonesia         29,272,861   
Malaysia – 5.9%      

Aeon Co. M Bhd

     1,999,252         1,228,000   

AirAsia Bhd

     2,626,300         764,753   

Alliance Financial Group Bhd

     3,709,047         2,826,664   

Berjaya Auto Bhd

     1,618,580         721,701   

Berjaya Corp. Bhd

     8,246,932         712,924   

BIMB Holdings Bhd

     3,081,128         2,810,743   

Bursa Malaysia Bhd

     1,377,500       $ 2,522,635   

Cahya Mata Sarawak Bhd

     994,200         1,164,791   

Coastal Contracts Bhd

     620,400         263,925   

Dayang Enterprise Holdings Bhd

     1,801,900         688,663   

Dialog Group Bhd

     6,573,676         2,392,739   

DRB-Hicom Bhd

     3,936,961         1,191,186   

Eastern & Oriental Bhd

     2,354,596         846,331   

Gas Malaysia Bhd

     1,858,760         1,048,678   

Genting Plantations Bhd

     332,800         750,281   

Globetronics Technology Bhd

     812,100         1,154,666   

HAP Seng Consolidated Bhd

     6,711,892         8,474,322   

Hartalega Holdings Bhd

     2,476,744         2,732,687   

Inari Amertron Bhd

     781,700         602,847   

JCY International Bhd

     8,658,991         1,319,803   

JobStreet Corp. Bhd

     45,620         17,850   

KPJ Healthcare Bhd

     1,577,741         1,507,482   

Lafarge Malaysia Bhd

     1,557,500         3,188,876   

Mah Sing Group Bhd

     6,070,877         1,809,213   

Malaysia Marine and Heavy Engineering Holdings Bhd*

     1,446,500         342,231   

Malaysian Bulk Carriers Bhd

     1,358,400         271,943   

Malaysian Resources Corp. Bhd

     2,345,443         629,613   

Matrix Concepts Holdings Bhd

     2,006,500         1,045,302   

Media Prima Bhd

     4,802,836         1,311,131   

MMC Corp. Bhd

     1,779,100         858,031   

Mudajaya Group Bhd*

     2,377,365         540,833   

Muhibbah Engineering M Bhd

     511,500         235,052   

Oldtown Bhd

     2,133,202         616,315   

Padini Holdings Bhd

     2,801,596         860,412   

Pos Malaysia Bhd

     929,300         773,756   

Press Metal Bhd

     1,595,100         747,519   

Prestariang Bhd

     1,624,200         683,563   

Sunway Bhd

     2,645,100         1,895,482   

Supermax Corp. Bhd

     1,291,367         596,366   

Ta Ann Holdings Bhd

     206,400         173,731   

TA Enterprise Bhd

     3,454,900         483,368   

Tambun Indah Land Bhd

     1,039,400         307,392   

Top Glove Corp. Bhd

     1,289,490         2,367,328   

Tropicana Corp. Bhd*

     4,085,215         850,360   

Tune Protect Group Bhd

     733,600         216,955   

UEM Edgenta Bhd

     929,200         750,420   

Wah Seong Corp. Bhd

     1,403,269         386,272   

WCT Holdings Bhd

     2,545,116         793,223   
     

 

 

 
Total Malaysia         58,478,358   
Mexico – 2.2%      

Asesor de Activos Prisma SAPI de C.V.*(a)

     1,012,901         892,361   

Banregio Grupo Financiero S.A.B. de C.V.

     445,109         2,375,420   

Bolsa Mexicana de Valores S.A.B. de C.V.(a)

     687,623         1,075,657   

Corp. Inmobiliaria Vesta S.A.B. de C.V.(a)

     1,108,092         1,730,786   

Grupo Aeroportuario del Centro Norte S.A.B. de C.V.*(a)

     1,685,443         8,336,338   

Grupo Herdez S.A.B. de C.V.

     779,073         2,055,400   

Megacable Holdings S.A.B. de C.V. Series CPO(a)

     734,621         2,665,517   

Organizacion Cultiba S.A.B. de C.V.(a)

     554,634         665,688   

 

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, 2015

 

  

 

 

Investments    Shares      Value  

Qualitas Controladora S.A.B. de C.V.*

     649,072       $ 894,704   

TV Azteca S.A.B. de C.V. Series CPO(a)

     5,715,043         900,418   
     

 

 

 
Total Mexico         21,592,289   
Philippines – 2.5%      

Cebu Air, Inc.

     568,420         1,052,562   

D&L Industries, Inc.

     6,454,500         1,379,556   

Filinvest Land, Inc.

     38,046,000         1,367,507   

First Philippine Holdings Corp.

     667,726         937,874   

Lopez Holdings Corp.

     6,434,312         806,698   

Manila Water Co., Inc.

     3,204,745         1,491,297   

Nickel Asia Corp.

     5,793,748         793,324   

Puregold Price Club, Inc.

     1,698,600         1,126,585   

Rizal Commercial Banking Corp.

     893,944         574,733   

Robinsons Land Corp.

     5,871,360         3,573,817   

Robinsons Retail Holdings, Inc.

     768,930         1,200,116   

Security Bank Corp.

     830,274         2,437,176   

Semirara Mining and Power Corp.

     2,459,918         7,162,919   

Vista Land & Lifescapes, Inc.

     7,465,900         803,455   
     

 

 

 
Total Philippines         24,707,619   
Poland – 2.7%      

Asseco Poland S.A.

     295,058         4,190,894   

CCC S.A.

     26,490         1,142,138   

Ciech S.A.*

     72,130         1,376,759   

Enea S.A.

     1,077,515         3,828,280   

Eurocash S.A.

     262,070         3,079,325   

Lubelski Wegiel Bogdanka S.A.

     119,508         1,785,132   

PKP Cargo S.A.

     88,054         1,562,837   

Synthos S.A.

     3,376,548         3,356,524   

Tauron Polska Energia S.A.

     5,155,923         4,447,391   

Warsaw Stock Exchange

     175,921         1,764,970   
     

 

 

 
Total Poland         26,534,250   
South Africa – 10.5%      

Aeci Ltd.

     179,041         1,190,111   

Astral Foods Ltd.

     45,950         578,703   

AVI Ltd.

     1,133,160         7,175,779   

Barloworld Ltd.

     446,742         2,436,128   

Blue Label Telecoms Ltd.

     1,117,484         796,067   

Capevin Holdings Ltd.

     1,210,736         843,233   

Capitec Bank Holdings Ltd.

     188,534         6,831,238   

City Lodge Hotels Ltd.

     103,743         1,076,670   

Clicks Group Ltd.

     532,034         3,456,470   

Clover Industries Ltd.

     319,913         427,800   

Famous Brands Ltd.(a)

     209,085         2,041,403   

Foschini Group Ltd. (The)

     678,204         6,883,081   

Grindrod Ltd.(a)

     621,882         663,845   

Group Five Ltd.

     177,016         240,681   

Hosken Consolidated Investments Ltd.

     144,906         1,446,230   

Investec Ltd.

     718,711         5,501,957   

Invicta Holdings Ltd.(a)

     172,301         728,980   

JSE Ltd.

     183,864         1,715,373   

Lewis Group Ltd.(a)

     547,984         2,457,150   

Metair Investments Ltd.

     384,819         807,099   

Mondi Ltd.

     325,656         6,835,078   

Mpact Ltd.

     520,000       $ 1,808,925   

Murray & Roberts Holdings Ltd.

     612,581         518,348   

Nampak Ltd.

     1,845,823         3,444,148   

Omnia Holdings Ltd.

     89,210         961,974   

Peregrine Holdings Ltd.

     535,387         1,119,407   

Pick n Pay Holdings Ltd.

     907,777         1,848,118   

Pick n Pay Stores Ltd.(a)

     684,458         3,281,953   

Pioneer Foods Group Ltd.

     333,044         4,715,173   

PPC Ltd.

     2,105,297         2,603,643   

PSG Group Ltd.(a)

     258,317         4,156,761   

Raubex Group Ltd.

     313,367         396,383   

Resilient Property Income Fund Ltd.

     761,515         6,389,192   

Reunert Ltd.

     746,572         3,293,621   

Sibanye Gold Ltd.

     2,907,716         3,299,491   

SPAR Group Ltd. (The)

     490,636         6,564,523   

Sun International Ltd.

     235,738         1,483,272   

Tongaat Hulett Ltd.

     200,542         1,564,509   

Trencor Ltd.

     416,339         1,574,482   

Wilson Bayly Holmes-Ovcon Ltd.

     116,394         934,300   
     

 

 

 
Total South Africa         104,091,299   
South Korea – 11.8%      

Aju Capital Co., Ltd.

     90,517         528,455   

Binggrae Co., Ltd.(a)

     24,872         1,584,271   

Chongkundang Holdings Corp.(a)

     10,042         766,727   

CJ CGV Co., Ltd.(a)

     28,089         2,488,269   

Daeduck Electronics Co.

     76,421         500,963   

Daewoong Pharmaceutical Co., Ltd.

     30,087         2,056,059   

Daishin Securities Co., Ltd.

     185,466         1,752,484   

Daum Kakao Corp.(a)

     11,700         1,242,749   

DGB Financial Group, Inc.

     195,634         1,733,027   

Doosan Corp.(a)

     49,406         4,626,733   

Grand Korea Leisure Co., Ltd.(a)

     126,946         3,561,085   

Green Cross Corp.(a)

     9,214         1,453,656   

Green Cross Holdings Corp.

     29,283         989,441   

GS Home Shopping, Inc.

     5,074         813,347   

Hana Tour Service, Inc.

     20,570         2,516,367   

Handsome Co., Ltd.

     59,089         1,951,687   

Hankook Tire Worldwide Co., Ltd.(a)

     74,050         1,130,773   

Hanmi Semiconductor Co., Ltd.(a)

     92,637         789,364   

Hanwha Chemical Corp.

     127,830         2,324,084   

Hanwha Corp.

     89,078         2,919,666   

Hanwha Techwin Co., Ltd.*(a)

     67,791         1,767,267   

Hite Jinro Co., Ltd.(a)

     217,587         4,185,424   

Hitejinro Holdings Co., Ltd.(a)

     67,360         838,235   

Huchems Fine Chemical Corp.

     105,377         1,738,058   

Huvis Corp.(a)

     53,793         391,205   

Hyosung Corp.

     38,152         3,621,109   

Iljin Display Co., Ltd.(a)

     76,376         483,914   

iMarketKorea, Inc.

     32,738         812,028   

Jahwa Electronics Co., Ltd.

     47,660         454,364   

KB Insurance Co., Ltd.

     99,996         1,990,977   

Kolon Industries, Inc.(a)

     28,782         1,520,082   

Korea Investment Holdings Co., Ltd.

     37,951         1,956,303   

 

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, 2015

 

  

 

 

Investments    Shares      Value  

Korea Real Estate Investment & Trust Co., Ltd.(a)

     441,125       $ 1,224,417   

Korean Reinsurance Co.

     203,644         2,448,264   

KT Skylife Co., Ltd.

     72,802         1,249,912   

Kumho Petrochemical Co., Ltd.

     44,018         1,975,667   

Kyungdong Pharm Co., Ltd.

     20,957         424,338   

LEENO Industrial, Inc.(a)

     12,247         456,692   

LF Corp.

     51,972         1,435,993   

LG Hausys Ltd.(a)

     2,617         354,365   

LG International Corp.

     29,612         678,280   

Lock&Lock Co., Ltd.(a)

     23,619         289,932   

LS Corp.

     35,733         1,034,035   

LS Industrial Systems Co., Ltd.(a)

     28,089         1,078,250   

Macquarie Korea Infrastructure Fund

     1,434,291         9,607,923   

Medy-Tox, Inc.

     1,573         565,739   

Meritz Fire & Marine Insurance Co., Ltd.(a)

     270,152         3,623,907   

Meritz Securities Co., Ltd.(a)

     872,122         3,285,265   

Mirae Asset Securities Co., Ltd.(a)

     45,864         1,081,497   

Modetour Network, Inc.(a)

     33,130         1,071,911   

Moorim P&P Co., Ltd.(a)

     327,901         1,416,395   

NH Investment & Securities Co., Ltd.(a)

     164,744         1,381,554   

NICE Information Service Co., Ltd.

     143,534         1,525,798   

Partron Co., Ltd.(a)

     199,842         1,584,843   

Poongsan Corp.

     46,440         983,417   

Posco ICT Co., Ltd.

     53,445         249,347   

S&T Motiv Co., Ltd.

     10,623         595,096   

S-1 Corp.(a)

     49,680         3,910,524   

Samsung Fine Chemicals Co., Ltd.(a)

     16,525         561,150   

SBS Contents Hub Co., Ltd.(a)

     37,124         477,635   

Seah Besteel Corp.

     58,207         1,478,133   

SeAH Special Steel Co., Ltd.

     19,005         283,800   

SeAH Steel Corp.

     8,414         489,805   

SEOWONINTECH Co., Ltd.

     43,612         483,842   

SFA Engineering Corp.(a)

     29,372         1,115,110   

Shinsegae Co., Ltd.

     4,885         974,692   

Silicon Works Co., Ltd.

     27,256         756,536   

SK Chemicals Co., Ltd.(a)

     23,935         1,484,200   

SK Gas Ltd.(a)

     4,907         352,718   

SKC Co., Ltd.

     41,354         1,329,273   

Soulbrain Co., Ltd.

     21,145         765,309   

Sungwoo Hitech Co., Ltd.

     111,452         742,825   

Tongyang Life Insurance Co., Ltd.

     240,846         2,885,357   

Youlchon Chemical Co., Ltd.

     39,430         414,160   

Youngone Corp.(a)

     25,253         1,288,962   

Yuhan Corp.

     6,905         1,418,516   
     

 

 

 
Total South Korea         116,323,557   
Taiwan – 26.0%      

Ability Enterprise Co., Ltd.*(a)

     2,341,650         1,152,068   

AcBel Polytech, Inc.(a)

     1,551,303         911,631   

Accton Technology Corp.

     3,433,633         1,611,104   

Achem Technology Corp.

     653,272         250,972   

Adlink Technology, Inc.(a)

     118,820         328,737   

ALI Corp.(a)

     1,251,980         593,148   

Alpha Networks, Inc.

     2,054,788         870,527   

Arcadyan Technology Corp.

     136,926         101,465   

ASROCK, Inc.

     162,000       $ 184,004   

Aten International Co., Ltd.

     222,000         438,910   

AV Tech Corp.

     688,036         545,372   

BES Engineering Corp.(a)

     2,889,026         698,402   

Capital Securities Corp.

     9,190,723         2,506,497   

Career Technology MFG. Co., Ltd.(a)

     963,000         684,358   

Cathay Real Estate Development Co., Ltd.

     1,868,000         802,739   

Charoen Pokphand Enterprise

     809,300         525,974   

Chaun-Choung Technology Corp.

     161,000         309,507   

CHC Healthcare Group(a)

     299,000         483,086   

Cheng Loong Corp.

     2,020,000         693,220   

Cheng Uei Precision Industry Co., Ltd.(a)

     1,267,820         1,769,230   

Chicony Electronics Co., Ltd.

     2,199,347         5,062,957   

Chin-Poon Industrial Co., Ltd.(a)

     1,078,650         1,470,849   

China Bills Finance Corp.

     3,927,000         1,329,771   

China Motor Corp.

     930,000         652,433   

China Steel Chemical Corp.(a)

     745,726         2,298,723   

China Synthetic Rubber Corp.

     2,285,580         1,665,900   

Chong Hong Construction Co., Ltd.(a)

     1,013,000         1,332,105   

Chroma ATE, Inc.(a)

     900,132         1,539,061   

Chung-Hsin Electric & Machinery Manufacturing Corp.(a)

     2,458,396         1,216,972   

Cleanaway Co., Ltd.

     222,161         991,805   

Clevo Co.(a)

     1,669,000         1,827,271   

Compeq Manufacturing Co., Ltd.

     3,039,000         2,182,745   

Coxon Precise Industrial Co., Ltd.

     300,000         512,034   

CTCI Corp.

     1,364,190         1,632,346   

Cub Elecparts, Inc.(a)

     45,000         524,789   

Cyberlink Corp.

     515,011         1,065,136   

Depo Auto Parts Ind Co., Ltd.

     524,646         1,564,657   

E-Lead Electronic Co., Ltd.(a)

     262,000         366,016   

Eastern Media International Corp.*

     2,591,000         507,538   

Eclat Textile Co., Ltd.(a)

     336,286         5,310,720   

Elan Microelectronics Corp.(a)

     1,015,156         1,048,221   

Elite Advanced Laser Corp.(a)

     159,000         634,986   

Elite Material Co., Ltd.

     871,163         1,915,487   

Elite Semiconductor Memory Technology, Inc.(a)

     384,000         289,217   

Elitegroup Computer Systems Co., Ltd.

     4,251,000         2,511,030   

Ennoconn Corp.

     70,000         676,031   

Epistar Corp.(a)

     416,245         320,456   

Eternal Materials Co., Ltd.

     3,047,767         2,684,238   

Evergreen International Storage & Transport Corp.(a)

     2,873,361         1,130,059   

Everlight Chemical Industrial Corp.(a)

     1,078,740         542,196   

Everlight Electronics Co., Ltd.

     1,193,165         1,797,312   

Excelsior Medical Co., Ltd.(a)

     412,261         584,696   

Far Eastern Department Stores Ltd.(a)

     3,153,841         1,676,174   

Far Eastern International Bank(a)

     7,765,894         2,304,238   

Faraday Technology Corp.

     603,200         741,921   

Farglory Land Development Co., Ltd.(a)

     1,460,640         1,539,267   

Feng Hsin Iron & Steel Co.

     1,840,950         2,029,504   

Feng TAY Enterprise Co., Ltd.

     1,092,958         6,787,941   

FLEXium Interconnect, Inc.(a)

     286,544         783,204   

Flytech Technology Co., Ltd.(a)

     195,655         556,765   

 

See Notes to Financial Statements.

 

48   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, 2015

 

  

 

 

Investments    Shares      Value  

Formosa International Hotels Corp.

     136,976       $ 915,184   

Formosan Rubber Group, Inc.

     3,443,122         1,876,973   

GeoVision, Inc.*(a)

     218,000         612,406   

Getac Technology Corp.

     1,983,292         1,255,839   

Giant Manufacturing Co., Ltd.(a)

     599,464         4,351,132   

Global Mixed Mode Technology, Inc.

     189,685         308,197   

Global Unichip Corp.

     232,528         410,292   

Grand Pacific Petrochemical

     2,860,135         1,307,267   

Grape King Bio Ltd.

     391,988         1,946,399   

Great Wall Enterprise Co., Ltd.(a)

     2,224,446         1,222,761   

Greatek Electronics, Inc.

     659,000         562,384   

HannStar Display Corp.*(a)

     1,838,000         231,093   

Highwealth Construction Corp.

     1,971,613         2,778,311   

Hiwin Technologies Corp.(a)

     265,864         1,412,989   

Holtek Semiconductor, Inc.(a)

     534,773         690,239   

Holy Stone Enterprise Co., Ltd.(a)

     412,309         385,043   

Hota Industrial Manufacturing Co., Ltd.(a)

     181,000         577,177   

Huaku Development Co., Ltd.

     1,240,296         2,150,813   

Huang Hsiang Construction Corp.

     1,491,448         1,211,639   

Ichia Technologies, Inc.(a)

     137,000         75,308   

IEI Integration Corp.(a)

     1,442,620         1,734,956   

Inventec Corp.

     14,164,992         6,710,922   

ITEQ Corp.

     1,163,657         749,207   

Jentech Precision Industrial Co., Ltd.(a)

     296,283         402,212   

Johnson Health Tech Co., Ltd.(a)

     137,725         185,292   

KEE TAI Properties Co., Ltd.

     2,681,999         1,335,807   

Kenda Rubber Industrial Co., Ltd.(a)

     1,074,602         1,533,864   

King Slide Works Co., Ltd.(a)

     146,004         1,995,347   

King Yuan Electronics Co., Ltd.

     4,456,960         2,828,956   

King’s Town Bank Co., Ltd.

     1,574,000         1,116,176   

Kingdom Construction Corp.(a)

     1,239,187         643,538   

Kinik Co.

     335,495         494,162   

Kinsus Interconnect Technology Corp.(a)

     805,368         1,540,906   

Kung Long Batteries Industrial Co., Ltd.

     223,000         846,557   

Kuoyang Construction Co., Ltd.

     712,000         241,099   

LCY Chemical Corp.*(a)

     1,490,000         1,038,509   

Lelon Electronics Corp.

     348,000         234,096   

Lextar Electronics Corp.(a)

     925,000         382,052   

Long Chen Paper Co., Ltd.(a)

     1,608,000         510,321   

Lotes Co., Ltd.(a)

     243,233         779,321   

Lumax International Corp., Ltd.

     305,773         402,095   

Makalot Industrial Co., Ltd.(a)

     696,233         5,719,567   

Masterlink Securities Corp.

     2,342,060         620,234   

Mercuries & Associates Holding Ltd.

     1,277,362         820,476   

Merida Industry Co., Ltd.(a)

     689,043         3,703,914   

Merry Electronics Co., Ltd.(a)

     225,146         272,138   

Micro-Star International Co., Ltd.(a)

     2,497,877         2,116,491   

Nak Sealing Technologies Corp.

     137,000         312,881   

Namchow Chemical Industrial Co., Ltd.

     837,086         1,792,258   

Neo Solar Power Corp.(a)

     137,000         76,972   

Nuvoton Technology Corp.

     303,632         217,621   

OptoTech Corp.

     1,923,518         579,494   

Oriental Union Chemical Corp.(a)

     2,609,767         1,830,859   

Posiflex Technology, Inc.(a)

     137,320         642,238   

Primax Electronics Ltd.(a)

     506,000       $ 656,175   

Prince Housing & Development Corp.

     2,114,460         637,661   

Promate Electronic Co., Ltd.

     136,000         113,583   

Promise Technology, Inc.(a)

     412,000         195,818   

Radiant Opto-Electronics Corp.(a)

     1,515,252         4,670,809   

Realtek Semiconductor Corp.(a)

     983,770         1,667,128   

Rechi Precision Co., Ltd.

     447,612         311,300   

Richtek Technology Corp.

     354,910         2,069,478   

Ruentex Development Co., Ltd.

     4,824,520         5,252,723   

Ruentex Industries Ltd.

     3,138,162         5,556,293   

Sampo Corp.

     1,648,000         643,134   

ScinoPharm Taiwan Ltd.(a)

     671,760         795,646   

SDI Corp.

     136,000         102,225   

Senao International Co., Ltd.

     1,086,599         1,493,238   

Sercomm Corp.(a)

     643,488         1,575,131   

Shin Zu Shing Co., Ltd.

     342,580         1,031,043   

Shinkong Synthetic Fibers Corp.(a)

     4,587,761         1,205,197   

Sigurd Microelectronics Corp.(a)

     2,017,830         1,286,901   

Sinbon Electronics Co., Ltd.(a)

     670,307         1,129,817   

Sincere Navigation Corp.

     2,892,546         1,590,011   

Sitronix Technology Corp.(a)

     207,000         598,479   

Sonix Technology Co., Ltd.

     321,205         369,224   

Standard Chemical & Pharmaceutical Co., Ltd.(a)

     689,000         636,113   

Standard Foods Corp.

     765,073         1,649,690   

Sunspring Metal Corp.(a)

     839,000         1,037,045   

Swancor Ind Co., Ltd.(a)

     105,000         553,261   

Syncmold Enterprise Corp.(a)

     337,220         476,220   

Synnex Technology International Corp.

     5,919,000         5,896,081   

Taiflex Scientific Co., Ltd.(a)

     616,974         657,681   

Tainan Spinning Co., Ltd.

     3,873,929         1,635,339   

Taiwan Cogeneration Corp.(a)

     3,118,970         1,998,641   

Taiwan Fertilizer Co., Ltd.

     861,000         1,072,083   

Taiwan Hon Chuan Enterprise Co., Ltd.(a)

     784,692         1,126,010   

Taiwan Paiho Ltd.(a)

     577,000         1,568,340   

Taiwan PCB Techvest Co., Ltd.

     679,302         704,522   

Taiwan Secom Co., Ltd.

     963,674         2,704,228   

Taiwan Styrene Monomer*(a)

     1,082,000         443,611   

Taiwan Surface Mounting Technology Corp.

     352,781         322,488   

Taiwan TEA Corp.(a)

     1,774,000         756,957   

Teco Electric and Machinery Co., Ltd.

     3,463,683         2,719,192   

Test Research, Inc.

     722,115         1,149,156   

Test Rite International Co., Ltd.

     1,418,888         863,980   

Ton Yi Industrial Corp.(a)

     4,232,538         2,050,231   

Tong Hsing Electronic Industries Ltd.(a)

     357,918         908,722   

Tong Yang Industry Co., Ltd.(a)

     993,685         986,820   

Tong-Tai Machine & Tool Co., Ltd.(a)

     413,080         302,965   

Topco Scientific Co., Ltd.

     503,439         722,420   

Transcend Information, Inc.

     1,230,479         3,101,655   

Tripod Technology Corp.(a)

     1,136,928         1,633,185   

TSRC Corp.(a)

     1,777,011         1,073,951   

Ttet Union Corp.

     234,000         508,827   

Tung Ho Steel Enterprise Corp.(a)

     4,530,153         2,366,370   

TXC Corp.(a)

     1,433,549         1,482,419   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      49   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

U-Ming Marine Transport Corp.(a)

     2,335,420       $ 2,482,414   

Unimicron Technology Corp.(a)

     1,726,141         655,281   

United Integrated Services Co., Ltd.

     2,050,461         2,207,542   

Universal Cement Corp.

     341,300         213,523   

USI Corp.

     1,826,678         751,697   

Visual Photonics Epitaxy Co., Ltd.

     688,000         793,987   

Vivotek, Inc.(a)

     383,825         979,160   

Voltronic Power Technology Corp.(a)

     90,301         1,171,013   

Wah Lee Industrial Corp.

     917,325         1,199,327   

Wan Hai Lines Ltd.

     3,812,000         2,396,429   

Wei Chuan Foods Corp.*(a)

     759,396         445,110   

Wistron Corp.(a)

     6,260,148         3,260,543   

Wistron NeWeb Corp.

     935,508         1,946,164   

Wowprime Corp.(a)

     136,833         733,461   

WPG Holdings Ltd.(a)

     5,991,759         5,768,393   

WT Microelectronics Co., Ltd.(a)

     2,224,112         2,225,632   

Yageo Corp.

     136,000         208,166   

YC Co., Ltd.(a)

     1,239,995         468,846   

YC INOX Co., Ltd.

     1,326,000         708,757   

YFY, Inc.

     1,876,000         583,980   

Young Optics, Inc.

     136,759         160,734   

YungShin Global Holding Corp.

     352,250         486,747   

Yungtay Engineering Co., Ltd.(a)

     855,790         1,354,086   

Zinwell Corp.(a)

     1,789,186         1,983,305   
     

 

 

 
Total Taiwan         257,003,220   
Thailand – 10.9%      

AP Thailand PCL

     7,987,766         1,188,427   

Bangchak Petroleum PCL (The)

     4,888,939         4,613,477   

Bangkok Chain Hospital PCL NVDR

     5,460,065         1,030,485   

Bangkok Expressway PCL

     3,731,505         3,726,879   

Bangkok Land PCL NVDR

     55,192,914         2,250,600   

Bumrungrad Hospital PCL

     1,154,565         6,871,085   

CH Karnchang PCL NVDR(a)

     3,131,625         2,308,058   

Delta Electronics Thailand PCL

     3,835,251         9,298,859   

Electricity Generating PCL

     1,422,091         5,994,763   

Hana Microelectronics PCL

     2,280,847         1,775,284   

IRPC PCL NVDR(a)

     38,553,400         3,993,960   

Jasmine International PCL

     9,681,596         1,493,785   

Kiatnakin Bank PCL

     2,719,823         2,304,300   

Kiatnakin Bank PCL NVDR

     1,290,806         1,093,602   

LPN Development PCL NVDR(a)

     2,839,918         1,330,172   

Major Cineplex Group PCL

     4,229,569         3,729,059   

MCOT PCL

     3,542,074         995,431   

MK Restaurants Group PCL NVDR(a)

     1,118,000         1,778,881   

Pruksa Real Estate PCL

     4,394,541         3,481,004   

Quality Houses PCL NVDR

     38,502,844         2,567,210   

Ratchaburi Electricity Generating Holding PCL

     2,595,090         3,825,246   

Ratchaburi Electricity Generating Holding PCL NVDR

     620,600         914,784   

Samart Corp. PCL(a)

     2,682,600         1,566,913   

Samart Telcoms PCL NVDR

     2,704,124         1,542,234   

Sansiri PCL

     47,798,224         2,238,793   

Somboon Advance Technology PCL NVDR

     1,674,596         733,602   

Sri Trang Agro-Industry PCL NVDR

     5,619,660       $ 1,734,129   

Sriracha Construction PCL NVDR

     1,402,644         939,089   

Srithai Superware PCL NVDR

     12,489,860         770,830   

Supalai PCL

     5,454,327         2,750,081   

Thai Union Group PCL NVDR

     10,965,720         5,559,147   

Thai Vegetable Oil PCL

     5,510,248         4,326,824   

Thaicom PCL NVDR(a)

     1,534,400         1,331,688   

Thanachart Capital PCL

     5,130,666         4,488,184   

TICON Industrial Connection PCL NVDR(a)

     4,927,215         1,574,754   

Tisco Financial Group PCL

     1,584,775         1,560,978   

Tisco Financial Group PCL NVDR(a)

     2,228,157         2,179,352   

TPI Polene PCL NVDR(a)

     29,473,910         2,013,922   

TTW PCL

     15,593,524         4,682,998   

VGI Global Media PCL NVDR(a)

     10,951,800         1,056,104   
     

 

 

 
Total Thailand         107,614,973   
Turkey – 5.5%      

Alarko Holding AS(a)

     255,320         269,845   

Anadolu Cam Sanayii AS*(a)

     688,962         475,578   

Anadolu Isuzu Otomotiv Sanayi Ve Ticaret AS Class C(a)

     216,257         1,224,939   

Aselsan Elektronik Sanayi ve Ticaret AS(a)

     401,109         1,821,566   

Bizim Toptan Satis Magazalari AS

     98,282         412,247   

Borusan Mannesmann Boru Sanayi ve Ticaret AS(a)

     302,564         602,580   

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS(a)

     1,046,913         2,901,032   

Cimsa Cimento Sanayi ve Ticaret AS

     770,346         3,778,264   

Dogus Otomotiv Servis ve Ticaret AS(a)

     1,648,546         5,281,445   

Goodyear Lastikleri TAS(a)

     44,530         889,791   

Gubre Fabrikalari TAS

     962,252         2,014,921   

Is Gayrimenkul Yatirim Ortakligi AS(a)

     1,505,183         695,981   

Koza Altin Isletmeleri AS(a)

     522,022         3,784,455   

Otokar Otomotiv ve Savunma Sanayi AS

     107,009         2,777,940   

Park Elektrik Uretim Madencilik Sanayi ve Ticaret AS*

     1,103,345         1,341,032   

Saf Gayrimenkul Yatirim Ortakligi AS

     5,244,050         1,870,555   

Soda Sanayii AS

     1,303,912         2,067,138   

TAV Havalimanlari Holding AS

     759,781         5,959,805   

Teknosa Ic Ve Dis Ticaret AS(a)

     406,951         853,485   

Torunlar Gayrimenkul Yatirim Ortakligi AS

     980,856         984,824   

Trakya Cam Sanayii AS(a)

     1,007,702         625,706   

Turk Traktor ve Ziraat Makineleri AS(a)

     233,836         5,657,167   

Turkiye Sinai Kalkinma Bankasi AS(a)

     1,745,138         812,697   

Turkiye Sise ve Cam Fabrikalari AS(a)

     2,038,887         1,932,659   

Ulker Biskuvi Sanayi AS(a)

     710,532         4,493,993   

Vestel Beyaz Esya Sanayi ve Ticaret AS

     254,020         802,058   
     

 

 

 
Total Turkey               54,331,703   

TOTAL COMMON STOCKS

(Cost: $1,132,842,507)

              973,881,065   
RIGHTS – 0.0%      
South Korea – 0.0%      

Mirae Asset Securities Co., Ltd., expiring 11/5/15

(Cost $220,334)

     40,249         173,180   

 

See Notes to Financial Statements.

 

50   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, 2015

 

  

 

 

Investments    Shares      Value  
EXCHANGE-TRADED FUNDS AND NOTES – 1.0%      
United States – 1.0%      

iPath MSCI India Index ETN*(a)

     147,122       $ 9,736,534   
WisdomTree Emerging Markets High Dividend Fund(b)      14,637         490,047   

TOTAL EXCHANGE-TRADED FUNDS AND NOTES

(Cost: $10,384,790)

              10,226,581   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 7.6%   
United States – 7.6%      
State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)
(Cost: $74,556,301)(d)
     74,556,301         74,556,301   

TOTAL INVESTMENTS IN SECURITIES – 107.2%

(Cost: $1,218,003,932)

  

  

     1,058,837,127   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (7.2)%

        (70,696,592
     

 

 

 
NET ASSETS – 100.0%             $ 988,140,535   
*

Non-income producing security.

 

 

Security is being fair valued by a valuation committee under the direction of the Board of Trustees. The aggregate value of fair valued securities is $3,012,114, which represents 0.3% of net assets.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 8).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $115,662,029 and the total market value of the collateral held by the Fund was $123,608,591. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $49,052,290.

ETN – Exchange-Traded Note

NVDR – Non-Voting Depositary Receipt

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      51   


Table of Contents

Schedule of Investments (unaudited)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 98.1%      
Australia – 4.0%      

Amcor Ltd.

     1,038       $ 9,600   

Australia & New Zealand Banking Group Ltd.

     1,801         34,250   

BHP Billiton Ltd.

     1,829         28,540   

Commonwealth Bank of Australia

     979         49,995   

Computershare Ltd.

     982         7,303   

Fortescue Metals Group Ltd.(a)

     6,346         8,111   

Lend Lease Group

     739         6,513   

National Australia Bank Ltd.

     1,693         35,644   

Orica Ltd.

     591         6,242   

Origin Energy Ltd.

     926         3,967   

QBE Insurance Group Ltd.

     711         6,436   

Ramsay Health Care Ltd.

     136         5,584   

Seek Ltd.

     371         3,126   

Sonic Healthcare Ltd.

     619         7,933   

Telstra Corp., Ltd.

     9,269         36,516   

Wesfarmers Ltd.

     879         24,210   

Westpac Banking Corp.

     1,977         41,234   

Woodside Petroleum Ltd.

     719         14,607   

Woolworths Ltd.

     966         16,851   
     

 

 

 
Total Australia               346,662   
Austria – 0.1%      

OMV AG

     331         8,029   

Voestalpine AG

     80         2,741   
     

 

 

 
Total Austria               10,770   
Belgium – 1.0%      

Anheuser-Busch InBev N.V.

     577         61,136   

Proximus

     559         19,256   

Solvay S.A.

     40         4,073   
     

 

 

 
Total Belgium               84,465   
Brazil – 0.7%      

Ambev S.A.

     4,481         21,854   

Banco Santander Brasil S.A.

     1,633         5,171   

BR Malls Participacoes S.A.

     815         2,141   

CCR S.A.

     1,625         4,967   

CPFL Energia S.A.*

     1,222         4,563   

Embraer S.A.

     815         5,219   

Kroton Educacional S.A.

     1,633         3,162   

Lojas Renner S.A.

     1,535         7,093   

Tim Participacoes S.A.

     2,037         3,842   
     

 

 

 
Total Brazil               58,012   
Canada – 6.7%      

Bank of Montreal

     407         22,094   

Bank of Nova Scotia (The)

     815         35,762   

BCE, Inc.

     815         33,203   

Canadian Imperial Bank of Commerce

     407         29,107   

Canadian National Railway Co.

     555         31,370   

Canadian Natural Resources Ltd.

     815         15,799   

Canadian Utilities Ltd. Class A

     720         19,392   

Crescent Point Energy Corp.(a)

     815         9,283   

Enbridge, Inc.

     407         15,042   
Investments    Shares      Value  

Encana Corp.

     815       $ 5,222   

First Quantum Minerals Ltd.

     407         1,484   

Great-West Lifeco, Inc.

     815         19,434   

Husky Energy, Inc.

     1,222         18,968   

Loblaw Cos. Ltd.

     407         20,859   

Manulife Financial Corp.

     1,222         18,813   

National Bank of Canada

     407         12,932   

Penn West Petroleum Ltd.

     3,243         1,451   

Potash Corp. of Saskatchewan, Inc.

     815         16,674   

Power Corp. of Canada

     815         16,820   

Rogers Communications, Inc. Class B

     407         13,958   

Royal Bank of Canada

     870         47,883   

Sun Life Financial, Inc.

     815         26,164   

Suncor Energy, Inc.

     815         21,696   

Teck Resources Ltd. Class B

     600         2,851   

TELUS Corp.

     815         25,562   

Thomson Reuters Corp.

     815         32,607   

Toronto-Dominion Bank (The)

     1,222         47,943   

TransCanada Corp.

     407         12,811   

Veresen, Inc.

     407         3,096   

Yamana Gold, Inc.

     1,300         2,182   
     

 

 

 
Total Canada               580,462   
Chile – 0.2%      

Empresas COPEC S.A.

     583         5,278   

Enersis S.A.

     37,111         9,324   
     

 

 

 
Total Chile               14,602   
China – 3.4%      

Anhui Conch Cement Co., Ltd. Class H

     2,000         5,871   

Bank of China Ltd. Class H

     44,000         18,906   

Bank of Communications Co., Ltd. Class H

     20,000         13,858   

Beijing Enterprises Holdings Ltd.

     2,000         11,987   

China Construction Bank Corp. Class H

     112,000         74,425   

China Everbright International Ltd.

     4,000         5,585   

China Life Insurance Co., Ltd. Class H

     4,000         13,832   

China Mobile Ltd.

     6,000         71,071   

China Oilfield Services Ltd. Class H

     8,000         7,990   

China Pacific Insurance Group Co., Ltd. Class H

     800         2,957   

CNOOC Ltd.

     20,000         20,464   

Industrial & Commercial Bank of China Ltd. Class H

     44,000         25,321   

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

     4,000         19,793   

Sinopharm Group Co., Ltd. Class H

     1,600         5,595   
     

 

 

 
Total China               297,655   
Czech Republic – 0.1%      

Komercni Banka AS

     24         5,195   
Denmark – 1.5%      

Carlsberg A/S Class B

     160         12,269   

Chr Hansen Holding A/S

     244         13,618   

Novo Nordisk A/S Class B

     1,322         70,855   

Novozymes A/S Class B

     200         8,705   

Pandora A/S

     51         5,945   

TDC A/S

     3,019         15,526   
     

 

 

 
Total Denmark               126,918   

 

See Notes to Financial Statements.

 

52   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Finland – 0.5%      

Fortum Oyj

     277       $ 4,091   

Metso Oyj

     228         4,731   

Sampo Oyj Class A

     524         25,315   

Wartsila Oyj Abp

     328         12,987   
     

 

 

 
Total Finland               47,124   
France – 8.3%      

Aeroports de Paris

     64         7,240   

Air Liquide S.A.

     132         15,567   

Airbus Group SE

     331         19,549   

AXA S.A.

     1,621         39,147   

BNP Paribas S.A.

     567         33,203   

Bouygues S.A.

     447         15,832   

Bureau Veritas S.A.

     423         8,893   

Cap Gemini S.A.

     78         6,932   

Christian Dior SE

     80         14,918   

Cie de Saint-Gobain

     431         18,624   

Cie Generale des Etablissements Michelin

     160         14,542   

Credit Agricole S.A.

     1,246         14,263   

Danone S.A.

     331         20,846   

Dassault Systemes

     60         4,420   

Edenred

     331         5,393   

Electricite de France S.A.

     1,557         27,400   

Engie

     2,404         38,749   

Essilor International S.A.

     84         10,211   

L’Oreal S.A.

     200         34,615   

LVMH Moet Hennessy Louis Vuitton SE

     208         35,338   

Orange S.A.

     3,015         45,501   

Renault S.A.

     184         13,145   

Rexel S.A.

     607         7,440   

Sanofi

     663         62,825   

Schneider Electric SE

     355         19,817   

Societe BIC S.A.

     52         8,057   

Societe Generale S.A.

     423         18,816   

Total S.A.(a)

     1,797         80,637   

Unibail-Rodamco SE

     76         19,622   

Vallourec S.A.

     379         3,349   

Vinci S.A.

     443         28,043   

Vivendi S.A.

     1,278         30,143   
     

 

 

 
Total France               723,077   
Germany – 6.7%      

Allianz SE Registered Shares

     351         54,950   

BASF SE

     687         52,392   

Bayer AG Registered Shares

     307         39,221   

Bayerische Motoren Werke AG

     403         35,637   

Continental AG

     88         18,674   

Daimler AG Registered Shares

     755         54,654   

Deutsche Bank AG Registered Shares

     675         18,136   

Deutsche Boerse AG

     204         17,541   

Deutsche Post AG Registered Shares

     910         25,166   

Deutsche Telekom AG Registered Shares

     3,782         67,061   

Deutsche Wohnen AG Bearer Shares

     208         5,546   

E.ON SE

     1,901         16,291   
Investments    Shares      Value  

Hannover Rueck SE

     184       $ 18,801   

LEG Immobilien AG*

     112         9,228   

Linde AG

     84         13,591   

MAN SE

     85         8,649   

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     180         33,504   

SAP SE

     403         26,069   

Siemens AG Registered Shares

     603         53,807   

Volkswagen AG

     140         16,401   
     

 

 

 
Total Germany               585,319   
Hong Kong – 1.1%      

BOC Hong Kong Holdings Ltd.

     6,000         17,613   

Hang Seng Bank Ltd.

     1,200         21,553   

Henderson Land Development Co., Ltd.

     4,100         24,388   

Hong Kong & China Gas Co., Ltd.

     8,200         15,363   

New World Development Co., Ltd.

     8,000         7,742   

Swire Properties Ltd.

     4,000         11,045   
     

 

 

 
Total Hong Kong               97,704   
Hungary – 0.0%      

OTP Bank PLC

     108         2,080   
Indonesia – 0.3%      

Astra International Tbk PT

     41,500         14,801   

Perusahaan Gas Negara Persero Tbk PT

     45,100         7,789   

Telekomunikasi Indonesia Persero Tbk PT

     22,300         4,026   
     

 

 

 
Total Indonesia               26,616   
Ireland – 0.3%      

CRH PLC

     879         23,181   

Kerry Group PLC Class A

     84         6,296   
     

 

 

 
Total Ireland               29,477   
Israel – 0.5%      

Teva Pharmaceutical Industries Ltd.

     687         39,296   
Italy – 1.8%      

Assicurazioni Generali SpA

     1,010         18,445   

Enel SpA

     5,643         25,120   

Eni SpA

     3,574         56,052   

EXOR SpA

     152         6,614   

Intesa Sanpaolo SpA

     5,719         20,147   

Snam SpA

     4,301         22,056   

Telecom Italia SpA RSP

     6,709         6,867   
     

 

 

 
Total Italy               155,301   
Japan – 19.3%      

Aisin Seiki Co., Ltd.

     400         13,359   

Astellas Pharma, Inc.

     1,600         20,640   

Bridgestone Corp.

     400         13,780   

Canon, Inc.

     1,600         46,144   

Chugoku Electric Power Co., Inc. (The)

     400         5,501   

Daiichi Sankyo Co., Ltd.

     1,200         20,741   

Daiwa House Industry Co., Ltd.

     800         19,689   

Daiwa Securities Group, Inc.

     4,000         25,707   

Denso Corp.

     800         33,639   

Eisai Co., Ltd.

     400         23,479   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      53   


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Electric Power Development Co., Ltd.

     400       $ 12,174   

Fuji Heavy Industries Ltd.

     400         14,305   

FUJIFILM Holdings Corp.

     200         7,441   

Fujitsu Ltd.

     1,000         4,329   

Honda Motor Co., Ltd.

     1,600         47,279   

Hulic Co., Ltd.

     800         7,194   

IHI Corp.

     4,000         10,220   

Isetan Mitsukoshi Holdings Ltd.

     400         5,985   

ITOCHU Corp.

     2,800         29,399   

J. Front Retailing Co., Ltd.

     400         6,459   

Japan Exchange Group, Inc.

     800         11,603   

Japan Tobacco, Inc.

     1,600         49,363   

Kao Corp.

     400         18,045   

KDDI Corp.

     2,000         44,537   

Kirin Holdings Co., Ltd.

     1,200         15,686   

Komatsu Ltd.

     800         11,706   

Kubota Corp.

     1,000         13,656   

Kyocera Corp.

     400         18,236   

Makita Corp.

     400         21,141   

Marubeni Corp.

     3,200         15,599   

Mitsubishi Corp.

     2,000         32,622   

Mitsubishi Materials Corp.

     4,000         12,090   

Mitsubishi UFJ Financial Group, Inc.

     11,200         66,995   

Mitsui & Co., Ltd.

     2,800         31,340   

Mizuho Financial Group, Inc.

     25,600         47,645   

MS&AD Insurance Group Holdings, Inc.

     400         10,664   

Murata Manufacturing Co., Ltd.

     200         25,667   

Nagoya Railroad Co., Ltd.

     4,000         15,664   

NEC Corp.

     4,000         12,257   

Nidec Corp.

     300         20,505   

Nikon Corp.

     400         4,816   

Nippon Express Co., Ltd.

     4,000         19,004   

Nippon Steel & Sumitomo Metal Corp.

     800         14,485   

Nippon Telegraph & Telephone Corp.

     1,700         59,304   

Nissan Motor Co., Ltd.

     4,400         40,192   

Nomura Holdings, Inc.

     3,600         20,683   

Nomura Research Institute Ltd.

     440         16,808   

NTT Data Corp.

     100         5,018   

NTT DOCOMO, Inc.

     4,400         73,220   

Oriental Land Co., Ltd.

     400         22,274   

Panasonic Corp.

     1,200         12,059   

Secom Co., Ltd.

     400         23,944   

Sekisui House Ltd.

     1,200         18,687   

Seven & I Holdings Co., Ltd.

     800         36,365   

Shin-Etsu Chemical Co., Ltd.

     400         20,423   

Sumitomo Corp.

     2,000         19,238   

Sumitomo Mitsui Financial Group, Inc.

     1,200         45,209   

Sumitomo Mitsui Trust Holdings, Inc.

     4,000         14,609   

Suntory Beverage & Food Ltd.

     200         7,657   

Taiheiyo Cement Corp.

     4,000         11,957   

Takeda Pharmaceutical Co., Ltd.

     1,100         48,100   

Terumo Corp.

     400         11,255   

Tokio Marine Holdings, Inc.

     400         14,836   

Tokyo Electron Ltd.

     400         18,750   
Investments    Shares      Value  

Tokyu Fudosan Holdings Corp.

     800       $ 5,297   

Toray Industries, Inc.

     3,000         25,813   

Toshiba Corp.*

     4,000         10,033   

Toyota Motor Corp.

     2,800         162,976   

Trend Micro, Inc.

     400         14,078   

Yahoo Japan Corp.

     2,400         9,098   

Yamaha Motor Co., Ltd.

     400         7,986   
     

 

 

 
Total Japan               1,676,659   
Malaysia – 0.3%      

CIMB Group Holdings Bhd

     8,000         8,117   

Malayan Banking Bhd

     10,800         21,031   
     

 

 

 
Total Malaysia               29,148   
Mexico – 1.0%      

Alfa S.A.B. de C.V. Class A

     4,892         9,517   

America Movil S.A.B. de C.V. Series L

     24,080         19,921   

El Puerto de Liverpool S.A.B. de C.V. Class C1

     1,222         15,830   

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

     3,259         29,091   

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

     5,311         12,824   
     

 

 

 
Total Mexico               87,183   
Netherlands – 1.1%      

Akzo Nobel N.V.

     236         15,276   

Boskalis Westminster

     212         9,248   

Heineken N.V.

     201         16,208   

Koninklijke Ahold N.V.

     1,138         22,116   

Koninklijke Philips N.V.

     934         21,941   

Randstad Holding N.V.

     108         6,415   
     

 

 

 
Total Netherlands               91,204   
New Zealand – 0.0%      

Fletcher Building Ltd.

     439         1,910   
Norway – 0.5%      

Gjensidige Forsikring ASA

     859         11,541   

Statoil ASA

     1,601         23,292   

Yara International ASA

     208         8,279   
     

 

 

 
Total Norway               43,112   
Philippines – 0.2%      

Ayala Land, Inc.

     10,800         7,856   

Universal Robina Corp.

     2,760         11,338   
     

 

 

 
Total Philippines               19,194   
Poland – 0.2%      

Bank Pekao S.A.

     184         7,471   

PGE Polska Grupa Energetyczna S.A.

     1,130         4,006   

Polski Koncern Naftowy Orlen S.A.

     252         4,387   
     

 

 

 
Total Poland               15,864   
Portugal – 0.1%      

Galp Energia, SGPS, S.A.

     619         6,080   
Russia – 0.8%      

Gazprom PAO ADR

     4,912         19,746   

Lukoil PJSC ADR

     375         12,735   

Magnit PJSC GDR Reg S

     116         5,542   

NovaTek OAO GDR Reg S

     60         5,550   

 

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. Hedged Dividend Fund (DXUS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Rosneft OAO GDR Reg S

     5,048       $ 18,627   

Tatneft PAO ADR

     160         4,472   
     

 

 

 
Total Russia               66,672   
Singapore – 0.9%      

ComfortDelGro Corp., Ltd.

     3,200         6,459   

DBS Group Holdings Ltd.

     1,200         13,680   

Keppel Corp., Ltd.

     1,200         5,722   

Singapore Press Holdings Ltd.

     4,800         12,963   

Singapore Technologies Engineering Ltd.

     2,800         5,868   

Singapore Telecommunications Ltd.

     9,200         23,293   

United Overseas Bank Ltd.

     800         10,437   
     

 

 

 
Total Singapore               78,422   
South Africa – 1.2%      

Aspen Pharmacare Holdings Ltd.*

     168         3,572   

Bidvest Group Ltd. (The)

     419         9,885   

FirstRand Ltd.

     3,989         14,180   

Mr. Price Group Ltd.

     403         5,625   

MTN Group Ltd.

     1,486         19,130   

Netcare Ltd.

     2,428         6,374   

Sasol Ltd.

     471         13,203   

Steinhoff International Holdings Ltd.

     1,150         7,061   

Vodacom Group Ltd.

     1,745         17,353   

Woolworths Holdings Ltd.

     1,174         8,219   
     

 

 

 
Total South Africa               104,602   
South Korea – 2.7%      

Amorepacific Corp.

     16         5,197   

BNK Financial Group, Inc.

     515         5,952   

Coway Co., Ltd.

     112         7,909   

E-Mart Co., Ltd.

     32         6,223   

Hana Financial Group, Inc.

     284         6,325   

Hankook Tire Co., Ltd.

     200         6,682   

Hyundai Engineering & Construction Co., Ltd.

     236         6,809   

Hyundai Glovis Co., Ltd.

     20         3,780   

Hyundai Motor Co.

     46         6,365   

Hyundai Steel Co.

     100         4,345   

KB Financial Group, Inc.

     296         8,803   

KCC Corp.

     12         4,181   

Korea Zinc Co., Ltd.

     20         7,855   

KT&G Corp.

     220         20,695   

LG Electronics, Inc.

     132         5,084   

LG Household & Health Care Ltd.

     8         5,764   

POSCO

     104         14,784   

Samsung Electronics Co., Ltd.

     76         72,711   

Samsung Fire & Marine Insurance Co., Ltd.

     32         7,559   

SK Telecom Co., Ltd.

     120         26,626   
     

 

 

 
Total South Korea               233,649   
Spain – 2.4%      

Amadeus IT Holding S.A. Class A

     184         7,851   

Banco Bilbao Vizcaya Argentaria S.A.

     2,580         21,830   

Banco Santander S.A.

     10,403         55,089   

Endesa S.A.

     595         12,513   

Gas Natural SDG S.A.

     655         12,744   
Investments    Shares      Value  

Iberdrola S.A.

     2,081       $ 13,814   

Industria de Diseno Textil S.A.

     871         29,099   

Red Electrica Corp. S.A.

     72         5,959   

Repsol S.A.

     1,150         13,363   

Telefonica S.A.

     3,279         39,640   
     

 

 

 
Total Spain               211,902   
Sweden – 2.4%      

Atlas Copco AB Class A

     747         17,911   

Hennes & Mauritz AB Class B

     910         33,169   

Meda AB Class A

     339         4,826   

Nordea Bank AB

     2,668         29,648   

Sandvik AB

     1,442         12,241   

Securitas AB Class B

     783         9,532   

Skandinaviska Enskilda Banken AB Class A

     1,777         18,931   

Swedbank AB Class A

     1,078         23,765   

Telefonaktiebolaget LM Ericsson Class B

     2,065         20,239   

TeliaSonera AB

     4,716         25,326   

Trelleborg AB Class B

     671         10,593   
     

 

 

 
Total Sweden               206,181   
Switzerland – 8.4%      

ABB Ltd. Registered Shares*

     2,033         35,829   

Actelion Ltd. Registered Shares*

     48         6,077   

Aryzta AG*

     148         6,251   

Cie Financiere Richemont S.A. Registered Shares

     307         23,785   

Credit Suisse Group AG Registered Shares*

     990         23,729   

Kuehne + Nagel International AG Registered Shares

     148         18,964   

LafargeHolcim Ltd. Registered Shares*

     264         13,793   

Nestle S.A. Registered Shares

     1,973         147,909   

Novartis AG Registered Shares

     1,482         135,596   

Partners Group Holding AG

     28         9,464   

Roche Holding AG Genusschein

     464         122,043   

Schindler Holding AG Participation Certificate

     68         9,743   

Swiss Re AG

     755         64,597   

Swisscom AG Registered Shares

     44         21,894   

Syngenta AG Registered Shares

     80         25,553   

UBS Group AG Registered Shares

     1,262         23,261   

Zurich Insurance Group AG*

     172         42,107   
     

 

 

 
Total Switzerland               730,595   
Taiwan – 2.3%      

Advanced Semiconductor Engineering, Inc.

     12,000         12,865   

Cathay Financial Holding Co., Ltd.

     12,000         16,381   

Chunghwa Telecom Co., Ltd.

     8,000         24,004   

Formosa Petrochemical Corp.

     8,000         19,023   

Fubon Financial Holding Co., Ltd.

     8,000         12,464   

Hon Hai Precision Industry Co., Ltd.

     8,400         21,837   

Mega Financial Holding Co., Ltd.

     20,000         13,849   

Nan Ya Plastics Corp.

     8,000         13,508   

Taishin Financial Holding Co., Ltd.

     28,000         9,907   

Taiwan Cement Corp.

     8,000         8,103   

Taiwan Semiconductor Manufacturing Co., Ltd.

     12,000         47,377   
     

 

 

 
Total Taiwan               199,318   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      55   


Table of Contents

Schedule of Investments (unaudited) (concluded)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Thailand – 0.3%      

CP ALL PCL NVDR

     7,600       $ 9,998   

Intouch Holdings PCL NVDR

     5,600         11,225   

PTT Exploration & Production PCL NVDR

     2,800         5,400   
     

 

 

 
Total Thailand               26,623   
Turkey – 0.2%      

Akbank TAS

     3,111         6,967   

Turkiye Garanti Bankasi AS

     2,564         5,953   
     

 

 

 
Total Turkey               12,920   
United Kingdom–16.6%      

Anglo American PLC

     1,254         10,464   

Antofagasta PLC

     1,893         14,329   

ARM Holdings PLC

     434         6,229   

AstraZeneca PLC

     823         52,128   

BAE Systems PLC

     3,323         22,535   

Barclays PLC

     8,107         29,982   

Berkeley Group Holdings PLC

     123         6,223   

BG Group PLC

     1,058         15,241   

BHP Billiton PLC

     1,737         26,443   

BP PLC

     17,403         88,046   

British American Tobacco PLC

     1,314         72,510   

BT Group PLC

     4,033         25,633   

Bunzl PLC

     487         13,057   

Burberry Group PLC

     483         10,009   

Centrica PLC

     5,619         19,508   

CNH Industrial N.V.

     1,529         9,942   

Compass Group PLC

     1,238         19,746   

Diageo PLC

     1,382         37,063   

Dixons Carphone PLC

     763         4,905   

easyJet PLC

     407         10,955   

GlaxoSmithKline PLC

     4,756         91,205   

Hammerson PLC

     743         7,017   

Howden Joinery Group PLC

     1,046         7,708   

HSBC Holdings PLC

     12,959         97,893   

Imperial Tobacco Group PLC

     819         42,341   

Inmarsat PLC

     467         6,947   

InterContinental Hotels Group PLC

     232         8,026   

Intu Properties PLC

     2,208         11,024   

Investec PLC

     1,134         8,683   

John Wood Group PLC

     659         6,139   

Johnson Matthey PLC

     204         7,565   

Legal & General Group PLC

     5,191         18,722   

National Grid PLC

     3,059         42,578   

Old Mutual PLC

     6,222         17,822   

Pearson PLC

     914         15,603   

Pennon Group PLC

     731         8,604   

Prudential PLC

     1,086         22,923   

Reckitt Benckiser Group PLC

     355         32,194   

RELX N.V.

     1,270         20,655   

Rexam PLC

     1,102         8,739   

Rightmove PLC

     124         6,852   

Rio Tinto PLC

     944         31,601   

Royal Dutch Shell PLC Class A

     2,500         58,848   
Investments    Shares      Value  

Royal Dutch Shell PLC Class B

     1,977       $ 46,807   

SABMiller PLC

     591         33,454   

Segro PLC

     1,517         9,869   

Severn Trent PLC

     327         10,818   

Sky PLC

     1,162         18,376   

Spirax-Sarco Engineering PLC

     108         4,582   

SSE PLC

     970         21,981   

Standard Chartered PLC

     1,965         19,073   

Unilever N.V. CVA

     1,426         57,129   

Unilever PLC

     771         31,369   

United Utilities Group PLC

     883         12,372   

Vodafone Group PLC

     32,191         101,643   
     

 

 

 
Total United Kingdom               1,442,110   

TOTAL COMMON STOCKS

(Cost: $9,604,260)

              8,514,083   
EXCHANGE-TRADED FUND – 1.3%      
United States – 1.3%      
iShares MSCI India ETF
(Cost: $115,397)
     3,834         109,537   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 1.1%   
United States – 1.1%      

State Street Navigator Securities Lending Prime
Portfolio, 0.20%(b)

(Cost: $97,950)(c)

     97,950         97,950   

TOTAL INVESTMENTS IN SECURITIES – 100.5%

(Cost: $9,817,607)

        8,721,570   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (0.5)%

        (42,888
     

 

 

 
NET ASSETS – 100.0%             $ 8,678,682   
* 

Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $93,119 and the total market value of the collateral held by the Fund was $97,950.

 

ADR     American Depositary Receipt
CVA     Certificaten Van Aandelen (Certificate of Stock)
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.

 

56   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 97.4%      
Australia – 2.9%      

Brambles Ltd.

     74,535       $ 509,813   

Crown Resorts Ltd.

     24,466         170,094   

CSL Ltd.

     11,493         719,930   

Flight Centre Travel Group Ltd.(a)

     5,171         131,091   

Ramsay Health Care Ltd.

     7,369         302,575   

REA Group Ltd.(a)

     2,494         77,623   

Seek Ltd.(a)

     13,095         110,352   

TPG Telecom Ltd.(a)

     21,054         160,567   
     

 

 

 
Total Australia               2,182,045   
Austria – 0.2%      

ams AG

     727         27,009   

Andritz AG

     2,178         97,831   
     

 

 

 
Total Austria               124,840   
Belgium – 0.3%      

Umicore S.A.(a)

     5,479         210,663   
Brazil – 8.1%      

Ambev S.A.

     690,698         3,368,539   

BB Seguridade Participacoes S.A.

     108,625         676,801   

CCR S.A.

     112,225         342,992   

CETIP S.A. – Mercados Organizados

     17,320         143,103   

Cielo S.A.

     86,195         793,558   

Estacio Participacoes S.A.

     3,082         10,913   

Localiza Rent a Car S.A.

     1,330         8,163   

Lojas Renner S.A.

     11,705         54,087   

M. Dias Branco S.A.

     1,930         28,160   

Natura Cosmeticos S.A.

     28,051         137,369   

Tractebel Energia S.A.

     30,602         259,452   

WEG S.A.

     44,629         173,161   
     

 

 

 
Total Brazil               5,996,298   
Canada – 4.6%      

Alimentation Couche-Tard, Inc. Class B

     3,406         155,908   

Canadian National Railway Co.

     15,592         881,302   

Canadian Pacific Railway Ltd.(a)

     1,446         206,584   

CI Financial Corp.(a)

     12,964         292,988   

Constellation Software, Inc.

     531         221,537   

Gildan Activewear, Inc.

     1,450         43,564   

Imperial Oil Ltd.(a)

     13,601         428,918   

Jean Coutu Group PJC, Inc. (The) Class A

     4,993         74,893   

Linamar Corp.

     531         27,705   

Magna International, Inc.

     7,649         365,192   

Mullen Group Ltd.(a)

     8,650         115,166   

Restaurant Brands International, Inc.(a)

     1,365         48,911   

Saputo, Inc.

     8,361         182,723   

Secure Energy Services, Inc.(a)

     3,062         20,509   

ShawCor Ltd.

     981         20,473   

Silver Wheaton Corp.

     8,434         100,904   

Stantec, Inc.(a)

     1,275         27,750   

Vermilion Energy, Inc.(a)

     7,226         231,596   
     

 

 

 
Total Canada               3,446,623   
Investments    Shares      Value  
Chile – 0.2%      

Cia Cervecerias Unidas S.A.

     11,521       $ 126,746   
China – 3.1%      

Anhui Conch Cement Co., Ltd. Class H

     33,500         98,338   

China Everbright International Ltd.

     62,000         86,560   

China Jinmao Holdings Group Ltd.

     614,000         154,489   

China Overseas Land & Investment Ltd.

     266,000         803,143   

China South City Holdings Ltd.(a)

     388,000         94,621   

CSPC Pharmaceutical Group Ltd.

     100,000         87,612   

Dongfeng Motor Group Co., Ltd. Class H

     168,000         209,186   

Great Wall Motor Co., Ltd. Class H

     100,500         111,003   

Guangzhou Automobile Group Co., Ltd. Class H(a)

     68,000         55,365   

Lenovo Group Ltd.

     320,000         269,624   

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

     72,000         45,337   

Yuexiu Property Co., Ltd.

     716,000         117,331   

Zhuzhou CSR Times Electric Co., Ltd. Class H

     24,000         176,670   
     

 

 

 
Total China               2,309,279   
Denmark – 6.3%      

Coloplast A/S Class B

     7,273         514,412   

GN Store Nord A/S

     1,993         35,755   

Novo Nordisk A/S Class B

     68,368         3,664,298   

Novozymes A/S Class B

     5,055         220,028   

Pandora A/S

     2,100         244,776   
     

 

 

 
Total Denmark               4,679,269   
Finland – 1.2%      

Kone Oyj Class B(a)

     23,973         909,835   
France – 1.5%      

Cie Generale des Etablissements Michelin

     7,020         638,013   

Faurecia

     1,584         49,101   

Iliad S.A.

     220         44,327   

Ingenico Group

     787         94,701   

Plastic Omnium S.A.

     2,889         65,948   

Valeo S.A.

     1,640         221,051   
     

 

 

 
Total France               1,113,141   
Germany – 4.6%      

Continental AG

     3,645         773,466   

CTS Eventim AG & Co. KGaA

     1,658         61,297   

Fielmann AG

     2,637         180,145   

Hugo Boss AG

     2,412         270,316   

Infineon Technologies AG

     25,659         287,994   

KUKA AG(a)

     284         21,712   

ProSiebenSat.1 Media SE

     9,750         477,130   

Symrise AG

     2,536         152,269   

United Internet AG Registered Shares

     3,556         179,674   

Volkswagen AG(a)

     7,952         931,580   

Wirecard AG

     1,464         69,788   
     

 

 

 
Total Germany               3,405,371   
Hong Kong – 1.2%      

Hong Kong Exchanges and Clearing Ltd.

     33,800         771,071   

Techtronic Industries Co., Ltd.

     25,500         94,103   
     

 

 

 
Total Hong Kong               865,174   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      57   


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
India – 0.9%      

Infosys Ltd. ADR

     33,492       $ 639,362   
Indonesia – 4.7%      

Adaro Energy Tbk PT

     1,206,400         44,056   

Astra Agro Lestari Tbk PT

     61,700         76,335   

Astra International Tbk PT

     1,367,196         487,618   

Bank Rakyat Indonesia Persero Tbk PT

     853,189         503,760   

Bumi Serpong Damai Tbk PT

     97,000         9,303   

Charoen Pokphand Indonesia Tbk PT

     289,153         39,475   

Gudang Garam Tbk PT

     38,900         111,522   

Indocement Tunggal Prakarsa Tbk PT

     213,200         239,395   

Indofood CBP Sukses Makmur Tbk PT

     144,700         122,476   

Jasa Marga Persero Tbk PT

     114,001         37,546   

Kalbe Farma Tbk PT

     645,100         60,547   

Media Nusantara Citra Tbk PT

     296,900         33,237   

Semen Indonesia Persero Tbk PT

     229,200         141,588   

Surya Citra Media Tbk PT

     277,900         51,976   

Tambang Batubara Bukit Asam Persero Tbk PT

     118,500         45,499   

Telekomunikasi Indonesia Persero Tbk PT

     4,167,000         752,336   

Tower Bersama Infrastructure Tbk PT*

     68,200         30,492   

Unilever Indonesia Tbk PT

     251,700         652,874   

Vale Indonesia Tbk PT

     113,900         16,988   
     

 

 

 
Total Indonesia               3,457,023   
Ireland – 0.3%      

Glanbia PLC

     3,908         72,589   

Paddy Power PLC

     1,130         130,172   
     

 

 

 
Total Ireland               202,761   
Italy – 0.3%      

Brembo SpA

     1,259         48,625   

De’ Longhi

     4,174         102,270   

Salvatore Ferragamo SpA(a)

     3,430         91,239   
     

 

 

 
Total Italy               242,134   
Japan – 2.1%      

ABC-Mart, Inc.(a)

     900         50,048   

CyberAgent, Inc.(a)

     600         23,346   

Fast Retailing Co., Ltd.(a)

     800         323,901   

Japan Aviation Electronics Industry Ltd.

     1,000         14,887   

Kakaku.com, Inc.(a)

     3,200         51,674   

M3, Inc.(a)

     2,000         39,527   

Nihon Kohden Corp.(a)

     1,200         19,819   

Nitori Holdings Co., Ltd.(a)

     900         70,263   

Pigeon Corp.(a)

     2,800         65,064   

Sanrio Co., Ltd.(a)

     2,700         73,381   

SCSK Corp.(a)

     3,300         123,304   

SoftBank Group Corp.(a)

     9,500         434,447   

Start Today Co., Ltd.

     1,300         42,767   

Sysmex Corp.

     2,100         110,116   

Unicharm Corp.(a)

     5,300         93,552   
     

 

 

 
Total Japan               1,536,096   
Malaysia – 0.8%      

Bumi Armada Bhd*

     134,000         28,198   

Dialog Group Bhd

     49,376         17,972   
Investments    Shares      Value  

Petronas Gas Bhd

     78,800       $ 393,664   

Westports Holdings Bhd

     187,300         180,663   
     

 

 

 
Total Malaysia               620,497   
Mexico – 0.7%      

Controladora Comercial Mexicana S.A.B. de C.V.(a)

     18,772         54,377   

Kimberly-Clark de Mexico S.A.B. de C.V. Class A(a)

     191,758         432,585   
     

 

 

 
Total Mexico               486,962   
Netherlands – 0.7%      

Arcadis N.V.(a)

     2,543         59,625   

ASML Holding N.V.(a)

     5,430         473,746   
     

 

 

 
Total Netherlands               533,371   
New Zealand – 0.2%      

Fisher & Paykel Healthcare Corp., Ltd.

     25,073         113,878   

Ryman Healthcare Ltd.

     13,402         62,671   
     

 

 

 
Total New Zealand               176,549   
Norway – 0.1%      

Schibsted ASA Class A

     1,258         42,548   
Philippines – 1.4%      

Ayala Land, Inc.

     229,500         166,945   

DMCI Holdings, Inc.

     617,620         169,139   

Energy Development Corp.

     485,400         57,118   

GT Capital Holdings, Inc.

     170         4,601   

International Container Terminal Services, Inc.

     16,280         26,141   

Jollibee Foods Corp.

     5,810         23,966   

Nickel Asia Corp.

     86,100         11,789   

Semirara Mining and Power Corp.

     53,490         155,755   

SM Prime Holdings, Inc.

     409,400         180,875   

Universal Robina Corp.

     53,660         220,426   
     

 

 

 
Total Philippines               1,016,755   
Poland – 0.3%      

KGHM Polska Miedz S.A.

     11,654         251,159   
Russia – 2.2%      

Magnit PJSC GDR Reg S

     8,999         429,882   

NovaTek OAO GDR Reg S

     10,389         960,982   

PhosAgro OAO GDR Reg S

     17,837         246,151   
     

 

 

 
Total Russia               1,637,015   
Singapore – 0.5%      

First Resources Ltd.(a)

     65,800         75,893   

Singapore Exchange Ltd.(a)

     53,000         262,037   
     

 

 

 
Total Singapore               337,930   
South Africa – 8.6%      

Aspen Pharmacare Holdings Ltd.*

     3,381         71,889   

AVI Ltd.

     24,320         154,007   

Capitec Bank Holdings Ltd.

     3,977         144,101   

Discovery Ltd.

     12,013         119,600   

Foschini Group Ltd. (The)

     11,531         117,028   

Life Healthcare Group Holdings Ltd.

     43,949         113,186   

Massmart Holdings Ltd.

     10,623         83,051   

Mr. Price Group Ltd.

     5,352         74,704   

MTN Group Ltd.

     122,885         1,581,943   

 

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 ex-U.S. Quality Dividend Growth Fund (DNL)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Nampak Ltd.

     34,556       $ 64,479   

Naspers Ltd. Class N

     1,577         197,386   

Pick n Pay Stores Ltd.

     11,499         55,137   

Pioneer Foods Group Ltd.

     5,114         72,403   

RMB Holdings Ltd.(a)

     80,403         383,320   

Sasol Ltd.(a)

     35,597         997,859   

Shoprite Holdings Ltd.

     20,874         237,258   

Tiger Brands Ltd.

     7,613         167,814   

Truworths International Ltd.(a)

     23,304         143,293   

Vodacom Group Ltd.

     137,223         1,364,588   

Woolworths Holdings Ltd.

     30,421         212,971   
     

 

 

 
Total South Africa               6,356,017   
South Korea – 1.7%      

Amorepacific Corp.

     230         74,707   

CJ Corp.

     215         47,887   

Daum Kakao Corp.

     187         19,863   

Hanssem Co., Ltd.

     113         27,218   

Hyundai Glovis Co., Ltd.

     264         49,891   

Kangwon Land, Inc.

     4,279         152,705   

Korea Zinc Co., Ltd.

     358         140,597   

LG Chem Ltd.

     1,685         405,861   

LG Household & Health Care Ltd.

     183         131,850   

NAVER Corp.

     49         21,207   

NCSoft Corp.

     206         32,847   

S-1 Corp.

     785         61,791   

SK Holdings Co., Ltd.

     454         93,458   
     

 

 

 
Total South Korea               1,259,882   
Spain – 4.1%      

Amadeus IT Holding S.A. Class A

     15,245         650,483   

Industria de Diseno Textil S.A.

     68,840         2,299,900   

Prosegur Cia de Seguridad S.A.

     19,392         93,079   
     

 

 

 
Total Spain               3,043,462   
Sweden – 6.8%      

AAK AB

     1,139         73,742   

Assa Abloy AB Class B

     26,364         471,198   

Atlas Copco AB Class A

     34,647         830,746   

Boliden AB

     6,245         97,394   

Elekta AB Class B

     15,052         99,873   

Hennes & Mauritz AB Class B

     57,127         2,082,225   

Hexpol AB

     8,040         89,631   

Intrum Justitia AB

     3,091         106,620   

JM AB

     3,205         85,904   

Nibe Industrier AB Class B(a)

     2,040         59,568   

Saab AB Class B(a)

     4,032         107,686   

Sandvik AB

     83,414         708,125   

Trelleborg AB Class B

     11,966         188,898   
     

 

 

 
Total Sweden               5,001,610   
Switzerland – 3.4%      

Geberit AG Registered Shares

     1,379         420,150   

OC Oerlikon Corp. AG Registered Shares*

     13,875         135,754   

Partners Group Holding AG

     994         335,962   

Sonova Holding AG Registered Shares

     1,188         152,466   
Investments    Shares      Value  

Syngenta AG Registered Shares

     4,651       $ 1,485,597   
     

 

 

 
Total Switzerland               2,529,929   
Taiwan – 8.7%      

Advanced Semiconductor Engineering, Inc.(a)

     400,000         428,821   

Advantech Co., Ltd.

     20,000         136,664   

Catcher Technology Co., Ltd.

     20,000         212,892   

Chicony Electronics Co., Ltd.

     55,275         127,245   

Delta Electronics, Inc.

     104,000         486,402   

Eclat Textile Co., Ltd.

     6,000         94,754   

Giant Manufacturing Co., Ltd.

     10,000         72,584   

Hiwin Technologies Corp.

     3,090         16,422   

Largan Precision Co., Ltd.

     2,000         155,493   

MediaTek, Inc.

     80,000         591,603   

Merida Industry Co., Ltd.

     7,000         37,628   

Novatek Microelectronics Corp.

     37,000         115,739   

President Chain Store Corp.

     34,000         211,677   

Siliconware Precision Industries Co., Ltd.

     203,000         251,843   

Taiwan Semiconductor Manufacturing Co., Ltd.

     879,000         3,470,351   
     

 

 

 
Total Taiwan               6,410,118   
Thailand – 3.7%      

Bangkok Dusit Medical Services PCL NVDR

     266,500         135,838   

Bangkok Life Assurance PCL NVDR

     16,800         24,069   

BEC World PCL NVDR

     114,100         100,598   

Bumrungrad Hospital PCL NVDR

     18,200         108,312   

Central Pattana PCL NVDR

     77,350         95,369   

Charoen Pokphand Foods PCL NVDR

     203,900         116,290   

CP ALL PCL

     264,356         347,789   

Delta Electronics Thailand PCL NVDR

     88,900         215,545   

Home Product Center PCL NVDR

     73,930         13,953   

Intouch Holdings PCL NVDR

     269,053         539,292   

Minor International PCL NVDR

     37,649         29,822   

Siam Cement PCL (The) NVDR

     50,600         646,877   

Thai Union Group PCL NVDR

     207,520         105,204   

Total Access Communication PCL NVDR

     148,800         236,760   
     

 

 

 
Total Thailand               2,715,718   
Turkey – 1.4%      

Aselsan Elektronik Sanayi ve Ticaret AS

     3,241         14,718   

BIM Birlesik Magazalar AS

     7,354         130,309   

Coca-Cola Icecek AS

     2,798         31,975   

Emlak Konut Gayrimenkul Yatirim Ortakligi AS(a)

     269,650         223,539   

Tofas Turk Otomobil Fabrikasi AS

     24,989         148,147   

Turk Telekomunikasyon AS

     226,346         446,300   

Ulker Biskuvi Sanayi AS

     12,036         76,126   
     

 

 

 
Total Turkey               1,071,114   
United Kingdom – 9.6%      

ARM Holdings PLC

     15,953         228,962   

Ashmore Group PLC(a)

     56,194         209,821   

Ashtead Group PLC

     9,424         132,758   

Berkeley Group Holdings PLC

     13,190         667,317   

Burberry Group PLC

     10,814         224,085   

Carillion PLC(a)

     39,708         181,466   

Croda International PLC

     7,010         287,652   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      59   


Table of Contents

Schedule of Investments (unaudited) (concluded)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Daily Mail & General Trust PLC Class A Non-Voting Shares

     11,058       $ 126,212   

Dunelm Group PLC

     5,184         70,672   

easyJet PLC

     15,227         409,867   

Fresnillo PLC

     10,450         93,629   

Hays PLC

     49,047         113,893   

Hikma Pharmaceuticals PLC

     2,965         102,400   

Howden Joinery Group PLC

     14,366         105,867   

IMI PLC

     15,183         218,140   

ITV PLC

     81,646         304,236   

Jardine Lloyd Thompson Group PLC

     8,221         126,894   

Melrose Industries PLC

     52,368         209,575   

Michael Page International PLC

     13,458         96,627   

Next PLC

     3,605         415,557   

Persimmon PLC*

     16,775         510,231   

Restaurant Group PLC (The)

     5,164         52,800   

Rightmove PLC

     1,733         95,762   

Sky PLC

     64,119         1,013,977   

Smith & Nephew PLC

     25,871         451,839   

Taylor Wimpey PLC

     75,826         224,546   

Telecity Group PLC

     5,570         91,796   

WH Smith PLC

     4,356         103,197   

Whitbread PLC

     3,732         263,884   
     

 

 

 
Total United Kingdom               7,133,662   

TOTAL COMMON STOCKS

(Cost: $79,118,057)

              72,070,958   
EXCHANGE-TRADED FUNDS AND NOTES – 2.3%      
United States – 2.3%      

iPath MSCI India Index ETN*(a)

     25,713         1,701,686   

WisdomTree Emerging Markets High Dividend Fund(a)(b)

     410         13,727   

WisdomTree International Equity Fund(a)(b)

     454         20,621   

TOTAL EXCHANGE-TRADED FUNDS AND NOTES

(Cost: $1,671,130)

  

  

     1,736,034   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 10.2%   
United States – 10.2%      

State Street Navigator
Securities Lending Prime
Portfolio, 0.20%(c)

(Cost: $7,521,853)(d)

     7,521,853         7,521,853   

TOTAL INVESTMENTS IN SECURITIES – 109.9%

(Cost: $88,311,040)

        81,328,845   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (9.9)%

        (7,312,981
     

 

 

 
NET ASSETS – 100.0%             $ 74,015,864   

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 8).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $7,925,973 and the total market value of the collateral held by the Fund was $8,333,402. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $811,549.

 

ADR     American Depositary Receipt
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.

 

60   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
Australia – 14.8%      

Abacus Property Group

     132,686       $ 295,377   

BWP Trust(a)

     165,982         360,173   

Charter Hall Group

     74,798         228,492   

Charter Hall Retail REIT

     114,044         325,956   

Cromwell Property Group

     604,687         407,656   

Dexus Property Group

     201,725         1,012,879   

Federation Centres

     1,150,568         2,213,883   

Goodman Group

     283,988         1,166,669   

GPT Group (The)

     391,118         1,238,729   

Investa Office Fund

     151,534         419,274   

Lend Lease Group

     116,412         1,025,967   

Mirvac Group

     823,435         994,602   

Stockland

     597,958         1,616,677   

Westfield Corp.

     659,911         4,620,323   
     

 

 

 
Total Australia               15,926,657   
Belgium – 0.8%      

Befimmo S.A.

     5,492         336,500   

Cofinimmo S.A.

     5,032         529,961   
     

 

 

 
Total Belgium               866,461   
Brazil – 0.3%      

BR Malls Participacoes S.A.

     20,966         55,075   

BR Properties S.A.

     41,157         110,594   

Iguatemi Empresa de Shopping Centers S.A.

     9,293         47,959   

Multiplan Empreendimentos Imobiliarios S.A.

     11,509         122,548   
     

 

 

 
Total Brazil               336,176   
Canada – 8.8%      

Allied Properties Real Estate Investment Trust

     11,439         298,027   

Artis Real Estate Investment Trust

     37,287         352,651   

Boardwalk Real Estate Investment Trust

     6,864         280,663   

Brookfield Asset Management, Inc. Class A

     60,320         1,889,190   

Canadian Apartment Properties REIT

     22,234         470,650   

Canadian Real Estate Investment Trust

     11,091         338,926   

Chartwell Retirement Residences

     38,728         355,014   

Cominar Real Estate Investment Trust

     36,617         440,540   

Crombie Real Estate Investment Trust

     33,098         316,489   

Dream Office Real Estate Investment Trust

     29,762         470,616   

First Capital Realty, Inc.

     44,382         619,037   

Granite Real Estate Investment Trust

     12,540         351,498   

H&R Real Estate Investment Trust

     71,541         1,097,634   

Morguard Real Estate Investment Trust

     10,967         111,821   

RioCan Real Estate Investment Trust

     70,010         1,330,018   

Smart Real Estate Investment Trust

     32,550         742,432   
     

 

 

 
Total Canada               9,465,206   
China – 4.4%      

China Jinmao Holdings Group Ltd.

     1,804,000         453,907   

China Overseas Land & Investment Ltd.

     726,049         2,192,186   

China South City Holdings Ltd.(a)

     1,084,000         264,354   

Poly Property Group Co., Ltd.(a)

     1,040,000         285,830   

Shenzhen Investment Ltd.

     1,424,000         501,612   

Sino-Ocean Land Holdings Ltd.

     1,172,700         638,550   
Investments    Shares      Value  

Yuexiu Property Co., Ltd.(a)

     2,272,000       $ 372,313   
     

 

 

 
Total China               4,708,752   
Finland – 0.2%      

Citycon Oyj*

     16,751         41,136   

Sponda Oyj

     48,092         187,460   
     

 

 

 
Total Finland               228,596   
France – 12.6%      

Fonciere Des Regions

     16,664         1,448,288   

Gecina S.A.

     12,381         1,505,720   

ICADE

     18,251         1,234,380   

Klepierre

     68,125         3,079,042   

Mercialys S.A.

     28,622         617,899   

Nexity S.A.

     16,288         700,260   

Unibail-Rodamco SE

     19,278         4,977,359   
     

 

 

 
Total France               13,562,948   
Germany – 1.7%      

Deutsche Euroshop AG

     4,254         190,938   

Deutsche Wohnen AG Bearer Shares

     24,018         640,359   

LEG Immobilien AG*

     7,151         589,174   

TAG Immobilien AG(a)

     30,385         359,692   
     

 

 

 
Total Germany               1,780,163   
Hong Kong – 17.7%      

Champion REIT(a)

     1,633,000         813,334   

Fortune Real Estate Investment Trust

     283,000         265,105   

Hang Lung Group Ltd.

     107,649         365,310   

Hang Lung Properties Ltd.

     548,283         1,228,146   

Henderson Land Development Co., Ltd.

     251,440         1,495,653   

Hui Xian Real Estate Investment Trust

     852,634         422,488   

Hysan Development Co., Ltd.

     136,115         565,532   

Kowloon Development Co., Ltd.

     143,000         163,849   

Link REIT

     164,615         902,722   

New World Development Co., Ltd.

     1,048,497         1,014,668   

Sino Land Co., Ltd.

     929,735         1,408,389   

Sun Hung Kai Properties Ltd.

     305,810         3,965,639   

Swire Pacific Ltd. Class A

     123,778         1,380,715   

Swire Properties Ltd.

     570,941         1,576,524   

Wharf Holdings Ltd. (The)

     367,872         2,064,817   

Wheelock & Co., Ltd.

     221,231         956,283   

Yuexiu Real Estate Investment Trust

     996,000         505,065   
     

 

 

 
Total Hong Kong               19,094,239   
Indonesia – 0.3%      

Bumi Serpong Damai Tbk PT

     831,824         79,775   

Ciputra Development Tbk PT

     1,005,613         55,944   

Lippo Karawaci Tbk PT

     1,161,600         89,598   

Summarecon Agung Tbk PT

     1,139,500         87,115   
     

 

 

 
Total Indonesia               312,432   
Israel – 0.9%      

Azrieli Group

     10,964         438,012   

Gazit-Globe Ltd.

     27,590         276,259   

Melisron Ltd.

     6,875         255,739   
     

 

 

 
Total Israel               970,010   

 

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 ex-U.S. Real Estate Fund (DRW)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Italy – 0.2%      

Beni Stabili SpA SIIQ

     344,391       $ 266,984   
Japan – 6.6%      

Aeon Mall Co., Ltd.

     66,730         1,020,186   

Daikyo, Inc.(a)

     48,000         80,959   

Daito Trust Construction Co., Ltd.

     9,600         971,903   

Daiwa House Industry Co., Ltd.

     79,100         1,946,706   

Hulic Co., Ltd.(a)

     17,500         157,371   

Mitsubishi Estate Co., Ltd.

     32,589         662,719   

Mitsui Fudosan Co., Ltd.

     30,308         825,742   

Nomura Real Estate Holdings, Inc.

     19,265         385,413   

NTT Urban Development Corp.(a)

     20,800         190,520   

Sumitomo Real Estate Sales Co., Ltd.

     5,880         149,743   

Sumitomo Realty & Development Co., Ltd.(a)

     11,279         357,022   

Tokyo Tatemono Co., Ltd.

     8,800         104,411   

Tokyu Fudosan Holdings Corp.(a)

     37,868         250,735   
     

 

 

 
Total Japan               7,103,430   
Malaysia – 1.0%      

IGB Real Estate Investment Trust

     569,800         165,920   

IOI Properties Group Bhd

     474,600         213,777   

Mah Sing Group Bhd

     147,580         43,981   

SP Setia Bhd Group

     326,855         234,225   

Sunway Bhd

     224,400         160,805   

Sunway Real Estate Investment Trust

     541,196         190,833   

UEM Sunrise Bhd

     422,700         118,278   
     

 

 

 
Total Malaysia               1,127,819   
Mexico – 0.7%      

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

     106,259         223,970   

Corp. Inmobiliaria Vesta S.A.B. de C.V.(a)

     48,767         76,172   

Fibra Uno Administracion S.A. de C.V.(a)

     201,967         416,048   

Mexico Real Estate Management S.A. de C.V.*

     60,985         76,831   
     

 

 

 
Total Mexico               793,021   
Netherlands – 0.7%      

Eurocommercial Properties N.V. CVA

     10,354         450,980   

Wereldhave N.V.

     5,468         314,704   
     

 

 

 
Total Netherlands               765,684   
Philippines – 1.2%      

Ayala Land, Inc.

     771,700         561,357   

Robinsons Land Corp.

     299,100         182,058   

SM Prime Holdings, Inc.

     1,369,175         604,909   
     

 

 

 
Total Philippines               1,348,324   
Russia – 0.1%      

LSR Group PJSC GDR Reg S

     61,464         111,250   
Singapore – 8.8%      

Ascendas Real Estate Investment Trust

     489,601         805,729   

Ascott Residence Trust

     352,473         303,664   

CapitaLand Commercial Trust Ltd.

     664,335         626,070   

CapitaLand Ltd.(a)

     471,189         888,098   

CapitaLand Mall Trust

     801,686         1,071,245   

CapitaLand Retail China Trust

     214,200         205,628   

CDL Hospitality Trusts(a)

     269,132         246,059   
Investments    Shares      Value  

City Developments Ltd.

     49,103       $ 265,907   

Frasers Centrepoint Ltd.

     219,100         228,823   

Frasers Centrepoint Trust

     157,300         210,744   

Global Logistic Properties Ltd.

     332,300         476,751   

Keppel REIT

     737,800         495,533   

Mapletree Commercial Trust

     495,390         437,242   

Mapletree Greater China Commercial Trust

     776,900         508,135   

Mapletree Industrial Trust

     507,418         529,936   

Mapletree Logistics Trust

     688,087         474,242   

SPH REIT

     244,300         160,645   

Starhill Global REIT

     611,784         324,845   

Suntec Real Estate Investment Trust(a)

     402,428         424,532   

United Industrial Corp., Ltd.

     34,000         73,170   

UOL Group Ltd.

     65,900         278,542   

Wing Tai Holdings Ltd.(a)

     252,498         296,555   

Yanlord Land Group Ltd.(a)

     149,300         106,575   
     

 

 

 
Total Singapore               9,438,670   
South Africa – 3.3%      

Capital Property Fund*

     424,784         482,325   

Growthpoint Properties Ltd.

     606,270         1,124,671   

Hyprop Investments Ltd.

     56,213         490,741   

Redefine Properties Ltd.

     926,076         783,618   

Resilient Property Income Fund Ltd.

     74,562         625,583   
     

 

 

 
Total South Africa               3,506,938   
Sweden – 1.8%      

Atrium Ljungberg AB Class B(a)

     17,111         258,285   

Castellum AB

     29,379         412,291   

Fabege AB

     27,672         404,833   

Hufvudstaden AB Class A

     19,157         250,111   

Kungsleden AB

     16,824         112,835   

Wallenstam AB Class B(a)

     27,572         226,177   

Wihlborgs Fastigheter AB

     13,757         246,040   
     

 

 

 
Total Sweden               1,910,572   
Switzerland – 1.5%      

PSP Swiss Property AG Registered Shares*

     8,234         675,001   

Swiss Prime Site AG Registered Shares*

     13,494         983,290   
     

 

 

 
Total Switzerland               1,658,291   
Taiwan – 0.6%      

Highwealth Construction Corp.

     136,110         191,800   

Ruentex Development Co., Ltd.

     424,954         462,671   
     

 

 

 
Total Taiwan               654,471   
Thailand – 1.2%      

Central Pattana PCL NVDR

     267,474         329,783   

Land & Houses PCL NVDR

     1,721,411         381,798   

Pruksa Real Estate PCL NVDR

     252,793         200,242   

Quality Houses PCL NVDR

     2,057,457         137,183   

Supalai PCL NVDR(a)

     283,221         142,801   

WHA Corp. PCL NVDR*

     954,930         83,140   
     

 

 

 
Total Thailand               1,274,947   
Turkey – 0.7%      

Emlak Konut Gayrimenkul Yatirim Ortakligi AS(a)

     865,031         717,109   

 

See Notes to Financial Statements.

 

62   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, 2015

 

  

 

 

Investments    Shares      Value  
United Kingdom – 8.8%      

Big Yellow Group PLC

     21,297       $ 233,560   

British Land Co. PLC (The)

     172,867         2,195,614   

Capital & Counties Properties PLC

     16,993         111,789   

Countrywide PLC

     25,989         197,621   

Derwent London PLC

     7,678         423,225   

Great Portland Estates PLC

     20,627         267,143   

Hammerson PLC

     107,994         1,019,946   

Intu Properties PLC

     246,435         1,230,355   

Land Securities Group PLC

     100,461         1,915,862   

Londonmetric Property PLC

     140,955         350,372   

Savills PLC

     11,905         164,552   

Segro PLC

     136,962         891,054   

Shaftesbury PLC

     23,121         321,157   

Unite Group PLC (The)

     16,129         159,537   
     

 

 

 
Total United Kingdom               9,481,787   
TOTAL COMMON STOCKS
(Cost: $113,197,600)
         107,410,937   
WARRANTS – 0.0%      
Thailand – 0.0%      

WHA Corp. PCL, expiring 12/14/15*

     107,143         1,240   
WHA Corp. PCL, expiring 3/4/20*      9,854         3,014   
TOTAL WARRANTS      
(Cost: $0)               4,254   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 4.1%   
United States – 4.1%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

(Cost: $4,458,235)(c)

     4,458,235         4,458,235   

TOTAL INVESTMENTS IN SECURITIES – 103.8%

(Cost: $117,655,835)

  

  

     111,873,426   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (3.8)%

        (4,114,976
     

 

 

 
NET ASSETS – 100.0%             $ 107,758,450   

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $4,178,695 and the total market value of the collateral held by the Fund was $4,518,422. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $60,187.

 

CVA     Certificaten Van Aandelen (Certificate of Stock)
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      63   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Global ex-U.S. Utilities Fund (DBU)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 98.4%      
Australia – 2.3%      

AGL Energy Ltd.(a)

     41,544       $ 465,913   
Austria – 0.6%      

Verbund AG(a)

     8,668         114,850   
Brazil – 3.7%      

Centrais Eletricas Brasileiras S.A.*

     140,206         184,854   

Cia de Saneamento Basico do Estado de Sao Paulo

     40,518         161,179   

CPFL Energia S.A.*

     56,920         212,559   

Equatorial Energia S.A.

     3,037         25,825   

Tractebel Energia S.A.

     18,741         158,891   
     

 

 

 
Total Brazil               743,308   
Canada – 8.0%      

Algonquin Power & Utilities Corp.(a)

     22,672         159,636   

Atco Ltd. Class I

     3,733         109,147   

Canadian Utilities Ltd. Class A

     6,272         168,928   

Capital Power Corp.(a)

     12,358         174,028   

Emera, Inc.

     10,921         360,612   

Fortis, Inc.

     9,770         278,154   

Superior Plus Corp.(a)

     20,946         171,699   

TransAlta Corp.(a)

     37,995         175,706   
     

 

 

 
Total Canada               1,597,910   
Chile – 3.2%      

Aguas Andinas S.A. Class A

     219,740         114,039   

Colbun S.A.

     134,066         34,466   

E.CL S.A.

     57,500         79,750   

Empresa Nacional de Electricidad S.A.

     140,039         164,447   

Enersis S.A.

     946,867         237,901   
     

 

 

 
Total Chile               630,603   
China – 12.9%      

Beijing Jingneng Clean Energy Co., Ltd. Class H(a)

     324,000         99,081   

China Longyuan Power Group Corp., Ltd. Class H

     68,100         73,108   

China Power International Development Ltd.(a)

     964,000         626,907   

China Resources Power Holdings Co., Ltd.

     114,100         260,294   

Datang International Power Generation Co., Ltd. Class H

     634,000         239,691   

Guangdong Investment Ltd.

     174,600         259,533   

Huadian Fuxin Energy Corp., Ltd. Class H

     146,000         50,299   

Huadian Power International Corp., Ltd. Class H

     508,000         395,254   

Huaneng Power International, Inc. Class H

     430,640         462,866   

Huaneng Renewables Corp., Ltd. Class H

     242,000         89,305   
     

 

 

 
Total China               2,556,338   
Czech Republic – 1.8%      

CEZ AS

     17,580         365,538   
Finland – 1.5%      

Fortum Oyj

     20,162         297,752   
France – 9.6%      

Electricite de France S.A.

     12,900         227,010   

Engie(a)

     20,786         335,042   

Rubis SCA

     4,623         342,962   

Suez Environnement Co.

     24,925         445,995   
Investments    Shares      Value  

Veolia Environnement S.A.

     24,027       $ 547,935   
     

 

 

 
Total France               1,898,944   
Germany – 1.3%      

E.ON SE

     20,266         173,668   

RWE AG

     7,580         85,881   
     

 

 

 
Total Germany               259,549   
Hong Kong – 4.1%      

CLP Holdings Ltd.

     41,322         352,701   

Hong Kong & China Gas Co., Ltd.

     75,645         141,724   

Power Assets Holdings Ltd.

     33,886         319,619   
     

 

 

 
Total Hong Kong               814,044   
Indonesia – 0.5%      
Perusahaan Gas Negara Persero Tbk PT      627,200         108,315   
Italy – 9.9%      

A2A SpA

     370,305         458,822   

Enel Green Power SpA(a)

     57,639         108,798   

Enel SpA

     51,834         230,744   

Hera SpA

     106,698         276,554   

Snam SpA

     90,605         464,627   

Terna Rete Elettrica Nazionale SpA

     85,685         415,677   
     

 

 

 
Total Italy               1,955,222   
Japan – 6.7%      

Chugoku Electric Power Co., Inc. (The)(a)

     23,700         325,921   

Electric Power Development Co., Ltd.

     5,042         153,451   

Hokuriku Electric Power Co.(a)

     22,400         300,375   

Okinawa Electric Power Co., Inc. (The)

     3,900         87,499   

Osaka Gas Co., Ltd.(a)

     44,000         166,426   

Toho Gas Co., Ltd.(a)

     23,000         135,198   

Tohoku Electric Power Co., Inc.

     3,200         43,205   

Tokyo Gas Co., Ltd.

     25,000         120,611   
     

 

 

 
Total Japan               1,332,686   
Malaysia – 1.4%      

Petronas Gas Bhd

     32,000         159,864   

Tenaga Nasional Bhd

     44,200         120,863   
     

 

 

 
Total Malaysia               280,727   
Mexico – 1.1%      

Infraestructura Energetica Nova S.A.B. de C.V.(a)

     53,868         219,455   
Philippines – 1.8%      

Aboitiz Power Corp.

     175,800         162,485   

Energy Development Corp.

     593,900         69,886   

Manila Electric Co.

     18,620         118,078   
     

 

 

 
Total Philippines               350,449   
Poland – 3.1%      

Energa S.A.

     48,896         216,798   

PGE Polska Grupa Energetyczna S.A.(a)

     68,907         244,275   

Tauron Polska Energia S.A.

     179,894         155,173   
     

 

 

 
Total Poland               616,246   
Portugal – 2.0%      

EDP-Energias de Portugal S.A.

     106,288         388,084   

 

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 ex-U.S. Utilities Fund (DBU)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Russia – 0.3%      

RusHydro PJSC ADR

     58,744       $ 55,219   
South Korea – 0.1%      

Korea Electric Power Corp.

     348         14,386   
Spain – 7.0%      

EDP Renovaveis S.A.

     8,176         53,527   

Enagas S.A.

     13,090         374,352   

Endesa S.A.

     10,252         215,601   

Gas Natural SDG S.A.

     11,742         228,455   

Iberdrola S.A.

     33,206         220,432   

Red Electrica Corp. S.A.

     3,560         294,621   
     

 

 

 
Total Spain               1,386,988   
Taiwan – 0.6%      

SPCG PCL NVDR

     168,000         111,090   
Thailand – 1.2%      

Electricity Generating PCL NVDR

     35,146         148,157   

Glow Energy PCL

     40,100         93,911   
     

 

 

 
Total Thailand               242,068   
United Kingdom – 13.7%      

Centrica PLC

     110,172         382,496   

Drax Group PLC(a)

     20,275         74,936   

National Grid PLC

     30,666         426,841   

Pennon Group PLC

     26,558         312,577   

Severn Trent PLC

     12,678         419,415   

SSE PLC

     21,263         481,834   

Telecom Plus PLC(a)

     10,384         175,695   

United Utilities Group PLC

     31,671         443,756   
     

 

 

 
Total United Kingdom               2,717,550   

TOTAL COMMON STOCKS

(Cost: $23,256,618)

              19,523,234   
EXCHANGE-TRADED FUNDS AND NOTES – 1.3%      
United States – 1.3%      

iPath MSCI India Index ETN*(a)

     3,763         249,035   

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

     12         312   

TOTAL EXCHANGE-TRADED FUNDS AND NOTES

(Cost: $215,944)

              249,347   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 15.8%   
United States – 15.8%      

State Street Navigator
Securities Lending Prime
Portfolio, 0.20%(c)

     
(Cost: $3,143,088)(d)      3,143,088         3,143,088   

TOTAL INVESTMENTS IN SECURITIES – 115.5%

(Cost: $26,615,650)

        22,915,669   

Liabilities in Excess of Cash, Foreign Currency and
Other Assets – (15.5)%

        (3,078,251
     

 

 

 
NET ASSETS – 100.0%             $ 19,837,418   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 8).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $3,037,034 and the total market value of the collateral held by the Fund was $3,213,782. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $70,694.

 

ADR     American Depositary Receipt
ETN     Exchange-Traded Note
NVDR     Non-Voting Depositary Receipt

 

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 Global High Dividend Fund (DEW)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Australia – 7.4%      

Amcor Ltd.

     12,489       $ 115,506   

AMP Ltd.

     20,453         79,859   

ASX Ltd.

     3,881         103,240   

Aurizon Holdings Ltd.

     26,627         93,681   

Australia & New Zealand Banking Group Ltd.

     35,933         683,336   

BHP Billiton Ltd.

     32,166         501,918   

Boral Ltd.

     13,551         50,150   

Brambles Ltd.

     13,872         94,883   

CIMIC Group Ltd.(a)

     4,723         77,943   

Coca-Cola Amatil Ltd.

     6,010         38,027   

Commonwealth Bank of Australia

     20,781         1,061,237   

Crown Resorts Ltd.

     9,781         68,000   

Flight Centre Travel Group Ltd.(a)

     1,483         37,596   

Fortescue Metals Group Ltd.(a)

     60,387         77,180   

Harvey Norman Holdings Ltd.(a)

     14,762         40,223   

Incitec Pivot Ltd.(a)

     35,880         98,267   

Insurance Australia Group Ltd.(a)

     30,095         102,290   

Lend Lease Group

     3,533         31,137   

Macquarie Group Ltd.

     4,017         216,253   

National Australia Bank Ltd.

     32,832         691,227   

Orica Ltd.(a)

     4,457         47,074   

Platinum Asset Management Ltd.(a)

     11,357         53,994   

Rio Tinto Ltd.

     5,828         198,906   

Santos Ltd.(a)

     5,098         14,249   

Sonic Healthcare Ltd.

     6,074         77,845   

Suncorp Group Ltd.

     14,949         127,970   

Tabcorp Holdings Ltd.

     13,582         44,542   

Tatts Group Ltd.

     33,419         88,242   

Telstra Corp., Ltd.

     209,065         823,637   

Wesfarmers Ltd.

     14,612         402,447   

Westpac Banking Corp.

     42,494         886,290   

Woodside Petroleum Ltd.

     12,266         249,197   

Woolworths Ltd.(a)

     11,267         196,540   

WorleyParsons Ltd.

     2,047         8,496   
     

 

 

 
Total Australia               7,481,382   
Austria – 0.2%      

Oesterreichische Post AG

     1,625         55,651   

OMV AG

     2,742         66,510   

UNIQA Insurance Group AG

     2,108         18,236   

Verbund AG(a)

     3,293         43,632   

Voestalpine AG

     1,279         43,830   
     

 

 

 
Total Austria               227,859   
Belgium – 0.4%      

Ageas

     1,441         59,041   

Bekaert S.A.(a)

     561         14,732   

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

     1,548         75,166   

Proximus

     5,928         204,204   
     

 

 

 
Total Belgium               353,143   
Brazil – 1.6%      

Ambev S.A.

     111,365         543,128   
Investments    Shares      Value  

Arteris S.A.

     6,658       $ 15,884   

Banco do Brasil S.A.

     26,591         101,504   

Banco Santander Brasil S.A.

     16,783         53,148   

BB Seguridade Participacoes S.A.

     10,205         63,583   

BM&FBovespa S.A. – Bolsa de Valores Mercadorias e Futuros

     9,540         26,546   

CCR S.A.

     9,852         30,111   

Centrais Eletricas Brasileiras S.A.*

     21,119         27,844   

CETIP S.A. – Mercados Organizados

     3,298         27,249   

Cia de Saneamento Basico do Estado de Sao Paulo

     9,982         39,708   

Cia Siderurgica Nacional S.A.

     35,929         35,370   

Cielo S.A.

     12,885         118,626   

CPFL Energia S.A.*

     7,161         26,742   

Cyrela Brazil Realty S.A. Empreendimentos e Participacoes

     13,188         27,390   

EcoRodovias Infraestrutura e Logistica S.A.

     4,316         6,612   

Gerdau S.A.

     24,050         26,696   

Grendene S.A.

     5,838         25,848   

Itau Unibanco Holding S.A.

     17,286         106,444   

Natura Cosmeticos S.A.

     5,068         24,818   

Porto Seguro S.A.

     7,688         58,114   

Souza Cruz S.A.

     14,003         94,245   

Telefonica Brasil S.A.

     5,301         41,136   

Transmissora Alianca de Energia Eletrica S.A.

     8,934         42,786   

Vale S.A.

     18,134         75,506   
     

 

 

 
Total Brazil               1,639,038   
Canada – 4.5%      

Agrium, Inc.(a)

     372         33,185   

ARC Resources Ltd.(a)

     2,543         33,459   

Bank of Montreal

     5,279         286,571   

Bank of Nova Scotia (The)

     8,588         376,842   

Baytex Energy Corp.

     3,652         11,631   

BCE, Inc.

     6,712         273,446   

Canadian Imperial Bank of Commerce

     2,977         212,900   

Cenovus Energy, Inc.

     5,863         88,511   

CI Financial Corp.(a)

     3,638         82,219   

Crescent Point Energy Corp.(a)

     6,549         74,590   

Emera, Inc.

     1,882         62,144   

Enerplus Corp.(a)

     3,884         18,831   

Ensign Energy Services, Inc.

     3,913         23,962   

First Capital Realty, Inc.

     2,381         33,210   

Fortis, Inc.

     3,167         90,165   

Great-West Lifeco, Inc.

     6,885         164,178   

Husky Energy, Inc.

     7,132         110,701   

IGM Financial, Inc.

     2,605         65,791   

Inter Pipeline Ltd.(a)

     1,500         27,545   

Mullen Group Ltd.(a)

     1,627         21,662   

National Bank of Canada(a)

     2,253         71,588   

Pembina Pipeline Corp.(a)

     3,806         91,154   

Pengrowth Energy Corp.(a)

     20,620         17,533   

Penn West Petroleum Ltd.(a)

     21,680         9,703   

Potash Corp. of Saskatchewan, Inc.

     5,809         118,849   

Power Corp. of Canada

     2,154         44,455   

 

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 Global High Dividend Fund (DEW)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Power Financial Corp.(a)

     5,679       $ 129,617   

Rogers Communications, Inc. Class B

     3,510         120,377   

Royal Bank of Canada(a)

     10,688         588,251   

Shaw Communications, Inc. Class B(a)

     4,487         86,480   

Sun Life Financial, Inc.(a)

     5,674         182,150   

Teck Resources Ltd. Class B

     8,034         38,172   

TELUS Corp.

     3,452         108,269   

Thomson Reuters Corp.

     7,161         286,504   

Toronto-Dominion Bank (The)

     9,384         368,165   

TransAlta Corp.(a)

     1,171         5,415   

TransCanada Corp.(a)

     5,781         181,963   

Veresen, Inc.(a)

     1,416         10,773   

Vermilion Energy, Inc.(a)

     864         27,692   

Whitecap Resources, Inc.(a)

     3,642         28,632   
     

 

 

 
Total Canada               4,607,285   
Chile – 0.3%      

AES Gener S.A.

     169,374         79,034   

Banco de Chile

     620,567         64,532   

Banco de Credito e Inversiones

     652         26,403   

Corpbanca S.A.

     5,905,269         51,895   

Enersis S.A.

     472,390         118,688   
     

 

 

 
Total Chile               340,552   
China – 6.0%      

Agricultural Bank of China Ltd. Class H

     295,074         111,556   

Bank of China Ltd. Class H

     867,366         372,685   

Bank of Communications Co., Ltd. Class H

     296,125         205,185   

China BlueChemical Ltd. Class H

     30,000         8,013   

China Communications Construction Co., Ltd. Class H

     34,000         41,809   

China Communications Services Corp., Ltd.
Class H

     106,206         40,838   

China Construction Bank Corp. Class H

     2,558,536         1,700,177   

China Jinmao Holdings Group Ltd.

     201,447         50,686   

China Machinery Engineering Corp. Class H

     58,407         50,192   

China Merchants Bank Co., Ltd. Class H

     42,527         102,613   

China Merchants Holdings International Co., Ltd.

     13,636         40,028   

China Mobile Ltd.

     140,948         1,669,541   

China Petroleum & Chemical Corp. Class H

     296,000         179,890   

China Power International Development Ltd.(a)

     48,224         31,361   

China Resources Power Holdings Co., Ltd.

     29,575         67,469   

China Shenhua Energy Co., Ltd. Class H

     33,500         51,179   

China South City Holdings Ltd.(a)

     41,610         10,147   

Chongqing Rural Commercial Bank Co., Ltd.
Class H

     54,926         30,971   

CNOOC Ltd.(a)

     382,415         391,294   

Great Wall Motor Co., Ltd. Class H

     15,597         17,227   

Huaneng Power International, Inc. Class H

     30,137         32,392   

Huishang Bank Corp., Ltd. Class H

     94,825         41,478   

Industrial & Commercial Bank of China Ltd.
Class H

     914,000         525,989   

Jiangxi Copper Co., Ltd. Class H

     12,000         14,555   

PetroChina Co., Ltd. Class H

     168,000         116,407   

Shanghai Industrial Holdings Ltd.

     17,316         38,207   
Investments    Shares      Value  

Sino-Ocean Land Holdings Ltd.

     90,275       $ 49,156   

Sun Art Retail Group Ltd.(a)

     70,536         54,153   

Yuexiu Property Co., Ltd.

     238,811         39,134   

Zhejiang Expressway Co., Ltd. Class H

     32,000         34,725   
     

 

 

 
Total China               6,119,057   
Czech Republic – 0.3%      

CEZ AS

     6,205         129,020   

Komercni Banka AS

     542         117,328   

O2 Czech Republic AS

     3,354         29,345   
     

 

 

 
Total Czech Republic               275,693   
Denmark – 0.1%      
TDC A/S      18,025         92,697   
Finland – 0.8%      

Elisa Oyj

     3,545         119,584   

Fortum Oyj

     8,519         125,808   

Kemira Oyj(a)

     3,562         41,033   

Kesko Oyj Class B

     1,798         63,542   

Neste Oyj

     1,838         42,203   

Sampo Oyj Class A

     5,399         260,833   

Stora Enso Oyj Class R

     8,153         61,476   

UPM-Kymmene Oyj

     5,455         81,594   
     

 

 

 
Total Finland               796,073   
France – 6.3%      

Arkema S.A.

     622         40,145   

AXA S.A.

     19,526         471,554   

Bouygues S.A.

     2,530         89,609   

Casino Guichard Perrachon S.A.

     772         40,933   

Cie de Saint-Gobain

     4,239         183,167   

Cie Generale des Etablissements Michelin

     1,752         159,231   

CNP Assurances

     6,996         96,913   

Edenred

     3,349         54,561   

Electricite de France S.A.

     15,070         265,197   

Engie

     25,299         407,786   

Eutelsat Communications S.A.

     2,579         78,879   

Klepierre

     3,857         174,325   

Lagardere SCA

     2,223         61,390   

Metropole Television S.A.

     3,279         62,589   

Orange S.A.

     39,188         591,413   

Rexel S.A.

     683         8,371   

Rubis SCA

     1,153         85,536   

Sanofi

     8,952         848,278   

Schneider Electric SE

     4,052         226,198   

SCOR SE

     3,707         132,600   

Societe Television Francaise 1

     2,388         33,453   

Total S.A.

     23,811         1,068,477   

Unibail-Rodamco SE

     1,051         271,356   

Veolia Environnement S.A.

     7,946         181,208   

Vinci S.A.

     5,702         360,951   

Vivendi S.A.

     17,635         415,945   
     

 

 

 
Total France               6,410,065   

 

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 Global High Dividend Fund (DEW)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Germany – 4.8%      

Allianz SE Registered Shares

     3,030       $ 474,359   

BASF SE

     6,523         497,458   

Bayerische Motoren Werke AG

     4,336         383,429   

Bilfinger SE(a)

     577         21,319   

Daimler AG Registered Shares

     8,620         623,991   

Deutsche Boerse AG

     1,751         150,559   

Deutsche Post AG Registered Shares

     10,276         284,184   

Deutsche Telekom AG Registered Shares

     45,529         807,303   

E.ON SE

     10,912         93,510   

Evonik Industries AG

     4,969         165,928   

Freenet AG

     2,653         87,465   

MAN SE

     834         84,865   

Muenchener Rueckversicherungs – Gesellschaft AG Registered Shares

     1,804         335,787   

ProSiebenSat.1 Media SE

     988         48,349   

Siemens AG Registered Shares

     6,986         623,382   

Suedzucker AG(a)

     3,868         70,119   

Telefonica Deutschland Holding AG

     20,105         122,557   
     

 

 

 
Total Germany               4,874,564   
Hong Kong – 1.4%      

BOC Hong Kong Holdings Ltd.

     85,000         249,514   

CLP Holdings Ltd.

     18,000         153,638   

Hang Lung Properties Ltd.

     13,472         30,177   

Hang Seng Bank Ltd.

     15,400         276,602   

Hopewell Holdings Ltd.

     24,500         83,141   

New World Development Co., Ltd.

     33,423         32,345   

Power Assets Holdings Ltd.

     20,500         193,360   

Sino Land Co., Ltd.

     62,000         93,919   

Sun Hung Kai Properties Ltd.

     18,000         233,418   

Wharf Holdings Ltd. (The)

     10,519         59,042   
     

 

 

 
Total Hong Kong               1,405,156   
Hungary – 0.1%      

MOL Hungarian Oil & Gas PLC

     2,124         92,499   
Indonesia – 0.1%      

Bank Danamon Indonesia Tbk PT

     107,313         21,206   

Indo Tambangraya Megah Tbk PT

     31,800         21,435   

Indocement Tunggal Prakarsa Tbk PT

     36,945         41,484   

Tambang Batubara Bukit Asam Persero Tbk PT

     33,700         12,940   
     

 

 

 
Total Indonesia               97,065   
Ireland – 0.1%      

CRH PLC

     5,215         137,529   
Israel – 0.2%      

Bezeq Israeli Telecommunication Corp., Ltd.

     54,390         103,933   

Gazit-Globe Ltd.

     4,405         44,107   
     

 

 

 
Total Israel               148,040   
Italy – 2.0%      

A2A SpA

     63,209         78,318   

ACEA SpA

     2,159         29,113   

Atlantia SpA

     8,005         223,300   

Enel SpA

     69,339         308,670   

Eni SpA

     42,329         663,859   
Investments    Shares      Value  

Hera SpA

     31,262       $ 81,029   

Mediolanum SpA

     8,034         57,305   

Pirelli & C. SpA

     4,538         75,831   

Snam SpA

     50,443         258,674   

Societa Iniziative Autostradali e Servizi SpA

     2,842         31,851   

Telecom Italia SpA RSP

     56,632         57,968   

Terna Rete Elettrica Nazionale SpA

     24,971         121,140   

Tod’s SpA(a)

     536         46,848   
     

 

 

 
Total Italy               2,033,906   
Japan – 2.7%      

Aozora Bank Ltd.

     22,331         77,193   

Canon, Inc.

     5,600         161,503   

Chugoku Electric Power Co., Inc. (The)(a)

     5,036         69,255   

Dai Nippon Printing Co., Ltd.(a)

     11,255         108,448   

Daihatsu Motor Co., Ltd.(a)

     5,887         67,882   

Daiichi Sankyo Co., Ltd.(a)

     3,075         53,148   

Daiwa Securities Group, Inc.(a)

     14,601         93,837   

Eisai Co., Ltd.(a)

     1,900         111,527   

ITOCHU Corp.(a)

     12,642         132,737   

Kobe Steel Ltd.(a)

     43,173         46,502   

Marubeni Corp.(a)

     23,369         113,913   

Matsui Securities Co., Ltd.(a)

     5,832         50,254   

Mitsubishi Corp.(a)

     15,558         253,768   

Mitsui & Co., Ltd.(a)

     18,058         202,119   

Mizuho Financial Group, Inc.(a)

     122,200         227,432   

NTT DOCOMO, Inc.(a)

     24,600         409,367   

Sankyo Co., Ltd.(a)

     1,535         54,471   

Sekisui House Ltd.

     9,667         150,536   

Showa Shell Sekiyu K.K.(a)

     4,670         36,692   

Sumitomo Corp.(a)

     12,586         121,063   

Takeda Pharmaceutical Co., Ltd.(a)

     4,400         192,400   
     

 

 

 
Total Japan               2,734,047   
Malaysia – 0.9%      

Affin Holdings Bhd

     15,093         8,035   

Axiata Group Bhd

     65,301         86,162   

British American Tobacco Malaysia Bhd

     6,300         86,451   

DiGi.Com Bhd

     99,300         125,375   

IOI Corp. Bhd

     48,681         45,073   

Malayan Banking Bhd

     106,500         207,391   

Maxis Bhd

     83,400         124,272   

Petronas Chemicals Group Bhd

     22,300         31,149   

Sime Darby Bhd

     29,602         52,460   

SP Setia Bhd Group

     18,992         13,610   

Telekom Malaysia Bhd

     30,200         45,893   

YTL Corp. Bhd

     168,759         61,426   

YTL Power International Bhd

     121,351         44,446   
     

 

 

 
Total Malaysia               931,743   
Mexico – 0.2%      

Alpek S.A. de C.V.

     12,488         16,005   

Grupo Sanborns S.A.B. de C.V.(a)

     23,158         37,005   

Infraestructura Energetica Nova S.A.B. de C.V.(a)

     6,295         25,646   

Kimberly-Clark de Mexico S.A.B. de C.V. Class A(a)

     33,367         75,272   
     

 

 

 
Total Mexico               153,928   

 

See Notes to Financial Statements.

 

68   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, 2015

 

  

 

 

Investments    Shares      Value  
Netherlands – 0.4%      

Aegon N.V.

     11,889       $ 68,147   

Delta Lloyd N.V.

     3,652         30,587   

Koninklijke Ahold N.V.

     6,714         130,479   

Koninklijke Philips N.V.

     8,322         195,496   
     

 

 

 
Total Netherlands               424,709   
New Zealand – 0.2%      

Contact Energy Ltd.

     4,067         12,878   

Fletcher Building Ltd.

     7,674         33,382   

Spark New Zealand Ltd.

     46,217         88,104   

Vector Ltd.

     18,946         38,177   
     

 

 

 
Total New Zealand               172,541   
Norway – 1.1%      

Gjensidige Forsikring ASA

     6,474         86,978   

Marine Harvest ASA*

     5,575         70,847   

Orkla ASA

     7,208         53,321   

Statoil ASA

     37,012         538,475   

Telenor ASA

     13,694         255,097   

TGS Nopec Geophysical Co. ASA(a)

     2,637         48,628   

Yara International ASA

     2,711         107,900   
     

 

 

 
Total Norway               1,161,246   
Philippines – 0.3%      

Aboitiz Equity Ventures, Inc.

     27,104         33,459   

Aboitiz Power Corp.

     70,100         64,791   

Globe Telecom, Inc.

     1,019         51,190   

Philippine Long Distance Telephone Co.

     2,470         115,732   

Semirara Mining and Power Corp.

     13,010         37,883   
     

 

 

 
Total Philippines               303,055   
Poland – 0.5%      

Bank Handlowy w Warszawie S.A.

     461         9,796   

Bank Pekao S.A.

     1,320         53,598   

Enea S.A.

     2,525         8,971   

KGHM Polska Miedz S.A.

     1,552         33,448   

Orange Polska S.A.

     20,574         39,335   

PGE Polska Grupa Energetyczna S.A.(a)

     29,473         104,481   

Polski Koncern Naftowy Orlen S.A.

     4,667         81,249   

Powszechny Zaklad Ubezpieczen S.A.

     1,106         113,347   

Tauron Polska Energia S.A.

     28,233         24,353   
     

 

 

 
Total Poland               468,578   
Portugal – 0.3%      

EDP-Energias de Portugal S.A.

     45,558         166,344   

Jeronimo Martins, SGPS, S.A.

     4,829         64,927   

Portucel S.A.

     13,732         47,518   
     

 

 

 
Total Portugal               278,789   
Russia – 2.4%      

Gazprom Neft OAO ADR

     12,758         140,338   

Gazprom PAO ADR

     102,502         412,058   

Lukoil PJSC ADR

     11,885         403,615   

MegaFon PJSC GDR Reg S

     8,320         101,088   

MMC Norilsk Nickel PJSC ADR

     24,190         347,006   

Mobile TeleSystems PJSC ADR

     19,419         140,205   
Investments    Shares      Value  

PhosAgro OAO GDR Reg S

     1,478       $ 20,396   

Rosneft OAO GDR Reg S

     123,051         454,058   

Sberbank of Russia ADR

     40,435         199,567   

Sistema JSFC GDR Reg S

     16,986         116,864   

Tatneft PAO ADR

     3,340         93,353   
     

 

 

 
Total Russia               2,428,548   
Singapore – 1.3%      

DBS Group Holdings Ltd.

     14,600         166,444   

Jardine Cycle & Carriage Ltd.

     1,600         30,404   

Keppel Corp., Ltd.(a)

     16,400         78,200   

Oversea-Chinese Banking Corp., Ltd.(a)

     14,003         86,565   

SATS Ltd.(a)

     10,220         27,528   

Sembcorp Industries Ltd.(a)

     20,632         50,205   

Sembcorp Marine Ltd.(a)

     16,720         26,928   

SIA Engineering Co., Ltd.(a)

     20,800         53,832   

Singapore Airlines Ltd.

     11,103         83,552   

Singapore Exchange Ltd.(a)

     5,982         29,576   

Singapore Press Holdings Ltd.(a)

     36,400         98,302   

Singapore Technologies Engineering Ltd.(a)

     37,400         78,382   

Singapore Telecommunications Ltd.

     158,000         400,028   

StarHub Ltd.(a)

     25,000         60,834   

United Overseas Bank Ltd.

     4,629         60,390   
     

 

 

 
Total Singapore               1,331,170   
South Africa – 1.2%      

AVI Ltd.

     7,822         49,533   

Barclays Africa Group Ltd.

     5,639         69,412   

Exxaro Resources Ltd.(a)

     4,011         15,229   

FirstRand Ltd.

     35,504         126,204   

Foschini Group Ltd. (The)

     5,184         52,612   

Imperial Holdings Ltd.

     1,037         12,715   

Liberty Holdings Ltd.

     2,323         21,211   

Massmart Holdings Ltd.

     3,645         28,497   

MTN Group Ltd.

     17,923         230,729   

Nedbank Group Ltd.

     5,145         81,750   

RMB Holdings Ltd.(a)

     11,952         56,981   

Sanlam Ltd.

     25,568         110,578   

Sasol Ltd.(a)

     5,323         149,215   

Standard Bank Group Ltd.

     5,489         53,592   

Truworths International Ltd.

     2,153         13,238   

Tsogo Sun Holdings Ltd.

     12,488         21,857   

Vodacom Group Ltd.

     16,726         166,329   
     

 

 

 
Total South Africa               1,259,682   
South Korea – 0.3%      

GS Holdings Corp.

     1,573         60,449   

KT&G Corp.

     1,049         98,679   

SK Telecom Co., Ltd.

     753         167,079   
     

 

 

 
Total South Korea               326,207   
Spain – 3.0%      

Abertis Infraestructuras S.A.

     10,885         171,685   

Acerinox S.A.(a)

     1,169         10,416   

ACS Actividades de Construccion y Servicios S.A.

     3,187         91,410   

Banco Bilbao Vizcaya Argentaria S.A.

     22,807         192,974   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      69   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Banco Santander S.A.

     182,439       $ 966,103   

CaixaBank S.A.

     51,896         199,564   

Enagas S.A.

     2,262         64,689   

Endesa S.A.

     824         17,329   

Ferrovial S.A.

     8,635         205,692   

Gas Natural SDG S.A.

     9,677         188,278   

Mapfre S.A.

     31,795         82,872   

Red Electrica Corp. S.A.

     1,251         103,531   

Repsol S.A.

     10,807         125,579   

Tecnicas Reunidas S.A.

     532         23,478   

Telefonica S.A.

     53,686         649,009   
     

 

 

 
Total Spain               3,092,609   
Sweden – 2.6%      

Axfood AB

     4,406         72,496   

Electrolux AB Series B

     2,866         80,645   

Hennes & Mauritz AB Class B

     12,981         473,145   

ICA Gruppen AB(a)

     1,856         62,626   

Nordea Bank AB

     31,998         355,574   

Sandvik AB

     3,903         33,134   

Securitas AB Class B

     2,952         35,936   

Skandinaviska Enskilda Banken AB Class A

     20,326         216,540   

Skanska AB Class B

     7,843         153,268   

Svenska Handelsbanken AB Class A

     16,305         233,094   

Swedbank AB Class A

     10,071         222,024   

Tele2 AB Class B

     8,656         84,062   

Telefonaktiebolaget LM Ericsson Class B

     22,735         222,822   

TeliaSonera AB

     36,934         198,342   

Volvo AB Class B

     16,308         155,748   
     

 

 

 
Total Sweden               2,599,456   
Switzerland – 3.6%      

ABB Ltd. Registered Shares*

     13,081         230,534   

Adecco S.A. Registered Shares*

     1,036         75,545   

Kuehne + Nagel International AG Registered Shares

     990         126,853   

Nestle S.A. Registered Shares

     21,043         1,577,525   

SGS S.A. Registered Shares

     75         130,488   

STMicroelectronics N.V.(a)

     8,187         55,655   

Swiss Re AG

     5,446         465,956   

Swisscom AG Registered Shares

     637         316,968   

Syngenta AG Registered Shares

     830         265,114   

Transocean Ltd.(a)

     4,283         54,748   

Zurich Insurance Group AG*

     1,384         338,812   
     

 

 

 
Total Switzerland               3,638,198   
Taiwan – 1.5%      

Advanced Semiconductor Engineering, Inc.

     66,108         70,871   

Asia Cement Corp.

     98,514         96,337   

Asustek Computer, Inc.

     9,486         81,385   

Cheng Shin Rubber Industry Co., Ltd.

     31,197         51,162   

Chicony Electronics Co., Ltd.

     5,690         13,099   

Far Eastern New Century Corp.

     109,994         97,876   

Far EasTone Telecommunications Co., Ltd.

     18,000         38,813   

Formosa Chemicals & Fibre Corp.

     21,000         42,603   

Formosa Petrochemical Corp.

     75,267         178,981   

Fubon Financial Holding Co., Ltd.

     12,195         18,999   
Investments    Shares      Value  

Inventec Corp.

     48,841       $ 23,139   

Lite-On Technology Corp.

     38,363         35,185   

MediaTek, Inc.

     5,389         39,852   

Mega Financial Holding Co., Ltd.

     110,611         76,590   

Novatek Microelectronics Corp.

     5,141         16,082   

Pegatron Corp.

     16,680         40,627   

Pou Chen Corp.

     48,000         71,940   

Quanta Computer, Inc.

     59,210         102,677   

Ruentex Industries Ltd.

     9,828         17,401   

Siliconware Precision Industries Co., Ltd.

     48,000         59,549   

Synnex Technology International Corp.

     65,000         64,748   

Taiwan Cement Corp.

     73,000         73,937   

Taiwan Mobile Co., Ltd.

     30,800         94,007   

Wistron Corp.

     19,972         10,402   

WPG Holdings Ltd.

     36,232         34,881   

Yulon Nissan Motor Co., Ltd.

     3,104         23,378   
     

 

 

 
Total Taiwan               1,474,521   
Thailand – 0.7%      

Advanced Info Service PCL

     33,141         206,360   

Banpu PCL NVDR

     102,491         56,477   

BEC World PCL NVDR

     18,989         16,742   

Electricity Generating PCL NVDR

     3,564         15,024   

Intouch Holdings PCL NVDR

     28,671         57,468   

Krung Thai Bank PCL NVDR

     42,200         19,882   

PTT Global Chemical PCL NVDR

     65,436         96,906   

PTT PCL NVDR

     25,100         165,973   

Ratchaburi Electricity Generating Holding PCL NVDR

     17,228         25,395   

Thai Oil PCL NVDR

     54,612         79,371   
     

 

 

 
Total Thailand               739,598   
Turkey – 0.2%      

Arcelik AS

     8,351         40,683   

Emlak Konut Gayrimenkul Yatirim Ortakligi AS

     69,761         57,832   

Eregli Demir ve Celik Fabrikalari TAS

     38,872         47,888   

TAV Havalimanlari Holding AS

     2,844         22,308   

Tofas Turk Otomobil Fabrikasi AS

     7,387         43,794   

Turk Telekomunikasyon AS

     10,315         20,339   
     

 

 

 
Total Turkey               232,844   
United Kingdom – 15.2%      

Aberdeen Asset Management PLC

     10,534         47,311   

Amec Foster Wheeler PLC

     2,445         26,536   

Anglo American PLC

     14,105         117,703   

Antofagasta PLC

     23,999         181,653   

Ashmore Group PLC(a)

     4,265         15,925   

AstraZeneca PLC

     11,104         703,319   

Aviva PLC

     23,077         158,001   

BAE Systems PLC

     36,778         249,411   

Berkeley Group Holdings PLC

     2,094         105,941   

BHP Billiton PLC

     23,681         360,501   

BP PLC

     263,552         1,333,379   

British American Tobacco PLC

     18,156         1,001,891   

British Land Co. PLC (The)

     12,780         162,321   

BT Group PLC

     55,033         349,784   

Carillion PLC(a)

     3,652         16,690   

 

See Notes to Financial Statements.

 

70   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, 2015

 

  

 

 

Investments    Shares      Value  

Centrica PLC

     66,554       $ 231,063   

CNH Industrial N.V.

     5,021         32,647   

Cobham PLC

     5,614         24,295   

Croda International PLC

     1,731         71,031   

DS Smith PLC

     7,494         44,714   

G4S PLC

     6,818         23,826   

GlaxoSmithKline PLC

     62,487         1,198,297   

Hargreaves Lansdown PLC

     2,162         39,528   

HSBC Holdings PLC

     151,236         1,142,445   

ICAP PLC

     11,693         80,979   

IG Group Holdings PLC

     7,308         85,182   

IMI PLC

     1,335         19,180   

Imperial Tobacco Group PLC

     9,999         516,932   

Inmarsat PLC

     9,065         134,840   

Intu Properties PLC

     2,395         11,957   

J Sainsbury PLC(a)

     27,344         108,104   

Kingfisher PLC

     18,472         100,338   

Legal & General Group PLC

     75,280         271,506   

Man Group PLC

     27,513         63,847   

Marks & Spencer Group PLC

     16,224         123,122   

Melrose Industries PLC

     7,423         29,707   

Mondi PLC

     1,838         38,504   

National Grid PLC

     40,889         569,136   

Old Mutual PLC

     39,669         113,628   

Pearson PLC

     6,539         111,629   

Pennon Group PLC

     4,566         53,740   

Persimmon PLC*

     2,446         74,398   

RELX N.V.

     11,216         182,414   

Rexam PLC

     6,158         48,831   

Rio Tinto PLC

     11,903         398,465   

Royal Dutch Shell PLC Class A

     39,915         939,568   

Sage Group PLC (The)

     8,885         67,212   

Segro PLC

     21,387         139,141   

Severn Trent PLC

     3,597         118,996   

Sky PLC

     14,071         222,519   

Smiths Group PLC

     1,784         27,158   

SSE PLC

     12,537         284,097   

Standard Chartered PLC

     16,610         161,225   

Standard Life PLC

     24,955         146,591   

TalkTalk Telecom Group PLC(a)

     10,458         49,821   

Tate & Lyle PLC

     5,499         48,978   

Unilever N.V. CVA

     11,616         465,363   

Unilever PLC

     10,248         416,952   

United Utilities Group PLC

     11,226         157,292   

Vedanta Resources PLC(a)

     3,774         24,307   

Vodafone Group PLC

     410,799         1,297,096   

William Hill PLC

     5,282         28,067   

WM Morrison Supermarkets PLC

     39,640         99,734   
     

 

 

 
Total United Kingdom               15,468,768   
United States – 24.0%      

AGL Resources, Inc.

     2,004         122,324   

Alliant Energy Corp.

     212         12,400   

Altria Group, Inc.

     19,079         1,037,898   

Ameren Corp.

     3,180         134,419   
Investments    Shares      Value  

American Campus Communities, Inc.

     420       $ 15,221   

American Eagle Outfitters, Inc.

     960         15,005   

American Electric Power Co., Inc.

     5,703         324,273   

AT&T, Inc.

     53,987         1,758,896   

AvalonBay Communities, Inc.

     507         88,634   

CA, Inc.

     2,729         74,502   

Cablevision Systems Corp. Class A

     3,592         116,632   

CBL & Associates Properties, Inc.

     812         11,165   

CenterPoint Energy, Inc.

     2,703         48,762   

CenturyLink, Inc.

     7,172         180,161   

Chevron Corp.

     14,288         1,127,037   

Cincinnati Financial Corp.

     2,160         116,208   

CME Group, Inc.

     2,236         207,367   

Coach, Inc.

     2,049         59,278   

ConAgra Foods, Inc.

     1,593         64,532   

ConocoPhillips

     11,091         531,924   

Consolidated Edison, Inc.

     2,843         190,055   

CVR Energy, Inc.

     1,330         54,597   

Darden Restaurants, Inc.

     436         29,883   

Diebold, Inc.

     974         28,996   

Digital Realty Trust, Inc.

     960         62,707   

Dominion Resources, Inc.

     4,300         302,634   

DTE Energy Co.

     1,579         126,904   

Duke Energy Corp.

     5,967         429,266   

Eli Lilly & Co.

     7,947         665,084   

Entergy Corp.

     1,463         95,241   

Equity One, Inc.

     537         13,071   

Equity Residential

     1,097         82,407   

Eversource Energy

     1,484         75,120   

Exelon Corp.

     7,662         227,561   

FirstEnergy Corp.

     2,524         79,026   

Ford Motor Co.

     24,561         333,293   

Frontier Communications Corp.

     21,098         100,216   

GameStop Corp. Class A(a)

     358         14,753   

General Electric Co.

     69,824         1,760,961   

General Mills, Inc.

     2,941         165,078   

Great Plains Energy, Inc.

     3,483         94,111   

Hancock Holding Co.

     2,765         74,793   

Hawaiian Electric Industries, Inc.

     2,653         76,115   

HCP, Inc.

     3,326         123,893   

HollyFrontier Corp.

     3,841         187,594   

Hospitality Properties Trust

     3,690         94,390   

Iron Mountain, Inc.

     1,307         40,543   

Kimberly-Clark Corp.

     1,273         138,808   

Kimco Realty Corp.

     5,875         143,526   

Kinder Morgan, Inc.

     9,630         266,558   

Kraft Heinz Co. (The)

     4,461         314,857   

Leggett & Platt, Inc.

     3,715         153,244   

Leidos Holdings, Inc.

     348         14,376   

Lexington Realty Trust

     2,367         19,173   

Liberty Property Trust

     1,274         40,144   

Lockheed Martin Corp.

     2,928         607,004   

Macerich Co. (The)

     1,852         142,271   

Mattel, Inc.

     3,083         64,928   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      71   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Global High Dividend Fund (DEW)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Maxim Integrated Products, Inc.

     1,945       $ 64,963   

McDonald’s Corp.

     6,666         656,801   

Medical Properties Trust, Inc.

     934         10,330   

Merck & Co., Inc.

     19,424         959,351   

Microchip Technology, Inc.

     707         30,465   

New York Community Bancorp, Inc.

     6,338         114,464   

NextEra Energy, Inc.

     1,936         188,857   

Old Republic International Corp.

     4,198         65,657   

Omega Healthcare Investors, Inc.

     1,093         38,419   

Paychex, Inc.

     5,357         255,154   

PBF Energy, Inc. Class A

     1,043         29,444   

Pepco Holdings, Inc.

     3,501         84,794   

Pfizer, Inc.

     48,037         1,508,842   

PG&E Corp.

     2,804         148,051   

Philip Morris International, Inc.

     13,893         1,102,132   

Piedmont Natural Gas Co., Inc.(a)

     1,429         57,260   

Pinnacle West Capital Corp.

     1,380         88,513   

Plum Creek Timber Co., Inc.

     2,191         86,566   

PPL Corp.

     5,819         191,387   

Prologis, Inc.

     2,180         84,802   

Public Service Enterprise Group, Inc.

     4,515         190,352   

Public Storage

     702         148,564   

R.R. Donnelley & Sons Co.

     3,483         50,712   

Rayonier, Inc.

     1,195         26,374   

Realty Income Corp.

     1,360         64,450   

Reynolds American, Inc.

     14,480         641,030   

SCANA Corp.

     2,218         124,785   

Senior Housing Properties Trust

     3,696         59,875   

Six Flags Entertainment Corp.

     986         45,139   

Southern Co. (The)

     7,458         333,373   

Spectra Energy Corp.

     6,101         160,273   

Spirit Realty Capital, Inc.

     4,726         43,196   

Staples, Inc.

     4,072         47,765   

Sysco Corp.

     4,922         191,810   

TECO Energy, Inc.

     6,604         173,421   

UDR, Inc.

     1,598         55,099   

UIL Holdings Corp.

     478         24,029   

Ventas, Inc.

     1,890         105,953   

Verizon Communications, Inc.

     36,639         1,594,163   

Vornado Realty Trust

     1,332         120,439   

W.P. Carey, Inc.

     491         28,385   

Waste Management, Inc.

     4,117         205,068   

WEC Energy Group, Inc.

     2,815         146,999   

Welltower, Inc.

     3,110         210,609   

Western Union Co. (The)

     1,996         36,647   

Weyerhaeuser Co.

     1,309         35,788   

WGL Holdings, Inc.

     278         16,032   

Williams Cos., Inc. (The)

     4,688         172,753   

Windstream Holdings, Inc.(a)

     1,906         11,703   

Xcel Energy, Inc.

     3,060         108,355   
     

 

 

 
Total United States               24,419,212   
TOTAL COMMON STOCKS
(Cost: $106,901,196)
              100,771,052   
Investments    Shares      Value  
EXCHANGE-TRADED FUNDS – 0.4%      
United States – 0.4%      

WisdomTree High Dividend Fund(b)

     1,969       $ 109,319   
WisdomTree International High Dividend Fund(b)      8,767         328,149   
TOTAL EXCHANGE-TRADED FUNDS
(Cost: $437,108)
              437,468   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 4.3%   
United States – 4.3%      

State Street Navigator
Securities Lending Prime
Portfolio, 0.20%(c)

(Cost: $4,343,126)(d)

     4,343,126         4,343,126   
TOTAL INVESTMENTS IN SECURITIES – 103.9%
(Cost: $111,681,430)
        105,551,646   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (3.9)%

        (3,970,477
     

 

 

 
NET ASSETS – 100.0%             $ 101,581,169   

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 8).

 

(c)

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d)

At September 30, 2015, the total market value of the Fund’s securities on loan was $4,686,111 and the total market value of the collateral held by the Fund was $4,942,360. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $599,234.

 

ADR     American Depositary Receipt
CVA     Certificaten Van Aandelen (Certificate of Stock)
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.

 

72   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Global Natural Resources Fund (GNAT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Australia – 7.9%      

BHP Billiton Ltd.

     14,657       $ 228,708   

Fortescue Metals Group Ltd.(a)

     233,739         298,741   

Rio Tinto Ltd.

     8,692         296,652   

Woodside Petroleum Ltd.

     19,370         393,523   
     

 

 

 
Total Australia               1,217,624   
Brazil – 1.9%      

Petroleo Brasileiro S.A.*

     32,074         68,788   

Vale S.A.

     52,608         219,049   
     

 

 

 
Total Brazil               287,837   
Canada – 8.2%      

Agrium, Inc.(a)

     3,140         280,110   

Cameco Corp.

     10,062         122,107   

Canadian Natural Resources Ltd.

     4,801         93,069   

Crescent Point Energy Corp.(a)

     15,791         179,853   

Encana Corp.

     5,873         37,629   

First Quantum Minerals Ltd.(a)

     3,178         11,591   

Imperial Oil Ltd.(a)

     1,789         56,418   

Potash Corp. of Saskatchewan, Inc.

     10,456         213,924   

Suncor Energy, Inc.

     5,794         154,239   

Teck Resources Ltd. Class B

     21,563         102,451   
     

 

 

 
Total Canada               1,251,391   
China – 3.5%      

China Oilfield Services Ltd. Class H(a)

     88,000         87,886   

China Shenhua Energy Co., Ltd. Class H

     155,000         236,798   

CNOOC Ltd.(a)

     200,618         205,276   
     

 

 

 
Total China               529,960   
France – 2.8%      

Technip S.A.

     2,896         136,305   

Total S.A.

     6,642         298,048   
     

 

 

 
Total France               434,353   
Germany – 0.8%      

K+S AG Registered Shares

     3,601         120,287   
Indonesia – 0.3%      

Charoen Pokphand Indonesia Tbk PT

     291,700         39,822   
Israel – 1.2%      

Israel Chemicals Ltd.

     34,530         177,537   
Italy – 2.3%      

Eni SpA

     22,558         353,784   
Japan – 2.1%      

Mitsubishi Materials Corp.(a)

     52,000         157,174   

Sumitomo Metal Mining Co., Ltd.(a)

     15,000         169,332   
     

 

 

 
Total Japan               326,506   
Malaysia – 2.4%      

IOI Corp. Bhd

     226,400         209,623   

Kuala Lumpur Kepong Bhd

     30,100         148,591   

SapuraKencana Petroleum Bhd

     23,800         10,179   
     

 

 

 
Total Malaysia               368,393   
Investments    Shares      Value  
Mexico – 1.6%      

Grupo Mexico S.A.B. de C.V. Series B(a)

     54,057       $ 130,527   

Industrias Penoles S.A.B. de C.V.(a)

     9,052         123,083   
     

 

 

 
Total Mexico               253,610   
Norway – 3.0%      

Statoil ASA

     16,749         243,675   

Yara International ASA

     5,441         216,556   
     

 

 

 
Total Norway               460,231   
Poland – 1.2%      

KGHM Polska Miedz S.A.

     8,477         182,691   
Russia – 12.4%      

Gazprom PAO ADR

     62,952         253,067   

Lukoil PJSC ADR

     10,081         342,351   

MMC Norilsk Nickel PJSC ADR

     30,545         438,168   

NovaTek OAO GDR Reg S

     1,868         172,790   

Novolipetsk Steel OJSC GDR Reg S

     14,088         161,308   

Rosneft OAO GDR Reg S

     81,848         302,019   

Tatneft PAO ADR

     8,417         235,255   
     

 

 

 
Total Russia               1,904,958   
Singapore – 1.0%      

Wilmar International Ltd.(a)

     81,400         147,126   
South Africa – 1.8%      

Exxaro Resources Ltd.(a)

     32,327         122,743   

Sasol Ltd.(a)

     5,666         158,830   
     

 

 

 
Total South Africa               281,573   
South Korea – 0.7%      

Korea Zinc Co., Ltd.

     288         113,105   
Spain – 1.4%      

Repsol S.A.

     18,260         212,184   
Sweden – 0.8%      

Boliden AB

     8,081         126,027   
Switzerland – 3.7%      

Syngenta AG Registered Shares

     879         280,765   

Transocean Ltd.(a)

     22,010         281,348   
     

 

 

 
Total Switzerland               562,113   
Thailand – 2.0%      

PTT Exploration & Production PCL

     59,041         113,869   

PTT PCL NVDR

     28,600         189,117   
     

 

 

 
Total Thailand               302,986   
United Kingdom – 17.2%      

Amec Foster Wheeler PLC

     20,917         227,016   

Anglo American PLC

     16,147         134,743   

Antofagasta PLC

     63,834         483,173   

BG Group PLC

     8,650         124,606   

BHP Billiton PLC

     15,174         230,997   

BP PLC

     66,919         338,561   

Fresnillo PLC

     7,011         62,817   

John Wood Group PLC

     16,119         150,160   

Rio Tinto PLC

     7,597         254,317   

Royal Dutch Shell PLC Class A

     10,186         239,770   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      73   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Global Natural Resources Fund (GNAT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Royal Dutch Shell PLC Class B

     10,783       $ 255,293   

Vedanta Resources PLC(a)

     21,524         138,630   
     

 

 

 
Total United Kingdom               2,640,083   
United States – 19.0%      

Anadarko Petroleum Corp.

     835         50,426   

Apache Corp.

     1,025         40,139   

Archer-Daniels-Midland Co.

     3,046         126,257   

Baker Hughes, Inc.

     1,363         70,930   

Cabot Oil & Gas Corp.

     654         14,296   

CF Industries Holdings, Inc.

     2,699         121,185   

Chevron Corp.

     2,451         193,335   

ConocoPhillips

     4,279         205,221   

CONSOL Energy, Inc.

     1,927         18,885   

Devon Energy Corp.

     1,876         69,581   

Diamond Offshore Drilling, Inc.(a)

     21,968         380,046   

EOG Resources, Inc.

     399         29,047   

EQT Corp.

     130         8,420   

Exxon Mobil Corp.

     2,499         185,801   

Freeport-McMoRan, Inc.

     10,239         99,216   

Halliburton Co.

     1,331         47,051   

Helmerich & Payne, Inc.

     2,406         113,708   

Hess Corp.

     1,192         59,672   

Ingredion, Inc.

     2,457         214,521   

Marathon Oil Corp.

     5,074         78,140   

Monsanto Co.

     1,133         96,690   

Mosaic Co. (The)

     4,636         144,226   

National Oilwell Varco, Inc.

     2,197         82,717   

Noble Energy, Inc.

     1,369         41,316   

Occidental Petroleum Corp.

     2,596         171,725   

Oceaneering International, Inc.

     1,990         78,167   

Patterson-UTI Energy, Inc.

     3,284         43,152   

Pioneer Natural Resources Co.

     35         4,257   

Southern Copper Corp.(a)

     4,449         118,877   
     

 

 

 
Total United States               2,907,004   

TOTAL COMMON STOCKS

(Cost: $26,264,274)

              15,201,185   
EXCHANGE-TRADED FUNDS AND NOTES – 0.4%      
United States – 0.4%      

iPath MSCI India Index ETN*

     562         37,193   

WisdomTree Global High Dividend Fund(b)

     732         28,138   

TOTAL EXCHANGE-TRADED FUNDS AND NOTES

(Cost: $58,694)

  

  

     65,331   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 14.5%   
United States – 14.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

(Cost: $2,221,104)(d)

     2,221,104         2,221,104   
Investments    Shares    Value  

TOTAL INVESTMENTS IN SECURITIES – 114.1%

(Cost: $28,544,072)

   $ 17,487,620   

Liabilities in Excess of Cash, Foreign Currency and Other Assets – (14.1)%

        (2,154,706
     

 

 

 
NET ASSETS – 100.0%         $ 15,332,914   

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 8).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $2,333,218 and the total market value of the collateral held by the Fund was $2,448,846. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $227,742.

 

ADR     American Depositary Receipt
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.

 

74   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree India Earnings Fund (EPI) (consolidated)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
India – 99.7%      
Aerospace & Defense – 0.3%      

Bharat Electronics Ltd.

     253,182       $ 4,379,578   
Air Freight & Logistics – 0.0%      

Allcargo Logistics Ltd.

     80,426         367,210   
Auto Components – 1.2%      

Apollo Tyres Ltd.

     1,653,779         4,533,783   

Balkrishna Industries Ltd.

     245,152         2,502,874   

Bharat Forge Ltd.

     347,695         4,807,291   

Bosch Ltd.

     8,189         2,418,624   

Castex Technologies Ltd.

     442,388         148,608   

Ceat Ltd.

     50,419         984,684   

Exide Industries Ltd.

     604,759         1,434,045   

JK Tyre & Industries Ltd.

     678,861         1,054,386   

Motherson Sumi Systems Ltd.

     538,638         1,890,239   

Tube Investments of India Ltd.

     183,374         1,141,897   
     

 

 

 
Total Auto Components               20,916,431   
Automobiles – 5.8%      

Bajaj Auto Ltd.

     280,753         9,889,229   

Hero MotoCorp Ltd.

     315,059         11,493,126   

Mahindra & Mahindra Ltd.

     1,074,881         20,695,226   

Tata Motors Ltd.*

     12,376,565         56,301,680   

TVS Motor Co., Ltd.

     252,230         883,996   
     

 

 

 
Total Automobiles               99,263,257   
Banks – 12.7%      

Allahabad Bank

     160,553         187,728   

Andhra Bank

     2,149,549         2,194,086   

Axis Bank Ltd.

     5,335,858         40,291,256   

Bank of Baroda

     3,073,288         8,577,489   

Bank of India

     1,170,091         2,417,190   

Canara Bank

     1,721,669         7,338,863   

Central Bank of India

     680,490         860,979   

City Union Bank Ltd.

     878,700         1,230,903   

DCB Bank Ltd.*

     708,130         1,543,236   

Federal Bank Ltd.

     6,145,983         5,987,745   

ICICI Bank Ltd.

     15,600,656         64,254,073   

IDBI Bank Ltd.

     3,020,755         3,624,078   

Indian Bank

     1,098,241         2,267,924   

IndusInd Bank Ltd.

     667,183         9,579,321   

Jammu & Kashmir Bank Ltd. (The)

     867,652         1,190,973   

Karnataka Bank Ltd. (The)

     1,541,637         2,971,010   

Karur Vysya Bank Ltd. (The)

     354,015         2,412,145   

Lakshmi Vilas Bank Ltd. (The)

     367,552         473,719   

Oriental Bank of Commerce

     37,763         75,048   

South Indian Bank Ltd. (The)

     7,337,667         2,531,965   

State Bank of India

     10,137,051         36,624,035   

Syndicate Bank

     1,730,450         2,173,607   

UCO Bank

     5,350,968         3,778,449   

Union Bank of India

     1,277,295         3,409,233   

Yes Bank Ltd.

     983,079         10,928,591   
     

 

 

 
Total Banks               216,923,646   
Investments    Shares      Value  
Biotechnology – 0.1%      

Biocon Ltd.

     121,245       $ 821,230   
Building Products – 0.3%      

Kajaria Ceramics Ltd.

     69,349         842,669   

Sintex Industries Ltd.

     2,768,034         4,440,493   
     

 

 

 
Total Building Products               5,283,162   
Capital Markets – 0.2%      

Edelweiss Financial Services Ltd.

     1,334,117         1,175,787   

JM Financial Ltd.

     1,112,746         737,423   

PTC India Financial Services Ltd.

     914,162         629,496   
     

 

 

 
Total Capital Markets               2,542,706   
Chemicals – 1.8%      

Aarti Industries

     64,409         539,931   

Akzo Nobel India Ltd.

     25,771         542,392   

Asian Paints Ltd.

     599,517         7,686,678   

Atul Ltd.

     34,380         814,718   

Bayer CropScience Ltd.

     16,235         902,979   

Berger Paints India Ltd.

     234,774         785,620   

Castrol India Ltd.

     229,068         1,544,394   

Chambal Fertilizers and Chemicals Ltd.

     1,344,865         1,201,650   

Godrej Industries Ltd.

     236,259         1,252,921   

Gujarat Fluorochemicals Ltd.

     103,507         1,084,584   

Gujarat Narmada Valley Fertilizers & Chemicals Ltd.*

     29         26   

Jindal Poly Films Ltd.

     108,164         730,239   

Kansai Nerolac Paints Ltd.

     189,120         694,938   

Monsanto India Ltd.

     8,318         330,103   

PI Industries Ltd.

     98,607         956,927   

Pidilite Industries Ltd.

     167,138         1,445,907   

Rallis India Ltd.

     193,892         647,636   

Rashtriya Chemicals & Fertilizers Ltd.

     1,601,078         1,165,928   

Tata Chemicals Ltd.

     323,044         1,878,764   

UPL Ltd.

     914,261         6,383,392   
     

 

 

 
Total Chemicals               30,589,727   
Construction & Engineering – 1.4%      

Ahluwalia Contracts Ltd.*

     65,107         265,923   

Ashoka Buildcon Ltd.

     71,182         182,401   

Engineers India Ltd.

     47,748         139,047   

IRB Infrastructure Developers Ltd.

     1,231,438         4,452,800   

KEC International Ltd.

     176,854         382,726   

Larsen & Toubro Ltd.

     648,302         14,481,609   

NCC Ltd.

     632,212         720,436   

Voltas Ltd.

     666,185         2,722,996   
     

 

 

 
Total Construction & Engineering               23,347,938   
Construction Materials – 1.0%      

ACC Ltd.

     115,836         2,376,632   

Ambuja Cements Ltd.

     2,023,885         6,345,453   

Ramco Cements Ltd. (The)

     217,656         1,084,632   

UltraTech Cement Ltd.

     193,558         7,883,272   
     

 

 

 
Total Construction Materials               17,689,989   
Consumer Finance – 1.5%      

Bajaj Finance Ltd.

     65,382         5,111,082   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      75   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree India Earnings Fund (EPI) (consolidated)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Cholamandalam Investment and Finance
Co., Ltd.

     78,305       $ 777,026   

Mahindra & Mahindra Financial Services Ltd.

     1,099,818         4,010,381   

Manappuram Finance Ltd.

     5,252,093         1,924,327   

Muthoot Finance Ltd.

     539,682         1,350,027   

Shriram City Union Finance Ltd.

     54,386         1,413,464   

Shriram Transport Finance Co., Ltd.

     635,926         8,961,965   

SKS Microfinance Ltd.*

     165,211         1,020,739   

Sundaram Finance Ltd.

     59,761         1,398,065   
     

 

 

 
Total Consumer Finance               25,967,076   
Containers & Packaging – 0.0%      

HSIL Ltd.

     100,955         413,263   
Diversified Financial Services – 2.9%      

Bajaj Holdings & Investment Ltd.

     113,167         2,708,233   

Credit Analysis & Research Ltd.

     72,297         1,233,367   

CRISIL Ltd.

     13,419         374,777   

IFCI Ltd.

     10,429,061         3,431,867   

L&T Finance Holdings Ltd.

     2,423,085         2,464,060   

Power Finance Corp., Ltd.

     4,433,074         15,540,072   

Rural Electrification Corp., Ltd.

     5,364,150         22,395,571   

Srei Infrastructure Finance Ltd.

     1,330,588         890,910   
     

 

 

 
Total Diversified Financial Services               49,038,857   
Diversified Telecommunication Services – 0.1%      

Himachal Futuristic Communications Ltd.*

     8,126,391         2,036,550   
Electric Utilities – 1.0%      

CESC Ltd.

     275,690         2,170,786   

Reliance Infrastructure Ltd.

     2,358,913         12,502,526   

Tata Power Co., Ltd.

     1,306,409         1,292,676   

Torrent Power Ltd.

     550,562         1,494,251   
     

 

 

 
Total Electric Utilities               17,460,239   
Electrical Equipment – 0.6%      

ABB India Ltd.

     32,722         528,293   

Amara Raja Batteries Ltd.

     101,252         1,588,271   

Bharat Heavy Electricals Ltd.

     1,405,353         4,400,827   

Crompton Greaves Ltd.

     309,295         804,572   

Havells India Ltd.

     844,511         3,245,398   
     

 

 

 
Total Electrical Equipment               10,567,361   
Electronic Equipment, Instruments & Components – 0.2%      

Redington India Ltd.

     1,544,758         2,592,247   
Energy Equipment & Services – 0.2%      

Aban Offshore Ltd.

     796,074         2,784,561   

Global Offshore Services Ltd.*

     86,559         871,392   
     

 

 

 
Total Energy Equipment & Services               3,655,953   
Food Products – 0.5%      

Britannia Industries Ltd.

     46,059         2,162,612   

KRBL Ltd.

     731,278         1,767,478   

Nestle India Ltd.

     39,177         3,800,509   

Tata Global Beverages Ltd.

     799,177         1,555,985   
     

 

 

 
Total Food Products               9,286,584   
Investments    Shares      Value  
Gas Utilities – 0.8%      

GAIL India Ltd.

     1,891,929       $ 8,713,134   

Gujarat Gas Ltd.*

     36,105         285,254   

Gujarat State Petronet Ltd.

     1,351,613         2,423,596   

Indraprastha Gas Ltd.

     288,974         2,101,929   
     

 

 

 
Total Gas Utilities               13,523,913   
Health Care Providers & Services – 0.2%      

Apollo Hospitals Enterprise Ltd.

     147,457         3,238,483   
Hotels, Restaurants & Leisure – 0.0%      

Jubilant Foodworks Ltd.

     22,021         537,223   
Household Durables – 0.0%      

Symphony Ltd.

     9,281         260,070   

Whirlpool of India Ltd.*

     44,807         447,353   
     

 

 

 
Total Household Durables               707,423   
Household Products – 1.2%      

Hindustan Unilever Ltd.

     1,665,322         20,670,644   

Jyothy Laboratories Ltd.

     69,503         336,662   
     

 

 

 
Total Household Products               21,007,306   
Independent Power and Renewable Electricity Producers – 2.9%      

Jaiprakash Power Ventures Ltd.*

     10,624,191         1,132,988   

JSW Energy Ltd.

     3,597,722         5,163,093   

NHPC Ltd.

     17,201,228         4,336,995   

NTPC Ltd.

     16,606,173         31,307,342   

PTC India Ltd.

     2,761,147         2,504,971   

Reliance Power Ltd.*

     6,905,544         4,523,741   
     

 

 

 
Total Independent Power and
Renewable Electricity Producers
         48,969,130   
Industrial Conglomerates – 0.6%      

Aditya Birla Nuvo Ltd.

     181,311         5,922,301   

Siemens Ltd.

     174,335         3,521,626   
     

 

 

 
Total Industrial Conglomerates               9,443,927   
Insurance – 0.4%      

Bajaj Finserv Ltd.

     214,232         5,644,641   

Max India Ltd.

     135,480         1,056,348   
     

 

 

 
Total Insurance               6,700,989   
Internet Software & Services – 0.1%      

Just Dial Ltd.

     81,143         1,215,847   
IT Services – 18.6%      

CMC Ltd.

     36,162         1,119,595   

eClerx Services Ltd.

     68,348         1,652,316   

HCL Technologies Ltd.

     2,649,317         39,640,870   

Hexaware Technologies Ltd.

     586,011         2,210,040   

Infosys Ltd.

     8,405,170         148,787,131   

Mindtree Ltd.

     282,038         6,507,198   

Mphasis Ltd.

     509,756         3,185,975   

Persistent Systems Ltd.

     86,570         877,899   

Polaris Consulting & Services Ltd.

     469,508         1,415,534   

Rolta India Ltd.

     1,215,980         1,885,843   

Sonata Software Ltd.

     207,219         478,271   

Tata Consultancy Services Ltd.

     1,575,625         62,123,648   

 

See Notes to Financial Statements.

 

76   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, 2015

 

  

 

 

Investments    Shares      Value  

Tech Mahindra Ltd.

     1,942,201       $ 16,491,251   

Vakrangee Ltd.

     1,214,086         2,368,430   

Wipro Ltd.

     3,151,551         28,704,369   
     

 

 

 
Total IT Services               317,448,370   
Life Sciences Tools & Services – 0.2%      

Dishman Pharmaceuticals & Chemicals Ltd.

     69,427         338,145   

Divi’s Laboratories Ltd.

     132,189         2,245,340   
     

 

 

 
Total Life Sciences Tools & Services               2,583,485   
Machinery – 0.7%      

AIA Engineering Ltd.

     132,969         2,008,918   

Cummins India Ltd.

     230,457         3,845,865   

Eicher Motors Ltd.

     11,829         3,206,229   

Escorts Ltd.

     402,928         937,649   

Jain Irrigation Systems Ltd.

     836,961         817,962   

Thermax Ltd.

     36,392         472,253   
     

 

 

 
Total Machinery               11,288,876   
Marine – 0.1%      
Shipping Corp. of India Ltd.*      788,512         906,957   
Media – 0.7%      

Eros International Media Ltd.*

     93,924         750,648   

Jagran Prakashan Ltd.

     462,286         1,001,127   

Sun TV Network Ltd.

     371,519         2,033,336   

Zee Entertainment Enterprises Ltd.

     1,427,724         8,536,110   
     

 

 

 
Total Media               12,321,221   
Metals & Mining – 2.7%      

Hindalco Industries Ltd.

     2,618,497         2,824,339   

Hindustan Copper Ltd.

     328,847         267,025   

Hindustan Zinc Ltd.

     3,649,791         7,773,321   

JSW Steel Ltd.

     761,695         10,318,971   

National Aluminium Co., Ltd.

     6,916,950         3,704,004   

NMDC Ltd.

     9,379,301         13,303,061   

Steel Authority of India Ltd.

     7,944,724         6,215,137   

Welspun Corp., Ltd.

     492,533         861,407   
     

 

 

 
Total Metals & Mining               45,267,265   
Multiline Retail – 0.0%      
Future Retail Ltd.      374,014         694,011   
Oil, Gas & Consumable Fuels – 17.0%      

Aegis Logistics Ltd.

     262,730         353,429   

Bharat Petroleum Corp., Ltd.

     1,276,558         16,544,301   

Cairn India Ltd.

     5,499,255         12,847,513   

Coal India Ltd.

     7,128,969         35,579,681   

Essar Oil Ltd.*

     686,239         2,068,962   

Great Eastern Shipping Co., Ltd. (The)

     664,419         3,737,104   

Hindustan Petroleum Corp., Ltd.

     521,856         6,153,115   

Indian Oil Corp., Ltd.

     1,197,131         7,335,254   

Oil & Natural Gas Corp., Ltd.

     15,244,080         53,263,707   

Reliance Industries Ltd.

     11,601,727         152,409,646   
     

 

 

 
Total Oil, Gas & Consumable Fuels               290,292,712   
Paper & Forest Products – 0.0%      
Century Plyboards India Ltd.      194,196         460,491   
Investments    Shares      Value  
Personal Products – 0.9%      

Bajaj Corp., Ltd.

     163,546       $ 1,118,337   

Colgate-Palmolive India Ltd.

     136,194         1,994,981   

Dabur India Ltd.

     1,114,405         4,685,798   

Emami Ltd.

     50,616         888,787   

Godrej Consumer Products Ltd.

     266,328         4,949,424   

Marico Ltd.

     403,960         2,487,517   
     

 

 

 
Total Personal Products               16,124,844   
Pharmaceuticals – 5.7%      

Ajanta Pharma Ltd.

     17,793         401,115   

Aurobindo Pharma Ltd.

     1,056,731         12,383,265   

Cadila Healthcare Ltd.

     163,549         5,211,692   

Cipla Ltd.

     765,492         7,417,599   

Divi’s Laboratories Ltd.*

     132,189         2,245,340   

Dr. Reddy’s Laboratories Ltd.

     240,944         15,278,691   

Glenmark Pharmaceuticals Ltd.

     188,183         3,007,946   

Ipca Laboratories Ltd.

     49,757         562,306   

Lupin Ltd.

     351,031         10,877,469   

Marksans Pharma Ltd.

     457,568         723,925   

Pfizer Ltd.

     20,641         762,638   

Strides Arcolab Ltd.

     284,735         5,296,921   

Sun Pharmaceutical Industries Ltd.

     2,042,772         27,025,338   

Suven Life Sciences Ltd.

     130,905         531,876   

Torrent Pharmaceuticals Ltd.

     131,537         3,010,382   

Wockhardt Ltd.

     97,673         2,270,332   
     

 

 

 
Total Pharmaceuticals               97,006,835   
Real Estate Management & Development – 0.3%      

DLF Ltd.

     901,393         1,886,141   

Godrej Properties Ltd.

     78,262         392,383   

Housing Development & Infrastructure Ltd.*

     1,940,843         2,177,683   

Oberoi Realty Ltd.

     153,603         639,193   

Prestige Estates Projects Ltd.

     87,125         286,037   

Sobha Ltd.

     4,030         17,108   
     

 

 

 
Total Real Estate Management & Development               5,398,545   
Road & Rail – 0.2%      
Container Corp. of India Ltd.      170,295         3,852,782   
Software – 0.7%      

Cyient Ltd.

     271,455         2,310,304   

KPIT Technologies Ltd.

     1,147,360         1,866,820   

NIIT Technologies Ltd.

     134,647         969,647   

Oracle Financial Services Software Ltd.

     70,441         4,234,401   

TAKE Solutions Ltd.

     138,518         330,151   

Tata Elxsi Ltd.

     8,908         255,128   

Zensar Technologies Ltd.

     85,579         1,053,375   
     

 

 

 
Total Software               11,019,826   
Specialty Retail – 0.1%      
PC Jeweller Ltd.      387,518         2,080,164   
Textiles, Apparel & Luxury Goods – 0.5%      

Arvind Ltd.

     945,433         4,023,564   

Bata India Ltd.

     46,913         770,627   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      77   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree India Earnings Fund (EPI) (consolidated)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Indo Count Industries Ltd.*

     12,411       $ 172,551   

Raymond Ltd.

     70,085         456,182   

SRF Ltd.

     33,184         568,031   

Vardhman Textiles Ltd.

     65,659         935,171   

Welspun India Ltd.

     114,327         1,472,021   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               8,398,147   
Thrifts & Mortgage Finance – 7.4%      

Dewan Housing Finance Corp., Ltd.

     1,091,444         3,657,268   

Housing Development Finance Corp., Ltd.

     5,334,255         98,554,506   

Indiabulls Housing Finance Ltd.

     1,185,539         14,341,518   

LIC Housing Finance Ltd.

     1,373,833         9,848,524   
     

 

 

 
Total Thrifts & Mortgage Finance               126,401,816   
Tobacco – 1.9%      
ITC Ltd.      6,294,962         31,532,351   
Trading Companies & Distributors – 0.4%      
Adani Enterprises Ltd.      6,040,055         7,439,647   
Transportation Infrastructure – 0.9%      

Adani Ports & Special Economic Zone Ltd.

     2,783,002         12,676,990   

Gateway Distriparks Ltd.

     275,005         1,495,895   

Gujarat Pipavav Port Ltd.*

     640,444         1,808,444   
     

 

 

 
Total Transportation Infrastructure               15,981,329   
Water Utilities – 0.0%      
VA Tech Wabag Ltd.      53,596         542,982   
Wireless Telecommunication Services – 2.7%      

Bharti Airtel Ltd.

     4,414,160         22,719,743   

Bharti Infratel Ltd.

     1,085,423         5,873,587   

Idea Cellular Ltd.

     5,302,702         12,077,300   

Reliance Communications Ltd.*

     4,440,704         4,590,216   
     

 

 

 
Total Wireless Telecommunication Services               45,260,846   
TOTAL INVESTMENTS IN SECURITIES – 99.7% (Cost: $1,550,382,975)         1,700,790,747   

Cash, Foreign Currency and Other Assets in Excess of Liabilities – 0.3%

        4,475,000   
     

 

 

 
NET ASSETS – 100.0%             $ 1,705,265,747   

 

* 

Non-income producing security.

 

See Notes to Financial Statements.

 

78   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Schedule of Investments

WisdomTree Middle East Dividend Fund (GULF)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.4%      
Bahrain – 2.7%      

Ahli United Bank BSC

     971,308       $ 661,890   

Al-Salam Bank-Bahrain BSC

     116,549         33,954   
     

 

 

 
Total Bahrain               695,844   
Egypt – 5.5%      

Amer Group Holding

     226,978         22,321   

Commercial International Bank Egypt SAE

     52,768         357,648   

Eastern Tobacco

     6,206         170,359   

Heliopolis Co. for Housing and Construction SAE

     5,133         26,327   

Oriental Weavers

     52,898         68,774   

Sidi Kerir Petrochemicals Co.

     158,025         262,162   

Talaat Moustafa Group

     83,541         72,551   

Telecom Egypt Co.

     504,433         449,670   
     

 

 

 
Total Egypt               1,429,812   
Jordan – 2.5%      

Arab Bank PLC

     70,686         639,200   
Kuwait – 14.7%      

Agility Public Warehousing Co. KSC

     151,900         281,389   

Burgan Bank SAK

     64,329         81,927   

Commercial Real Estate Co. KSC

     318,915         86,507   

Kuwait Finance House KSCP

     181,268         341,789   

Kuwait Food Co. Americana SAK

     32,572         245,664   

Kuwait International Bank KSCP

     67,543         50,942   

Kuwait Projects Co. Holding KSCP

     109,514         213,739   

Mabanee Co. SAK

     60,194         171,243   

Mobile Telecommunications Co. KSC

     931,350         1,216,948   

National Bank of Kuwait SAKP

     412,835         1,106,174   
     

 

 

 
Total Kuwait               3,796,322   
Morocco – 5.9%      

Maroc Telecom

     134,794         1,522,080   
Oman – 4.6%      

Bank Muscat SAOG

     234,410         332,263   

Bank Sohar SAOG

     101,343         42,358   

National Bank of Oman SAOG

     168,819         127,973   

Oman Telecommunications Co. SAOG

     160,873         674,481   

Renaissance Services SAOG

     11,278         4,655   
     

 

 

 
Total Oman               1,181,730   
Qatar – 33.9%      

Al Khalij Commercial Bank QSC

     26,706         157,653   

Al Meera Consumer Goods Co. QSC

     1,495         102,539   

Barwa Real Estate Co.

     32,242         378,011   

Commercial Bank QSC (The)

     12,257         189,809   

Doha Bank QSC

     33,289         458,837   

Doha Insurance Co. QSC

     3,195         20,203   

Ezdan Holding Group QSC

     68,208         350,212   

Gulf International Services OSC

     4,152         74,101   

Industries Qatar QSC

     59,623         2,013,599   

Mannai Corp. QSC

     3,774         105,177   

Masraf Al Rayan QSC

     34,208         403,878   

Mazaya Qatar Real Estate Development QSC

     6,413         27,662   
Investments    Shares      Value  

Medicare Group

     1,108       $ 51,414   

National Leasing

     5,318         25,495   

Ooredoo QSC

     16,691         352,880   

Qatar Electricity & Water Co. QSC

     6,820         392,117   

Qatar Fuel QSC

     4,843         202,121   

Qatar Gas Transport Co., Ltd.

     42,590         260,308   

Qatar Insurance Co. SAQ

     6,265         160,149   

Qatar International Islamic Bank QSC

     10,743         220,344   

Qatar Islamic Bank SAQ

     13,962         438,175   

Qatar Islamic Insurance Co. QSC

     985         20,013   

Qatar National Bank SAQ

     40,050         2,061,854   

Qatari Investors Group QSC

     2,931         35,007   

Salam International Investment Co.

     9,732         32,974   

United Development Co. QSC

     21,211         136,280   

Vodafone Qatar QSC

     13,040         48,622   

Widam Food Co.

     1,165         17,273   
     

 

 

 
Total Qatar               8,736,707   
United Arab Emirates – 29.6%      

Abu Dhabi Commercial Bank PJSC

     559,462         1,165,276   

Agthia Group PJSC

     29,903         65,133   

Al Waha Capital PJSC

     184,133         111,296   

Aldar Properties PJSC

     431,873         282,205   

Aramex PJSC

     105,811         90,460   

DP World Ltd.

     28,443         604,129   

Dubai Financial Market PJSC

     368,748         168,669   

Dubai Investments PJSC

     227,149         146,574   

Dubai Islamic Bank PJSC

     350,769         639,872   

Emaar Properties PJSC

     249,105         438,139   

First Gulf Bank PJSC

     533,113         2,024,838   

National Bank of Abu Dhabi PJSC

     365,788         948,120   

National Bank of Ras Al-Khaimah PSC (The)

     259,440         497,286   

National Central Cooling Co. PJSC

     72,936         23,631   

RAK Properties PJSC

     320,313         53,199   

Ras Al Khaimah Ceramics

     95,883         93,981   

Union National Bank PJSC

     175,091         293,181   
     

 

 

 
Total United Arab Emirates               7,645,989   

TOTAL COMMON STOCKS

(Cost: $25,694,557)

              25,647,684   
CONVERTIBLE BONDS – 0.1%      
Oman – 0.1%      

Bank Muscat SAOG

     

4.50%, 3/20/17

     48,842         12,680   

3.50%, 3/19/18

     38,597         9,519   

TOTAL CONVERTIBLE BONDS

(Cost: $26,871)

              22,199   

TOTAL INVESTMENTS IN SECURITIES – 99.5%

(Cost: $25,721,428)

              25,669,883   

Cash, Foreign Currency and Other Assets in Excess of Liabilities – 0.5%

        117,961   
     

 

 

 
NET ASSETS – 100.0%             $ 25,787,844   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      79   


Table of Contents

Statements of Assets and Liabilities (unaudited)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

September 30, 2015

 

  

 

 

     

WisdomTree

Asia Pacific ex-
Japan Fund

    

WisdomTree

China ex-
State-Owned

Enterprises

Fund

    

WisdomTree
Commodity

Country Equity

Fund

    

WisdomTree
Emerging

Markets

Consumer

Growth Fund

    

WisdomTree
Emerging
Markets ex-
State-Owned
Enterprises

Fund

 

ASSETS:

              

Investments, at cost

   $ 53,604,685       $ 11,130,258       $ 12,481,882       $ 14,775,442       $ 2,362,905   

Investment in affiliates, at cost (Note 8)

     141,907                                   

Foreign currency, at cost

     7,075         14,098         11,669         17,611         2,255   

Investments in securities, at value (including securities on loan) (Note 2)1

     47,017,433         8,915,672         8,752,427         11,967,772         2,013,899   

Investment in affiliates, at value (Note 8)

     143,156                                   

Cash

     136,075         9         809         647         196   

Foreign currency, at value

     7,082         14,098         11,703         17,641         2,262   

Unrealized appreciation on forward foreign currency contracts

                     1                   

Receivables:

              

Dividends and interest

     135,705         26,550         38,758         25,841         2,758   

Foreign tax reclaims

                     15,620                 7   

Total Assets

     47,439,451         8,956,329         8,819,318         12,011,901         2,019,122   

LIABILITIES:

              

Unrealized depreciation on forward foreign currency contracts

     84                 45                   

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     4,091,789         465,220         657,438         443,774         8,414   

Investment securities purchased

     127,290                 14,650                   

Advisory fees (Note 3)

     17,525         4,050         3,980         6,741         969   

Service fees (Note 2)

     161         34         30         47         7   

Total Liabilities

     4,236,849         469,304         676,143         450,562         9,390   

NET ASSETS

   $ 43,202,602       $ 8,487,025       $ 8,143,175       $ 11,561,339       $ 2,009,732   

NET ASSETS:

              

Paid-in capital

   $ 73,540,694       $ 13,233,004       $ 30,062,084       $ 16,175,319       $ 2,318,684   

Undistributed net investment income

     31,238         14,059         31,869         24,462         3,340   

Accumulated net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     (23,781,924      (2,545,455      (18,220,772      (1,830,538      36,870   

Net unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (6,587,406      (2,214,583      (3,730,006      (2,807,904      (349,162

NET ASSETS

   $ 43,202,602       $ 8,487,025       $ 8,143,175       $ 11,561,339       $ 2,009,732   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     800,000         200,000         400,000         600,000         100,004   

Net asset value per share

   $ 54.00       $ 42.44       $ 20.36       $ 19.27       $ 20.10   

1     Market value of securities out on loan were as follows:

   $ 4,054,750       $ 503,700       $ 760,562       $ 410,604       $ 8,157   

 

See Notes to Financial Statements.

 

80   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

September 30, 2015

 

  

 

 

     

WisdomTree

Emerging

Markets High

Dividend Fund

    

WisdomTree
Emerging

Markets Quality
Dividend

Growth Fund

    

WisdomTree

Emerging

Markets

SmallCap

Dividend Fund

    

WisdomTree
Global ex-U.S.
Hedged

Dividend Fund

    

WisdomTree

Global ex-U.S.
Quality

Dividend

Growth Fund

 

ASSETS:

              

Investments, at cost

   $ 2,200,114,081       $ 36,909,209       $ 1,217,512,129       $ 9,817,607       $ 88,271,549   

Investment in affiliates, at cost (Note 8)

     2,185,639                 491,803                 39,491   

Foreign currency, at cost

     2,442,975         16,314         615,789         11,661         71,349   

Investments in securities, at value (including securities on loan) (Note 2)1

     1,578,431,513         30,442,603         1,058,347,080         8,721,570         81,294,497   

Investment in affiliates, at value (Note 8)

     2,106,204                 490,047                 34,348   

Cash

     1,571,277         38,185         492,840         723         1,798   

Foreign currency, at value

     2,460,318         16,491         618,272         11,634         71,285   

Unrealized appreciation on forward foreign currency contracts

     6                         65,052           

Receivables:

              

Investment securities sold

     1,607,116                 7,994,353                   

Dividends and interest

     5,131,619         37,865         2,914,055         24,712         71,750   

Foreign tax reclaims

     77,142         11                 1,500         101,196   

Total Assets

     1,591,385,195         30,535,155         1,070,856,647         8,825,191         81,574,874   

LIABILITIES:

              

Unrealized depreciation on forward foreign currency contracts

     4,665                 1,519         27,261         681   

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     78,341,141         1,740,408         74,556,301         97,950         7,521,853   

Investment securities purchased

     1,813,596                 491,803         18,067           

Capital shares redeemed

                     7,134,704                   

Advisory fees (Note 3)

     839,669         15,660         528,083         3,192         36,041   

Service fees (Note 2)

     5,870         110         3,702         31         274   

Miscellaneous fees

                             8         161   

Total Liabilities

     81,004,941         1,756,178         82,716,112         146,509         7,559,010   

NET ASSETS

   $ 1,510,380,254       $ 28,778,977       $ 988,140,535       $ 8,678,682       $ 74,015,864   

NET ASSETS:

              

Paid-in capital

   $ 3,202,323,885       $ 39,860,396       $ 1,537,310,625       $ 9,701,983       $ 105,967,194   

Undistributed net investment income

     4,582,964         22,705         1,677,623         35,680         74,089   

Accumulated net realized loss on investments, forward foreign currency contracts and foreign currency related transactions

     (1,074,646,059      (4,637,312      (391,418,526      (618      (25,034,932

Net unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (621,880,536      (6,466,812      (159,429,187      (1,058,363      (6,990,487

NET ASSETS

   $ 1,510,380,254       $ 28,778,977       $ 988,140,535       $ 8,678,682       $ 74,015,864   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     45,200,000         1,500,000         27,700,000         400,004         1,700,000   

Net asset value per share

   $ 33.42       $ 19.19       $ 35.67       $ 21.70       $ 43.54   

1     Market value of securities out on loan were as follows:

   $ 107,039,173       $ 1,850,749       $ 115,662,029       $ 93,119       $ 7,925,973   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      81   


Table of Contents

Statements of Assets and Liabilities (unaudited)  (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

September 30, 2015

 

  

 

 

 

      WisdomTree
Global ex-U.S.
Real Estate
Fund
     WisdomTree
Global ex-U.S.
Utilities Fund
     WisdomTree
Global High
Dividend Fund
     WisdomTree
Global Natural
Resources Fund
    

WisdomTree India
Earnings

Fund

(consolidated)

 

ASSETS:

              

Investments, at cost

   $ 117,655,835       $ 26,615,310       $ 111,244,322       $ 28,515,819       $ 1,550,382,975   

Investment in affiliates, at cost (Note 8)

             340         437,108         28,253           

Foreign currency, at cost

     108,425         7,816         74,512         9,300         9,278,410   

Investments in securities, at value (including securities on loan) (Note 2)1

     111,873,426         22,915,357         105,114,178         17,459,482         1,700,790,747   

Investment in affiliates, at value (Note 8)

             312         437,468         28,138           

Cash

     7,939         1,888         6,057         1,857         2,672,291   

Foreign currency, at value

     107,674         7,717         73,802         9,282         9,308,818   

Unrealized appreciation on forward foreign currency contracts

     18                 9,772                   

Receivables:

              

Investment securities sold

                                     4,556,893   

Capital shares sold

                     15,059,903                   

Dividends and interest

     256,796         54,997         270,193         50,147         1,429,771   

Foreign tax reclaims

     22,838         9,941         125,433         13,025           

Total Assets

     112,268,691         22,990,212         121,096,806         17,561,931         1,718,758,520   

LIABILITIES:

              

Unrealized depreciation on forward foreign currency contracts

     29         6         486                 10,488   

Payables:

              

Note payable (Note 9)

                                     8,293,100   

Note interest payable (Note 9)

                                     95,313   

Investment of cash collateral for securities loaned (Note 2)

     4,458,235         3,143,088         4,343,126         2,221,104           

Investment securities purchased

                     15,129,312                 3,944,286   

Advisory fees (Note 3)

     51,372         9,567         42,010         7,790         1,143,524   

Service fees (Note 2)

     390         72         319         59         6,062   

Miscellaneous fees

     215         61         384         64           

Total Liabilities

     4,510,241         3,152,794         19,515,637         2,229,017         13,492,773   

NET ASSETS

   $ 107,758,450       $ 19,837,418       $ 101,581,169       $ 15,332,914       $ 1,705,265,747   

NET ASSETS:

              

Paid-in capital

   $ 173,964,857       $ 51,518,991       $ 134,340,982       $ 46,907,251       $ 1,976,788,150   

Undistributed (Distributions in excess of) net investment income

     (1,860,338      43,532         173,944         42,239         3,083,407   

Accumulated net realized loss on investments, forward foreign currency contracts and foreign currency related transactions

     (58,559,379      (28,022,848      (26,792,269      (20,558,496      (425,046,603

Net unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (5,786,690      (3,702,257      (6,141,488      (11,058,080      150,440,793   

NET ASSETS

   $ 107,758,450       $ 19,837,418       $ 101,581,169       $ 15,332,914       $ 1,705,265,747   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     4,150,000         1,250,000         2,650,000         1,300,000         86,400,000   

Net asset value per share

   $ 25.97       $ 15.87       $ 38.33       $ 11.79       $ 19.74   

1     Market value of securities out on loan were as follows:

   $ 4,178,695       $ 3,037,034       $ 4,686,111       $ 2,333,218       $   

 

See Notes to Financial Statements.

 

82   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, 2015

 

  

 

 

 

      WisdomTree
Middle East
Dividend Fund
 

ASSETS:

  

Investments, at cost

   $ 25,721,428   

Foreign currency, at cost

     169,192   

Investments in securities, at value (Note 2)

     25,669,883   

Foreign currency, at value

     169,192   

Unrealized appreciation on forward foreign currency contracts

     428   

Receivables:

  

Interest

     453   

Total Assets

     25,839,956   

LIABILITIES:

  

Due to custodian

     31,592   

Payables:

  

Advisory fees (Note 3)

     20,417   

Service fees (Note 2)

     103   

Total Liabilities

     52,112   

NET ASSETS

   $ 25,787,844   

NET ASSETS:

  

Paid-in capital

   $ 34,097,188   

Undistributed net investment income

     71,332   

Accumulated net realized loss on investments, forward foreign currency contracts and foreign currency related transactions

     (8,329,559

Net unrealized depreciation on investments and forward foreign currency contracts

     (51,117

NET ASSETS

   $ 25,787,844   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     1,400,000   

Net asset value per share

   $ 18.42   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      83   


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, 2015

 

  

 

 

     

WisdomTree

Asia Pacific

ex-Japan Fund

    

WisdomTree

China ex-

State-Owned
Enterprises

Fund

     WisdomTree
Commodity
Country Equity
Fund
    

WisdomTree
Emerging

Markets
Consumer

Growth Fund

     WisdomTree
Emerging
Markets ex-
State-Owned
Enterprises
Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 1,430,859       $ 317,571       $ 245,067       $ 339,187       $ 59,571   

Dividends from affiliates (Note 8)

     2,461                 1,496                   

Interest

     2                         1         3   

Securities lending income (Note 2)

     8,815         21,068         8,062         2,105         93   

Total investment income

     1,442,137         338,639         254,625         341,293         59,667   

EXPENSES:

              

Advisory fees (Note 3)

     120,775         47,345         30,899         58,140         14,709   

Service fees (Note 2)

     1,107         330         235         406         112   

Total expenses

     121,882         47,675         31,134         58,546         14,821   

Expense waivers (Note 3)

     (111      (2,993      (13                

Net expenses

     121,771         44,682         31,121         58,546         14,821   

Net investment income

     1,320,366         293,957         223,504         282,747         44,846   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions2

     442,303         (1,127,820      (523,735      (702,441      (140,554

Investment transactions in affiliates (Note 8)

     (19,568              (10,039                

In-kind redemptions

             715,962         (61,590      (194,809      238,007   

In-kind redemptions in affiliates (Note 8)

                     (306                

Forward foreign currency contracts and foreign currency related transactions

     (15,056      (138      (871      (6,396      (4,015

Net realized gain (loss)

     407,679         (411,996      (596,541      (903,646      93,438   

Net change in unrealized appreciation (depreciation) from:

              

Investment transactions

     (11,305,903      (2,814,892      (1,419,923      (3,463,296      (444,540

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (614      1         953         842         163   

Net change in unrealized appreciation (depreciation)

     (11,306,517      (2,814,891      (1,418,970      (3,462,454      (444,377

Net realized and unrealized loss on investments

     (10,898,838      (3,226,887      (2,015,511      (4,366,100      (350,939

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (9,578,472    $ (2,932,930    $ (1,792,007    $ (4,083,353    $ (306,093

1     Net of foreign withholding tax of:

   $ 119,420       $ 23,912       $ 37,680       $ 39,822       $ 6,786   

2     Net of foreign capital gains tax withheld of:

   $       $       $       $ 140       $ 764   

 

See Notes to Financial Statements.

 

84   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 or Period Ended September 30, 2015

 

  

 

 

      WisdomTree
Emerging
Markets High
Dividend Fund
     WisdomTree
Emerging
Markets
Quality
Dividend
Growth Fund
     WisdomTree
Emerging
Markets
SmallCap
Dividend Fund
     WisdomTree
Global ex-U.S.
Hedged
Dividend
Fund1
     WisdomTree
Global ex-U.S.
Quality
Dividend
Growth Fund
 

INVESTMENT INCOME:

              

Dividends2

   $ 75,124,092       $ 788,904       $ 32,681,426       $ 52,570       $ 1,387,441   

Dividends from affiliates (Note 8)

     52,975                 251,823                 10,183   

Interest

     705         2         57                   

Securities lending income (Note 2)

     640,152         4,117         990,047         61         27,623   

Total investment income

     75,817,924         793,023         33,923,353         52,631         1,425,247   

EXPENSES:

              

Advisory fees (Note 3)

     6,632,436         125,347         4,100,543         6,874         248,641   

Service fees (Note 2)

     46,323         875         28,639         69         1,886   

Miscellaneous fees

                             8         161   

Total expenses

     6,678,759         126,222         4,129,182         6,951         250,688   

Expense waivers (Note 3)

     (4,641              (6,667              (109

Net expenses

     6,674,118         126,222         4,122,515         6,951         250,579   

Net investment income

     69,143,806         666,801         29,800,838         45,680         1,174,668   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     (96,659,172      (2,248,822      (20,319,314      (7,876      (88,034

Investment transactions in affiliates (Note 8)

     (104,600              (801,486              (25,470

In-kind redemptions

     (15,591,836      (101,837      9,142,382                 1,073,778   

In-kind redemptions in affiliates (Note 8)

     (6,216              (7,853                

Forward foreign currency contracts and foreign currency related transactions

     (898,216      (17,881      (841,218      7,258         (12,127

Net realized gain (loss)

     (113,260,040      (2,368,540      (12,827,489      (618      948,147   

Net change in unrealized appreciation (depreciation) from:

              

Investment transactions

     (345,206,391      (6,028,933      (251,967,323      (1,096,037      (12,993,223

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (14,162      701         (163,572      37,674         1,168   

Net change in unrealized appreciation (depreciation)

     (345,220,553      (6,028,232      (252,130,895      (1,058,363      (12,992,055

Net realized and unrealized loss on investments

     (458,480,593      (8,396,772      (264,958,384      (1,058,981      (12,043,908

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (389,336,787    $ (7,729,971    $ (235,157,546    $ (1,013,301    $ (10,869,240

1     For the period June 4, 2015 (commencement of operations) through September 30, 2015.

        

 

2     Net of foreign withholding tax of:

   $ 10,831,393       $ 129,066       $ 5,623,667       $ 5,507       $ 190,527   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      85   


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, 2015

 

  

 

 

 

    

WisdomTree

Global ex-U.S.

Real Estate

Fund

    WisdomTree
Global ex-U.S.
Utilities Fund
   

WisdomTree

Global High
Dividend Fund

   

WisdomTree
Global Natural
Resources

Fund

   

WisdomTree

India Earnings

Fund

(consolidated)

 

INVESTMENT INCOME:

         

Dividends1

  $ 2,665,697      $ 584,602      $ 3,164,743      $ 501,393      $ 25,598,560   

Dividends from affiliates (Note 8)

    9,764        849        17,840        2,066          

Interest

           355                      3,472   

Securities lending income (Note 2)

    40,276        18,313        74,384        29,447          

Total investment income

    2,715,737        604,119        3,256,967        532,906        25,602,032   

EXPENSES:

         

Advisory fees (Note 3)

    350,729        62,636        340,841        55,996        9,459,677   

Service fees (Note 2)

    2,661        475        2,586        425        50,148   

Interest expense (Note 9)

                                95,313   

Miscellaneous fees

    215        61        384        64          

Total expenses

    353,605        63,172        343,811        56,485        9,605,138   

Expense waivers (Note 3)

    (69     (11     (377     (8       

Net expenses

    353,536        63,161        343,434        56,477        9,605,138   

Net investment income

    2,362,201        540,958        2,913,533        476,429        15,996,894   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

         

Net realized gain (loss) from:

         

Investment transactions

    806,495        (85,355     (2,441,772     (1,087,713     (70,916,151

Investment transactions in affiliates (Note 8)

    (72,869     (2,768     (39,870     (3,572       

In-kind redemptions

    664,994               4,080,936                 

In-kind redemptions in affiliates (Note 8)

    (243            (425              

Forward foreign currency contracts and foreign currency related transactions

    (34,271     (5,303     (21,534     (426     (2,993,913

Net realized gain (loss)

    1,364,106        (93,426     1,577,335        (1,091,711     (73,910,064

Net change in unrealized appreciation (depreciation) from:

         

Investment transactions

    (17,298,684     (2,097,529     (16,979,905     (4,134,254     (211,288,114

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    1,858        320        (1,165     755        34,525   

Net change in unrealized appreciation (depreciation)

    (17,296,826     (2,097,209     (16,981,070     (4,133,499     (211,253,589

Net realized and unrealized loss on investments

    (15,932,720     (2,190,635     (15,403,735     (5,225,210     (285,163,653

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

  $ (13,570,519   $ (1,649,677   $ (12,490,202   $ (4,748,781   $ (269,166,759

 

1     Net of foreign withholding tax of:

  $ 245,453      $ 69,001      $ 254,319      $ 42,408      $   

 

See Notes to Financial Statements.

 

86   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


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, 2015

 

  

 

 

 

      WisdomTree
Middle East
Dividend Fund
 

INVESTMENT INCOME:

  

Dividends1

   $ 354,329   

Interest

     4,494   

Total investment income

     358,823   

EXPENSES:

  

Advisory fees (Note 3)

     139,645   

Service fees (Note 2)

     698   

Total expenses

     140,343   

Net investment income

     218,480   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

  

Net realized loss from:

  

Investment transactions

     (492,828

Forward foreign currency contracts and foreign currency related transactions

     (13,474

Net realized loss

     (506,302

Net change in unrealized appreciation (depreciation) from:

  

Investment transactions

     (1,621,831

Forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     529   

Net change in unrealized appreciation (depreciation)

     (1,621,302

Net realized and unrealized loss on investments

     (2,127,604

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (1,909,124

 

1     Net of foreign withholding tax of:

   $ 27,237   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      87   


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

Commodity Country Equity Fund

 
    

For the Six
Months Ended
September 30,

2015
(unaudited)

   

For the

Year Ended
March 31, 2015

   

For the Six
Months Ended
September 30,

2015
(unaudited)

   

For the

Year Ended
March 31, 2015

   

For the Six
Months Ended
September 30,

2015
(unaudited)

   

For the

Year Ended
March 31, 2015

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

         

Net investment income

  $ 1,320,366      $ 1,636,393      $ 293,957      $ 456,837      $ 223,504      $ 729,118   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

    407,679        874,420        (411,996     22,758        (596,541     (150,948

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

    (11,306,517     338,696        (2,814,891     1,786,692        (1,418,970     (2,813,859

Net increase (decrease) in net assets resulting from operations

    (9,578,472     2,849,509        (2,932,930     2,266,287        (1,792,007     (2,235,689

DIVIDENDS:

           

Net investment income

    (1,349,000     (1,585,507     (284,000     (427,018     (240,003     (754,412

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    7,093,290               5,438,555        2,565,916                 

Cost of shares redeemed

           (6,805,857     (10,319,479     (5,215,961     (1,170,479     (7,186,372

Net increase (decrease) in net assets resulting from capital share transactions

    7,093,290        (6,805,857     (4,880,924     (2,650,045     (1,170,479     (7,186,372

Net Decrease in Net Assets

    (3,834,182     (5,541,855     (8,097,854     (810,776     (3,202,489     (10,176,473

NET ASSETS:

           

Beginning of period

  $ 47,036,784      $ 52,578,639      $ 16,584,879      $ 17,395,655      $ 11,345,664      $ 21,522,137   

End of period

  $ 43,202,602      $ 47,036,784      $ 8,487,025      $ 16,584,879      $ 8,143,175      $ 11,345,664   

Undistributed net investment income included in net assets at end of period

  $ 31,238      $ 59,872      $ 14,059      $ 4,102      $ 31,869      $ 48,368   

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    700,000        800,000        300,000        350,000        450,000        700,000   

Shares created

    100,000               100,000        50,000                 

Shares redeemed

           (100,000     (200,000     (100,000     (50,000     (250,000

Shares outstanding, end of period

    800,000        700,000        200,000        300,000        400,000        450,000   

 

See Notes to Financial Statements.

 

88   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 Consumer

Growth Fund

    

WisdomTree

Emerging Markets ex-State-Owned

Enterprises Fund

    

WisdomTree

Emerging Markets High Dividend Fund

 
     

For the Six
Months Ended
September 30,

2015
(unaudited)

     For the Year
Ended
March 31, 2015
    

For the Six
Months Ended
September 30,

2015
(unaudited)

    

For the Period
December 10, 2014*

through
March 31, 2015

    

For the Six Months
Ended
September 30,

2015

(unaudited)

    

For the Year

Ended March 31,
2015

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

              

Net investment income

   $ 282,747       $ 380,135       $ 44,846       $ 26,893       $ 69,143,806       $ 145,437,478   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     (903,646      (182,881      93,438         (32,530      (113,260,040      (222,985,348

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (3,462,454      465,786         (444,377      95,215         (345,220,553      (206,212,534

Net increase (decrease) in net assets resulting from operations

     (4,083,353      663,040         (306,093      89,578         (389,336,787      (283,760,404

DIVIDENDS:

                 

Net investment income

     (319,002      (374,552      (72,001      (20,436      (65,043,384      (150,590,028

CAPITAL SHARE TRANSACTIONS:

                 

Net proceeds from sale of shares

             2,439,400                 10,000,000         37,455,882         102,476,902   

Cost of shares redeemed

     (3,948,523      (2,463,158      (7,681,416              (232,252,609      (1,397,423,523

Net increase (decrease) in net assets resulting from capital share transactions

     (3,948,523      (23,758      (7,681,416      10,000,000         (194,796,727      (1,294,946,621

Net Increase (Decrease) in Net Assets

     (8,350,878      264,730         (8,059,510      10,069,142         (649,176,898      (1,729,297,053

NET ASSETS:

                 

Beginning of period

   $ 19,912,217       $ 19,647,487       $ 10,069,242       $ 100       $ 2,159,557,152       $ 3,888,854,205   

End of period

   $ 11,561,339       $ 19,912,217       $ 2,009,732       $ 10,069,242       $ 1,510,380,254       $ 2,159,557,152   

Undistributed net investment income included in net assets at end of period

   $ 24,462       $ 60,717       $ 3,340       $ 30,495       $ 4,582,964       $ 482,542   

SHARES CREATED AND REDEEMED:

                 

Shares outstanding, beginning of period

     800,000         800,000         400,004         4         50,600,000         79,000,000   

Shares created

             100,000                 400,000         800,000         2,200,000   

Shares redeemed

     (200,000      (100,000      (300,000              (6,200,000      (30,600,000

Shares outstanding, end of period

     600,000         800,000         100,004         400,004         45,200,000         50,600,000   
* Commencement of operations.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      89   


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

 

  

 

 

 

     

WisdomTree

Emerging Markets Quality

Dividend Growth Fund

    

WisdomTree

Emerging Markets SmallCap

Dividend Fund

          

WisdomTree

Global ex-U.S. Hedged

Dividend Fund

       
      For the Six
Months Ended
September 30,
2015
(unaudited)
    

For the

Year Ended
March 31, 2015

    

For the Six

Months Ended
September 30,
2015

(unaudited)

    

For the

Year Ended
March 31, 2015

          

For the Period
June 4, 2015*
through
September 30,

2015

(unaudited)

       

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

                 

Net investment income

   $ 666,801       $ 756,365       $ 29,800,838       $ 50,505,978          $ 45,680      

Net realized loss on investments, forward foreign currency contracts and foreign currency related transactions

     (2,368,540      (1,387,669      (12,827,489      (48,764,584         (618   

Net change in unrealized depreciation on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (6,028,232      (648,158      (252,130,895      (41,436,635           (1,058,363     

Net increase (decrease) in net assets resulting from operations

     (7,729,971      (1,279,462      (235,157,546      (39,695,241           (1,013,301     

DIVIDENDS:

                    

Net investment income

     (829,008      (632,102      (30,145,175      (51,526,431           (10,000     

CAPITAL SHARE TRANSACTIONS:

                    

Net proceeds from sale of shares

     4,394,986         27,936,634                 197,770,356            9,701,883      

Cost of shares redeemed

     (8,001,400      (5,020,174      (160,225,954      (507,206,009                  

Net increase (decrease) in net assets resulting from capital share transactions

     (3,606,414      22,916,460         (160,225,954      (309,435,653           9,701,883        

Net Increase (Decrease) in Net Assets

     (12,165,393      21,004,896         (425,528,675      (400,657,325           8,678,582        

NET ASSETS:

                    

Beginning of period

   $ 40,944,370       $ 19,939,474       $ 1,413,669,210       $ 1,814,326,535          $ 100      

End of period

   $ 28,778,977       $ 40,944,370       $ 988,140,535       $ 1,413,669,210            $ 8,678,682        

Undistributed net investment income included in net assets at end of period

   $ 22,705       $ 184,912       $ 1,677,623       $ 2,021,960            $ 35,680        

SHARES CREATED AND REDEEMED:

                    

Shares outstanding, beginning of period

     1,700,000         800,000         31,800,000         39,100,000            4      

Shares created

     200,000         1,100,000                 4,200,000            400,000      

Shares redeemed

     (400,000      (200,000      (4,100,000      (11,500,000                  

Shares outstanding, end of period

     1,500,000         1,700,000         27,700,000         31,800,000              400,004        
* Commencement of operations.

 

See Notes to Financial Statements.

 

90   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

Global ex-U.S. Quality Dividend Growth
Fund

    

WisdomTree

Global ex-U.S. Real Estate Fund

    

WisdomTree

Global ex-U.S. Utilities Fund

 
      For the Six
Months Ended
September 30,
2015
(unaudited)
    

For the

Year Ended
March 31, 2015

     For the Six
Months Ended
September 30,
2015
(unaudited)
    

For the

Year Ended
March 31, 2015

     For the Six
Months Ended
September 30,
2015
(unaudited)
    

For the

Year Ended
March 31, 2015

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

              

Net investment income

   $ 1,174,668       $ 1,483,803       $ 2,362,201       $ 6,530,201       $ 540,958       $ 1,046,546   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     948,147         (442,751      1,364,106         5,637,464         (93,426      445,386   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (12,992,055      (13,449      (17,296,826      2,108,731         (2,097,209      (2,988,584

Net increase (decrease) in net assets resulting from operations

     (10,869,240      1,027,603         (13,570,519      14,276,396         (1,649,677      (1,496,652

DIVIDENDS:

                 

Net investment income

     (1,344,020      (1,355,492      (2,230,044      (5,988,422      (523,000      (1,013,012

CAPITAL SHARE TRANSACTIONS:

                 

Net proceeds from sale of shares

     5,295,417         24,669,241         6,145,266         13,323,866         1,885,313         1,019,963   

Cost of shares redeemed

     (5,419,231              (4,146,254      (27,775,762              (8,632,891

Net increase (decrease) in net assets resulting from capital share transactions

     (123,814      24,669,241         1,999,012         (14,451,896      1,885,313         (7,612,928

Net Increase (Decrease) in Net Assets

     (12,337,074      24,341,352         (13,801,551      (6,163,922      (287,364      (10,122,592

NET ASSETS:

                 

Beginning of period

   $ 86,352,938       $ 62,011,586       $ 121,560,001       $ 127,723,923       $ 20,124,782       $ 30,247,374   

End of period

   $ 74,015,864       $ 86,352,938       $ 107,758,450       $ 121,560,001       $ 19,837,418       $ 20,124,782   

Undistributed (Distributions in excess of) net investment income included in net assets at end of period

   $ 74,089       $ 243,441       $ (1,860,338    $ (1,992,495    $ 43,532       $ 25,574   

SHARES CREATED AND REDEEMED:

                 

Shares outstanding, beginning of period

     1,700,000         1,200,000         4,100,000         4,600,000         1,150,000         1,550,000   

Shares created

     100,000         500,000         200,000         450,000         100,000         50,000   

Shares redeemed

     (100,000              (150,000      (950,000              (450,000

Shares outstanding, end of period

     1,700,000         1,700,000         4,150,000         4,100,000         1,250,000         1,150,000   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      91   


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

 

  

 

 

 

     

WisdomTree

Global High Dividend Fund

    

WisdomTree

Global Natural Resources Fund

    

WisdomTree

India Earnings Fund

(consolidated)

 
     

For the Six
Months

Ended
September 30,
2015

(unaudited)

    

For the Year
Ended
March 31,

2015

    

For the

Six Months

Ended
September 30,
2015

(unaudited)

    

For the

Year Ended
March 31,
2015

    

For the

Six Months

Ended
September 30,
2015

(unaudited)

    

For the

Year Ended
March 31, 2015

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

              

Net investment income

   $ 2,913,533       $ 4,590,392       $ 476,429       $ 785,038       $ 15,996,894       $ 18,603,043   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     1,577,335         4,124,180         (1,091,711      (1,804,423      (73,910,064      45,657,435   

Net change in unrealized appreciation (depreciation) on investments, forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies

     (16,981,070      (12,010,690      (4,133,499      (4,353,442      (211,253,589      132,238,460   

Net increase (decrease) in net assets resulting from operations

     (12,490,202      (3,296,118      (4,748,781      (5,372,827      (269,166,759      196,498,938   

DIVIDENDS:

                 

Net investment income

     (2,981,020      (4,555,009      (436,007      (818,563      (17,874,900      (13,679,148

CAPITAL SHARE TRANSACTIONS:

                 

Net proceeds from sale of shares

     42,470,387         2,283,977         2,550,728         4,589,603         265,636,547         1,402,033,920   

Cost of shares redeemed

     (27,135,987      (16,241,360              (2,814,089      (645,735,266      (151,511,226

Net increase (decrease) in net assets resulting from capital share transactions

     15,334,400         (13,957,383      2,550,728         1,775,514         (380,098,719      1,250,522,694   

Net Increase (Decrease) in Net Assets

     (136,822      (21,808,510      (2,634,060      (4,415,876      (667,140,378      1,433,342,484   

NET ASSETS:

                 

Beginning of period

   $ 101,717,991       $ 123,526,501       $ 17,966,974       $ 22,382,850       $ 2,372,406,125       $ 939,063,641   

End of period

   $ 101,581,169       $ 101,717,991       $ 15,332,914       $ 17,966,974       $ 1,705,265,747       $ 2,372,406,125   

Undistributed net investment income included in net assets at end of period

   $ 173,944       $ 241,431       $ 42,239       $ 1,817       $ 3,083,407       $ 4,961,413   

SHARES CREATED AND REDEEMED:

                 

Shares outstanding, beginning of period

     2,300,000         2,600,000         1,150,000         1,050,000         104,800,000         49,600,000   

Shares created

     1,000,000         50,000         150,000         250,000         12,200,000         62,000,000   

Shares redeemed

     (650,000      (350,000              (150,000      (30,600,000      (6,800,000

Shares outstanding, end of period

     2,650,000         2,300,000         1,300,000         1,150,000         86,400,000         104,800,000   

 

See Notes to Financial Statements.

 

92   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Statements of Changes in Net Assets (concluded)

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds

 

 

  

 

 

 

     

WisdomTree

Middle East Dividend Fund

 
     

For the

Six Months
Ended
September 30,
2015
(unaudited)

    

For the

Year Ended
March 31, 2015

 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

  

Net investment income

   $ 218,480       $ 1,635,873   

Net realized gain (loss) on investments, forward foreign currency contracts and foreign currency related transactions

     (506,302      1,384,169   

Net change in unrealized depreciation on investments and forward foreign currency contracts

     (1,621,302      (7,394,322

Net increase (decrease) in net assets resulting from operations

     (1,909,124      (4,374,280

DIVIDENDS:

     

Net investment income

     (1,000,000      (1,679,464

CAPITAL SHARE TRANSACTIONS:

     

Net proceeds from sale of shares

             35,127,164   

Cost of shares redeemed

     (5,723,520      (48,370,043

Net decrease in net assets resulting from capital share transactions

     (5,723,520      (13,242,879

Net Decrease in Net Assets

     (8,632,644      (19,296,623

NET ASSETS:

     

Beginning of period

   $ 34,420,488       $ 53,717,111   

End of period

   $ 25,787,844       $ 34,420,488   

Undistributed net investment income included in net assets at end of period

   $ 71,332       $ 852,852   

SHARES CREATED AND REDEEMED:

     

Shares outstanding, beginning of period

     1,700,000         2,400,000   

Shares created

             1,500,000   

Shares redeemed

     (300,000      (2,200,000

Shares outstanding, end of period

     1,400,000         1,700,000   

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      93   


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, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 20121
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 67.20      $ 65.72      $ 68.70      $ 64.05      $ 67.99      $ 61.40   

Investment operations:

           

Net investment income2

    1.69        2.29        2.25        2.27        2.14        2.51   

Net realized and unrealized gain (loss)

    (13.20     1.46        (3.01     4.65        (3.85     6.59   

Total from investment operations

    (11.51     3.75        (0.76     6.92        (1.71     9.10   

Dividends to shareholders:

           

Net investment income

    (1.69     (2.27     (2.22     (2.27     (2.23     (2.51

Net asset value, end of period

  $ 54.00      $ 67.20      $ 65.72      $ 68.70      $ 64.05      $ 67.99   

TOTAL RETURN3

    (17.35 )%      5.71     (0.98 )%      11.18     (2.22 )%      15.33

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 43,203      $ 47,037      $ 52,579      $ 96,187      $ 89,672      $ 88,388   

Ratios to average net assets4 of:

           

Expenses

    0.48 %5,6      0.49 %7      0.48 %6      0.48 %6      0.48     0.48

Net investment income

    5.25 %6      3.36     3.35 %6      3.53 %6      3.42     4.05

Portfolio turnover rate8

    6     17     21     26     60     27

 

         

WisdomTree China ex-State-Owned

Enterprises Fund

   For the
Six Months Ended
September 30, 2015
(unaudited)9
     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

   $ 55.28       $ 49.70       $ 51.90       $ 50.02   

Investment operations:

           

Net investment income (loss)2

     1.08         1.33         1.39         (0.14

Net realized and unrealized gain (loss)

     (12.81      5.48         (2.15      2.02   

Total from investment operations

     (11.73      6.81         (0.76      1.88   

Dividends to shareholders:

           

Net investment income

     (1.11      (1.23      (1.44        

Net asset value, end of period

   $ 42.44       $ 55.28       $ 49.70       $ 51.90   

TOTAL RETURN3

     (21.51 )%       13.86      (1.32 )%       3.76

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

   $ 8,487       $ 16,585       $ 17,396       $ 36,331   

Ratios to average net assets of:

           

Expenses, net of expense waivers

     0.59 %6       0.64 %10       0.63 %6       0.63 %6 

Expenses, prior to expense waivers

     0.63 %6       0.64 %10       0.63 %6       0.63 %6 

Net investment income (loss)

     3.91 %6       2.53      2.75 %6       (0.51 )%6 

Portfolio turnover rate8

     107      30      21      0
* 

Commencement of operations.

 

1 

The information reflects the investment objective and strategy of the WisdomTree Pacific ex-Japan Total Dividend Fund through June 19, 2011 and the investment objective and strategy of the WisdomTree Asia Pacific ex-Japan Fund thereafter.

 

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, 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 0.48%.

 

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, as well.

 

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 

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.

 

94   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 Commodity
Country Equity Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the
Period Ended
March 31, 2014
     For the
Period Ended
March 28, 2013
     For the
Year Ended
March 31, 20121
     For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 25.21       $ 30.75       $ 32.00       $ 31.44       $ 33.21       $ 28.90   

Investment operations:

                 

Net investment income2

     0.51         1.25         1.14         1.13         1.09         0.53   

Net realized and unrealized gain (loss)

     (4.80      (5.49      (1.29      0.56         (1.76      4.33   

Total from investment operations

     (4.29      (4.24      (0.15      1.69         (0.67      4.86   

Dividends to shareholders:

                 

Net investment income

     (0.56      (1.30      (1.10      (1.13      (1.10      (0.55

Net asset value, end of period

   $ 20.36       $ 25.21       $ 30.75       $ 32.00       $ 31.44       $ 33.21   

TOTAL RETURN3

     (17.30 )%       (14.32 )%       (0.22 )%       5.72      (1.77 )%       17.31

RATIOS/SUPPLEMENTAL DATA:

                 

Net assets, end of period (000’s omitted)

   $ 8,143       $ 11,346       $ 21,522       $ 23,999       $ 31,439       $ 43,172   

Ratios to average net assets4 of:

                 

Expenses5

     0.58 %6       0.59 %7       0.58 %6       0.58 %6       0.58      0.58

Net investment income

     4.20 %6       4.25      3.75 %6       3.71 %6       3.52      1.86

Portfolio turnover rate8

     3      20      23      22      116      35

 

       
WisdomTree Emerging Markets Consumer Growth Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the Period
September 27, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 24.89       $ 24.56       $ 24.79   

Investment operations:

        

Net investment income2

     0.36         0.48         0.17   

Net realized and unrealized gain (loss)

     (5.53      0.32         (0.33

Total from investment operations

     (5.17      0.80         (0.16

Dividends to shareholders:

        

Net investment income

     (0.45      (0.47      (0.07

Net asset value, end of period

   $ 19.27       $ 24.89       $ 24.56   

TOTAL RETURN3

     (21.00 )%       3.24      (0.63 )% 

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 11,561       $ 19,912       $ 19,647   

Ratios to average net assets of:

        

Expenses

     0.63 %6       0.64 %9       0.63 %6 

Net investment income

     3.06 %6       1.88      1.46 %6 

Portfolio turnover rate8

     5      41      7
* 

Commencement of operations.

 

1 

The information reflects the investment objective and strategy of the WisdomTree International Basic Materials Sector Fund through June 19, 2011 and the investment objective and strategy of the WisdomTree Commodity Country Equity Fund thereafter.

 

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 Commodity Country Equity 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 0.58%.

 

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, as well.

 

9 

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      95   


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 ex-State-Owned Enterprises Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the Period
December 10, 2014*
through
March 31, 2015
 

Net asset value, beginning of period

   $ 25.17       $ 24.59   

Investment operations:

     

Net investment income1

     0.22         0.07   

Net realized and unrealized gain (loss)

     (4.57      0.56   

Total from investment operations

     (4.35      0.63   

Dividends to shareholders:

     

Net investment income

     (0.72      (0.05

Net asset value, end of period

   $ 20.10       $ 25.17   

TOTAL RETURN2

     (17.70 )%       2.57

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000’s omitted)

   $ 2,010       $ 10,069   

Ratios to average net assets of:

     

Expenses

     0.58 %3       0.58 %3 

Net investment income

     1.77 %3       0.88 %3 

Portfolio turnover rate4

     23      2

 

             
WisdomTree Emerging Markets High
Dividend Fund
  For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 42.68      $ 49.23      $ 54.81      $ 57.34      $ 60.51      $ 52.02   

Investment operations:

           

Net investment income1

    1.38        2.16        2.16        1.78        2.25        1.89   

Net realized and unrealized gain (loss)

    (9.27     (6.57     (5.60     (2.50     (3.11     8.55   

Total from investment operations

    (7.89     (4.41     (3.44     (0.72     (0.86     10.44   

Dividends to shareholders:

           

Net investment income

    (1.37     (2.14     (2.14     (1.81     (2.31     (1.95

Net asset value, end of period

  $ 33.42      $ 42.68      $ 49.23      $ 54.81      $ 57.34      $ 60.51   

TOTAL RETURN2

    (18.79 )%      (9.40 )%      (6.22 )%      (1.05 )%      (1.03 )%      20.75

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 1,510,380      $ 2,159,557      $ 3,888,854      $ 5,475,068      $ 3,640,891      $ 1,325,257   

Ratios to average net assets5 of:

           

Expenses6

    0.63 %3      0.64 %7      0.63 %3      0.63 %3      0.63     0.63

Net investment income

    6.57 %3      4.45     4.20 %3      3.32 %3      4.12     3.47

Portfolio turnover rate4

    5     39     39     47     37     33
* 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 Emerging Markets High Dividend Fund, 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, as well.

 

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 proxy expenses. Without these proxy expenses, the expense ratio would have been 0.63%.

 

See Notes to Financial Statements.

 

96   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 Quality Dividend Growth Fund    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the Period
August 1, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

   $ 24.08       $ 24.92       $ 25.22   

Investment operations:

        

Net investment income1

     0.39         0.61         0.33   

Net realized and unrealized loss

     (4.75      (0.87      (0.42

Total from investment operations

     (4.36      (0.26      (0.09

Dividends to shareholders:

        

Net investment income

     (0.53      (0.58      (0.21

Net asset value, end of period

   $ 19.19       $ 24.08       $ 24.92   

TOTAL RETURN2

     (18.29 )%       (1.19 )%       (0.33 )% 

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000’s omitted)

   $ 28,779       $ 40,944       $ 19,939   

Ratios to average net assets of:

        

Expenses

     0.63 %3       0.64 %4       0.63 %3 

Net investment income

     3.35 %3       2.42      2.03 %3 

Portfolio turnover rate5

     9      47      3

 

             

WisdomTree Emerging Markets

SmallCap Dividend Fund

  For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 44.46      $ 46.40      $ 51.18      $ 47.80      $ 53.30      $ 44.51   

Investment operations:

           

Net investment income1

    0.98        1.32        1.40        1.15        1.47        1.32   

Net realized and unrealized gain (loss)

    (8.73     (1.97     (4.57     3.69        (5.31     8.86   

Total from investment operations

    (7.75     (0.65     (3.17     4.84        (3.84     10.18   

Dividends to shareholders:

           

Net investment income

    (1.04     (1.29     (1.61     (1.46     (1.66     (1.39

Net asset value, end of period

  $ 35.67      $ 44.46      $ 46.40      $ 51.18      $ 47.80      $ 53.30   

TOTAL RETURN2

    (17.63 )%      (1.51 )%      (6.08 )%      10.58     (6.88 )%      23.38

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 988,141      $ 1,413,669      $ 1,814,327      $ 1,474,099      $ 1,022,868      $ 927,463   

Ratios to average net assets6 of:

           

Expenses7

    0.63 %3      0.64 %4      0.63 %3      0.63 %3      0.63 %8      0.63 %8 

Net investment income

    4.58 %3      2.84     2.96 %3      2.49 %3      3.13     2.68

Portfolio turnover rate5

    4     42     26     44     53     35
* 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 Emerging Markets SmallCap 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 proxy expenses. Without these proxy expenses, the expense ratio would have been 0.63%.

 

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, as well.

 

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 

Reflects the Fund’s advisory fees, after waiver, and the fees and expenses of the WisdomTree India Earnings Fund that were paid indirectly by the Fund. The Fund invests a portion of its assets in the WisdomTree India Earnings Fund in order to achieve exposure to securities in India.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      97   


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. Hedged Dividend Fund    For the Period
June 4, 2015*
through
September 30,  2015
(unaudited)
 

Net asset value, beginning of period

   $ 24.76   

Investment operations:

  

Net investment income1

     0.22   

Net realized and unrealized loss

     (3.24

Total from investment operations

     (3.02

Dividends to shareholders:

  

Net investment income

     (0.04

Net asset value, end of period

   $ 21.70   

TOTAL RETURN2

     (12.21 )% 

RATIOS/SUPPLEMENTAL DATA:

  

Net assets, end of period (000’s omitted)

   $ 8,679   

Ratios to average net assets of:

  

Expenses

     0.44 %3,4 

Net investment income

     2.92 %3 

Portfolio turnover rate5

     5

 

             
WisdomTree Global ex-U.S.
Quality Dividend Growth Fund
 

For the

Six Months Ended
September 30, 2015
(unaudited)

    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

  $ 50.80      $ 51.68      $ 51.75      $ 50.70      $ 54.94      $ 49.61   

Investment operations:

           

Net investment income1

    0.69        1.05        1.38        1.34        1.39        1.41   

Net realized and unrealized gain (loss)

    (7.16     (0.91     (0.19     1.08        (4.32     5.22   

Total from investment operations

    (6.47     0.14        1.19        2.42        (2.93     6.63   

Dividends to shareholders:

           

Net investment income

    (0.79     (1.02     (1.26     (1.37     (1.31     (1.30

Net asset value, end of period

  $ 43.54      $ 50.80      $ 51.68      $ 51.75      $ 50.70      $ 54.94   

TOTAL RETURN2

    (12.91 )%      0.24     2.53     5.03     (5.20 )%      13.67

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000’s omitted)

  $ 74,016      $ 86,353      $ 62,012      $ 87,977      $ 55,774      $ 49,446   

Ratios to average net assets6 of:

           

Expenses, net of expense waivers

    0.58 %3,4      0.59 %7      0.58 %3      0.58 %3      0.58 %8      0.57 %8 

Expenses, prior to expense waivers

    0.58 %3,4      0.59 %7      0.58 %3      0.58 %3      0.58     0.58

Net investment income

    2.74 %3      2.05     2.73 %3      2.72 %3      2.73     2.80

Portfolio turnover rate5

    3     64     93     59     28     68

 

* 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 

Included in the expense ratio are non-recurring miscellaneous expenses (which are not annualized). 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, as well.

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 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.58%.

8 

Reflects the Fund’s advisory fees, after waiver, and the fees and expenses of the WisdomTree India Earnings Fund that were paid indirectly by the Fund. The Fund invests a portion of its assets in the WisdomTree India Earnings Fund in order to achieve exposure to securities in India.

 

See Notes to Financial Statements.

 

98   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, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 20121
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 29.65      $ 27.77      $ 29.90      $ 26.40      $ 28.86      $ 26.75   

Investment operations:

            

Net investment income2

     0.56        1.54        0.96        0.97        1.15        0.96   

Net realized and unrealized gain (loss)

     (3.71     1.75        (1.84     4.87        (2.32     3.83   

Total from investment operations

     (3.15     3.29        (0.88     5.84        (1.17     4.79   

Dividends and distributions to shareholders:

            

Net investment income

     (0.53     (1.41     (1.17     (2.34     (1.21     (2.68

Return of capital

                   (0.08            (0.08       

Total dividends and distributions to shareholders

     (0.53     (1.41     (1.25     (2.34     (1.29     (2.68

Net asset value, end of period

   $ 25.97      $ 29.65      $ 27.77      $ 29.90      $ 26.40      $ 28.86   

TOTAL RETURN3

     (10.72 )%      12.08     (2.70 )%      22.62     (3.99 )%      18.81

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 107,758      $ 121,560      $ 127,724      $ 113,631      $ 108,221      $ 122,670   

Ratios to average net assets4 of:

            

Expenses5

     0.58 %6,7      0.59 %8      0.58 %6      0.58 %6      0.58     0.58

Net investment income

     3.91 %6      5.21     3.37 %6      3.42 %6      4.36     3.48

Portfolio turnover rate9

     6     26     18     23     43     18

 

             
WisdomTree Global ex-U.S.
Utilities Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 201210
     For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 17.50      $ 19.51      $ 17.83      $ 18.90      $ 21.33       $ 21.46   

Investment operations:

             

Net investment income2

     0.44        0.85        0.76        0.74        0.87         0.84   

Net realized and unrealized gain (loss)

     (1.65     (2.03     1.69        (1.07     (2.45      (0.06

Total from investment operations

     (1.21     (1.18     2.45        (0.33     (1.58      0.78   

Dividends to shareholders:

             

Net investment income

     (0.42     (0.83     (0.77     (0.74     (0.85      (0.91

Net asset value, end of period

   $ 15.87      $ 17.50      $ 19.51      $ 17.83      $ 18.90       $ 21.33   

TOTAL RETURN3

     (7.11 )%      (6.44 )%      14.34     (1.54 )%      (7.41 )%       4.27

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 19,837      $ 20,125      $ 30,247      $ 37,434      $ 30,241       $ 37,335   

Ratios to average net assets4 of:

             

Expenses5

     0.58 %6,7      0.59 %8      0.58 %6      0.58 %6      0.58      0.58

Net investment income

     5.01 %6      4.41     4.18 %6      4.21 %6      4.48      4.22

Portfolio turnover rate9

     3     36     37     33     66      19
1 

The information reflects the investment objective and strategy of the WisdomTree International Real Estate Fund through June 19, 2011 and the investment objective and strategy of the WisdomTree Global ex-U.S. Real Estate Fund thereafter.

 

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, 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 non-recurring miscellaneous expenses (which are not annualized). 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%.

 

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, as well.

 

10 

The information reflects the investment objective and strategy of the WisdomTree International Utilities Sector Fund through June 19, 2011 and the investment objective and strategy of the WisdomTree Global ex-U.S. Utilities Fund thereafter.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      99   


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 High
Dividend Fund
  

For the

Six Months Ended
September 30, 2015

(unaudited)

    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 44.23      $ 47.51      $ 44.03      $ 41.50      $ 44.66      $ 40.99   

Investment operations:

            

Net investment income1

     1.09        1.83        2.11        1.68        1.86        1.52   

Net realized and unrealized gain (loss)

     (5.85     (3.28     3.46        2.51        (3.14     3.63   

Total from investment operations

     (4.76     (1.45     5.57        4.19        (1.28     5.15   

Dividends to shareholders:

            

Net investment income

     (1.14     (1.83     (2.09     (1.66     (1.88     (1.48

Net asset value, end of period

   $ 38.33      $ 44.23      $ 47.51      $ 44.03      $ 41.50      $ 44.66   

TOTAL RETURN2

     (10.99 )%      (3.23 )%      13.13     10.51     (2.70 )%      13.12

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 101,581      $ 101,718      $ 123,527      $ 103,473      $ 91,304      $ 78,147   

Ratios to average net assets3 of:

            

Expenses4

     0.58 %5,6      0.59 %7      0.58 %6      0.58 %6      0.58     0.58

Net investment income

     4.96 %6      3.91     4.60 %6      4.10 %6      4.53     3.74

Portfolio turnover rate8

     6     30     25     32     25     35

 

             
WisdomTree Global Natural
Resources Fund
  

For the
Six Months Ended
September 30, 2015

(unaudited)

    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 20129
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 15.62      $ 21.32      $ 22.69      $ 25.16      $ 29.86      $ 24.63   

Investment operations:

            

Net investment income1

     0.37        0.72        0.74        0.80        0.93        0.72   

Net realized and unrealized gain (loss)

     (3.86     (5.67     (1.39     (2.45     (4.74     5.19   

Total from investment operations

     (3.49     (4.95     (0.65     (1.65     (3.81     5.91   

Dividends and distributions to shareholders:

            

Net investment income

     (0.34     (0.75     (0.72     (0.82     (0.89     (0.68

Return of capital

                          (0.00 )10               

Total dividends and distributions to shareholders

     (0.34     (0.75     (0.72     (0.82     (0.89     (0.68

Net asset value, end of period

   $ 11.79      $ 15.62      $ 21.32      $ 22.69      $ 25.16      $ 29.86   

TOTAL RETURN2

     (22.74 )%      (23.84 )%      (2.72 )%      (6.55 )%      (12.70 )%      24.74

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 15,333      $ 17,967      $ 22,383      $ 24,964      $ 31,452      $ 49,273   

Ratios to average net assets3 of:

            

Expenses4

     0.58 %5,6      0.59 %7      0.58 %6      0.58 %6      0.58     0.58

Net investment income

     4.93 %6      3.64     3.45 %6      3.45 %6      3.54     2.90

Portfolio turnover rate8

     5     34     30     38     99     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 

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 

Included in the expense ratio are non-recurring miscellaneous expenses (which are not annualized). Without these expenses, 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 0.58%.

 

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, as well.

 

9 

The information reflects the investment objective and strategy of the WisdomTree International Energy Sector Fund through June 19, 2011 and the investment objective and strategy of the WisdomTree Global Natural Resources Fund thereafter.

 

10 

Amount represents less than $0.005.

 

See Notes to Financial Statements.

 

100   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


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, 2015

(unaudited)

    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
    For the
Year Ended
March 31, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 22.64      $ 18.93      $ 17.97      $ 19.24      $ 24.87      $ 23.25   

Investment operations:

            

Net investment income1

     0.15        0.22        0.25        0.17        0.19        0.09   

Net realized and unrealized gain (loss)

     (2.87     3.65        0.94        (1.29     (5.65     1.67   

Total from investment operations

     (2.72     3.87        1.19        (1.12     (5.46     1.76   

Dividends to shareholders:

            

Net investment income

     (0.18     (0.16     (0.23     (0.15     (0.17     (0.14

Net asset value, end of period

   $ 19.74      $ 22.64      $ 18.93      $ 17.97      $ 19.24      $ 24.87   

TOTAL RETURN2

     (12.03 )%      20.44     6.81     (5.80 )%      (21.96 )%      7.59

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 1,705,266      $ 2,372,406      $ 939,064      $ 1,071,074      $ 916,024      $ 1,487,089   

Ratios to average net assets of:

            

Expenses, net of expense reimbursements

     0.84 %3,4      0.84 %4,5      0.84 %4      0.84 %6      0.76 %6,7      0.88 %6 

Expenses, prior to expense reimbursements

     0.84 %3,4      0.84 %4,5      0.84 %4      0.86 %6      0.82 %6      0.88 %6 

Net investment income

     1.40 %3      0.99     1.49     0.91     0.91     0.36

Portfolio turnover rate8

     27     26     43     27     32     38

 

             
WisdomTree Middle East
Dividend Fund
  

For the
Six Months Ended
September 30, 2015

(unaudited)

    For the
Year Ended
March 31, 2015
    For the
Period Ended
March 31, 2014
    For the
Period Ended
March 28, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 20.25      $ 22.38      $ 16.11      $ 15.60      $ 16.31      $ 15.64   

Investment operations:

            

Net investment income1

     0.14        0.67        1.28        0.63        0.83        0.68   

Net realized and unrealized gain (loss)

     (1.34     (2.06     5.71        0.59        (0.61     0.49   

Total from investment operations

     (1.20     (1.39     6.99        1.22        0.22        1.17   

Dividends to shareholders:

            

Net investment income

     (0.63     (0.74     (0.72     (0.71     (0.93     (0.50

Net asset value, end of period

   $ 18.42      $ 20.25      $ 22.38      $ 16.11      $ 15.60      $ 16.31   

TOTAL RETURN2

     (6.16 )%      (6.28 )%      44.12     8.46     1.35     7.95

RATIOS/SUPPLEMENTAL DATA:

            

Net assets, end of period (000’s omitted)

   $ 25,788      $ 34,420      $ 53,717      $ 14,498      $ 14,038      $ 19,571   

Ratios to average net assets of:

            

Expenses, net of expense waivers

     0.88 %3      0.89 %5      0.88 %3      0.88 %3      0.88     0.88

Expenses, prior to expense waivers

     0.88 %3      0.89 %5      0.88 %3      1.35 %3      1.83     2.17

Net investment income

     1.38 %3      2.93     6.61 %3      4.26 %3      5.31     4.33

Portfolio turnover rate8

     2     89     26     52     37     50
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 reimbursed/waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

 

3 

Annualized.

 

4 

Includes interest expense of 0.01%, 0.01% and 0.01% for the six months ended September 30, 2015 and fiscal years ended 2015 and 2014, respectively.

 

5 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.84% and 0.88%, for WisdomTree India Earnings Fund and WisdomTree Middle East Dividend Fund, respectively.

 

6 

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%, 0.06% and 0.04% for the fiscal years ended 2013, 2012 and 2011.

 

7 

During the period, the Fund was reimbursed for certain expenses that occurred during the previous fiscal year.

 

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, as well.

 

See Notes to Financial Statements.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      101   


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, 2015, the Trust offered 79 investment funds (each a “Fund”, collectively, the “Funds”). In accordance with Accounting Standard Update (“ASU”) 2013-08, Financial Services-Investment Companies, each Fund 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”)
(formerly, WisdomTree China Dividend ex-Financials Fund)

     September 19, 2012   

WisdomTree Commodity Country Equity Fund (“Commodity Country Equity Fund”)

     October 13, 2006   

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”)
(formerly, WisdomTree Emerging Markets Equity Income Fund)

     July 13, 2007   

WisdomTree Emerging Markets Quality Dividend Growth Fund (“Emerging Markets Quality Dividend Growth Fund”)
(formerly, WisdomTree Emerging Markets 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. Hedged Dividend Fund (“Global ex-U.S. Hedged Dividend Fund”)

     June 4, 2015   

WisdomTree Global ex-U.S. Quality Dividend Growth Fund (“Global ex-U.S. Quality Dividend Growth Fund”)
(formerly, WisdomTree Global ex-U.S. 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 ex-U.S. Utilities Fund (“Global ex-U.S. Utilities Fund”)

     October 13, 2006   

WisdomTree Global High Dividend Fund (“Global High Dividend Fund”)
(formerly, WisdomTree Global Equity Income Fund)

     June 16, 2006   

WisdomTree Global Natural Resources Fund (“Global Natural Resources Fund”)

     October 13, 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. 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”). For the India Earnings Fund, the accompanying financial statements reflect the financial position of the Fund and the results of operations on a consolidated basis with the Portfolio. All inter-company accounts and transactions have been eliminated in the consolidation.

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 mark 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.

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.

 

102   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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 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. 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 affiliated ETFs which are valued at their last sale or official closing price on the exchange on which they are principally traded. Fixed income securities (including short-term debt securities with remaining maturities of 60 days or less) 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. Forward foreign currency contracts are valued daily using WM/Reuters closing spot and forward rates as of 4:00 p.m. London time, except, forward foreign currency contracts on Asian currencies for Global ex-U.S. Hedged Dividend Fund are valued using WM/Reuters closing spot and forward rates as of 2:00 p.m. Singapore 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 and derivatives will be fair valued in accordance with the Fund’s pricing policy. The Board of Trustees of the Trust has established a pricing committee (the “Pricing Committee”) which is comprised of senior representatives of WisdomTree Asset Management, Inc. (“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)

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      103   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

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 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, book values, 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, 2015 in valuing each Fund’s assets:

 

Asia Pacific ex-Japan Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Australia

   $ 8,854,657       $ 67,542       $   

Other*

     32,743,841                   

Rights*

             0           

Exchange-Traded Funds and Notes

     1,402,760                   

Investment of Cash Collateral for Securities Loaned

             4,091,789           

Total

   $ 43,001,258       $ 4,159,331       $   

Unrealized Depreciation on Forward Foreign Currency Contracts

             (84        

Total - Net

   $ 43,001,258       $ 4,159,247       $   

 

104   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

China ex-State-Owned Enterprises Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Pharmaceuticals

   $ 279,225       $       $ 21,395 ** 

Semiconductors & Semiconductor Equipment

     30,953                 70,294 ** 

Other*

     8,048,585                   

Investment of Cash Collateral for Securities Loaned

             465,220           

Total

   $ 8,358,763       $ 465,220       $ 91,689   

Unrealized Depreciation on Forward Foreign Currency Contracts

             (0        

Total - Net

   $ 8,358,763       $ 465,220       $ 91,689   
                      
Commodity Country Equity Fund    Level 1      Level 2      Level 3  

Common Stocks

                 

Australia

   $ 954,899       $ 6,301       $   

Other*

     7,133,789                   

Investment of Cash Collateral for Securities Loaned

             657,438           

Total

   $ 8,088,688       $ 663,739       $   

Unrealized Appreciation on Forward Foreign Currency Contracts

             1           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (45        

Total - Net

   $ 8,088,688       $ 663,695       $   
                      
Emerging Markets Consumer Growth Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

China

   $ 3,251,153       $       $ 11,406 ** 

Other*

     8,261,111                   

Rights*

     255                   

Warrants*

     73                   

Investment of Cash Collateral for Securities Loaned

             443,774           

Total

   $ 11,512,592       $ 443,774       $ 11,406   
                      
Emerging Markets ex-State-Owned Enterprises Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

China

   $ 383,595       $       $ 35,223 ** 

Other*

     1,586,667                   

Investment of Cash Collateral for Securities Loaned

             8,414           

Total

   $ 1,970,262       $ 8,414       $ 35,223   

Unrealized Appreciation on Forward Foreign Currency Contracts

             0           

Total - Net

   $ 1,970,262       $ 8,414       $ 35,223   
                      
Emerging Markets High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,500,090,372       $       $   

Exchange-Traded Fund

     2,106,204                   

Investment of Cash Collateral for Securities Loaned

             78,341,141           

Total

   $ 1,502,196,576       $ 78,341,141       $   

Unrealized Appreciation on Forward Foreign Currency Contracts

             6           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (4,665        

Total - Net

   $ 1,502,196,576       $ 78,336,482       $   

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      105   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Emerging Markets Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 27,616,975       $       $   

Exchange-Traded Note

     1,085,220                   

Investment of Cash Collateral for Securities Loaned

             1,740,408           

Total

   $ 28,702,195       $ 1,740,408       $   
                      
Emerging Markets SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

China

   $ 85,468,824       $       $ 3,012,114 ** 

Taiwan

     256,132,693         870,527           

Other*

     628,396,907                   

Rights*

             173,180           

Exchange-Traded Funds and Notes

     10,226,581                   

Investment of Cash Collateral for Securities Loaned

             74,556,301           

Total

   $ 980,225,005       $ 75,600,008       $ 3,012,114   

Unrealized Depreciation on Forward Foreign Currency Contracts

             (1,519        

Total - Net

   $ 980,225,005       $ 75,598,489       $ 3,012,114   
                      
Global ex-U.S. Hedged Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks

                          

Australia

   $ 342,695       $ 3,967       $   

Other*

     8,167,421                   

Exchange-Traded Fund

     109,537                   

Investment of Cash Collateral for Securities Loaned

             97,950           

Total

   $ 8,619,653       $ 101,917       $   

Unrealized Appreciation on Forward Foreign Currency Contracts

             65,052           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (27,261        

Total - Net

   $ 8,619,653       $ 139,708       $   
                      
Global ex-U.S. Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 72,070,958       $       $   

Exchange-Traded Funds and Notes

     1,736,034                   

Investment of Cash Collateral for Securities Loaned

             7,521,853           

Total

   $ 73,806,992       $ 7,521,853       $   

Unrealized Depreciation on Forward Foreign Currency Contracts

             (681        

Total - Net

   $ 73,806,992       $ 7,521,172       $   
                      
Global ex-U.S. Real Estate Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 107,410,937       $       $   

Warrants*

     4,254                   

Investment of Cash Collateral for Securities Loaned

             4,458,235           

Total

   $ 107,415,191       $ 4,458,235       $   

Unrealized Appreciation on Forward Foreign Currency Contracts

             18           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (29        

Total - Net

   $ 107,415,191       $ 4,458,224       $   

 

106   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Global ex-U.S. Utilities Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 19,523,234       $       $   

Exchange-Traded Funds and Notes

     249,347                   

Investment of Cash Collateral for Securities Loaned

             3,143,088           

Total

   $ 19,772,581       $ 3,143,088       $   

Unrealized Depreciation on Forward Foreign Currency Contracts

             (6        

Total - Net

   $ 19,772,581       $ 3,143,082       $   
                      
Global High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 100,771,052       $       $   

Exchange-Traded Funds

     437,468                   

Investment of Cash Collateral for Securities Loaned

             4,343,126           

Total

   $ 101,208,520       $ 4,343,126       $   

Unrealized Appreciation on Forward Foreign Currency Contracts

             9,772           

Unrealized Depreciation on Forward Foreign Currency Contracts

             (486        

Total - Net

   $ 101,208,520       $ 4,352,412       $   
                      
Global Natural Resources Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 15,201,185       $       $   

Exchange-Traded Funds and Notes

     65,331                   

Investment of Cash Collateral for Securities Loaned

             2,221,104           

Total

   $ 15,266,516       $ 2,221,104       $   
                      
India Earnings Fund (consolidated)    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,700,790,747       $       $   

Total

   $ 1,700,790,747       $       $   

Unrealized Depreciation on Forward Foreign Currency Contracts

             (10,488        

Total - Net

   $ 1,700,790,747       $ (10,488    $   
                      
Middle East Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 25,647,684       $       $   

Convertible Bonds

             22,199           

Total

   $ 25,647,684       $ 22,199       $   

Unrealized Appreciation on Forward Foreign Currency Contracts

             428           

Total - Net

   $ 25,647,684       $ 22,627       $   
  * Please refer to Schedule of Investments for a breakdown of the valuation by industry type and country.

 

  ** Security is being fair valued by the Pricing Committee.

The following is a summary of transfers between fair value measurement levels that occurred during six months ended September 30, 2015. 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
     Transfers from
Level 1 to Level 32
     Transfers from
Level 2 to Level 13
 

WisdomTree Asia Pacific ex-Japan Fund

   $ 73,494       $       $   

WisdomTree China ex-State-Owned Enterprises Fund

             478,680         75,019   

WisdomTree Commodity Country Equity Fund

     11,448                   

WisdomTree Emerging Markets Consumer Growth Fund

             10,898         59,942   

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund

             117,995         11,670   

WisdomTree Emerging Markets SmallCap Dividend Fund

     1,562,274         2,896,175         1,173,629   

WisdomTree Middle East Dividend Fund

                     131,628   
  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, 2015.

 

  2

Transfers from Level 1 to Level 3 are as a result of the unavailability of a quoted price in an active market for identical investments as of September 30, 2015.

 

  3

Transfers from Level 2 to Level 1 are as a result of the availability of a quoted price in an active market for identical investments as of September 30, 2015.

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      107   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

The following is a reconciliation of assets in which significant unobservable inputs (Level 3) were used in determining fair value:

 

      Common Stocks  
China ex-State-Owned Enterprises Fund    Pharmaceuticals      Semiconductors &
Semiconductor Equipment
 

Balance as of March 31, 2015

   $       $   

Realized gain (loss)

               

Change in unrealized appreciation (depreciation)

     (5,339      (381,652

Purchases

               

Sales

               

Transfers into Level 3

     26,734         451,946   

Transfers out of Level 3

               

Balance as of September 30, 2015

   $ 21,395       $ 70,294   

Net change in unrealized appreciation (depreciation) from investments still held as of September 30, 2015 is:

   $ (5,339    $ (381,652

 

      Common Stocks  
Emerging Markets ex-State-Owned Enterprises Fund    China  

Balance as of March 31, 2015

   $   

Realized gain (loss)

       

Change in unrealized appreciation (depreciation)

     (82,772

Purchases

       

Sales

       

Transfers into Level 3

     117,995   

Transfers out of Level 3

       

Balance as of September 30, 2015

   $ 35,223   

Net change in unrealized appreciation (depreciation) from investments still held as of September 30, 2015 is:

   $ (82,772

The following is a summary of the significant unobservable inputs used as of September 30, 2015 in valuing Level 3 securities:

 

     Fund    Fair
Value
    Valuation
Technique
     Unobservable
Input
   Range of Input Values      Weighted
Average of
Input
Values
     Impact to
Fair Value from an
Increase
in Input

China ex-State-Owned Enterprises Fund

                   

Common Stocks

                   

Pharmaceuticals

   $ 21,395        Market Approach       Last Close      4.41 HKD         4.41 HKD         4.41 HKD       Increase
                        Discount to
Last Close
     0%         20%         4%       Decrease

Semiconductors & Semiconductor
Equipment

     70,294        Market Approach       Last Close      2.17 HKD         3.91 HKD         2.95 HKD       Increase
    

 

 

                  

Total

   $ 91,689                    
    

 

 

                  

Emerging Markets ex-State-Owned Enterprises Fund

                   

Common Stocks

                   

China

   $ 20,940        Market Approach       Last Close      4.41 HKD         4.41 HKD         4.41 HKD       Increase
                Discount to
Last Close
     0%         20%         4%       Decrease
       14,283        Market Approach       Last Close      2.17 HKD         3.91 HKD         2.95 HKD       Increase
    

 

 

                  

Total

   $ 35,223                    
    

 

 

                  

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 forward foreign currency contracts during the six months or period ended September 30, 2015 which are detailed in the tables herein. All of the derivative instruments disclosed and described herein are subject to risk. Risks may arise upon entering into forward foreign currency contracts from the potential inability of a counterparty to meet the terms of their contracts

 

108   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

and from unanticipated movements in the value of foreign currencies relative to the U.S. dollar or each other. The Funds’ derivative agreements 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, 2015 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 122 and 123. At September 30, 2015, 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.

As of September 30, 2015, 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 forward foreign currency contracts    $       Unrealized depreciation on forward foreign currency contracts    $ 84   

China ex-State-Owned Enterprises Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts            Unrealized depreciation on forward foreign currency contracts      0   

Commodity Country Equity Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      1       Unrealized depreciation on forward foreign currency contracts      45   

Emerging Markets ex-State-Owned Enterprises Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      0       Unrealized depreciation on forward foreign currency contracts        

Emerging Markets High Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      6       Unrealized depreciation on forward foreign currency contracts      4,665   

Emerging Markets SmallCap Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts            Unrealized depreciation on forward foreign currency contracts      1,519   

Global ex-U.S. Hedged Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      65,052       Unrealized depreciation on forward foreign currency contracts      27,261   

Global ex-U.S. Quality Dividend Growth Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts            Unrealized depreciation on forward foreign currency contracts      681   

Global ex-U.S. Real Estate Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      18       Unrealized depreciation on forward foreign currency contracts      29   

Global ex-U.S. Utilities Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts            Unrealized depreciation on forward foreign currency contracts      6   

Global High Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      9,772       Unrealized depreciation on forward foreign currency contracts      486   

India Earnings Fund (consolidated)

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts            Unrealized depreciation on forward foreign currency contracts      10,488   

Middle East Dividend Fund

           

Foreign exchange contracts

   Unrealized appreciation on forward foreign currency contracts      428       Unrealized depreciation on forward foreign currency contracts        

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      109   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

For the six months or period ended September 30, 2015, the effect 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

   $ (2,522    $ 84   

China ex-State-Owned Enterprises Fund

     

Foreign exchange contracts

     173         3   

Commodity Country Equity Fund

     

Foreign exchange contracts

     2,460         (9

Emerging Markets Consumer Growth Fund

     

Foreign exchange contracts

     15,116         (780

Emerging Markets ex-State-Owned Enterprises Fund

     

Foreign exchange contracts

     (922        

Emerging Markets High Dividend Fund

     

Foreign exchange contracts

     532,694         916   

Emerging Markets Quality Dividend Growth Fund

     

Foreign exchange contracts

     437         (262

Emerging Markets SmallCap Dividend Fund

     

Foreign exchange contracts

     (18,467      (4,927

Global ex-U.S. Hedged Dividend Fund3

     

Foreign exchange contracts

     5,805         37,791   

Global ex-U.S. Quality Dividend Growth Fund

     

Foreign exchange contracts

     22,608         (681

Global ex-U.S. Real Estate Fund

     

Foreign exchange contracts

     (23,959      1,816   

Global ex-U.S. Utilities Fund

     

Foreign exchange contracts

     558         3   

Global High Dividend Fund

     

Foreign exchange contracts

     19,149         9,319   

Global Natural Resources Fund

     

Foreign exchange contracts

     3,519         (10

India Earnings Fund (consolidated)

     

Foreign exchange contracts

     (2,334,077      (10,488

Middle East Dividend Fund

     

Foreign exchange contracts

     (10,231      460   
  1 

Realized gains (losses) on derivatives are located on the Statement of Operations as follows:

 

Foreign exchange contracts

   Net realized gain (loss) from forward foreign currency contracts and foreign currency related transactions
  2 

Change in unrealized appreciation (depreciation) is located on the Statement of Operations as follows:

 

Foreign exchange contracts

   Net change in unrealized appreciation (depreciation) from forward foreign currency contracts and translation of assets and liabilities denominated in foreign currencies
  3 

For the period June 4, 2015 (commencement of operations) through September 30, 2015.

 

110   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

During the six months or period ended September 30, 2015, the volume of derivative activity (based on the average of month-end balances) for the Funds was as follows:

 

      Average Notional  
Fund   

Forward foreign

currency
contracts

(to deliver)

    

Forward foreign

currency

contracts

(to receive)

 

Asia Pacific ex-Japan Fund

     

Foreign exchange contracts

   $ 24,733       $ 13,840   

China ex-State-Owned Enterprises Fund

     

Foreign exchange contracts

             3,612   

Commodity Country Equity Fund

     

Foreign exchange contracts

     8,203         9,808   

Emerging Markets Consumer Growth Fund

     

Foreign exchange contracts

     12,017         17,156   

Emerging Markets ex-State-Owned Enterprises Fund

     

Foreign exchange contracts

     855         425,983   

Emerging Markets High Dividend Fund

     

Foreign exchange contracts

     1,977,650         3,854,959   

Emerging Markets Quality Dividend Growth Fund

     

Foreign exchange contracts

     937         34,694   

Emerging Markets SmallCap Dividend Fund

     

Foreign exchange contracts

     996,037         1,761,648   

Global ex-U.S. Hedged Dividend Fund1

     

Foreign exchange contracts

     5,745,641         11,240,489   

Global ex-U.S. Quality Dividend Growth Fund

     

Foreign exchange contracts

             118,158   

Global ex-U.S. Real Estate Fund

     

Foreign exchange contracts

     164,226         132,880   

Global ex-U.S. Utilities Fund

     

Foreign exchange contracts

     4,484         5,090   

Global High Dividend Fund

     

Foreign exchange contracts

     121,298         76,529   

Global Natural Resources Fund

     

Foreign exchange contracts

     25,784         28,154   

India Earnings Fund (consolidated)

     

Foreign exchange contracts

             561,971   

Middle East Dividend Fund

     

Foreign exchange contracts

     13,453         56,783   
  1 

For the period June 4, 2015 (commencement of operations) through September 30, 2015.

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 is recognized on the ex-dividend date, net of any foreign taxes withheld. Interest income including amortization of premiums and discounts, 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 change in unrealized appreciation (depreciation) from investment transactions, respectively, on the Statement of Operations. Net realized and unrealized foreign exchange gains or losses arising from sales of foreign currencies, including gains and losses of forward foreign currency contracts, currency gains or losses recognized between the trade and settlement dates on investment transactions, and the difference between the amounts of dividends 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 forward foreign currency contracts and foreign currency related transactions and/or net change in unrealized appreciation (depreciation) from forward foreign currency contracts and translation of assets and liabilities denominated in foreign

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      111   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

currencies in the Statement 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 Emerging Markets Consumer Growth Fund, Emerging Markets Quality Dividend Growth Fund and Global ex-U.S. Hedged Dividend Fund, 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 Emerging Markets Consumer Growth Fund, Emerging Markets Quality Dividend Growth Fund and Global ex-U.S. Hedged Dividend Fund, 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.

The internal expenses of pooled investment vehicles in which the Funds may invest (acquired fund fees and expenses) are not 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 forward foreign currency contracts to facilitate local securities settlements or to protect against currency exposure in connection with distributions to shareholders. 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 — A forward foreign currency contract (“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. Realized gains and losses on Forward Contracts include net gains or losses recognized by the Funds on contracts which have matured or were sold.

 

112   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

The following Forward Contracts were open at September 30, 2015:

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Asia Pacific ex-Japan Fund

                                               
     10/1/2015      AUD        36,500         USD        25,549       $ (84

China ex-State-Owned Enterprises Fund

                                               
     10/2/2015      HKD        38,751         USD        5,000       $   

Commodity Country Equity Fund

                                               
   10/1/2015      AUD        7,600         USD        5,311       $ (26
   10/1/2015      CAD        2,145         NOK        13,500         (17
   10/2/2015      CAD        1,300         USD        970         1   
   10/2/2015      NZD        3,000         USD        1,918         (2
   10/2/2015      NZD        339         ZAR        3,000           
                                            $ (44

Emerging Markets ex-State-Owned Enterprises Fund

                                               
     10/2/2015      HKD        2,589         USD        334       $   

Emerging Markets High Dividend Fund

                                               
   10/1/2015      USD        353,467         CZK        8,534,454       $ (2,902
   10/1/2015      USD        75,843         TWD        2,497,499         6   
   10/2/2015      HKD        3,272,526         USD        422,251         (8
   10/2/2015      KRW        22,555,974         USD        18,868         (162
   10/2/2015      TWD        929,653         USD        28,231         (2
   10/2/2015      USD        408,003         CZK        9,894,075         (1,591
                                            $ (4,659

Emerging Markets SmallCap Dividend Fund

                                               
   10/1/2015      PHP        7,000,000         USD        149,067       $ (697
   10/2/2015      TWD        62,407,165         USD        1,895,146         (144
   10/5/2015      BRL        1,871,703         USD        469,746         (301
   10/5/2015      KRW        961,422,029         USD        811,053         (68
   10/5/2015      MYR        1,836,628         USD        417,511         (309
                                            $ (1,519

Global ex-U.S. Hedged Dividend Fund

                                               
   10/1/2015      AUD        2,829         USD        1,987       $   
   10/1/2015      CAD        2,286         USD        1,705           
   10/1/2015      USD        3,048         KRW        3,610,880         (1
   10/2/2015      CHF        2,357         SEK        20,244         1   
   10/2/2015      CHF        155,451         USD        160,892         1,798   
   10/2/2015      CHF        118,433         USD        122,589         1,381   
   10/2/2015      CHF        155,439         USD        160,892         1,810   
   10/2/2015      CHF        155,441         USD        160,892         1,808   
   10/2/2015      CHF        155,436         USD        160,892         1,813   
   10/2/2015      CZK        23,562         USD        977         9   
   10/2/2015      CZK        18,043         USD        748         7   
   10/2/2015      CZK        23,550         USD        977         10   
   10/2/2015      CZK        23,567         USD        977         9   
   10/2/2015      CZK        23,564         USD        977         9   
   10/2/2015      DKK        182,001         USD        27,341         109   
   10/2/2015      DKK        182,009         USD        27,341         107   
   10/2/2015      DKK        138,679         USD        20,833         83   
   10/2/2015      DKK        182,006         USD        27,341         108   
   10/2/2015      DKK        181,996         USD        27,341         109   
   10/2/2015      EUR        399,413         USD        447,754         1,910   

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      113   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Global ex-U.S. Hedged Dividend Fund (continued)

  

        
   10/2/2015      EUR        399,415         USD        447,754       $ 1,907   
   10/2/2015      EUR        304,316         USD        341,150         1,457   
   10/2/2015      EUR        399,412         USD        447,754         1,911   
   10/2/2015      EUR        399,425         USD        447,754         1,896   
   10/2/2015      GBP        195,426         USD        300,492         4,470   
   10/2/2015      GBP        148,888         USD        228,950         3,422   
   10/2/2015      GBP        195,402         USD        300,492         4,506   
   10/2/2015      GBP        195,412         USD        300,492         4,491   
   10/2/2015      GBP        195,402         USD        300,492         4,507   
   10/2/2015      GBP        1,135         USD        1,719           
   10/2/2015      HKD        12,247         USD        1,580           
   10/2/2015      HUF        95,717         USD        342         1   
   10/2/2015      HUF        124,761         USD        446         1   
   10/2/2015      HUF        124,818         USD        446         1   
   10/2/2015      HUF        124,826         USD        446         1   
   10/2/2015      HUF        124,808         USD        446         1   
   10/2/2015      NOK        82,360         USD        9,816         161   
   10/2/2015      NOK        62,770         USD        7,481         122   
   10/2/2015      NOK        82,360         USD        9,816         161   
   10/2/2015      NOK        82,360         USD        9,816         161   
   10/2/2015      NOK        82,358         USD        9,816         161   
   10/2/2015      PHP        853,663         USD        18,194         (69
   10/2/2015      PLN        13,379         USD        3,543         25   
   10/2/2015      PLN        10,204         USD        2,702         19   
   10/2/2015      PLN        13,375         USD        3,543         26   
   10/2/2015      PLN        13,379         USD        3,543         25   
   10/2/2015      PLN        13,380         USD        3,543         24   
   10/2/2015      SEK        389,999         USD        45,994         (506
   10/2/2015      SEK        297,177         USD        35,046         (387
   10/2/2015      SEK        389,994         USD        45,994         (506
   10/2/2015      SEK        390,003         USD        45,994         (507
   10/2/2015      SEK        389,980         USD        45,994         (504
   10/2/2015      TRY        9,289         USD        3,161         94   
   10/2/2015      TRY        7,089         USD        2,412         71   
   10/2/2015      TRY        9,287         USD        3,161         95   
   10/2/2015      TRY        9,290         USD        3,161         94   
   10/2/2015      TRY        9,288         USD        3,161         94   
   10/2/2015      USD        160,892         CHF        157,200         (8
   10/2/2015      USD        160,892         CHF        157,203         (5
   10/2/2015      USD        122,589         CHF        119,779         (3
   10/2/2015      USD        160,892         CHF        157,208           
   10/2/2015      USD        160,892         CHF        157,208           
   10/2/2015      USD        977         CZK        23,784           
   10/2/2015      USD        977         CZK        23,783           
   10/2/2015      USD        748         CZK        18,210           
   10/2/2015      USD        977         CZK        23,785           
   10/2/2015      USD        977         CZK        23,785           
   10/2/2015      USD        27,341         DKK        182,718         (1
   10/2/2015      USD        27,341         DKK        182,580         (22
   10/2/2015      USD        20,833         DKK        139,229           

 

114   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Global ex-U.S. Hedged Dividend Fund (continued)

  

        
   10/2/2015      USD        27,341         DKK        182,727       $   
   10/2/2015      USD        27,341         DKK        182,727           
   10/2/2015      USD        447,754         EUR        401,102         (24
   10/2/2015      USD        447,754         EUR        401,112         (13
   10/2/2015      USD        341,150         EUR        305,614         (9
   10/2/2015      USD        447,754         EUR        401,123           
   10/2/2015      USD        447,754         EUR        401,103         (23
   10/2/2015      USD        300,492         GBP        198,367         (16
   10/2/2015      USD        300,492         GBP        198,371         (9
   10/2/2015      USD        228,950         GBP        151,143         (6
   10/2/2015      USD        300,492         GBP        198,377           
   10/2/2015      USD        300,492         GBP        198,377           
   10/2/2015      USD        446         HUF        125,148           
   10/2/2015      USD        446         HUF        125,154           
   10/2/2015      USD        342         HUF        95,968           
   10/2/2015      USD        446         HUF        125,156           
   10/2/2015      USD        446         HUF        125,148           
   10/2/2015      USD        9,816         NOK        83,726           
   10/2/2015      USD        9,816         NOK        83,730           
   10/2/2015      USD        9,816         NOK        83,726         (1
   10/2/2015      USD        7,481         NOK        63,811           
   10/2/2015      USD        9,816         NOK        83,730           
   10/2/2015      USD        18,276         PHP        853,663         (13
   10/2/2015      USD        3,543         PLN        13,473           
   10/2/2015      USD        3,543         PLN        13,471           
   10/2/2015      USD        2,702         PLN        10,274           
   10/2/2015      USD        3,543         PLN        13,472           
   10/2/2015      USD        3,543         PLN        13,472           
   10/2/2015      USD        45,994         SEK        385,735         (2
   10/2/2015      USD        45,994         SEK        385,735         (2
   10/2/2015      USD        35,046         SEK        293,926         (1
   10/2/2015      USD        45,994         SEK        385,754           
   10/2/2015      USD        45,994         SEK        385,754           
   10/2/2015      USD        3,161         TRY        9,574           
   10/2/2015      USD        3,161         TRY        9,570         (1
   10/2/2015      USD        2,412         TRY        7,305           
   10/2/2015      USD        3,161         TRY        9,571         (1
   10/2/2015      USD        3,161         TRY        9,574           
   10/5/2015      BRL        52,954         USD        14,428         1,143   
   10/5/2015      BRL        40,346         USD        10,976         854   
   10/5/2015      BRL        52,954         USD        14,377         1,093   
   10/5/2015      BRL        52,954         USD        14,417         1,133   
   10/5/2015      BRL        52,954         USD        14,425         1,141   
   10/5/2015      CAD        169,226         USD        127,169         950   
   10/5/2015      CAD        128,926         USD        96,891         730   
   10/5/2015      CAD        169,207         USD        127,169         964   
   10/5/2015      CAD        169,206         USD        127,169         965   
   10/5/2015      CAD        169,208         USD        127,169         964   
   10/5/2015      CLP        2,497,373         USD        3,589         10   
   10/5/2015      CLP        2,497,373         USD        3,585         6   

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      115   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Global ex-U.S. Hedged Dividend Fund (continued)

  

        
   10/5/2015      CLP        1,902,761         USD        2,740       $ 14   
   10/5/2015      CLP        2,497,373         USD        3,588         9   
   10/5/2015      CLP        2,497,373         USD        3,595         17   
   10/5/2015      GBP        13,707         JPY        2,486,928         2   
   10/5/2015      HKD        665,813         USD        85,898         (13
   10/5/2015      HKD        665,804         USD        85,898         (12
   10/5/2015      HKD        507,261         USD        65,448         (5
   10/5/2015      HKD        665,792         USD        85,898         (10
   10/5/2015      HKD        665,826         USD        85,898         (14
   10/5/2015      IDR        424,155,245         USD        29,786         867   
   10/5/2015      JPY        46,742,088         USD        385,927         (4,367
   10/5/2015      JPY        46,745,214         USD        385,927         (4,393
   10/5/2015      JPY        35,612,815         USD        294,044         (3,321
   10/5/2015      JPY        46,741,239         USD        385,927         (4,360
   10/5/2015      JPY        46,741,510         USD        385,927         (4,362
   10/5/2015      KRW        264,640,463         USD        223,561         316   
   10/5/2015      MXN        309,851         USD        18,420         141   
   10/5/2015      MXN        236,093         USD        14,035         107   
   10/5/2015      MXN        309,799         USD        18,420         144   
   10/5/2015      MXN        309,842         USD        18,420         141   
   10/5/2015      MXN        309,865         USD        18,420         140   
   10/5/2015      MYR        139,696         USD        33,332         1,560   
   10/5/2015      NZD        674         USD        426         (5
   10/5/2015      NZD        518         USD        327         (4
   10/5/2015      NZD        674         USD        426         (5
   10/5/2015      NZD        674         USD        426         (5
   10/5/2015      NZD        674         USD        426         (5
   10/5/2015      SGD        23,115         USD        16,361         105   
   10/5/2015      SGD        17,618         USD        12,470         80   
   10/5/2015      SGD        23,121         USD        16,361         101   
   10/5/2015      SGD        23,116         USD        16,361         105   
   10/5/2015      SGD        23,115         USD        16,361         105   
   10/5/2015      THB        957,216         USD        26,519         149   
   10/5/2015      TWD        6,437,544         USD        197,774         2,267   
   10/5/2015      USD        13,263         BRL        52,954         21   
   10/5/2015      USD        13,298         BRL        52,954         (14
   10/5/2015      USD        10,131         BRL        40,346         (10
   10/5/2015      USD        13,298         BRL        52,954         (14
   10/5/2015      USD        13,372         BRL        52,954         (88
   10/5/2015      USD        127,169         CAD        170,490         (7
   10/5/2015      USD        127,169         CAD        170,493         (5
   10/5/2015      USD        96,891         CAD        129,899         (4
   10/5/2015      USD        127,169         CAD        170,495         (3
   10/5/2015      USD        127,169         CAD        170,498         (1
   10/5/2015      USD        3,579         CLP        2,497,373           
   10/5/2015      USD        2,727         CLP        1,902,761         (1
   10/5/2015      USD        3,580         CLP        2,497,373         (1
   10/5/2015      USD        3,580         CLP        2,497,373         (1
   10/5/2015      USD        3,589         CLP        2,497,373         (11
   10/5/2015      USD        85,898         HKD        665,747         4   

 

116   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Global ex-U.S. Hedged Dividend Fund (continued)

  

        
   10/5/2015      USD        85,898         HKD        665,714       $   
   10/5/2015      USD        85,898         HKD        665,734         3   
   10/5/2015      USD        65,448         HKD        507,238         2   
   10/5/2015      USD        85,898         HKD        665,714           
   10/5/2015      USD        28,933         IDR        424,155,245         (14
   10/5/2015      USD        385,927         JPY        46,216,687         (20
   10/5/2015      USD        385,927         JPY        46,219,196         1   
   10/5/2015      USD        294,044         JPY        35,212,445         (22
   10/5/2015      USD        385,927         JPY        46,220,547         12   
   10/5/2015      USD        385,927         JPY        46,218,231         (7
   10/5/2015      USD        223,401         KRW        264,640,463         (156
   10/5/2015      USD        18,420         MXN        312,221         (1
   10/5/2015      USD        18,420         MXN        312,192         (3
   10/5/2015      USD        14,035         MXN        237,873         (2
   10/5/2015      USD        18,420         MXN        312,159         (5
   10/5/2015      USD        18,420         MXN        312,207         (2
   10/5/2015      USD        31,573         MYR        139,696         200   
   10/5/2015      USD        426         NZD        666           
   10/5/2015      USD        426         NZD        666           
   10/5/2015      USD        327         NZD        511           
   10/5/2015      USD        426         NZD        666           
   10/5/2015      USD        426         NZD        666           
   10/5/2015      USD        16,361         SGD        23,263         (1
   10/5/2015      USD        16,361         SGD        23,262         (2
   10/5/2015      USD        12,470         SGD        17,731         (1
   10/5/2015      USD        16,361         SGD        23,264         (1
   10/5/2015      USD        16,361         SGD        23,264         (1
   10/5/2015      USD        26,355         THB        957,216         15   
   10/5/2015      USD        195,730         TWD        6,437,544         (222
   10/6/2015      AUD        111,045         USD        78,589         625   
   10/6/2015      AUD        111,048         USD        78,589         624   
   10/6/2015      AUD        84,614         USD        59,882         475   
   10/6/2015      AUD        111,044         USD        78,589         626   
   10/6/2015      AUD        111,046         USD        78,589         625   
   10/6/2015      ILS        36,470         USD        9,275         (17
   10/6/2015      ILS        36,461         USD        9,275         (15
   10/6/2015      ILS        27,803         USD        7,069         (15
   10/6/2015      ILS        36,484         USD        9,275         (21
   10/6/2015      ILS        36,464         USD        9,275         (16
   10/6/2015      INR        7,188,825         USD        107,665         (1,834
   10/6/2015      USD        78,589         AUD        111,930         (4
   10/6/2015      USD        78,589         AUD        111,933         (2
   10/6/2015      USD        59,882         AUD        85,285         (4
   10/6/2015      USD        78,589         AUD        111,910         (18
   10/6/2015      USD        78,589         AUD        111,936           
   10/6/2015      USD        9,275         ILS        36,401         (1
   10/6/2015      USD        9,275         ILS        36,401         (1
   10/6/2015      USD        7,069         ILS        27,737         (2
   10/6/2015      USD        9,275         ILS        36,403           
   10/6/2015      USD        9,275         ILS        36,401           

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      117   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Global ex-U.S. Hedged Dividend Fund (continued)

  

        
   10/6/2015      USD        109,369         INR        7,188,825       $ 130   
   10/7/2015      USD        23,711         ZAR        328,146         1   
   10/7/2015      USD        23,711         ZAR        327,829         (22
   10/7/2015      USD        18,068         ZAR        250,004         (2
   10/7/2015      USD        23,711         ZAR        327,852         (20
   10/7/2015      USD        23,711         ZAR        328,122         (1
   10/7/2015      ZAR        316,419         USD        23,711         846   
   10/7/2015      ZAR        316,433         USD        23,711         845   
   10/7/2015      ZAR        241,137         USD        18,068         643   
   10/7/2015      ZAR        316,430         USD        23,711         845   
   10/7/2015      ZAR        316,453         USD        23,711         844   
   11/3/2015      CHF        148,598         USD        152,247         7   
   11/3/2015      CHF        148,602         USD        152,247         3   
   11/3/2015      CHF        113,224         USD        115,999           
   11/3/2015      CHF        148,616         USD        152,247         (12
   11/3/2015      CHF        148,603         USD        152,247         1   
   11/3/2015      CZK        21,872         USD        899           
   11/3/2015      CZK        21,879         USD        899           
   11/3/2015      CZK        16,715         USD        687           
   11/3/2015      CZK        21,878         USD        899           
   11/3/2015      CZK        21,881         USD        899           
   11/3/2015      DKK        176,268         USD        26,394         1   
   11/3/2015      DKK        176,134         USD        26,394         21   
   11/3/2015      DKK        134,341         USD        20,113         (3
   11/3/2015      DKK        176,274         USD        26,394           
   11/3/2015      DKK        176,279         USD        26,394         (1
   11/3/2015      EUR        375,096         USD        418,918         16   
   11/3/2015      EUR        375,104         USD        418,918         6   
   11/3/2015      EUR        285,802         USD        319,176         (4
   11/3/2015      EUR        375,122         USD        418,918         (14
   11/3/2015      EUR        375,100         USD        418,918         11   
   11/3/2015      GBP        187,032         USD        283,276         12   
   11/3/2015      GBP        187,035         USD        283,276         8   
   11/3/2015      GBP        142,509         USD        215,833           
   11/3/2015      GBP        187,041         USD        283,276         (2
   11/3/2015      GBP        187,040         USD        283,276           
   11/3/2015      HKD        639,082         USD        82,455         (5
   11/3/2015      HKD        639,107         USD        82,455         (8
   11/3/2015      HKD        486,946         USD        62,827         (3
   11/3/2015      HKD        639,047         USD        82,455           
   11/3/2015      HKD        639,062         USD        82,455         (2
   11/3/2015      HUF        129,701         USD        462           
   11/3/2015      HUF        129,719         USD        462           
   11/3/2015      HUF        99,386         USD        354           
   11/3/2015      HUF        129,702         USD        462           
   11/3/2015      HUF        129,696         USD        462           
   11/3/2015      ILS        32,920         USD        8,390           
   11/3/2015      ILS        32,923         USD        8,390           
   11/3/2015      ILS        25,096         USD        6,397         1   
   11/3/2015      ILS        32,924         USD        8,390         (1

 

118   WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Global ex-U.S. Hedged Dividend Fund (continued)

  

        
   11/3/2015      ILS        32,927         USD        8,390       $ (2
   11/3/2015      NOK        79,034         USD        9,261           
   11/3/2015      NOK        79,034         USD        9,261           
   11/3/2015      NOK        60,253         USD        7,060           
   11/3/2015      NOK        79,038         USD        9,261           
   11/3/2015      NOK        79,037         USD        9,261           
   11/3/2015      PHP        800,831         USD        17,106         9   
   11/3/2015      PLN        12,509         USD        3,286           
   11/3/2015      PLN        12,508         USD        3,286           
   11/3/2015      PLN        9,547         USD        2,508           
   11/3/2015      PLN        12,508         USD        3,286           
   11/3/2015      PLN        12,509         USD        3,286           
   11/3/2015      SEK        360,074         USD        42,964         2   
   11/3/2015      SEK        360,074         USD        42,964         2   
   11/3/2015      SEK        274,397         USD        32,739         (1
   11/3/2015      SEK        360,092         USD        42,964           
   11/3/2015      SEK        360,094         USD        42,964         (1
   11/3/2015      TRY        9,359         USD        3,059           
   11/3/2015      TRY        9,359         USD        3,059           
   11/3/2015      TRY        7,134         USD        2,332           
   11/3/2015      TRY        9,355         USD        3,059         1   
   11/3/2015      TRY        9,359         USD        3,059           
   11/4/2015      CAD        161,822         USD        120,685         5   
   11/4/2015      CAD        161,826         USD        120,685         1   
   11/4/2015      CAD        123,301         USD        91,953           
   11/4/2015      CAD        161,831         USD        120,685         (2
   11/4/2015      CAD        161,831         USD        120,685         (2
   11/4/2015      CLP        2,398,379         USD        3,427         (1
   11/4/2015      CLP        2,398,379         USD        3,438         10   
   11/4/2015      CLP        1,827,341         USD        2,612           
   11/4/2015      CLP        2,398,379         USD        3,427         (1
   11/4/2015      CLP        2,398,379         USD        3,437         10   
   11/4/2015      IDR        380,582,735         USD        25,500         (143
   11/4/2015      INR        7,086,008         USD        107,153         (214
   11/4/2015      KRW        273,962,632         USD        230,958         101   
   11/4/2015      MYR        139,043         USD        31,383         (177
   11/4/2015      NZD        619         USD        395           
   11/4/2015      NZD        619         USD        395           
   11/4/2015      NZD        619         USD        395           
   11/4/2015      NZD        475         USD        303           
   11/4/2015      NZD        619         USD        395           
   11/4/2015      SGD        21,923         USD        15,400         (1
   11/4/2015      SGD        21,926         USD        15,400         (3
   11/4/2015      SGD        21,926         USD        15,400         (3
   11/4/2015      SGD        16,707         USD        11,735         (1
   11/4/2015      SGD        21,923         USD        15,400         (1
   11/4/2015      THB        909,182         USD        24,940         (80
   11/4/2015      TWD        6,465,073         USD        196,090         (271
   11/5/2015      AUD        101,770         USD        71,339         3   
   11/5/2015      AUD        101,772         USD        71,339         2   

 

WisdomTree Global/Global ex-U.S. and Emerging/Frontier Markets Funds      119   


Table of Contents

Notes to Financial Statements (unaudited) (continued)

 

Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Global ex-U.S. Hedged Dividend Fund (continued)

  

        
   11/5/2015      AUD        101,773         USD        71,339       $ 1   
   11/5/2015      AUD        77,551         USD        54,356         (3
   11/5/2015      AUD        101,756         USD        71,339         13   
   11/5/2015      BRL        49,019         USD        12,162         (8
   11/5/2015      BRL        49,019         USD        12,167         (3
   11/5/2015      BRL        37,350         USD        9,272         (1
   11/5/2015      BRL        49,019         USD        12,170           
   11/5/2015      BRL        49,019         USD        12,240         70   
   11/5/2015      JPY        41,306,810         USD        344,900         (137
   11/5/2015      JPY        41,290,910         USD        344,900         (5
   11/5/2015      JPY        31,458,596         USD        262,785         10   
   11/5/2015      JPY        41,289,013         USD        344,900         11   
   11/5/2015      JPY        41,290,738         USD        344,900         (3
   11/5/2015      MXN        303,787         USD        17,876         (1
   11/5/2015      MXN        303,771         USD        17,876           
   11/5/2015      MXN        303,794         USD        17,876         (1
   11/5/2015      MXN        231,437         USD        13,620         1   
   11/5/2015      MXN        303,737         USD        17,876         2   
   11/6/2015      ZAR        299,493         USD        21,529         (1
   11/6/2015      ZAR        299,473         USD        21,529           
   11/6/2015      ZAR        228,260         USD        16,407         (2
   11/6/2015      ZAR        299,264         USD        21,529         15   
   11/6/2015      ZAR        299,482         USD        21,529         (1
                                            $ 37,791   

Global ex-U.S. Quality Dividend Growth Fund

                                               
    

10/2/2015

     BRL        155,973         USD        38,489       $ (681

Global ex-U.S. Real Estate Fund

                                      
   10/2/2015      CAD        16,233         USD        12,126       $ 18   
   10/2/2015      GBP        14,736         USD        22,292         (29
   10/2/2015      HKD        117,043         USD        15,102           
                                            $ (11

Global ex-U.S. Utilities Fund

                                      
   10/1/2015      BRL        11,675         USD        2,927       $ (5
   10/1/2015      CAD        6,599         USD        4,921         (1
                                            $ (6

Global High Dividend Fund

              
   10/1/2015      AUD        45,213         USD        31,668       $ (83
   10/1/2015      CAD        9,024         USD        6,757         27   
   10/1/2015      GBP        11,638         USD        17,688         59   
   10/1/2015      IDR        189,987,210         USD        12,870         (98
   10/1/2015      THB        334,678         USD        9,166         (55
   10/1/2015      USD        47,756         KRW        56,829,420         189   
   10/1/2015      USD        136,503         MYR        607,644         1,731   
   10/1/2015      USD        173,448         TWD        5,702,961         (250
   10/2/2015      USD        237,793         BRL        977,807         7,766   
                                            $ 9,286   

India Earnings Fund (consolidated)

      
    

10/5/2015

     INR        258,902,911         USD        3,933,798       $ (10,488

 

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Fund    Settlement Date           Contracts
To Deliver
            In
Exchange For
     Unrealized
Gain (Loss)
 

Middle East Dividend Fund

              
   10/5/2015      EGP        15,000         USD        1,928       $ 13   
   10/5/2015      EGP        11,946         USD        1,536         10   
   10/5/2015      EGP        254,481         USD        32,715         214   
   10/5/2015      EGP        147,931         USD        19,017         124   
   10/5/2015      EGP        41,388         USD        5,320         35   
   10/5/2015      EGP        38,145         USD        4,904         32   
                                            $ 428   

Currency Legend:

AUD – Australian dollar

BRL – Brazilian real

CAD – Canadian dollar

CHF – Swiss franc

CLP – Chilean peso

CZK – Czech koruna

DKK – Danish krone

EGP – Egyptian pound

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

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 value of the investment of cash collateral for securities on loan along with the obligation to return such collateral are included on the Statements of Assets and Liabilities. The value of securities received as collateral for securities on loan are not included on 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 Statement 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

 

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Notes to Financial Statements (unaudited) (continued)

 

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 counterparty 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, 2015, 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
Statement of

Assets and Liabilities

    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
           Gross Amounts in
Statement of
Assets and Liabilities
    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
        
Fund     Financial
Instruments
    Collateral
Received
    Net
Amount
      Financial
Instruments
    Collateral
Pledged
    Net
Amount
 

Asia Pacific ex-Japan Fund

  

       

Securities Lending

  $ 4,054,750      $      $ (4,054,750 )1    $      $      $      $      $   

Forward Foreign Currency Contracts

                                84                      84   

China ex-State-Owned Enterprises Fund

  

Securities Lending

    503,700               (503,700 )1                                    

Forward Foreign Currency Contracts

                                0                      0   

Commodity Country Equity Fund

  

Securities Lending

    760,562               (760,562 )1                                    

Forward Foreign Currency Contracts

    1                      1        45                      45   

 

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            Assets                   Liabilities         
    

Gross Amounts in
Statement of

Assets and Liabilities

    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
           Gross Amounts in
Statement of
Assets and Liabilities
    Gross Amounts Not Offset
in Statement of
Assets and Liabilities
        
Fund     Financial
Instruments
    Collateral
Received
    Net
Amount
      Financial
Instruments
    Collateral
Pledged
    Net
Amount
 

Emerging Markets Consumer Growth Fund

  

Securities Lending

  $ 410,604      $      $ (410,604 )1    $      $      $      $      $   

Emerging Markets ex-State-Owned Enterprises Fund

  

Securities Lending

    8,157               (8,157 )1                                    

Forward Foreign Currency Contracts

    0                      0                               

Emerging Markets High Dividend Fund

  

Securities Lending

    107,039,173               (107,039,173 )1                                    

Forward Foreign Currency Contracts

    6                      6        4,665                      4,665   

Emerging Markets Quality Dividend Growth Fund

  

Securities Lending

    1,850,749               (1,850,749 )1                                    

Emerging Markets SmallCap Dividend Fund

  

Securities Lending

    115,662,029               (115,662,029 )1                                    

Forward Foreign Currency Contracts

                                1,519                      1,519   

Global ex-U.S. Hedged Dividend Fund

  

Securities Lending

    93,119               (93,119 )1                                    

Forward Foreign Currency Contracts

    65,052                      65,052        27,261                      27,261   

Global ex-U.S. Quality Dividend Growth Fund

  

Securities Lending

    7,925,973               (7,925,973 )1                                    

Forward Foreign Currency Contracts

                                681                      681   

Global ex-U.S. Real Estate Fund

  

Securities Lending

    4,178,695               (4,178,695 )1                                    

Forward Foreign Currency Contracts

    18                      18        29                      29   

Global ex-U.S. Utilities Fund

  

Securities Lending

    3,037,034               (3,037,034 )1                                    

Forward Foreign Currency Contracts

                                6                      6   

Global High Dividend Fund

  

Securities Lending

    4,686,111               (4,686,111 )1                                    

Forward Foreign Currency Contracts

    9,772                      9,772        486                      486   

Global Natural Resources Fund

  

Securities Lending

    2,333,218               (2,333,218 )1                                    

India Earnings Fund (consolidated)

  

Forward Foreign Currency Contracts

                                10,488                      10,488   

Middle East Dividend Fund

  

Forward Foreign Currency Contracts

    428                      428                               
  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.

 

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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. It is the policy of each Fund to pay out dividends, if any, to investors’ at least annually. 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.

3. ADVISORY FEES AND TRANSACTIONS

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 a fee 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

 

Asia Pacific ex-Japan Fund

     0.48

China ex-State-Owned Enterprises Fund

     0.63 %* 

Commodity Country Equity Fund

     0.58

Emerging Markets Consumer Growth Fund

     0.63

Emerging Markets ex-State-Owned Enterprises Fund

     0.58

Emerging Markets High Dividend Fund

     0.63

Emerging Markets Quality Dividend Growth Fund

     0.63

Emerging Markets SmallCap Dividend Fund

     0.63

Global ex-U.S. Hedged Dividend Fund

     0.44

Global ex-U.S. Quality Dividend Growth Fund

     0.58

Global ex-U.S. Real Estate Fund

     0.58

Global ex-U.S. Utilities Fund

     0.58

Global High Dividend Fund

     0.58

Global Natural Resources Fund

     0.58

India Earnings Fund (consolidated)

     0.83

Middle East Dividend Fund

     0.88
  * WTAM has contractually agreed to limit the advisory fee to 0.53% effective July 1, 2015 through July 31, 2016, unless earlier terminated by the Board of Trustees of the Trust for any reason.

Each Fund may purchase shares of affiliated exchanged-traded funds (“ETF”) in secondary market transactions. WTAM waives its advisory fees for each Fund’s investment, associated with daily uninvested cash, in correlated affiliated ETFs net of any incremental costs as a result of these transactions (fund accounting, safekeeping, transaction fees, etc.) that are paid by WTAM out of the advisory fee received from the affiliated ETFs. The dollar amount of advisory fees waived during the period for the Funds, if any, are shown in the Statements of Operations. Please see Note 8 “Other Affiliated Parties and Transactions” for additional information.

 

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4. CAPITAL SHARE TRANSACTIONS

As of September 30, 2015, 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 designated portfolio of equity securities constituting a portfolio sampling representation of the securities included in the relevant Fund’s underlying Index 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, 2015 are shown in the below table. Realized gains and losses on sales resulting from in-kind capital share redemptions, as shown in 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

   $ 4,297,310       $ 2,715,810            $ 5,451,001       $        

China ex-State-Owned Enterprises Fund

     15,510,312         15,588,922              5,408,818         10,232,875        

Commodity Country Equity Fund

     275,646         560,051                      904,466        

Emerging Markets Consumer Growth Fund

     827,004         2,103,930                      2,677,880        

Emerging Markets ex-State-Owned Enterprises Fund

     1,034,830         4,554,751                      4,172,572        

Emerging Markets High Dividend Fund

     107,349,968         163,669,382              26,591,449         162,111,115        

Emerging Markets Quality Dividend Growth Fund

     3,641,170         5,116,027              2,688,464         4,880,492        

Emerging Markets SmallCap Dividend Fund

     48,699,885         130,871,477                      76,218,537        

Global ex-U.S. Hedged Dividend Fund1

     798,536         254,140              9,182,971                

Global ex-U.S. Quality Dividend Growth Fund

     2,565,823         2,616,437              4,211,306         4,276,566        

Global ex-U.S. Real Estate Fund

     7,347,401         7,405,614              6,162,719         3,945,822        

Global ex-U.S. Utilities Fund

     842,058         654,381              1,686,395                

Global High Dividend Fund

     8,180,080         6,737,421              39,818,538         25,448,102        

Global Natural Resources Fund

     1,041,711         926,205              2,439,683                

India Earnings Fund (consolidated)

     596,115,409         979,541,585                             

Middle East Dividend Fund

     666,619         6,782,762                             
  1 

For the period June 4, 2015 (commencement of operations) through September 30, 2015.

6. FEDERAL INCOME TAXES

At September 30, 2015, 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/

(Depreciation)

 

Asia Pacific ex-Japan Fund

   $ 54,409,272       $ 2,580,288       $ (9,828,971    $ (7,248,683

China ex-State-Owned Enterprises Fund

     11,146,149         52,307         (2,282,784      (2,230,477

Commodity Country Equity Fund

     12,530,058         338,882         (4,116,513      (3,777,631

Emerging Markets Consumer Growth Fund

     14,849,531         556,499         (3,438,258      (2,881,759

Emerging Markets ex-State-Owned Enterprises Fund

     2,373,420         68,348         (427,869      (359,521

Emerging Markets High Dividend Fund

     2,222,231,686         44,245,648         (685,939,617      (641,693,969

Emerging Markets Quality Dividend Growth Fund

     37,003,478         850,511         (7,411,386      (6,560,875

Emerging Markets SmallCap Dividend Fund

     1,229,408,679         113,998,543         (284,570,095      (170,571,552

Global ex-U.S. Hedged Dividend Fund

     9,817,607         14,306         (1,110,343      (1,096,037

Global ex-U.S. Quality Dividend Growth Fund

     88,390,562         5,575,002         (12,636,719      (7,061,717

Global ex-U.S. Real Estate Fund

     124,683,245         8,218,058         (21,027,877      (12,809,819

 

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Notes to Financial Statements (unaudited) (continued)

 

Fund    Tax Cost     

Gross Unrealized

Appreciation

    

Gross Unrealized

Depreciation

    

Net Unrealized

Appreciation/

(Depreciation)

 

Global ex-U.S. Utilities Fund

   $ 26,690,885       $ 1,646,626       $ (5,421,842    $ (3,775,216

Global High Dividend Fund

     111,746,046         6,150,330         (12,344,730      (6,194,400

Global Natural Resources Fund

     28,647,007         109,527         (11,268,914      (11,159,387

India Earnings Fund (consolidated)

     1,611,605,368         259,174,973         (169,989,594      89,185,379   

Middle East Dividend Fund

     26,402,115         2,858,894         (3,591,126      (732,232

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 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 India Earnings Fund. 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”). The Finance Bill, 2015 (“FB 2015”) proposes to amend the IT Act to defer the applicability of GAAR to financial years beginning on or after 1 April 2017. The FB 2015 has also grandfathered all investments made into India up-to April 1, 2017 from the applicability of GAAR. No assurance can be given that the terms of the tax treaty will not be subject to re-negotiation in future. Any change in the provision of the tax treaty or in its applicability to the India Earnings Fund could result in imposition of withholding and other taxes on the India Earnings Fund by the tax authorities in India. This would reduce the return to the India Earnings Fund on its investments and the return received by India Earnings Fund shareholders.

In the recent scrutiny audits concluded that have not involved the Portfolio, the tax authorities in India have sought to apply a Minimum Alternate Tax (MAT) on certain Foreign Portfolio Investors investing into India on the income earned up to a period of seven prior years (which is the statute of limitation in India). Pursuant to several representations, the Indian Government has formed a Committee to provide it with a recommendation on the applicability of MAT to foreign investors, until which no further notices for scrutiny of prior years will be issued nor will any action be taken for the recovery of any tax demands raised. To date, the Portfolio has not received any notice seeking the application of MAT to the India Earnings Fund for any prior year and the recommendation of the Committee on the applicability of MAT to foreign entities generally as well to entities that benefit from a tax treaty would determine any potential imposition of taxes on income earned by the India Earnings Fund for prior years.

Reference to investments by the India Earnings Fund herein should be understood to refer to investments by the Portfolio.

The taxable profits derived from the worldwide income of the wholly owned subsidiary of the India Earnings Fund, 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. Effective August 8, 2012, in connection with the new advisory agreement, the Mauritius income tax is paid by WTAM.

 

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Notes to Financial Statements (unaudited) (continued)

 

8. OTHER AFFILIATED PARTIES AND TRANSACTIONS

Affiliated holdings are funds which are managed by, or an affiliate of, WTAM. Transactions with affiliated funds during the six months ended September 30, 2015 are as follows:

 

Fund    Value at
3/31/2015
     Purchases/
Additions
     Sales/
Reductions
     Value at
9/30/2015
     Dividend
Income
 

Asia Pacific ex-Japan Fund

  

WisdomTree Global ex-U.S. Real Estate Fund

   $       $ 453,864       $ 292,389       $ 143,156       $ 2,461   

Commodity Country Equity Fund

  

WisdomTree Global Natural Resources Fund

   $ 19,013       $ 122,429       $ 132,863       $       $ 1,496   

Emerging Markets High Dividend Fund

  

WisdomTree Global High Dividend Fund

   $ 2,103,933       $ 5,655,543       $ 5,434,551       $ 2,106,204       $ 52,975   

Emerging Markets SmallCap Dividend Fund

  

WisdomTree Emerging Markets High Dividend Fund

   $ 115,388       $ 16,657,774       $ 15,471,150       $ 490,047       $ 251,823   

Global ex-U.S. Quality Dividend Growth Fund

  

WisdomTree Emerging Markets High Dividend Fund

   $ 47,982       $ 303,660       $ 324,332       $ 13,727       $ 4,538   

WisdomTree International Equity Fund

     70,241         449,692         484,852         20,621         5,645   

Total

   $ 118,223       $ 753,352       $ 809,184       $ 34,348       $ 10,183   

Global ex-U.S. Real Estate Fund

  

WisdomTree Global Natural Resources Fund

   $       $ 1,431,073       $ 1,357,961       $       $ 9,764   

Global ex-U.S. Utilities Fund

  

WisdomTree Global ex-U.S. Real Estate Fund

   $ 21,659       $ 138,216       $ 156,085       $ 312       $ 849   

Global High Dividend Fund

  

WisdomTree High Dividend Fund

   $ 36,948       $ 682,470       $ 606,122       $ 109,319       $ 1,558   

WisdomTree International High Dividend Fund

     108,896         2,050,103         1,796,653         328,149         16,282   

Total

   $ 145,844       $ 2,732,573       $ 2,402,775       $ 437,468       $ 17,840   

Global Natural Resources Fund

  

WisdomTree Global High Dividend Fund

   $ 8,735       $ 212,357       $ 189,042       $ 28,138       $ 2,066   

9. DEMAND NOTE

During the period ended September 30, 2015, the India Earnings Fund had a demand note agreement with Morgan Stanley Bank, N.A. which allowed the Fund to borrow up to $325,000,000 and having a final maturity of October 16, 2015. During the six months ended September 30, 2015, the Fund utilized the demand note and borrowed for a period of 13 days with an average outstanding loan balance of $117,664,454 and a weighted average interest rate of 2.27% per annum. Interest expense related to the note for the six months ended September 30, 2015 was $95,313. At September 30, 2015, the Fund had a loan balance of $8,293,100 outstanding.

10. RECENT ACCOUNTING PRONOUNCEMENT

In May 2015, the FASB issued ASU 2015-07 Fair Value Measurement (Topic 820): Disclosures for Investments in Certain Entities that Calculate Net Asset Value per Share (or its Equivalent). This is an update to Fair Value Measurement Topic 820. The amendments in this ASU remove the requirement to categorize within the fair value hierarchy all investments for which fair value is measured using the net asset value per share practical expedient. The amendments also remove the requirement to make certain disclosures for all investments that are eligible to be measured at fair value using the net asset value per share practical expedient. Rather, those disclosures are limited to investments for which the entity has elected to measure the fair value using that practical expedient. ASU 2015-07 is effective for financial statements issued for fiscal years beginning after December 15, 2015, and interim periods within those fiscal years. WTAM is evaluating the impact, if any, of this guidance on the Trust’s financial statement disclosures.

 

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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 21-22, 2015 (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 series included in this report (each, a “Fund,” and, collectively, the “Funds”), pursuant to which WTAM provides the Funds with investment advisory services (the “Advisory Agreements”) and the Sub- Advisory Agreement (the “Sub-Advisory Agreement”), pursuant to which Mellon Capital Management Corporation (the “Sub-Adviser”) coordinates the investment and reinvestment of the assets of the Funds.

The Independent Trustees requested, and WTAM provided, such information as the Independent Trustees, with advice from independent legal counsel, deemed reasonably necessary to evaluate the Agreements. On June 10, 2015, a committee of Independent Trustees (the “Contracts Review Committee”) met with independent legal counsel to discuss the types of information the Independent Trustees required and the manner in which Fund management would organize and present such information. On July 15, 2015, members of the Contracts Review Committee met with representatives from WTAM for a preliminary discussion of matters relating to the Board’s consideration of the continuance of the Agreements. At a meeting of the Contracts Review Committee held on August 6, 2015, 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 the Funds and other index-based funds in the WisdomTree fund complex, 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 the 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 Agreement, 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 Lipper, Inc. (“Lipper”), an independent provider of investment company data, which included information (1) measuring each Fund’s performance by how well it tracked the relevant WisdomTree 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 Lipper as of the date of its analysis. The Contracts Review Committee and the Independent Trustees previously had reviewed and discussed the methodology Lipper used to select the Expense Groups and Expense Universes. The Board noted that the Expense Groups and Expense Universes included only pure-index exchange traded funds (“ETFs”) as comparison funds. The

 

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

 

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 Lipper reports may or may not provide meaningful direct comparisons to the Funds.

The Board discussed the Funds’ performance, noting that the 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 Lipper 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 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 their entire management fee and reimbursement of certain operating expenses. The Board noted that the Funds’ actual management fees and total expenses generally were within 10 basis points of the actual management fees and total expenses of the funds in their respective Expense Groups and Expense Universes. In those specific instances where a Fund’s actual management fees or 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, the unique attributes of a Fund or certain comparison funds and temporary fee waivers in place for marketing or other reasons.

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), although the current trend is positive. 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 advisers, 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

 

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

 

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 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, 2015:

 

WisdomTree Domestic Earnings and Dividend Funds

 

WisdomTree Dividend ex-Financials Fund (DTN)

 

WisdomTree Earnings 500 Fund (EPS)

 

WisdomTree High Dividend Fund (DHS)

 

WisdomTree LargeCap Dividend Fund (DLN)

 

WisdomTree LargeCap Value Fund (EZY)

 

WisdomTree MidCap Dividend Fund (DON)

 

WisdomTree MidCap Earnings Fund (EZM)

 

WisdomTree SmallCap Dividend Fund (DES)

 

WisdomTree SmallCap Earnings Fund (EES)

 

WisdomTree Total Dividend Fund (DTD)

 

WisdomTree Total Earnings Fund (EXT)

 

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

 

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

 

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 International Dividend ex-Financials Fund (DOO)

 

WisdomTree International Equity Fund (DWM)

 

WisdomTree International Hedged Equity Fund (HDWM)

 

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

 

WisdomTree International Hedged SmallCap Dividend Fund (HDLS)

 

WisdomTree International High Dividend Fund (DTH)

 

WisdomTree International LargeCap Dividend Fund (DOL)

 

WisdomTree International MidCap Dividend Fund (DIM)

 

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 Hedged Tech, Media and Telecom Fund (DXJT)

 

WisdomTree Japan Quality Dividend Growth Fund (JDG)

 

WisdomTree Japan SmallCap Dividend Fund (DFJ)

 

WisdomTree Korea Hedged Equity Fund (DXKW)

 

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 Commodity Country Equity Fund (CCXE)

 

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. Hedged Dividend Fund (DXUS)

 

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

 

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

 

WisdomTree Global ex-U.S. Utilities Fund (DBU)

 

WisdomTree Global High Dividend Fund (DEW)

 

WisdomTree Global Natural Resources Fund (GNAT)

 

WisdomTree India Earnings Fund (EPI)

 

WisdomTree Middle East Dividend Fund (GULF)

 

WisdomTree Dollar Sensitive Equity Funds

 

WisdomTree Strong Dollar U.S. Equity Fund (USSD)

 

WisdomTree Weak Dollar U.S. Equity Fund (USWD)

 

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 Commodity Currency Strategy Fund (CCX)

 

WisdomTree Emerging Currency Strategy Fund (CEW)

 

WisdomTree Indian Rupee Strategy Fund (ICN)

 

WisdomTree Fixed Income Funds

 

WisdomTree Asia Local Debt Fund (ALD)

 

WisdomTree Australia & New Zealand Debt Fund (AUNZ)

 

WisdomTree Barclays U.S. Aggregate Bond Enhanced Yield Fund (AGGY)

 

WisdomTree Barclays U.S. Aggregate Bond Negative Duration Fund (AGND)

 

WisdomTree Barclays U.S. Aggregate Bond Zero Duration Fund (AGZD)

 

WisdomTree Bloomberg Floating Rate Treasury Fund (USFR)

 

WisdomTree BofA Merrill Lynch High Yield Bond Negative Duration Fund (HYND)

 

WisdomTree BofA Merrill Lynch High Yield Bond Zero Duration Fund (HYZD)

 

WisdomTree Emerging Markets Corporate Bond Fund (EMCB)

 

WisdomTree Emerging Markets Local Debt Fund (ELD)

 

WisdomTree Japan Interest Rate Strategy Fund (JGBB)

 

WisdomTree Strategic Corporate Bond Fund (CRDT)

 

WisdomTree Western Asset Unconstrained Bond Fund (UBND)

 

WisdomTree Alternative Funds

 

WisdomTree Global Real Return Fund (RRF)

 

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 in large amounts of 50,000 shares or more.


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WisdomTree Trust

245 Park Avenue, 35th Floor

New York, NY 10167

 

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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)

(formerly, WisdomTree China Dividend ex-Financials Fund (CHXF))

WisdomTree Commodity Country Equity Fund (CCXE)

WisdomTree Emerging Markets Consumer Growth Fund (EMCG)

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund (XSOE)

WisdomTree Emerging Markets High Dividend Fund (DEM)

(formerly, WisdomTree Emerging Markets Equity Income Fund)

WisdomTree Emerging Markets Quality Dividend Growth Fund (DGRE)

(formerly, WisdomTree Emerging Markets Dividend Growth Fund)

WisdomTree Emerging Markets SmallCap Dividend Fund (DGS)

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

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

(formerly, WisdomTree Global ex-U.S. Dividend Growth Fund)

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

WisdomTree Global ex-U.S. Utilities Fund (DBU)

WisdomTree Global High Dividend Fund (DEW)

(formerly, WisdomTree Global Equity Income Fund)

WisdomTree Global Natural Resources Fund (GNAT)

WisdomTree India Earnings Fund (EPI)

WisdomTree Middle East Dividend Fund (GULF)

WisdomTree Fund shares are distributed by Foreside Fund Services, LLC.

WTGM-0808


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WisdomTree Trust

Domestic Earnings and Dividend Funds

 

Semi-Annual Report

September 30, 2015

WisdomTree Dividend ex-Financials Fund (DTN)

WisdomTree Earnings 500 Fund (EPS)

WisdomTree High Dividend Fund (DHS)

(formerly, WisdomTree Equity Income Fund)

WisdomTree LargeCap Dividend Fund (DLN)

WisdomTree LargeCap Value Fund (EZY)

WisdomTree MidCap Dividend Fund (DON)

WisdomTree MidCap Earnings Fund (EZM)

WisdomTree SmallCap Dividend Fund (DES)

WisdomTree SmallCap Earnings Fund (EES)

WisdomTree Total Dividend Fund (DTD)

WisdomTree Total Earnings Fund (EXT)

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

(formerly, WisdomTree U.S. Dividend Growth Fund)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

(formerly, WisdomTree U.S. SmallCap Dividend Growth Fund)


Table of Contents

Table of Contents

 

 

Performance Summaries (unaudited)

       1   

Description of Indexes (unaudited)

       14   

Shareholder Expense Examples (unaudited)

       16   

Schedules of Investments (unaudited)

    

WisdomTree Dividend ex-Financials Fund

       18   

WisdomTree Earnings 500 Fund

       20   

WisdomTree High Dividend Fund

       27   

WisdomTree LargeCap Dividend Fund

       33   

WisdomTree LargeCap Value Fund

       37   

WisdomTree MidCap Dividend Fund

       41   

WisdomTree MidCap Earnings Fund

       47   

WisdomTree SmallCap Dividend Fund

       55   

WisdomTree SmallCap Earnings Fund

       64   

WisdomTree Total Dividend Fund

       75   

WisdomTree Total Earnings Fund

       86   

WisdomTree U.S. Quality Dividend Growth Fund

       101   

WisdomTree U.S. SmallCap Quality Dividend Growth Fund

       105   

Statements of Assets and Liabilities (unaudited)

       109   

Statements of Operations (unaudited)

       112   

Statements of Changes in Net Assets (unaudited)

       115   

Financial Highlights (unaudited)

       120   

Notes to Financial Statements (unaudited)

       127   

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

       136   

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 Dividend ex-Financials Fund (DTN)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Utilities

    14.8%   

Consumer Staples

    14.8%   

Energy

    12.6%   

Information Technology

    11.8%   

Consumer Discretionary

    11.5%   

Industrials

    10.9%   

Healthcare

    9.5%   

Materials

    8.3%   

Telecommunication Services

    5.4%   

Investment Company

    0.2%   

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 9/30/15

 

Description   % of Net Assets  

Reynolds American, Inc.

    3.0%   

AT&T, Inc.

    2.2%   

Altria Group, Inc.

    1.8%   

Kraft Heinz Co. (The)

    1.8%   

Philip Morris International, Inc.

    1.8%   

Verizon Communications, Inc.

    1.7%   

Maxim Integrated Products, Inc.

    1.7%   

Consolidated Edison, Inc.

    1.7%   

Southern Co. (The)

    1.7%   

HollyFrontier 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 investment of cash collateral for securities on loan (if any).

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -9.82      -5.21      9.67      12.63      6.98

Fund Market Price Returns

       -9.85      -5.22      9.66      12.60      6.97

WisdomTree Dividend Top 100/Dividend ex-Financials Spliced Index2

       -9.67      -4.89      10.07      13.04      7.37

Dow Jones U.S. Select Dividend IndexSM

       -4.84      2.24      12.10      13.45      6.09
* 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 Dividend Top 100 Index through May 7, 2009; WisdomTree 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. 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 Earnings and Dividend Funds      1   


Table of Contents

Performance Summary (unaudited)

WisdomTree Earnings 500 Fund (EPS)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    20.7%   

Information Technology

    18.7%   

Industrials

    11.4%   

Consumer Discretionary

    11.1%   

Healthcare

    10.2%   

Energy

    9.9%   

Consumer Staples

    9.7%   

Telecommunication Services

    2.8%   

Utilities

    2.7%   

Materials

    2.6%   

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).

Top Ten Holdings* as of 9/30/15

 

Description    % of Net Assets  

Apple, Inc.

     4.3

Exxon Mobil Corp.

     3.3

JPMorgan Chase & Co.

     2.4

Wells Fargo & Co.

     2.2

Microsoft Corp.

     2.1

General Electric Co.

     1.9

Google, Inc., Class A

     1.8

Berkshire Hathaway, Inc., Class B

     1.7

Chevron Corp.

     1.7

International Business Machines 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 investment of cash collateral for securities on loan (if any).

The WisdomTree Earnings 500 Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Earnings 500 Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -7.05      -2.49      11.71      12.70      5.33

Fund Market Price Returns

       -7.17      -2.54      11.74      12.69      5.33

WisdomTree Earnings 500 Index

       -6.95      -2.27      12.03      13.01      5.64

S&P 500® Index

       -6.18      -0.61      12.40      13.34      5.55
* 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 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. 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 Earnings and Dividend Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree High Dividend Fund (DHS)

(formerly, WisdomTree Equity Income Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    18.3%   

Consumer Staples

    16.3%   

Energy

    13.4%   

Telecommunication Services

    10.5%   

Utilities

    10.5%   

Healthcare

    9.1%   

Industrials

    8.2%   

Consumer Discretionary

    7.2%   

Information Technology

    3.4%   

Materials

    2.7%   

Investment Company

    0.0%   

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.

 

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

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

AT&T, Inc.

    5.2%   

General Electric Co.

    4.8%   

Exxon Mobil Corp.

    4.7%   

Verizon Communications, Inc.

    4.7%   

Pfizer, Inc.

    3.6%   

Chevron Corp.

    3.3%   

JPMorgan Chase & Co.

    3.2%   

Philip Morris International, Inc.

    3.1%   

Procter & Gamble Co. (The)

    3.0%   

Coca-Cola Co. (The)

    2.8%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes investment of cash collateral for securities on loan (if any).

The WisdomTree High Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree High Dividend Index. Prior to August 31, 2015, the WisdomTree High Dividend Index was named the WisdomTree Equity Income Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -6.88      -2.97      9.11      12.29      5.04

Fund Market Price Returns

       -6.95      -3.08      9.11      12.26      5.04

WisdomTree High Dividend Index

       -6.70      -2.62      9.47      12.72      5.36

Russell 1000® Value Index

       -8.30      -4.42      11.59      12.29      5.54
* 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. 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 Earnings and Dividend Funds      3   


Table of Contents

Performance Summary (unaudited)

WisdomTree LargeCap Dividend Fund (DLN)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    15.4%   

Information Technology

    15.2%   

Consumer Staples

    15.0%   

Healthcare

    10.9%   

Industrials

    10.6%   

Energy

    9.8%   

Consumer Discretionary

    9.2%   

Telecommunication Services

    6.1%   

Utilities

    4.9%   

Materials

    2.6%   

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 9/30/15

 

Description   % of Net Assets  

Apple, Inc.

    3.5%   

Exxon Mobil Corp.

    3.2%   

AT&T, Inc.

    3.0%   

Microsoft Corp.

    3.0%   

General Electric Co.

    2.8%   

Verizon Communications, Inc.

    2.7%   

Johnson & Johnson

    2.2%   

Wells Fargo & Co.

    2.2%   

Pfizer, Inc.

    2.1%   

Chevron Corp.

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

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -6.95      -2.78      10.07      12.57      6.07

Fund Market Price Returns

       -7.06      -2.83      10.07      12.55      6.04

WisdomTree LargeCap Dividend Index

       -6.83      -2.56      10.36      12.88      6.42

S&P 500® Index

       -6.18      -0.61      12.40      13.34      6.96
* 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. 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 Earnings and Dividend Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree LargeCap Value Fund (EZY)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Consumer Discretionary

    21.6%   

Information Technology

    16.5%   

Consumer Staples

    14.0%   

Industrials

    13.4%   

Financials

    11.6%   

Healthcare

    11.6%   

Energy

    5.0%   

Utilities

    3.4%   

Materials

    2.2%   

Investment Company

    0.4%   

Telecommunication Services

    0.2%   

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.

 

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

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

Apple, Inc.

    11.5%   

Wal-Mart Stores, Inc.

    5.5%   

American International Group, Inc.

    2.9%   

Home Depot, Inc. (The)

    2.5%   

UnitedHealth Group, Inc.

    2.3%   

Boeing Co. (The)

    2.2%   

CVS Health Corp.

    2.0%   

General Motors Co.

    2.0%   

Lockheed Martin Corp.

    1.6%   

NIKE, Inc., Class B

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

The WisdomTree LargeCap Value Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree LargeCap Value Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

     -6.27     2.32     11.81     13.71     4.32

Fund Market Price Returns

     -6.39     2.30     11.82     13.71     4.33

WisdomTree Low P/E/LargeCap Value Spliced Index2

     -6.10     2.70     12.22     14.13     4.68

Russell 1000® Value Index

     -8.30     -4.42     11.59     12.29     3.74
* 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.

2 

WisdomTree Low P/E Index through June 19, 2009; WisdomTree 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. 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 Earnings and Dividend Funds      5   


Table of Contents

Performance Summary (unaudited)

WisdomTree MidCap Dividend Fund (DON)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    26.2%   

Consumer Discretionary

    17.5%   

Utilities

    13.9%   

Industrials

    12.9%   

Information Technology

    8.4%   

Materials

    8.3%   

Energy

    5.1%   

Consumer Staples

    4.3%   

Healthcare

    2.2%   

Telecommunication Services

    1.0%   

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).

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

Ameren Corp.

    1.1%   

Mattel, Inc.

    1.0%   

Darden Restaurants, Inc.

    1.0%   

Maxim Integrated Products, Inc.

    0.9%   

CenterPoint Energy, Inc.

    0.9%   

HollyFrontier Corp.

    0.9%   

CMS Energy Corp.

    0.9%   

Coach, Inc.

    0.8%   

Frontier Communications Corp.

    0.8%   

J.M. Smucker Co. (The)

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

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -8.57      1.80      14.03      13.81      8.01

Fund Market Price Returns

       -8.60      1.85      14.06      13.80      8.07

WisdomTree MidCap Dividend Index

       -8.36      2.16      14.37      14.18      8.04

S&P MidCap 400® Index

       -9.47      1.40      13.12      12.93      8.42
* 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. 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 Earnings and Dividend Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree MidCap Earnings Fund (EZM)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    26.4%   

Industrials

    18.0%   

Consumer Discretionary

    16.6%   

Information Technology

    13.2%   

Utilities

    6.8%   

Materials

    6.4%   

Energy

    4.4%   

Healthcare

    4.2%   

Consumer Staples

    3.7%   

Investment Company

    0.2%   

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.

 

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

Top Ten Holdings* as of 9/30/15

 

Description   % of Net Assets  

Brunswick Corp.

    0.8%   

Santander Consumer USA Holdings, Inc.

    0.7%   

Discovery Communications, Inc., Class A

    0.7%   

Liberty Media Corp., Class A

    0.7%   

WABCO Holdings, Inc.

    0.7%   

AGL Resources, Inc.

    0.6%   

HCC Insurance Holdings, Inc.

    0.6%   

Assurant, Inc.

    0.6%   

Avnet, Inc.

    0.6%   

AGCO Corp.

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

The WisdomTree MidCap Earnings Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree MidCap Earnings Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -10.32      -0.55      14.51      14.06      7.93

Fund Market Price Returns

       -10.46      -0.60      14.53      14.03      7.94

WisdomTree MidCap Earnings Index

       -10.21      -0.33      14.78      14.37      8.15

S&P MidCap 400® Index

       -9.47      1.40      13.12      12.93      7.03
* 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. 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 Earnings and Dividend Funds      7   


Table of Contents

Performance Summary (unaudited)

WisdomTree SmallCap Dividend Fund (DES)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    25.6%   

Consumer Discretionary

    15.6%   

Industrials

    15.0%   

Utilities

    11.7%   

Information Technology

    8.8%   

Consumer Staples

    7.6%   

Materials

    5.4%   

Healthcare

    4.4%   

Energy

    3.3%   

Telecommunication Services

    2.2%   

Investment Company

    0.2%   

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 9/30/15

 

Description   % of Net Assets  

Vector Group Ltd.

    1.7%   

UIL Holdings Corp.

    1.0%   

PBF Energy, Inc., Class A

    0.9%   

WGL Holdings, Inc.

    0.9%   

B&G Foods, Inc.

    0.8%   

SeaWorld Entertainment, Inc.

    0.8%   

Laclede Group, Inc. (The)

    0.8%   

ALLETE, Inc.

    0.8%   

Nu Skin Enterprises, Inc., Class A

    0.8%   

Guess?, Inc.

    0.7%   
* The ten largest holdings are subject to change, and there are no guarantees the Fund will remain invested in any particular company. Excludes investment of cash collateral for securities on loan (if any).

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

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -11.10      -0.06      11.00      11.82      6.25

Fund Market Price Returns

       -11.20      -0.05      10.91      11.81      6.24

WisdomTree SmallCap Dividend Index

       -11.06      0.03      10.96      11.92      6.30

Russell 2000® Index

       -11.55      1.25      11.02      11.73      6.54
* 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. 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 Domestic Earnings and Dividend Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree SmallCap Earnings Fund (EES)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    27.2%   

Industrials

    17.2%   

Consumer Discretionary

    16.7%   

Information Technology

    12.4%   

Healthcare

    8.9%   

Energy

    6.2%   

Materials

    4.0%   

Consumer Staples

    3.0%   

Utilities

    2.4%   

Telecommunication Services

    1.2%   

Investment Company

    0.6%   

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 9/30/15

 

Description   % of Net Assets  

St. Joe Co. (The)

    1.1%   

Oasis Petroleum, Inc.

    0.8%   

PDL BioPharma, Inc.

    0.7%   

WisdomTree MidCap Earnings Fund

    0.6%   

Ryland Group, Inc. (The)

    0.6%   

Anacor Pharmaceuticals, Inc.

    0.6%   

Delek U.S. Holdings, Inc.

    0.5%   

Opus Bank

    0.5%   

NeuStar, Inc., Class A

    0.5%   

Laredo Petroleum, Inc.

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

The WisdomTree SmallCap Earnings Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree SmallCap Earnings Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -12.33      -2.19      10.91      11.71      5.90

Fund Market Price Returns

       -12.49      -2.24      10.85      11.70      5.87

WisdomTree SmallCap Earnings Index

       -12.27      -2.07      11.04      11.91      5.98

Russell 2000® Index

       -11.55      1.25      11.02      11.73      4.82
* 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. 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 Earnings and Dividend Funds      9   


Table of Contents

Performance Summary (unaudited)

WisdomTree Total Dividend Fund (DTD)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    19.6%   

Information Technology

    13.8%   

Consumer Staples

    13.2%   

Industrials

    10.6%   

Consumer Discretionary

    9.9%   

Healthcare

    9.5%   

Energy

    8.8%   

Utilities

    5.9%   

Telecommunication Services

    5.2%   

Materials

    3.2%   

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 9/30/15

 

Description   % of Net Assets  

Apple, Inc.

    2.9%   

Exxon Mobil Corp.

    2.6%   

Microsoft Corp.

    2.5%   

AT&T, Inc.

    2.5%   

General Electric Co.

    2.4%   

Verizon Communications, Inc.

    2.3%   

Johnson & Johnson

    1.9%   

Wells Fargo & Co.

    1.8%   

Pfizer, Inc.

    1.8%   

Chevron 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 investment of cash collateral for securities on loan (if any).

The WisdomTree Total Dividend Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Dividend Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -7.25      -2.01      10.52      12.65      6.30

Fund Market Price Returns

       -7.48      -2.15      10.50      12.62      6.27

WisdomTree Dividend Index

       -7.11      -1.72      10.83      13.05      6.73

Russell 3000® Index

       -7.12      -0.49      12.53      13.28      7.08
* 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.

 

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. 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 Earnings and Dividend Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree Total Earnings Fund (EXT)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Financials

    21.6%   

Information Technology

    18.1%   

Industrials

    12.2%   

Consumer Discretionary

    11.7%   

Healthcare

    9.5%   

Energy

    9.3%   

Consumer Staples

    8.9%   

Utilities

    3.0%   

Materials

    3.0%   

Telecommunication Services

    2.5%   

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.

 

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

Top Ten Holdings* as of 9/30/15

 

Description    % of Net Assets  

Apple, Inc.

     3.7

Exxon Mobil Corp.

     2.9

JPMorgan Chase & Co.

     2.1

Wells Fargo & Co.

     2.0

Microsoft Corp.

     1.9

General Electric Co.

     1.7

Google, Inc., Class A

     1.6

Chevron Corp.

     1.5

Berkshire Hathaway, Inc., Class B

     1.5

International Business Machines Corp.

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

The WisdomTree Total Earnings Fund (the ‘‘Fund’’) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Earnings Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -7.50      -2.30      11.93      12.77      5.63

Fund Market Price Returns

       -7.64      -2.44      11.90      12.74      5.61

WisdomTree Earnings Index

       -7.41 %       -2.05 %       12.31 %       13.13 %       5.89 % 

Russell 3000® Index

       -7.12 %       -0.49 %       12.53 %       13.28 %       5.60 % 
* 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. 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 Earnings and Dividend Funds      11   


Table of Contents

Performance Summary (unaudited)

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

(formerly, WisdomTree U.S. Dividend Growth Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Consumer Discretionary

    20.8%   

Information Technology

    20.0%   

Industrials

    16.9%   

Consumer Staples

    14.9%   

Healthcare

    11.0%   

Energy

    7.0%   

Materials

    4.9%   

Financials

    4.3%   

Utilities

    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 9/30/15

 

Description   % of Net Assets  

Exxon Mobil Corp.

    4.9%   

Apple, Inc.

    4.2%   

Microsoft Corp.

    4.0%   

Altria Group, Inc.

    3.5%   

PepsiCo, Inc.

    3.0%   

McDonald’s Corp.

    2.7%   

International Business Machines Corp.

    2.3%   

Home Depot, Inc. (The)

    2.2%   

Intel Corp.

    2.2%   

Eli Lilly & Co.

    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 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. Prior to August 31, 2015, the WisdomTree U.S. Quality Dividend Growth Index was named the WisdomTree U.S. Dividend Growth Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.28%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -7.31      -0.02      8.25

Fund Market Price Returns

       -7.47      -0.12      8.21

WisdomTree U.S. Quality Dividend Growth Index

       -7.21      0.23      8.53

NASDAQ U.S. Dividend AchieversTM Select Index

       -7.49      -1.91      5.39
* 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. 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 Earnings and Dividend Funds


Table of Contents

Performance Summary (unaudited)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

(formerly, WisdomTree U.S. SmallCap Dividend Growth Fund)

 

Sector Breakdown† as of 9/30/15

 

Sector   % of Net Assets  

Consumer Discretionary

    21.8%   

Industrials

    20.4%   

Financials

    14.6%   

Information Technology

    11.1%   

Materials

    9.9%   

Consumer Staples

    7.9%   

Healthcare

    5.8%   

Energy

    5.2%   

Utilities

    1.7%   

Telecommunication Services

    1.4%   

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 9/30/15

 

Description   % of Net Assets  

PBF Energy, Inc., Class A

    2.1%   

B&G Foods, Inc.

    1.8%   

Bank of Hawaii Corp.

    1.8%   

Nu Skin Enterprises, Inc., Class A

    1.7%   

Guess?, Inc.

    1.7%   

New Jersey Resources Corp.

    1.6%   

ProAssurance Corp.

    1.5%   

Lexmark International, Inc., Class A

    1.3%   

DineEquity, Inc.

    1.3%   

Owens & Minor, 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 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. Prior to August 31, 2015, the WisdomTree U.S. SmallCap Quality Dividend Growth Index was named the WisdomTree U.S. SmallCap Dividend Growth Index.

The following performance chart 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, 2015, the Fund’s annual expense ratio was 0.38%.

Performance as of 9/30/15

 

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

Fund NAV Returns

       -12.56      -0.55      3.87

Fund Market Price Returns

       -12.65      -0.52      3.81

WisdomTree U.S. SmallCap Quality Dividend Growth Index

       -12.55      -0.41      4.09

Russell 2000® Index

       -11.55      1.25      3.36
* 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. 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 Earnings and Dividend Funds      13   


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 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 ex-Financials Index is comprised of high dividend-yielding stocks outside the Financials sector.

The WisdomTree Dividend Index defines the dividend-paying portion of the U.S. stock market.

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

The WisdomTree Earnings 500 Index is comprised of earnings-generating companies within the large-capitalization segment of the U.S. stock market.

The WisdomTree Earnings Index is comprised of earnings-generating companies within the broad U.S. stock market.

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

The WisdomTree LargeCap Dividend Index is comprised of the large-capitalization segment of the U.S. dividend-paying market, selected from the WisdomTree Dividend Index.

The WisdomTree LargeCap Value Index is comprised of the large-capitalization value segment within the earnings-generating companies of the U.S. stock market.

The WisdomTree Low P/E Index is comprised of companies with the lowest price-to- earnings ratios (P/E ratios) in the WisdomTree Earnings Index.

The WisdomTree MidCap Dividend Index is comprised of the mid-capitalization segment of the U.S. dividend-paying market, selected from the WisdomTree Dividend Index.

The WisdomTree MidCap Earnings Index is comprised of earnings-generating companies within the mid-capitalization segment of the U.S. stock market.

The WisdomTree SmallCap Dividend Index is comprised of the small-capitalization segment of the U.S. dividend-paying market, selected from the WisdomTree Dividend Index.

The WisdomTree SmallCap Earnings Index is comprised of earnings-generating companies within the small-capitalization segment of the U.S. stock market.

The WisdomTree U.S. Quality Dividend Growth Index is comprised of dividend-paying stocks with growth characteristics.

 

14   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Description of Indexes (unaudited) (concluded)

 

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 net 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 and WisdomTree Asset Management (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.

 

WisdomTree Domestic Earnings and Dividend 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, 2015 to September 30, 2015.

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 4/1/15 to 9/30/15” 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 Domestic Earnings and Dividend Funds


Table of Contents

Shareholder Expense Examples (unaudited) (concluded)

 

      Beginning
Account Value
4/1/15
     Ending
Account Value
9/30/15
     Annualized
Expense Ratio
Based on the
Period
4/1/15 to
9/30/15
    Expenses Paid
During the
Period†
4/1/15 to
9/30/15
 

WisdomTree Dividend ex-Financials Fund

          

Actual

   $ 1,000.00       $ 901.80         0.38   $ 1.81   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   

WisdomTree Earnings 500 Fund

          

Actual

   $ 1,000.00       $ 929.50         0.28   $ 1.35   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.60         0.28   $ 1.42   

WisdomTree High Dividend Fund

          

Actual

   $ 1,000.00       $ 931.20         0.38   $ 1.83   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   

WisdomTree LargeCap Dividend Fund

          

Actual

   $ 1,000.00       $ 930.50         0.28   $ 1.35   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.60         0.28   $ 1.42   

WisdomTree LargeCap Value Fund

          

Actual

   $ 1,000.00       $ 937.30         0.38   $ 1.84   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   

WisdomTree MidCap Dividend Fund

          

Actual

   $ 1,000.00       $ 914.30         0.38   $ 1.82   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   

WisdomTree MidCap Earnings Fund

          

Actual

   $ 1,000.00       $ 896.80         0.38   $ 1.80   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   

WisdomTree SmallCap Dividend Fund

          

Actual

   $ 1,000.00       $ 889.00         0.38   $ 1.79   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   

WisdomTree SmallCap Earnings Fund

          

Actual

   $ 1,000.00       $ 876.70         0.38   $ 1.78   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   

WisdomTree Total Dividend Fund

          

Actual

   $ 1,000.00       $ 927.50         0.28   $ 1.35   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.60         0.28   $ 1.42   

WisdomTree Total Earnings Fund

          

Actual

   $ 1,000.00       $ 925.00         0.28   $ 1.35   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.60         0.28   $ 1.42   

WisdomTree U.S. Quality Dividend Growth Fund

          

Actual

   $ 1,000.00       $ 926.90         0.28   $ 1.35   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.60         0.28   $ 1.42   

WisdomTree U.S. SmallCap Quality Dividend Growth Fund

  

       

Actual

   $ 1,000.00       $ 874.40         0.38   $ 1.78   

Hypothetical (5% return before expenses)

   $ 1,000.00       $ 1,023.10         0.38   $ 1.92   
 

Expenses are calculated using each Fund’s annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/366 (to reflect the one-half year period).

 

WisdomTree Domestic Earnings and Dividend Funds      17   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Dividend ex-Financials Fund (DTN)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%      
United States – 99.6%      
Aerospace & Defense – 2.4%      

Lockheed Martin Corp.

     64,652       $ 13,403,006   

Raytheon Co.

     82,004         8,959,757   
     

 

 

 
Total Aerospace & Defense         22,362,763   
Air Freight & Logistics – 0.9%      

United Parcel Service, Inc. Class B

     83,297         8,220,581   
Automobiles – 2.6%      

Ford Motor Co.

     794,597         10,782,681   

General Motors Co.

     432,635         12,987,703   
     

 

 

 
Total Automobiles         23,770,384   
Biotechnology – 1.0%      

AbbVie, Inc.

     164,909         8,972,699   
Chemicals – 5.7%      

Air Products & Chemicals, Inc.

     58,515         7,465,344   

Airgas, Inc.

     66,069         5,901,944   

CF Industries Holdings, Inc.

     169,439         7,607,811   

Dow Chemical Co. (The)

     301,389         12,778,894   

E.I. du Pont de Nemours & Co.

     143,722         6,927,400   

Mosaic Co. (The)

     188,346         5,859,444   

Praxair, Inc.

     62,348         6,350,767   
     

 

 

 
Total Chemicals         52,891,604   
Commercial Services & Supplies – 2.5%      

Republic Services, Inc.

     278,819         11,487,343   

Waste Management, Inc.

     239,655         11,937,215   
     

 

 

 
Total Commercial Services & Supplies         23,424,558   
Communications Equipment – 1.1%      

Cisco Systems, Inc.

     385,957         10,131,371   
Diversified Telecommunication Services – 5.4%      

AT&T, Inc.

     624,667         20,351,651   

CenturyLink, Inc.

     531,761         13,357,836   

Verizon Communications, Inc.

     368,011         16,012,159   
     

 

 

 
Total Diversified Telecommunication Services         49,721,646   
Electric Utilities – 8.7%      

American Electric Power Co., Inc.

     235,709         13,402,414   

Duke Energy Corp.

     178,504         12,841,578   

Entergy Corp.

     173,945         11,323,819   

FirstEnergy Corp.

     394,530         12,352,734   

PPL Corp.

     451,453         14,848,289   

Southern Co. (The)(a)

     348,177         15,563,512   
     

 

 

 
Total Electric Utilities         80,332,346   
Electrical Equipment – 1.8%      

Emerson Electric Co.

     192,057         8,483,158   

Rockwell Automation, Inc.

     81,205         8,239,871   
     

 

 

 
Total Electrical Equipment         16,723,029   
Food & Staples Retailing – 1.2%      

Sysco Corp.

     289,732         11,290,856   
Investments    Shares      Value  
Food Products – 4.4%      

General Mills, Inc.

     225,527       $ 12,658,831   

Kellogg Co.

     169,738         11,296,064   

Kraft Heinz Co. (The)

     234,711         16,565,902   
     

 

 

 
Total Food Products         40,520,797   
Health Care Equipment & Supplies – 2.0%      

Abbott Laboratories

     167,203         6,724,905   

Baxter International, Inc.

     150,198         4,934,004   

Becton, Dickinson and Co.

     47,082         6,245,898   
     

 

 

 
Total Health Care Equipment & Supplies         17,904,807   
Health Care Providers & Services – 0.8%      

Quest Diagnostics, Inc.

     121,162         7,447,828   
Hotels, Restaurants & Leisure – 3.0%      

Las Vegas Sands Corp.

     222,469         8,447,148   

McDonald’s Corp.

     149,905         14,770,140   

Wynn Resorts Ltd.

     88,277         4,689,274   
     

 

 

 
Total Hotels, Restaurants & Leisure         27,906,562   
Household Products – 2.6%      

Clorox Co. (The)

     111,994         12,938,667   

Kimberly-Clark Corp.

     97,316         10,611,336   
     

 

 

 
Total Household Products         23,550,003   
Industrial Conglomerates – 1.4%      

General Electric Co.

     512,701         12,930,319   
IT Services – 3.6%      

International Business Machines Corp.

     66,279         9,608,467   

Paychex, Inc.

     262,339         12,495,206   

Western Union Co. (The)(a)

     607,723         11,157,794   
     

 

 

 
Total IT Services         33,261,467   
Leisure Products – 1.4%      

Mattel, Inc.(a)

     607,163         12,786,853   
Machinery – 1.8%      

Caterpillar, Inc.

     117,638         7,688,820   

Deere & Co.(a)

     119,195         8,820,430   
     

 

 

 
Total Machinery         16,509,250   
Metals & Mining – 1.7%      

Freeport-McMoRan, Inc.

     827,127         8,014,861   

Nucor Corp.

     201,546         7,568,052   
     

 

 

 
Total Metals & Mining         15,582,913   
Multi-Utilities – 6.1%      

Ameren Corp.

     335,633         14,187,207   

CenterPoint Energy, Inc.

     689,322         12,435,369   

Consolidated Edison, Inc.

     233,369         15,600,718   

SCANA Corp.

     244,920         13,779,199   
     

 

 

 
Total Multi-Utilities         56,002,493   
Multiline Retail – 2.2%      

Kohl’s Corp.

     179,858         8,329,224   

Target Corp.

     148,631         11,691,314   
     

 

 

 
Total Multiline Retail         20,020,538   

 

See Notes to Financial Statements.

 

18   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Dividend ex-Financials Fund (DTN)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Oil, Gas & Consumable Fuels – 12.6%      

Chevron Corp.

     139,089       $ 10,971,340   

ConocoPhillips

     257,670         12,357,853   

Exxon Mobil Corp.

     129,273         9,611,448   

HollyFrontier Corp.

     310,933         15,185,968   

Kinder Morgan, Inc.

     409,358         11,331,029   

Murphy Oil Corp.

     239,324         5,791,641   

Occidental Petroleum Corp.

     181,966         12,037,051   

ONEOK, Inc.

     379,973         12,235,131   

Spectra Energy Corp.

     447,995         11,768,829   

Williams Cos., Inc. (The)

     394,038         14,520,300   
     

 

 

 
Total Oil, Gas & Consumable Fuels         115,810,590   
Paper & Forest Products – 0.9%      

International Paper Co.

     211,452         7,990,771   
Pharmaceuticals – 5.8%      

Bristol-Myers Squibb Co.

     157,162         9,303,990   

Eli Lilly & Co.

     152,434         12,757,202   

Johnson & Johnson

     93,758         8,752,309   

Merck & Co., Inc.

     195,515         9,656,486   

Pfizer, Inc.

     405,438         12,734,808   
     

 

 

 
Total Pharmaceuticals         53,204,795   
Semiconductors & Semiconductor Equipment – 5.9%      

Analog Devices, Inc.

     183,710         10,363,081   

Intel Corp.

     268,573         8,094,790   

KLA-Tencor Corp.

     161,713         8,085,650   

Maxim Integrated Products, Inc.

     472,811         15,791,888   

Microchip Technology, Inc.

     279,213         12,031,288   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         54,366,697   
Software – 1.2%      

CA, Inc.

     409,317         11,174,354   
Specialty Retail – 1.0%      

Staples, Inc.

     784,807         9,205,786   
Textiles, Apparel & Luxury Goods – 1.3%      

Coach, Inc.

     411,211         11,896,334   
Tobacco – 6.6%      

Altria Group, Inc.

     315,567         17,166,845   

Philip Morris International, Inc.

     206,323         16,367,604   

Reynolds American, Inc.

     619,053         27,405,476   
     

 

 

 
Total Tobacco         60,939,925   

TOTAL COMMON STOCKS

(Cost: $953,981,018)

  

  

     916,854,919   
EXCHANGE-TRADED FUNDS – 0.2%      
United States – 0.2%      

WisdomTree LargeCap Dividend Fund(b)

     16,304         1,095,955   

WisdomTree MidCap Dividend Fund(b)

     14,016         1,087,361   
     

 

 

 

TOTAL EXCHANGE-TRADED FUNDS

(Cost: $2,193,012)

  

  

     2,183,316   
Investments    Shares      Value  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.0%   
United States – 2.0%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $18,322,186)(d)      18,322,186       $ 18,322,186   

TOTAL INVESTMENTS IN SECURITIES – 101.8%

(Cost: $974,496,216)

  

  

     937,360,421   

Liabilities in Excess of Cash and Other Assets – (1.8)%

  

     (16,492,508
     

 

 

 
NET ASSETS – 100.0%       $ 920,867,913   

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $25,830,014 and the total market value of the collateral held by the Fund was $26,370,864. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $8,048,678.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      19   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Earnings 500 Fund (EPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
United States – 99.8%      
Aerospace & Defense – 3.4%      

B/E Aerospace, Inc.

     700       $ 30,730   

Boeing Co. (The)

     7,099         929,614   

General Dynamics Corp.

     2,693         371,499   

Honeywell International, Inc.

     5,590         529,317   

KLX, Inc.*

     470         16,798   

L-3 Communications Holdings, Inc.

     769         80,376   

Lockheed Martin Corp.

     2,751         570,310   

Northrop Grumman Corp.

     1,846         306,344   

Precision Castparts Corp.

     1,085         249,235   

Raytheon Co.

     3,188         348,321   

Rockwell Collins, Inc.

     1,014         82,986   

Textron, Inc.

     1,941         73,059   

TransDigm Group, Inc.*

     107         22,728   

United Technologies Corp.

     7,466         664,399   
     

 

 

 
Total Aerospace & Defense         4,275,716   
Air Freight & Logistics – 0.7%      

C.H. Robinson Worldwide, Inc.

     867         58,765   

Expeditors International of Washington, Inc.

     1,112         52,320   

FedEx Corp.

     1,654         238,143   

United Parcel Service, Inc. Class B

     5,020         495,424   
     

 

 

 
Total Air Freight & Logistics         844,652   
Airlines – 1.3%      

Alaska Air Group, Inc.

     1,322         105,033   

Delta Air Lines, Inc.

     28,171         1,264,033   

Southwest Airlines Co.

     3,793         144,286   

United Continental Holdings, Inc.*

     2,674         141,855   
     

 

 

 
Total Airlines         1,655,207   
Auto Components – 0.4%      

Autoliv, Inc.(a)

     582         63,444   

BorgWarner, Inc.

     1,621         67,417   

Goodyear Tire & Rubber Co. (The)

     3,074         90,161   

Johnson Controls, Inc.

     3,237         133,882   

Lear Corp.

     772         83,978   
     

 

 

 
Total Auto Components         438,882   
Automobiles – 0.9%      

Ford Motor Co.

     60,396         819,574   

General Motors Co.

     7,538         226,291   

Harley-Davidson, Inc.

     1,673         91,847   
     

 

 

 
Total Automobiles         1,137,712   
Banks – 9.5%      

Bank of America Corp.

     130,280         2,029,762   

BB&T Corp.

     6,956         247,634   

CIT Group, Inc.

     2,750         110,082   

Citigroup, Inc.

     30,247         1,500,554   

Comerica, Inc.

     1,826         75,049   

Fifth Third Bancorp

     9,248         174,880   

Huntington Bancshares, Inc.

     8,100         85,860   

JPMorgan Chase & Co.

     49,273         3,004,175   

KeyCorp

     8,828         114,852   
Investments    Shares      Value  

M&T Bank Corp.

     1,043       $ 127,194   

PNC Financial Services Group, Inc. (The)

     5,957         531,364   

Regions Financial Corp.

     15,184         136,808   

SunTrust Banks, Inc.

     5,597         214,029   

U.S. Bancorp

     17,776         728,994   

Wells Fargo & Co.

     54,420         2,794,467   
     

 

 

 
Total Banks         11,875,704   
Beverages – 2.1%      

Brown-Forman Corp. Class B

     1,058         102,520   

Coca-Cola Co. (The)

     26,209         1,051,505   

Coca-Cola Enterprises, Inc.

     2,037         98,489   

Constellation Brands, Inc. Class A

     1,220         152,756   

Dr. Pepper Snapple Group, Inc.

     1,388         109,721   

Molson Coors Brewing Co. Class B

     1,430         118,719   

Monster Beverage Corp.*

     579         78,246   

PepsiCo, Inc.

     9,806         924,706   
     

 

 

 
Total Beverages         2,636,662   
Biotechnology – 2.3%      

AbbVie, Inc.

     7,700         418,957   

Alexion Pharmaceuticals, Inc.*

     358         55,988   

Amgen, Inc.

     3,980         550,513   

Baxalta, Inc.

     3,483         109,749   

Biogen, Inc.*

     960         280,138   

Celgene Corp.*

     2,018         218,287   

Gilead Sciences, Inc.

     12,132         1,191,241   

Medivation, Inc.*

     244         10,370   

Regeneron Pharmaceuticals, Inc.*

     122         56,747   
     

 

 

 
Total Biotechnology         2,891,990   
Building Products – 0.1%      

Fortune Brands Home & Security, Inc.

     770         36,552   

Masco Corp.

     4,558         114,770   
     

 

 

 
Total Building Products         151,322   
Capital Markets – 2.8%      

Affiliated Managers Group, Inc.*

     285         48,732   

Ameriprise Financial, Inc.

     1,567         171,007   

Bank of New York Mellon Corp. (The)

     7,442         291,354   

BlackRock, Inc.

     1,297         385,818   

Charles Schwab Corp. (The)

     5,544         158,337   

Franklin Resources, Inc.

     5,730         213,500   

Goldman Sachs Group, Inc. (The)

     5,741         997,556   

Morgan Stanley

     20,398         642,537   

Northern Trust Corp.

     1,511         102,990   

Raymond James Financial, Inc.

     1,105         54,841   

State Street Corp.

     3,789         254,659   

T. Rowe Price Group, Inc.

     1,874         130,243   

TD Ameritrade Holding Corp.

     2,912         92,718   
     

 

 

 
Total Capital Markets         3,544,292   
Chemicals – 2.1%      

Air Products & Chemicals, Inc.

     1,247         159,092   

Airgas, Inc.

     454         40,556   

Celanese Corp. Series A

     3,135         185,498   

CF Industries Holdings, Inc.

     2,810         126,169   

 

See Notes to Financial Statements.

 

20   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Earnings 500 Fund (EPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Chemours Co. (The)

     1,173       $ 7,589   

Dow Chemical Co. (The)

     11,983         508,079   

E.I. du Pont de Nemours & Co.

     5,866         282,741   

Eastman Chemical Co.

     1,552         100,446   

Ecolab, Inc.

     1,518         166,555   

FMC Corp.

     1,075         36,453   

International Flavors & Fragrances, Inc.

     544         56,173   

Monsanto Co.

     3,090         263,701   

Mosaic Co. (The)

     2,404         74,788   

PPG Industries, Inc.

     1,566         137,323   

Praxair, Inc.

     2,082         212,073   

Sherwin-Williams Co. (The)

     463         103,147   

Sigma-Aldrich Corp.

     510         70,849   

W.R. Grace & Co.*

     424         39,453   

Westlake Chemical Corp.

     1,565         81,208   
     

 

 

 
Total Chemicals         2,651,893   
Commercial Services & Supplies – 0.2%      

Cintas Corp.

     635         54,451   

Republic Services, Inc.

     2,413         99,416   

Stericycle, Inc.*

     374         52,102   

Waste Management, Inc.

     1,442         71,826   
     

 

 

 
Total Commercial Services & Supplies         277,795   
Communications Equipment – 1.6%      

Cisco Systems, Inc.

     37,676         988,995   

F5 Networks, Inc.*

     342         39,604   

Harris Corp.

     990         72,418   

Juniper Networks, Inc.

     1,825         46,921   

Motorola Solutions, Inc.

     1,414         96,689   

QUALCOMM, Inc.

     13,438         722,024   
     

 

 

 
Total Communications Equipment         1,966,651   
Construction & Engineering – 0.0%      

Fluor Corp.

     1,372         58,104   
Construction Materials – 0.0%      

Martin Marietta Materials, Inc.

     143         21,729   

Vulcan Materials Co.

     63         5,619   
     

 

 

 
Total Construction Materials         27,348   
Consumer Finance – 1.2%      

Ally Financial, Inc.*

     1,100         22,418   

American Express Co.

     7,787         577,250   

Capital One Financial Corp.

     7,042         510,686   

Discover Financial Services

     5,320         276,587   

Navient Corp.

     7,098         79,781   
     

 

 

 
Total Consumer Finance         1,466,722   
Containers & Packaging – 0.2%      

Ball Corp.

     1,064         66,181   

Packaging Corp. of America

     889         53,482   

Sealed Air Corp.

     522         24,471   

WestRock Co.

     1,824         93,827   
     

 

 

 
Total Containers & Packaging         237,961   
Investments    Shares      Value  
Distributors – 0.1%      

Genuine Parts Co.

     952       $ 78,911   

LKQ Corp.*

     1,703         48,297   
     

 

 

 
Total Distributors         127,208   
Diversified Consumer Services – 0.1%      

H&R Block, Inc.

     2,210         80,002   
Diversified Financial Services – 2.3%      

Berkshire Hathaway, Inc. Class B*

     16,380         2,135,952   

CME Group, Inc.

     1,543         143,098   

Intercontinental Exchange, Inc.

     331         77,782   

Leucadia National Corp.

     2,018         40,885   

McGraw Hill Financial, Inc.

     1,401         121,186   

Moody’s Corp.

     1,334         130,999   

Nasdaq, Inc.

     1,243         66,289   

Voya Financial, Inc.

     4,792         185,786   
     

 

 

 
Total Diversified Financial Services         2,901,977   
Diversified Telecommunication Services – 2.8%      

AT&T, Inc.

     57,258         1,865,465   

CenturyLink, Inc.

     2,466         61,946   

Frontier Communications Corp.

     3,825         18,169   

Level 3 Communications, Inc.*

     668         29,185   

Verizon Communications, Inc.

     34,168         1,486,650   
     

 

 

 
Total Diversified Telecommunication Services         3,461,415   
Electric Utilities – 1.6%      

American Electric Power Co., Inc.

     2,830         160,914   

Duke Energy Corp.

     4,867         350,132   

Edison International

     2,783         175,524   

Entergy Corp.

     1,554         101,165   

Eversource Energy

     2,342         118,552   

Exelon Corp.

     7,905         234,779   

FirstEnergy Corp.

     736         23,044   

NextEra Energy, Inc.

     2,354         229,633   

OGE Energy Corp.

     1,669         45,664   

PPL Corp.

     3,760         123,666   

Southern Co. (The)

     5,946         265,786   

Xcel Energy, Inc.

     3,968         140,507   
     

 

 

 
Total Electric Utilities         1,969,366   
Electrical Equipment – 0.4%      

AMETEK, Inc.

     1,487         77,800   

Emerson Electric Co.

     6,242         275,709   

Rockwell Automation, Inc.

     1,047         106,239   
     

 

 

 
Total Electrical Equipment         459,748   
Electronic Equipment, Instruments & Components – 0.2%      

Amphenol Corp. Class A

     1,851         94,327   

Corning, Inc.

     9,490         162,469   

Trimble Navigation Ltd.*

     1,101         18,078   
     

 

 

 
Total Electronic Equipment, Instruments & Components         274,874   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      21   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Earnings 500 Fund (EPS)

September 30, 2015

 

  

 

 

 

Investments    Shares      Value  
Energy Equipment & Services – 0.8%      

Baker Hughes, Inc.

     3,315       $ 172,513   

Cameron International Corp.*

     2,361         144,776   

FMC Technologies, Inc.*

     1,996         61,876   

Halliburton Co.

     11,122         393,163   

Helmerich & Payne, Inc.

     1,407         66,495   

National Oilwell Varco, Inc.

     5,443         204,929   
     

 

 

 
Total Energy Equipment & Services         1,043,752   
Food & Staples Retailing – 2.6%      

Costco Wholesale Corp.

     1,995         288,417   

CVS Health Corp.

     6,794         655,485   

Kroger Co. (The)

     6,896         248,739   

Sysco Corp.

     3,433         133,784   

Wal-Mart Stores, Inc.

     24,852         1,611,404   

Walgreens Boots Alliance, Inc.

     3,454         287,027   

Whole Foods Market, Inc.

     1,530         48,425   
     

 

 

 
Total Food & Staples Retailing         3,273,281   
Food Products – 1.7%      

Archer-Daniels-Midland Co.

     5,213         216,079   

Campbell Soup Co.

     2,387         120,973   

ConAgra Foods, Inc.

     2,848         115,373   

General Mills, Inc.

     4,289         240,742   

Hershey Co. (The)

     1,101         101,160   

Hormel Foods Corp.

     1,594         100,916   

J.M. Smucker Co. (The)

     729         83,172   

Kellogg Co.

     2,335         155,394   

Keurig Green Mountain, Inc.

     607         31,649   

Kraft Heinz Co. (The)

     5,349         377,532   

McCormick & Co., Inc. Non-Voting Shares

     841         69,113   

Mead Johnson Nutrition Co.

     950         66,880   

Mondelez International, Inc. Class A

     6,920         289,740   

Pilgrim’s Pride Corp.(a)

     2,806         58,309   

Tyson Foods, Inc. Class A

     2,839         122,361   
     

 

 

 
Total Food Products         2,149,393   
Health Care Equipment & Supplies – 1.0%      

Abbott Laboratories

     5,378         216,303   

Baxter International, Inc.

     3,483         114,417   

Becton, Dickinson and Co.

     1,262         167,417   

Boston Scientific Corp.*

     4,790         78,604   

C.R. Bard, Inc.

     406         75,642   

Cooper Cos., Inc. (The)

     297         44,211   

DENTSPLY International, Inc.

     833         42,125   

Edwards Lifesciences Corp.*

     343         48,764   

Hologic, Inc.*

     111         4,343   

IDEXX Laboratories, Inc.*

     300         22,275   

Intuitive Surgical, Inc.*

     139         63,882   

ResMed, Inc.

     882         44,947   

St. Jude Medical, Inc.

     1,829         115,392   

Stryker Corp.

     952         89,583   

Varian Medical Systems, Inc.*

     689         50,834   

Zimmer Biomet Holdings, Inc.

     995         93,460   
     

 

 

 
Total Health Care Equipment & Supplies         1,272,199   
Investments    Shares      Value  
Health Care Providers & Services – 2.6%      

Aetna, Inc.

     3,105       $ 339,718   

AmerisourceBergen Corp.

     440         41,796   

Anthem, Inc.

     2,461         344,540   

Cardinal Health, Inc.

     1,853         142,348   

Cigna Corp.

     2,454         331,339   

DaVita HealthCare Partners, Inc.*

     1,371         99,164   

Express Scripts Holding Co.*

     3,124         252,919   

HCA Holdings, Inc.*

     3,251         251,497   

Henry Schein, Inc.*

     477         63,307   

Humana, Inc.

     927         165,933   

Laboratory Corp. of America Holdings*

     693         75,170   

McKesson Corp.

     947         175,223   

Quest Diagnostics, Inc.

     1,174         72,166   

UnitedHealth Group, Inc.

     7,283         844,901   

Universal Health Services, Inc. Class B

     673         83,997   
     

 

 

 
Total Health Care Providers & Services         3,284,018   
Health Care Technology – 0.1%      

Cerner Corp.*

     1,094         65,596   
Hotels, Restaurants & Leisure – 1.6%      

Aramark

     610         18,080   

Chipotle Mexican Grill, Inc.*

     85         61,221   

Darden Restaurants, Inc.

     357         24,469   

Hilton Worldwide Holdings, Inc.

     2,489         57,098   

Hyatt Hotels Corp. Class A*

     458         21,572   

Las Vegas Sands Corp.

     6,496         246,653   

Marriott International, Inc. Class A

     1,277         87,091   

McDonald’s Corp.

     7,333         722,520   

MGM Resorts International*

     1,013         18,690   

Starbucks Corp.

     6,450         366,618   

Starwood Hotels & Resorts Worldwide, Inc.

     895         59,500   

Wyndham Worldwide Corp.

     834         59,965   

Wynn Resorts Ltd.

     726         38,565   

Yum! Brands, Inc.

     2,741         219,143   
     

 

 

 
Total Hotels, Restaurants & Leisure         2,001,185   
Household Durables – 0.5%      

D.R. Horton, Inc.

     3,047         89,460   

GoPro, Inc. Class A*(a)

     74         2,310   

Harman International Industries, Inc.

     321         30,813   

Jarden Corp.*

     645         31,528   

Lennar Corp. Class A

     1,709         82,254   

Mohawk Industries, Inc.*

     413         75,079   

Newell Rubbermaid, Inc.

     1,830         72,669   

PulteGroup, Inc.

     3,651         68,895   

TopBuild Corp.*

     506         15,671   

Whirlpool Corp.

     609         89,681   
     

 

 

 
Total Household Durables         558,360   
Household Products – 1.5%      

Church & Dwight Co., Inc.

     718         60,240   

Clorox Co. (The)

     788         91,038   

Colgate-Palmolive Co.

     4,262         270,466   

Energizer Holdings, Inc.

     387         14,981   

 

See Notes to Financial Statements.

 

22   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Earnings 500 Fund (EPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Kimberly-Clark Corp.

     2,600       $ 283,504   

Procter & Gamble Co. (The)

     16,204         1,165,716   
     

 

 

 
Total Household Products         1,885,945   
Independent Power and Renewable Electricity Producers – 0.0%   

AES Corp.

     5,313         52,014   

Talen Energy Corp.*

     469         4,737   
     

 

 

 
Total Independent Power and Renewable Electricity Producers               56,751   
Industrial Conglomerates – 2.7%      

3M Co.

     4,176         592,032   

Danaher Corp.

     4,087         348,253   

General Electric Co.

     94,039         2,371,664   

Roper Technologies, Inc.

     572         89,632   
     

 

 

 
Total Industrial Conglomerates         3,401,581   
Insurance – 3.8%      

Aflac, Inc.

     6,674         387,960   

Alleghany Corp.*

     152         71,153   

Allstate Corp. (The)

     5,061         294,753   

American International Group, Inc.

     16,984         965,031   

Arthur J. Gallagher & Co.

     841         34,716   

Chubb Corp. (The)

     2,440         299,266   

Cincinnati Financial Corp.

     1,143         61,493   

CNA Financial Corp.

     2,867         100,144   

Hartford Financial Services Group, Inc. (The)

     4,592         210,222   

Lincoln National Corp.

     3,465         164,449   

Loews Corp.

     2,880         104,083   

Markel Corp.*

     48         38,489   

Marsh & McLennan Cos., Inc.

     3,395         177,287   

MetLife, Inc.

     13,576         640,108   

Principal Financial Group, Inc.

     2,766         130,942   

Progressive Corp. (The)

     5,318         162,944   

Prudential Financial, Inc.

     2,529         192,735   

Torchmark Corp.

     1,372         77,381   

Travelers Cos., Inc. (The)

     4,633         461,123   

Unum Group

     3,589         115,135   
     

 

 

 
Total Insurance         4,689,414   
Internet & Catalog Retail – 0.5%      

Expedia, Inc.

     661         77,787   

Liberty Interactive Corp., QVC Group Class A*

     2,232         58,545   

Netflix, Inc.*

     686         70,836   

Priceline Group, Inc. (The)*

     283         350,031   

TripAdvisor, Inc.*

     325         20,482   
     

 

 

 
Total Internet & Catalog Retail         577,681   
Internet Software & Services – 2.3%      

Akamai Technologies, Inc.*

     723         49,930   

Facebook, Inc. Class A*

     4,705         422,980   

Google, Inc. Class A*

     3,462         2,210,037   

VeriSign, Inc.*(a)

     1,273         89,823   

Yahoo!, Inc.*

     2,597         75,079   
     

 

 

 
Total Internet Software & Services         2,847,849   
Investments    Shares      Value  
IT Services – 3.7%      

Alliance Data Systems Corp.*

     259       $ 67,076   

Automatic Data Processing, Inc.

     2,480         199,293   

Cognizant Technology Solutions Corp. Class A*

     3,760         235,414   

Computer Sciences Corp.

     1,476         90,597   

Fidelity National Information Services, Inc.

     1,293         86,734   

Fiserv, Inc.*

     1,353         117,183   

FleetCor Technologies, Inc.*

     298         41,011   

Gartner, Inc.*

     267         22,409   

International Business Machines Corp.

     14,587         2,114,677   

MasterCard, Inc. Class A

     5,533         498,634   

Paychex, Inc.

     1,822         86,782   

Visa, Inc. Class A

     11,872         827,004   

Western Union Co. (The)

     6,608         121,323   

Xerox Corp.

     11,387         110,795   
     

 

 

 
Total IT Services         4,618,932   
Leisure Products – 0.1%      

Hasbro, Inc.

     911         65,719   

Mattel, Inc.

     3,027         63,749   

Polaris Industries, Inc.

     378         45,311   
     

 

 

 
Total Leisure Products         174,779   
Life Sciences Tools & Services – 0.3%      

Agilent Technologies, Inc.

     1,635         56,130   

Illumina, Inc.*

     161         28,307   

Mettler-Toledo International, Inc.*

     154         43,850   

Quintiles Transnational Holdings, Inc.*

     730         50,786   

Thermo Fisher Scientific, Inc.

     1,148         140,377   

Waters Corp.*

     531         62,770   
     

 

 

 
Total Life Sciences Tools & Services         382,220   
Machinery – 1.4%      

Caterpillar, Inc.

     6,189         404,513   

Cummins, Inc.

     1,545         167,756   

Deere & Co.

     4,835         357,790   

Dover Corp.

     1,595         91,202   

Flowserve Corp.

     1,166         47,969   

Illinois Tool Works, Inc.

     2,622         215,817   

PACCAR, Inc.

     2,605         135,903   

Parker-Hannifin Corp.

     1,072         104,306   

Snap-on, Inc.

     448         67,621   

Stanley Black & Decker, Inc.

     1,004         97,368   

Wabtec Corp.

     494         43,497   
     

 

 

 
Total Machinery         1,733,742   
Media – 3.2%      

CBS Corp. Class B Non-Voting Shares

     3,734         148,987   

Comcast Corp. Class A

     16,881         960,191   

DISH Network Corp. Class A*

     1,486         86,693   

Gannett Co., Inc.

     949         13,979   

Interpublic Group of Cos., Inc. (The)

     2,589         49,528   

News Corp. Class A

     2,681         33,834   

Omnicom Group, Inc.

     1,893         124,749   

Scripps Networks Interactive, Inc. Class A

     986         48,501   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      23   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Earnings 500 Fund (EPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Sirius XM Holdings, Inc.*

     16,626       $ 62,181   

TEGNA, Inc.

     1,898         42,496   

Time Warner Cable, Inc.

     1,830         328,247   

Time Warner, Inc.

     6,271         431,131   

Twenty-First Century Fox, Inc. Class A

     14,767         398,414   

Viacom, Inc. Class B

     4,381         189,040   

Walt Disney Co. (The)

     10,950         1,119,090   
     

 

 

 
Total Media         4,037,061   
Metals & Mining – 0.2%      

Freeport-McMoRan, Inc.

     13,818         133,896   

Nucor Corp.

     1,696         63,685   
     

 

 

 
Total Metals & Mining         197,581   
Multi-Utilities – 1.0%      

Ameren Corp.

     1,718         72,620   

CenterPoint Energy, Inc.

     2,762         49,826   

CMS Energy Corp.

     2,194         77,492   

Consolidated Edison, Inc.

     2,954         197,475   

Dominion Resources, Inc.

     454         31,953   

DTE Energy Co.

     1,258         101,105   

NiSource, Inc.

     1,850         34,318   

PG&E Corp.

     3,875         204,600   

Public Service Enterprise Group, Inc.

     4,243         178,885   

SCANA Corp.

     1,298         73,025   

Sempra Energy

     1,391         134,538   

WEC Energy Group, Inc.

     1,646         85,954   
     

 

 

 
Total Multi-Utilities         1,241,791   
Multiline Retail – 0.7%      

Dollar General Corp.

     2,002         145,025   

Dollar Tree, Inc.*

     1,354         90,258   

Kohl’s Corp.

     1,979         91,647   

Macy’s, Inc.

     3,414         175,206   

Nordstrom, Inc.

     1,350         96,809   

Target Corp.

     2,871         225,833   
     

 

 

 
Total Multiline Retail         824,778   
Oil, Gas & Consumable Fuels – 9.1%      

Anadarko Petroleum Corp.

     2,644         159,671   

Apache Corp.

     388         15,194   

Cabot Oil & Gas Corp.

     1,658         36,244   

Chesapeake Energy Corp.(a)

     2,934         21,506   

Chevron Corp.

     27,000         2,129,760   

Cimarex Energy Co.

     813         83,316   

Columbia Pipeline Group, Inc.

     1,850         33,836   

Concho Resources, Inc.*

     823         80,901   

ConocoPhillips

     15,355         736,426   

Continental Resources, Inc.*

     4,179         121,066   

Devon Energy Corp.

     3,731         138,383   

EOG Resources, Inc.

     4,599         334,807   

EQT Corp.

     679         43,979   

Exxon Mobil Corp.

     55,785         4,147,615   

Hess Corp.

     3,799         190,178   

HollyFrontier Corp.

     2,165         105,739   

Kinder Morgan, Inc.

     4,048         112,049   
Investments    Shares      Value  

Marathon Oil Corp.

     7,616       $ 117,286   

Marathon Petroleum Corp.

     7,558         350,162   

Murphy Oil Corp.

     2,208         53,434   

Noble Energy, Inc.

     2,527         76,265   

Occidental Petroleum Corp.

     8,448         558,835   

ONEOK, Inc.

     940         30,268   

Phillips 66

     7,516         577,529   

Range Resources Corp.

     420         13,490   

Southwestern Energy Co.*

     3,327         42,220   

Spectra Energy Corp.

     3,944         103,609   

Tesoro Corp.

     1,243         120,869   

Valero Energy Corp.

     10,095         606,709   

Williams Cos., Inc. (The)

     6,062         223,385   
     

 

 

 
Total Oil, Gas & Consumable Fuels         11,364,731   
Paper & Forest Products – 0.1%      

International Paper Co.

     3,887         146,890   
Personal Products – 0.2%      

Edgewell Personal Care Co.

     387         31,579   

Estee Lauder Cos., Inc. (The) Class A

     2,104         169,751   
     

 

 

 
Total Personal Products         201,330   
Pharmaceuticals – 3.9%      

Bristol-Myers Squibb Co.

     5,507         326,015   

Eli Lilly & Co.

     5,238         438,368   

Johnson & Johnson

     21,411         1,998,717   

Merck & Co., Inc.

     10,572         522,151   

Pfizer, Inc.

     46,857         1,471,778   

Zoetis, Inc.

     1,723         70,953   
     

 

 

 
Total Pharmaceuticals         4,827,982   
Professional Services – 0.2%      

Equifax, Inc.

     657         63,847   

IHS, Inc. Class A*

     186         21,576   

Robert Half International, Inc.

     620         31,719   

Towers Watson & Co. Class A

     389         45,661   

Verisk Analytics, Inc.*

     784         57,946   
     

 

 

 
Total Professional Services         220,749   
Real Estate Investment Trusts (REITs) – 1.0%      

American Tower Corp.

     1,016         89,388   

AvalonBay Communities, Inc.

     455         79,543   

Boston Properties, Inc.

     298         35,283   

Brixmor Property Group, Inc.

     186         4,367   

Care Capital Properties, Inc.

     222         7,310   

Crown Castle International Corp.

     275         21,689   

Digital Realty Trust, Inc.

     412         26,912   

Equinix, Inc.

     73         19,958   

Equity Residential

     827         62,124   

Essex Property Trust, Inc.

     49         10,948   

Federal Realty Investment Trust

     121         16,510   

General Growth Properties, Inc.

     1,164         30,229   

HCP, Inc.

     2,773         103,294   

Host Hotels & Resorts, Inc.

     2,441         38,592   

Iron Mountain, Inc.

     1,209         37,503   

Kimco Realty Corp.

     1,421         34,715   

 

See Notes to Financial Statements.

 

24   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Earnings 500 Fund (EPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Macerich Co. (The)

     153       $ 11,754   

Plum Creek Timber Co., Inc.

     653         25,800   

Prologis, Inc.

     605         23,535   

Public Storage

     669         141,581   

Realty Income Corp.

     456         21,610   

Simon Property Group, Inc.

     1,030         189,232   

SL Green Realty Corp.

     333         36,017   

UDR, Inc.

     272         9,379   

Ventas, Inc.

     888         49,781   

Welltower, Inc.

     436         29,526   

Weyerhaeuser Co.

     2,356         64,413   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         1,220,993   
Real Estate Management & Development – 0.1%      

CBRE Group, Inc. Class A*

     2,001         64,032   
Road & Rail – 0.8%      

CSX Corp.

     7,314         196,747   

Hertz Global Holdings, Inc.*

     2,039         34,113   

JB Hunt Transport Services, Inc.

     571         40,769   

Kansas City Southern

     548         49,802   

Norfolk Southern Corp.

     2,751         210,176   

Union Pacific Corp.

     5,815         514,104   
     

 

 

 
Total Road & Rail         1,045,711   
Semiconductors & Semiconductor Equipment – 2.0%      

Altera Corp.

     1,733         86,789   

Analog Devices, Inc.

     1,551         87,492   

Applied Materials, Inc.

     6,072         89,198   

Broadcom Corp. Class A

     1,389         71,436   

Intel Corp.

     39,372         1,186,672   

KLA-Tencor Corp.

     1,096         54,800   

Lam Research Corp.

     1,013         66,179   

Linear Technology Corp.

     1,351         54,513   

Maxim Integrated Products, Inc.

     1,687         56,346   

Microchip Technology, Inc.

     1,148         49,467   

Micron Technology, Inc.*

     11,915         178,487   

NVIDIA Corp.

     3,985         98,230   

Skyworks Solutions, Inc.

     897         75,536   

Texas Instruments, Inc.

     6,220         308,015   

Xilinx, Inc.

     1,876         79,542   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         2,542,702   
Software – 3.8%      

Activision Blizzard, Inc.

     4,450         137,460   

Adobe Systems, Inc.*

     487         40,041   

ANSYS, Inc.*

     402         35,432   

Autodesk, Inc.*

     355         15,670   

CA, Inc.

     3,553         96,997   

Citrix Systems, Inc.*

     726         50,297   

Electronic Arts, Inc.*

     1,102         74,661   

Intuit, Inc.

     1,214         107,743   

Microsoft Corp.

     59,904         2,651,351   

Oracle Corp.

     36,501         1,318,416   

Red Hat, Inc.*

     457         32,849   

Symantec Corp.

     5,105         99,394   
Investments    Shares      Value  

VMware, Inc. Class A*

     1,505       $ 118,579   
     

 

 

 
Total Software         4,778,890   
Specialty Retail – 2.4%      

Advance Auto Parts, Inc.

     399         75,622   

AutoNation, Inc.*

     858         49,918   

AutoZone, Inc.*

     240         173,719   

Bed Bath & Beyond, Inc.*

     1,806         102,978   

Best Buy Co., Inc.

     3,721         138,124   

CarMax, Inc.*

     1,227         72,786   

Foot Locker, Inc.

     1,203         86,580   

Gap, Inc. (The)

     4,130         117,705   

Home Depot, Inc. (The)

     7,841         905,557   

L Brands, Inc.

     1,576         142,045   

Lowe’s Cos., Inc.

     5,225         360,107   

O’Reilly Automotive, Inc.*

     534         133,500   

Ross Stores, Inc.

     2,666         129,221   

Staples, Inc.

     4,764         55,882   

Tiffany & Co.

     682         52,664   

TJX Cos., Inc. (The)

     4,398         314,105   

Tractor Supply Co.

     614         51,773   

Ulta Salon Cosmetics & Fragrance, Inc.*

     234         38,224   

Williams-Sonoma, Inc.

     500         38,175   
     

 

 

 
Total Specialty Retail         3,038,685   
Technology Hardware, Storage & Peripherals – 5.1%      

Apple, Inc.

     48,379         5,336,204   

EMC Corp.

     12,160         293,786   

Hewlett-Packard Co.

     17,390         445,358   

NetApp, Inc.

     2,009         59,466   

SanDisk Corp.

     1,554         84,429   

Western Digital Corp.

     2,021         160,548   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         6,379,791   
Textiles, Apparel & Luxury Goods – 0.7%      

Coach, Inc.

     2,495         72,180   

Hanesbrands, Inc.

     1,801         52,121   

NIKE, Inc. Class B

     3,981         489,544   

PVH Corp.

     335         34,150   

Ralph Lauren Corp.

     534         63,097   

Under Armour, Inc. Class A*

     403         39,002   

VF Corp.

     2,470         168,479   
     

 

 

 
Total Textiles, Apparel & Luxury Goods         918,573   
Thrifts & Mortgage Finance – 0.1%      

New York Community Bancorp, Inc.

     4,182         75,527   
Tobacco – 1.6%      

Altria Group, Inc.

     11,843         644,259   

Philip Morris International, Inc.

     12,419         985,199   

Reynolds American, Inc.

     7,898         349,645   
     

 

 

 
Total Tobacco         1,979,103   
Trading Companies & Distributors – 0.1%      

Fastenal Co.

     1,324         48,472   

United Rentals, Inc.*

     619         37,171   

W.W. Grainger, Inc.

     429         92,239   
     

 

 

 
Total Trading Companies & Distributors         177,882   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      25   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Earnings 500 Fund (EPS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Water Utilities – 0.0%      

American Water Works Co., Inc.

     1,055       $ 58,109   
Wireless Telecommunication Services – 0.0%      

T-Mobile U.S., Inc.*

     571         22,732   

TOTAL COMMON STOCKS

(Cost: $114,337,075)

  

  

     124,795,504   
EXCHANGE-TRADED FUND – 0.0%      
United States – 0.0%      
WisdomTree High Dividend Fund(b) (Cost: $19,642)      353         19,598   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.2%   
United States – 0.2%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $189,492)(d)      189,492         189,492   

TOTAL INVESTMENTS IN SECURITIES – 100.0%

(Cost: $114,546,209)

  

  

     125,004,594   

Liabilities in Excess of Cash and Other Assets – (0.0)%

  

     (15,079
     

 

 

 
NET ASSETS – 100.0%             $ 124,989,515   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $185,522 and the total market value of the collateral held by the Fund was $189,492.

 

See Notes to Financial Statements.

 

26   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree High Dividend Fund (DHS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%      
United States – 99.6%      
Aerospace & Defense – 1.1%      

American Science & Engineering, Inc.

     1,476       $ 52,486   

Lockheed Martin Corp.

     47,067         9,757,460   
     

 

 

 
Total Aerospace & Defense         9,809,946   
Auto Components – 0.0%      

Superior Industries International, Inc.

     4,373         81,688   
Automobiles – 1.9%      

Ford Motor Co.

     579,439         7,862,987   

General Motors Co.

     280,869         8,431,688   
     

 

 

 
Total Automobiles         16,294,675   
Banks – 4.6%      

Arrow Financial Corp.

     2,586         69,042   

Banc of California, Inc.

     6,659         81,706   

Bank of Hawaii Corp.

     6,623         420,494   

BankUnited, Inc.

     14,190         507,292   

BBCN Bancorp, Inc.

     10,279         154,391   

Berkshire Hills Bancorp, Inc.

     3,905         107,544   

Bridge Bancorp, Inc.

     1,580         42,202   

Camden National Corp.

     980         39,592   

Chemical Financial Corp.

     4,977         161,006   

City Holding Co.

     2,937         144,794   

CNB Financial Corp.

     1,883         34,214   

Community Bank System, Inc.

     5,927         220,307   

Community Trust Bancorp, Inc.

     3,181         112,957   

Cullen/Frost Bankers, Inc.

     8,523         541,892   

Financial Institutions, Inc.

     2,106         52,187   

First Busey Corp.

     4,166         82,778   

First Commonwealth Financial Corp.

     13,094         119,024   

First Community Bancshares, Inc.

     2,070         37,053   

First Financial Bancorp

     10,786         205,797   

First Financial Corp.

     1,805         58,392   

First Niagara Financial Group, Inc.

     65,412         667,856   

FirstMerit Corp.

     27,187         480,394   

Flushing Financial Corp.

     4,647         93,033   

FNB Corp.

     30,004         388,552   

Fulton Financial Corp.

     22,433         271,439   

Hancock Holding Co.

     11,912         322,220   

JPMorgan Chase & Co.

     458,639         27,963,220   

National Penn Bancshares, Inc.

     28,987         340,597   

NBT Bancorp, Inc.

     7,124         191,921   

Old National Bancorp

     16,163         225,151   

Pacific Continental Corp.

     3,948         52,548   

PacWest Bancorp

     20,664         884,626   

Park National Corp.

     3,348         302,056   

Penns Woods Bancorp, Inc.

     667         27,294   

People’s United Financial, Inc.

     64,266         1,010,904   

Republic Bancorp, Inc. Class A

     2,578         63,290   

Sandy Spring Bancorp, Inc.

     3,717         97,311   

Southside Bancshares, Inc.

     2,632         72,512   

Stock Yards Bancorp, Inc.

     2,432         88,403   

Tompkins Financial Corp.

     2,324         124,009   
Investments    Shares      Value  

Towne Bank

     5,078       $ 95,720   

Trustmark Corp.

     11,904         275,816   

Umpqua Holdings Corp.

     35,784         583,279   

United Bankshares, Inc.

     11,731         445,661   

Univest Corp. of Pennsylvania

     2,718         52,240   

Valley National Bancorp

     49,915         491,164   

Washington Trust Bancorp, Inc.

     2,767         106,391   

WesBanco, Inc.

     3,760         118,252   

West Bancorp, Inc.

     2,624         49,200   

Westamerica Bancorp

     3,766         167,361   
     

 

 

 
Total Banks         39,245,084   
Beverages – 2.8%      

Coca-Cola Co. (The)

     601,401         24,128,208   
Biotechnology – 1.4%      

AbbVie, Inc.

     220,343         11,988,863   

PDL BioPharma, Inc.

     58,203         292,761   
     

 

 

 
Total Biotechnology         12,281,624   
Capital Markets – 0.2%      

Arlington Asset Investment Corp. Class A(a)

     13,087         183,872   

Artisan Partners Asset Management, Inc. Class A

     7,500         264,225   

BGC Partners, Inc. Class A

     49,069         403,347   

Calamos Asset Management, Inc. Class A

     3,512         33,294   

Federated Investors, Inc. Class B

     14,993         433,298   

Greenhill & Co., Inc.

     5,703         162,364   

Manning & Napier, Inc.

     1,863         13,712   

Waddell & Reed Financial, Inc. Class A

     11,912         414,180   

Westwood Holdings Group, Inc.

     1,485         80,710   
     

 

 

 
Total Capital Markets         1,989,002   
Chemicals – 1.8%      

Dow Chemical Co. (The)

     210,365         8,919,476   

E.I. du Pont de Nemours & Co.

     112,965         5,444,913   

FutureFuel Corp.

     7,893         77,983   

Innophos Holdings, Inc.

     3,482         138,026   

Kronos Worldwide, Inc.(a)

     26,150         162,392   

Olin Corp.

     12,613         212,025   

Scotts Miracle-Gro Co. (The) Class A

     8,382         509,793   
     

 

 

 
Total Chemicals         15,464,608   
Commercial Services & Supplies – 1.0%      

Brady Corp. Class A

     6,639         130,523   

Covanta Holding Corp.

     26,691         465,758   

Ennis, Inc.

     6,753         117,232   

KAR Auction Services, Inc.

     20,173         716,141   

McGrath RentCorp

     3,645         97,285   

Pitney Bowes, Inc.

     28,452         564,772   

Quad/Graphics, Inc.

     8,958         108,392   

R.R. Donnelley & Sons Co.

     61,846         900,478   

Republic Services, Inc.

     47,135         1,941,962   

Waste Management, Inc.

     65,254         3,250,302   

West Corp.

     11,063         247,811   
     

 

 

 
Total Commercial Services & Supplies         8,540,656   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      27   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree High Dividend Fund (DHS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Communications Equipment – 2.0%      

Cisco Systems, Inc.

     666,342       $ 17,491,478   

Comtech Telecommunications Corp.

     3,079         63,458   
     

 

 

 
Total Communications Equipment         17,554,936   
Consumer Finance – 0.2%      

Navient Corp.

     54,444         611,950   

Santander Consumer USA Holdings, Inc.*

     54,680         1,116,566   
     

 

 

 
Total Consumer Finance         1,728,516   
Containers & Packaging – 0.1%      

Greif, Inc. Class A

     4,218         134,596   

Myers Industries, Inc.

     4,442         59,523   

Sonoco Products Co.

     13,992         528,058   
     

 

 

 
Total Containers & Packaging         722,177   
Distributors – 0.0%      

Weyco Group, Inc.

     1,333         36,044   
Diversified Consumer Services – 0.0%      

Universal Technical Institute, Inc.

     4,362         15,311   
Diversified Telecommunication Services – 10.5%      

AT&T, Inc.

     1,366,219         44,511,415   

CenturyLink, Inc.

     151,187         3,797,817   

Cogent Communications Holdings, Inc.

     7,542         204,841   

Consolidated Communications Holdings, Inc.

     13,853         266,947   

Frontier Communications Corp.

     297,228         1,411,833   

IDT Corp. Class B

     3,563         50,951   

Inteliquent, Inc.

     4,914         109,730   

Verizon Communications, Inc.

     922,090         40,120,136   

Windstream Holdings, Inc.(a)

     53,363         327,649   
     

 

 

 
Total Diversified Telecommunication Services         90,801,319   
Electric Utilities – 6.1%      

ALLETE, Inc.

     7,522         379,786   

American Electric Power Co., Inc.

     81,346         4,625,334   

Cleco Corp.

     8,341         444,075   

Duke Energy Corp.

     125,092         8,999,118   

El Paso Electric Co.

     5,419         199,528   

Empire District Electric Co. (The)

     7,341         161,722   

Entergy Corp.

     31,764         2,067,836   

Eversource Energy

     44,697         2,262,562   

Exelon Corp.

     136,572         4,056,188   

FirstEnergy Corp.

     74,644         2,337,104   

Great Plains Energy, Inc.

     26,360         712,247   

Hawaiian Electric Industries, Inc.

     17,724         508,502   

IDACORP, Inc.

     6,852         443,393   

NextEra Energy, Inc.

     57,766         5,635,073   

Otter Tail Corp.

     7,534         196,336   

Pepco Holdings, Inc.

     46,966         1,137,516   

Pinnacle West Capital Corp.

     18,562         1,190,567   

Portland General Electric Co.

     10,682         394,913   

PPL Corp.

     130,228         4,283,199   

Southern Co. (The)

     181,340         8,105,898   

UIL Holdings Corp.

     10,311         518,334   

Unitil Corp.

     2,703         99,687   
Investments    Shares      Value  

Westar Energy, Inc.

     21,223       $ 815,812   

Xcel Energy, Inc.

     80,816         2,861,695   
     

 

 

 
Total Electric Utilities         52,436,425   
Electrical Equipment – 0.5%      

Emerson Electric Co.

     102,677         4,535,243   

General Cable Corp.

     11,642         138,540   
     

 

 

 
Total Electrical Equipment         4,673,783   
Electronic Equipment, Instruments & Components – 0.1%      

AVX Corp.

     24,303         318,126   

Daktronics, Inc.

     6,404         55,523   

Electro Rent Corp.

     5,283         54,838   

Electro Scientific Industries, Inc.

     3,638         16,880   
     

 

 

 
Total Electronic Equipment, Instruments & Components         445,367   
Energy Equipment & Services – 0.3%      

CARBO Ceramics, Inc.(a)

     3,871         73,510   

Diamond Offshore Drilling, Inc.(a)

     65,761         1,137,665   

Gulfmark Offshore, Inc. Class A(a)

     5,845         35,713   

Helmerich & Payne, Inc.

     22,674         1,071,573   

Tidewater, Inc.(a)

     7,611         100,009   
     

 

 

 
Total Energy Equipment & Services         2,418,470   
Food & Staples Retailing – 0.4%      

Sysco Corp.

     82,351         3,209,219   

Village Super Market, Inc. Class A

     2,371         55,979   
     

 

 

 
Total Food & Staples Retailing         3,265,198   
Food Products – 2.3%      

B&G Foods, Inc.

     11,042         402,481   

Campbell Soup Co.

     41,375         2,096,885   

ConAgra Foods, Inc.

     53,127         2,152,175   

General Mills, Inc.

     87,571         4,915,360   

Kellogg Co.

     48,680         3,239,654   

Kraft Heinz Co. (The)

     100,606         7,100,771   
     

 

 

 
Total Food Products         19,907,326   
Gas Utilities – 0.6%      

AGL Resources, Inc.

     20,918         1,276,835   

Atmos Energy Corp.

     13,649         794,099   

Laclede Group, Inc. (The)

     7,302         398,178   

New Jersey Resources Corp.

     11,850         355,855   

Northwest Natural Gas Co.

     5,252         240,751   

Piedmont Natural Gas Co., Inc.

     12,082         484,126   

Questar Corp.

     25,495         494,858   

South Jersey Industries, Inc.

     9,840         248,460   

WGL Holdings, Inc.

     7,752         447,058   
     

 

 

 
Total Gas Utilities         4,740,220   
Health Care Equipment & Supplies – 0.3%      

Baxter International, Inc.

     72,442         2,379,720   

Meridian Bioscience, Inc.

     9,064         154,994   
     

 

 

 
Total Health Care Equipment & Supplies         2,534,714   
Health Care Providers & Services – 0.0%      

Landauer, Inc.

     2,702         99,947   

Owens & Minor, Inc.

     8,820         281,711   
     

 

 

 
Total Health Care Providers & Services         381,658   

 

See Notes to Financial Statements.

 

28   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree High Dividend Fund (DHS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Health Care Technology – 0.0%      

Computer Programs & Systems, Inc.

     2,116       $ 89,147   

Quality Systems, Inc.

     12,728         158,846   
     

 

 

 
Total Health Care Technology         247,993   
Hotels, Restaurants & Leisure – 3.1%      

Cracker Barrel Old Country Store, Inc.(a)

     3,356         494,272   

Darden Restaurants, Inc.

     23,328         1,598,901   

DineEquity, Inc.

     2,975         272,689   

Las Vegas Sands Corp.

     133,281         5,060,680   

McDonald’s Corp.

     168,132         16,566,046   

SeaWorld Entertainment, Inc.(a)

     22,719         404,625   

Six Flags Entertainment Corp.

     21,826         999,194   

Speedway Motorsports, Inc.

     6,103         110,159   

Wynn Resorts Ltd.

     18,895         1,003,702   
     

 

 

 
Total Hotels, Restaurants & Leisure         26,510,268   
Household Durables – 0.2%      

Leggett & Platt, Inc.

     19,154         790,103   

MDC Holdings, Inc.

     8,821         230,934   

Tupperware Brands Corp.

     9,960         492,920   
     

 

 

 
Total Household Durables         1,513,957   
Household Products – 3.9%      

Clorox Co. (The)

     17,773         2,053,315   

Kimberly-Clark Corp.

     51,099         5,571,835   

Orchids Paper Products Co.

     2,358         61,544   

Procter & Gamble Co. (The)

     357,649         25,729,269   
     

 

 

 
Total Household Products         33,415,963   
Independent Power and Renewable Electricity Producers – 0.0%   

NRG Yield, Inc. Class A(a)

     5,139         57,300   

NRG Yield, Inc. Class C(a)

     5,156         59,861   

Pattern Energy Group, Inc.(a)

     12,450         237,671   
     

 

 

 
Total Independent Power and Renewable Electricity Producers               354,832   
Industrial Conglomerates – 4.8%      

General Electric Co.

     1,634,538         41,223,048   
Insurance – 0.7%      

American National Insurance Co.

     3,545         346,134   

Arthur J. Gallagher & Co.

     22,698         936,973   

Baldwin & Lyons, Inc. Class B

     2,487         53,968   

Cincinnati Financial Corp.

     25,933         1,395,195   

Donegal Group, Inc. Class A

     3,123         43,909   

EMC Insurance Group, Inc.

     3,222         74,783   

Erie Indemnity Co. Class A

     5,906         489,844   

First American Financial Corp.

     14,624         571,360   

Horace Mann Educators Corp.

     5,415         179,886   

Mercury General Corp.

     11,716         591,775   

Old Republic International Corp.

     61,532         962,361   

Safety Insurance Group, Inc.

     3,462         187,467   

United Fire Group, Inc.

     3,138         109,987   
     

 

 

 
Total Insurance         5,943,642   
Investments    Shares      Value  
Internet & Catalog Retail – 0.0%      

Nutrisystem, Inc.

     5,177       $ 137,294   

PetMed Express, Inc.(a)

     4,655         74,946   
     

 

 

 
Total Internet & Catalog Retail         212,240   
Internet Software & Services – 0.0%      

EarthLink Holdings Corp.

     20,807         161,878   
IT Services – 0.5%      

Leidos Holdings, Inc.

     10,579         437,018   

ManTech International Corp. Class A

     3,375         86,738   

Paychex, Inc.

     55,144         2,626,509   

Western Union Co. (The)

     70,406         1,292,654   
     

 

 

 
Total IT Services         4,442,919   
Leisure Products – 0.3%      

Hasbro, Inc.

     17,696         1,276,589   

Mattel, Inc.

     76,692         1,615,134   
     

 

 

 
Total Leisure Products         2,891,723   
Machinery – 0.7%      

American Railcar Industries, Inc.(a)

     3,069         110,975   

Caterpillar, Inc.

     86,148         5,630,633   

Douglas Dynamics, Inc.

     4,650         92,349   

Harsco Corp.

     17,617         159,786   

Miller Industries, Inc.

     1,520         29,701   
     

 

 

 
Total Machinery         6,023,444   
Media – 0.4%      

AMC Entertainment Holdings, Inc. Class A

     3,030         76,326   

Cablevision Systems Corp. Class A

     30,395         986,926   

Cinemark Holdings, Inc.

     15,117         491,151   

Harte-Hanks, Inc.

     16,563         58,467   

Meredith Corp.

     5,799         246,921   

National CineMedia, Inc.

     17,813         239,050   

New Media Investment Group, Inc.

     7,719         119,336   

Regal Entertainment Group Class A(a)

     25,768         481,604   

Time, Inc.

     16,498         314,287   

Tribune Publishing Co.

     3,432         26,907   

World Wrestling Entertainment, Inc. Class A(a)

     6,344         107,214   
     

 

 

 
Total Media         3,148,189   
Metals & Mining – 0.6%      

Commercial Metals Co.

     16,990         230,214   

Compass Minerals International, Inc.

     4,530         355,016   

Freeport-McMoRan, Inc.

     274,408         2,659,014   

Nucor Corp.

     42,010         1,577,475   

Schnitzer Steel Industries, Inc. Class A

     3,894         52,725   
     

 

 

 
Total Metals & Mining         4,874,444   
Multi-Utilities – 3.8%      

Alliant Energy Corp.

     16,525         966,547   

Ameren Corp.

     42,747         1,806,916   

Avista Corp.

     11,138         370,338   

Black Hills Corp.

     6,043         249,818   

CenterPoint Energy, Inc.

     84,900         1,531,596   

CMS Energy Corp.

     41,019         1,448,791   

Consolidated Edison, Inc.

     53,077         3,548,197   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      29   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree High Dividend Fund (DHS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Dominion Resources, Inc.

     88,655       $ 6,239,539   

DTE Energy Co.

     27,483         2,208,809   

MDU Resources Group, Inc.

     29,880         513,936   

NorthWestern Corp.

     6,202         333,854   

PG&E Corp.

     76,424         4,035,187   

Public Service Enterprise Group, Inc.

     84,403         3,558,430   

SCANA Corp.

     24,349         1,369,875   

TECO Energy, Inc.

     49,237         1,292,964   

Vectren Corp.

     13,026         547,222   

WEC Energy Group, Inc.

     47,503         2,480,607   
     

 

 

 
Total Multi-Utilities         32,502,626   
Multiline Retail – 0.8%      

Target Corp.

     83,740         6,586,988   
Oil, Gas & Consumable Fuels – 13.1%      

Chevron Corp.

     363,847         28,700,251   

ConocoPhillips

     265,037         12,711,174   

CVR Energy, Inc.

     30,340         1,245,457   

Evolution Petroleum Corp.

     8,321         46,181   

Exxon Mobil Corp.

     542,641         40,345,358   

HollyFrontier Corp.

     30,915         1,509,889   

Kinder Morgan, Inc.

     212,463         5,880,976   

Murphy Oil Corp.

     25,478         616,568   

Occidental Petroleum Corp.

     138,578         9,166,935   

ONEOK, Inc.

     50,563         1,628,129   

PBF Energy, Inc. Class A

     17,190         485,274   

Spectra Energy Corp.

     135,782         3,566,993   

Targa Resources Corp.

     6,194         319,115   

Williams Cos., Inc. (The)

     183,569         6,764,518   
     

 

 

 
Total Oil, Gas & Consumable Fuels         112,986,818   
Paper & Forest Products – 0.3%      

International Paper Co.

     58,554         2,212,755   

Schweitzer-Mauduit International, Inc.

     4,952         170,250   
     

 

 

 
Total Paper & Forest Products         2,383,005   
Personal Products – 0.1%      

Nu Skin Enterprises, Inc. Class A

     9,414         388,610   
Pharmaceuticals – 7.3%      

Eli Lilly & Co.

     144,499         12,093,121   

Merck & Co., Inc.

     400,243         19,768,002   

Pfizer, Inc.

     974,727         30,616,175   

Theravance, Inc.(a)

     40,356         289,756   
     

 

 

 
Total Pharmaceuticals         62,767,054   
Professional Services – 0.0%      

Acacia Research Corp.

     6,947         63,079   

CDI Corp.

     2,186         18,690   
     

 

 

 
Total Professional Services         81,769   
Real Estate Investment Trusts (REITs) – 12.2%      

Acadia Realty Trust

     8,715         262,060   

Agree Realty Corp.

     4,013         119,788   

Alexander’s, Inc.

     768         287,232   

Alexandria Real Estate Equities, Inc.

     10,843         918,077   

American Campus Communities, Inc.

     18,130         657,031   
Investments    Shares      Value  

Apartment Investment & Management Co. Class A

     19,277       $ 713,635   

Armada Hoffler Properties, Inc.

     7,336         71,673   

Ashford Hospitality Trust, Inc.

     19,054         116,229   

AvalonBay Communities, Inc.

     17,245         3,014,771   

BioMed Realty Trust, Inc.

     42,804         855,224   

Brandywine Realty Trust

     31,362         386,380   

Brixmor Property Group, Inc.

     50,861         1,194,216   

Camden Property Trust

     14,216         1,050,562   

CatchMark Timber Trust, Inc. Class A

     6,658         68,444   

CBL & Associates Properties, Inc.

     43,495         598,056   

Cedar Realty Trust, Inc.

     13,435         83,431   

Chambers Street Properties

     69,771         452,814   

Chatham Lodging Trust

     5,088         109,290   

Chesapeake Lodging Trust

     9,120         237,667   

Columbia Property Trust, Inc.

     27,394         635,541   

CorEnergy Infrastructure Trust, Inc.

     16,791         74,216   

CoreSite Realty Corp.

     3,716         191,151   

Corporate Office Properties Trust

     16,392         344,724   

Corrections Corp. of America

     29,636         875,447   

Crown Castle International Corp.

     66,518         5,246,275   

CyrusOne, Inc.

     5,483         179,075   

DCT Industrial Trust, Inc.

     13,224         445,120   

DDR Corp.

     57,724         887,795   

DiamondRock Hospitality Co.

     24,752         273,510   

Digital Realty Trust, Inc.

     31,179         2,036,612   

Douglas Emmett, Inc.

     18,993         545,479   

Duke Realty Corp.

     55,372         1,054,837   

DuPont Fabros Technology, Inc.

     12,084         312,734   

EastGroup Properties, Inc.

     5,563         301,403   

Education Realty Trust, Inc.

     8,705         286,830   

EPR Properties

     16,266         838,838   

Equity One, Inc.

     20,121         489,745   

Equity Residential

     46,961         3,527,710   

Extra Space Storage, Inc.

     17,170         1,324,837   

Federal Realty Investment Trust

     8,340         1,137,993   

First Potomac Realty Trust

     13,452         147,972   

Franklin Street Properties Corp.

     28,355         304,816   

Gaming and Leisure Properties, Inc.

     37,390         1,110,483   

Geo Group, Inc. (The)

     21,677         644,674   

Getty Realty Corp.

     7,393         116,809   

Gladstone Commercial Corp.

     7,171         101,183   

Government Properties Income Trust(a)

     23,609         377,744   

HCP, Inc.

     101,765         3,790,746   

Healthcare Realty Trust, Inc.

     19,934         495,360   

Healthcare Trust of America, Inc. Class A

     25,424         623,142   

Hersha Hospitality Trust

     9,195         208,359   

Highwoods Properties, Inc.

     16,453         637,554   

Home Properties, Inc.

     11,985         895,879   

Hospitality Properties Trust

     43,720         1,118,358   

Host Hotels & Resorts, Inc.

     118,705         1,876,726   

Independence Realty Trust, Inc.(a)

     13,980         100,799   

Inland Real Estate Corp.

     24,359         197,308   

Investors Real Estate Trust

     32,503         251,573   

Iron Mountain, Inc.

     46,125         1,430,797   

 

See Notes to Financial Statements.

 

30   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree High Dividend Fund (DHS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Kimco Realty Corp.

     71,976       $ 1,758,374   

Kite Realty Group Trust

     14,573         346,983   

Lamar Advertising Co. Class A

     23,334         1,217,568   

LaSalle Hotel Properties

     18,111         514,171   

Lexington Realty Trust

     66,549         539,047   

Liberty Property Trust

     36,131         1,138,488   

LTC Properties, Inc.

     7,787         332,271   

Macerich Co. (The)

     20,947         1,609,148   

Mack-Cali Realty Corp.

     13,808         260,695   

Medical Properties Trust, Inc.

     49,579         548,344   

Mid-America Apartment Communities, Inc.

     13,830         1,132,262   

Monmouth Real Estate Investment Corp. Class A

     14,269         139,123   

National Health Investors, Inc.

     6,798         390,817   

National Retail Properties, Inc.

     26,382         956,875   

New York REIT, Inc.

     33,370         335,702   

Omega Healthcare Investors, Inc.

     39,266         1,380,200   

One Liberty Properties, Inc.

     4,319         92,124   

Outfront Media, Inc.

     30,448         633,318   

Parkway Properties, Inc.

     21,942         341,417   

Pennsylvania Real Estate Investment Trust

     11,696         231,932   

Physicians Realty Trust

     11,924         179,933   

Piedmont Office Realty Trust, Inc. Class A

     31,834         569,510   

Plum Creek Timber Co., Inc.

     34,296         1,355,035   

Post Properties, Inc.

     6,690         389,960   

Potlatch Corp.

     6,172         177,692   

Prologis, Inc.

     72,011         2,801,228   

Public Storage

     24,441         5,172,449   

QTS Realty Trust, Inc. Class A

     4,590         200,537   

Ramco-Gershenson Properties Trust

     15,381         230,869   

Rayonier, Inc.

     21,600         476,712   

Realty Income Corp.

     48,144         2,281,544   

Regency Centers Corp.

     12,980         806,707   

Retail Opportunity Investments Corp.

     16,298         269,569   

Retail Properties of America, Inc. Class A

     44,277         623,863   

Rexford Industrial Realty, Inc.

     5,943         81,954   

RLJ Lodging Trust

     22,128         559,175   

Rouse Properties, Inc.

     9,405         146,530   

Ryman Hospitality Properties, Inc.

     9,746         479,796   

Sabra Health Care REIT, Inc.

     13,172         305,327   

Saul Centers, Inc.

     2,752         142,416   

Select Income REIT

     22,086         419,855   

Senior Housing Properties Trust

     64,595         1,046,439   

Simon Property Group, Inc.

     41,658         7,653,408   

Sovran Self Storage, Inc.

     4,999         471,406   

Spirit Realty Capital, Inc.

     104,636         956,373   

STAG Industrial, Inc.

     15,765         287,081   

Summit Hotel Properties, Inc.

     16,397         191,353   

Sun Communities, Inc.

     9,633         652,732   

Taubman Centers, Inc.

     8,360         577,509   

Terreno Realty Corp.

     4,719         92,681   

UDR, Inc.

     39,486         1,361,477   

UMH Properties, Inc.

     8,208         76,334   

Universal Health Realty Income Trust

     3,051         143,214   

Urstadt Biddle Properties, Inc. Class A

     6,236         116,863   
Investments    Shares      Value  

Ventas, Inc.

     60,122       $ 3,370,439   

W.P. Carey, Inc.

     25,923         1,498,609   

Washington Real Estate Investment Trust(a)

     13,468         335,757   

Weingarten Realty Investors

     21,442         709,945   

Welltower, Inc.

     65,252         4,418,865   

Weyerhaeuser Co.

     78,205         2,138,125   

Whitestone REIT

     7,740         89,242   

Winthrop Realty Trust*

     6,627         95,164   

WP GLIMCHER, Inc.

     46,539         542,645   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         105,031,915   
Semiconductors & Semiconductor Equipment – 0.5%      

Brooks Automation, Inc.

     11,838         138,623   

Intersil Corp. Class A

     22,939         268,387   

KLA-Tencor Corp.

     21,996         1,099,800   

Maxim Integrated Products, Inc.

     47,443         1,584,596   

Microchip Technology, Inc.

     30,081         1,296,190   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         4,387,596   
Software – 0.2%      

American Software, Inc. Class A

     6,436         60,627   

CA, Inc.

     68,774         1,877,530   
     

 

 

 
Total Software         1,938,157   
Specialty Retail – 0.3%      

American Eagle Outfitters, Inc.

     34,138         533,577   

Big 5 Sporting Goods Corp.

     2,981         30,943   

Cato Corp. (The) Class A

     3,374         114,817   

Destination Maternity Corp.

     3,207         29,569   

GameStop Corp. Class A(a)

     21,173         872,539   

Guess?, Inc.

     17,724         378,585   

Staples, Inc.

     85,806         1,006,504   
     

 

 

 
Total Specialty Retail         2,966,534   
Technology Hardware, Storage & Peripherals – 0.1%      

Diebold, Inc.

     10,524         313,299   

Lexmark International, Inc. Class A

     10,623         307,855   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         621,154   
Textiles, Apparel & Luxury Goods – 0.2%      

Coach, Inc.

     48,434         1,401,196   
Thrifts & Mortgage Finance – 0.4%      

Brookline Bancorp, Inc.

     12,361         125,340   

Dime Community Bancshares, Inc.

     6,604         111,608   

New York Community Bancorp, Inc.

     130,959         2,365,119   

Northwest Bancshares, Inc.

     17,868         232,284   

OceanFirst Financial Corp.

     2,780         47,872   

Oritani Financial Corp.

     10,361         161,839   

Provident Financial Services, Inc.

     10,096         196,872   

Territorial Bancorp, Inc.

     1,333         34,711   

TrustCo Bank Corp.

     18,188         106,218   

United Financial Bancorp, Inc.

     7,277         94,965   
     

 

 

 
Total Thrifts & Mortgage Finance         3,476,828   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      31   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree High Dividend Fund (DHS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Tobacco – 6.9%      

Altria Group, Inc.

     381,239       $ 20,739,402   

Philip Morris International, Inc.

     338,939         26,888,031   

Reynolds American, Inc.

     241,637         10,697,270   

Universal Corp.

     5,187         257,119   

Vector Group Ltd.

     39,820         900,338   
     

 

 

 
Total Tobacco         59,482,160   
Trading Companies & Distributors – 0.0%      

H&E Equipment Services, Inc.

     5,826         97,411   

Houston Wire & Cable Co.

     2,352         14,911   

TAL International Group, Inc.*

     10,900         149,003   
     

 

 

 
Total Trading Companies & Distributors         261,325   
Water Utilities – 0.0%      

Connecticut Water Service, Inc.

     1,204         43,970   

Middlesex Water Co.

     3,089         73,642   

York Water Co. (The)

     1,530         32,160   
     

 

 

 
Total Water Utilities         149,772   
Wireless Telecommunication Services – 0.0%      

Spok Holdings, Inc.

     3,470         57,116   

TOTAL COMMON STOCKS

(Cost: $894,229,311)

  

  

     857,932,118   
EXCHANGE-TRADED FUND – 0.0%      
United States – 0.0%      
WisdomTree Total Dividend Fund(b) (Cost: $1,238)      19         1,290   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5%   
United States – 0.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $3,992,451)(d)      3,992,451         3,992,451   

TOTAL INVESTMENTS IN SECURITIES – 100.1%

(Cost: $898,223,000)

  

  

     861,925,859   

Liabilities in Excess of Cash and Other Assets – (0.1)%

  

     (763,166
     

 

 

 
NET ASSETS – 100.0%       $ 861,162,693   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $4,377,427 and the total market value of the collateral held by the Fund was $4,504,223. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $511,772.

 

See Notes to Financial Statements.

 

32   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree LargeCap Dividend Fund (DLN)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%   
United States – 99.7%      
Aerospace & Defense – 3.2%      

Boeing Co. (The)

     87,994       $ 11,522,814   

General Dynamics Corp.

     30,542         4,213,269   

Honeywell International, Inc.

     86,359         8,177,334   

Lockheed Martin Corp.

     52,534         10,890,823   

Northrop Grumman Corp.

     20,501         3,402,141   

Precision Castparts Corp.

     360         82,696   

Raytheon Co.

     36,481         3,985,914   

Rockwell Collins, Inc.

     9,408         769,951   

Textron, Inc.

     1,971         74,188   

United Technologies Corp.

     98,517         8,767,028   
     

 

 

 
Total Aerospace & Defense         51,886,158   
Air Freight & Logistics – 0.6%   

FedEx Corp.

     6,684         962,363   

United Parcel Service, Inc. Class B

     87,083         8,594,221   
     

 

 

 
Total Air Freight & Logistics         9,556,584   
Airlines – 0.2%      

American Airlines Group, Inc.

     28,329         1,100,015   

Delta Air Lines, Inc.

     32,613         1,463,345   

Southwest Airlines Co.

     20,689         787,010   
     

 

 

 
Total Airlines         3,350,370   
Auto Components – 0.2%   

BorgWarner, Inc.

     12,302         511,640   

Johnson Controls, Inc.

     77,595         3,209,329   
     

 

 

 
Total Auto Components         3,720,969   
Automobiles – 1.2%   

Ford Motor Co.

     643,696         8,734,955   

General Motors Co.

     311,812         9,360,596   

Harley-Davidson, Inc.

     17,448         957,895   
     

 

 

 
Total Automobiles         19,053,446   
Banks – 6.3%   

Bank of America Corp.

     627,109         9,770,358   

BB&T Corp.

     95,373         3,395,279   

Citigroup, Inc.

     11,979         594,278   

Fifth Third Bancorp

     113,127         2,139,232   

JPMorgan Chase & Co.

     510,499         31,125,124   

KeyCorp

     83,096         1,081,079   

M&T Bank Corp.

     15,668         1,910,713   

PNC Financial Services Group, Inc. (The)

     58,658         5,232,294   

Regions Financial Corp.

     135,707         1,222,720   

SunTrust Banks, Inc.

     54,041         2,066,528   

U.S. Bancorp

     203,337         8,338,850   

Wells Fargo & Co.

     693,007         35,585,909   
     

 

 

 
Total Banks         102,462,364   
Beverages – 3.1%   

Brown-Forman Corp. Class B

     9,868         956,209   

Coca-Cola Co. (The)

     668,113         26,804,694   

Dr. Pepper Snapple Group, Inc.

     23,800         1,881,390   

Molson Coors Brewing Co. Class B

     16,209         1,345,671   

PepsiCo, Inc.

     212,197         20,010,177   
     

 

 

 
Total Beverages         50,998,141   
Investments    Shares      Value  
Biotechnology – 1.3%      

AbbVie, Inc.

     245,417       $ 13,353,139   

Amgen, Inc.

     57,420         7,942,334   
     

 

 

 
Total Biotechnology         21,295,473   
Capital Markets – 1.8%      

Ameriprise Financial, Inc.

     17,171         1,873,871   

Bank of New York Mellon Corp. (The)

     97,809         3,829,222   

BlackRock, Inc.

     19,199         5,711,127   

Charles Schwab Corp. (The)

     56,256         1,606,672   

Franklin Resources, Inc.

     27,332         1,018,390   

Goldman Sachs Group, Inc. (The)

     28,216         4,902,812   

Morgan Stanley

     111,415         3,509,573   

Northern Trust Corp.

     24,376         1,661,468   

State Street Corp.

     34,562         2,322,912   

T. Rowe Price Group, Inc.

     28,856         2,005,492   

TD Ameritrade Holding Corp.

     46,282         1,473,619   
     

 

 

 
Total Capital Markets         29,915,158   
Chemicals – 2.1%      

Air Products & Chemicals, Inc.

     24,375         3,109,762   

CF Industries Holdings, Inc.

     29,810         1,338,469   

Dow Chemical Co. (The)

     233,212         9,888,189   

E.I. du Pont de Nemours & Co.

     124,752         6,013,046   

Eastman Chemical Co.

     14,035         908,345   

Ecolab, Inc.

     16,743         1,837,042   

Monsanto Co.

     41,287         3,523,433   

Mosaic Co. (The)

     37,417         1,164,043   

PPG Industries, Inc.

     17,202         1,508,443   

Praxair, Inc.

     31,636         3,222,443   

Sherwin-Williams Co. (The)

     4,482         998,500   

Sigma-Aldrich Corp.

     4,304         597,912   
     

 

 

 
Total Chemicals         34,109,627   
Commercial Services & Supplies – 0.4%      

Republic Services, Inc.

     52,855         2,177,626   

Waste Management, Inc.

     72,330         3,602,757   
     

 

 

 
Total Commercial Services & Supplies         5,780,383   
Communications Equipment – 2.0%      

Cisco Systems, Inc.

     741,976         19,476,870   

Motorola Solutions, Inc.

     27,279         1,865,338   

QUALCOMM, Inc.

     201,796         10,842,499   
     

 

 

 
Total Communications Equipment         32,184,707   
Consumer Finance – 0.6%   

American Express Co.

     60,947         4,518,001   

Capital One Financial Corp.

     42,532         3,084,421   

Discover Financial Services

     36,638         1,904,809   
     

 

 

 
Total Consumer Finance         9,507,231   
Distributors – 0.1%   

Genuine Parts Co.

     17,672         1,464,832   
Diversified Financial Services – 0.5%      

CME Group, Inc.

     36,902         3,422,292   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      33   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree LargeCap Dividend Fund (DLN)

September 30, 2015

 

  

 

 

 

Investments    Shares      Value  

Intercontinental Exchange, Inc.

     7,027       $ 1,651,275   

McGraw Hill Financial, Inc.

     19,044         1,647,306   

Moody’s Corp.

     12,992         1,275,814   
     

 

 

 
Total Diversified Financial Services         7,996,687   
Diversified Telecommunication Services – 6.1%   

AT&T, Inc.

     1,520,377         49,533,882   

CenturyLink, Inc.

     166,831         4,190,795   

Verizon Communications, Inc.

     1,026,161         44,648,265   
     

 

 

 
Total Diversified Telecommunication Services         98,372,942   
Electric Utilities – 3.2%   

American Electric Power Co., Inc.

     89,992         5,116,945   

Duke Energy Corp.

     139,638         10,045,558   

Edison International

     37,070         2,338,005   

Entergy Corp.

     35,475         2,309,422   

Eversource Energy

     49,897         2,525,786   

Exelon Corp.

     151,032         4,485,650   

FirstEnergy Corp.

     82,756         2,591,090   

NextEra Energy, Inc.

     63,900         6,233,445   

PPL Corp.

     145,284         4,778,391   

Southern Co. (The)

     200,708         8,971,648   

Xcel Energy, Inc.

     89,578         3,171,957   
     

 

 

 
Total Electric Utilities         52,567,897   
Electrical Equipment – 0.4%      

AMETEK, Inc.

     8,453         442,261   

Emerson Electric Co.

     114,549         5,059,630   

Rockwell Automation, Inc.

     17,592         1,785,060   
     

 

 

 
Total Electrical Equipment         7,286,951   
Electronic Equipment, Instruments & Components – 0.2%   

Amphenol Corp. Class A

     15,897         810,111   

Corning, Inc.

     127,339         2,180,044   
     

 

 

 
Total Electronic Equipment, Instruments & Components         2,990,155   
Energy Equipment & Services – 0.4%      

Baker Hughes, Inc.

     28,086         1,461,595   

Halliburton Co.

     83,328         2,945,645   

National Oilwell Varco, Inc.

     66,814         2,515,547   
     

 

 

 
Total Energy Equipment & Services         6,922,787   
Food & Staples Retailing – 3.0%      

Costco Wholesale Corp.

     23,314         3,370,505   

CVS Health Corp.

     72,038         6,950,226   

Kroger Co. (The)

     60,816         2,193,633   

Sysco Corp.

     91,832         3,578,693   

Wal-Mart Stores, Inc.

     377,589         24,482,871   

Walgreens Boots Alliance, Inc.

     87,145         7,241,750   

Whole Foods Market, Inc.

     18,899         598,153   
     

 

 

 
Total Food & Staples Retailing         48,415,831   
Food Products – 2.2%      

Archer-Daniels-Midland Co.

     64,337         2,666,769   

Campbell Soup Co.

     46,057         2,334,169   

ConAgra Foods, Inc.

     59,425         2,407,307   

General Mills, Inc.

     96,818         5,434,394   

Hershey Co. (The)

     18,095         1,662,568   

Hormel Foods Corp.

     20,591         1,303,616   
Investments    Shares      Value  

Kellogg Co.

     54,175       $ 3,605,346   

Keurig Green Mountain, Inc.

     6,627         345,532   

Kraft Heinz Co. (The)

     112,349         7,929,592   

Mead Johnson Nutrition Co.

     16,048         1,129,779   

Mondelez International, Inc. Class A

     137,886         5,773,287   

Tyson Foods, Inc. Class A

     14,257         614,477   
     

 

 

 
Total Food Products         35,206,836   
Health Care Equipment & Supplies – 1.0%      

Abbott Laboratories

     154,236         6,203,372   

Baxter International, Inc.

     80,349         2,639,465   

Becton, Dickinson and Co.

     15,692         2,081,701   

C.R. Bard, Inc.

     2,171         404,479   

St. Jude Medical, Inc.

     24,016         1,515,169   

Stryker Corp.

     25,792         2,427,027   

Zimmer Biomet Holdings, Inc.

     7,015         658,919   
     

 

 

 
Total Health Care Equipment & Supplies         15,930,132   
Health Care Providers & Services – 1.2%   

Aetna, Inc.

     20,755         2,270,805   

AmerisourceBergen Corp.

     14,787         1,404,617   

Anthem, Inc.

     19,753         2,765,420   

Cardinal Health, Inc.

     29,323         2,252,593   

Cigna Corp.

     722         97,484   

Humana, Inc.

     6,277         1,123,583   

McKesson Corp.

     5,607         1,037,463   

UnitedHealth Group, Inc.

     74,863         8,684,857   
     

 

 

 
Total Health Care Providers & Services         19,636,822   
Hotels, Restaurants & Leisure – 2.3%   

Las Vegas Sands Corp.

     148,187         5,626,661   

Marriott International, Inc. Class A

     15,339         1,046,120   

McDonald’s Corp.

     187,229         18,447,673   

Starbucks Corp.

     118,190         6,717,920   

Starwood Hotels & Resorts Worldwide, Inc.

     16,457         1,094,061   

Wynn Resorts Ltd.

     20,586         1,093,528   

Yum! Brands, Inc.

     50,740         4,056,663   
     

 

 

 
Total Hotels, Restaurants & Leisure         38,082,626   
Household Durables – 0.1%      

Whirlpool Corp.

     6,831         1,005,933   
Household Products – 2.7%      

Clorox Co. (The)

     20,023         2,313,257   

Colgate-Palmolive Co.

     97,307         6,175,102   

Kimberly-Clark Corp.

     56,492         6,159,888   

Procter & Gamble Co. (The)

     397,218         28,575,863   
     

 

 

 
Total Household Products         43,224,110   
Industrial Conglomerates – 3.6%   

3M Co.

     71,196         10,093,457   

Danaher Corp.

     16,616         1,415,849   

General Electric Co.

     1,819,059         45,876,668   

Roper Technologies, Inc.

     2,527         395,981   
     

 

 

 
Total Industrial Conglomerates         57,781,955   
Insurance – 2.3%      

Aflac, Inc.

     62,406         3,627,661   

Allstate Corp. (The)

     35,762         2,082,779   

 

See Notes to Financial Statements.

 

34   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree LargeCap Dividend Fund (DLN)

September 30, 2015

 

  

 

 

 

Investments    Shares      Value  

American International Group, Inc.

     66,837       $ 3,797,678   

Chubb Corp. (The)

     23,783         2,916,985   

Hartford Financial Services Group, Inc. (The)

     40,296         1,844,751   

Lincoln National Corp.

     18,525         879,197   

Loews Corp.

     11,119         401,841   

Marsh & McLennan Cos., Inc.

     54,807         2,862,022   

MetLife, Inc.

     154,290         7,274,773   

Principal Financial Group, Inc.

     40,927         1,937,484   

Progressive Corp. (The)

     57,174         1,751,811   

Prudential Financial, Inc.

     62,756         4,782,635   

Travelers Cos., Inc. (The)

     36,046         3,587,658   
     

 

 

 
Total Insurance         37,747,275   
IT Services – 2.4%      

Automatic Data Processing, Inc.

     58,324         4,686,917   

Fidelity National Information Services, Inc.

     23,399         1,569,605   

International Business Machines Corp.

     143,671         20,827,985   

MasterCard, Inc. Class A

     30,230         2,724,327   

Paychex, Inc.

     60,451         2,879,281   

Visa, Inc. Class A

     75,130         5,233,556   

Xerox Corp.

     109,942         1,069,736   
     

 

 

 
Total IT Services         38,991,407   
Life Sciences Tools & Services – 0.1%      

Agilent Technologies, Inc.

     16,161         554,807   

Thermo Fisher Scientific, Inc.

     9,934         1,214,730   
     

 

 

 
Total Life Sciences Tools & Services         1,769,537   
Machinery – 1.3%      

Caterpillar, Inc.

     95,775         6,259,854   

Cummins, Inc.

     21,024         2,282,786   

Deere & Co.(a)

     51,294         3,795,756   

Dover Corp.

     19,199         1,097,799   

Illinois Tool Works, Inc.

     41,460         3,412,572   

PACCAR, Inc.

     23,813         1,242,324   

Parker-Hannifin Corp.

     15,172         1,476,236   

Stanley Black & Decker, Inc.

     17,966         1,742,343   
     

 

 

 
Total Machinery         21,309,670   
Media – 2.3%      

CBS Corp. Class B Non-Voting Shares

     26,652         1,063,415   

Comcast Corp. Class A

     178,569         10,157,005   

Comcast Corp. Special Class A

     35,000         2,003,400   

Omnicom Group, Inc.

     33,806         2,227,815   

Time Warner Cable, Inc.

     29,822         5,349,172   

Time Warner, Inc.

     65,988         4,536,675   

Twenty-First Century Fox, Inc. Class A

     47,475         1,280,876   

Twenty-First Century Fox, Inc. Class B

     29,406         796,020   

Viacom, Inc. Class B

     32,481         1,401,555   

Walt Disney Co. (The)

     81,715         8,351,273   
     

 

 

 
Total Media         37,167,206   
Metals & Mining – 0.3%      

Alcoa, Inc.

     45,791         442,341   

Freeport-McMoRan, Inc.

     306,256         2,967,621   

Nucor Corp.

     46,329         1,739,654   
     

 

 

 
Total Metals & Mining         5,149,616   
Investments    Shares      Value  
Multi-Utilities – 1.7%      

Consolidated Edison, Inc.

     58,732       $ 3,926,234   

Dominion Resources, Inc.

     97,946         6,893,439   

DTE Energy Co.

     30,627         2,461,492   

NiSource, Inc.

     42,367         785,908   

PG&E Corp.

     84,667         4,470,418   

Public Service Enterprise Group, Inc.

     93,835         3,956,084   

Sempra Energy

     30,681         2,967,466   

WEC Energy Group, Inc.

     36,281         1,894,594   
     

 

 

 
Total Multi-Utilities         27,355,635   
Multiline Retail – 0.7%      

Kohl’s Corp.

     28,428         1,316,501   

Macy’s, Inc.

     36,903         1,893,862   

Nordstrom, Inc.

     17,633         1,264,462   

Target Corp.

     93,384         7,345,586   
     

 

 

 
Total Multiline Retail         11,820,411   
Oil, Gas & Consumable Fuels – 9.4%      

Anadarko Petroleum Corp.

     38,718         2,338,180   

Apache Corp.

     33,096         1,296,039   

Cabot Oil & Gas Corp.

     7,280         159,141   

Chevron Corp.

     404,993         31,945,848   

ConocoPhillips

     295,099         14,152,948   

Devon Energy Corp.

     38,671         1,434,307   

EOG Resources, Inc.

     22,253         1,620,018   

EQT Corp.

     1,389         89,966   

Exxon Mobil Corp.

     691,394         51,405,144   

Hess Corp.

     22,216         1,112,133   

Kinder Morgan, Inc.

     237,456         6,572,782   

Marathon Oil Corp.

     115,685         1,781,549   

Marathon Petroleum Corp.

     69,604         3,224,753   

Noble Energy, Inc.

     29,228         882,101   

Occidental Petroleum Corp.

     153,550         10,157,333   

ONEOK, Inc.

     54,671         1,760,406   

Phillips 66

     86,521         6,648,274   

Pioneer Natural Resources Co.

     722         87,824   

Range Resources Corp.

     3,569         114,636   

Spectra Energy Corp.

     152,029         3,993,802   

Valero Energy Corp.

     63,957         3,843,816   

Williams Cos., Inc. (The)

     203,676         7,505,461   
     

 

 

 
Total Oil, Gas & Consumable Fuels         152,126,461   
Paper & Forest Products – 0.1%      

International Paper Co.

     65,315         2,468,254   
Personal Products – 0.1%      

Estee Lauder Cos., Inc. (The) Class A

     15,886         1,281,682   
Pharmaceuticals – 7.3%      

Bristol-Myers Squibb Co.

     208,264         12,329,229   

Eli Lilly & Co.

     160,735         13,451,912   

Johnson & Johnson

     384,568         35,899,423   

Merck & Co., Inc.

     444,653         21,961,411   

Pfizer, Inc.

     1,084,893         34,076,489   

Zoetis, Inc.

     18,249         751,494   
     

 

 

 
Total Pharmaceuticals         118,469,958   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      35   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree LargeCap Dividend Fund (DLN)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Real Estate Investment Trusts (REITs) – 3.8%   

American Tower Corp.

     29,917       $ 2,632,098   

AvalonBay Communities, Inc.

     19,202         3,356,894   

Boston Properties, Inc.

     15,684         1,856,986   

Crown Castle International Corp.

     73,959         5,833,146   

Equity Residential

     52,023         3,907,968   

Essex Property Trust, Inc.

     8,535         1,906,890   

General Growth Properties, Inc.

     113,232         2,940,635   

HCP, Inc.

     112,429         4,187,980   

Host Hotels & Resorts, Inc.

     134,647         2,128,769   

Macerich Co. (The)

     23,660         1,817,561   

Prologis, Inc.

     81,047         3,152,728   

Public Storage

     27,066         5,727,978   

Simon Property Group, Inc.

     46,523         8,547,205   

SL Green Realty Corp.

     7,855         849,597   

Ventas, Inc.

     58,470         3,277,828   

Vornado Realty Trust

     24,837         2,245,761   

Welltower, Inc.

     72,183         4,888,233   

Weyerhaeuser Co.

     88,212         2,411,716   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         61,669,973   
Road & Rail – 0.8%      

CSX Corp.

     93,860         2,524,834   

Kansas City Southern

     5,410         491,661   

Norfolk Southern Corp.

     35,487         2,711,206   

Union Pacific Corp.

     81,190         7,178,008   
     

 

 

 
Total Road & Rail         12,905,709   
Semiconductors & Semiconductor Equipment – 2.4%      

Altera Corp.

     30,501         1,527,490   

Analog Devices, Inc.

     43,171         2,435,276   

Applied Materials, Inc.

     105,513         1,549,986   

Broadcom Corp. Class A

     32,416         1,667,155   

Intel Corp.

     656,958         19,800,714   

KLA-Tencor Corp.

     24,443         1,222,150   

Lam Research Corp.

     6,995         456,983   

Linear Technology Corp.

     27,934         1,127,137   

NVIDIA Corp.

     45,874         1,130,794   

Skyworks Solutions, Inc.

     6,690         563,365   

Texas Instruments, Inc.

     137,474         6,807,713   

Xilinx, Inc.

     33,563         1,423,071   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         39,711,834   
Software – 4.0%      

Activision Blizzard, Inc.

     38,241         1,181,264   

CA, Inc.

     77,653         2,119,927   

Intuit, Inc.

     16,265         1,443,519   

Microsoft Corp.

     1,115,332         49,364,594   

Oracle Corp.

     273,299         9,871,560   

Symantec Corp.

     84,265         1,640,640   
     

 

 

 
Total Software         65,621,504   
Specialty Retail – 1.8%      

Best Buy Co., Inc.

     35,508         1,318,057   

Gap, Inc. (The)

     49,045         1,397,782   

Home Depot, Inc. (The)

     129,886         15,000,534   
Investments    Shares      Value  

L Brands, Inc.

     24,482       $ 2,206,563   

Lowe’s Cos., Inc.

     71,315         4,915,030   

Ross Stores, Inc.

     19,531         946,668   

Tiffany & Co.

     9,419         727,335   

TJX Cos., Inc. (The)

     37,313         2,664,894   
     

 

 

 
Total Specialty Retail         29,176,863   
Technology Hardware, Storage & Peripherals – 4.2%      

Apple, Inc.

     514,750         56,776,925   

EMC Corp.

     168,295         4,066,007   

Hewlett-Packard Co.

     159,881         4,094,553   

NetApp, Inc.

     25,289         748,554   

SanDisk Corp.

     13,869         753,503   

Western Digital Corp.

     17,952         1,426,107   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         67,865,649   
Textiles, Apparel & Luxury Goods – 0.5%      

Hanesbrands, Inc.

     20,694         598,884   

NIKE, Inc. Class B

     41,075         5,050,993   

Ralph Lauren Corp.

     3,489         412,260   

VF Corp.

     38,895         2,653,028   
     

 

 

 
Total Textiles, Apparel & Luxury Goods         8,715,165   
Tobacco – 4.0%      

Altria Group, Inc.

     424,446         23,089,862   

Philip Morris International, Inc.

     376,465         29,864,969   

Reynolds American, Inc.

     269,647         11,937,273   
     

 

 

 
Total Tobacco         64,892,104   
Trading Companies & Distributors – 0.2%      

Fastenal Co.

     34,063         1,247,046   

W.W. Grainger, Inc.

     5,967         1,282,965   
     

 

 

 
Total Trading Companies & Distributors         2,530,011   

TOTAL COMMON STOCKS

(Cost: $1,612,771,881)

  

  

     1,619,453,031   
EXCHANGE-TRADED FUND – 0.1%      
United States – 0.1%      
WisdomTree Total Dividend Fund(a)(b) (Cost: $1,308,306)      17,922         1,216,725   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.0%   
United States – 0.0%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $20,775)(d)      20,775         20,775   

TOTAL INVESTMENTS IN SECURITIES – 99.8%

(Cost: $1,614,100,962)

  

  

     1,620,690,531   

Cash and Other Assets in Excess of Liabilities – 0.2%

  

     3,617,063   
     

 

 

 
NET ASSETS – 100.0%       $ 1,624,307,594   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $2,329,463 and the total market value of the collateral held by the Fund was $2,376,677. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,355,902.

 

See Notes to Financial Statements.

 

36   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree LargeCap Value Fund (EZY)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.5%   
United States – 99.5%      
Aerospace & Defense – 6.4%      

Boeing Co. (The)

     5,160       $ 675,702   

Curtiss-Wright Corp.

     283         17,665   

General Dynamics Corp.

     2,553         352,186   

Huntington Ingalls Industries, Inc.

     434         46,503   

Lockheed Martin Corp.

     2,392         495,886   

Moog, Inc. Class A*

     299         16,167   

Northrop Grumman Corp.

     1,549         257,057   

Orbital ATK, Inc.

     581         41,756   

Textron, Inc.

     1,821         68,542   
     

 

 

 
Total Aerospace & Defense         1,971,464   
Air Freight & Logistics – 1.2%   

C.H. Robinson Worldwide, Inc.

     807         54,698   

Expeditors International of Washington, Inc.

     1,040         48,932   

FedEx Corp.

     1,864         268,379   
     

 

 

 
Total Air Freight & Logistics         372,009   
Airlines – 2.3%      

Alaska Air Group, Inc.

     1,158         92,003   

Allegiant Travel Co.

     122         26,383   

Delta Air Lines, Inc.

     4,951         222,151   

JetBlue Airways Corp.*

     1,084         27,935   

Southwest Airlines Co.

     3,812         145,009   

Spirit Airlines, Inc.*

     381         18,021   

United Continental Holdings, Inc.*

     3,466         183,871   
     

 

 

 
Total Airlines         715,373   
Auto Components – 1.8%   

Autoliv, Inc.(a)

     496         54,069   

Cooper Tire & Rubber Co.

     406         16,041   

Goodyear Tire & Rubber Co. (The)

     13,035         382,317   

Lear Corp.

     893         97,140   

Visteon Corp.*

     193         19,539   
     

 

 

 
Total Auto Components         569,106   
Automobiles – 2.0%      

General Motors Co.

     20,796         624,296   
Beverages – 0.7%      

Constellation Brands, Inc. Class A

     904         113,190   

Dr. Pepper Snapple Group, Inc.

     1,177         93,042   
     

 

 

 
Total Beverages         206,232   
Biotechnology – 0.1%      

United Therapeutics Corp.*

     236         30,973   
Building Products – 0.5%      

A.O. Smith Corp.

     411         26,793   

Masco Corp.

     4,447         111,976   
     

 

 

 
Total Building Products         138,769   
Capital Markets – 0.6%      

Ameriprise Financial, Inc.

     1,673         182,575   

Janus Capital Group, Inc.

     1,072         14,579   
     

 

 

 
Total Capital Markets         197,154   
Investments    Shares      Value  
Chemicals – 0.5%      

Ashland, Inc.

     250       $ 25,155   

Minerals Technologies, Inc.

     279         13,437   

Olin Corp.(a)

     527         8,859   

Sensient Technologies Corp.

     322         19,739   

Sherwin-Williams Co. (The)

     366         81,537   
     

 

 

 
Total Chemicals         148,727   
Commercial Services & Supplies – 1.3%      

ADT Corp. (The)

     1,362         40,724   

Cintas Corp.

     531         45,533   

Covanta Holding Corp.

     419         7,312   

Deluxe Corp.

     398         22,184   

HNI Corp.

     209         8,966   

KAR Auction Services, Inc.

     680         24,140   

R.R. Donnelley & Sons Co.

     2,969         43,229   

Republic Services, Inc.

     1,784         73,501   

Steelcase, Inc. Class A

     852         15,685   

Waste Management, Inc.

     2,120         105,597   
     

 

 

 
Total Commercial Services & Supplies         386,871   
Communications Equipment – 0.2%      

CommScope Holding Co., Inc.*

     1,628         48,889   
Containers & Packaging – 1.0%      

Ball Corp.

     1,030         64,066   

Bemis Co., Inc.

     639         25,285   

Graphic Packaging Holding Co.

     2,644         33,817   

Sealed Air Corp.

     1,347         63,147   

Silgan Holdings, Inc.

     445         23,158   

Sonoco Products Co.

     743         28,041   

WestRock Co.

     1,628         83,744   
     

 

 

 
Total Containers & Packaging         321,258   
Diversified Consumer Services – 0.3%      

Bright Horizons Family Solutions, Inc.*

     180         11,563   

Graham Holdings Co. Class B

     57         32,889   

Service Corp. International

     1,284         34,797   
     

 

 

 
Total Diversified Consumer Services         79,249   
Diversified Financial Services – 1.1%      

Nasdaq, Inc.

     1,313         70,022   

Voya Financial, Inc.

     6,668         258,519   
     

 

 

 
Total Diversified Financial Services         328,541   
Diversified Telecommunication Services – 0.3%      

Frontier Communications Corp.

     4,115         19,546   

Level 3 Communications, Inc.*

     1,296         56,622   
     

 

 

 
Total Diversified Telecommunication Services         76,168   
Electric Utilities – 1.1%      

Entergy Corp.

     1,802         117,310   

Hawaiian Electric Industries, Inc.

     666         19,108   

Pepco Holdings, Inc.

     1,760         42,627   

Portland General Electric Co.

     600         22,182   

UIL Holdings Corp.

     327         16,438   

Xcel Energy, Inc.

     3,774         133,638   
     

 

 

 
Total Electric Utilities         351,303   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      37   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree LargeCap Value Fund (EZY)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Electrical Equipment – 0.1%      

Regal Beloit Corp.

     380       $ 21,451   
Electronic Equipment, Instruments & Components – 0.6%      

Arrow Electronics, Inc.*

     1,233         68,160   

Belden, Inc.

     216         10,085   

CDW Corp.

     1,125         45,967   

Jabil Circuit, Inc.

     778         17,404   

SYNNEX Corp.

     380         32,323   

Zebra Technologies Corp. Class A*

     263         20,133   
     

 

 

 
Total Electronic Equipment, Instruments & Components         194,072   
Food & Staples Retailing – 10.4%      

Casey’s General Stores, Inc.

     247         25,421   

Costco Wholesale Corp.

     1,944         281,044   

CVS Health Corp.

     6,491         626,252   

Kroger Co. (The)

     6,050         218,224   

United Natural Foods, Inc.*

     244         11,836   

Wal-Mart Stores, Inc.

     25,970         1,683,895   

Walgreens Boots Alliance, Inc.

     4,215         350,266   
     

 

 

 
Total Food & Staples Retailing         3,196,938   
Food Products – 2.4%      

Archer-Daniels-Midland Co.

     5,769         239,125   

ConAgra Foods, Inc.

     3,802         154,019   

Hain Celestial Group, Inc. (The)*

     372         19,195   

Ingredion, Inc.

     628         54,831   

Kraft Heinz Co. (The)

     1,650         116,457   

Pilgrim’s Pride Corp.(a)

     3,912         81,291   

Pinnacle Foods, Inc.

     463         19,390   

Seaboard Corp.*

     10         30,790   

TreeHouse Foods, Inc.*

     221         17,192   

WhiteWave Foods Co. (The)*

     437         17,546   
     

 

 

 
Total Food Products         749,836   
Gas Utilities – 0.5%      

Atmos Energy Corp.

     697         40,551   

New Jersey Resources Corp.

     1,092         32,793   

ONE Gas, Inc.

     321         14,551   

UGI Corp.

     921         32,069   

WGL Holdings, Inc.

     354         20,415   
     

 

 

 
Total Gas Utilities         140,379   
Health Care Equipment & Supplies – 0.8%      

ABIOMED, Inc.*

     36         3,339   

Boston Scientific Corp.*

     8,627         141,569   

Edwards Lifesciences Corp.*

     129         18,340   

Haemonetics Corp.*

     262         8,468   

Hill-Rom Holdings, Inc.

     321         16,689   

Hologic, Inc.*

     594         23,243   

STERIS Corp.

     309         20,076   

West Pharmaceutical Services, Inc.

     288         15,586   
     

 

 

 
Total Health Care Equipment & Supplies         247,310   
Health Care Providers & Services – 10.2%      

Acadia Healthcare Co., Inc.*

     168         11,133   

Aetna, Inc.

     2,893         316,523   

AmerisourceBergen Corp.

     79         7,504   

Amsurg Corp.*

     219         17,018   

Anthem, Inc.

     2,204         308,560   
Investments    Shares      Value  

Cardinal Health, Inc.

     1,784       $ 137,047   

Centene Corp.*

     491         26,627   

Cigna Corp.

     2,026         273,551   

Community Health Systems, Inc.*

     1,256         53,719   

DaVita HealthCare Partners, Inc.*

     1,316         95,186   

Express Scripts Holding Co.*

     4,564         369,501   

Health Net, Inc.*

     521         31,375   

HealthSouth Corp.

     591         22,677   

Henry Schein, Inc.*

     419         55,610   

Humana, Inc.

     852         152,508   

Laboratory Corp. of America Holdings*

     560         60,743   

LifePoint Health, Inc.*

     334         23,681   

McKesson Corp.

     1,190         220,186   

Molina Healthcare, Inc.*

     90         6,196   

Patterson Cos., Inc.

     571         24,696   

Quest Diagnostics, Inc.

     1,151         70,752   

Team Health Holdings, Inc.*

     292         15,777   

Tenet Healthcare Corp.*

     600         22,152   

UnitedHealth Group, Inc.

     6,062         703,253   

Universal Health Services, Inc. Class B

     629         78,505   

VCA, Inc.*

     392         20,639   

WellCare Health Plans, Inc.*

     141         12,151   
     

 

 

 
Total Health Care Providers & Services         3,137,270   
Hotels, Restaurants & Leisure – 0.9%      

Aramark

     1,187         35,183   

Cracker Barrel Old Country Store, Inc.(a)

     129         18,999   

Darden Restaurants, Inc.

     469         32,145   

Diamond Resorts International, Inc.*

     417         9,754   

Hilton Worldwide Holdings, Inc.

     2,685         61,594   

Jack in the Box, Inc.

     149         11,479   

Marriott Vacations Worldwide Corp.

     160         10,902   

Texas Roadhouse, Inc.

     307         11,420   

Vail Resorts, Inc.

     117         12,248   

Wyndham Worldwide Corp.

     823         59,174   
     

 

 

 
Total Hotels, Restaurants & Leisure         262,898   
Household Durables – 2.2%      

D.R. Horton, Inc.

     2,473         72,607   

Harman International Industries, Inc.

     390         37,436   

Jarden Corp.*

     1,110         54,257   

Leggett & Platt, Inc.

     637         26,276   

Lennar Corp. Class A

     1,672         80,473   

Mohawk Industries, Inc.*

     436         79,261   

Newell Rubbermaid, Inc.

     2,041         81,048   

NVR, Inc.*

     27         41,181   

PulteGroup, Inc.

     3,255         61,422   

Ryland Group, Inc. (The)

     454         18,537   

Standard Pacific Corp.*

     3,125         25,000   

TopBuild Corp.*

     489         15,144   

Whirlpool Corp.

     650         95,719   
     

 

 

 
Total Household Durables         688,361   
Household Products – 0.2%      

Energizer Holdings, Inc.

     479         18,542   

Spectrum Brands Holdings, Inc.

     379         34,682   
     

 

 

 
Total Household Products         53,224   

 

See Notes to Financial Statements.

 

38   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree LargeCap Value Fund (EZY)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Independent Power and Renewable Electricity Producers – 0.3%   

Calpine Corp.*

     7,228       $ 105,529   
Insurance – 9.3%      

Alleghany Corp.*

     179         83,792   

Allstate Corp. (The)

     4,930         287,123   

American Equity Investment Life Holding Co.

     590         13,753   

American Financial Group, Inc.

     906         62,433   

American International Group, Inc.

     15,550         883,551   

AmTrust Financial Services, Inc.

     1,098         69,152   

Erie Indemnity Co. Class A

     247         20,486   

First American Financial Corp.

     837         32,702   

Hanover Insurance Group, Inc. (The)

     542         42,113   

Hartford Financial Services Group, Inc. (The)

     4,603         210,725   

HCC Insurance Holdings, Inc.

     1,011         78,322   

Lincoln National Corp.

     3,424         162,503   

Markel Corp.*

     55         44,102   

Mercury General Corp.

     463         23,386   

Progressive Corp. (The)

     6,141         188,160   

Reinsurance Group of America, Inc.

     923         83,615   

Symetra Financial Corp.

     1,403         44,391   

Travelers Cos., Inc. (The)

     4,403         438,231   

W.R. Berkley Corp.

     1,644         89,384   
     

 

 

 
Total Insurance         2,857,924   
Internet & Catalog Retail – 0.3%      

Expedia, Inc.

     609         71,667   

HSN, Inc.

     322         18,431   
     

 

 

 
Total Internet & Catalog Retail         90,098   
Internet Software & Services – 0.0%      

Rackspace Hosting, Inc.*

     256         6,318   
IT Services – 2.1%      

Booz Allen Hamilton Holding Corp.

     1,073         28,123   

Broadridge Financial Solutions, Inc.

     612         33,874   

Computer Sciences Corp.

     1,721         105,635   

DST Systems, Inc.

     451         47,418   

EPAM Systems, Inc.*

     142         10,582   

Euronet Worldwide, Inc.*

     246         18,226   

Fiserv, Inc.*

     1,248         108,089   

Global Payments, Inc.

     351         40,270   

Leidos Holdings, Inc.

     476         19,664   

MAXIMUS, Inc.

     284         16,915   

Science Applications International Corp.

     332         13,350   

Western Union Co. (The)

     5,506         101,090   

Xerox Corp.

     11,597         112,839   
     

 

 

 
Total IT Services         656,075   
Leisure Products – 0.1%      

Brunswick Corp.

     608         29,117   
Life Sciences Tools & Services – 0.1%      

Charles River Laboratories International, Inc.*

     239         15,181   

PAREXEL International Corp.*

     267         16,533   
     

 

 

 
Total Life Sciences Tools & Services         31,714   
Machinery – 0.6%      

Snap-on, Inc.

     388         58,565   

Stanley Black & Decker, Inc.

     1,210         117,346   
Investments    Shares      Value  

Woodward, Inc.

     473       $ 19,251   
     

 

 

 
Total Machinery         195,162   
Media – 2.2%      

AMC Entertainment Holdings, Inc. Class A

     220         5,542   

Cable One, Inc.*

     57         23,907   

Cinemark Holdings, Inc.

     553         17,967   

Gannett Co., Inc.

     1,488         21,918   

Interpublic Group of Cos., Inc. (The)

     2,872         54,941   

Liberty Media Corp. Class A*

     582         20,789   

Meredith Corp.

     366         15,584   

TEGNA, Inc.

     2,977         66,655   

Time Warner, Inc.

     6,746         463,788   
     

 

 

 
Total Media         691,091   
Metals & Mining – 0.2%   

Steel Dynamics, Inc.

     2,892         49,685   
Multi-Utilities – 1.5%      

CMS Energy Corp.

     1,786         63,081   

Consolidated Edison, Inc.

     2,203         147,271   

NiSource, Inc.

     1,547         28,697   

PG&E Corp.

     4,323         228,254   
     

 

 

 
Total Multi-Utilities         467,303   
Multiline Retail – 2.9%      

Big Lots, Inc.

     358         17,155   

Dillard’s, Inc. Class A

     299         26,130   

Dollar General Corp.

     1,818         131,696   

Dollar Tree, Inc.*

     1,190         79,325   

Kohl’s Corp.

     1,418         65,668   

Macy’s, Inc.

     2,857         146,621   

Nordstrom, Inc.

     1,161         83,255   

Target Corp.

     4,550         357,903   
     

 

 

 
Total Multiline Retail         907,753   
Oil, Gas & Consumable Fuels – 5.0%      

Columbia Pipeline Group, Inc.

     1,547         28,295   

Delek U.S. Holdings, Inc.

     628         17,396   

Marathon Petroleum Corp.

     6,520         302,071   

Phillips 66

     6,366         489,163   

Tesoro Corp.

     1,355         131,760   

Valero Energy Corp.

     7,941         477,254   

Western Refining, Inc.

     1,872         82,593   

World Fuel Services Corp.

     481         17,220   
     

 

 

 
Total Oil, Gas & Consumable Fuels         1,545,752   
Paper & Forest Products – 0.5%      

International Paper Co.

     3,683         139,180   

KapStone Paper and Packaging Corp.

     723         11,937   
     

 

 

 
Total Paper & Forest Products         151,117   
Personal Products – 0.3%      

Coty, Inc. Class A

     2,221         60,100   

Edgewell Personal Care Co.

     479         39,087   
     

 

 

 
Total Personal Products         99,187   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      39   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree LargeCap Value Fund (EZY)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Pharmaceuticals – 0.4%      

Akorn, Inc.*

     189       $ 5,388   

Lannett Co., Inc.*(a)

     222         9,217   

Prestige Brands Holdings, Inc.*

     280         12,645   

Zoetis, Inc.

     2,168         89,278   
     

 

 

 
Total Pharmaceuticals         116,528   
Professional Services – 0.3%      

ManpowerGroup, Inc.

     681         55,767   

Robert Half International, Inc.

     661         33,817   
     

 

 

 
Total Professional Services         89,584   
Real Estate Investment Trusts (REITs) – 0.3%      

Corrections Corp. of America

     728         21,505   

Geo Group, Inc. (The)

     420         12,491   

Iron Mountain, Inc.

     1,275         39,551   

Ryman Hospitality Properties, Inc.

     267         13,144   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         86,691   
Real Estate Management & Development – 0.3%      

CBRE Group, Inc. Class A*

     1,681         53,792   

Jones Lang LaSalle, Inc.

     330         47,444   
     

 

 

 
Total Real Estate Management & Development         101,236   
Road & Rail – 0.7%   

AMERCO

     152         59,807   

Avis Budget Group, Inc.*

     788         34,420   

Con-way, Inc.

     459         21,780   

Knight Transportation, Inc.

     413         9,912   

Landstar System, Inc.

     268         17,010   

Old Dominion Freight Line, Inc.*

     472         28,792   

Ryder System, Inc.

     447         33,096   

Werner Enterprises, Inc.

     399         10,015   
     

 

 

 
Total Road & Rail         214,832   
Semiconductors & Semiconductor Equipment – 2.0%   

Broadcom Corp. Class A

     2,713         139,530   

Integrated Device Technology, Inc.*

     537         10,901   

Lam Research Corp.

     1,138         74,345   

Micron Technology, Inc.*

     17,399         260,637   

Microsemi Corp.*

     290         9,518   

ON Semiconductor Corp.*

     2,959         27,815   

Qorvo, Inc.*

     405         18,245   

Skyworks Solutions, Inc.

     736         61,979   

Synaptics, Inc.*

     151         12,451   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         615,421   
Software – 0.0%      

Fair Isaac Corp.

     124         10,478   
Specialty Retail – 6.7%      

Advance Auto Parts, Inc.

     490         92,870   

American Eagle Outfitters, Inc.

     758         11,847   

Asbury Automotive Group, Inc.*

     212         17,204   

AutoNation, Inc.*

     797         46,369   

Best Buy Co., Inc.

     4,147         153,937   

CarMax, Inc.*

     931         55,227   

CST Brands, Inc.

     474         15,955   
Investments    Shares      Value  

Foot Locker, Inc.

     1,091       $ 78,519   

Home Depot, Inc. (The)

     6,743         778,749   

Lithia Motors, Inc. Class A

     179         19,352   

Lowe’s Cos., Inc.

     4,623         318,617   

Mattress Firm Holding Corp.*(a)

     138         5,763   

Men’s Wearhouse, Inc. (The)

     419         17,816   

Murphy USA, Inc.*

     426         23,409   

O’Reilly Automotive, Inc.*

     455         113,750   

Penske Automotive Group, Inc.

     732         35,458   

Restoration Hardware Holdings, Inc.*

     156         14,556   

Ross Stores, Inc.

     2,298         111,384   

Staples, Inc.

     5,516         64,703   

Ulta Salon Cosmetics & Fragrance, Inc.*

     218         35,610   

Urban Outfitters, Inc.*

     666         19,567   

Williams-Sonoma, Inc.

     497         37,946   
     

 

 

 
Total Specialty Retail         2,068,608   
Technology Hardware, Storage & Peripherals – 11.5%   

Apple, Inc.

     32,276         3,560,043   
Textiles, Apparel & Luxury Goods – 2.1%   

Carter’s, Inc.

     281         25,470   

Columbia Sportswear Co.

     327         19,224   

G-III Apparel Group Ltd.*

     211         13,010   

Hanesbrands, Inc.

     2,252         65,173   

NIKE, Inc. Class B

     3,989         490,527   

Skechers U.S.A., Inc. Class A*

     246         32,984   

Wolverine World Wide, Inc.

     676         14,629   
     

 

 

 
Total Textiles, Apparel & Luxury Goods         661,017   
Trading Companies & Distributors – 0.1%   

Watsco, Inc.

     152         18,009   

TOTAL COMMON STOCKS

(Cost: $30,197,949)

  

  

     30,684,393   
EXCHANGE-TRADED FUNDS – 0.4%      
United States – 0.4%      

WisdomTree Earnings 500 Fund(a)(b)

     1,379         90,669   

WisdomTree MidCap Earnings Fund(a)(b)

     446         38,320   
     

 

 

 

TOTAL EXCHANGE-TRADED FUNDS

(Cost: $138,364)

  

  

     128,989   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.4%   
United States – 0.4%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $131,940)(d)      131,940         131,940   

TOTAL INVESTMENTS IN SECURITIES – 100.3%

(Cost: $30,468,253)

  

  

     30,945,322   

Liabilities in Excess of Cash and Other Assets – (0.3)%

  

     (102,387
     

 

 

 
NET ASSETS – 100.0%       $ 30,842,935   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $202,353 and the total market value of the collateral held by the Fund was $206,698. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $74,758.

 

See Notes to Financial Statements.

 

40   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree MidCap Dividend Fund (DON)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
         
COMMON STOCKS – 99.8%      
United States – 99.8%      
Aerospace & Defense – 1.0%      

BWX Technologies, Inc.

     57,579       $ 1,517,782   

Curtiss-Wright Corp.

     14,597         911,145   

Huntington Ingalls Industries, Inc.

     28,953         3,102,314   

L-3 Communications Holdings, Inc.

     66,257         6,925,182   

Orbital ATK, Inc.

     15,259         1,096,664   

Triumph Group, Inc.

     4,887         205,645   
     

 

 

 
Total Aerospace & Defense              13,758,732   
Air Freight & Logistics – 0.9%      

C.H. Robinson Worldwide, Inc.

     109,932         7,451,191   

Expeditors International of Washington, Inc.

     107,821         5,072,978   
     

 

 

 
Total Air Freight & Logistics         12,524,169   
Airlines – 0.3%   

Alaska Air Group, Inc.

     46,399         3,686,401   
Auto Components – 0.7%      

Dana Holding Corp.

     65,302         1,036,996   

Gentex Corp.

     202,820         3,143,710   

Goodyear Tire & Rubber Co. (The)

     96,276         2,823,775   

Lear Corp.

     27,414         2,982,095   
     

 

 

 
Total Auto Components         9,986,576   
Automobiles – 0.2%   

Thor Industries, Inc.

     41,450         2,147,110   
Banks – 3.5%      

Associated Banc-Corp.

     68,968         1,239,355   

Bank of the Ozarks, Inc.

     23,467         1,026,916   

BankUnited, Inc.

     62,221         2,224,401   

BOK Financial Corp.(a)

     41,002         2,653,239   

CIT Group, Inc.

     49,149         1,967,434   

City National Corp.

     19,343         1,703,345   

Comerica, Inc.

     66,595         2,737,055   

Commerce Bancshares, Inc.

     39,454         1,797,524   

Cullen/Frost Bankers, Inc.

     37,962         2,413,624   

East West Bancorp, Inc.

     56,276         2,162,124   

First Citizens BancShares, Inc. Class A

     1,051         237,526   

First Horizon National Corp.

     75,024         1,063,840   

First Niagara Financial Group, Inc.

     292,518         2,986,609   

First Republic Bank

     31,751         1,993,010   

FirstMerit Corp.

     119,290         2,107,854   

Huntington Bancshares, Inc.

     400,183         4,241,940   

Investors Bancorp, Inc.

     107,725         1,329,327   

PacWest Bancorp

     93,239         3,991,562   

People’s United Financial, Inc.

     287,302         4,519,260   

Prosperity Bancshares, Inc.

     29,522         1,449,825   

Synovus Financial Corp.

     43,435         1,285,676   

Umpqua Holdings Corp.

     160,486         2,615,922   

Webster Financial Corp.

     47,811         1,703,506   

Zions Bancorp

     24,016         661,401   
     

 

 

 
Total Banks         50,112,275   
Investments    Shares      Value  
         
Beverages – 0.7%   

Coca-Cola Enterprises, Inc.

     217,967       $ 10,538,704   
Building Products – 1.2%      

A.O. Smith Corp.

     33,080         2,156,485   

Fortune Brands Home & Security, Inc.

     66,982         3,179,636   

Lennox International, Inc.

     24,383         2,763,325   

Masco Corp.

     207,899         5,234,897   

Owens Corning

     88,773         3,720,476   
     

 

 

 
Total Building Products         17,054,819   
Capital Markets – 1.0%   

Eaton Vance Corp.

     61,196         2,045,170   

Federated Investors, Inc. Class B(a)

     67,294         1,944,797   

Janus Capital Group, Inc.

     79,880         1,086,368   

Legg Mason, Inc.

     30,125         1,253,501   

LPL Financial Holdings, Inc.(a)

     46,293         1,841,073   

NorthStar Asset Management Group, Inc.

     74,465         1,069,317   

Raymond James Financial, Inc.

     37,843         1,878,148   

SEI Investments Co.

     37,973         1,831,438   

Waddell & Reed Financial, Inc. Class A

     52,655         1,830,814   
     

 

 

 
Total Capital Markets              14,780,626   
Chemicals – 3.8%      

Airgas, Inc.

     57,916         5,173,636   

Albemarle Corp.

     91,903         4,052,922   

Ashland, Inc.

     31,560         3,175,567   

Axiall Corp.

     44,809         703,053   

Cabot Corp.

     55,994         1,767,171   

Celanese Corp. Series A

     103,653         6,133,148   

Cytec Industries, Inc.

     31,794         2,347,987   

FMC Corp.

     56,890         1,929,140   

Huntsman Corp.

     219,316         2,125,172   

International Flavors & Fragrances, Inc.

     59,039         6,096,367   

NewMarket Corp.

     7,235         2,582,895   

PolyOne Corp.

     40,260         1,181,229   

RPM International, Inc.

     111,799         4,683,260   

Scotts Miracle-Gro Co. (The) Class A

     70,337         4,277,896   

Sensient Technologies Corp.

     32,642         2,000,955   

Valspar Corp. (The)

     40,240         2,892,451   

Westlake Chemical Corp.

     62,620         3,249,352   
     

 

 

 
Total Chemicals         54,372,201   
Commercial Services & Supplies – 2.8%      

ADT Corp. (The)

     177,682         5,312,692   

Cintas Corp.

     54,601         4,682,036   

Covanta Holding Corp.

     224,164         3,911,662   

Deluxe Corp.

     38,700         2,157,138   

KAR Auction Services, Inc.

     172,380         6,119,490   

Pitney Bowes, Inc.

     244,134         4,846,060   

R.R. Donnelley & Sons Co.

     522,737         7,611,050   

Rollins, Inc.

     108,899         2,926,116   

Waste Connections, Inc.

     58,041         2,819,632   
     

 

 

 
Total Commercial Services & Supplies         40,385,876   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      41   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Dividend Fund (DON)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
         
Communications Equipment – 1.4%      

Brocade Communications Systems, Inc.

     210,603       $ 2,186,059   

Harris Corp.

     129,330         9,460,490   

Juniper Networks, Inc.

     320,164         8,231,416   
     

 

 

 
Total Communications Equipment              19,877,965   
Construction & Engineering – 0.3%      

EMCOR Group, Inc.

     18,653         825,395   

Fluor Corp.

     89,298         3,781,771   
     

 

 

 
Total Construction & Engineering         4,607,166   
Construction Materials – 0.6%      

Eagle Materials, Inc.

     10,496         718,136   

Martin Marietta Materials, Inc.

     38,891         5,909,487   

Vulcan Materials Co.

     19,868         1,772,226   
     

 

 

 
Total Construction Materials         8,399,849   
Consumer Finance – 0.5%      

Navient Corp.

     241,224         2,711,358   

Santander Consumer USA Holdings, Inc.*

     243,194         4,966,021   
     

 

 

 
Total Consumer Finance         7,677,379   
Containers & Packaging – 2.8%      

AptarGroup, Inc.

     43,674         2,880,737   

Avery Dennison Corp.

     98,763         5,587,023   

Ball Corp.

     41,457         2,578,625   

Bemis Co., Inc.

     98,071         3,880,669   

Packaging Corp. of America

     80,762         4,858,642   

Sealed Air Corp.

     104,610         4,904,117   

Silgan Holdings, Inc.

     28,298         1,472,628   

Sonoco Products Co.

     118,345         4,466,340   

WestRock Co.

     171,906         8,842,845   
     

 

 

 
Total Containers & Packaging         39,471,626   
Diversified Consumer Services – 1.1%      

DeVry Education Group, Inc.

     19,022         517,589   

Graham Holdings Co. Class B

     2,116         1,220,932   

H&R Block, Inc.

     268,692         9,726,650   

Service Corp. International

     132,106         3,580,072   

Sotheby’s

     27,620         883,288   
     

 

 

 
Total Diversified Consumer Services         15,928,531   
Diversified Financial Services – 0.6%      

CBOE Holdings, Inc.

     23,297         1,562,763   

Leucadia National Corp.

     86,193         1,746,270   

MSCI, Inc.

     35,650         2,119,749   

Nasdaq, Inc.

     44,504         2,373,399   

Voya Financial, Inc.

     4,764         184,700   
     

 

 

 
Total Diversified Financial Services         7,986,881   
Diversified Telecommunication Services – 1.0%   

Frontier Communications Corp.

     2,492,153         11,837,727   

Windstream Holdings, Inc.(a)

     461,735         2,835,053   
     

 

 

 
Total Diversified Telecommunication Services         14,672,780   
Electric Utilities – 4.0%      

Cleco Corp.

     69,335         3,691,395   

Great Plains Energy, Inc.

     220,879         5,968,151   
Investments    Shares      Value  
         

Hawaiian Electric Industries, Inc.

     150,446       $ 4,316,296   

IDACORP, Inc.

     58,530         3,787,476   

ITC Holdings Corp.

     101,073         3,369,774   

OGE Energy Corp.

     225,379         6,166,369   

Pepco Holdings, Inc.

     397,351         9,623,841   

Pinnacle West Capital Corp.

     156,261         10,022,581   

Portland General Electric Co.

     90,737         3,354,547   

Westar Energy, Inc.

     181,077         6,960,600   
     

 

 

 
Total Electric Utilities              57,261,030   
Electrical Equipment – 0.5%      

Acuity Brands, Inc.

     6,829         1,199,036   

EnerSys

     21,467         1,150,202   

Hubbell, Inc. Class B

     44,088         3,745,275   

Regal Beloit Corp.

     22,576         1,274,415   
     

 

 

 
Total Electrical Equipment         7,368,928   
Electronic Equipment, Instruments & Components – 1.1%   

Avnet, Inc.

     79,526         3,394,170   

Belden, Inc.

     4,024         187,880   

CDW Corp.

     53,049         2,167,582   

FEI Co.

     18,172         1,327,283   

FLIR Systems, Inc.

     68,185         1,908,498   

Jabil Circuit, Inc.

     122,480         2,739,877   

National Instruments Corp.

     96,330         2,677,011   

SYNNEX Corp.

     10,762         915,416   
     

 

 

 
Total Electronic Equipment, Instruments & Components         15,317,717   
Energy Equipment & Services – 1.6%      

Diamond Offshore Drilling, Inc.(a)

     559,334         9,676,478   

Helmerich & Payne, Inc.

     192,018         9,074,770   

Oceaneering International, Inc.

     75,056         2,948,200   

Superior Energy Services, Inc.

     107,895         1,362,714   
     

 

 

 
Total Energy Equipment & Services         23,062,162   
Food & Staples Retailing – 0.2%      

Casey’s General Stores, Inc.

     13,970         1,437,792   

PriceSmart, Inc.

     9,493         734,189   
     

 

 

 
Total Food & Staples Retailing         2,171,981   
Food Products – 2.5%      

Flowers Foods, Inc.

     229,792         5,685,054   

Ingredion, Inc.

     57,415         5,012,904   

J.M. Smucker Co. (The)

     102,312         11,672,776   

McCormick & Co., Inc. Non-Voting Shares

     93,154         7,655,396   

Pinnacle Foods, Inc.

     124,214         5,202,082   
     

 

 

 
Total Food Products         35,228,212   
Gas Utilities – 2.7%      

AGL Resources, Inc.

     178,259         10,880,929   

Atmos Energy Corp.

     114,412         6,656,490   

National Fuel Gas Co.

     76,257         3,811,325   

Piedmont Natural Gas Co., Inc.

     103,698         4,155,179   

Questar Corp.

     213,818         4,150,208   

Southwest Gas Corp.

     45,854         2,674,205   

UGI Corp.

     158,533         5,520,119   
     

 

 

 
Total Gas Utilities         37,848,455   

 

See Notes to Financial Statements.

 

42   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Dividend Fund (DON)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
         
Health Care Equipment & Supplies – 0.9%      

Cooper Cos., Inc. (The)

     683       $ 101,671   

DENTSPLY International, Inc.

     26,836         1,357,097   

ResMed, Inc.

     113,409         5,779,323   

STERIS Corp.

     32,551         2,114,838   

Teleflex, Inc.

     19,116         2,374,398   

West Pharmaceutical Services, Inc.

     22,748         1,231,122   
     

 

 

 
Total Health Care Equipment & Supplies         12,958,449   
Health Care Providers & Services – 1.0%      

HealthSouth Corp.

     76,386         2,930,931   

Patterson Cos., Inc.

     68,010         2,941,433   

Quest Diagnostics, Inc.

     117,473         7,221,065   

Universal Health Services, Inc. Class B

     13,435         1,676,822   
     

 

 

 
Total Health Care Providers & Services              14,770,251   
Hotels, Restaurants & Leisure – 3.7%      

Aramark

     109,947         3,258,829   

Brinker International, Inc.

     49,767         2,621,228   

Choice Hotels International, Inc.

     30,760         1,465,714   

Cracker Barrel Old Country Store, Inc.(a)

     28,266         4,163,016   

Darden Restaurants, Inc.

     198,264         13,589,015   

Domino’s Pizza, Inc.

     22,639         2,442,975   

Dunkin’ Brands Group, Inc.

     80,302         3,934,798   

Jack in the Box, Inc.

     15,372         1,184,259   

Six Flags Entertainment Corp.

     184,357         8,439,863   

Vail Resorts, Inc.

     26,297         2,752,770   

Wendy’s Co. (The)

     356,811         3,086,415   

Wyndham Worldwide Corp.

     80,993         5,823,397   
     

 

 

 
Total Hotels, Restaurants & Leisure         52,762,279   
Household Durables – 2.3%      

D.R. Horton, Inc.

     148,212         4,351,504   

Harman International Industries, Inc.

     33,662         3,231,216   

Leggett & Platt, Inc.

     160,284         6,611,715   

Lennar Corp. Class A

     25,525         1,228,518   

Newell Rubbermaid, Inc.

     208,112         8,264,128   

PulteGroup, Inc.

     229,205         4,325,098   

Tupperware Brands Corp.(a)

     84,635         4,188,586   
     

 

 

 
Total Household Durables         32,200,765   
Household Products – 0.7%      

Church & Dwight Co., Inc.

     84,682         7,104,820   

Spectrum Brands Holdings, Inc.

     26,196         2,397,196   
     

 

 

 
Total Household Products         9,502,016   
Independent Power and Renewable Electricity Producers – 0.6%   

AES Corp.

     418,455         4,096,675   

NRG Energy, Inc.

     275,765         4,095,110   
     

 

 

 
Total Independent Power and Renewable Electricity Producers               8,191,785   
Industrial Conglomerates – 0.2%      

Carlisle Cos., Inc.

     29,054         2,538,739   
Insurance – 4.0%      

American Financial Group, Inc.

     30,706         2,115,950   

American National Insurance Co.

     15,217         1,485,788   
Investments    Shares      Value  
         

AmTrust Financial Services, Inc.

     27,184       $ 1,712,048   

Arthur J. Gallagher & Co.

     101,043         4,171,055   

Assurant, Inc.

     23,723         1,874,354   

Brown & Brown, Inc.

     40,598         1,257,320   

Cincinnati Financial Corp.(a)

     115,863         6,233,429   

CNA Financial Corp.

     146,433         5,114,905   

CNO Financial Group, Inc.

     64,465         1,212,587   

Erie Indemnity Co. Class A

     26,355         2,185,884   

First American Financial Corp.

     65,426         2,556,194   

FNF Group

     133,342         4,729,641   

Hanover Insurance Group, Inc. (The)

     19,320         1,501,164   

HCC Insurance Holdings, Inc.

     44,391         3,438,971   

Mercury General Corp.

     51,568         2,604,700   

Old Republic International Corp.

     275,844         4,314,200   

Primerica, Inc.

     9,853         444,075   

Reinsurance Group of America, Inc.

     22,112         2,003,126   

StanCorp Financial Group, Inc.

     17,085         1,951,107   

Torchmark Corp.

     25,931         1,462,508   

Unum Group

     105,965         3,399,357   

W.R. Berkley Corp.

     22,154         1,204,513   
     

 

 

 
Total Insurance              56,972,876   
Internet & Catalog Retail – 0.5%      

Expedia, Inc.

     36,507         4,296,144   

HSN, Inc.

     38,429         2,199,676   
     

 

 

 
Total Internet & Catalog Retail         6,495,820   
Internet Software & Services – 0.5%      

IAC/InterActiveCorp

     66,494         4,340,063   

j2 Global, Inc.

     36,241         2,567,675   
     

 

 

 
Total Internet Software & Services         6,907,738   
IT Services – 3.1%      

Booz Allen Hamilton Holding Corp.

     99,066         2,596,520   

Broadridge Financial Solutions, Inc.

     114,165         6,319,033   

Computer Sciences Corp.

     82,187         5,044,638   

DST Systems, Inc.

     18,686         1,964,646   

Global Payments, Inc.

     2,581         296,118   

Jack Henry & Associates, Inc.

     45,542         3,170,179   

Leidos Holdings, Inc.

     86,004         3,552,825   

MAXIMUS, Inc.

     8,733         520,138   

Sabre Corp.

     192,901         5,243,049   

Total System Services, Inc.

     89,210         4,052,810   

Western Union Co. (The)

     597,651         10,972,872   
     

 

 

 
Total IT Services         43,732,828   
Leisure Products – 2.1%      

Brunswick Corp.

     37,307         1,786,632   

Hasbro, Inc.

     150,102         10,828,358   

Mattel, Inc.(a)

     652,971         13,751,569   

Polaris Industries, Inc.(a)

     34,104         4,088,047   
     

 

 

 
Total Leisure Products         30,454,606   
Life Sciences Tools & Services – 0.2%   

Bio-Techne Corp.

     19,928         1,842,543   

PerkinElmer, Inc.

     29,762         1,367,861   
     

 

 

 
Total Life Sciences Tools & Services         3,210,404   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      43   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Dividend Fund (DON)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
         
Machinery – 3.4%   

AGCO Corp.

     37,478       $ 1,747,599   

Allison Transmission Holdings, Inc.

     126,902         3,387,014   

CLARCOR, Inc.

     24,198         1,153,761   

Crane Co.

     55,638         2,593,287   

Donaldson Co., Inc.

     95,097         2,670,324   

Flowserve Corp.

     61,924         2,547,553   

Graco, Inc.

     32,647         2,188,328   

IDEX Corp.

     46,126         3,288,784   

ITT Corp.

     41,256         1,379,188   

Joy Global, Inc.

     65,564         978,871   

Kennametal, Inc.

     65,111         1,620,613   

Lincoln Electric Holdings, Inc.

     51,919         2,722,113   

Manitowoc Co., Inc. (The)

     23,093         346,395   

Nordson Corp.

     27,867         1,753,949   

Oshkosh Corp.

     46,765         1,698,972   

Snap-on, Inc.

     36,056         5,442,293   

Terex Corp.

     31,136         558,580   

Timken Co. (The)

     84,450         2,321,531   

Toro Co. (The)

     28,614         2,018,432   

Trinity Industries, Inc.

     89,105         2,020,010   

Valmont Industries, Inc.

     11,117         1,054,892   

Wabtec Corp.

     10,742         945,833   

Woodward, Inc.

     16,508         671,876   

Xylem, Inc.

     99,845         3,279,908   
     

 

 

 
Total Machinery              48,390,106   
Media – 2.4%      

Cablevision Systems Corp. Class A

     258,943         8,407,879   

Cinemark Holdings, Inc.

     125,368         4,073,206   

Interpublic Group of Cos., Inc. (The)

     315,205         6,029,872   

John Wiley & Sons, Inc. Class A

     39,108         1,956,573   

Morningstar, Inc.

     18,731         1,503,350   

Regal Entertainment Group Class A(a)

     216,264         4,041,974   

Scripps Networks Interactive, Inc. Class A

     42,040         2,067,948   

TEGNA, Inc.

     229,543         5,139,468   

Viacom, Inc. Class A

     35,417         1,567,911   
     

 

 

 
Total Media         34,788,181   
Metals & Mining – 1.1%      

Allegheny Technologies, Inc.

     100,491         1,424,962   

Compass Minerals International, Inc.

     38,353         3,005,725   

Newmont Mining Corp.

     100,505         1,615,115   

Reliance Steel & Aluminum Co.

     72,977         3,941,488   

Royal Gold, Inc.

     32,997         1,550,199   

Steel Dynamics, Inc.

     212,849         3,656,746   

United States Steel Corp.(a)

     39,517         411,767   
     

 

 

 
Total Metals & Mining         15,606,002   
Multi-Utilities – 5.6%      

Alliant Energy Corp.

     139,371         8,151,810   

Ameren Corp.

     360,343         15,231,699   

CenterPoint Energy, Inc.

     722,265         13,029,660   

CMS Energy Corp.

     346,012         12,221,144   

MDU Resources Group, Inc.

     254,615         4,379,378   
Investments    Shares      Value  
         

SCANA Corp.

     205,410       $ 11,556,366   

TECO Energy, Inc.

     418,691         10,994,826   

Vectren Corp.

     111,221         4,672,394   
     

 

 

 
Total Multi-Utilities         80,237,277   
Multiline Retail – 0.1%      

Big Lots, Inc.

     37,345         1,789,572   

Dillard’s, Inc. Class A

     3,118         272,482   
     

 

 

 
Total Multiline Retail         2,062,054   
Oil, Gas & Consumable Fuels – 3.5%      

Cimarex Energy Co.

     21,894         2,243,697   

CONSOL Energy, Inc.

     66,315         649,887   

CVR Energy, Inc.(a)

     257,848         10,584,660   

Energen Corp.

     4,303         214,548   

HollyFrontier Corp.

     261,226         12,758,278   

Murphy Oil Corp.

     214,689         5,195,474   

QEP Resources, Inc.

     28,109         352,206   

SemGroup Corp. Class A

     31,585         1,365,735   

SM Energy Co.

     8,261         264,682   

Targa Resources Corp.

     51,577         2,657,247   

Tesoro Corp.

     78,981         7,680,113   

Western Refining, Inc.

     124,102         5,475,380   

World Fuel Services Corp.

     8,686         310,959   
     

 

 

 
Total Oil, Gas & Consumable Fuels              49,752,866   
Personal Products – 0.3%      

Avon Products, Inc.(a)

     421,155         1,368,754   

Edgewell Personal Care Co.

     38,383         3,132,053   
     

 

 

 
Total Personal Products         4,500,807   
Professional Services – 1.2%      

Dun & Bradstreet Corp. (The)

     21,741         2,282,805   

Equifax, Inc.

     58,790         5,713,212   

ManpowerGroup, Inc.

     47,061         3,853,825   

Robert Half International, Inc.

     66,682         3,411,451   

Towers Watson & Co. Class A

     14,720         1,727,834   
     

 

 

 
Total Professional Services         16,989,127   
Real Estate Investment Trusts (REITs) – 15.6%      

Alexandria Real Estate Equities, Inc.

     48,574         4,112,761   

American Campus Communities, Inc.

     81,608         2,957,474   

American Homes 4 Rent Class A

     52,241         840,035   

Apartment Investment & Management Co. Class A

     85,394         3,161,286   

BioMed Realty Trust, Inc.

     191,474         3,825,651   

Brandywine Realty Trust

     142,420         1,754,614   

Brixmor Property Group, Inc.

     227,443         5,340,362   

Camden Property Trust

     63,744         4,710,682   

CBL & Associates Properties, Inc.

     193,002         2,653,777   

Columbia Property Trust, Inc.

     122,177         2,834,506   

Corrections Corp. of America

     133,134         3,932,778   

CubeSmart

     80,915         2,201,697   

DCT Industrial Trust, Inc.

     60,079         2,022,259   

DDR Corp.

     258,283         3,972,393   

DiamondRock Hospitality Co.

     109,293         1,207,688   

Digital Realty Trust, Inc.

     139,292         9,098,553   

 

See Notes to Financial Statements.

 

44   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Dividend Fund (DON)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
         

Douglas Emmett, Inc.

     84,953       $ 2,439,850   

Duke Realty Corp.

     247,917         4,722,819   

EPR Properties

     72,540         3,740,888   

Equity Lifestyle Properties, Inc.

     44,686         2,617,259   

Equity One, Inc.

     90,334         2,198,730   

Extra Space Storage, Inc.

     76,917         5,934,916   

Federal Realty Investment Trust

     37,178         5,072,938   

Gaming and Leisure Properties, Inc.

     167,213         4,966,226   

Geo Group, Inc. (The)

     95,508         2,840,408   

Healthcare Trust of America, Inc. Class A

     113,174         2,773,895   

Highwoods Properties, Inc.

     73,475         2,847,156   

Home Properties, Inc.

     53,550         4,002,862   

Hospitality Properties Trust

     195,659         5,004,957   

Iron Mountain, Inc.(a)

     206,979         6,420,489   

Kilroy Realty Corp.

     34,823         2,269,067   

Kimco Realty Corp.

     321,016         7,842,421   

Lamar Advertising Co. Class A

     197,236         10,291,774   

LaSalle Hotel Properties

     80,619         2,288,773   

Liberty Property Trust

     162,101         5,107,803   

Mid-America Apartment Communities, Inc.

     61,656         5,047,777   

National Retail Properties, Inc.

     118,723         4,306,083   

Omega Healthcare Investors, Inc.

     140,065         4,923,285   

Outfront Media, Inc.

     135,901         2,826,741   

Pebblebrook Hotel Trust

     30,686         1,087,819   

Piedmont Office Realty Trust, Inc. Class A

     141,950         2,539,485   

Plum Creek Timber Co., Inc.

     153,787         6,076,124   

Post Properties, Inc.

     30,842         1,797,780   

Rayonier, Inc.(a)

     96,281         2,124,922   

Realty Income Corp.

     215,988         10,235,671   

Regency Centers Corp.

     57,253         3,558,274   

Retail Properties of America, Inc. Class A

     199,043         2,804,516   

RLJ Lodging Trust

     98,526         2,489,752   

Senior Housing Properties Trust

     289,791         4,694,614   

Sovran Self Storage, Inc.

     22,126         2,086,482   

Spirit Realty Capital, Inc.

     465,659         4,256,123   

Sun Communities, Inc.

     42,449         2,876,344   

Sunstone Hotel Investors, Inc.

     49,771         658,470   

Tanger Factory Outlet Centers, Inc.

     51,782         1,707,253   

Taubman Centers, Inc.

     38,031         2,627,181   

UDR, Inc.

     175,077         6,036,655   

W.P. Carey, Inc.

     114,968         6,646,300   

Weingarten Realty Investors

     95,744         3,170,084   
     

 

 

 
Total Real Estate Investment Trusts (REITs)            222,587,482   
Real Estate Management & Development – 0.0%   

Jones Lang LaSalle, Inc.

     3,136         450,863   
Road & Rail – 0.6%      

Con-way, Inc.

     28,607         1,357,402   

JB Hunt Transport Services, Inc.

     44,256         3,159,879   

Knight Transportation, Inc.

     23,079         553,896   

Landstar System, Inc.

     6,443         408,937   

Ryder System, Inc.

     34,849         2,580,220   
     

 

 

 
Total Road & Rail         8,060,334   
Investments    Shares      Value  
         
Semiconductors & Semiconductor Equipment – 1.8%   

Maxim Integrated Products, Inc.

     402,665       $ 13,449,011   

Microchip Technology, Inc.(a)

     255,281         11,000,058   

Teradyne, Inc.

     105,052         1,891,987   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         26,341,056   
Software – 0.5%      

FactSet Research Systems, Inc.

     18,832         3,009,542   

Solera Holdings, Inc.

     43,294         2,337,876   

SS&C Technologies Holdings, Inc.

     30,437         2,131,807   
     

 

 

 
Total Software         7,479,225   
Specialty Retail – 3.2%      

Advance Auto Parts, Inc.

     4,134         783,517   

American Eagle Outfitters, Inc.

     287,017         4,486,076   

CST Brands, Inc.

     17,154         577,404   

Dick’s Sporting Goods, Inc.

     38,719         1,920,850   

DSW, Inc. Class A

     66,239         1,676,509   

Foot Locker, Inc.

     87,431         6,292,409   

GameStop Corp. Class A(a)

     179,321         7,389,818   

GNC Holdings, Inc. Class A

     52,268         2,112,673   

Penske Automotive Group, Inc.

     61,322         2,970,438   

Staples, Inc.

     725,960         8,515,511   

Tractor Supply Co.

     43,283         3,649,622   

Williams-Sonoma, Inc.

     66,550         5,081,092   
     

 

 

 
Total Specialty Retail         45,455,919   
Textiles, Apparel & Luxury Goods – 1.2%      

Carter’s, Inc.

     19,633         1,779,535   

Coach, Inc.

     411,374         11,901,050   

Columbia Sportswear Co.

     36,672         2,155,947   

PVH Corp.

     3,677         374,833   

Wolverine World Wide, Inc.

     32,280         698,539   
     

 

 

 
Total Textiles, Apparel & Luxury Goods         16,909,904   
Thrifts & Mortgage Finance – 0.9%      

New York Community Bancorp, Inc.

     584,281         10,552,115   

Radian Group, Inc.

     3,172         50,466   

TFS Financial Corp.

     117,251         2,022,580   
     

 

 

 
Total Thrifts & Mortgage Finance         12,625,161   
Trading Companies & Distributors – 0.6%      

Air Lease Corp.

     18,991         587,202   

GATX Corp.

     43,370         1,914,786   

MSC Industrial Direct Co., Inc. Class A

     38,912         2,374,799   

Watsco, Inc.

     27,219         3,224,907   
     

 

 

 
Total Trading Companies & Distributors               8,101,694   
Water Utilities – 1.0%      

American Water Works Co., Inc.

     165,702         9,126,866   

Aqua America, Inc.

     175,520         4,646,015   
     

 

 

 
Total Water Utilities               13,772,881   

TOTAL COMMON STOCKS

(Cost: $1,438,669,542)

              1,421,037,646   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      45   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree MidCap Dividend Fund (DON)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
         
EXCHANGE-TRADED FUND – 0.0%   
United States – 0.0%   

WisdomTree LargeCap Dividend Fund(b)

     
(Cost: $68,725)      952       $ 63,993   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.4%   
United States – 3.4%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $49,143,858)(d)      49,143,858         49,143,858   

TOTAL INVESTMENTS IN SECURITIES – 103.2%

(Cost: $1,487,882,125)

  

  

     1,470,245,497   

Liabilities in Excess of Cash and Other Assets – (3.2)%

  

     (45,855,898
     

 

 

 
NET ASSETS – 100.0%             $ 1,424,389,599   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $49,673,344 and the total market value of the collateral held by the Fund was $51,018,810. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $1,874,952.

 

See Notes to Financial Statements.

 

46   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
United States – 99.7%      
Aerospace & Defense – 2.0%      

BWX Technologies, Inc.

     71,940       $ 1,896,338   

Curtiss-Wright Corp.

     18,812         1,174,245   

DigitalGlobe, Inc.*

     4,429         84,240   

Esterline Technologies Corp.*

     12,209         877,705   

HEICO Corp.

     14,622         714,723   

Hexcel Corp.

     36,872         1,654,078   

Huntington Ingalls Industries, Inc.

     24,908         2,668,892   

Moog, Inc. Class A*

     17,707         957,418   

Orbital ATK, Inc.

     28,680         2,061,232   

Teledyne Technologies, Inc.*

     14,458         1,305,557   

Triumph Group, Inc.

     18,076         760,638   
     

 

 

 
Total Aerospace & Defense         14,155,066   
Airlines – 0.6%      

Allegiant Travel Co.

     5,234         1,131,852   

JetBlue Airways Corp.*

     89,835         2,315,048   

Spirit Airlines, Inc.*

     22,065         1,043,675   
     

 

 

 
Total Airlines         4,490,575   
Auto Components – 1.1%      

Cooper Tire & Rubber Co.

     42,537         1,680,637   

Dana Holding Corp.

     67,785         1,076,426   

Federal-Mogul Holdings Corp.*

     2,298         15,695   

Gentex Corp.

     114,250         1,770,875   

Tenneco, Inc.*

     36,513         1,634,687   

Visteon Corp.*

     18,495         1,872,434   
     

 

 

 
Total Auto Components         8,050,754   
Automobiles – 0.2%      

Thor Industries, Inc.

     23,405         1,212,379   
Banks – 7.9%      

Associated Banc-Corp.

     65,806         1,182,534   

BancorpSouth, Inc.

     40,104         953,272   

Bank of Hawaii Corp.

     19,329         1,227,198   

Bank of the Ozarks, Inc.

     20,479         896,161   

BankUnited, Inc.

     48,781         1,743,921   

BOK Financial Corp.(a)

     35,315         2,285,234   

Cathay General Bancorp

     37,715         1,129,941   

City National Corp.

     19,193         1,690,136   

Commerce Bancshares, Inc.

     41,762         1,902,677   

Cullen/Frost Bankers, Inc.

     25,375         1,613,342   

East West Bancorp, Inc.

     58,951         2,264,897   

First Citizens BancShares, Inc. Class A

     2,890         653,140   

First Financial Bankshares, Inc.(a)

     20,867         663,153   

First Horizon National Corp.

     137,254         1,946,262   

First Niagara Financial Group, Inc.

     185,181         1,890,698   

First Republic Bank

     58,791         3,690,311   

FirstMerit Corp.

     86,457         1,527,695   

FNB Corp.

     69,743         903,172   

Fulton Financial Corp.

     92,378         1,117,774   

Glacier Bancorp, Inc.

     29,038         766,313   

Hancock Holding Co.

     39,911         1,079,593   
Investments    Shares      Value  

Home BancShares, Inc.

     21,327       863,743   

Iberiabank Corp.

     10,686         622,032   

Investors Bancorp, Inc.

     72,950         900,203   

MB Financial, Inc.

     15,784         515,190   

PacWest Bancorp

     14,789         633,117   

People’s United Financial, Inc.

     114,642         1,803,319   

PrivateBancorp, Inc.

     31,734         1,216,364   

Prosperity Bancshares, Inc.

     35,541         1,745,418   

Signature Bank*

     16,134         2,219,393   

SVB Financial Group*

     16,501         1,906,526   

Synovus Financial Corp.

     47,532         1,406,947   

TCF Financial Corp.

     77,129         1,169,276   

Texas Capital Bancshares, Inc.*

     15,074         790,179   

UMB Financial Corp.

     16,504         838,568   

Umpqua Holdings Corp.

     49,022         799,059   

United Bankshares, Inc.

     21,524         817,697   

Valley National Bancorp

     90,347         889,014   

Webster Financial Corp.

     39,811         1,418,466   

Western Alliance Bancorp*

     35,985         1,105,099   

Wintrust Financial Corp.

     22,034         1,177,277   

Zions Bancorp

     50,580         1,392,973   
     

 

 

 
Total Banks         55,357,284   
Beverages – 0.1%      

Boston Beer Co., Inc. (The) Class A*

     2,270         478,085   
Biotechnology – 0.4%      

Myriad Genetics, Inc.*(a)

     28,455         1,066,494   

United Therapeutics Corp.*

     10,764         1,412,667   
     

 

 

 
Total Biotechnology         2,479,161   
Building Products – 1.0%      

A.O. Smith Corp.

     27,663         1,803,351   

Armstrong World Industries, Inc.*

     11,082         529,055   

Lennox International, Inc.

     15,771         1,787,327   

Owens Corning

     47,859         2,005,771   

USG Corp.*(a)

     23,002         612,313   
     

 

 

 
Total Building Products         6,737,817   
Capital Markets – 2.1%      

Cohen & Steers, Inc.

     12,878         353,501   

E*TRADE Financial Corp.*

     93,046         2,449,901   

Eaton Vance Corp.

     51,315         1,714,947   

Federated Investors, Inc. Class B(a)

     29,512         852,897   

GAMCO Investors, Inc. Class A

     9,232         506,837   

Janus Capital Group, Inc.

     63,362         861,723   

Legg Mason, Inc.

     31,283         1,301,686   

LPL Financial Holdings, Inc.(a)

     28,382         1,128,752   

SEI Investments Co.

     52,602         2,536,994   

Stifel Financial Corp.*

     24,987         1,051,953   

Waddell & Reed Financial, Inc. Class A

     48,731         1,694,377   
     

 

 

 
Total Capital Markets         14,453,568   
Chemicals – 2.4%      

Albemarle Corp.

     45,577         2,009,946   

Axiall Corp.

     18,562         291,238   

Balchem Corp.

     5,015         304,761   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      47   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Cabot Corp.

     30,369       $ 958,446   

Chemtura Corp.*

     30,551         874,369   

Cytec Industries, Inc.

     28,764         2,124,221   

H.B. Fuller Co.

     10,350         351,279   

Huntsman Corp.

     136,930         1,326,852   

Minerals Technologies, Inc.

     10,186         490,558   

NewMarket Corp.

     4,478         1,598,646   

Olin Corp.

     20,326         341,680   

PolyOne Corp.

     14,768         433,293   

RPM International, Inc.

     42,521         1,781,205   

Scotts Miracle-Gro Co. (The) Class A

     22,106         1,344,487   

Sensient Technologies Corp.

     10,529         645,428   

Valhi, Inc.(a)

     66,741         126,140   

Valspar Corp. (The)

     29,818         2,143,318   
     

 

 

 
Total Chemicals         17,145,867   
Commercial Services & Supplies – 2.2%      

ADT Corp. (The)

     70,652         2,112,495   

Clean Harbors, Inc.*

     12,876         566,158   

Copart, Inc.*

     36,618         1,204,732   

Covanta Holding Corp.

     7,958         138,867   

Deluxe Corp.

     21,975         1,224,886   

Healthcare Services Group, Inc.

     3,048         102,718   

HNI Corp.

     10,216         438,266   

KAR Auction Services, Inc.

     21,342         757,641   

Mobile Mini, Inc.

     8,704         267,996   

MSA Safety, Inc.

     10,661         426,120   

Pitney Bowes, Inc.

     96,415         1,913,838   

R.R. Donnelley & Sons Co.

     80,098         1,166,227   

Rollins, Inc.

     43,966         1,181,366   

Steelcase, Inc. Class A

     37,620         692,584   

UniFirst Corp.

     7,763         829,166   

Waste Connections, Inc.

     37,813         1,836,956   

West Corp.

     36,440         816,256   
     

 

 

 
Total Commercial Services & Supplies               15,676,272   
Communications Equipment – 1.2%      

Arista Networks, Inc.*(a)

     7,341         449,196   

ARRIS Group, Inc.*

     37,512         974,187   

Brocade Communications Systems, Inc.

     201,903         2,095,753   

CommScope Holding Co., Inc.*

     58,517         1,757,265   

EchoStar Corp. Class A*

     15,988         687,964   

Plantronics, Inc.

     15,647         795,650   

Ubiquiti Networks, Inc.(a)

     41,549         1,408,095   
     

 

 

 
Total Communications Equipment               8,168,110   
Construction & Engineering – 1.1%      

AECOM*

     49,540         1,362,845   

EMCOR Group, Inc.

     28,402         1,256,789   

Jacobs Engineering Group, Inc.*

     57,042         2,135,082   

MasTec, Inc.*

     49,837         788,920   

Quanta Services, Inc.*

     87,625         2,121,401   
     

 

 

 
Total Construction & Engineering               7,665,037   
Construction Materials – 0.1%      

Eagle Materials, Inc.

     13,817         945,359   
Investments    Shares      Value  
Consumer Finance – 1.7%      

Credit Acceptance Corp.*

     12,349       2,431,148   

Nelnet, Inc. Class A

     47,452         1,642,314   

PRA Group, Inc.*

     20,909         1,106,504   

Santander Consumer USA Holdings, Inc.*

     245,382         5,010,700   

SLM Corp.*

     114,617         848,166   

Springleaf Holdings, Inc.*

     17,518         765,887   
     

 

 

 
Total Consumer Finance         11,804,719   
Containers & Packaging – 2.2%      

AptarGroup, Inc.

     21,275         1,403,299   

Avery Dennison Corp.

     33,033         1,868,677   

Bemis Co., Inc.

     40,022         1,583,671   

Berry Plastics Group, Inc.*

     14,255         428,648   

Crown Holdings, Inc.*

     67,930         3,107,797   

Graphic Packaging Holding Co.

     120,311         1,538,778   

Greif, Inc. Class A

     15,505         494,765   

Owens-Illinois, Inc.*

     94,032         1,948,343   

Silgan Holdings, Inc.

     23,887         1,243,079   

Sonoco Products Co.

     41,856         1,579,645   
     

 

 

 
Total Containers & Packaging         15,196,702   
Distributors – 0.1%      

Pool Corp.

     12,682         916,909   
Diversified Consumer Services – 0.6%      

Apollo Education Group, Inc.*

     51,203         566,305   

Bright Horizons Family Solutions, Inc.*

     12,277         788,675   

DeVry Education Group, Inc.

     25,482         693,365   

Graham Holdings Co. Class B

     1,236         713,172   

Grand Canyon Education, Inc.*

     16,521         627,633   

Service Corp. International

     6,134         166,232   

ServiceMaster Global Holdings, Inc.*

     4,888         163,992   

Sotheby’s

     23,739         759,173   
     

 

 

 
Total Diversified Consumer Services         4,478,547   
Diversified Financial Services – 0.5%      

CBOE Holdings, Inc.

     20,264         1,359,309   

MarketAxess Holdings, Inc.

     6,736         625,639   

MSCI, Inc.

     30,145         1,792,422   
     

 

 

 
Total Diversified Financial Services         3,777,370   
Diversified Telecommunication Services – 0.0%      

Windstream Holdings, Inc.(a)

     16,530         101,494   
Electric Utilities – 2.6%      

ALLETE, Inc.

     17,438         880,445   

Cleco Corp.

     22,033         1,173,037   

Great Plains Energy, Inc.

     72,852         1,968,461   

Hawaiian Electric Industries, Inc.

     36,068         1,034,791   

IDACORP, Inc.

     21,553         1,394,695   

ITC Holdings Corp.

     49,813         1,660,765   

Pepco Holdings, Inc.

     74,985         1,816,137   

Pinnacle West Capital Corp.

     42,937         2,753,979   

PNM Resources, Inc.

     25,289         709,356   

Portland General Electric Co.

     36,404         1,345,856   

UIL Holdings Corp.

     20,921         1,051,699   

 

See Notes to Financial Statements.

 

48   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Westar Energy, Inc.

     62,201       $ 2,391,006   
     

 

 

 
Total Electric Utilities         18,180,227   
Electrical Equipment – 1.0%      

Acuity Brands, Inc.

     9,565         1,679,423   

Babcock & Wilcox Enterprises, Inc.*

     35,970         604,296   

EnerSys

     24,800         1,328,784   

Generac Holdings, Inc.*(a)

     27,774         835,720   

Hubbell, Inc. Class B

     22,832         1,939,578   

Regal Beloit Corp.

     16,545         933,965   
     

 

 

 
Total Electrical Equipment         7,321,766   
Electronic Equipment, Instruments & Components – 3.7%   

Anixter International, Inc.*

     18,504         1,069,161   

Arrow Electronics, Inc.*

     63,340         3,501,435   

Avnet, Inc.

     91,027         3,885,032   

AVX Corp.

     81,061         1,061,089   

Belden, Inc.

     7,502         350,268   

CDW Corp.

     52,258         2,135,262   

Cognex Corp.

     20,282         697,092   

Dolby Laboratories, Inc. Class A

     33,679         1,097,935   

FEI Co.

     9,196         671,676   

FLIR Systems, Inc.

     34,884         976,403   

Ingram Micro, Inc. Class A

     69,354         1,889,203   

IPG Photonics Corp.*

     17,167         1,304,177   

Jabil Circuit, Inc.

     1,991         44,539   

Littelfuse, Inc.

     7,784         709,512   

National Instruments Corp.

     26,149         726,681   

Sanmina Corp.*

     59,866         1,279,336   

SYNNEX Corp.

     16,713         1,421,608   

Tech Data Corp.*

     23,040         1,578,240   

Vishay Intertechnology, Inc.

     70,944         687,447   

Zebra Technologies Corp. Class A*

     12,147         929,853   
     

 

 

 
Total Electronic Equipment, Instruments & Components         26,015,949   
Energy Equipment & Services – 1.4%      

Atwood Oceanics, Inc.(a)

     82,441         1,220,951   

Bristow Group, Inc.

     14,011         366,528   

Diamond Offshore Drilling, Inc.(a)

     73,763         1,276,100   

Dril-Quip, Inc.*

     19,879         1,157,356   

Exterran Holdings, Inc.

     6,855         123,390   

Forum Energy Technologies, Inc.*

     65,719         802,429   

Helix Energy Solutions Group, Inc.*

     70,151         336,023   

Oceaneering International, Inc.

     50,836         1,996,838   

Oil States International, Inc.*

     23,918         624,977   

Patterson-UTI Energy, Inc.

     56,903         747,706   

RPC, Inc.

     129,251         1,143,871   
     

 

 

 
Total Energy Equipment & Services         9,796,169   
Food & Staples Retailing – 0.9%   

Casey’s General Stores, Inc.

     10,915         1,123,372   

Fresh Market, Inc. (The)*

     7,980         180,268   

PriceSmart, Inc.

     7,397         572,084   

Rite Aid Corp.*

     367,740         2,232,182   

Sprouts Farmers Market, Inc.*

     22,839         481,903   

SUPERVALU, Inc.*

     154,196         1,107,127   
Investments    Shares      Value  

United Natural Foods, Inc.*

     11,298       548,066   
     

 

 

 
Total Food & Staples Retailing         6,245,002   
Food Products – 2.2%      

Cal-Maine Foods, Inc.(a)

     22,364         1,221,298   

Darling Ingredients, Inc.*

     7,790         87,560   

Flowers Foods, Inc.

     69,824         1,727,446   

Hain Celestial Group, Inc. (The)*

     16,057         828,541   

Ingredion, Inc.

     34,410         3,004,337   

J&J Snack Foods Corp.

     4,864         552,842   

Lancaster Colony Corp.

     7,497         730,807   

Pinnacle Foods, Inc.

     54,965         2,301,934   

Sanderson Farms, Inc.(a)

     16,247         1,114,057   

Seaboard Corp.*

     525         1,616,475   

Snyder’s-Lance, Inc.

     13,267         447,496   

TreeHouse Foods, Inc.*

     6,911         537,607   

WhiteWave Foods Co. (The)*

     26,793         1,075,739   
     

 

 

 
Total Food Products         15,246,139   
Gas Utilities – 2.5%      

AGL Resources, Inc.

     67,875         4,143,090   

Atmos Energy Corp.

     42,879         2,494,700   

Laclede Group, Inc. (The)

     11,636         634,511   

National Fuel Gas Co.

     35,772         1,787,884   

New Jersey Resources Corp.

     34,843         1,046,335   

ONE Gas, Inc.

     17,811         807,373   

Piedmont Natural Gas Co., Inc.

     27,599         1,105,892   

Questar Corp.

     73,282         1,422,404   

Southwest Gas Corp.

     19,300         1,125,576   

UGI Corp.

     66,030         2,299,165   

WGL Holdings, Inc.

     12,571         724,969   
     

 

 

 
Total Gas Utilities         17,591,899   
Health Care Equipment & Supplies – 0.9%      

Align Technology, Inc.*

     18,776         1,065,726   

Globus Medical, Inc. Class A*

     27,087         559,617   

Hill-Rom Holdings, Inc.

     9,732         505,967   

NuVasive, Inc.*

     487         23,483   

Sirona Dental Systems, Inc.*

     14,251         1,330,188   

STERIS Corp.

     13,425         872,222   

Teleflex, Inc.

     10,275         1,276,258   

West Pharmaceutical Services, Inc.

     16,521         894,117   
     

 

 

 
Total Health Care Equipment & Supplies         6,527,578   
Health Care Providers & Services – 2.1%      

Acadia Healthcare Co., Inc.*

     8,583         568,795   

Amsurg Corp.*

     6,364         494,546   

Centene Corp.*

     29,106         1,578,418   

Community Health Systems, Inc.*

     13,615         582,314   

Envision Healthcare Holdings, Inc.*

     17,249         634,591   

Health Net, Inc.*

     22,021         1,326,105   

HealthSouth Corp.

     23,648         907,374   

LifePoint Health, Inc.*

     14,084         998,556   

MEDNAX, Inc.*

     33,877         2,601,415   

Molina Healthcare, Inc.*

     2,914         200,629   

Owens & Minor, Inc.

     15,708         501,714   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      49   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Patterson Cos., Inc.

     32,248       $ 1,394,726   

Team Health Holdings, Inc.*

     14,674         792,836   

VCA, Inc.*

     21,193         1,115,811   

WellCare Health Plans, Inc.*

     8,225         708,830   
     

 

 

 
Total Health Care Providers & Services         14,406,660   
Health Care Technology – 0.0%      

Medidata Solutions, Inc.*

     380         16,002   

Veeva Systems, Inc. Class A*

     7,665         179,437   
     

 

 

 
Total Health Care Technology         195,439   
Hotels, Restaurants & Leisure – 2.1%      

Bloomin’ Brands, Inc.

     40,550         737,199   

Brinker International, Inc.

     23,105         1,216,940   

Buffalo Wild Wings, Inc.*

     3,947         763,468   

Cheesecake Factory, Inc. (The)

     16,218         875,123   

Choice Hotels International, Inc.

     16,018         763,258   

Cracker Barrel Old Country Store, Inc.(a)

     7,494         1,103,716   

DineEquity, Inc.

     5,459         500,372   

Domino’s Pizza, Inc.

     11,896         1,283,698   

Dunkin’ Brands Group, Inc.

     24,945         1,222,305   

Jack in the Box, Inc.

     9,827         757,072   

Marriott Vacations Worldwide Corp.

     8,294         565,153   

Panera Bread Co. Class A*

     7,788         1,506,277   

Papa John’s International, Inc.

     8,620         590,298   

Six Flags Entertainment Corp.

     20,664         945,998   

Texas Roadhouse, Inc.

     18,108         673,618   

Vail Resorts, Inc.

     2,424         253,744   

Wendy’s Co. (The)

     78,344         677,676   
     

 

 

 
Total Hotels, Restaurants & Leisure         14,435,915   
Household Durables – 1.5%      

Leggett & Platt, Inc.

     32,997         1,361,126   

NVR, Inc.*

     1,646         2,510,512   

Standard Pacific Corp.*

     166,686         1,333,488   

Taylor Morrison Home Corp. Class A*

     29,207         545,003   

Tempur Sealy International, Inc.*

     14,115         1,008,234   

Toll Brothers, Inc.*

     64,761         2,217,417   

TRI Pointe Group, Inc.*

     4,759         62,295   

Tupperware Brands Corp.

     25,587         1,266,301   
     

 

 

 
Total Household Durables         10,304,376   
Household Products – 0.2%      

Spectrum Brands Holdings, Inc.

     16,247         1,486,763   
Independent Power and Renewable Electricity Producers – 0.0%   

NRG Yield, Inc. Class A(a)

     2,929         32,658   

NRG Yield, Inc. Class C(a)

     2,929         34,006   
     

 

 

 
Total Independent Power and Renewable Electricity Producers         66,664   
Industrial Conglomerates – 0.3%      

Carlisle Cos., Inc.

     21,280         1,859,446   
Insurance – 6.6%      

American Equity Investment Life Holding Co.

     34,655         807,808   

American Financial Group, Inc.

     48,200         3,321,462   

American National Insurance Co.

     14,026         1,369,499   

AmTrust Financial Services, Inc.

     50,078         3,153,912   
Investments    Shares      Value  

Assurant, Inc.

     50,412       3,983,052   

Brown & Brown, Inc.

     48,543         1,503,377   

CNO Financial Group, Inc.

     144,782         2,723,349   

First American Financial Corp.

     42,597         1,664,265   

Genworth Financial, Inc. Class A*

     200,170         924,785   

Hanover Insurance Group, Inc. (The)

     21,225         1,649,183   

HCC Insurance Holdings, Inc.

     52,606         4,075,387   

MBIA, Inc.*

     484,180         2,943,814   

Mercury General Corp.

     19,016         960,498   

Old Republic International Corp.

     130,898         2,047,245   

Primerica, Inc.

     22,403         1,009,703   

ProAssurance Corp.

     26,858         1,317,922   

Reinsurance Group of America, Inc.

     40,251         3,646,338   

RLI Corp.

     17,110         915,898   

StanCorp Financial Group, Inc.

     22,921         2,617,578   

Symetra Financial Corp.

     68,337         2,162,183   

W.R. Berkley Corp.

     66,921         3,638,495   
     

 

 

 
Total Insurance         46,435,753   
Internet & Catalog Retail – 0.1%      

HSN, Inc.

     16,148         924,312   
Internet Software & Services – 0.6%      

CoStar Group, Inc.*

     1,886         326,391   

GrubHub, Inc.*

     2,988         72,728   

HomeAway, Inc.*

     2,938         77,975   

IAC/InterActiveCorp

     31,551         2,059,334   

j2 Global, Inc.

     13,531         958,671   

Rackspace Hosting, Inc.*

     14,479         357,342   

Shutterstock, Inc.*(a)

     2,642         79,894   
     

 

 

 
Total Internet Software & Services         3,932,335   
IT Services – 3.5%      

Booz Allen Hamilton Holding Corp.

     62,899         1,648,583   

Broadridge Financial Solutions, Inc.

     40,710         2,253,299   

CACI International, Inc. Class A*

     10,533         779,126   

Convergys Corp.

     20,759         479,741   

CoreLogic, Inc.*

     21,976         818,166   

DST Systems, Inc.

     16,482         1,732,917   

EPAM Systems, Inc.*

     9,804         730,594   

Euronet Worldwide, Inc.*

     11,970         886,857   

Global Payments, Inc.

     22,321         2,560,888   

Heartland Payment Systems, Inc.

     9,723         612,646   

Jack Henry & Associates, Inc.

     23,090         1,607,295   

MAXIMUS, Inc.

     20,125         1,198,645   

Sabre Corp.

     12,489         339,451   

Science Applications International Corp.

     17,052         685,661   

Syntel, Inc.*

     39,454         1,787,661   

Teradata Corp.*

     62,561         1,811,767   

Total System Services, Inc.

     56,070         2,547,260   

Vantiv, Inc. Class A*

     21,544         967,756   

WEX, Inc.*

     14,158         1,229,481   
     

 

 

 
Total IT Services         24,677,794   
Leisure Products – 1.2%      

Brunswick Corp.

     115,509         5,531,726   

 

See Notes to Financial Statements.

 

50   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Vista Outdoor, Inc.*

     57,107       $ 2,537,264   
     

 

 

 
Total Leisure Products         8,068,990   
Life Sciences Tools & Services – 0.8%      

Bio-Rad Laboratories, Inc. Class A*

     5,143         690,756   

Bio-Techne Corp.

     8,303         767,696   

Bruker Corp.*

     23,507         386,220   

Charles River Laboratories International, Inc.*

     13,756         873,781   

PAREXEL International Corp.*

     18,276         1,131,650   

PerkinElmer, Inc.

     34,991         1,608,186   
     

 

 

 
Total Life Sciences Tools & Services         5,458,289   
Machinery – 5.9%      

AGCO Corp.

     81,324         3,792,138   

Allison Transmission Holdings, Inc.

     48,110         1,284,056   

Barnes Group, Inc.

     23,014         829,655   

CLARCOR, Inc.

     14,913         711,052   

Colfax Corp.*

     48,703         1,456,707   

Crane Co.

     25,203         1,174,712   

Donaldson Co., Inc.

     48,689         1,367,187   

Graco, Inc.

     20,573         1,379,008   

Hillenbrand, Inc.

     24,446         635,840   

IDEX Corp.

     27,287         1,945,563   

ITT Corp.

     31,713         1,060,166   

Joy Global, Inc.

     41,385         617,878   

Kennametal, Inc.

     33,358         830,281   

Lincoln Electric Holdings, Inc.

     28,062         1,471,291   

Manitowoc Co., Inc. (The)

     59,952         899,280   

Middleby Corp. (The)*

     13,829         1,454,672   

Nordson Corp.

     22,364         1,407,590   

Oshkosh Corp.

     45,006         1,635,068   

Rexnord Corp.*

     31,580         536,228   

SPX Corp.

     14,437         172,089   

SPX FLOW, Inc.*

     14,437         497,066   

Terex Corp.

     72,885         1,307,557   

Timken Co. (The)

     28,117         772,936   

Toro Co. (The)

     19,546         1,378,775   

Trinity Industries, Inc.

     146,083         3,311,702   

Valmont Industries, Inc.

     10,711         1,016,367   

WABCO Holdings, Inc.*

     45,128         4,730,768   

Watts Water Technologies, Inc. Class A

     8,361         441,628   

Woodward, Inc.

     24,283         988,318   

Xylem, Inc.

     58,217         1,912,428   
     

 

 

 
Total Machinery         41,018,006   
Marine – 0.2%      

Kirby Corp.*

     22,567         1,398,026   
Media – 3.7%      

AMC Entertainment Holdings, Inc. Class A

     90,002         2,267,150   

AMC Networks, Inc. Class A*

     26,555         1,943,029   

Cable One, Inc.*

     1,236         518,403   

Cablevision Systems Corp. Class A

     69,565         2,258,776   

Cinemark Holdings, Inc.

     31,523         1,024,182   

Discovery Communications, Inc. Class A*(a)

     187,825         4,889,085   

John Wiley & Sons, Inc. Class A

     20,464         1,023,814   
Investments    Shares      Value  

Liberty Media Corp. Class A*

     135,204       4,829,487   

Live Nation Entertainment, Inc.*

     1,648         39,618   

Loral Space & Communications, Inc.*

     1,611         75,846   

Madison Square Garden Co. (The) Class A*

     19,348         1,395,765   

Meredith Corp.

     14,966         637,252   

Morningstar, Inc.

     12,884         1,034,070   

Regal Entertainment Group Class A

     27,432         512,704   

Sinclair Broadcast Group, Inc. Class A

     33,695         853,158   

Starz Class A*

     66,254         2,473,924   

Time, Inc.

     8,617         164,154   
     

 

 

 
Total Media         25,940,417   
Metals & Mining – 1.1%      

Carpenter Technology Corp.

     21,131         629,070   

Century Aluminum Co.*

     11,885         54,671   

Commercial Metals Co.

     47,705         646,403   

Compass Minerals International, Inc.

     11,527         903,371   

Reliance Steel & Aluminum Co.

     43,906         2,371,363   

Royal Gold, Inc.

     7,154         336,095   

Steel Dynamics, Inc.

     89,486         1,537,370   

United States Steel Corp.(a)

     79,708         830,557   

Worthington Industries, Inc.

     26,101         691,154   
     

 

 

 
Total Metals & Mining         8,000,054   
Multi-Utilities – 1.4%      

Alliant Energy Corp.

     45,152         2,640,940   

Avista Corp.

     28,185         937,151   

Black Hills Corp.

     16,893         698,357   

MDU Resources Group, Inc.

     100,468         1,728,049   

NorthWestern Corp.

     14,960         805,297   

TECO Energy, Inc.

     83,538         2,193,708   

Vectren Corp.

     26,284         1,104,191   
     

 

 

 
Total Multi-Utilities         10,107,693   
Multiline Retail – 0.5%      

Big Lots, Inc.

     22,064         1,057,307   

Burlington Stores, Inc.*

     8,311         424,193   

Dillard’s, Inc. Class A

     20,064         1,753,393   
     

 

 

 
Total Multiline Retail         3,234,893   
Oil, Gas & Consumable Fuels – 3.0%      

CVR Energy, Inc.(a)

     35,249         1,446,972   

Denbury Resources, Inc.(a)

     399,176         973,990   

Diamondback Energy, Inc.*

     15,397         994,646   

Energen Corp.

     12,646         630,530   

EP Energy Corp. Class A*(a)

     126,535         651,655   

Gulfport Energy Corp.*

     33,247         986,771   

Newfield Exploration Co.*

     91,611         3,014,002   

PBF Energy, Inc. Class A

     70,623         1,993,687   

QEP Resources, Inc.

     72,852         912,836   

Rice Energy, Inc.*

     31,202         504,224   

SemGroup Corp. Class A

     2,768         119,688   

SM Energy Co.

     73,317         2,349,077   

Targa Resources Corp.

     7,531         387,997   

Western Refining, Inc.

     80,832         3,566,308   

Whiting Petroleum Corp.*

     90,375         1,380,026   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      51   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

World Fuel Services Corp.

     30,998       $ 1,109,728   
     

 

 

 
Total Oil, Gas & Consumable Fuels         21,022,137   
Paper & Forest Products – 0.5%      

Domtar Corp.

     77,985         2,787,964   

KapStone Paper and Packaging Corp.

     45,343         748,613   
     

 

 

 
Total Paper & Forest Products         3,536,577   
Personal Products – 0.3%      

Avon Products, Inc.

     69,117         224,630   

Nu Skin Enterprises, Inc. Class A

     47,141         1,945,981   
     

 

 

 
Total Personal Products         2,170,611   
Pharmaceuticals – 0.1%      

Akorn, Inc.*

     3,099         88,337   

Impax Laboratories, Inc.*

     10,959         385,866   
     

 

 

 
Total Pharmaceuticals         474,203   
Professional Services – 0.9%      

CEB, Inc.

     4,833         330,287   

Dun & Bradstreet Corp. (The)

     17,666         1,854,930   

ManpowerGroup, Inc.

     44,586         3,651,148   

TriNet Group, Inc.*

     2,247         37,750   

WageWorks, Inc.*

     2,656         119,732   
     

 

 

 
Total Professional Services         5,993,847   
Real Estate Investment Trusts (REITs) – 5.6%      

Acadia Realty Trust

     14,941         449,276   

Alexander’s, Inc.

     1,068         399,432   

Alexandria Real Estate Equities, Inc.

     9,816         831,121   

American Campus Communities, Inc.

     9,875         357,870   

Apartment Investment & Management Co. Class A

     56,452         2,089,853   

BioMed Realty Trust, Inc.

     20,468         408,951   

Brandywine Realty Trust

     8,553         105,373   

Camden Property Trust

     14,357         1,060,982   

CBL & Associates Properties, Inc.

     37,691         518,251   

Columbia Property Trust, Inc.

     14,380         333,616   

Communications Sales & Leasing, Inc.

     19,834         355,029   

Corporate Office Properties Trust

     7,917         166,494   

Corrections Corp. of America

     39,273         1,160,124   

CubeSmart

     5,906         160,702   

DCT Industrial Trust, Inc.

     1,906         64,156   

DiamondRock Hospitality Co.

     48,801         539,251   

Douglas Emmett, Inc.

     10,407         298,889   

Duke Realty Corp.

     78,754         1,500,264   

DuPont Fabros Technology, Inc.

     14,500         375,260   

EastGroup Properties, Inc.

     4,961         268,787   

EPR Properties

     20,058         1,034,391   

Equity Commonwealth*

     3,090         84,172   

Equity Lifestyle Properties, Inc.

     15,487         907,073   

Equity One, Inc.

     12,927         314,643   

Extra Space Storage, Inc.

     24,554         1,894,587   

First Industrial Realty Trust, Inc.

     4,482         93,898   

Gaming and Leisure Properties, Inc.

     36,018         1,069,735   

Geo Group, Inc. (The)

     23,468         697,938   

Healthcare Realty Trust, Inc.

     8,108         201,484   

Healthcare Trust of America, Inc. Class A

     6,884         168,727   
Investments    Shares      Value  

Highwoods Properties, Inc.

     16,337       633,059   

Home Properties, Inc.

     9,775         730,681   

Hospitality Properties Trust

     33,243         850,356   

Kilroy Realty Corp.

     2,287         149,021   

Lamar Advertising Co. Class A

     7,653         399,333   

LaSalle Hotel Properties

     32,575         924,804   

Lexington Realty Trust(a)

     12,460         100,926   

Liberty Property Trust

     20,023         630,925   

Medical Properties Trust, Inc.

     23,769         262,885   

Mid-America Apartment Communities, Inc.

     8,527         698,105   

National Health Investors, Inc.

     9,765         561,390   

National Retail Properties, Inc.

     25,787         935,294   

Omega Healthcare Investors, Inc.

     36,837         1,294,820   

Outfront Media, Inc.

     84,345         1,754,376   

Pebblebrook Hotel Trust

     6,931         245,704   

Piedmont Office Realty Trust, Inc. Class A

     13,912         248,886   

Post Properties, Inc.

     24,369         1,420,469   

PS Business Parks, Inc.

     4,439         352,368   

Rayonier, Inc.(a)

     34,746         766,844   

Regency Centers Corp.

     11,711         727,839   

RLJ Lodging Trust

     26,504         669,756   

Ryman Hospitality Properties, Inc.

     11,675         574,760   

Senior Housing Properties Trust

     58,851         953,386   

Sovran Self Storage, Inc.

     6,472         610,310   

Strategic Hotels & Resorts, Inc.*

     84,151         1,160,442   

Sun Communities, Inc.

     4,238         287,167   

Sunstone Hotel Investors, Inc.

     22,566         298,548   

Tanger Factory Outlet Centers, Inc.

     14,004         461,712   

W.P. Carey, Inc.

     10,712         619,261   

Weingarten Realty Investors

     38,015         1,258,677   

WP GLIMCHER, Inc.

     54,707         637,884   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         39,130,317   
Real Estate Management & Development – 0.7%      

Jones Lang LaSalle, Inc.

     16,095         2,313,978   

Kennedy-Wilson Holdings, Inc.

     11,142         247,018   

Realogy Holdings Corp.*

     70,622         2,657,506   
     

 

 

 
Total Real Estate Management & Development         5,218,502   
Road & Rail – 1.6%      

AMERCO

     8,927         3,512,507   

Avis Budget Group, Inc.*

     21,478         938,159   

Con-way, Inc.

     18,862         895,002   

Genesee & Wyoming, Inc. Class A*

     19,324         1,141,662   

Heartland Express, Inc.

     16,026         319,558   

Knight Transportation, Inc.

     17,304         415,296   

Landstar System, Inc.

     12,280         779,412   

Old Dominion Freight Line, Inc.*

     21,955         1,339,255   

Ryder System, Inc.

     16,213         1,200,410   

Swift Transportation Co.*

     37,774         567,365   

Werner Enterprises, Inc.

     17,566         440,907   
     

 

 

 
Total Road & Rail         11,549,533   
Semiconductors & Semiconductor Equipment – 1.3%   

Advanced Micro Devices, Inc.*(a)

     12,364         21,266   

Atmel Corp.

     36,203         292,158   

 

See Notes to Financial Statements.

 

52   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Cree, Inc.*(a)

     24,997       $ 605,677   

Fairchild Semiconductor International, Inc.*

     3,664         51,443   

First Solar, Inc.*

     45,485         1,944,484   

Integrated Device Technology, Inc.*

     24,215         491,564   

Microsemi Corp.*

     6,008         197,183   

MKS Instruments, Inc.

     20,072         673,014   

ON Semiconductor Corp.*

     148,409         1,395,045   

Qorvo, Inc.*

     12,342         556,007   

Silicon Laboratories, Inc.*

     6,826         283,552   

SunPower Corp.*

     41,488         831,419   

Synaptics, Inc.*

     8,634         711,960   

Teradyne, Inc.

     64,757         1,166,274   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         9,221,046   
Software – 2.4%      

ACI Worldwide, Inc.*

     27,301         576,597   

Aspen Technology, Inc.*

     21,364         809,909   

Blackbaud, Inc.

     5,959         334,419   

Cadence Design Systems, Inc.*

     51,693         1,069,011   

CommVault Systems, Inc.*

     8,072         274,125   

FactSet Research Systems, Inc.

     11,237         1,795,785   

Fair Isaac Corp.

     9,607         811,791   

Fortinet, Inc.*

     7,775         330,282   

Guidewire Software, Inc.*

     2,618         137,654   

Manhattan Associates, Inc.*

     13,799         859,678   

Mentor Graphics Corp.

     50,807         1,251,376   

PTC, Inc.*

     32,001         1,015,712   

Rovi Corp.*

     1,153         12,095   

SolarWinds, Inc.*

     10,595         415,748   

SS&C Technologies Holdings, Inc.

     15,922         1,115,177   

Synopsys, Inc.*

     42,009         1,939,976   

Take-Two Interactive Software, Inc.*

     96,512         2,772,790   

Tyler Technologies, Inc.*

     3,447         514,672   

Ultimate Software Group, Inc. (The)*

     2,157         386,125   

Verint Systems, Inc.*

     7,456         321,726   
     

 

 

 
Total Software         16,744,648   
Specialty Retail – 3.9%      

Aaron’s, Inc.

     19,570         706,673   

Abercrombie & Fitch Co. Class A(a)

     7,381         156,403   

American Eagle Outfitters, Inc.

     24,094         376,589   

Asbury Automotive Group, Inc.*

     12,262         995,061   

Ascena Retail Group, Inc.*

     83,076         1,155,587   

Buckle, Inc. (The)(a)

     23,123         854,857   

Cabela’s, Inc.*

     29,495         1,344,972   

Chico’s FAS, Inc.

     41,721         656,271   

CST Brands, Inc.

     23,400         787,644   

Dick’s Sporting Goods, Inc.

     46,691         2,316,341   

DSW, Inc. Class A

     29,709         751,935   

Five Below, Inc.*(a)

     7,457         250,406   

GameStop Corp. Class A(a)

     85,311         3,515,666   

Genesco, Inc.*

     9,111         519,965   

GNC Holdings, Inc. Class A

     41,858         1,691,900   

Group 1 Automotive, Inc.

     7,741         659,146   

Guess?, Inc.

     43,371         926,405   
Investments    Shares      Value  

Lithia Motors, Inc. Class A

     10,546       1,140,128   

Mattress Firm Holding Corp.*(a)

     5,888         245,883   

Men’s Wearhouse, Inc. (The)

     6,027         256,268   

Michaels Cos., Inc. (The)*

     62,110         1,434,741   

Murphy USA, Inc.*

     19,331         1,062,239   

Penske Automotive Group, Inc.

     42,521         2,059,717   

Restoration Hardware Holdings, Inc.*

     5,409         504,714   

Sally Beauty Holdings, Inc.*

     56,152         1,333,610   

Urban Outfitters, Inc.*

     53,720         1,578,294   
     

 

 

 
Total Specialty Retail               27,281,415   
Technology Hardware, Storage & Peripherals – 0.5%      

3D Systems Corp.*(a)

     4,609         53,234   

Diebold, Inc.

     15,847         471,765   

Electronics For Imaging, Inc.*

     14,808         640,890   

Lexmark International, Inc. Class A

     26,917         780,055   

NCR Corp.*

     66,772         1,519,063   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         3,465,007   
Textiles, Apparel & Luxury Goods – 1.6%      

Carter’s, Inc.

     14,743         1,336,306   

Columbia Sportswear Co.

     19,166         1,126,769   

Deckers Outdoor Corp.*

     13,030         756,522   

Fossil Group, Inc.*

     24,523         1,370,345   

G-III Apparel Group Ltd.*

     12,141         748,614   

Iconix Brand Group, Inc.*

     19,294         260,855   

lululemon athletica, Inc.*

     32,515         1,646,885   

Skechers U.S.A., Inc. Class A*

     15,953         2,138,978   

Steven Madden Ltd.*

     28,075         1,028,106   

Wolverine World Wide, Inc.

     31,923         690,814   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               11,104,194   
Thrifts & Mortgage Finance – 1.3%      

EverBank Financial Corp.

     45,131         871,028   

Hudson City Bancorp, Inc.

     118,245         1,202,552   

MGIC Investment Corp.*

     128,196         1,187,095   

Nationstar Mortgage Holdings, Inc.*(a)

     33,773         468,432   

Ocwen Financial Corp.*(a)

     51,847         347,893   

Radian Group, Inc.

     206,003         3,277,508   

TFS Financial Corp.

     29,656         511,566   

Washington Federal, Inc.

     49,755         1,131,926   
     

 

 

 
Total Thrifts & Mortgage Finance               8,998,000   
Tobacco – 0.1%      

Vector Group Ltd.

     19,836         448,482   
Trading Companies & Distributors – 1.2%      

Air Lease Corp.

     53,340         1,649,273   

Applied Industrial Technologies, Inc.

     18,092         690,210   

GATX Corp.

     19,167         846,223   

HD Supply Holdings, Inc.*

     10,331         295,673   

MRC Global, Inc.*

     70,299         783,834   

MSC Industrial Direct Co., Inc. Class A

     21,300         1,299,939   

NOW, Inc.*(a)

     39,804         589,099   

Watsco, Inc.

     9,130         1,081,722   

WESCO International, Inc.*

     25,698         1,194,186   
     

 

 

 
Total Trading Companies & Distributors               8,430,159   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      53   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree MidCap Earnings Fund (EZM)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Water Utilities – 0.2%      

Aqua America, Inc.

     58,189       $ 1,540,263   

TOTAL COMMON STOCKS

(Cost: $709,627,824)

  

  

     698,496,570   
EXCHANGE-TRADED FUND – 0.2%      
United States – 0.2%      
WisdomTree MidCap Dividend Fund(a)(b)
(Cost: $1,426,283)
     18,467         1,432,670   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.5%   
United States – 3.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $24,608,659)(d)      24,608,659         24,608,659   

TOTAL INVESTMENTS IN SECURITIES – 103.4%

(Cost: $735,662,766)

  

  

     724,537,899   

Liabilities in Excess of Cash and Other Assets – (3.4)%

  

     (23,778,624
     

 

 

 
NET ASSETS – 100.0%       $ 700,759,275   

 

*

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $24,450,228 and the total market value of the collateral held by the Fund was $25,104,271. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $495,612.

 

See Notes to Financial Statements.

 

54   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.6%      
United States – 99.6%      
Aerospace & Defense – 0.4%      

AAR Corp.

     44,804       $ 849,932   

American Science & Engineering, Inc.

     34,001         1,209,076   

Cubic Corp.

     12,364         518,546   

HEICO Corp.

     6,296         307,748   

HEICO Corp. Class A

     10,932         496,422   

National Presto Industries, Inc.

     12,431         1,047,436   
     

 

 

 
Total Aerospace & Defense               4,429,160   
Air Freight & Logistics – 0.1%      

Forward Air Corp.

     30,377         1,260,342   

Park-Ohio Holdings Corp.

     10,529         303,867   
     

 

 

 
Total Air Freight & Logistics               1,564,209   
Airlines – 0.1%      

SkyWest, Inc.

     71,378         1,190,585   
Auto Components – 0.8%      

Cooper Tire & Rubber Co.

     83,338         3,292,685   

Remy International, Inc.

     71,937         2,104,157   

Spartan Motors, Inc.

     66,829         276,004   

Standard Motor Products, Inc.

     33,672         1,174,479   

Strattec Security Corp.

     1,756         110,733   

Superior Industries International, Inc.

     101,051         1,887,633   
     

 

 

 
Total Auto Components               8,845,691   
Banks – 9.0%      

1st Source Corp.

     22,813         702,640   

Access National Corp.

     14,037         285,934   

American National Bankshares, Inc.

     11,159         261,679   

Ameris Bancorp

     8,791         252,741   

Arrow Financial Corp.

     17,897         477,848   

Banc of California, Inc.

     56,634         694,899   

BancFirst Corp.

     12,582         793,924   

BancorpSouth, Inc.

     50,824         1,208,086   

Bank of Hawaii Corp.

     52,450         3,330,050   

Banner Corp.

     12,501         597,173   

Bar Harbor Bankshares

     6,468         206,911   

BBCN Bancorp, Inc.

     88,492         1,329,150   

Berkshire Hills Bancorp, Inc.

     30,092         828,734   

Boston Private Financial Holdings, Inc.

     78,316         916,297   

Bridge Bancorp, Inc.

     16,004         427,467   

Bryn Mawr Bank Corp.

     13,524         420,191   

C&F Financial Corp.

     4,357         159,466   

Camden National Corp.

     7,979         322,352   

Capital City Bank Group, Inc.

     3,259         48,624   

Cardinal Financial Corp.

     26,123         601,090   

Cathay General Bancorp

     49,421         1,480,653   

Centerstate Banks, Inc.

     6,169         90,684   

Central Pacific Financial Corp.

     28,725         602,363   

Century Bancorp, Inc. Class A

     2,228         90,813   

Chemical Financial Corp.

     42,050         1,360,317   

City Holding Co.

     20,886         1,029,680   

CNB Financial Corp.

     18,854         342,577   
Investments    Shares      Value  

CoBiz Financial, Inc.

     21,542       280,261   

Columbia Banking System, Inc.

     48,927         1,527,012   

Community Bank System, Inc.

     50,181         1,865,228   

Community Trust Bancorp, Inc.

     21,803         774,225   

ConnectOne Bancorp, Inc.

     20,078         387,505   

CVB Financial Corp.

     105,079         1,754,819   

Enterprise Bancorp, Inc.

     7,582         158,995   

Enterprise Financial Services Corp.

     9,876         248,579   

Fidelity Southern Corp.

     18,716         395,656   

Financial Institutions, Inc.

     17,677         438,036   

First Bancorp

     13,215         224,655   

First Bancorp, Inc.

     18,590         355,069   

First Busey Corp.

     34,270         680,945   

First Business Financial Services, Inc.

     5,542         130,348   

First Commonwealth Financial Corp.

     113,988         1,036,151   

First Community Bancshares, Inc.

     23,232         415,853   

First Connecticut Bancorp, Inc.

     7,951         128,170   

First Financial Bancorp

     86,678         1,653,816   

First Financial Bankshares, Inc.(a)

     47,227         1,500,874   

First Financial Corp.

     14,260         461,311   

First Interstate BancSystem, Inc. Class A

     19,067         530,825   

First Merchants Corp.

     20,527         538,218   

First Midwest Bancorp, Inc.

     55,276         969,541   

Flushing Financial Corp.

     34,528         691,251   

FNB Corp.

     252,658         3,271,921   

Fulton Financial Corp.

     189,203         2,289,356   

German American Bancorp, Inc.

     10,677         312,516   

Glacier Bancorp, Inc.

     72,938         1,924,834   

Great Southern Bancorp, Inc.

     11,313         489,853   

Guaranty Bancorp

     12,114         199,518   

Hancock Holding Co.

     101,009         2,732,293   

Hanmi Financial Corp.

     16,379         412,751   

Heartland Financial USA, Inc.

     10,899         395,525   

Heritage Commerce Corp.

     26,044         295,339   

Heritage Financial Corp.

     24,180         455,068   

Home BancShares, Inc.

     33,202         1,344,681   

Horizon Bancorp

     7,166         170,193   

Iberiabank Corp.

     27,599         1,606,538   

Independent Bank Corp.

     37,283         1,230,845   

Independent Bank Group, Inc.

     4,085         156,987   

International Bancshares Corp.

     58,240         1,457,747   

Lakeland Bancorp, Inc.

     38,664         429,557   

Lakeland Financial Corp.

     12,609         569,296   

LegacyTexas Financial Group, Inc.

     33,854         1,031,870   

Macatawa Bank Corp.

     18,143         93,981   

MainSource Financial Group, Inc.

     19,749         402,090   

MB Financial, Inc.

     51,357         1,676,292   

Mercantile Bank Corp.

     14,825         308,063   

Merchants Bancshares, Inc.

     8,920         262,248   

MidSouth Bancorp, Inc.

     10,089         118,041   

MidWestOne Financial Group, Inc.

     7,862         230,042   

MutualFirst Financial, Inc.

     4,777         112,976   

National Bank Holdings Corp. Class A

     15,325         314,622   

National Penn Bancshares, Inc.

     246,158         2,892,356   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      55   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

NBT Bancorp, Inc.

     57,048       $ 1,536,873   

Northrim BanCorp, Inc.

     6,457         186,801   

Old National Bancorp

     138,807         1,933,582   

Pacific Continental Corp.

     29,576         393,657   

Park National Corp.

     26,072         2,352,216   

Park Sterling Corp.

     24,803         168,660   

Peapack Gladstone Financial Corp.

     6,105         129,243   

Penns Woods Bancorp, Inc.

     7,356         301,008   

Peoples Bancorp, Inc.

     13,426         279,127   

Peoples Financial Services Corp.

     7,542         263,442   

Pinnacle Financial Partners, Inc.

     11,255         556,110   

Preferred Bank

     8,196         258,994   

Premier Financial Bancorp, Inc.

     9,755         138,911   

PrivateBancorp, Inc.

     3,577         137,106   

QCR Holdings, Inc.

     1,553         33,964   

Renasant Corp.

     31,770         1,043,644   

Republic Bancorp, Inc. Class A

     21,799         535,165   

S&T Bancorp, Inc.

     29,015         946,469   

Sandy Spring Bancorp, Inc.

     31,085         813,805   

ServisFirst Bancshares, Inc.

     6,624         275,095   

Sierra Bancorp

     12,882         205,597   

Simmons First National Corp. Class A

     15,293         732,993   

South State Corp.

     12,815         985,089   

Southside Bancshares, Inc.

     22,458         618,718   

Southwest Bancorp, Inc.

     6,580         107,978   

Sterling Bancorp

     83,877         1,247,251   

Stock Yards Bancorp, Inc.

     16,366         594,904   

Stonegate Bank

     2,013         64,034   

Suffolk Bancorp

     4,777         130,508   

TCF Financial Corp.

     84,723         1,284,401   

Tompkins Financial Corp.

     18,807         1,003,542   

Towne Bank

     39,228         739,448   

Trico Bancshares

     15,278         375,380   

Trustmark Corp.

     100,576         2,330,346   

UMB Financial Corp.

     30,957         1,572,925   

Union Bankshares Corp.

     44,093         1,058,232   

United Bankshares, Inc.

     95,398         3,624,170   

United Community Banks, Inc.

     21,323         435,842   

Univest Corp. of Pennsylvania

     25,097         482,364   

Valley National Bancorp

     412,896         4,062,897   

Washington Trust Bancorp, Inc.

     21,449         824,714   

WesBanco, Inc.

     36,948         1,162,015   

West Bancorp, Inc.

     20,867         391,256   

Westamerica Bancorp

     31,955         1,420,080   

Wilshire Bancorp, Inc.

     60,886         639,912   

Wintrust Financial Corp.

     15,695         838,584   
     

 

 

 
Total Banks         102,414,137   
Beverages – 0.2%      

Coca-Cola Bottling Co. Consolidated

     8,609         1,664,808   

MGP Ingredients, Inc.

     5,304         84,917   
     

 

 

 
Total Beverages         1,749,725   
Biotechnology – 0.6%      

PDL BioPharma, Inc.

     1,319,348         6,636,320   
Investments    Shares      Value  
Building Products – 0.9%      

AAON, Inc.

     47,503       920,608   

Advanced Drainage Systems, Inc.(a)

     39,987         1,156,824   

Apogee Enterprises, Inc.

     27,070         1,208,676   

Griffon Corp.

     70,566         1,112,826   

Insteel Industries, Inc.

     9,856         158,484   

Quanex Building Products Corp.

     33,152         602,372   

Simpson Manufacturing Co., Inc.

     85,094         2,849,798   

Universal Forest Products, Inc.

     33,209         1,915,495   
     

 

 

 
Total Building Products         9,925,083   
Capital Markets – 1.3%      

Arlington Asset Investment Corp. Class A(a)

     110,118         1,547,158   

Artisan Partners Asset Management, Inc. Class A

     60,668         2,137,334   

BGC Partners, Inc. Class A

     393,809         3,237,110   

Calamos Asset Management, Inc. Class A

     36,631         347,262   

Cohen & Steers, Inc.

     35,858         984,302   

Evercore Partners, Inc. Class A

     31,271         1,571,055   

Financial Engines, Inc.(a)

     13,924         410,340   

FXCM, Inc. Class A(a)

     24,367         21,199   

GAMCO Investors, Inc. Class A

     1,133         62,202   

Greenhill & Co., Inc.

     47,980         1,365,990   

Interactive Brokers Group, Inc. Class A

     32,329         1,276,026   

Manning & Napier, Inc.

     21,900         161,184   

Moelis & Co. Class A(a)

     17,181         451,173   

Oppenheimer Holdings, Inc. Class A

     9,713         194,357   

Pzena Investment Management, Inc. Class A

     6,761         60,173   

Silvercrest Asset Management Group, Inc. Class A

     9,216         99,625   

Virtus Investment Partners, Inc.

     3,853         387,226   

Westwood Holdings Group, Inc.

     10,596         575,893   
     

 

 

 
Total Capital Markets         14,889,609   
Chemicals – 2.4%      

A. Schulman, Inc.

     65,043         2,111,946   

Balchem Corp.

     12,754         775,061   

Chase Corp.

     16,261         640,521   

FutureFuel Corp.

     178,234         1,760,952   

H.B. Fuller Co.

     59,028         2,003,410   

Hawkins, Inc.

     20,291         781,203   

Innophos Holdings, Inc.

     78,839         3,125,178   

Innospec, Inc.

     32,841         1,527,435   

KMG Chemicals, Inc.

     9,789         188,830   

Kronos Worldwide, Inc.(a)

     544,092         3,378,811   

Minerals Technologies, Inc.

     10,545         507,847   

Olin Corp.

     285,910         4,806,147   

OM Group, Inc.

     34,784         1,144,046   

Quaker Chemical Corp.

     19,729         1,520,711   

Rayonier Advanced Materials, Inc.

     52,930         323,932   

Stepan Co.

     43,728         1,819,522   

Tredegar Corp.

     60,375         789,705   
     

 

 

 
Total Chemicals         27,205,257   
Commercial Services & Supplies – 5.4%      

ABM Industries, Inc.

     128,742         3,515,944   

 

See Notes to Financial Statements.

 

56   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Brady Corp. Class A

     153,779       $ 3,023,295   

Brink’s Co. (The)

     88,317         2,385,442   

CECO Environmental Corp.

     43,870         359,295   

Ennis, Inc.

     140,555         2,440,035   

Essendant, Inc.

     56,023         1,816,826   

G&K Services, Inc. Class A

     39,152         2,608,306   

Healthcare Services Group, Inc.

     170,257         5,737,661   

Herman Miller, Inc.

     112,923         3,256,699   

HNI Corp.

     93,023         3,990,687   

Interface, Inc.

     67,422         1,512,950   

Kimball International, Inc. Class B

     73,427         694,619   

Knoll, Inc.

     127,784         2,808,692   

Matthews International Corp. Class A

     37,755         1,848,862   

McGrath RentCorp

     75,549         2,016,403   

Mobile Mini, Inc.

     84,525         2,602,525   

MSA Safety, Inc.

     92,081         3,680,478   

Multi-Color Corp.

     6,375         487,624   

Quad/Graphics, Inc.

     203,102         2,457,534   

Steelcase, Inc. Class A

     220,062         4,051,341   

Tetra Tech, Inc.

     69,784         1,696,449   

U.S. Ecology, Inc.

     40,124         1,751,413   

UniFirst Corp.

     2,012         214,902   

Viad Corp.

     31,553         914,722   

West Corp.

     244,956         5,487,014   
     

 

 

 
Total Commercial Services & Supplies         61,359,718   
Communications Equipment – 1.0%      

ADTRAN, Inc.

     95,581         1,395,483   

Alliance Fiber Optic Products, Inc.

     20,592         351,917   

Bel Fuse, Inc. Class B

     10,377         201,729   

Black Box Corp.

     26,627         392,482   

Comtech Telecommunications Corp.

     63,666         1,312,156   

InterDigital, Inc.

     58,275         2,948,715   

PC-Tel, Inc.

     42,917         257,931   

Plantronics, Inc.

     50,782         2,582,265   

TESSCO Technologies, Inc.

     24,282         510,893   

Ubiquiti Networks, Inc.(a)

     50,796         1,721,477   
     

 

 

 
Total Communications Equipment         11,675,048   
Construction & Engineering – 0.8%      

Comfort Systems USA, Inc.

     58,357         1,590,812   

Granite Construction, Inc.

     57,577         1,708,309   

KBR, Inc.

     308,504         5,139,677   

Primoris Services Corp.(a)

     38,634         691,935   
     

 

 

 
Total Construction & Engineering         9,130,733   
Construction Materials – 0.0%      

United States Lime & Minerals, Inc.

     4,254         194,195   
Consumer Finance – 0.1%      

Cash America International, Inc.

     7,922         221,578   

Nelnet, Inc. Class A

     11,880         411,167   
     

 

 

 
Total Consumer Finance         632,745   
Containers & Packaging – 0.4%      

Greif, Inc. Class A

     96,215         3,070,221   

Myers Industries, Inc.

     102,900         1,378,860   
     

 

 

 
Total Containers & Packaging         4,449,081   
Investments    Shares      Value  
Distributors – 0.6%      

Core-Mark Holding Co., Inc.

     19,635       1,285,111   

Pool Corp.

     63,407         4,584,326   

Weyco Group, Inc.

     30,077         813,282   
     

 

 

 
Total Distributors         6,682,719   
Diversified Consumer Services – 0.2%      

Capella Education Co.

     24,952         1,235,623   

Carriage Services, Inc.

     9,241         199,513   

Collectors Universe, Inc.

     57,393         865,487   

Universal Technical Institute, Inc.

     104,192         365,714   
     

 

 

 
Total Diversified Consumer Services         2,666,337   
Diversified Financial Services – 0.2%      

Gain Capital Holdings, Inc.

     37,921         276,065   

MarketAxess Holdings, Inc.

     13,192         1,225,273   

Marlin Business Services Corp.

     14,732         226,725   

Resource America, Inc. Class A

     25,758         171,291   
     

 

 

 
Total Diversified Financial Services         1,899,354   
Diversified Telecommunication Services – 1.4%   

Atlantic Tele-Network, Inc.

     27,654         2,044,460   

Cogent Communications Holdings, Inc.

     174,085         4,728,148   

Consolidated Communications Holdings, Inc.

     308,055         5,936,220   

IDT Corp. Class B

     82,342         1,177,491   

Inteliquent, Inc.

     114,161         2,549,215   
     

 

 

 
Total Diversified Telecommunication Services         16,435,534   
Electric Utilities – 3.9%      

ALLETE, Inc.

     169,593         8,562,750   

El Paso Electric Co.

     122,495         4,510,266   

Empire District Electric Co. (The)

     162,654         3,583,268   

MGE Energy, Inc.

     88,923         3,662,738   

Otter Tail Corp.

     154,827         4,034,792   

PNM Resources, Inc.

     209,139         5,866,349   

UIL Holdings Corp.

     230,717         11,598,144   

Unitil Corp.

     55,157         2,034,190   
     

 

 

 
Total Electric Utilities         43,852,497   
Electrical Equipment – 0.7%      

Allied Motion Technologies, Inc.

     6,321         112,324   

AZZ, Inc.

     35,070         1,707,558   

Encore Wire Corp.

     4,714         154,006   

Franklin Electric Co., Inc.

     48,500         1,320,655   

General Cable Corp.

     269,521         3,207,300   

Global Power Equipment Group, Inc.

     47,026         172,586   

LSI Industries, Inc.

     14,317         120,836   

Powell Industries, Inc.

     28,176         848,098   

Preformed Line Products Co.

     9,136         339,402   
     

 

 

 
Total Electrical Equipment         7,982,765   
Electronic Equipment, Instruments & Components – 1.9%   

AVX Corp.

     511,857         6,700,208   

Badger Meter, Inc.(a)

     20,389         1,183,785   

CTS Corp.

     31,889         590,265   

Daktronics, Inc.

     144,555         1,253,292   

Dolby Laboratories, Inc. Class A

     48,047         1,566,332   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      57   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Electro Rent Corp.

     105,598       $ 1,096,107   

Electro Scientific Industries, Inc.

     128,924         598,207   

Littelfuse, Inc.

     24,116         2,198,174   

Mesa Laboratories, Inc.

     3,073         342,332   

Methode Electronics, Inc.

     39,846         1,271,087   

MTS Systems Corp.

     27,123         1,630,364   

Park Electrochemical Corp.

     35,167         618,588   

Richardson Electronics Ltd.

     27,587         162,488   

Vishay Intertechnology, Inc.(a)

     251,045         2,432,626   
     

 

 

 
Total Electronic Equipment, Instruments & Components         21,643,855   
Energy Equipment & Services – 1.5%      

Bristow Group, Inc.

     77,206         2,019,709   

CARBO Ceramics, Inc.(a)

     89,393         1,697,573   

Exterran Holdings, Inc.

     131,234         2,362,212   

Gulf Island Fabrication, Inc.

     31,577         332,506   

Gulfmark Offshore, Inc. Class A(a)

     134,904         824,263   

Patterson-UTI Energy, Inc.

     413,404         5,432,129   

Tidewater, Inc.(a)

     177,010         2,325,911   

U.S. Silica Holdings, Inc.(a)

     113,154         1,594,340   
     

 

 

 
Total Energy Equipment & Services         16,588,643   
Food & Staples Retailing – 0.8%      

Andersons, Inc. (The)

     25,552         870,301   

Ingles Markets, Inc. Class A

     29,090         1,391,375   

Liberator Medical Holdings, Inc.(a)

     246,341         578,901   

SpartanNash Co.

     73,496         1,899,872   

Village Super Market, Inc. Class A

     39,728         937,978   

Weis Markets, Inc.

     72,557         3,029,255   
     

 

 

 
Total Food & Staples Retailing         8,707,682   
Food Products – 3.0%      

Alico, Inc.

     4,027         163,456   

B&G Foods, Inc.

     250,076         9,115,270   

Cal-Maine Foods, Inc.(a)

     83,864         4,579,813   

Calavo Growers, Inc.

     29,233         1,304,961   

Dean Foods Co.

     148,802         2,458,209   

J&J Snack Foods Corp.

     22,850         2,597,131   

Lancaster Colony Corp.

     55,521         5,412,187   

Limoneira Co.(a)

     9,948         166,430   

Sanderson Farms, Inc.(a)

     23,784         1,630,869   

Snyder’s-Lance, Inc.

     154,988         5,227,746   

Tootsie Roll Industries, Inc.(a)

     43,083         1,348,067   
     

 

 

 
Total Food Products         34,004,139   
Gas Utilities – 4.1%      

Chesapeake Utilities Corp.

     34,240         1,817,459   

Delta Natural Gas Co., Inc.

     26,746         547,223   

Gas Natural, Inc.

     49,213         439,965   

Laclede Group, Inc. (The)

     159,004         8,670,488   

New Jersey Resources Corp.

     262,302         7,876,929   

Northwest Natural Gas Co.

     109,262         5,008,570   

ONE Gas, Inc.

     142,218         6,446,742   

South Jersey Industries, Inc.

     222,488         5,617,822   

WGL Holdings, Inc.

     168,864         9,738,387   
     

 

 

 
Total Gas Utilities         46,163,585   
Investments    Shares      Value  
Health Care Equipment & Supplies – 1.2%      

Abaxis, Inc.

     16,243       714,530   

Analogic Corp.

     5,791         475,094   

Atrion Corp.

     1,764         661,429   

Cantel Medical Corp.

     9,529         540,294   

CONMED Corp.

     51,546         2,460,806   

CryoLife, Inc.

     33,514         326,091   

Hill-Rom Holdings, Inc.

     78,493         4,080,851   

Invacare Corp.

     10,100         146,147   

Meridian Bioscience, Inc.

     205,919         3,521,215   

Utah Medical Products, Inc.

     7,010         377,629   
     

 

 

 
Total Health Care Equipment & Supplies         13,304,086   
Health Care Providers & Services – 1.5%      

Aceto Corp.

     33,259         912,960   

Chemed Corp.

     14,064         1,877,122   

Ensign Group, Inc. (The)

     14,897         635,059   

Kindred Healthcare, Inc.

     182,515         2,874,611   

Landauer, Inc.

     61,196         2,263,640   

National Healthcare Corp.

     31,408         1,912,433   

Owens & Minor, Inc.(a)

     190,996         6,100,412   

U.S. Physical Therapy, Inc.

     14,596         655,215   
     

 

 

 
Total Health Care Providers & Services         17,231,452   
Health Care Technology – 0.5%      

Computer Programs & Systems, Inc.

     44,224         1,863,157   

Quality Systems, Inc.

     289,780         3,616,454   
     

 

 

 
Total Health Care Technology         5,479,611   
Hotels, Restaurants & Leisure – 4.1%      

Bob Evans Farms, Inc.

     59,019         2,558,474   

Cheesecake Factory, Inc. (The)

     68,242         3,682,338   

Churchill Downs, Inc.

     19,022         2,545,334   

ClubCorp Holdings, Inc.

     177,394         3,806,875   

DineEquity, Inc.

     67,369         6,175,042   

International Speedway Corp. Class A

     21,116         669,799   

Interval Leisure Group, Inc.

     122,308         2,245,575   

Marcus Corp. (The)

     43,091         833,380   

Marriott Vacations Worldwide Corp.

     45,807         3,121,289   

Papa John’s International, Inc.

     40,569         2,778,165   

Ruth’s Hospitality Group, Inc.

     55,404         899,761   

SeaWorld Entertainment, Inc.(a)

     487,210         8,677,210   

Sonic Corp.

     70,847         1,625,939   

Speedway Motorsports, Inc.

     116,411         2,101,219   

Texas Roadhouse, Inc.

     130,088         4,839,274   
     

 

 

 
Total Hotels, Restaurants & Leisure         46,559,674   
Household Durables – 1.2%      

Bassett Furniture Industries, Inc.

     17,451         486,010   

Blyth, Inc.*

     17,334         103,484   

CSS Industries, Inc.

     18,754         493,980   

Ethan Allen Interiors, Inc.

     47,806         1,262,556   

Flexsteel Industries, Inc.

     16,991         530,969   

Hooker Furniture Corp.

     26,190         616,513   

KB Home

     60,420         818,691   

La-Z-Boy, Inc.

     65,867         1,749,428   

 

See Notes to Financial Statements.

 

58   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Lennar Corp. Class B

     15,038       $ 595,505   

Lifetime Brands, Inc.

     12,725         177,896   

MDC Holdings, Inc.

     199,902         5,233,434   

NACCO Industries, Inc. Class A

     10,229         486,389   

Ryland Group, Inc. (The)

     15,240         622,249   
     

 

 

 
Total Household Durables         13,177,104   
Household Products – 0.3%      

Oil-Dri Corp. of America

     13,971         319,936   

Orchids Paper Products Co.

     43,328         1,130,861   

WD-40 Co.

     25,985         2,314,484   
     

 

 

 
Total Household Products         3,765,281   
Independent Power and Renewable Electricity Producers – 0.8%   

NRG Yield, Inc. Class A(a)

     119,314         1,330,351   

NRG Yield, Inc. Class C(a)

     118,811         1,379,396   

Ormat Technologies, Inc.

     34,233         1,164,949   

Pattern Energy Group, Inc.(a)

     266,258         5,082,865   
     

 

 

 
Total Independent Power and Renewable Electricity Producers         8,957,561   
Industrial Conglomerates –0.1%      

Raven Industries, Inc.(a)

     90,952         1,541,636   
Insurance – 2.0%      

American Equity Investment Life Holding Co.

     21,043         490,512   

AMERISAFE, Inc.

     8,295         412,510   

Baldwin & Lyons, Inc. Class B

     17,819         386,672   

Crawford & Co. Class A

     38,909         217,501   

Crawford & Co. Class B

     22,452         125,956   

Donegal Group, Inc. Class A

     27,769         390,432   

EMC Insurance Group, Inc.

     23,737         550,936   

Employers Holdings, Inc.

     15,177         338,295   

FBL Financial Group, Inc. Class A

     24,599         1,513,331   

Federated National Holding Co.

     2,372         56,975   

Fidelity & Guaranty Life

     23,178         568,788   

HCI Group, Inc.

     10,443         404,875   

Horace Mann Educators Corp.

     46,035         1,529,283   

Independence Holding Co.

     4,445         57,607   

Infinity Property & Casualty Corp.

     8,578         690,872   

Investors Title Co.

     436         31,593   

Kemper Corp.

     55,695         1,969,932   

National General Holdings Corp.

     15,266         294,481   

National Interstate Corp.

     11,491         306,580   

National Western Life Insurance Co. Class A

     270         60,129   

ProAssurance Corp.

     55,144         2,705,916   

RLI Corp.

     26,257         1,405,537   

Safety Insurance Group, Inc.

     26,555         1,437,953   

Selective Insurance Group, Inc.

     45,264         1,405,900   

State Auto Financial Corp.

     29,845         680,765   

Stewart Information Services Corp.

     2,398         98,102   

Symetra Financial Corp.

     80,955         2,561,416   

United Fire Group, Inc.

     26,650         934,083   

Universal Insurance Holdings, Inc.

     26,036         769,104   
     

 

 

 
Total Insurance         22,396,036   
Investments    Shares      Value  
Internet & Catalog Retail – 0.4%      

Nutrisystem, Inc.

     106,556       2,825,865   

PetMed Express, Inc.(a)

     103,742         1,670,246   
     

 

 

 
Total Internet & Catalog Retail         4,496,111   
Internet Software & Services – 0.4%      

EarthLink Holdings Corp.

     471,767         3,670,347   

Marchex, Inc. Class B

     76,112         306,731   

Reis, Inc.

     22,636         512,706   
     

 

 

 
Total Internet Software & Services         4,489,784   
IT Services – 1.5%      

Cass Information Systems, Inc.

     20,598         1,011,980   

Computer Task Group, Inc.

     55,966         346,429   

Convergys Corp.

     141,954         3,280,557   

CSG Systems International, Inc.

     89,601         2,759,711   

Forrester Research, Inc.

     29,688         933,391   

Hackett Group, Inc. (The)

     42,612         585,915   

Heartland Payment Systems, Inc.

     23,844         1,502,410   

ManTech International Corp. Class A

     70,758         1,818,481   

Science Applications International Corp.

     105,992         4,261,938   
     

 

 

 
Total IT Services         16,500,812   
Leisure Products – 0.3%      

Arctic Cat, Inc.

     19,803         439,230   

Callaway Golf Co.

     43,557         363,701   

Escalade, Inc.

     40,431         638,810   

Johnson Outdoors, Inc. Class A

     9,338         197,032   

Marine Products Corp.

     57,748         400,771   

Sturm Ruger & Co., Inc.

     32,138         1,886,179   
     

 

 

 
Total Leisure Products         3,925,723   
Machinery – 3.5%      

Actuant Corp. Class A

     9,760         179,486   

Alamo Group, Inc.

     6,810         318,367   

Albany International Corp. Class A

     51,647         1,477,621   

Altra Industrial Motion Corp.

     47,189         1,091,010   

American Railcar Industries, Inc.(a)

     71,047         2,569,060   

Astec Industries, Inc.

     25,427         852,059   

Barnes Group, Inc.

     76,760         2,767,198   

Briggs & Stratton Corp.

     119,191         2,301,578   

CIRCOR International, Inc.

     4,572         183,429   

Columbus McKinnon Corp.

     12,260         222,642   

Douglas Dynamics, Inc.

     96,161         1,909,757   

Dynamic Materials Corp.

     16,053         153,146   

Eastern Co. (The)

     16,258         263,380   

ESCO Technologies, Inc.

     24,908         894,197   

Federal Signal Corp.

     51,639         707,971   

FreightCar America, Inc.

     11,051         189,635   

Global Brass & Copper Holdings, Inc.

     27,727         568,681   

Gorman-Rupp Co. (The)

     36,802         882,144   

Graham Corp.

     6,297         111,142   

Greenbrier Cos., Inc. (The)(a)

     36,678         1,177,731   

Hardinge, Inc.

     11,488         105,460   

Harsco Corp.

     400,915         3,636,299   

Hillenbrand, Inc.

     157,857         4,105,861   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      59   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Hurco Cos., Inc.

     5,430       $ 142,483   

Hyster-Yale Materials Handling, Inc.

     18,704         1,081,652   

John Bean Technologies Corp.

     33,177         1,269,020   

Kadant, Inc.

     16,242         633,600   

L.B. Foster Co. Class A

     3,939         48,371   

Lindsay Corp.(a)

     15,085         1,022,612   

Miller Industries, Inc.

     34,699         678,018   

Mueller Industries, Inc.

     53,035         1,568,775   

Mueller Water Products, Inc. Class A

     116,131         889,563   

NN, Inc.

     28,455         526,417   

Standex International Corp.

     8,321         626,987   

Sun Hydraulics Corp.

     25,438         698,782   

Supreme Industries, Inc. Class A

     19,688         164,001   

Tennant Co.

     22,071         1,239,949   

Titan International, Inc.

     10,264         67,845   

Twin Disc, Inc.

     22,316         276,942   

Watts Water Technologies, Inc. Class A

     29,178         1,541,182   
     

 

 

 
Total Machinery         39,144,053   
Marine – 0.3%      

International Shipholding Corp.

     51,526         197,345   

Matson, Inc.

     85,421         3,287,854   
     

 

 

 
Total Marine         3,485,199   
Media – 3.4%      

A.H. Belo Corp. Class A

     49,069         241,910   

AMC Entertainment Holdings, Inc. Class A

     70,396         1,773,275   

Entravision Communications Corp. Class A

     83,704         555,795   

Harte-Hanks, Inc.

     314,057         1,108,621   

Meredith Corp.

     121,955         5,192,844   

National CineMedia, Inc.

     404,676         5,430,752   

New Media Investment Group, Inc.

     178,614         2,761,372   

New York Times Co. (The) Class A

     187,413         2,213,348   

Nexstar Broadcasting Group, Inc. Class A

     36,894         1,746,931   

Saga Communications, Inc. Class A

     10,027         337,008   

Salem Media Group, Inc. Class A

     61,437         375,994   

Scholastic Corp.

     56,201         2,189,591   

Sinclair Broadcast Group, Inc. Class A

     182,771         4,627,762   

Time, Inc.

     352,849         6,721,773   

Tribune Publishing Co.

     79,178         620,756   

World Wrestling Entertainment, Inc. Class A(a)

     144,479         2,441,695   
     

 

 

 
Total Media         38,339,427   
Metals & Mining – 1.8%      

Ampco-Pittsburgh Corp.

     42,537         464,079   

Carpenter Technology Corp.

     82,959         2,469,689   

Commercial Metals Co.

     366,764         4,969,652   

Globe Specialty Metals, Inc.

     136,278         1,653,052   

Gold Resource Corp.(a)

     201,042         508,636   

Haynes International, Inc.

     23,932         905,587   

Hecla Mining Co.(a)

     143,160         282,025   

Kaiser Aluminum Corp.

     35,691         2,864,203   

Materion Corp.

     20,507         615,620   

Olympic Steel, Inc.

     4,936         49,113   

Schnitzer Steel Industries, Inc. Class A

     91,078         1,233,196   

Synalloy Corp.

     14,475         132,591   
Investments    Shares      Value  

TimkenSteel Corp.

     82,546       835,366   

Worthington Industries, Inc.

     141,533         3,747,794   
     

 

 

 
Total Metals & Mining         20,730,603   
Multi-Utilities – 1.9%      

Avista Corp.

     236,043         7,848,430   

Black Hills Corp.

     136,685         5,650,558   

NorthWestern Corp.

     139,824         7,526,726   
     

 

 

 
Total Multi-Utilities         21,025,714   
Multiline Retail – 0.1%      

Bon-Ton Stores, Inc. (The)(a)

     52,667         165,374   

Fred’s, Inc. Class A

     56,710         672,014   
     

 

 

 
Total Multiline Retail         837,388   
Oil, Gas & Consumable Fuels – 1.9%      

Adams Resources & Energy, Inc.

     9,462         387,942   

Alon USA Energy, Inc.

     227,061         4,102,992   

Delek U.S. Holdings, Inc.

     136,061         3,768,890   

Evolution Petroleum Corp.

     188,963         1,048,745   

Green Plains, Inc.

     56,182         1,093,302   

Panhandle Oil and Gas, Inc. Class A

     13,665         220,826   

PBF Energy, Inc. Class A

     372,428         10,513,642   
     

 

 

 
Total Oil, Gas & Consumable Fuels         21,136,339   
Paper & Forest Products – 0.7%      

Deltic Timber Corp.

     7,800         466,518   

Neenah Paper, Inc.

     35,215         2,052,330   

PH Glatfelter Co.

     78,839         1,357,607   

Schweitzer-Mauduit International, Inc.

     114,689         3,943,008   

Wausau Paper Corp.

     56,854         363,866   
     

 

 

 
Total Paper & Forest Products         8,183,329   
Personal Products – 1.1%      

Coty, Inc. Class A

     94,893         2,567,805   

Inter Parfums, Inc.

     57,645         1,430,172   

Nu Skin Enterprises, Inc. Class A

     206,454         8,522,421   
     

 

 

 
Total Personal Products         12,520,398   
Pharmaceuticals – 0.6%      

Phibro Animal Health Corp. Class A

     22,849         722,714   

Theravance, Inc.(a)

     875,271         6,284,446   
     

 

 

 
Total Pharmaceuticals         7,007,160   
Professional Services – 1.3%      

Acacia Research Corp.

     143,661         1,304,442   

Barrett Business Services, Inc.

     26,829         1,151,769   

CDI Corp.

     60,373         516,189   

CEB, Inc.

     51,602         3,526,481   

Exponent, Inc.

     33,830         1,507,465   

Heidrick & Struggles International, Inc.

     46,073         896,120   

Insperity, Inc.

     62,286         2,736,224   

Kelly Services, Inc. Class A

     43,495         615,019   

Kforce, Inc.

     52,560         1,381,277   

Resources Connection, Inc.

     80,844         1,218,319   

VSE Corp.

     4,081         163,525   
     

 

 

 
Total Professional Services         15,016,830   

 

See Notes to Financial Statements.

 

60   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Real Estate Investment Trusts (REITs) – 11.3%   

Acadia Realty Trust

     73,165       $ 2,200,072   

Agree Realty Corp.

     31,898         952,155   

Alexander’s, Inc.

     6,136         2,294,864   

American Assets Trust, Inc.

     39,359         1,608,209   

Armada Hoffler Properties, Inc.

     61,738         603,180   

Ashford Hospitality Prime, Inc.

     16,889         236,953   

Ashford Hospitality Trust, Inc.

     161,271         983,753   

CatchMark Timber Trust, Inc. Class A

     57,962         595,849   

Cedar Realty Trust, Inc.

     87,099         540,885   

Chambers Street Properties

     567,824         3,685,178   

Chatham Lodging Trust

     42,547         913,910   

Chesapeake Lodging Trust

     71,021         1,850,807   

CorEnergy Infrastructure Trust, Inc.(a)

     146,777         648,754   

CoreSite Realty Corp.

     30,226         1,554,825   

Corporate Office Properties Trust

     136,878         2,878,544   

Cousins Properties, Inc.

     221,187         2,039,344   

CyrusOne, Inc.

     47,218         1,542,140   

DuPont Fabros Technology, Inc.

     101,805         2,634,713   

EastGroup Properties, Inc.

     43,794         2,372,759   

Education Realty Trust, Inc.

     72,940         2,403,373   

Empire State Realty Trust, Inc. Class A

     75,867         1,292,015   

FelCor Lodging Trust, Inc.

     36,123         255,390   

First Industrial Realty Trust, Inc.

     87,298         1,828,893   

First Potomac Realty Trust

     108,848         1,197,328   

Franklin Street Properties Corp.

     238,658         2,565,573   

Getty Realty Corp.

     62,463         986,915   

Gladstone Commercial Corp.

     61,217         863,772   

Government Properties Income Trust(a)

     200,056         3,200,896   

Gramercy Property Trust, Inc.

     25,374         527,018   

Healthcare Realty Trust, Inc.

     165,055         4,101,617   

Hersha Hospitality Trust

     72,730         1,648,062   

Hudson Pacific Properties, Inc.

     43,351         1,248,075   

Independence Realty Trust, Inc.(a)

     119,758         863,455   

Inland Real Estate Corp.

     198,552         1,608,271   

Investors Real Estate Trust

     273,418         2,116,255   

Kite Realty Group Trust

     118,280         2,816,247   

Lexington Realty Trust(a)

     541,323         4,384,716   

LTC Properties, Inc.

     63,757         2,720,511   

Mack-Cali Realty Corp.

     107,347         2,026,711   

Medical Properties Trust, Inc.

     404,397         4,472,631   

Monmouth Real Estate Investment Corp. Class A

     119,410         1,164,248   

National Health Investors, Inc.

     57,319         3,295,269   

New York REIT, Inc.

     263,724         2,653,063   

One Liberty Properties, Inc.

     37,879         807,959   

Parkway Properties, Inc.

     177,702         2,765,043   

Pennsylvania Real Estate Investment Trust

     91,042         1,805,363   

Physicians Realty Trust

     103,229         1,557,726   

Potlatch Corp.

     51,992         1,496,850   

Preferred Apartment Communities, Inc. Class A(a)

     60,583         659,143   

PS Business Parks, Inc.

     26,068         2,069,278   

QTS Realty Trust, Inc. Class A

     39,727         1,735,673   
Investments    Shares      Value  

Ramco-Gershenson Properties Trust

     130,074       1,952,411   

Retail Opportunity Investments Corp.

     138,143         2,284,885   

Rexford Industrial Realty, Inc.

     51,226         706,407   

Rouse Properties, Inc.(a)

     81,460         1,269,147   

Ryman Hospitality Properties, Inc.

     80,957         3,985,513   

Sabra Health Care REIT, Inc.

     111,804         2,591,617   

Saul Centers, Inc.

     22,655         1,172,396   

Select Income REIT

     179,815         3,418,283   

Silver Bay Realty Trust Corp.

     13,974         223,724   

STAG Industrial, Inc.

     133,652         2,433,803   

Starwood Waypoint Residential Trust

     30,525         727,411   

Summit Hotel Properties, Inc.

     130,951         1,528,198   

Terreno Realty Corp.

     39,423         774,268   

UMH Properties, Inc.(a)

     70,313         653,911   

Universal Health Realty Income Trust

     25,172         1,181,574   

Urstadt Biddle Properties, Inc. Class A

     45,584         854,244   

Washington Real Estate Investment Trust(a)

     111,949         2,790,889   

Whitestone REIT(a)

     67,974         783,740   

Winthrop Realty Trust*

     49,698         713,663   

WP GLIMCHER, Inc.

     383,496         4,471,563   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         127,791,880   
Real Estate Management & Development – 0.1%      

Alexander & Baldwin, Inc.

     10,201         350,200   

Consolidated-Tomoka Land Co.

     416         20,717   

Griffin Industrial Realty, Inc.

     2,240         55,395   

Kennedy-Wilson Holdings, Inc.

     51,591         1,143,773   

RE/MAX Holdings, Inc. Class A

     2,984         107,364   
     

 

 

 
Total Real Estate Management & Development         1,677,449   
Road & Rail – 0.3%      

ArcBest Corp.

     14,105         363,486   

Celadon Group, Inc.

     8,621         138,109   

Heartland Express, Inc.

     27,322         544,801   

Marten Transport Ltd.

     16,443         265,883   

Universal Truckload Services, Inc.

     29,537         459,891   

Werner Enterprises, Inc.

     47,614         1,195,111   
     

 

 

 
Total Road & Rail         2,967,281   
Semiconductors & Semiconductor Equipment – 1.7%   

Brooks Automation, Inc.

     223,315         2,615,019   

Cohu, Inc.

     55,029         542,586   

Integrated Silicon Solution, Inc.

     45,701         982,114   

Intersil Corp. Class A

     481,141         5,629,350   

IXYS Corp.

     35,627         397,597   

MKS Instruments, Inc.

     98,324         3,296,804   

Monolithic Power Systems, Inc.

     48,367         2,476,390   

Power Integrations, Inc.

     27,994         1,180,507   

Tessera Technologies, Inc.

     61,499         1,993,183   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         19,113,550   
Software – 1.1%      

American Software, Inc. Class A

     120,804         1,137,974   

Blackbaud, Inc.

     52,347         2,937,714   

Digimarc Corp.*(a)

     12,564         383,830   

Ebix, Inc.(a)

     69,398         1,732,174   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      61   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Epiq Systems, Inc.

     83,611       $ 1,080,254   

Fair Isaac Corp.

     3,761         317,804   

Mentor Graphics Corp.

     108,849         2,680,951   

Monotype Imaging Holdings, Inc.

     46,266         1,009,524   

Pegasystems, Inc.

     45,983         1,131,642   

QAD, Inc. Class A

     17,665         452,224   
     

 

 

 
Total Software               12,864,091   
Specialty Retail – 4.1%      

Aaron’s, Inc.

     24,332         878,629   

Abercrombie & Fitch Co. Class A(a)

     208,991         4,428,519   

Big 5 Sporting Goods Corp.

     68,156         707,459   

Buckle, Inc. (The)(a)

     86,555         3,199,938   

Caleres, Inc.

     40,081         1,223,673   

Cato Corp. (The) Class A

     78,207         2,661,384   

Chico’s FAS, Inc.

     298,063         4,688,531   

Children’s Place, Inc. (The)

     21,428         1,235,753   

Destination Maternity Corp.

     72,437         667,869   

Finish Line, Inc. (The) Class A

     55,268         1,066,672   

Group 1 Automotive, Inc.

     21,149         1,800,837   

Guess?, Inc.(a)

     383,430         8,190,065   

Haverty Furniture Cos., Inc.

     31,243         733,586   

Lithia Motors, Inc. Class A

     18,184         1,965,872   

Men’s Wearhouse, Inc. (The)

     85,109         3,618,835   

Monro Muffler Brake, Inc.

     29,630         2,001,506   

Pier 1 Imports, Inc.(a)

     164,278         1,133,518   

Rent-A-Center, Inc.

     158,003         3,831,573   

Shoe Carnival, Inc.

     19,382         461,292   

Sonic Automotive, Inc. Class A

     14,898         304,217   

Stage Stores, Inc.

     91,107         896,493   

Stein Mart, Inc.

     94,029         910,201   

Winmark Corp.

     1,754         180,522   
     

 

 

 
Total Specialty Retail               46,786,944   
Technology Hardware, Storage & Peripherals – 1.2%   

Astro-Med, Inc.

     14,116         196,212   

Diebold, Inc.

     222,222         6,615,549   

Lexmark International, Inc. Class A

     227,004         6,578,576   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         13,390,337   
Textiles, Apparel & Luxury Goods – 0.3%      

Culp, Inc.

     12,066         386,957   

Movado Group, Inc.

     27,416         708,155   

Oxford Industries, Inc.

     25,119         1,855,792   

Rocky Brands, Inc.

     20,621         292,612   

Superior Uniform Group, Inc.

     30,338         543,960   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               3,787,476   
Thrifts & Mortgage Finance – 1.6%      

Astoria Financial Corp.

     48,072         773,959   

Bank Mutual Corp.

     49,325         378,816   

BankFinancial Corp.

     9,355         116,283   

Brookline Bancorp, Inc.

     95,240         965,734   

Cape Bancorp, Inc.

     14,011         173,877   

Capitol Federal Financial, Inc.

     129,761         1,572,703   

Clifton Bancorp, Inc.

     17,573         243,913   
Investments    Shares      Value  

Dime Community Bancshares, Inc.

     51,004       861,968   

ESSA Bancorp, Inc.

     10,664         139,059   

EverBank Financial Corp.

     40,577         783,136   

Federal Agricultural Mortgage Corp. Class C

     8,297         215,141   

First Defiance Financial Corp.

     8,900         325,384   

First Financial Northwest, Inc.

     12,011         145,213   

Fox Chase Bancorp, Inc.

     14,543         252,466   

Hingham Institution for Savings

     1,380         160,121   

Meta Financial Group, Inc.

     3,928         164,073   

Northfield Bancorp, Inc.

     36,023         547,910   

Northwest Bancshares, Inc.

     151,507         1,969,591   

OceanFirst Financial Corp.

     22,584         388,897   

Oritani Financial Corp.

     81,780         1,277,404   

Provident Financial Holdings, Inc.

     9,605         161,172   

Provident Financial Services, Inc.

     85,942         1,675,869   

Prudential Bancorp, Inc.

     2,057         29,641   

Pulaski Financial Corp.

     13,867         187,898   

Territorial Bancorp, Inc.

     11,844         308,418   

TrustCo Bank Corp.

     142,604         832,807   

United Community Financial Corp.

     13,796         68,980   

United Financial Bancorp, Inc.

     54,865         715,988   

Washington Federal, Inc.

     101,301         2,304,598   

Waterstone Financial, Inc.

     21,209         285,897   

Westfield Financial, Inc.

     18,225         139,421   

WSFS Financial Corp.

     9,519         274,242   
     

 

 

 
Total Thrifts & Mortgage Finance               18,440,579   
Tobacco – 2.3%      

Universal Corp.

     117,846         5,841,626   

Vector Group Ltd.

     874,709         19,777,166   
     

 

 

 
Total Tobacco               25,618,792   
Trading Companies & Distributors – 1.0%      

Applied Industrial Technologies, Inc.

     95,244         3,633,558   

H&E Equipment Services, Inc.

     135,040         2,257,869   

Houston Wire & Cable Co.

     69,840         442,786   

Kaman Corp.

     45,919         1,646,196   

TAL International Group, Inc.*

     247,442         3,382,532   
     

 

 

 
Total Trading Companies & Distributors               11,362,941   
Water Utilities – 1.1%      

American States Water Co.

     96,814         4,008,100   

Artesian Resources Corp. Class A

     31,955         771,394   

California Water Service Group

     134,328         2,971,335   

Connecticut Water Service, Inc.

     34,226         1,249,934   

Middlesex Water Co.

     57,023         1,359,428   

SJW Corp.

     51,092         1,571,079   

York Water Co. (The)

     34,866         732,883   
     

 

 

 
Total Water Utilities               12,664,153   
Wireless Telecommunication Services – 0.8%      

Shenandoah Telecommunications Co.

     39,558         1,693,478   

Spok Holdings, Inc.

     68,364         1,125,271   

 

See Notes to Financial Statements.

 

62   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree SmallCap Dividend Fund (DES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Telephone & Data Systems, Inc.

     234,262       $ 5,847,180   
     

 

 

 
Total Wireless Telecommunication Services               8,665,929   

TOTAL COMMON STOCKS

(Cost: $1,166,935,989)

              1,127,301,119   
EXCHANGE-TRADED FUND – 0.2%      
United States – 0.2%      
WisdomTree MidCap Dividend Fund(a)(b)
(Cost: $2,340,186)
     30,648         2,377,672   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 7.1%   
United States – 7.1%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $79,832,049)(d)      79,832,049         79,832,049   

TOTAL INVESTMENTS IN SECURITIES – 106.9%

(Cost: $1,249,108,224)

  

  

     1,209,510,840   

Liabilities in Excess of Cash and Other Assets – (6.9)%

  

     (77,916,743
     

 

 

 
NET ASSETS – 100.0%             $ 1,131,594,097   

 

* 

Non-income producing security.

 

(a)

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d)

At September 30, 2015, the total market value of the Fund’s securities on loan was $78,162,159 and the total market value of the collateral held by the Fund was $80,442,727. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $610,678.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      63   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.2%      
Puerto Rico – 0.3%      
Banks – 0.1%      

First BanCorp*

     132,816       $ 472,825   
IT Services – 0.2%      

EVERTEC, Inc.

     38,345         692,894   
     

 

 

 
Total Puerto Rico         1,165,719   
United States – 98.9%      
Aerospace & Defense – 0.8%      

AAR Corp.

     28,421         539,146   

Aerovironment, Inc.*

     5,091         102,024   

American Science & Engineering, Inc.

     736         26,172   

Astronics Corp.*

     10,501         424,555   

Cubic Corp.

     14,617         613,037   

Ducommun, Inc.*

     3,743         75,122   

Engility Holdings, Inc.

     11,993         309,180   

National Presto Industries, Inc.(a)

     5,969         502,948   

Sparton Corp.*

     4,367         93,454   

Taser International, Inc.*(a)

     9,500         209,237   
     

 

 

 
Total Aerospace & Defense         2,894,875   
Air Freight & Logistics – 0.8%      

Air Transport Services Group, Inc.*

     44,995         384,707   

Atlas Air Worldwide Holdings, Inc.*

     24,751         855,395   

Echo Global Logistics, Inc.*

     6,013         117,855   

Forward Air Corp.

     13,417         556,671   

Hub Group, Inc. Class A*

     17,899         651,703   

Park-Ohio Holdings Corp.

     7,670         221,356   
     

 

 

 
Total Air Freight & Logistics         2,787,687   
Airlines – 0.3%      

Hawaiian Holdings, Inc.*

     38,191         942,554   

Republic Airways Holdings, Inc.*

     59,772         345,482   
     

 

 

 
Total Airlines         1,288,036   
Auto Components – 2.4%      

American Axle & Manufacturing Holdings, Inc.*

     87,033         1,735,438   

Cooper-Standard Holding, Inc.*

     7,090         411,220   

Dorman Products, Inc.*

     20,592         1,047,927   

Drew Industries, Inc.

     14,875         812,324   

Fox Factory Holding Corp.*

     21,493         362,372   

Gentherm, Inc.*

     20,541         922,702   

Horizon Global Corp.*

     10,309         90,925   

Modine Manufacturing Co.*

     111,196         875,113   

Motorcar Parts of America, Inc.*

     3,273         102,576   

Remy International, Inc.

     15,286         447,115   

Shiloh Industries, Inc.*

     20,892         169,225   

Spartan Motors, Inc.

     3,650         15,075   

Standard Motor Products, Inc.

     17,064         595,192   

Stoneridge, Inc.*

     5,796         71,523   

Strattec Security Corp.

     2,951         186,090   

Superior Industries International, Inc.

     8,009         149,608   

Tower International, Inc.*

     31,123         739,482   
     

 

 

 
Total Auto Components         8,733,907   
Investments    Shares      Value  
Automobiles – 0.1%      

Winnebago Industries, Inc.(a)

     14,604       $ 279,667   
Banks – 12.6%      

1st Source Corp.

     18,457         568,476   

American National Bankshares, Inc.

     5,587         131,015   

Ameris Bancorp

     10,878         312,742   

Arrow Financial Corp.

     8,236         219,894   

Banc of California, Inc.

     9,588         117,645   

BancFirst Corp.

     9,247         583,486   

Bancorp, Inc. (The)*

     14,617         111,382   

Banner Corp.

     12,143         580,071   

BBCN Bancorp, Inc.

     58,116         872,902   

Berkshire Hills Bancorp, Inc.

     12,049         331,829   

Boston Private Financial Holdings, Inc.

     44,971         526,161   

Bridge Bancorp, Inc.

     4,724         126,178   

Bryn Mawr Bank Corp.

     8,651         268,787   

C&F Financial Corp.

     2,986         109,288   

Camden National Corp.

     6,361         256,984   

Capital Bank Financial Corp. Class A*

     17,429         526,879   

Capital City Bank Group, Inc.

     7,171         106,991   

Cardinal Financial Corp.

     13,787         317,239   

Centerstate Banks, Inc.

     8,139         119,643   

Central Pacific Financial Corp.

     19,389         406,587   

Chemical Financial Corp.

     20,356         658,517   

City Holding Co.

     11,055         545,011   

CNB Financial Corp.

     10,917         198,362   

CoBiz Financial, Inc.

     21,794         283,540   

Columbia Banking System, Inc.

     28,226         880,933   

Community Bank System, Inc.

     21,360         793,951   

Community Trust Bancorp, Inc.

     11,114         394,658   

ConnectOne Bancorp, Inc.

     8,181         157,893   

Customers Bancorp, Inc.*

     20,258         520,631   

CVB Financial Corp.

     63,502         1,060,483   

Enterprise Financial Services Corp.

     12,050         303,298   

Farmers Capital Bank Corp.*

     5,339         132,674   

Fidelity Southern Corp.

     16,173         341,897   

Financial Institutions, Inc.

     10,088         249,981   

First Bancorp

     12,334         209,678   

First Busey Corp.

     15,286         303,733   

First Business Financial Services, Inc.

     5,576         131,148   

First Commonwealth Financial Corp.

     46,930         426,594   

First Community Bancshares, Inc.

     14,554         260,517   

First Connecticut Bancorp, Inc.

     4,298         69,284   

First Financial Bancorp

     27,208         519,129   

First Financial Corp.

     9,796         316,901   

First Interstate BancSystem, Inc. Class A

     28,754         800,511   

First Merchants Corp.

     24,245         635,704   

First Midwest Bancorp, Inc.

     38,251         670,923   

First NBC Bank Holding Co.*

     14,566         510,393   

Flushing Financial Corp.

     22,177         443,984   

German American Bancorp, Inc.

     8,868         259,566   

Great Southern Bancorp, Inc.

     10,105         437,546   

Guaranty Bancorp

     10,941         180,198   

Hanmi Financial Corp.

     20,461         515,617   

 

See Notes to Financial Statements.

 

64   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Heartland Financial USA, Inc.

     13,362       $ 484,907   

Heritage Financial Corp.

     7,798         146,758   

Hilltop Holdings, Inc.*

     49,761         985,765   

HomeTrust Bancshares, Inc.*

     5,595         103,787   

Horizon Bancorp

     6,439         152,926   

Independent Bank Corp.

     26,735         778,775   

Independent Bank Group, Inc.

     5,033         193,418   

International Bancshares Corp.

     61,409         1,537,067   

Lakeland Bancorp, Inc.

     26,068         289,615   

Lakeland Financial Corp.

     10,093         455,699   

LegacyTexas Financial Group, Inc.

     14,218         433,365   

MainSource Financial Group, Inc.

     15,577         317,148   

Mercantile Bank Corp.

     7,608         158,094   

Merchants Bancshares, Inc.

     4,172         122,657   

Metro Bancorp, Inc.

     7,650         224,833   

MidSouth Bancorp, Inc.

     9,922         116,087   

MidWestOne Financial Group, Inc.

     6,338         185,450   

National Bank Holdings Corp. Class A

     3,864         79,328   

National Penn Bancshares, Inc.

     89,850         1,055,737   

NBT Bancorp, Inc.

     23,940         644,944   

NewBridge Bancorp

     12,807         109,244   

Northrim BanCorp, Inc.

     4,183         121,014   

OFG Bancorp

     41,408         361,492   

Old National Bancorp

     67,692         942,950   

Opus Bank

     49,284         1,884,620   

Pacific Continental Corp.

     10,868         144,653   

Pacific Premier Bancorp, Inc.*

     10,008         203,363   

Park National Corp.

     8,001         721,850   

Park Sterling Corp.

     16,856         114,621   

Peapack Gladstone Financial Corp.

     7,232         153,101   

Penns Woods Bancorp, Inc.

     3,191         130,576   

Peoples Bancorp, Inc.

     6,801         141,393   

Peoples Financial Services Corp.

     2,153         75,204   

Pinnacle Financial Partners, Inc.

     16,702         825,246   

Preferred Bank

     8,543         269,959   

Renasant Corp.

     18,165         596,720   

Republic Bancorp, Inc. Class A

     9,874         242,407   

S&T Bancorp, Inc.

     18,388         599,817   

Sandy Spring Bancorp, Inc.

     17,174         449,615   

Seacoast Banking Corp. of Florida*

     5,506         80,828   

ServisFirst Bancshares, Inc.

     15,055         625,234   

Sierra Bancorp

     9,224         147,215   

Simmons First National Corp. Class A

     5,899         282,739   

South State Corp.

     9,906         761,474   

Southside Bancshares, Inc.

     12,340         339,967   

Southwest Bancorp, Inc.

     10,397         170,615   

Square 1 Financial, Inc. Class A*

     12,607         323,685   

Sterling Bancorp

     27,070         402,531   

Stock Yards Bancorp, Inc.

     9,478         344,525   

Stonegate Bank

     2,754         87,605   

Suffolk Bancorp

     5,109         139,578   

Tompkins Financial Corp.

     10,215         545,072   

Towne Bank

     36,100         680,485   

Trico Bancshares

     9,206         226,191   
Investments    Shares      Value  

Tristate Capital Holdings, Inc.*

     13,946       $ 173,907   

Trustmark Corp.

     51,583         1,195,178   

Union Bankshares Corp.

     18,216         437,184   

United Community Banks, Inc.

     32,756         669,533   

Univest Corp. of Pennsylvania

     10,417         200,215   

Washington Trust Bancorp, Inc.

     9,160         352,202   

WesBanco, Inc.

     20,126         632,963   

West Bancorp, Inc.

     10,458         196,087   

Westamerica Bancorp

     12,366         549,545   

Wilshire Bancorp, Inc.

     51,906         545,532   

Yadkin Financial Corp.

     1,294         27,808   
     

 

 

 
Total Banks         46,499,537   
Beverages – 0.4%      

Coca-Cola Bottling Co. Consolidated

     4,139         800,400   

Craft Brew Alliance, Inc.*

     2,495         19,885   

MGP Ingredients, Inc.

     1,736         27,793   

National Beverage Corp.*

     21,404         657,745   
     

 

 

 
Total Beverages         1,505,823   
Biotechnology – 2.0%      

Acorda Therapeutics, Inc.*

     6,714         177,988   

Adamas Pharmaceuticals, Inc.*

     24,739         414,131   

Alder Biopharmaceuticals, Inc.*

     5,246         171,859   

Anacor Pharmaceuticals, Inc.*

     17,555         2,066,399   

BioSpecifics Technologies Corp.*

     1,314         57,212   

Emergent Biosolutions, Inc.*

     9,254         263,646   

Enanta Pharmaceuticals, Inc.*

     8,776         317,165   

Insys Therapeutics, Inc.*(a)

     28,531         811,992   

Ligand Pharmaceuticals, Inc.*

     3,040         260,376   

PDL BioPharma, Inc.

     490,237         2,465,892   

Progenics Pharmaceuticals, Inc.*

     6,912         39,537   

Repligen Corp.*

     6,220         173,227   
     

 

 

 
Total Biotechnology         7,219,424   
Building Products – 1.4%      

AAON, Inc.

     21,952         425,430   

American Woodmark Corp.*

     7,314         474,459   

Apogee Enterprises, Inc.

     10,213         456,010   

Builders FirstSource, Inc.*

     37,156         471,138   

Continental Building Products, Inc.*

     8,338         171,263   

Gibraltar Industries, Inc.*

     13,868         254,478   

Griffon Corp.

     1,549         24,428   

Insteel Industries, Inc.

     5,922         95,226   

NCI Building Systems, Inc.*

     2,330         24,628   

Patrick Industries, Inc.*

     11,396         450,028   

PGT, Inc.*

     22,803         280,021   

Quanex Building Products Corp.

     2,403         43,662   

Simpson Manufacturing Co., Inc.

     20,652         691,635   

Trex Co., Inc.*

     13,930         464,287   

Universal Forest Products, Inc.

     12,071         696,255   
     

 

 

 
Total Building Products         5,022,948   
Capital Markets – 1.8%      

Arlington Asset Investment Corp. Class A(a)

     27,376         384,633   

BGC Partners, Inc. Class A

     29,700         244,134   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      65   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Calamos Asset Management, Inc. Class A

     14,535       $ 137,792   

Cowen Group, Inc. Class A*

     56,227         256,395   

Diamond Hill Investment Group, Inc.

     1,864         346,779   

Evercore Partners, Inc. Class A

     14,554         731,193   

FBR & Co.

     8,705         177,756   

Financial Engines, Inc.(a)

     10,077         296,969   

FXCM, Inc. Class A(a)

     2,582         2,246   

Greenhill & Co., Inc.

     10,437         297,141   

HFF, Inc. Class A

     15,794         533,205   

Interactive Brokers Group, Inc. Class A

     14,024         553,527   

INTL FCStone, Inc.*

     8,085         199,619   

Investment Technology Group, Inc.

     22,683         302,591   

KCG Holdings, Inc. Class A*

     32,279         354,101   

Ladenburg Thalmann Financial Services, Inc.*

     18,798         39,664   

Manning & Napier, Inc.

     1,123         8,265   

Moelis & Co. Class A

     6,216         163,232   

Oppenheimer Holdings, Inc. Class A

     8,166         163,402   

Piper Jaffray Cos.*

     11,987         433,570   

Pzena Investment Management, Inc. Class A

     8,175         72,758   

Silvercrest Asset Management Group, Inc. Class A

     1,714         18,528   

Virtus Investment Partners, Inc.

     6,130         616,065   

Westwood Holdings Group, Inc.

     4,288         233,053   
     

 

 

 
Total Capital Markets         6,566,618   
Chemicals – 2.2%      

A. Schulman, Inc.

     15,461         502,019   

American Vanguard Corp.

     3,601         41,628   

Calgon Carbon Corp.

     28,015         436,474   

Chase Corp.

     7,602         299,443   

Ferro Corp.*

     48,909         535,553   

Flotek Industries, Inc.*(a)

     33,281         555,793   

FutureFuel Corp.

     45,738         451,891   

Hawkins, Inc.

     5,418         208,593   

Innophos Holdings, Inc.

     13,798         546,953   

Innospec, Inc.

     22,572         1,049,824   

Kraton Performance Polymers, Inc.*

     14,641         262,074   

Kronos Worldwide, Inc.(a)

     89,821         557,788   

OM Group, Inc.

     10,500         345,345   

OMNOVA Solutions, Inc.*

     19,208         106,412   

Quaker Chemical Corp.

     7,905         609,317   

Rayonier Advanced Materials, Inc.

     52,125         319,005   

Stepan Co.

     18,885         785,805   

Trecora Resources*

     11,510         142,954   

Tredegar Corp.

     22,539         294,810   
     

 

 

 
Total Chemicals         8,051,681   
Commercial Services & Supplies – 2.9%      

ABM Industries, Inc.

     30,562         834,648   

ACCO Brands Corp.*

     122,905         868,938   

Brady Corp. Class A

     6,471         127,220   

Brink’s Co. (The)

     999         26,983   

CECO Environmental Corp.

     11,441         93,702   

Ennis, Inc.

     29,594         513,752   

Essendant, Inc.

     36,202         1,174,031   

G&K Services, Inc. Class A

     10,416         693,914   
Investments    Shares      Value  

Heritage-Crystal Clean, Inc.*

     5,859       $ 60,172   

Herman Miller, Inc.

     12,050         347,522   

InnerWorkings, Inc.*

     7,279         45,494   

Interface, Inc.

     20,779         466,281   

Kimball International, Inc. Class B

     40,299         381,229   

Knoll, Inc.

     23,442         515,255   

Matthews International Corp. Class A

     11,801         577,895   

McGrath RentCorp

     14,104         376,436   

Multi-Color Corp.

     9,819         751,055   

Performant Financial Corp.*

     34,545         83,599   

Quad/Graphics, Inc.

     26,111         315,943   

SP Plus Corp.*

     9,120         211,128   

Team, Inc.*

     8,959         287,763   

Tetra Tech, Inc.

     37,053         900,758   

U.S. Ecology, Inc.

     10,870         474,475   

Viad Corp.

     18,464         535,271   
     

 

 

 
Total Commercial Services & Supplies         10,663,464   
Communications Equipment – 1.2%      

ADTRAN, Inc.

     21,779         317,973   

Alliance Fiber Optic Products, Inc.

     16,506         282,088   

Applied Optoelectronics, Inc.*

     3,389         63,645   

Bel Fuse, Inc. Class B

     6,256         121,617   

Black Box Corp.

     8,865         130,670   

CalAmp Corp.*

     7,749         124,681   

Clearfield, Inc.*(a)

     4,903         65,847   

Comtech Telecommunications Corp.

     8,993         185,346   

Digi International, Inc.*

     2,425         28,591   

Finisar Corp.*

     56,746         631,583   

InterDigital, Inc.

     18,508         936,505   

NETGEAR, Inc.*

     19,385         565,461   

NetScout Systems, Inc.*

     17,606         622,724   

Numerex Corp. Class A*

     1,480         12,891   

Polycom, Inc.*

     17,378         182,121   

Ruckus Wireless, Inc.*

     4,958         58,901   

TESSCO Technologies, Inc.

     5,750         120,980   
     

 

 

 
Total Communications Equipment         4,451,624   
Construction & Engineering – 1.1%      

Aegion Corp.*

     9,539         157,203   

Ameresco, Inc. Class A*

     4,910         28,871   

Argan, Inc.

     12,062         418,310   

Comfort Systems USA, Inc.

     12,475         340,068   

Dycom Industries, Inc.*

     12,615         912,821   

Furmanite Corp.*

     14,750         89,680   

Great Lakes Dredge & Dock Corp.*

     3,719         18,744   

MYR Group, Inc.*

     14,381         376,782   

Orion Marine Group, Inc.*

     4,031         24,105   

Primoris Services Corp.(a)

     39,038         699,171   

Tutor Perini Corp.*

     67,439         1,110,046   
     

 

 

 
Total Construction & Engineering         4,175,801   
Construction Materials – 0.1%      

Headwaters, Inc.*

     12,823         241,072   

United States Lime & Minerals, Inc.

     2,963         135,261   
     

 

 

 
Total Construction Materials         376,333   

 

See Notes to Financial Statements.

 

66   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Consumer Finance – 1.1%      

Cash America International, Inc.

     51,385       $ 1,437,238   

Consumer Portfolio Services, Inc.*

     35,188         175,236   

Encore Capital Group, Inc.*(a)

     23,902         884,374   

EZCORP, Inc. Class A*

     40,556         250,231   

First Cash Financial Services, Inc.*

     14,213         569,373   

Green Dot Corp. Class A*

     14,652         257,875   

Regional Management Corp.*

     14,464         224,192   

World Acceptance Corp.*(a)

     13,050         350,262   
     

 

 

 
Total Consumer Finance         4,148,781   
Containers & Packaging – 0.0%      

Myers Industries, Inc.

     8,756         117,330   
Distributors – 0.2%      

Core-Mark Holding Co., Inc.

     7,515         491,857   

VOXX International Corp.*

     29,998         222,585   

Weyco Group, Inc.

     7,885         213,210   
     

 

 

 
Total Distributors         927,652   
Diversified Consumer Services – 0.5%      

American Public Education, Inc.*

     12,345         289,490   

Bridgepoint Education, Inc.*

     16,064         122,408   

Capella Education Co.

     5,738         284,146   

Carriage Services, Inc.

     6,604         142,580   

Collectors Universe, Inc.

     4,084         61,587   

K12, Inc.*

     17,389         216,319   

Liberty Tax, Inc.

     5,080         118,313   

LifeLock, Inc.*(a)

     34,731         304,244   

Strayer Education, Inc.*

     2,319         127,475   

Universal Technical Institute, Inc.

     1,675         5,879   

Weight Watchers International, Inc.*(a)

     56,613         361,191   
     

 

 

 
Total Diversified Consumer Services         2,033,632   
Diversified Financial Services – 0.1%      

Gain Capital Holdings, Inc.

     19,602         142,703   

Marlin Business Services Corp.

     8,673         133,477   

NewStar Financial, Inc.*

     13,264         108,765   

Resource America, Inc. Class A

     6,778         45,074   
     

 

 

 
Total Diversified Financial Services         430,019   
Diversified Telecommunication Services – 1.0%      

Atlantic Tele-Network, Inc.

     8,399         620,938   

Cogent Communications Holdings, Inc.

     15,819         429,644   

Consolidated Communications Holdings, Inc.

     12,329         237,580   

General Communication, Inc. Class A*

     14,172         244,609   

Hawaiian Telcom Holdco, Inc.*

     3,682         76,512   

IDT Corp. Class B

     10,757         153,825   

Inteliquent, Inc.

     24,552         548,246   

Iridium Communications, Inc.*(a)

     68,742         422,763   

Lumos Networks Corp.

     15,300         186,048   

ORBCOMM, Inc.*

     2,826         15,769   

Premiere Global Services, Inc.*

     13,766         189,145   

Straight Path Communications, Inc. Class B*(a)

     1,074         43,400   

Vonage Holdings Corp.*

     61,122         359,398   
     

 

 

 
Total Diversified Telecommunication Services         3,527,877   
Investments    Shares      Value  
Electric Utilities – 0.9%      

El Paso Electric Co.

     26,584       $ 978,823   

Empire District Electric Co. (The)

     30,493         671,761   

MGE Energy, Inc.

     20,548         846,372   

Otter Tail Corp.

     24,045         626,613   

Unitil Corp.

     8,198         302,342   
     

 

 

 
Total Electric Utilities         3,425,911   
Electrical Equipment – 0.8%      

Allied Motion Technologies, Inc.

     5,324         94,608   

AZZ, Inc.

     12,480         607,651   

Encore Wire Corp.

     13,566         443,201   

Franklin Electric Co., Inc.

     24,423         665,038   

Global Power Equipment Group, Inc.

     13,138         48,217   

LSI Industries, Inc.

     3,005         25,362   

Powell Industries, Inc.

     8,119         244,382   

Preformed Line Products Co.

     3,301         122,632   

SL Industries, Inc.*

     4,033         137,122   

Thermon Group Holdings, Inc.*

     22,737         467,245   
     

 

 

 
Total Electrical Equipment         2,855,458   
Electronic Equipment, Instruments & Components – 3.2%      

Badger Meter, Inc.

     6,095         353,876   

Benchmark Electronics, Inc.*

     57,678         1,255,073   

Checkpoint Systems, Inc.

     1,024         7,424   

Coherent, Inc.*

     11,129         608,756   

Control4 Corp.*(a)

     4,710         38,434   

CTS Corp.

     15,175         280,889   

Daktronics, Inc.

     18,301         158,670   

DTS, Inc.*

     12,086         322,696   

Electro Rent Corp.

     15,108         156,821   

FARO Technologies, Inc.*

     5,917         207,095   

II-VI, Inc.*

     33,667         541,365   

Insight Enterprises, Inc.*

     36,035         931,505   

Mesa Laboratories, Inc.

     1,484         165,318   

Methode Electronics, Inc.

     32,598         1,039,876   

MTS Systems Corp.

     6,849         411,693   

Newport Corp.*

     21,901         301,139   

OSI Systems, Inc.*

     8,599         661,779   

PC Connection, Inc.

     18,889         391,569   

Plexus Corp.*

     25,747         993,319   

Rofin-Sinar Technologies, Inc.*

     9,704         251,625   

Rogers Corp.*

     9,575         509,198   

ScanSource, Inc.*

     20,893         740,866   

TTM Technologies, Inc.*

     18,599         115,872   

Universal Display Corp.*

     36,033         1,221,519   

Vishay Precision Group, Inc.*

     6,110         70,815   
     

 

 

 
Total Electronic Equipment, Instruments & Components         11,737,192   
Energy Equipment & Services – 1.7%      

Basic Energy Services, Inc.*(a)

     12,197         40,250   

CARBO Ceramics, Inc.(a)

     23,926         454,355   

Era Group, Inc.*

     8,429         126,182   

Geospace Technologies Corp.*

     16,393         226,387   

Gulf Island Fabrication, Inc.

     6,972         73,415   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      67   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Gulfmark Offshore, Inc. Class A(a)

     42,039       $ 256,858   

Hornbeck Offshore Services, Inc.*(a)

     51,566         697,688   

Matrix Service Co.*

     19,284         433,312   

Natural Gas Services Group, Inc.*

     6,569         126,782   

Newpark Resources, Inc.*

     80,184         410,542   

Parker Drilling Co.*

     106,265         279,477   

PHI, Inc. Non-Voting Shares*

     12,740         240,531   

RigNet, Inc.*(a)

     5,736         146,268   

SEACOR Holdings, Inc.*

     3,356         200,723   

Tidewater, Inc.(a)

     74,231         975,395   

U.S. Silica Holdings, Inc.(a)

     47,918         675,165   

Unit Corp.*

     78,466         883,527   
     

 

 

 
Total Energy Equipment & Services         6,246,857   
Food & Staples Retailing – 0.8%      

Andersons, Inc. (The)

     22,692         772,890   

Chefs’ Warehouse, Inc. (The)*

     8,111         114,852   

Ingles Markets, Inc. Class A

     17,357         830,185   

Liberator Medical Holdings, Inc.

     30,851         72,500   

Natural Grocers by Vitamin Cottage, Inc.*

     5,593         126,905   

SpartanNash Co.

     13,630         352,335   

Village Super Market, Inc. Class A

     2,261         53,382   

Weis Markets, Inc.

     13,864         578,822   
     

 

 

 
Total Food & Staples Retailing         2,901,871   
Food Products – 0.8%      

Alico, Inc.

     819         33,243   

B&G Foods, Inc.

     18,011         656,501   

Boulder Brands, Inc.*(a)

     12,974         106,257   

Calavo Growers, Inc.

     5,896         263,197   

Farmer Bros Co.*

     2,010         54,773   

Inventure Foods, Inc.*

     6,917         61,423   

John B. Sanfilippo & Son, Inc.

     6,185         317,043   

Landec Corp.*

     10,957         127,868   

Limoneira Co.(a)

     3,975         66,502   

Omega Protein Corp.*

     30,736         521,590   

Seneca Foods Corp. Class A*

     2,565         67,588   

Tootsie Roll Industries, Inc.(a)

     24,453         765,134   
     

 

 

 
Total Food Products         3,041,119   
Gas Utilities – 0.6%      

Chesapeake Utilities Corp.

     8,502         451,286   

Gas Natural, Inc.

     3,970         35,492   

Northwest Natural Gas Co.

     14,023         642,814   

South Jersey Industries, Inc.

     36,235         914,934   
     

 

 

 
Total Gas Utilities         2,044,526   
Health Care Equipment & Supplies – 2.8%      

Abaxis, Inc.

     3,296         144,991   

ABIOMED, Inc.*

     3,159         293,029   

Analogic Corp.

     4,519         370,739   

AngioDynamics, Inc.*

     448         5,909   

Anika Therapeutics, Inc.*

     10,907         347,170   

Atrion Corp.

     897         336,339   

Cantel Medical Corp.

     11,040         625,968   

CONMED Corp.

     9,014         430,328   
Investments    Shares      Value  

CryoLife, Inc.

     5,978       $ 58,166   

Cyberonics, Inc.*

     12,976         788,681   

Cynosure, Inc. Class A*

     6,030         181,141   

Exactech, Inc.*

     8,022         139,823   

Greatbatch, Inc.*

     10,897         614,809   

Haemonetics Corp.*

     9,155         295,890   

ICU Medical, Inc.*

     4,391         480,815   

Inogen, Inc.*

     12,099         587,406   

Integra LifeSciences Holdings Corp.*

     6,166         367,185   

Masimo Corp.*

     27,318         1,053,382   

Meridian Bioscience, Inc.

     23,345         399,200   

Merit Medical Systems, Inc.*

     13,803         330,030   

Natus Medical, Inc.*

     10,106         398,682   

Neogen Corp.*

     7,098         319,339   

SeaSpine Holdings Corp.*

     2,012         32,594   

SurModics, Inc.*

     5,830         127,327   

Thoratec Corp.*

     17,877         1,130,899   

Utah Medical Products, Inc.

     2,319         124,925   

Vascular Solutions, Inc.*

     4,966         160,948   
     

 

 

 
Total Health Care Equipment & Supplies         10,145,715   
Health Care Providers & Services – 2.5%      

Aceto Corp.

     11,821         324,486   

Addus HomeCare Corp.*

     5,398         168,148   

Air Methods Corp.*

     22,968         782,979   

Alliance HealthCare Services, Inc.*

     3,527         34,423   

Almost Family, Inc.*

     3,594         143,940   

AMN Healthcare Services, Inc.*

     19,783         593,688   

Chemed Corp.

     9,476         1,264,762   

Corvel Corp.*

     10,563         341,185   

Ensign Group, Inc. (The)

     9,804         417,944   

ExamWorks Group, Inc.*

     1,379         40,322   

Five Star Quality Care, Inc.*

     8,554         26,432   

Hanger, Inc.*

     30,333         413,742   

IPC Healthcare, Inc.*

     10,087         783,659   

Landauer, Inc.

     903         33,402   

LHC Group, Inc.*

     8,132         364,070   

Magellan Health, Inc.*

     14,401         798,247   

National Healthcare Corp.

     8,227         500,942   

PharMerica Corp.*

     16,644         473,855   

Providence Service Corp. (The)*

     5,077         221,256   

Select Medical Holdings Corp.

     95,356         1,028,891   

Triple-S Management Corp. Class B*

     17,511         311,871   

U.S. Physical Therapy, Inc.

     5,002         224,540   
     

 

 

 
Total Health Care Providers & Services         9,292,784   
Health Care Technology – 0.3%      

Computer Programs & Systems, Inc.

     6,800         286,484   

HealthStream, Inc.*

     3,748         81,744   

HMS Holdings Corp.*

     14,840         130,147   

MedAssets, Inc.*

     17,867         358,412   

Omnicell, Inc.*

     9,467         294,424   

Quality Systems, Inc.

     3,522         43,954   
     

 

 

 
Total Health Care Technology         1,195,165   

 

See Notes to Financial Statements.

 

68   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Hotels, Restaurants & Leisure – 2.5%      

Biglari Holdings, Inc.*

     468       $ 171,166   

BJ’s Restaurants, Inc.*

     5,268         226,682   

Bob Evans Farms, Inc.

     4,708         204,092   

Bravo Brio Restaurant Group, Inc.*

     4,593         51,763   

Caesars Acquisition Co. Class A*

     100,601         714,267   

Churchill Downs, Inc.

     6,376         853,173   

Chuy’s Holdings, Inc.*

     6,612         187,781   

Del Frisco’s Restaurant Group, Inc.*

     7,615         105,772   

Diamond Resorts International, Inc.*

     17,741         414,962   

Famous Dave’s of America, Inc.*(a)

     3,077         39,724   

Fiesta Restaurant Group, Inc.*

     3,687         167,279   

International Speedway Corp. Class A

     17,807         564,838   

Interval Leisure Group, Inc.

     43,545         799,486   

Kona Grill, Inc.*

     647         10,190   

Krispy Kreme Doughnuts, Inc.*

     21,336         312,146   

Marcus Corp. (The)

     16,753         324,003   

Monarch Casino & Resort, Inc.*

     8,391         150,786   

Nathan’s Famous, Inc.

     1,449         55,091   

Noodles & Co.*(a)

     4,284         60,662   

Pinnacle Entertainment, Inc.*

     18,255         617,749   

Popeyes Louisiana Kitchen, Inc.*

     7,276         410,075   

Red Robin Gourmet Burgers, Inc.*

     5,354         405,512   

Ruth’s Hospitality Group, Inc.

     10,950         177,828   

SeaWorld Entertainment, Inc.(a)

     43,537         775,394   

Sonic Corp.

     19,501         447,548   

Speedway Motorsports, Inc.

     43,692         788,641   
     

 

 

 
Total Hotels, Restaurants & Leisure         9,036,610   
Household Durables – 3.8%      

Bassett Furniture Industries, Inc.

     3,932         109,506   

Beazer Homes USA, Inc.*

     18,749         249,924   

Cavco Industries, Inc.*

     3,260         221,973   

Century Communities, Inc.*

     10,862         215,611   

CSS Industries, Inc.

     6,462         170,209   

Ethan Allen Interiors, Inc.

     17,202         454,305   

Flexsteel Industries, Inc.

     5,749         179,656   

Hooker Furniture Corp.

     6,085         143,241   

Hovnanian Enterprises, Inc. Class A*(a)

     44,546         78,846   

Installed Building Products, Inc.*

     7,238         182,977   

iRobot Corp.*

     10,228         298,044   

KB Home

     61,141         828,461   

La-Z-Boy, Inc.

     27,036         718,076   

LGI Homes, Inc.*(a)

     23,623         642,309   

M/I Homes, Inc.*

     25,031         590,231   

MDC Holdings, Inc.

     34,789         910,776   

Meritage Homes Corp.*

     46,328         1,691,899   

NACCO Industries, Inc. Class A

     5,049         240,080   

New Home Co., Inc. (The)*

     2,495         32,310   

Ryland Group, Inc. (The)

     53,205         2,172,360   

Skullcandy, Inc.*

     4,884         27,009   

Universal Electronics, Inc.*

     5,149         216,413   

WCI Communities, Inc.*

     77,435         1,752,354   
Investments    Shares      Value  

William Lyon Homes Class A*

     85,504       $ 1,761,382   
     

 

 

 
Total Household Durables         13,887,952   
Household Products – 0.2%      

Oil-Dri Corp. of America

     3,417         78,250   

Orchids Paper Products Co.

     3,942         102,886   

WD-40 Co.

     6,232         555,084   
     

 

 

 
Total Household Products         736,220   
Independent Power and Renewable Electricity Producers – 0.2%   
Ormat Technologies, Inc.      22,706         772,685   
Industrial Conglomerates – 0.1%      
Raven Industries, Inc.      17,026         288,591   
Insurance – 4.3%      

Ambac Financial Group, Inc.*

     30,692         444,113   

AMERISAFE, Inc.

     12,131         603,274   

Baldwin & Lyons, Inc. Class B

     9,303         201,875   

Citizens, Inc.*(a)

     7,491         55,583   

Crawford & Co. Class B

     29,355         164,681   

Donegal Group, Inc. Class A

     11,573         162,716   

eHealth, Inc.*

     399         5,111   

EMC Insurance Group, Inc.

     10,427         242,011   

Employers Holdings, Inc.

     38,502         858,209   

FBL Financial Group, Inc. Class A

     18,536         1,140,335   

Federated National Holding Co.

     10,734         257,831   

Fidelity & Guaranty Life

     54,316         1,332,915   

Hallmark Financial Services, Inc.*

     10,034         115,291   

HCI Group, Inc.

     12,932         501,374   

Heritage Insurance Holdings, Inc.*

     14,260         281,350   

Horace Mann Educators Corp.

     30,700         1,019,854   

Infinity Property & Casualty Corp.

     5,433         437,574   

Investors Title Co.

     1,139         82,532   

Kemper Corp.

     25,329         895,887   

National General Holdings Corp.

     49,042         946,020   

National Interstate Corp.

     4,639         123,768   

National Western Life Insurance Co. Class A

     3,882         864,521   

Navigators Group, Inc. (The)*

     9,617         749,934   

Phoenix Cos., Inc. (The)*

     11,216         370,016   

Safety Insurance Group, Inc.

     9,365         507,115   

Selective Insurance Group, Inc.

     37,394         1,161,458   

State Auto Financial Corp.

     19,406         442,651   

Stewart Information Services Corp.

     11,325         463,306   

United Fire Group, Inc.

     16,625         582,706   

Universal Insurance Holdings, Inc.

     30,031         887,116   
     

 

 

 
Total Insurance         15,901,127   
Internet & Catalog Retail – 0.4%      

1-800-Flowers.com, Inc. Class A*

     21,977         199,991   

Blue Nile, Inc.*

     3,212         107,731   

FTD Cos., Inc.*

     5,239         156,122   

Nutrisystem, Inc.

     8,741         231,811   

Overstock.com, Inc.*

     35,573         610,433   

PetMed Express, Inc.(a)

     13,453         216,593   
     

 

 

 
Total Internet & Catalog Retail         1,522,681   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      69   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Internet Software & Services – 1.0%      

Bankrate, Inc.*

     16,656       $ 172,390   

Blucora, Inc.*

     26,038         358,543   

Constant Contact, Inc.*

     4,009         97,178   

Cvent, Inc.*

     1,264         42,546   

DHI Group, Inc.*

     17,049         124,628   

Envestnet, Inc.*

     2,500         74,925   

Liquidity Services, Inc.*

     42,526         314,267   

LogMeIn, Inc.*

     1,005         68,501   

NIC, Inc.

     22,818         404,107   

Reis, Inc.

     9,974         225,911   

RetailMeNot, Inc.*

     21,253         175,125   

SPS Commerce, Inc.*

     471         31,976   

Stamps.com, Inc.*

     10,489         776,291   

Support.com, Inc.*

     9,449         10,583   

TechTarget, Inc.*

     2,569         21,888   

Travelzoo, Inc.*

     10,972         90,738   

WebMD Health Corp.*

     11,065         440,830   

XO Group, Inc.*

     1,929         27,257   

Xoom Corp.*

     2,447         60,881   
     

 

 

 
Total Internet Software & Services         3,518,565   
IT Services – 2.6%      

Blackhawk Network Holdings, Inc.*

     15,158         642,548   

Cardtronics, Inc.*

     11,403         372,878   

Cass Information Systems, Inc.

     5,655         277,830   

Computer Task Group, Inc.

     16,451         101,832   

CSG Systems International, Inc.

     14,720         453,376   

Datalink Corp.*

     10,404         62,112   

Everi Holdings, Inc.*

     40,882         209,725   

ExlService Holdings, Inc.*

     16,263         600,593   

Forrester Research, Inc.

     2,630         82,687   

Hackett Group, Inc. (The)

     8,530         117,287   

Higher One Holdings, Inc.*

     47,914         94,391   

Information Services Group, Inc.

     17,862         69,840   

Lionbridge Technologies, Inc.*

     31,613         156,168   

ManTech International Corp. Class A

     16,929         435,075   

MoneyGram International, Inc.*

     122,557         982,907   

NeuStar, Inc. Class A*(a)

     66,257         1,802,853   

Perficient, Inc.*

     13,933         214,986   

Sykes Enterprises, Inc.*

     22,142         564,621   

TeleTech Holdings, Inc.

     34,033         911,744   

Unisys Corp.*

     71,207         847,363   

Virtusa Corp.*

     10,448         536,087   
     

 

 

 
Total IT Services         9,536,903   
Leisure Products – 1.1%      

Arctic Cat, Inc.

     10,076         223,486   

Callaway Golf Co.

     11,909         99,440   

Escalade, Inc.

     9,747         154,003   

JAKKS Pacific, Inc.*(a)

     4,167         35,503   

Johnson Outdoors, Inc. Class A

     2,640         55,704   

LeapFrog Enterprises, Inc.*

     168,616         120,307   

Nautilus, Inc.*

     16,088         241,320   

Smith & Wesson Holding Corp.*

     88,080         1,485,910   
Investments    Shares      Value  

Sturm Ruger & Co., Inc.

     25,709       $ 1,508,861   
     

 

 

 
Total Leisure Products         3,924,534   
Life Sciences Tools & Services – 0.3%      

Albany Molecular Research, Inc.*(a)

     2,549         44,403   

Cambrex Corp.*

     20,813         825,860   

Luminex Corp.*

     13,146         222,299   

pSivida Corp.*(a)

     26,428         96,462   
     

 

 

 
Total Life Sciences Tools & Services         1,189,024   
Machinery – 4.7%      

Accuride Corp.*

     13,322         36,902   

Actuant Corp. Class A

     51,699         950,745   

Alamo Group, Inc.

     8,761         409,577   

Albany International Corp. Class A

     17,234         493,065   

Altra Industrial Motion Corp.

     15,455         357,320   

American Railcar Industries, Inc.(a)

     22,692         820,543   

Astec Industries, Inc.

     10,509         352,157   

Blount International, Inc.*

     13,088         72,900   

Briggs & Stratton Corp.

     26,858         518,628   

Chart Industries, Inc.*

     26,564         510,294   

CIRCOR International, Inc.

     10,469         420,016   

Columbus McKinnon Corp.

     15,219         276,377   

Commercial Vehicle Group, Inc.*

     7,066         28,476   

Douglas Dynamics, Inc.

     18,909         375,533   

Dynamic Materials Corp.

     4,885         46,603   

EnPro Industries, Inc.

     4,859         190,327   

ESCO Technologies, Inc.

     13,678         491,040   

Federal Signal Corp.

     53,243         729,962   

Global Brass & Copper Holdings, Inc.

     33,002         676,871   

Gorman-Rupp Co. (The)

     13,347         319,928   

Graham Corp.

     3,726         65,764   

Greenbrier Cos., Inc. (The)(a)

     20,546         659,732   

Harsco Corp.

     4,175         37,867   

Hurco Cos., Inc.

     4,068         106,744   

Hyster-Yale Materials Handling, Inc.

     14,877         860,337   

John Bean Technologies Corp.

     10,038         383,953   

Kadant, Inc.

     6,988         272,602   

L.B. Foster Co. Class A

     6,173         75,804   

Lindsay Corp.(a)

     6,403         434,059   

Lydall, Inc.*

     8,483         241,681   

Meritor, Inc.*

     90,876         966,012   

Miller Industries, Inc.

     6,737         131,641   

Mueller Industries, Inc.

     33,645         995,219   

Mueller Water Products, Inc. Class A

     62,467         478,497   

NN, Inc.

     6,565         121,452   

Proto Labs, Inc.*

     6,724         450,508   

RBC Bearings, Inc.*

     10,245         611,934   

Standex International Corp.

     7,710         580,948   

Sun Hydraulics Corp.

     12,071         331,590   

Tennant Co.

     7,292         409,665   

TriMas Corp.*

     26,278         429,645   

Twin Disc, Inc.

     5,202         64,557   

Wabash National Corp.*

     54,154         573,491   
     

 

 

 
Total Machinery         17,360,966   

 

See Notes to Financial Statements.

 

70   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Marine – 0.2%   

International Shipholding Corp.

     4,183       $ 16,021   

Matson, Inc.

     18,322         705,214   
     

 

 

 
Total Marine         721,235   
Media – 1.2%      

A.H. Belo Corp. Class A

     20,985         103,456   

Cumulus Media, Inc. Class A*

     139,945         98,493   

Entercom Communications Corp. Class A*

     25,730         261,417   

Entravision Communications Corp. Class A

     266,967         1,772,661   

Gray Television, Inc.*

     27,104         345,847   

Harte-Hanks, Inc.

     42,544         150,180   

Martha Stewart Living Omnimedia, Inc. Class A*

     6,280         37,429   

Media General, Inc.*(a)

     14,611         204,408   

National CineMedia, Inc.

     20,201         271,097   

New York Times Co. (The) Class A

     12,710         150,105   

Nexstar Broadcasting Group, Inc. Class A

     4,639         219,657   

Salem Media Group, Inc. Class A

     15,564         95,252   

Scholastic Corp.

     18,300         712,968   
     

 

 

 
Total Media         4,422,970   
Metals & Mining – 0.5%      

Ampco-Pittsburgh Corp.

     2,749         29,992   

Gold Resource Corp.(a)

     29,246         73,992   

Haynes International, Inc.

     1,452         54,944   

Hecla Mining Co.

     9,621         18,953   

Kaiser Aluminum Corp.

     10,444         838,131   

Materion Corp.

     9,674         290,413   

Olympic Steel, Inc.

     4,369         43,472   

Schnitzer Steel Industries, Inc. Class A

     2,429         32,889   

SunCoke Energy, Inc.

     8,227         64,006   

TimkenSteel Corp.

     40,440         409,253   
     

 

 

 
Total Metals & Mining         1,856,045   
Oil, Gas & Consumable Fuels – 4.5%      

Adams Resources & Energy, Inc.

     3,333         136,653   

Aemetis, Inc.*(a)

     13,161         36,193   

Alon USA Energy, Inc.

     14,737         266,298   

Approach Resources, Inc.*(a)

     198,549         371,287   

Bonanza Creek Energy, Inc.*

     50,165         204,171   

Callon Petroleum Co.*

     32,781         238,973   

Carrizo Oil & Gas, Inc.*

     23,554         719,339   

Clayton Williams Energy, Inc.*

     10,217         396,522   

Cloud Peak Energy, Inc.*(a)

     47,971         126,164   

Delek U.S. Holdings, Inc.

     69,733         1,931,604   

Evolution Petroleum Corp.

     4,041         22,427   

Gastar Exploration, Inc.*

     32,728         37,637   

Green Plains, Inc.

     66,989         1,303,606   

Jones Energy, Inc. Class A*

     8,943         42,837   

Laredo Petroleum, Inc.*(a)

     188,401         1,776,621   

Matador Resources Co.*

     57,618         1,194,997   

Northern Oil and Gas, Inc.*(a)

     166,811         737,305   

Oasis Petroleum, Inc.*(a)

     345,110         2,995,555   

Panhandle Oil and Gas, Inc. Class A

     12,962         209,466   

PDC Energy, Inc.*

     21,566         1,143,214   

PetroQuest Energy, Inc.*

     79,594         93,125   
Investments    Shares      Value  

Renewable Energy Group, Inc.*

     51,977       $ 430,369   

REX American Resources Corp.*

     12,861         651,024   

Rex Energy Corp.*(a)

     18,068         37,401   

Ring Energy, Inc.*

     8,980         88,633   

Sanchez Energy Corp.*(a)

     27,596         169,715   

Stone Energy Corp.*

     7,775         38,564   

Synergy Resources Corp.*

     31,569         309,376   

Triangle Petroleum Corp.*(a)

     247,673         351,696   

VAALCO Energy, Inc.*

     118,505         201,458   

W&T Offshore, Inc.(a)

     21,098         63,294   

Warren Resources, Inc.*(a)

     215,034         105,238   
     

 

 

 
Total Oil, Gas & Consumable Fuels         16,430,762   
Paper & Forest Products – 1.2%      

Boise Cascade Co.*

     23,749         598,950   

Clearwater Paper Corp.*

     17,641         833,361   

Deltic Timber Corp.

     3,118         186,488   

Mercer International, Inc.

     97,318         976,099   

Neenah Paper, Inc.

     10,573         616,194   

PH Glatfelter Co.

     29,067         500,534   

Schweitzer-Mauduit International, Inc.

     16,172         555,993   
     

 

 

 
Total Paper & Forest Products         4,267,619   
Personal Products – 0.5%      

Inter Parfums, Inc.

     9,324         231,329   

Medifast, Inc.*

     7,607         204,324   

Nutraceutical International Corp.*

     8,846         208,854   

Revlon, Inc. Class A*

     9,338         275,004   

USANA Health Sciences, Inc.*

     8,330         1,116,470   
     

 

 

 
Total Personal Products         2,035,981   
Pharmaceuticals – 1.0%      

ANI Pharmaceuticals, Inc.*

     2,165         85,539   

Depomed, Inc.*

     58,546         1,103,592   

Endocyte, Inc.*(a)

     18,163         83,187   

Lannett Co., Inc.*(a)

     24,558         1,019,648   

Medicines Co. (The)*

     3,774         143,261   

Phibro Animal Health Corp. Class A

     6,006         189,970   

POZEN, Inc.*

     9,395         54,820   

Prestige Brands Holdings, Inc.*

     17,484         789,577   

Sagent Pharmaceuticals, Inc.*

     5,403         82,828   

Sciclone Pharmaceuticals, Inc.*

     29,633         205,653   

Sucampo Pharmaceuticals, Inc. Class A*

     5,125         101,834   
     

 

 

 
Total Pharmaceuticals         3,859,909   
Professional Services – 2.3%      

Advisory Board Co. (The)*

     2,974         135,436   

CBIZ, Inc.*

     34,624         340,008   

CDI Corp.

     7,630         65,237   

CRA International, Inc.*

     5,105         110,166   

Exponent, Inc.

     11,448         510,123   

Franklin Covey Co.*

     10,000         160,600   

FTI Consulting, Inc.*

     14,516         602,559   

GP Strategies Corp.*

     8,751         199,698   

Heidrick & Struggles International, Inc.

     3,892         75,699   

Huron Consulting Group, Inc.*

     14,776         923,943   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      71   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

ICF International, Inc.*

     11,178       $ 339,699   

Insperity, Inc.

     9,526         418,477   

Kelly Services, Inc. Class A

     16,179         228,771   

Kforce, Inc.

     10,004         262,905   

Korn/Ferry International

     29,040         960,353   

Mistras Group, Inc.*

     12,681         162,951   

Navigant Consulting, Inc.*

     35,725         568,385   

On Assignment, Inc.*

     25,936         957,038   

Resources Connection, Inc.

     15,491         233,449   

RPX Corp.*

     31,623         433,868   

TrueBlue, Inc.*

     28,672         644,260   

VSE Corp.

     5,421         217,220   

Willdan Group, Inc.*

     5,610         56,885   
     

 

 

 
Total Professional Services         8,607,730   
Real Estate Investment Trusts (REITs) – 2.3%      

Agree Realty Corp.

     5,472         163,339   

American Assets Trust, Inc.

     4,586         187,384   

Armada Hoffler Properties, Inc.

     5,969         58,317   

Chambers Street Properties

     32,252         209,316   

Chatham Lodging Trust

     23,326         501,043   

Chesapeake Lodging Trust

     14,350         373,961   

CorEnergy Infrastructure Trust, Inc.

     12,881         56,934   

CoreSite Realty Corp.

     3,109         159,927   

Education Realty Trust, Inc.

     6,229         205,246   

Empire State Realty Trust, Inc. Class A

     59,058         1,005,758   

First Potomac Realty Trust

     1,298         14,278   

Franklin Street Properties Corp.

     10,267         110,370   

Getty Realty Corp.

     12,984         205,147   

Government Properties Income Trust

     20,730         331,680   

Gramercy Property Trust, Inc.

     17,625         366,071   

Hersha Hospitality Trust

     14,161         320,888   

Hudson Pacific Properties, Inc.

     3,867         111,331   

Independence Realty Trust, Inc.

     2,969         21,407   

Inland Real Estate Corp.

     12,662         102,562   

Ladder Capital Corp. Class A

     30,288         433,724   

LTC Properties, Inc.

     14,072         600,452   

Monmouth Real Estate Investment Corp. Class A

     8,719         85,010   

One Liberty Properties, Inc.

     5,189         110,681   

Potlatch Corp.

     19,604         564,399   

QTS Realty Trust, Inc. Class A

     4,196         183,323   

Retail Opportunity Investments Corp.

     11,368         188,027   

Sabra Health Care REIT, Inc.

     8,585         199,000   

Saul Centers, Inc.

     5,610         290,318   

Select Income REIT

     40,050         761,351   

Terreno Realty Corp.

     2,218         43,562   

Universal Health Realty Income Trust

     7,477         350,970   

Urstadt Biddle Properties, Inc. Class A

     5,587         104,700   

Whitestone REIT

     3,649         42,073   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         8,462,549   
Real Estate Management & Development – 1.4%      

Alexander & Baldwin, Inc.

     8,511         292,183   

Consolidated-Tomoka Land Co.

     1,243         61,901   

Forestar Group, Inc.*

     22,863         300,648   
Investments    Shares      Value  

FRP Holdings, Inc.*

     3,111       $ 93,766   

Marcus & Millichap, Inc.*

     7,291         335,313   

St. Joe Co. (The)*(a)

     219,011         4,189,680   

Tejon Ranch Co.*

     1,002         21,854   
     

 

 

 
Total Real Estate Management & Development         5,295,345   
Road & Rail – 0.5%      

ArcBest Corp.

     10,405         268,137   

Celadon Group, Inc.

     10,863         174,025   

Covenant Transportation Group, Inc. Class A*

     4,634         83,273   

Marten Transport Ltd.

     14,878         240,577   

PAM Transportation Services, Inc.*

     816         26,969   

Patriot Transportation Holding, Inc.*

     1,038         24,964   

Roadrunner Transportation Systems, Inc.*

     25,768         474,131   

Saia, Inc.*

     9,406         291,116   

Universal Truckload Services, Inc.

     17,893         278,594   
     

 

 

 
Total Road & Rail         1,861,786   
Semiconductors & Semiconductor Equipment – 2.7%   

Advanced Energy Industries, Inc.*

     35,560         935,228   

Amkor Technology, Inc.*

     259,708         1,166,089   

Brooks Automation, Inc.

     1,342         15,715   

Cabot Microelectronics Corp.*

     12,185         472,047   

Cascade Microtech, Inc.*

     11,439         161,747   

Ceva, Inc.*

     2,875         53,389   

Cirrus Logic, Inc.*

     38,363         1,208,818   

Diodes, Inc.*

     23,280         497,494   

DSP Group, Inc.*

     1,704         15,523   

Entegris, Inc.*

     15,655         206,489   

Integrated Silicon Solution, Inc.

     10,523         226,139   

Intersil Corp. Class A

     39,374         460,676   

IXYS Corp.

     8,722         97,338   

Kulicke & Soffa Industries, Inc.*

     50,347         462,185   

Lattice Semiconductor Corp.*

     67,765         260,895   

Mattson Technology, Inc.*

     24,775         57,726   

Monolithic Power Systems, Inc.

     7,737         396,134   

OmniVision Technologies, Inc.*

     41,560         1,091,366   

PDF Solutions, Inc.*

     16,856         168,560   

Pericom Semiconductor Corp.

     4,864         88,768   

Photronics, Inc.*

     13,685         123,986   

Power Integrations, Inc.

     13,205         556,855   

Rambus, Inc.*

     7,386         87,155   

Tessera Technologies, Inc.

     27,402         888,099   

Ultra Clean Holdings, Inc.*

     17,634         101,219   

Xcerra Corp.*

     15,381         96,593   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         9,896,233   
Software – 1.1%      

American Software, Inc. Class A

     13,492         127,095   

Aware, Inc.*

     12,347         41,362   

Barracuda Networks, Inc.*

     527         8,211   

Ebix, Inc.(a)

     40,000         998,400   

Ellie Mae, Inc.*

     3,112         207,166   

EnerNOC, Inc.*

     13,935         110,087   

Epiq Systems, Inc.

     1,647         21,279   

ePlus, Inc.*

     6,199         490,155   

 

See Notes to Financial Statements.

 

72   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Glu Mobile, Inc.*

     8,928       $ 39,015   

Monotype Imaging Holdings, Inc.

     12,581         274,517   

Paycom Software, Inc.*

     982         35,264   

Pegasystems, Inc.

     15,679         385,860   

Progress Software Corp.*

     20,674         534,009   

QAD, Inc. Class A

     5,528         141,517   

Qualys, Inc.*

     1,380         39,275   

Synchronoss Technologies, Inc.*

     11,828         387,958   

Tangoe, Inc.*

     1,741         12,535   

TiVo, Inc.*

     22,478         194,659   

Xura, Inc.*

     3,462         77,480   

Zix Corp.*

     25,356         106,749   
     

 

 

 
Total Software         4,232,593   
Specialty Retail – 3.8%      

America’s Car-Mart, Inc.*

     4,972         164,523   

Big 5 Sporting Goods Corp.

     14,446         149,949   

Build-A-Bear Workshop, Inc.*

     4,013         75,806   

Caleres, Inc.

     22,775         695,321   

Cato Corp. (The) Class A

     14,459         492,040   

Children’s Place, Inc. (The)

     11,107         640,541   

Christopher & Banks Corp.*

     31,798         35,296   

Citi Trends, Inc.

     3,008         70,327   

Conn’s, Inc.*(a)

     62,331         1,498,437   

Container Store Group, Inc. (The)*(a)

     7,398         104,164   

Destination Maternity Corp.

     9,390         86,576   

Express, Inc.*

     65,622         1,172,665   

Finish Line, Inc. (The) Class A

     31,869         615,072   

Francesca’s Holdings Corp.*

     26,756         327,226   

Haverty Furniture Cos., Inc.

     15,248         358,023   

Hibbett Sports, Inc.*

     15,876         555,819   

Kirkland’s, Inc.

     7,092         152,762   

Lumber Liquidators Holdings, Inc.*(a)

     12,523         164,552   

MarineMax, Inc.*

     6,094         86,108   

Monro Muffler Brake, Inc.

     11,846         800,197   

New York & Co., Inc.*

     15,638         38,782   

Outerwall, Inc.(a)

     15,909         905,699   

Pep Boys-Manny Moe & Jack (The)*

     10,168         123,948   

Pier 1 Imports, Inc.(a)

     77,022         531,452   

Rent-A-Center, Inc.

     28,658         694,956   

Select Comfort Corp.*

     23,455         513,195   

Shoe Carnival, Inc.

     9,870         234,906   

Sonic Automotive, Inc. Class A

     39,187         800,199   

Sportsman’s Warehouse Holdings, Inc.*(a)

     17,125         210,980   

Stage Stores, Inc.

     10,169         100,063   

Stein Mart, Inc.

     16,312         157,900   

Tile Shop Holdings, Inc.*(a)

     13,287         159,178   

Tilly’s, Inc. Class A*

     17,202         126,607   

Vitamin Shoppe, Inc.*

     14,667         478,731   

West Marine, Inc.*

     1,154         10,132   

Winmark Corp.

     2,652         272,944   

Zumiez, Inc.*

     13,283         207,613   
     

 

 

 
Total Specialty Retail         13,812,689   
Investments    Shares      Value  
Technology Hardware, Storage & Peripherals – 0.4%   

Cray, Inc.*

     12,595       $ 249,507   

Dot Hill Systems Corp.*

     6,103         59,382   

Immersion Corp.*

     49,926         560,669   

Super Micro Computer, Inc.*

     23,556         642,137   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         1,511,695   
Textiles, Apparel & Luxury Goods – 0.8%      

Cherokee, Inc.*

     4,424         68,660   

Culp, Inc.

     9,454         303,190   

Movado Group, Inc.

     19,534         504,563   

Oxford Industries, Inc.

     8,905         657,901   

Perry Ellis International, Inc.*

     1,978         43,437   

Superior Uniform Group, Inc.

     9,144         163,952   

Tumi Holdings, Inc.*

     26,454         466,120   

Unifi, Inc.*

     11,381         339,268   

Vera Bradley, Inc.*

     25,787         325,174   

Vince Holding Corp.*

     4,667         16,008   
     

 

 

 
Total Textiles, Apparel & Luxury Goods         2,888,273   
Thrifts & Mortgage Finance – 3.3%      

Astoria Financial Corp.

     62,457         1,005,558   

Bank Mutual Corp.

     19,370         148,762   

BankFinancial Corp.

     6,049         75,189   

BBX Capital Corp. Class A*(a)

     28,820         464,002   

Beneficial Bancorp, Inc.*

     13,856         183,731   

BofI Holding, Inc.*

     7,488         964,679   

Brookline Bancorp, Inc.

     36,279         367,869   

Capitol Federal Financial, Inc.

     57,859         701,251   

Clifton Bancorp, Inc.

     4,460         61,905   

Dime Community Bancshares, Inc.

     26,712         451,433   

Federal Agricultural Mortgage Corp. Class C

     15,991         414,647   

First Defiance Financial Corp.

     6,845         250,253   

First Financial Northwest, Inc.

     9,463         114,408   

Flagstar Bancorp, Inc.*

     46,710         960,358   

Fox Chase Bancorp, Inc.

     4,212         73,120   

Home Bancorp, Inc.

     3,474         89,699   

HomeStreet, Inc.*

     9,235         213,328   

Kearny Financial Corp.

     9,737         111,683   

Meridian Bancorp, Inc.

     17,588         240,428   

Meta Financial Group, Inc.

     4,344         181,449   

Northfield Bancorp, Inc.

     13,349         203,038   

Northwest Bancshares, Inc.

     49,580         644,540   

OceanFirst Financial Corp.

     9,728         167,516   

Oritani Financial Corp.

     26,705         417,132   

PennyMac Financial Services, Inc. Class A*

     19,412         310,592   

Provident Financial Services, Inc.

     37,655         734,272   

Territorial Bancorp, Inc.

     6,204         161,552   

TrustCo Bank Corp.

     60,007         350,441   

United Community Financial Corp.

     92,862         464,310   

United Financial Bancorp, Inc.

     5,121         66,829   

Walker & Dunlop, Inc.*

     26,574         693,050   

Walter Investment Management Corp.*(a)

     13,646         221,747   

Waterstone Financial, Inc.

     9,053         122,034   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      73   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree SmallCap Earnings Fund (EES)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

WSFS Financial Corp.

     20,081       $ 578,534   
     

 

 

 
Total Thrifts & Mortgage Finance               12,209,339   
Tobacco – 0.3%      

Universal Corp.

     19,231         953,281   
Trading Companies & Distributors – 1.0%      

Beacon Roofing Supply, Inc.*

     21,988         714,390   

CAI International, Inc.*

     29,805         300,434   

DXP Enterprises, Inc.*

     14,517         396,024   

H&E Equipment Services, Inc.

     22,257         372,137   

Houston Wire & Cable Co.

     13,034         82,636   

Kaman Corp.

     14,227         510,038   

Rush Enterprises, Inc. Class A*

     23,744         574,605   

Stock Building Supply Holdings, Inc.*

     7,470         131,547   

TAL International Group, Inc.*

     34,545         472,230   

Willis Lease Finance Corp.*

     7,025         114,226   
     

 

 

 
Total Trading Companies & Distributors               3,668,267   
Transportation Infrastructure – 0.3%      

Wesco Aircraft Holdings, Inc.*

     83,283         1,016,053   
Water Utilities – 0.8%      

American States Water Co.

     19,392         802,829   

Artesian Resources Corp. Class A

     4,658         112,444   

California Water Service Group

     30,246         669,041   

Connecticut Water Service, Inc.

     7,195         262,761   

Middlesex Water Co.

     9,284         221,331   

SJW Corp.

     19,349         594,982   

York Water Co. (The)

     5,751         120,886   
     

 

 

 
Total Water Utilities               2,784,274   
Wireless Telecommunication Services – 0.2%      

NTELOS Holdings Corp.*

     5,194         46,902   

Shenandoah Telecommunications Co.

     11,882         508,668   

Spok Holdings, Inc.

     14,802         243,641   
     

 

 

 
Total Wireless Telecommunication Services               799,211   
Total United States               363,859,011   

TOTAL COMMON STOCKS

(Cost: $392,929,157)

              365,024,730   
EXCHANGE-TRADED FUND – 0.6%      
United States – 0.6%      
WisdomTree MidCap Earnings Fund(a)(b)
(Cost: $2,376,267)
     26,183         2,249,643   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 7.0%   
United States – 7.0%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $25,574,379)(d)      25,574,379         25,574,379   

TOTAL INVESTMENTS IN SECURITIES – 106.8%

(Cost: $420,879,803)

  

  

     392,848,752   

Liabilities in Excess of Cash and Other Assets – (6.8)%

  

     (24,860,908
     

 

 

 
NET ASSETS – 100.0%             $ 367,987,844   

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $24,908,333 and the total market value of the collateral held by the Fund was $25,816,796. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $242,417.

 

See Notes to Financial Statements.

 

74   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.7%      
United States – 99.7%      
Aerospace & Defense – 2.8%      

American Science & Engineering, Inc.

     976       $ 34,707   

Boeing Co. (The)

     21,112         2,764,616   

BWX Technologies, Inc.

     3,651         96,240   

Curtiss-Wright Corp.

     1,073         66,977   

General Dynamics Corp.

     7,363         1,015,726   

Honeywell International, Inc.

     21,021         1,990,479   

Huntington Ingalls Industries, Inc.

     959         102,757   

L-3 Communications Holdings, Inc.

     2,119         221,478   

Lockheed Martin Corp.

     12,827         2,659,165   

Northrop Grumman Corp.

     4,908         814,483   

Orbital ATK, Inc.

     444         31,910   

Raytheon Co.

     8,647         944,771   

Rockwell Collins, Inc.

     2,332         190,851   

Textron, Inc.

     1,132         42,608   

United Technologies Corp.

     23,815         2,119,297   
     

 

 

 
Total Aerospace & Defense         13,096,065   
Air Freight & Logistics – 0.6%      

C.H. Robinson Worldwide, Inc.

     3,383         229,300   

Expeditors International of Washington, Inc.

     3,480         163,734   

FedEx Corp.

     1,582         227,776   

United Parcel Service, Inc. Class B

     21,334         2,105,453   
     

 

 

 
Total Air Freight & Logistics         2,726,263   
Airlines – 0.2%      

Alaska Air Group, Inc.

     1,420         112,819   

American Airlines Group, Inc.

     7,335         284,818   

Delta Air Lines, Inc.

     7,702         345,589   

Southwest Airlines Co.

     4,835         183,923   
     

 

 

 
Total Airlines         927,149   
Auto Components – 0.3%      

BorgWarner, Inc.

     2,958         123,023   

Cooper Tire & Rubber Co.

     1,740         68,747   

Dana Holding Corp.

     2,248         35,698   

Gentex Corp.

     6,620         102,610   

Goodyear Tire & Rubber Co. (The)

     3,732         109,460   

Johnson Controls, Inc.

     18,704         773,598   

Lear Corp.

     946         102,906   
     

 

 

 
Total Auto Components         1,316,042   
Automobiles – 1.0%      

Ford Motor Co.

     155,717         2,113,079   

General Motors Co.

     75,085         2,254,052   

Harley-Davidson, Inc.

     4,332         237,827   

Thor Industries, Inc.

     1,514         78,425   
     

 

 

 
Total Automobiles         4,683,383   
Banks – 6.6%      

1st Source Corp.

     1,973         60,768   

Arrow Financial Corp.

     2,577         68,793   

Associated Banc-Corp.

     4,659         83,722   

Banc of California, Inc.

     6,210         76,197   

BancorpSouth, Inc.

     2,512         59,710   
Investments    Shares      Value  

Bank of America Corp.

     151,840       $ 2,365,667   

Bank of Hawaii Corp.

     1,698         107,806   

Bank of the Ozarks, Inc.

     1,650         72,204   

BankUnited, Inc.

     3,824         136,708   

BB&T Corp.

     23,503         836,707   

Berkshire Hills Bancorp, Inc.

     2,750         75,735   

BOK Financial Corp.

     2,154         139,385   

Cathay General Bancorp

     2,513         75,289   

Chemical Financial Corp.

     1,811         58,586   

CIT Group, Inc.

     2,729         109,242   

Citigroup, Inc.

     3,150         156,271   

City Holding Co.

     1,769         87,212   

City National Corp.

     1,115         98,187   

Comerica, Inc.

     3,852         158,317   

Commerce Bancshares, Inc.

     2,298         104,697   

Community Bank System, Inc.

     2,069         76,905   

Community Trust Bancorp, Inc.

     1,508         53,549   

Cullen/Frost Bankers, Inc.

     1,874         119,149   

CVB Financial Corp.

     5,033         84,051   

East West Bancorp, Inc.

     3,657         140,502   

Fifth Third Bancorp

     25,786         487,613   

First Commonwealth Financial Corp.

     8,720         79,265   

First Financial Bancorp

     4,833         92,214   

First Financial Bankshares, Inc.(a)

     2,456         78,052   

First Financial Corp.

     1,671         54,057   

First Horizon National Corp.

     4,851         68,787   

First Niagara Financial Group, Inc.

     17,007         173,641   

First Republic Bank

     2,555         160,377   

FirstMerit Corp.

     7,456         131,748   

Flushing Financial Corp.

     2,047         40,981   

FNB Corp.

     8,655         112,082   

Fulton Financial Corp.

     9,518         115,168   

Glacier Bancorp, Inc.

     2,560         67,558   

Hancock Holding Co.

     4,118         111,392   

Huntington Bancshares, Inc.

     21,905         232,193   

Iberiabank Corp.

     1,077         62,692   

Independent Bank Corp.

     1,842         84,916   

Investors Bancorp, Inc.

     7,227         89,181   

JPMorgan Chase & Co.

     123,077         7,504,005   

KeyCorp

     20,059         260,968   

M&T Bank Corp.

     3,701         451,337   

MB Financial, Inc.

     1,950         63,648   

National Penn Bancshares, Inc.

     8,089         95,046   

NBT Bancorp, Inc.

     3,400         91,596   

Old National Bancorp

     6,041         84,151   

PacWest Bancorp

     5,350         229,033   

Park National Corp.

     1,398         126,128   

Penns Woods Bancorp, Inc.

     1,109         45,380   

People’s United Financial, Inc.

     15,419         242,541   

PNC Financial Services Group, Inc. (The)

     13,837         1,234,260   

Prosperity Bancshares, Inc.

     1,841         90,412   

Regions Financial Corp.

     35,411         319,053   

Renasant Corp.

     1,805         59,294   

S&T Bancorp, Inc.

     2,179         71,079   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      75   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Sterling Bancorp

     3,564       $ 52,997   

Stock Yards Bancorp, Inc.

     1,513         54,998   

SunTrust Banks, Inc.

     12,815         490,046   

Synovus Financial Corp.

     2,857         84,567   

TCF Financial Corp.

     3,128         47,420   

Tompkins Financial Corp.

     1,457         77,746   

Trustmark Corp.

     4,505         104,381   

U.S. Bancorp

     49,499         2,029,954   

UMB Financial Corp.

     1,066         54,163   

Umpqua Holdings Corp.

     9,540         155,502   

United Bankshares, Inc.

     3,018         114,654   

Univest Corp. of Pennsylvania

     2,991         57,487   

Valley National Bancorp

     16,183         159,241   

Washington Trust Bancorp, Inc.

     1,871         71,940   

Webster Financial Corp.

     3,187         113,553   

Wells Fargo & Co.

     166,818         8,566,104   

WesBanco, Inc.

     2,366         74,411   

Westamerica Bancorp

     1,881         83,592   

Zions Bancorp

     2,395         65,958   
     

 

 

 
Total Banks         31,073,921   
Beverages – 2.7%      

Brown-Forman Corp. Class A

     1,823         195,043   

Brown-Forman Corp. Class B

     1,894         183,529   

Coca-Cola Co. (The)

     160,540         6,440,865   

Coca-Cola Enterprises, Inc.

     6,669         322,446   

Dr. Pepper Snapple Group, Inc.

     5,533         437,384   

Molson Coors Brewing Co. Class B

     4,073         338,140   

PepsiCo, Inc.

     51,557         4,861,825   
     

 

 

 
Total Beverages         12,779,232   
Biotechnology – 1.1%      

AbbVie, Inc.

     59,335         3,228,417   

Amgen, Inc.

     14,037         1,941,598   

PDL BioPharma, Inc.

     15,958         80,269   
     

 

 

 
Total Biotechnology         5,250,284   
Building Products – 0.2%      

A.O. Smith Corp.

     1,314         85,660   

Fortune Brands Home & Security, Inc.

     2,463         116,918   

Lennox International, Inc.

     952         107,890   

Masco Corp.

     7,359         185,300   

Owens Corning

     3,039         127,364   

Simpson Manufacturing Co., Inc.

     1,602         53,651   
     

 

 

 
Total Building Products         676,783   
Capital Markets – 1.8%      

Ameriprise Financial, Inc.

     4,184         456,600   

Arlington Asset Investment Corp. Class A

     5,661         79,537   

Artisan Partners Asset Management, Inc. Class A

     1,896         66,796   

Bank of New York Mellon Corp. (The)

     23,410         916,501   

BGC Partners, Inc. Class A

     16,033         131,791   

BlackRock, Inc.

     4,523         1,345,457   

Charles Schwab Corp. (The)

     13,725         391,986   

Cohen & Steers, Inc.

     1,663         45,649   

Eaton Vance Corp.

     3,756         125,526   
Investments    Shares      Value  

Evercore Partners, Inc. Class A

     1,214       $ 60,991   

Federated Investors, Inc. Class B

     4,057         117,247   

Franklin Resources, Inc.

     6,868         255,902   

FXCM, Inc. Class A(a)

     2,381         2,071   

Goldman Sachs Group, Inc. (The)

     6,836         1,187,823   

Greenhill & Co., Inc.

     2,093         59,588   

Janus Capital Group, Inc.

     6,056         82,362   

Legg Mason, Inc.

     1,960         81,556   

LPL Financial Holdings, Inc.(a)

     2,819         112,112   

Morgan Stanley

     26,958         849,177   

Northern Trust Corp.

     5,498         374,744   

NorthStar Asset Management Group, Inc.

     4,713         67,679   

Raymond James Financial, Inc.

     2,419         120,055   

SEI Investments Co.

     2,613         126,025   

State Street Corp.

     8,387         563,690   

T. Rowe Price Group, Inc.

     6,656         462,592   

TD Ameritrade Holding Corp.

     11,937         380,074   

Waddell & Reed Financial, Inc. Class A

     3,216         111,820   
     

 

 

 
Total Capital Markets         8,575,351   
Chemicals – 2.2%      

A. Schulman, Inc.

     1,741         56,530   

Air Products & Chemicals, Inc.

     5,828         743,536   

Airgas, Inc.

     1,771         158,203   

Albemarle Corp.

     2,926         129,037   

Ashland, Inc.

     1,048         105,450   

Axiall Corp.

     1,857         29,136   

Cabot Corp.

     2,272         71,704   

Celanese Corp. Series A

     3,232         191,238   

CF Industries Holdings, Inc.

     7,642         343,126   

Cytec Industries, Inc.

     1,164         85,961   

Dow Chemical Co. (The)

     56,710         2,404,504   

E.I. du Pont de Nemours & Co.

     30,199         1,455,592   

Eastman Chemical Co.

     3,524         228,073   

Ecolab, Inc.

     3,920         430,102   

FMC Corp.

     1,814         61,513   

FutureFuel Corp.

     3,715         36,704   

H.B. Fuller Co.

     1,009         34,246   

Huntsman Corp.

     7,652         74,148   

Innophos Holdings, Inc.

     1,411         55,932   

International Flavors & Fragrances, Inc.

     1,965         202,906   

Kronos Worldwide, Inc.

     8,223         51,065   

Monsanto Co.

     9,930         847,426   

Mosaic Co. (The)

     9,082         282,541   

NewMarket Corp.

     241         86,037   

Olin Corp.

     4,283         71,997   

PolyOne Corp.

     1,263         37,056   

PPG Industries, Inc.

     4,156         364,440   

Praxair, Inc.

     7,284         741,948   

RPM International, Inc.

     3,573         149,673   

Scotts Miracle-Gro Co. (The) Class A

     2,306         140,251   

Sensient Technologies Corp.

     1,336         81,897   

Sherwin-Williams Co. (The)

     1,087         242,162   

Sigma-Aldrich Corp.

     1,237         171,844   

 

See Notes to Financial Statements.

 

76   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Valhi, Inc.(a)

     6,201       $ 11,720   

Valspar Corp. (The)

     1,406         101,063   

Westlake Chemical Corp.

     2,049         106,323   
     

 

 

 
Total Chemicals         10,385,084   
Commercial Services & Supplies – 0.8%      

ABM Industries, Inc.

     2,829         77,260   

ADT Corp. (The)

     5,457         163,164   

Brady Corp. Class A

     2,649         52,079   

Cintas Corp.

     1,857         159,238   

Covanta Holding Corp.

     6,864         119,777   

Deluxe Corp.

     1,568         87,400   

Ennis, Inc.

     3,783         65,673   

Essendant, Inc.

     1,095         35,511   

Healthcare Services Group, Inc.

     2,757         92,911   

Herman Miller, Inc.

     1,506         43,433   

HNI Corp.

     1,777         76,233   

KAR Auction Services, Inc.

     5,345         189,747   

Knoll, Inc.

     3,397         74,666   

McGrath RentCorp

     1,516         40,462   

Mobile Mini, Inc.

     1,485         45,723   

MSA Safety, Inc.

     1,216         48,604   

Pitney Bowes, Inc.

     7,664         152,130   

Quad/Graphics, Inc.

     2,585         31,278   

R.R. Donnelley & Sons Co.

     17,719         257,989   

Republic Services, Inc.

     11,813         486,696   

Rollins, Inc.

     4,611         123,898   

Steelcase, Inc. Class A

     3,070         56,519   

U.S. Ecology, Inc.

     808         35,269   

Waste Connections, Inc.

     1,734         84,238   

Waste Management, Inc.

     17,275         860,468   

West Corp.

     3,598         80,595   
     

 

 

 
Total Commercial Services & Supplies         3,540,961   
Communications Equipment – 1.8%      

Brocade Communications Systems, Inc.

     6,682         69,359   

Cisco Systems, Inc.

     179,341         4,707,701   

Comtech Telecommunications Corp.

     1,591         32,790   

Harris Corp.

     4,214         308,254   

InterDigital, Inc.

     1,171         59,253   

Juniper Networks, Inc.

     9,832         252,781   

Motorola Solutions, Inc.

     6,486         443,513   

Plantronics, Inc.

     906         46,070   

QUALCOMM, Inc.

     49,097         2,637,982   
     

 

 

 
Total Communications Equipment         8,557,703   
Construction & Engineering – 0.0%      

Fluor Corp.

     2,962         125,441   

KBR, Inc.

     4,631         77,152   
     

 

 

 
Total Construction & Engineering         202,593   
Construction Materials – 0.1%      

Eagle Materials, Inc.

     620         42,420   

Martin Marietta Materials, Inc.

     1,290         196,016   

Vulcan Materials Co.

     819         73,055   
     

 

 

 
Total Construction Materials         311,491   
Investments    Shares      Value  
Consumer Finance – 0.6%      

American Express Co.

     14,714       $ 1,090,749   

Capital One Financial Corp.

     10,097         732,234   

Discover Financial Services

     8,701         452,365   

Navient Corp.

     13,822         155,359   

Nelnet, Inc. Class A

     619         21,424   

Santander Consumer USA Holdings, Inc.*

     14,644         299,031   
     

 

 

 
Total Consumer Finance         2,751,162   
Containers & Packaging – 0.3%      

AptarGroup, Inc.

     1,610         106,196   

Avery Dennison Corp.

     3,317         187,643   

Ball Corp.

     1,412         87,826   

Bemis Co., Inc.

     3,448         136,437   

Greif, Inc. Class A

     578         18,444   

Greif, Inc. Class B

     2,510         97,062   

Packaging Corp. of America

     2,548         153,288   

Sealed Air Corp.

     3,430         160,798   

Silgan Holdings, Inc.

     1,082         56,307   

Sonoco Products Co.

     3,733         140,883   

WestRock Co.

     5,972         307,200   
     

 

 

 
Total Containers & Packaging         1,452,084   
Distributors – 0.1%      

Genuine Parts Co.

     4,211         349,050   

Pool Corp.

     1,141         82,494   
     

 

 

 
Total Distributors         431,544   
Diversified Consumer Services – 0.1%      

Collectors Universe, Inc.

     1,274         19,212   

DeVry Education Group, Inc.

     1,052         28,625   

Graham Holdings Co. Class B

     90         51,930   

H&R Block, Inc.

     8,395         303,899   

Service Corp. International

     4,400         119,240   

Sotheby’s

     933         29,837   
     

 

 

 
Total Diversified Consumer Services         552,743   
Diversified Financial Services – 0.5%      

CBOE Holdings, Inc.

     1,643         110,212   

CME Group, Inc.

     9,148         848,386   

Intercontinental Exchange, Inc.

     1,593         374,339   

Leucadia National Corp.

     5,525         111,937   

MarketAxess Holdings, Inc.

     588         54,613   

McGraw Hill Financial, Inc.

     4,671         404,041   

Moody’s Corp.

     3,199         314,142   

MSCI, Inc.

     2,363         140,504   

Nasdaq, Inc.

     2,805         149,591   
     

 

 

 
Total Diversified Financial Services         2,507,765   
Diversified Telecommunication Services – 5.2%      

AT&T, Inc.

     365,149         11,896,554   

Atlantic Tele-Network, Inc.

     424         31,346   

CenturyLink, Inc.

     41,364         1,039,064   

Cogent Communications Holdings, Inc.

     2,326         63,174   

Consolidated Communications Holdings, Inc.

     4,750         91,532   

Frontier Communications Corp.

     78,404         372,419   

Verizon Communications, Inc.

     247,101         10,751,365   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      77   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Windstream Holdings, Inc.(a)

     14,028       $ 86,132   
     

 

 

 
Total Diversified Telecommunication Services         24,331,586   
Electric Utilities – 3.2%      

ALLETE, Inc.

     2,646         133,596   

American Electric Power Co., Inc.

     22,482         1,278,326   

Cleco Corp.

     2,194         116,809   

Duke Energy Corp.

     33,684         2,423,227   

Edison International

     8,846         557,917   

El Paso Electric Co.

     2,639         97,168   

Empire District Electric Co. (The)

     3,507         77,259   

Entergy Corp.

     8,046         523,795   

Eversource Energy

     11,522         583,244   

Exelon Corp.

     35,950         1,067,715   

FirstEnergy Corp.

     19,123         598,741   

Great Plains Energy, Inc.

     6,625         179,007   

Hawaiian Electric Industries, Inc.

     5,103         146,405   

IDACORP, Inc.

     2,256         145,986   

ITC Holdings Corp.

     3,705         123,525   

MGE Energy, Inc.

     1,768         72,824   

NextEra Energy, Inc.

     15,983         1,559,142   

OGE Energy Corp.

     7,308         199,947   

Otter Tail Corp.

     2,874         74,896   

Pepco Holdings, Inc.

     12,348         299,069   

Pinnacle West Capital Corp.

     4,889         313,580   

PNM Resources, Inc.

     3,143         88,161   

Portland General Electric Co.

     3,385         125,143   

PPL Corp.

     34,219         1,125,463   

Southern Co. (The)

     47,748         2,134,336   

UIL Holdings Corp.

     3,285         165,137   

Westar Energy, Inc.

     5,486         210,882   

Xcel Energy, Inc.

     20,692         732,704   
     

 

 

 
Total Electric Utilities         15,154,004   
Electrical Equipment – 0.4%      

AMETEK, Inc.

     2,301         120,388   

Emerson Electric Co.

     27,339         1,207,564   

EnerSys

     956         51,222   

General Cable Corp.

     4,379         52,110   

Hubbell, Inc. Class B

     1,645         139,743   

Regal Beloit Corp.

     877         49,507   

Rockwell Automation, Inc.

     4,093         415,317   
     

 

 

 
Total Electrical Equipment         2,035,851   
Electronic Equipment, Instruments & Components – 0.3%      

Amphenol Corp. Class A

     3,685         187,788   

Avnet, Inc.

     2,462         105,078   

AVX Corp.

     9,832         128,701   

CDW Corp.

     1,801         73,589   

Corning, Inc.

     30,720         525,926   

Electro Rent Corp.

     3,088         32,054   

FEI Co.

     671         49,010   

FLIR Systems, Inc.

     2,384         66,728   

Jabil Circuit, Inc.

     4,295         96,079   

MTS Systems Corp.

     985         59,208   
Investments    Shares      Value  

National Instruments Corp.

     3,715       $ 103,240   
     

 

 

 
Total Electronic Equipment, Instruments & Components         1,427,401   
Energy Equipment & Services – 0.6%      

Baker Hughes, Inc.

     6,633         345,181   

Bristow Group, Inc.

     1,116         29,195   

CARBO Ceramics, Inc.(a)

     1,278         24,269   

Diamond Offshore Drilling, Inc.(a)

     18,407         318,441   

Exterran Holdings, Inc.

     1,609         28,962   

Gulfmark Offshore, Inc. Class A(a)

     2,433         14,866   

Halliburton Co.

     19,540         690,739   

Helmerich & Payne, Inc.

     5,845         276,235   

National Oilwell Varco, Inc.

     15,813         595,360   

Oceaneering International, Inc.

     2,355         92,504   

Patterson-UTI Energy, Inc.

     5,351         70,312   

Superior Energy Services, Inc.

     3,644         46,024   

Tidewater, Inc.(a)

     2,410         31,667   

U.S. Silica Holdings, Inc.(a)

     1,367         19,261   
     

 

 

 
Total Energy Equipment & Services         2,583,016   
Food & Staples Retailing – 2.5%      

Casey’s General Stores, Inc.

     540         55,577   

Costco Wholesale Corp.

     5,500         795,135   

CVS Health Corp.

     17,646         1,702,486   

Kroger Co. (The)

     15,219         548,949   

Sysco Corp.

     22,902         892,491   

Wal-Mart Stores, Inc.

     91,038         5,902,904   

Walgreens Boots Alliance, Inc.

     21,446         1,782,163   

Weis Markets, Inc.

     1,267         52,897   

Whole Foods Market, Inc.

     4,754         150,464   
     

 

 

 
Total Food & Staples Retailing         11,883,066   
Food Products – 2.2%      

Archer-Daniels-Midland Co.

     15,679         649,894   

B&G Foods, Inc.

     3,583         130,600   

Campbell Soup Co.

     11,096         562,345   

ConAgra Foods, Inc.

     15,320         620,613   

Dean Foods Co.

     2,711         44,786   

Flowers Foods, Inc.

     7,258         179,563   

General Mills, Inc.

     23,304         1,308,053   

Hershey Co. (The)

     4,242         389,755   

Hormel Foods Corp.

     5,212         329,972   

Ingredion, Inc.

     1,857         162,135   

J.M. Smucker Co. (The)

     3,262         372,162   

Kellogg Co.

     12,721         846,582   

Keurig Green Mountain, Inc.

     1,674         87,282   

Kraft Heinz Co. (The)

     27,167         1,917,447   

Lancaster Colony Corp.

     825         80,421   

McCormick & Co., Inc. Non-Voting Shares

     2,918         239,801   

Mead Johnson Nutrition Co.

     3,807         268,013   

Mondelez International, Inc. Class A

     33,875         1,418,346   

Pinnacle Foods, Inc.

     3,877         162,369   

Sanderson Farms, Inc.(a)

     663         45,462   

Snyder’s-Lance, Inc.

     2,642         89,115   

 

See Notes to Financial Statements.

 

78   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Tyson Foods, Inc. Class A

     3,696       $ 159,298   
     

 

 

 
Total Food Products         10,064,014   
Gas Utilities – 0.4%      

AGL Resources, Inc.

     5,653         345,059   

Atmos Energy Corp.

     3,451         200,779   

Laclede Group, Inc. (The)

     1,873         102,135   

National Fuel Gas Co.

     2,195         109,706   

New Jersey Resources Corp.

     2,953         88,679   

Northwest Natural Gas Co.

     2,112         96,814   

ONE Gas, Inc.

     1,762         79,871   

Piedmont Natural Gas Co., Inc.

     3,172         127,102   

Questar Corp.

     6,880         133,541   

South Jersey Industries, Inc.

     2,980         75,245   

Southwest Gas Corp.

     1,409         82,173   

UGI Corp.

     5,053         175,945   

WGL Holdings, Inc.

     2,276         131,257   
     

 

 

 
Total Gas Utilities         1,748,306   
Health Care Equipment & Supplies – 0.9%      

Abbott Laboratories

     37,267         1,498,879   

Baxter International, Inc.

     18,772         616,660   

Becton, Dickinson and Co.

     3,728         494,556   

C.R. Bard, Inc.

     431         80,300   

CONMED Corp.

     1,556         74,283   

DENTSPLY International, Inc.

     963         48,699   

Hill-Rom Holdings, Inc.

     1,214         63,116   

Meridian Bioscience, Inc.

     4,117         70,401   

ResMed, Inc.

     3,677         187,380   

St. Jude Medical, Inc.

     5,593         352,862   

STERIS Corp.

     1,105         71,792   

Stryker Corp.

     6,089         572,975   

Teleflex, Inc.

     731         90,798   

West Pharmaceutical Services, Inc.

     929         50,277   

Zimmer Biomet Holdings, Inc.

     1,583         148,691   
     

 

 

 
Total Health Care Equipment & Supplies         4,421,669   
Health Care Providers & Services – 1.1%      

Aetna, Inc.

     5,118         559,960   

AmerisourceBergen Corp.

     3,456         328,285   

Anthem, Inc.

     4,665         653,100   

Cardinal Health, Inc.

     6,874         528,061   

HealthSouth Corp.

     2,437         93,508   

Humana, Inc.

     1,573         281,567   

Kindred Healthcare, Inc.

     2,382         37,516   

Landauer, Inc.

     1,240         45,868   

McKesson Corp.

     1,335         247,015   

National Healthcare Corp.

     1,080         65,761   

Owens & Minor, Inc.

     2,110         67,393   

Patterson Cos., Inc.

     2,331         100,816   

Quest Diagnostics, Inc.

     3,742         230,021   

UnitedHealth Group, Inc.

     18,103         2,100,129   
     

 

 

 
Total Health Care Providers & Services         5,339,000   
Health Care Technology – 0.0%      

Computer Programs & Systems, Inc.

     1,182         49,798   
Investments    Shares      Value  

Quality Systems, Inc.

     4,709       $ 58,768   
     

 

 

 
Total Health Care Technology         108,566   
Hotels, Restaurants & Leisure – 2.4%      

Aramark

     3,654         108,305   

Bob Evans Farms, Inc.

     1,239         53,711   

Brinker International, Inc.

     1,965         103,497   

Cheesecake Factory, Inc. (The)

     1,104         59,572   

Choice Hotels International, Inc.

     1,229         58,562   

Cracker Barrel Old Country Store, Inc.(a)

     1,003         147,722   

Darden Restaurants, Inc.

     6,375         436,942   

DineEquity, Inc.

     852         78,094   

Domino’s Pizza, Inc.

     805         86,868   

Dunkin’ Brands Group, Inc.

     2,620         128,380   

Las Vegas Sands Corp.

     35,741         1,357,086   

Marriott International, Inc. Class A

     3,782         257,932   

McDonald’s Corp.

     45,047         4,438,481   

SeaWorld Entertainment, Inc.(a)

     5,775         102,853   

Six Flags Entertainment Corp.

     5,980         273,764   

Speedway Motorsports, Inc.

     3,063         55,287   

Starbucks Corp.

     28,482         1,618,917   

Starwood Hotels & Resorts Worldwide, Inc.

     3,946         262,330   

Texas Roadhouse, Inc.

     2,232         83,030   

Vail Resorts, Inc.

     992         103,843   

Wendy’s Co. (The)

     12,428         107,502   

Wyndham Worldwide Corp.

     2,538         182,482   

Wynn Resorts Ltd.

     5,021         266,715   

Yum! Brands, Inc.

     12,213         976,429   
     

 

 

 
Total Hotels, Restaurants & Leisure         11,348,304   
Household Durables – 0.3%      

D.R. Horton, Inc.

     5,142         150,969   

Harman International Industries, Inc.

     1,284         123,251   

Leggett & Platt, Inc.

     5,048         208,230   

Lennar Corp. Class A

     1,483         71,377   

MDC Holdings, Inc.

     2,759         72,231   

NACCO Industries, Inc. Class A

     722         34,331   

Newell Rubbermaid, Inc.

     6,746         267,884   

PulteGroup, Inc.

     7,849         148,111   

Ryland Group, Inc. (The)

     1,216         49,649   

Tupperware Brands Corp.

     2,519         124,665   

Whirlpool Corp.

     1,555         228,989   
     

 

 

 
Total Household Durables         1,479,687   
Household Products – 2.3%      

Church & Dwight Co., Inc.

     2,710         227,369   

Clorox Co. (The)

     4,455         514,686   

Colgate-Palmolive Co.

     23,419         1,486,170   

Kimberly-Clark Corp.

     13,320         1,452,413   

Procter & Gamble Co. (The)

     96,302         6,927,966   

Spectrum Brands Holdings, Inc.

     1,003         91,784   

WD-40 Co.

     715         63,685   
     

 

 

 
Total Household Products         10,764,073   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      79   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Independent Power and Renewable Electricity Producers – 0.1%   

AES Corp.

     13,183       $ 129,061   

NRG Energy, Inc.

     8,507         126,329   

NRG Yield, Inc. Class A(a)

     2,574         28,700   

NRG Yield, Inc. Class C(a)

     1,610         18,692   

Pattern Energy Group, Inc.(a)

     3,396         64,830   
     

 

 

 
Total Independent Power and Renewable Electricity Producers         367,612   
Industrial Conglomerates – 3.0%      

3M Co.

     17,019         2,412,784   

Carlisle Cos., Inc.

     1,096         95,768   

Danaher Corp.

     4,868         414,802   

General Electric Co.

     438,404         11,056,549   

Roper Technologies, Inc.

     588         92,140   
     

 

 

 
Total Industrial Conglomerates         14,072,043   
Insurance – 2.9%      

Aflac, Inc.

     14,893         865,730   

Allstate Corp. (The)

     8,364         487,119   

American Financial Group, Inc.

     1,747         120,386   

American International Group, Inc.

     16,821         955,769   

American National Insurance Co.

     1,155         112,774   

AmTrust Financial Services, Inc.

     1,702         107,192   

Arthur J. Gallagher & Co.

     5,628         232,324   

Assurant, Inc.

     1,485         117,330   

Baldwin & Lyons, Inc. Class B

     2,543         55,183   

Brown & Brown, Inc.

     2,765         85,632   

Chubb Corp. (The)

     5,640         691,746   

Cincinnati Financial Corp.

     6,643         357,393   

CNA Financial Corp.

     8,002         279,510   

CNO Financial Group, Inc.

     4,392         82,613   

Donegal Group, Inc. Class A

     4,059         57,070   

Erie Indemnity Co. Class A

     1,548         128,391   

First American Financial Corp.

     3,554         138,855   

FNF Group

     7,657         271,594   

Hanover Insurance Group, Inc. (The)

     1,132         87,956   

Hartford Financial Services Group, Inc. (The)

     9,703         444,203   

HCC Insurance Holdings, Inc.

     2,690         208,394   

Horace Mann Educators Corp.

     2,054         68,234   

Infinity Property & Casualty Corp.

     746         60,083   

Kemper Corp.

     1,969         69,644   

Lincoln National Corp.

     4,786         227,144   

Loews Corp.

     3,060         110,588   

Marsh & McLennan Cos., Inc.

     13,119         685,074   

Mercury General Corp.

     2,925         147,742   

MetLife, Inc.

     37,348         1,760,958   

Old Republic International Corp.

     16,038         250,834   

Principal Financial Group, Inc.

     9,911         469,187   

ProAssurance Corp.

     1,498         73,507   

Progressive Corp. (The)

     12,697         389,036   

Prudential Financial, Inc.

     15,309         1,166,699   

Reinsurance Group of America, Inc.

     1,540         139,509   

RLI Corp.

     1,457         77,993   

Safety Insurance Group, Inc.

     1,532         82,958   

Selective Insurance Group, Inc.

     2,353         73,084   
Investments    Shares      Value  

StanCorp Financial Group, Inc.

     1,140       $ 130,188   

State Auto Financial Corp.

     2,870         65,465   

Symetra Financial Corp.

     4,416         139,722   

Torchmark Corp.

     1,459         82,288   

Travelers Cos., Inc. (The)

     8,242         820,326   

United Fire Group, Inc.

     1,257         44,058   

Universal Insurance Holdings, Inc.

     1,897         56,037   

Unum Group

     6,238         200,115   

W.R. Berkley Corp.

     1,021         55,512   
     

 

 

 
Total Insurance         13,333,149   
Internet & Catalog Retail – 0.1%   

Expedia, Inc.

     1,258         148,042   

HSN, Inc.

     1,335         76,415   

Nutrisystem, Inc.

     3,090         81,947   
     

 

 

 
Total Internet & Catalog Retail         306,404   
Internet Software & Services – 0.1%      

IAC/InterActiveCorp

     2,305         150,447   

j2 Global, Inc.

     1,415         100,253   
     

 

 

 
Total Internet Software & Services         250,700   
IT Services – 2.4%      

Automatic Data Processing, Inc.

     14,200         1,141,112   

Booz Allen Hamilton Holding Corp.

     3,258         85,392   

Broadridge Financial Solutions, Inc.

     4,058         224,610   

Computer Sciences Corp.

     2,885         177,081   

DST Systems, Inc.

     654         68,762   

Fidelity National Information Services, Inc.

     5,732         384,502   

International Business Machines Corp.

     34,789         5,043,361   

Jack Henry & Associates, Inc.

     1,647         114,648   

Leidos Holdings, Inc.

     3,247         134,134   

MasterCard, Inc. Class A

     7,647         689,148   

Paychex, Inc.

     15,622         744,076   

Sabre Corp.

     7,570         205,753   

Science Applications International Corp.

     1,536         61,763   

Total System Services, Inc.

     3,301         149,964   

Visa, Inc. Class A

     18,441         1,284,600   

Western Union Co. (The)

     18,531         340,229   

Xerox Corp.

     25,915         252,153   
     

 

 

 
Total IT Services         11,101,288   
Leisure Products – 0.2%      

Brunswick Corp.

     1,209         57,899   

Hasbro, Inc.

     5,094         367,481   

Mattel, Inc.

     20,099         423,285   

Polaris Industries, Inc.

     1,117         133,895   

Sturm Ruger & Co., Inc.

     944         55,403   
     

 

 

 
Total Leisure Products         1,037,963   
Life Sciences Tools & Services – 0.1%      

Agilent Technologies, Inc.

     4,195         144,014   

Bio-Techne Corp.

     812         75,078   

Thermo Fisher Scientific, Inc.

     2,382         291,271   
     

 

 

 
Total Life Sciences Tools & Services         510,363   

 

See Notes to Financial Statements.

 

80   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Machinery – 1.5%      

AGCO Corp.

     1,583       $ 73,815   

Albany International Corp. Class A

     910         26,035   

Allison Transmission Holdings, Inc.

     4,469         119,278   

Briggs & Stratton Corp.

     3,598         69,477   

Caterpillar, Inc.

     23,082         1,508,640   

CLARCOR, Inc.

     963         45,916   

Crane Co.

     1,902         88,652   

Cummins, Inc.

     5,089         552,564   

Deere & Co.

     12,742         942,908   

Donaldson Co., Inc.

     3,172         89,070   

Dover Corp.

     4,713         269,489   

Flowserve Corp.

     2,034         83,679   

Graco, Inc.

     1,271         85,195   

Harsco Corp.

     5,398         48,960   

Hillenbrand, Inc.

     3,191         82,998   

IDEX Corp.

     1,731         123,420   

Illinois Tool Works, Inc.

     9,969         820,548   

ITT Corp.

     1,458         48,741   

Joy Global, Inc.

     2,381         35,548   

Kennametal, Inc.

     2,386         59,388   

Lincoln Electric Holdings, Inc.

     1,858         97,415   

Nordson Corp.

     1,126         70,870   

Oshkosh Corp.

     1,950         70,844   

PACCAR, Inc.

     5,689         296,795   

Parker-Hannifin Corp.

     3,649         355,048   

Snap-on, Inc.

     1,129         170,411   

Stanley Black & Decker, Inc.

     4,237         410,904   

Timken Co. (The)

     2,905         79,859   

Toro Co. (The)

     837         59,042   

Trinity Industries, Inc.

     3,424         77,622   

Woodward, Inc.

     603         24,542   

Xylem, Inc.

     3,540         116,289   
     

 

 

 
Total Machinery         7,003,962   
Marine – 0.0%      

International Shipholding Corp.

     1,879         7,197   

Matson, Inc.

     1,470         56,580   
     

 

 

 
Total Marine         63,777   
Media – 2.3%      

Cablevision Systems Corp. Class A

     8,086         262,552   

CBS Corp. Class A

     998         44,810   

CBS Corp. Class B Non-Voting Shares

     6,000         239,400   

Cinemark Holdings, Inc.

     3,876         125,931   

Comcast Corp. Class A

     43,252         2,460,174   

Comcast Corp. Special Class A

     8,320         476,237   

Interpublic Group of Cos., Inc. (The)

     10,705         204,787   

John Wiley & Sons, Inc. Class A

     1,693         84,701   

Meredith Corp.

     1,674         71,279   

Morningstar, Inc.

     670         53,774   

National CineMedia, Inc.

     5,225         70,120   

New Media Investment Group, Inc.

     2,612         40,382   

Omnicom Group, Inc.

     7,911         521,335   

Regal Entertainment Group Class A(a)

     6,705         125,316   
Investments    Shares      Value  

Scripps Networks Interactive, Inc. Class A

     1,305       $ 64,193   

Sinclair Broadcast Group, Inc. Class A

     2,791         70,668   

TEGNA, Inc.

     7,412         165,955   

Time Warner Cable, Inc.

     7,133         1,279,446   

Time Warner, Inc.

     16,334         1,122,962   

Time, Inc.

     4,258         81,115   

Twenty-First Century Fox, Inc. Class A

     11,298         304,820   

Twenty-First Century Fox, Inc. Class B

     7,027         190,221   

Viacom, Inc. Class A

     1,247         55,205   

Viacom, Inc. Class B

     7,912         341,403   

Walt Disney Co. (The)

     19,916         2,035,415   

World Wrestling Entertainment, Inc. Class A(a)

     3,537         59,775   
     

 

 

 
Total Media         10,551,976   
Metals & Mining – 0.4%      

Alcoa, Inc.

     12,307         118,885   

Allegheny Technologies, Inc.

     3,063         43,433   

Carpenter Technology Corp.

     1,392         41,440   

Commercial Metals Co.

     5,944         80,541   

Compass Minerals International, Inc.

     1,219         95,533   

Freeport-McMoRan, Inc.

     73,513         712,341   

Globe Specialty Metals, Inc.

     2,651         32,157   

Hecla Mining Co.

     15,173         29,891   

Kaiser Aluminum Corp.

     673         54,008   

Newmont Mining Corp.

     2,966         47,664   

Nucor Corp.

     11,103         416,918   

Reliance Steel & Aluminum Co.

     2,254         121,738   

Royal Gold, Inc.

     1,007         47,309   

Steel Dynamics, Inc.

     6,833         117,391   

United States Steel Corp.(a)

     1,638         17,068   

Worthington Industries, Inc.

     2,227         58,971   
     

 

 

 
Total Metals & Mining         2,035,288   
Multi-Utilities – 2.0%      

Alliant Energy Corp.

     4,231         247,471   

Ameren Corp.

     10,839         458,165   

Avista Corp.

     3,505         116,541   

Black Hills Corp.

     1,987         82,143   

CenterPoint Energy, Inc.

     20,630         372,165   

CMS Energy Corp.

     9,891         349,350   

Consolidated Edison, Inc.

     13,723         917,383   

Dominion Resources, Inc.

     23,359         1,644,006   

DTE Energy Co.

     6,991         561,867   

MDU Resources Group, Inc.

     7,867         135,312   

NiSource, Inc.

     9,745         180,770   

NorthWestern Corp.

     2,100         113,043   

PG&E Corp.

     20,502         1,082,506   

Public Service Enterprise Group, Inc.

     23,341         984,057   

SCANA Corp.

     5,999         337,504   

Sempra Energy

     7,195         695,900   

TECO Energy, Inc.

     13,255         348,076   

Vectren Corp.

     3,587         150,690   

WEC Energy Group, Inc.

     12,243         639,329   
     

 

 

 
Total Multi-Utilities         9,416,278   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      81   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Multiline Retail – 0.6%      

Big Lots, Inc.

     1,665       $ 79,787   

Kohl’s Corp.

     6,863         317,825   

Macy’s, Inc.

     8,553         438,940   

Nordstrom, Inc.

     4,227         303,118   

Target Corp.

     22,865         1,798,561   
     

 

 

 
Total Multiline Retail         2,938,231   
Oil, Gas & Consumable Fuels – 8.2%      

Anadarko Petroleum Corp.

     9,293         561,204   

Apache Corp.

     8,551         334,857   

Cabot Oil & Gas Corp.

     1,235         26,997   

Chevron Corp.

     97,738         7,709,573   

Cimarex Energy Co.

     748         76,655   

ConocoPhillips

     70,962         3,403,338   

CONSOL Energy, Inc.

     2,275         22,295   

CVR Energy, Inc.(a)

     8,418         345,559   

Delek U.S. Holdings, Inc.

     2,265         62,741   

Devon Energy Corp.

     8,988         333,365   

EOG Resources, Inc.

     5,211         379,361   

EQT Corp.

     575         37,243   

Exxon Mobil Corp.

     166,813         12,402,547   

Hess Corp.

     5,503         275,480   

HollyFrontier Corp.

     8,503         415,287   

Kinder Morgan, Inc.

     56,674         1,568,736   

Marathon Oil Corp.

     27,735         427,119   

Marathon Petroleum Corp.

     16,895         782,745   

Murphy Oil Corp.

     6,671         161,438   

Noble Energy, Inc.

     7,185         216,843   

Occidental Petroleum Corp.

     36,917         2,442,060   

ONEOK, Inc.

     13,693         440,915   

PBF Energy, Inc. Class A

     4,566         128,898   

Phillips 66

     20,800         1,598,272   

Pioneer Natural Resources Co.

     321         39,046   

Range Resources Corp.

     995         31,959   

SemGroup Corp. Class A

     1,307         56,515   

Spectra Energy Corp.

     36,188         950,659   

Targa Resources Corp.

     1,647         84,853   

Tesoro Corp.

     2,584         251,268   

Valero Energy Corp.

     15,510         932,151   

Western Refining, Inc.

     3,949         174,230   

Williams Cos., Inc. (The)

     49,141         1,810,846   
     

 

 

 
Total Oil, Gas & Consumable Fuels         38,485,055   
Paper & Forest Products – 0.2%      

International Paper Co.

     15,376         581,059   

PH Glatfelter Co.

     1,650         28,413   

Schweitzer-Mauduit International, Inc.

     1,940         66,697   
     

 

 

 
Total Paper & Forest Products         676,169   
Personal Products – 0.1%      

Avon Products, Inc.

     13,406         43,569   

Edgewell Personal Care Co.

     1,206         98,410   

Estee Lauder Cos., Inc. (The) Class A

     4,075         328,771   
Investments    Shares      Value  

Nu Skin Enterprises, Inc. Class A

     2,493       $ 102,911   
     

 

 

 
Total Personal Products         573,661   
Pharmaceuticals – 6.1%      

Bristol-Myers Squibb Co.

     50,430         2,985,456   

Eli Lilly & Co.

     38,707         3,239,389   

Johnson & Johnson

     93,141         8,694,712   

Merck & Co., Inc.

     107,551         5,311,944   

Pfizer, Inc.

     261,503         8,213,809   

Theravance, Inc.(a)

     10,658         76,525   

Zoetis, Inc.

     4,307         177,362   
     

 

 

 
Total Pharmaceuticals         28,699,197   
Professional Services – 0.2%      

Acacia Research Corp.

     4,630         42,040   

CEB, Inc.

     811         55,424   

Dun & Bradstreet Corp. (The)

     728         76,440   

Equifax, Inc.

     1,906         185,225   

Insperity, Inc.

     1,704         74,857   

ManpowerGroup, Inc.

     1,589         130,123   

Robert Half International, Inc.

     2,408         123,193   

Towers Watson & Co. Class A

     636         74,654   
     

 

 

 
Total Professional Services         761,956   
Real Estate Investment Trusts (REITs) – 6.9%      

Acadia Realty Trust

     3,136         94,300   

Agree Realty Corp.

     2,518         75,162   

Alexander’s, Inc.

     239         89,386   

Alexandria Real Estate Equities, Inc.

     2,736         231,657   

American Assets Trust, Inc.

     2,168         88,584   

American Campus Communities, Inc.

     4,384         158,876   

American Homes 4 Rent Class A

     3,477         55,910   

American Tower Corp.

     7,320         644,014   

Apartment Investment & Management Co. Class A

     5,064         187,469   

Armada Hoffler Properties, Inc.

     7,170         70,051   

Ashford Hospitality Prime, Inc.

     2,157         30,263   

Ashford Hospitality Trust, Inc.

     7,107         43,353   

AvalonBay Communities, Inc.

     4,431         774,627   

BioMed Realty Trust, Inc.

     11,174         223,257   

Boston Properties, Inc.

     3,566         422,214   

Brandywine Realty Trust

     9,378         115,537   

Brixmor Property Group, Inc.

     12,682         297,773   

Camden Property Trust

     3,556         262,788   

CBL & Associates Properties, Inc.

     10,617         145,984   

Cedar Realty Trust, Inc.

     9,981         61,982   

Chambers Street Properties

     18,906         122,700   

Chesapeake Lodging Trust

     3,103         80,864   

Columbia Property Trust, Inc.

     7,168         166,298   

CorEnergy Infrastructure Trust, Inc.

     9,962         44,032   

Corporate Office Properties Trust

     4,672         98,252   

Corrections Corp. of America

     7,856         232,066   

Cousins Properties, Inc.

     8,037         74,101   

Crown Castle International Corp.

     17,799         1,403,807   

CubeSmart

     5,914         160,920   

DCT Industrial Trust, Inc.

     3,533         118,921   

 

See Notes to Financial Statements.

 

82   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

DDR Corp.

     15,092       $ 232,115   

DiamondRock Hospitality Co.

     7,960         87,958   

Digital Realty Trust, Inc.

     7,662         500,482   

Douglas Emmett, Inc.

     5,453         156,610   

Duke Realty Corp.

     13,943         265,614   

DuPont Fabros Technology, Inc.

     3,939         101,941   

EastGroup Properties, Inc.

     1,669         90,426   

Education Realty Trust, Inc.

     3,259         107,384   

EPR Properties

     3,719         191,789   

Equity Lifestyle Properties, Inc.

     2,860         167,510   

Equity One, Inc.

     6,329         154,048   

Equity Residential

     12,524         940,803   

Essex Property Trust, Inc.

     1,848         412,880   

Extra Space Storage, Inc.

     4,571         352,698   

Federal Realty Investment Trust

     2,022         275,902   

First Industrial Realty Trust, Inc.

     3,428         71,817   

First Potomac Realty Trust

     7,025         77,275   

Franklin Street Properties Corp.

     8,954         96,256   

Gaming and Leisure Properties, Inc.

     9,715         288,536   

General Growth Properties, Inc.

     27,151         705,111   

Geo Group, Inc. (The)

     5,882         174,931   

Getty Realty Corp.

     4,226         66,771   

Gladstone Commercial Corp.

     4,047         57,103   

Government Properties Income Trust

     6,412         102,592   

HCP, Inc.

     25,947         966,526   

Healthcare Realty Trust, Inc.

     5,719         142,117   

Healthcare Trust of America, Inc. Class A

     7,349         180,124   

Hersha Hospitality Trust

     3,505         79,423   

Highwoods Properties, Inc.

     3,922         151,978   

Home Properties, Inc.

     3,152         235,612   

Hospitality Properties Trust

     10,314         263,832   

Host Hotels & Resorts, Inc.

     31,484         497,762   

Hudson Pacific Properties, Inc.

     2,156         62,071   

Independence Realty Trust, Inc.

     8,218         59,252   

Inland Real Estate Corp.

     10,775         87,278   

Investors Real Estate Trust

     12,357         95,643   

Iron Mountain, Inc.

     12,207         378,661   

Kilroy Realty Corp.

     2,211         144,069   

Kimco Realty Corp.

     18,964         463,291   

Kite Realty Group Trust

     3,782         90,049   

Lamar Advertising Co. Class A

     6,469         337,552   

LaSalle Hotel Properties

     4,514         128,152   

Lexington Realty Trust(a)

     17,489         141,661   

Liberty Property Trust

     9,109         287,025   

LTC Properties, Inc.

     3,009         128,394   

Macerich Co. (The)

     5,485         421,358   

Mack-Cali Realty Corp.

     4,313         81,429   

Medical Properties Trust, Inc.

     12,256         135,551   

Mid-America Apartment Communities, Inc.

     3,596         294,405   

Monmouth Real Estate Investment Corp. Class A

     6,235         60,791   

National Health Investors, Inc.

     1,752         100,723   

National Retail Properties, Inc.

     6,315         229,045   

New York REIT, Inc.

     8,829         88,820   

Omega Healthcare Investors, Inc.

     10,381         364,892   
Investments    Shares      Value  

One Liberty Properties, Inc.

     3,316       $ 70,730   

Outfront Media, Inc.

     8,079         168,043   

Parkway Properties, Inc.

     6,231         96,954   

Pebblebrook Hotel Trust

     1,887         66,894   

Pennsylvania Real Estate Investment Trust

     4,234         83,960   

Physicians Realty Trust

     5,088         76,778   

Piedmont Office Realty Trust, Inc. Class A

     8,007         143,245   

Plum Creek Timber Co., Inc.

     8,273         326,866   

Post Properties, Inc.

     2,043         119,086   

Potlatch Corp.

     1,881         54,154   

Prologis, Inc.

     18,875         734,238   

PS Business Parks, Inc.

     994         78,904   

Public Storage

     6,458         1,366,707   

QTS Realty Trust, Inc. Class A

     1,987         86,812   

Ramco-Gershenson Properties Trust

     6,061         90,976   

Rayonier, Inc.

     5,823         128,514   

Realty Income Corp.

     12,561         595,266   

Regency Centers Corp.

     3,249         201,925   

Retail Opportunity Investments Corp.

     6,088         100,696   

Retail Properties of America, Inc. Class A

     11,553         162,782   

RLJ Lodging Trust

     5,732         144,848   

Ryman Hospitality Properties, Inc.

     3,050         150,152   

Sabra Health Care REIT, Inc.

     4,162         96,475   

Saul Centers, Inc.

     1,531         79,229   

Select Income REIT

     5,595         106,361   

Senior Housing Properties Trust

     15,651         253,546   

Simon Property Group, Inc.

     11,064         2,032,678   

SL Green Realty Corp.

     1,859         201,069   

Sovran Self Storage, Inc.

     1,230         115,989   

Spirit Realty Capital, Inc.

     26,762         244,605   

STAG Industrial, Inc.

     5,205         94,783   

Summit Hotel Properties, Inc.

     6,257         73,019   

Sun Communities, Inc.

     2,899         196,436   

Sunstone Hotel Investors, Inc.

     6,312         83,508   

Tanger Factory Outlet Centers, Inc.

     3,028         99,833   

Taubman Centers, Inc.

     2,101         145,137   

UDR, Inc.

     10,583         364,902   

Universal Health Realty Income Trust

     1,550         72,757   

Urstadt Biddle Properties, Inc. Class A

     2,823         52,903   

Ventas, Inc.

     15,624         875,881   

Vornado Realty Trust

     5,666         512,320   

W.P. Carey, Inc.

     6,436         372,065   

Washington Real Estate Investment Trust(a)

     4,874         121,509   

Weingarten Realty Investors

     5,439         180,085   

Welltower, Inc.

     17,612         1,192,685   

Weyerhaeuser Co.

     20,545         561,700   

Winthrop Realty Trust*

     4,424         63,529   

WP GLIMCHER, Inc.

     11,801         137,600   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         32,330,320   
Road & Rail – 0.7%      

Con-way, Inc.

     988         46,881   

CSX Corp.

     23,247         625,344   

JB Hunt Transport Services, Inc.

     1,348         96,247   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      83   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Kansas City Southern

     1,316       $ 119,598   

Landstar System, Inc.

     508         32,243   

Norfolk Southern Corp.

     8,415         642,906   

Ryder System, Inc.

     1,379         102,101   

Union Pacific Corp.

     19,994         1,767,670   

Werner Enterprises, Inc.

     1,245         31,249   
     

 

 

 
Total Road & Rail         3,464,239   
Semiconductors & Semiconductor Equipment – 2.3%   

Altera Corp.

     7,550         378,104   

Analog Devices, Inc.

     10,414         587,454   

Applied Materials, Inc.

     25,677         377,195   

Broadcom Corp. Class A

     7,774         399,817   

Brooks Automation, Inc.

     4,049         47,414   

Intel Corp.

     158,365         4,773,121   

Intersil Corp. Class A

     7,457         87,247   

KLA-Tencor Corp.

     5,907         295,350   

Lam Research Corp.

     1,817         118,705   

Linear Technology Corp.

     7,270         293,344   

Maxim Integrated Products, Inc.

     13,136         438,742   

Microchip Technology, Inc.

     8,174         352,218   

MKS Instruments, Inc.

     1,612         54,050   

NVIDIA Corp.

     11,975         295,184   

Skyworks Solutions, Inc.

     1,867         157,220   

Teradyne, Inc.

     3,557         64,061   

Texas Instruments, Inc.

     33,425         1,655,206   

Xilinx, Inc.

     8,754         371,170   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         10,745,602   
Software – 3.5%      

Activision Blizzard, Inc.

     9,762         301,548   

American Software, Inc. Class A

     4,009         37,765   

CA, Inc.

     17,892         488,452   

FactSet Research Systems, Inc.

     701         112,027   

Intuit, Inc.

     3,846         341,332   

Microsoft Corp.

     269,364         11,922,051   

Oracle Corp.

     66,207         2,391,397   

Solera Holdings, Inc.

     1,578         85,212   

SS&C Technologies Holdings, Inc.

     1,186         83,067   

Symantec Corp.

     20,160         392,515   
     

 

 

 
Total Software         16,155,366   
Specialty Retail – 1.9%      

Abercrombie & Fitch Co. Class A

     2,575         54,564   

Advance Auto Parts, Inc.

     196         37,148   

American Eagle Outfitters, Inc.

     10,416         162,802   

Best Buy Co., Inc.

     8,837         328,029   

Buckle, Inc. (The)(a)

     1,184         43,773   

Chico’s FAS, Inc.

     4,045         63,628   

Dick’s Sporting Goods, Inc.

     1,100         54,571   

DSW, Inc. Class A

     2,304         58,314   

Foot Locker, Inc.

     2,957         212,815   

GameStop Corp. Class A(a)

     5,626         231,848   

Gap, Inc. (The)

     12,112         345,192   

GNC Holdings, Inc. Class A

     1,991         80,476   
Investments    Shares      Value  

Guess?, Inc.

     4,614       $ 98,555   

Home Depot, Inc. (The)

     31,820         3,674,892   

L Brands, Inc.

     5,890         530,866   

Lowe’s Cos., Inc.

     17,119         1,179,842   

Men’s Wearhouse, Inc. (The)

     1,240         52,725   

Penske Automotive Group, Inc.

     2,205         106,810   

Rent-A-Center, Inc.

     1,892         45,881   

Ross Stores, Inc.

     4,888         236,921   

Staples, Inc.

     22,895         268,558   

Tiffany & Co.

     2,424         187,181   

TJX Cos., Inc. (The)

     9,142         652,922   

Tractor Supply Co.

     1,341         113,073   

Williams-Sonoma, Inc.

     2,143         163,618   
     

 

 

 
Total Specialty Retail         8,985,004   
Technology Hardware, Storage & Peripherals – 3.6%   

Apple, Inc.

     124,373         13,718,342   

Diebold, Inc.

     3,078         91,632   

EMC Corp.

     41,218         995,827   

Hewlett-Packard Co.

     39,299         1,006,447   

Lexmark International, Inc. Class A

     3,111         90,157   

NetApp, Inc.

     6,340         187,664   

SanDisk Corp.

     3,309         179,778   

Western Digital Corp.

     4,428         351,760   
     

 

 

 
Total Technology Hardware, Storage & Peripherals               16,621,607   
Textiles, Apparel & Luxury Goods – 0.6%      

Carter’s, Inc.

     697         63,176   

Coach, Inc.

     13,407         387,865   

Columbia Sportswear Co.

     1,646         96,768   

Hanesbrands, Inc.

     5,020         145,279   

NIKE, Inc. Class B

     10,151         1,248,269   

Ralph Lauren Corp.

     683         80,703   

VF Corp.

     9,167         625,281   

Wolverine World Wide, Inc.

     1,344         29,084   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               2,676,425   
Thrifts & Mortgage Finance – 0.3%      

Astoria Financial Corp.

     3,781         60,874   

Brookline Bancorp, Inc.

     8,085         81,982   

Capitol Federal Financial, Inc.

     6,203         75,180   

Dime Community Bancshares, Inc.

     4,232         71,521   

New York Community Bancorp, Inc.

     32,834         592,982   

Northwest Bancshares, Inc.

     6,897         89,661   

OceanFirst Financial Corp.

     3,720         64,058   

Oritani Financial Corp.

     5,142         80,318   

Provident Financial Services, Inc.

     3,297         64,292   

TFS Financial Corp.

     7,081         122,147   

TrustCo Bank Corp.

     10,066         58,786   

Washington Federal, Inc.

     3,645         82,924   
     

 

 

 
Total Thrifts & Mortgage Finance               1,444,725   
Tobacco – 3.4%      

Altria Group, Inc.

     102,089         5,553,642   

Philip Morris International, Inc.

     90,868         7,208,559   

 

See Notes to Financial Statements.

 

84   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Total Dividend Fund (DTD)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Reynolds American, Inc.

     64,572       $ 2,858,602   

Universal Corp.

     2,048         101,519   

Vector Group Ltd.

     10,290         232,657   
     

 

 

 
Total Tobacco               15,954,979   
Trading Companies & Distributors – 0.2%      

Applied Industrial Technologies, Inc.

     1,276         48,680   

Fastenal Co.

     8,128         297,566   

GATX Corp.

     1,509         66,622   

Kaman Corp.

     1,462         52,413   

MSC Industrial Direct Co., Inc. Class A

     1,285         78,424   

TAL International Group, Inc.*

     3,105         42,445   

W.W. Grainger, Inc.

     1,408         302,734   

Watsco, Inc.

     815         96,561   
     

 

 

 
Total Trading Companies & Distributors               985,445   
Water Utilities – 0.2%      

American States Water Co.

     2,055         85,077   

American Water Works Co., Inc.

     4,640         255,571   

Aqua America, Inc.

     5,697         150,800   

California Water Service Group

     3,665         81,070   

Connecticut Water Service, Inc.

     1,857         67,818   

Middlesex Water Co.

     2,085         49,706   

SJW Corp.

     2,199         67,619   
     

 

 

 
Total Water Utilities               757,661   
Wireless Telecommunication Services – 0.0%      

Telephone & Data Systems, Inc.

     4,749         118,535   
TOTAL COMMON STOCKS
(Cost: $432,703,726)
              466,911,126   
EXCHANGE-TRADED FUND – 0.1%      
United States – 0.1%      
WisdomTree Total Earnings Fund(b)
(Cost: $619,665)
     8,879         599,421   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5%   
United States – 0.5%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(c)

     
(Cost: $2,288,103)(d)      2,288,103         2,288,103   

TOTAL INVESTMENTS IN SECURITIES – 100.3%

(Cost: $435,611,494)

  

  

     469,798,650   

Liabilities in Excess of Cash and Other Assets – (0.3)%

  

     (1,190,152
     

 

 

 
NET ASSETS – 100.0%             $ 468,608,498   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Affiliated company (See Note 7).

 

(c) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(d) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $2,221,260 and the total market value of the collateral held by the Fund was $2,288,103.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      85   


Table of Contents

Schedule of Investments (unaudited)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
United States – 99.8%      
Aerospace & Defense – 3.2%      

AAR Corp.

     234       $ 4,439   

B/E Aerospace, Inc.

     311         13,653   

Boeing Co. (The)

     3,338         437,111   

BWX Technologies, Inc.

     527         13,892   

Cubic Corp.

     122         5,117   

Curtiss-Wright Corp.

     153         9,550   

Esterline Technologies Corp.*

     118         8,483   

General Dynamics Corp.

     1,275         175,886   

HEICO Corp.

     81         3,959   

Hexcel Corp.

     253         11,350   

Honeywell International, Inc.

     2,668         252,633   

Huntington Ingalls Industries, Inc.

     232         24,859   

KLX, Inc.*

     100         3,574   

L-3 Communications Holdings, Inc.

     359         37,523   

Lockheed Martin Corp.

     1,333         276,344   

Moog, Inc. Class A*

     159         8,597   

National Presto Industries, Inc.(a)

     41         3,455   

Northrop Grumman Corp.

     873         144,874   

Orbital ATK, Inc.

     325         23,358   

Precision Castparts Corp.

     518         118,990   

Raytheon Co.

     1,495         163,344   

Rockwell Collins, Inc.

     503         41,165   

Teledyne Technologies, Inc.*

     118         10,655   

Textron, Inc.

     949         35,720   

TransDigm Group, Inc.*

     77         16,355   

Triumph Group, Inc.

     260         10,941   

United Technologies Corp.

     3,525         313,690   
     

 

 

 
Total Aerospace & Defense         2,169,517   
Air Freight & Logistics – 0.6%      

Atlas Air Worldwide Holdings, Inc.*

     145         5,011   

C.H. Robinson Worldwide, Inc.

     379         25,689   

Expeditors International of Washington, Inc.

     487         22,913   

FedEx Corp.

     758         109,137   

Forward Air Corp.

     96         3,983   

Hub Group, Inc. Class A*

     121         4,406   

Park-Ohio Holdings Corp.

     142         4,098   

United Parcel Service, Inc. Class B

     2,352         232,119   
     

 

 

 
Total Air Freight & Logistics         407,356   
Airlines – 1.2%      

Alaska Air Group, Inc.

     673         53,470   

Allegiant Travel Co.

     37         8,001   

American Airlines Group, Inc.

     117         4,543   

Delta Air Lines, Inc.

     13,320         597,668   

Hawaiian Holdings, Inc.*

     437         10,785   

JetBlue Airways Corp.*

     810         20,874   

Southwest Airlines Co.

     1,732         65,885   

Spirit Airlines, Inc.*

     207         9,791   

United Continental Holdings, Inc.*

     1,289         68,382   
     

 

 

 
Total Airlines         839,399   
Investments    Shares      Value  
Auto Components – 0.5%      

American Axle & Manufacturing Holdings, Inc.*

     436       $ 8,694   

Autoliv, Inc.(a)

     310         33,793   

BorgWarner, Inc.

     771         32,066   

Cooper Tire & Rubber Co.

     337         13,315   

Dana Holding Corp.

     379         6,018   

Dorman Products, Inc.*

     122         6,209   

Gentex Corp.

     913         14,151   

Gentherm, Inc.*

     149         6,693   

Goodyear Tire & Rubber Co. (The)

     1,371         40,211   

Horizon Global Corp.*

     54         476   

Johnson Controls, Inc.

     1,528         63,198   

Lear Corp.

     324         35,245   

Modine Manufacturing Co.*

     548         4,313   

Standard Motor Products, Inc.

     160         5,581   

Superior Industries International, Inc.

     273         5,100   

Tenneco, Inc.*

     327         14,640   

Visteon Corp.*

     162         16,401   
     

 

 

 
Total Auto Components         306,104   
Automobiles – 0.8%      

Ford Motor Co.

     28,613         388,278   

General Motors Co.

     3,474         104,290   

Harley-Davidson, Inc.

     771         42,328   

Thor Industries, Inc.

     183         9,479   

Winnebago Industries, Inc.

     317         6,071   
     

 

 

 
Total Automobiles         550,446   
Banks – 9.5%      

1st Source Corp.

     133         4,096   

Associated Banc-Corp.

     600         10,782   

BancFirst Corp.

     62         3,912   

BancorpSouth, Inc.

     363         8,629   

Bank of America Corp.

     62,133         968,032   

Bank of Hawaii Corp.

     184         11,682   

Bank of the Ozarks, Inc.

     174         7,614   

BankUnited, Inc.

     327         11,690   

Banner Corp.

     94         4,490   

BB&T Corp.

     3,437         122,357   

BBCN Bancorp, Inc.

     659         9,898   

BOK Financial Corp.

     305         19,737   

Boston Private Financial Holdings, Inc.

     646         7,558   

Camden National Corp.

     94         3,798   

Cardinal Financial Corp.

     34         782   

Cathay General Bancorp

     330         9,887   

Central Pacific Financial Corp.

     413         8,661   

Chemical Financial Corp.

     117         3,785   

CIT Group, Inc.

     1,379         55,201   

Citigroup, Inc.

     14,301         709,473   

City Holding Co.

     93         4,585   

City National Corp.

     191         16,819   

CoBiz Financial, Inc.

     412         5,360   

Columbia Banking System, Inc.

     224         6,991   

Comerica, Inc.

     814         33,455   

Commerce Bancshares, Inc.

     376         17,131   

 

See Notes to Financial Statements.

 

86   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Community Bank System, Inc.

     138       $ 5,129   

Community Trust Bancorp, Inc.

     103         3,658   

Cullen/Frost Bankers, Inc.

     234         14,878   

Customers Bancorp, Inc.*

     136         3,495   

CVB Financial Corp.

     345         5,761   

East West Bancorp, Inc.

     608         23,359   

Fifth Third Bancorp

     4,577         86,551   

First Citizens BancShares, Inc. Class A

     36         8,136   

First Commonwealth Financial Corp.

     1,009         9,172   

First Financial Bancorp

     310         5,915   

First Financial Bankshares, Inc.(a)

     211         6,706   

First Horizon National Corp.

     1,369         19,412   

First Interstate BancSystem, Inc. Class A

     193         5,373   

First Midwest Bancorp, Inc.

     540         9,472   

First Niagara Financial Group, Inc.

     1,552         15,846   

First Republic Bank

     540         33,896   

FirstMerit Corp.

     564         9,966   

Flushing Financial Corp.

     193         3,864   

FNB Corp.

     313         4,053   

Fulton Financial Corp.

     922         11,156   

Glacier Bancorp, Inc.

     214         5,647   

Great Southern Bancorp, Inc.

     109         4,720   

Hancock Holding Co.

     284         7,682   

Hanmi Financial Corp.

     332         8,366   

Hilltop Holdings, Inc.*

     348         6,894   

Home BancShares, Inc.

     200         8,100   

Huntington Bancshares, Inc.

     3,532         37,439   

Iberiabank Corp.

     100         5,821   

Independent Bank Corp.

     83         3,826   

International Bancshares Corp.

     381         9,536   

Investors Bancorp, Inc.

     646         7,972   

JPMorgan Chase & Co.

     23,359         1,424,198   

KeyCorp

     4,294         55,865   

Lakeland Financial Corp.

     119         5,373   

M&T Bank Corp.

     523         63,780   

MB Financial, Inc.

     149         4,863   

National Penn Bancshares, Inc.

     375         4,406   

NBT Bancorp, Inc.

     133         3,583   

OFG Bancorp(a)

     820         7,159   

Old National Bancorp

     388         5,405   

Opus Bank

     270         10,325   

PacWest Bancorp

     111         4,752   

Park National Corp.

     60         5,413   

People’s United Financial, Inc.

     861         13,544   

Pinnacle Financial Partners, Inc.

     143         7,066   

PNC Financial Services Group, Inc. (The)

     2,804         250,117   

PrivateBancorp, Inc.

     278         10,656   

Prosperity Bancshares, Inc.

     231         11,344   

Regions Financial Corp.

     6,949         62,610   

Republic Bancorp, Inc. Class A

     240         5,892   

S&T Bancorp, Inc.

     102         3,327   

Seacoast Banking Corp. of Florida*

     179         2,628   

Signature Bank*

     143         19,671   

Simmons First National Corp. Class A

     103         4,937   
Investments    Shares      Value  

South State Corp.

     98       $ 7,533   

Southside Bancshares, Inc.(a)

     173         4,766   

Sterling Bancorp

     512         7,613   

SunTrust Banks, Inc.

     2,633         100,686   

SVB Financial Group*

     179         20,682   

Synovus Financial Corp.

     393         11,633   

TCF Financial Corp.

     557         8,444   

Texas Capital Bancshares, Inc.*

     100         5,242   

Tompkins Financial Corp.

     83         4,429   

Trustmark Corp.

     308         7,136   

U.S. Bancorp

     8,465         347,150   

UMB Financial Corp.

     197         10,010   

Umpqua Holdings Corp.

     373         6,080   

Union Bankshares Corp.

     364         8,736   

United Bankshares, Inc.

     139         5,281   

United Community Banks, Inc.

     154         3,148   

Valley National Bancorp

     553         5,442   

Webster Financial Corp.

     425         15,143   

Wells Fargo & Co.

     25,819         1,325,806   

WesBanco, Inc.

     124         3,900   

Westamerica Bancorp

     79         3,511   

Western Alliance Bancorp*

     245         7,524   

Wilshire Bancorp, Inc.

     942         9,900   

Wintrust Financial Corp.

     121         6,465   

Zions Bancorp

     643         17,708   
     

 

 

 
Total Banks         6,399,088   
Beverages – 1.9%      

Boston Beer Co., Inc. (The) Class A*

     21         4,423   

Brown-Forman Corp. Class B

     489         47,384   

Coca-Cola Bottling Co. Consolidated

     58         11,216   

Coca-Cola Co. (The)

     12,489         501,059   

Coca-Cola Enterprises, Inc.

     1,011         48,882   

Constellation Brands, Inc. Class A

     521         65,234   

Dr. Pepper Snapple Group, Inc.

     609         48,141   

Molson Coors Brewing Co. Class B

     628         52,137   

Monster Beverage Corp.*

     275         37,163   

National Beverage Corp.*

     187         5,747   

PepsiCo, Inc.

     4,659         439,344   
     

 

 

 
Total Beverages         1,260,730   
Biotechnology – 2.1%      

AbbVie, Inc.

     3,628         197,400   

Acorda Therapeutics, Inc.*

     158         4,189   

Alexion Pharmaceuticals, Inc.*

     182         28,463   

Amgen, Inc.

     1,870         258,658   

Anacor Pharmaceuticals, Inc.*

     118         13,890   

Baxalta, Inc.

     1,634         51,487   

Biogen, Inc.*

     457         133,357   

Celgene Corp.*

     991         107,196   

Emergent Biosolutions, Inc.*

     125         3,561   

Gilead Sciences, Inc.

     5,767         566,262   

Insys Therapeutics, Inc.*(a)

     191         5,436   

Medivation, Inc.*

     100         4,250   

Myriad Genetics, Inc.*(a)

     383         14,355   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      87   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

PDL BioPharma, Inc.

     2,493       $ 12,540   

Regeneron Pharmaceuticals, Inc.*

     50         23,257   

United Therapeutics Corp.*

     131         17,192   
     

 

 

 
Total Biotechnology         1,441,493   
Building Products – 0.2%      

A.O. Smith Corp.

     195         12,712   

American Woodmark Corp.*

     79         5,125   

Armstrong World Industries, Inc.*

     136         6,493   

Fortune Brands Home & Security, Inc.

     315         14,953   

Lennox International, Inc.

     121         13,713   

Masco Corp.

     2,162         54,439   

Owens Corning

     462         19,362   

Simpson Manufacturing Co., Inc.

     120         4,019   

USG Corp.*

     192         5,111   
     

 

 

 
Total Building Products         135,927   
Capital Markets – 2.8%      

Affiliated Managers Group, Inc.*

     153         26,161   

Ameriprise Financial, Inc.

     721         78,683   

Arlington Asset Investment Corp. Class A

     127         1,784   

Bank of New York Mellon Corp. (The)

     3,601         140,979   

BlackRock, Inc.

     614         182,647   

Calamos Asset Management, Inc. Class A

     321         3,043   

Charles Schwab Corp. (The)

     2,573         73,485   

Cohen & Steers, Inc.

     86         2,361   

E*TRADE Financial Corp.*

     913         24,039   

Eaton Vance Corp.

     478         15,975   

Federated Investors, Inc. Class B

     418         12,080   

Financial Engines, Inc.(a)

     154         4,538   

Franklin Resources, Inc.

     2,728         101,645   

GAMCO Investors, Inc. Class A

     115         6,314   

Goldman Sachs Group, Inc. (The)

     2,737         475,581   

Greenhill & Co., Inc.

     63         1,794   

HFF, Inc. Class A

     187         6,313   

Interactive Brokers Group, Inc. Class A

     231         9,118   

INTL FCStone, Inc.*

     280         6,913   

Investment Technology Group, Inc.

     353         4,709   

Janus Capital Group, Inc.

     825         11,220   

Legg Mason, Inc.

     354         14,730   

LPL Financial Holdings, Inc.(a)

     289         11,494   

Morgan Stanley

     9,621         303,061   

Northern Trust Corp.

     687         46,826   

Raymond James Financial, Inc.

     575         28,537   

SEI Investments Co.

     466         22,475   

State Street Corp.

     1,837         123,465   

Stifel Financial Corp.*

     218         9,178   

T. Rowe Price Group, Inc.

     857         59,561   

TD Ameritrade Holding Corp.

     1,355         43,143   

Virtus Investment Partners, Inc.

     57         5,729   

Waddell & Reed Financial, Inc. Class A

     423         14,708   
     

 

 

 
Total Capital Markets         1,872,289   
Chemicals – 2.2%      

A. Schulman, Inc.

     103         3,344   

Air Products & Chemicals, Inc.

     591         75,400   
Investments    Shares      Value  

Airgas, Inc.

     184       $ 16,437   

Albemarle Corp.

     411         18,125   

Axiall Corp.

     193         3,028   

Balchem Corp.

     75         4,558   

Cabot Corp.

     292         9,216   

Calgon Carbon Corp.

     371         5,780   

Celanese Corp. Series A

     1,493         88,341   

CF Industries Holdings, Inc.

     1,257         56,439   

Chemours Co. (The)

     568         3,675   

Chemtura Corp.*

     212         6,068   

Cytec Industries, Inc.

     200         14,770   

Dow Chemical Co. (The)

     5,690         241,256   

E.I. du Pont de Nemours & Co.

     2,834         136,599   

Eastman Chemical Co.

     758         49,058   

Ecolab, Inc.

     689         75,597   

Flotek Industries, Inc.*(a)

     381         6,363   

FMC Corp.

     518         17,565   

H.B. Fuller Co.

     148         5,023   

Huntsman Corp.

     973         9,428   

Innophos Holdings, Inc.

     141         5,589   

Innospec, Inc.

     147         6,837   

International Flavors & Fragrances, Inc.

     262         27,054   

Kronos Worldwide, Inc.

     624         3,875   

Minerals Technologies, Inc.

     112         5,394   

Monsanto Co.

     1,453         123,999   

Mosaic Co. (The)

     1,043         32,448   

NewMarket Corp.

     45         16,065   

Olin Corp.

     371         6,237   

OMNOVA Solutions, Inc.*

     420         2,327   

PolyOne Corp.

     253         7,423   

PPG Industries, Inc.

     718         62,961   

Praxair, Inc.

     990         100,841   

Quaker Chemical Corp.

     58         4,471   

Rayonier Advanced Materials, Inc.

     359         2,197   

RPM International, Inc.

     427         17,887   

Scotts Miracle-Gro Co. (The) Class A

     156         9,488   

Sensient Technologies Corp.

     164         10,053   

Sherwin-Williams Co. (The)

     212         47,229   

Sigma-Aldrich Corp.

     252         35,008   

Stepan Co.

     120         4,993   

Valspar Corp. (The)

     252         18,114   

W.R. Grace & Co.*

     247         22,983   

Westlake Chemical Corp.

     706         36,634   
     

 

 

 
Total Chemicals         1,456,177   
Commercial Services & Supplies – 0.5%      

ABM Industries, Inc.

     181         4,943   

ACCO Brands Corp.*

     964         6,816   

ADT Corp. (The)

     693         20,721   

Brink’s Co. (The)

     218         5,888   

Cintas Corp.

     303         25,982   

Clean Harbors, Inc.*

     121         5,320   

Copart, Inc.*

     356         11,712   

Covanta Holding Corp.

     191         3,333   

Deluxe Corp.

     276         15,384   

 

See Notes to Financial Statements.

 

88   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Ennis, Inc.

     244       $ 4,236   

Essendant, Inc.

     197         6,389   

Herman Miller, Inc.

     185         5,335   

HNI Corp.

     123         5,277   

KAR Auction Services, Inc.

     178         6,319   

Knoll, Inc.

     244         5,363   

Matthews International Corp. Class A

     97         4,750   

McGrath RentCorp

     65         1,735   

Mobile Mini, Inc.

     117         3,602   

MSA Safety, Inc.

     133         5,316   

Pitney Bowes, Inc.

     966         19,175   

R.R. Donnelley & Sons Co.

     632         9,202   

Republic Services, Inc.

     1,214         50,017   

Rollins, Inc.

     333         8,948   

Steelcase, Inc. Class A

     292         5,376   

Stericycle, Inc.*

     135         18,807   

Tetra Tech, Inc.

     231         5,616   

UniFirst Corp.

     106         11,322   

Waste Connections, Inc.

     262         12,728   

Waste Management, Inc.

     657         32,725   

West Corp.

     350         7,840   
     

 

 

 
Total Commercial Services & Supplies         330,177   
Communications Equipment – 1.5%      

ADTRAN, Inc.

     285         4,161   

Arista Networks, Inc.*(a)

     51         3,121   

ARRIS Group, Inc.*

     246         6,389   

Black Box Corp.

     98         1,444   

Brocade Communications Systems, Inc.

     1,354         14,054   

Cisco Systems, Inc.

     17,901         469,901   

CommScope Holding Co., Inc.*

     455         13,664   

Comtech Telecommunications Corp.

     94         1,937   

EchoStar Corp. Class A*

     72         3,098   

F5 Networks, Inc.*

     157         18,181   

Finisar Corp.*

     320         3,562   

Harris Corp.

     584         42,719   

InterDigital, Inc.

     106         5,364   

Juniper Networks, Inc.

     800         20,568   

Motorola Solutions, Inc.

     671         45,883   

NETGEAR, Inc.*

     101         2,946   

Plantronics, Inc.

     146         7,424   

QUALCOMM, Inc.

     6,388         343,227   

Ubiquiti Networks, Inc.(a)

     366         12,404   
     

 

 

 
Total Communications Equipment         1,020,047   
Construction & Engineering – 0.2%      

AECOM*

     654         17,992   

Aegion Corp.*

     282         4,647   

Comfort Systems USA, Inc.

     259         7,060   

EMCOR Group, Inc.

     205         9,071   

Fluor Corp.

     652         27,612   

Jacobs Engineering Group, Inc.*

     446         16,694   

MasTec, Inc.*

     499         7,899   

Primoris Services Corp.

     183         3,278   

Quanta Services, Inc.*

     726         17,577   
Investments    Shares      Value  

Tutor Perini Corp.*

     403       $ 6,633   
     

 

 

 
Total Construction & Engineering         118,463   
Construction Materials – 0.0%      

Eagle Materials, Inc.

     110         7,526   

Martin Marietta Materials, Inc.

     90         13,676   
     

 

 

 
Total Construction Materials         21,202   
Consumer Finance – 1.2%      

Ally Financial, Inc.*

     397         8,091   

American Express Co.

     3,724         276,060   

Capital One Financial Corp.

     3,351         243,014   

Cash America International, Inc.

     468         13,090   

Credit Acceptance Corp.*

     119         23,428   

Discover Financial Services

     2,553         132,730   

Encore Capital Group, Inc.*(a)

     250         9,250   

EZCORP, Inc. Class A*

     723         4,461   

First Cash Financial Services, Inc.*

     85         3,405   

Green Dot Corp. Class A*

     280         4,928   

Navient Corp.

     3,400         38,216   

Nelnet, Inc. Class A

     451         15,609   

PRA Group, Inc.*

     164         8,679   

Regional Management Corp.*

     276         4,278   

Santander Consumer USA Holdings, Inc.*

     2,314         47,252   

SLM Corp.*

     923         6,830   

Springleaf Holdings, Inc.*

     105         4,591   

World Acceptance Corp.*(a)

     82         2,201   
     

 

 

 
Total Consumer Finance         846,113   
Containers & Packaging – 0.4%      

AptarGroup, Inc.

     178         11,741   

Avery Dennison Corp.

     297         16,801   

Ball Corp.

     517         32,157   

Bemis Co., Inc.

     329         13,019   

Crown Holdings, Inc.*

     618         28,274   

Graphic Packaging Holding Co.

     891         11,396   

Greif, Inc. Class A

     218         6,956   

Owens-Illinois, Inc.*

     827         17,135   

Packaging Corp. of America

     472         28,396   

Sealed Air Corp.

     238         11,157   

Silgan Holdings, Inc.

     216         11,241   

Sonoco Products Co.

     357         13,473   

WestRock Co.

     856         44,033   
     

 

 

 
Total Containers & Packaging         245,779   
Distributors – 0.1%      

Core-Mark Holding Co., Inc.

     124         8,116   

Genuine Parts Co.

     462         38,295   

LKQ Corp.*

     728         20,646   

Pool Corp.

     128         9,255   

VOXX International Corp.*

     277         2,055   
     

 

 

 
Total Distributors         78,367   
Diversified Consumer Services – 0.2%      

Apollo Education Group, Inc.*

     558         6,171   

Bridgepoint Education, Inc.*

     572         4,359   

Bright Horizons Family Solutions, Inc.*

     129         8,287   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      89   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Capella Education Co.

     79       $ 3,912   

DeVry Education Group, Inc.

     347         9,442   

Graham Holdings Co. Class B

     12         6,924   

Grand Canyon Education, Inc.*

     214         8,130   

H&R Block, Inc.

     1,002         36,272   

Service Corp. International

     200         5,420   

Sotheby’s

     187         5,980   

Strayer Education, Inc.*

     124         6,816   

Weight Watchers International, Inc.*(a)

     428         2,731   
     

 

 

 
Total Diversified Consumer Services         104,444   
Diversified Financial Services – 2.1%      

Berkshire Hathaway, Inc. Class B*

     7,762         1,012,165   

CBOE Holdings, Inc.

     209         14,020   

CME Group, Inc.

     766         71,039   

Intercontinental Exchange, Inc.

     155         36,423   

Leucadia National Corp.

     1,149         23,279   

MarketAxess Holdings, Inc.

     86         7,988   

McGraw Hill Financial, Inc.

     672         58,128   

Moody’s Corp.

     645         63,339   

MSCI, Inc.

     323         19,205   

Nasdaq, Inc.

     615         32,798   

Voya Financial, Inc.

     2,314         89,714   
     

 

 

 
Total Diversified Financial Services         1,428,098   
Diversified Telecommunication Services – 2.4%      

AT&T, Inc.

     27,131         883,928   

Atlantic Tele-Network, Inc.

     77         5,693   

CenturyLink, Inc.

     1,274         32,003   

Frontier Communications Corp.

     1,354         6,432   

Iridium Communications, Inc.*(a)

     782         4,809   

Level 3 Communications, Inc.*

     362         15,816   

Verizon Communications, Inc.

     16,171         703,600   

Windstream Holdings, Inc.(a)

     145         890   
     

 

 

 
Total Diversified Telecommunication Services         1,653,171   
Electric Utilities – 1.6%      

ALLETE, Inc.

     137         6,917   

American Electric Power Co., Inc.

     1,378         78,353   

Cleco Corp.

     266         14,162   

Duke Energy Corp.

     2,333         167,836   

Edison International

     1,266         79,847   

El Paso Electric Co.

     161         5,928   

Empire District Electric Co. (The)

     209         4,604   

Entergy Corp.

     693         45,114   

Eversource Energy

     1,047         52,999   

Exelon Corp.

     3,811         113,187   

FirstEnergy Corp.

     229         7,170   

Great Plains Energy, Inc.

     600         16,212   

Hawaiian Electric Industries, Inc.

     255         7,316   

IDACORP, Inc.

     159         10,289   

ITC Holdings Corp.

     393         13,103   

MGE Energy, Inc.

     150         6,179   

NextEra Energy, Inc.

     1,159         113,060   

OGE Energy Corp.

     688         18,824   
Investments    Shares      Value  

Pepco Holdings, Inc.

     637       $ 15,428   

Pinnacle West Capital Corp.

     431         27,644   

PNM Resources, Inc.

     271         7,602   

Portland General Electric Co.

     323         11,941   

PPL Corp.

     1,669         54,893   

Southern Co. (The)

     2,802         125,249   

UIL Holdings Corp.

     149         7,490   

Westar Energy, Inc.

     532         20,450   

Xcel Energy, Inc.

     1,950         69,050   
     

 

 

 
Total Electric Utilities         1,100,847   
Electrical Equipment – 0.4%      

Acuity Brands, Inc.

     104         18,260   

AMETEK, Inc.

     765         40,025   

AZZ, Inc.

     78         3,798   

Babcock & Wilcox Enterprises, Inc.*

     263         4,418   

Emerson Electric Co.

     2,969         131,141   

EnerSys

     208         11,145   

Franklin Electric Co., Inc.

     126         3,431   

Generac Holdings, Inc.*(a)

     309         9,298   

Global Power Equipment Group, Inc.

     120         440   

Hubbell, Inc. Class B

     194         16,480   

Powell Industries, Inc.

     65         1,956   

Regal Beloit Corp.

     164         9,258   

Rockwell Automation, Inc.

     527         53,475   
     

 

 

 
Total Electrical Equipment         303,125   
Electronic Equipment, Instruments & Components – 0.7%   

Amphenol Corp. Class A

     884         45,049   

Anixter International, Inc.*

     136         7,858   

Arrow Electronics, Inc.*

     591         32,671   

Avnet, Inc.

     730         31,156   

AVX Corp.

     713         9,333   

Belden, Inc.

     134         6,257   

Benchmark Electronics, Inc.*

     420         9,139   

CDW Corp.

     363         14,832   

Cognex Corp.

     175         6,015   

Coherent, Inc.*

     76         4,157   

Corning, Inc.

     4,651         79,625   

Dolby Laboratories, Inc. Class A

     453         14,768   

FEI Co.

     105         7,669   

FLIR Systems, Inc.

     460         12,875   

II-VI, Inc.*

     477         7,670   

Ingram Micro, Inc. Class A

     793         21,601   

Insight Enterprises, Inc.*

     411         10,624   

IPG Photonics Corp.*

     146         11,092   

Jabil Circuit, Inc.

     428         9,574   

Littelfuse, Inc.

     106         9,662   

Methode Electronics, Inc.

     193         6,157   

MTS Systems Corp.

     117         7,033   

National Instruments Corp.

     218         6,058   

OSI Systems, Inc.*

     45         3,463   

PC Connection, Inc.

     321         6,654   

Plexus Corp.*

     244         9,414   

Rofin-Sinar Technologies, Inc.*

     160         4,149   

 

See Notes to Financial Statements.

 

90   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Rogers Corp.*

     79       $ 4,201   

Sanmina Corp.*

     379         8,099   

ScanSource, Inc.*

     177         6,277   

SYNNEX Corp.

     199         16,927   

Tech Data Corp.*

     220         15,070   

Trimble Navigation Ltd.*

     488         8,013   

Universal Display Corp.*

     220         7,458   

Vishay Intertechnology, Inc.

     920         8,915   

Zebra Technologies Corp. Class A*

     173         13,243   
     

 

 

 
Total Electronic Equipment, Instruments & Components         482,758   
Energy Equipment & Services – 0.9%      

Atwood Oceanics, Inc.(a)

     808         11,967   

Baker Hughes, Inc.

     1,585         82,483   

Bristow Group, Inc.

     145         3,793   

Cameron International Corp.*

     1,116         68,433   

CARBO Ceramics, Inc.(a)

     165         3,133   

Diamond Offshore Drilling, Inc.(a)

     671         11,608   

Dril-Quip, Inc.*

     196         11,411   

Era Group, Inc.*

     131         1,961   

FMC Technologies, Inc.*

     941         29,171   

Forum Energy Technologies, Inc.*

     336         4,103   

Gulfmark Offshore, Inc. Class A(a)

     252         1,540   

Halliburton Co.

     5,237         185,128   

Helix Energy Solutions Group, Inc.*

     504         2,414   

Helmerich & Payne, Inc.

     635         30,010   

Hornbeck Offshore Services, Inc.*(a)

     307         4,154   

National Oilwell Varco, Inc.

     2,631         99,057   

Newpark Resources, Inc.*

     743         3,804   

Oceaneering International, Inc.

     389         15,280   

Oil States International, Inc.*

     261         6,820   

Patterson-UTI Energy, Inc.

     668         8,778   

RPC, Inc.(a)

     1,211         10,717   

Tidewater, Inc.(a)

     452         5,939   

U.S. Silica Holdings, Inc.(a)

     310         4,368   

Unit Corp.*

     292         3,288   
     

 

 

 
Total Energy Equipment & Services         609,360   
Food & Staples Retailing – 2.4%      

Andersons, Inc. (The)

     144         4,905   

Casey’s General Stores, Inc.

     107         11,012   

Costco Wholesale Corp.

     930         134,450   

CVS Health Corp.

     3,235         312,113   

Fresh Market, Inc. (The)*

     53         1,197   

Ingles Markets, Inc. Class A

     175         8,370   

Kroger Co. (The)

     3,176         114,558   

PriceSmart, Inc.

     74         5,723   

Rite Aid Corp.*

     2,877         17,463   

SpartanNash Co.

     75         1,939   

Sprouts Farmers Market, Inc.*

     157         3,313   

SUPERVALU, Inc.*

     1,021         7,331   

Sysco Corp.

     1,513         58,962   

United Natural Foods, Inc.*

     138         6,694   

Wal-Mart Stores, Inc.

     11,745         761,546   

Walgreens Boots Alliance, Inc.

     1,645         136,700   
Investments    Shares      Value  

Weis Markets, Inc.

     78       $ 3,257   

Whole Foods Market, Inc.

     688         21,775   
     

 

 

 
Total Food & Staples Retailing         1,611,308   
Food Products – 1.7%      

Archer-Daniels-Midland Co.

     2,477         102,672   

B&G Foods, Inc.

     105         3,827   

Cal-Maine Foods, Inc.(a)

     232         12,670   

Campbell Soup Co.

     1,205         61,069   

ConAgra Foods, Inc.

     1,310         53,068   

Darling Ingredients, Inc.*

     467         5,249   

Flowers Foods, Inc.

     486         12,024   

General Mills, Inc.

     1,971         110,632   

Hain Celestial Group, Inc. (The)*

     128         6,605   

Hershey Co. (The)

     549         50,442   

Hormel Foods Corp.

     775         49,065   

Ingredion, Inc.

     333         29,074   

J&J Snack Foods Corp.

     43         4,887   

J.M. Smucker Co. (The)

     370         42,213   

Kellogg Co.

     1,054         70,144   

Keurig Green Mountain, Inc.

     288         15,016   

Kraft Heinz Co. (The)

     2,531         178,638   

Lancaster Colony Corp.

     104         10,138   

Landec Corp.*

     278         3,244   

McCormick & Co., Inc. Non-Voting Shares

     403         33,119   

Mead Johnson Nutrition Co.

     443         31,187   

Mondelez International, Inc. Class A

     3,300         138,171   

Pilgrim’s Pride Corp.(a)

     1,495         31,066   

Pinnacle Foods, Inc.

     456         19,097   

Sanderson Farms, Inc.(a)

     94         6,446   

Seaboard Corp.*

     6         18,474   

Seneca Foods Corp. Class A*

     87         2,292   

Snyder’s-Lance, Inc.

     139         4,689   

Tootsie Roll Industries, Inc.(a)

     119         3,724   

TreeHouse Foods, Inc.*

     85         6,612   

Tyson Foods, Inc. Class A

     1,311         56,504   

WhiteWave Foods Co. (The)*

     185         7,428   
     

 

 

 
Total Food Products         1,179,486   
Gas Utilities – 0.2%      

AGL Resources, Inc.

     531         32,412   

Atmos Energy Corp.

     334         19,432   

Laclede Group, Inc. (The)

     78         4,253   

National Fuel Gas Co.

     289         14,444   

New Jersey Resources Corp.

     210         6,306   

Northwest Natural Gas Co.

     86         3,942   

ONE Gas, Inc.

     146         6,618   

Piedmont Natural Gas Co., Inc.(a)

     195         7,814   

Questar Corp.

     555         10,773   

South Jersey Industries, Inc.

     232         5,858   

Southwest Gas Corp.

     153         8,923   

UGI Corp.

     518         18,037   

WGL Holdings, Inc.

     165         9,516   
     

 

 

 
Total Gas Utilities         148,328   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      91   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Health Care Equipment & Supplies – 1.0%      

Abbott Laboratories

     2,558       $ 102,883   

Align Technology, Inc.*

     128         7,265   

Baxter International, Inc.

     1,634         53,677   

Becton, Dickinson and Co.

     580         76,943   

Boston Scientific Corp.*

     2,214         36,332   

C.R. Bard, Inc.

     192         35,772   

CONMED Corp.

     120         5,729   

Cooper Cos., Inc. (The)

     112         16,672   

Cyberonics, Inc.*

     87         5,288   

DENTSPLY International, Inc.

     400         20,228   

Edwards Lifesciences Corp.*

     134         19,051   

Globus Medical, Inc. Class A*

     206         4,256   

Greatbatch, Inc.*

     100         5,642   

Haemonetics Corp.*

     116         3,749   

Hill-Rom Holdings, Inc.

     181         9,410   

IDEXX Laboratories, Inc.*

     208         15,444   

Intuitive Surgical, Inc.*

     59         27,115   

Masimo Corp.*

     155         5,977   

ResMed, Inc.

     416         21,199   

Sirona Dental Systems, Inc.*

     107         9,987   

St. Jude Medical, Inc.

     866         54,636   

STERIS Corp.

     169         10,980   

Stryker Corp.

     437         41,122   

Teleflex, Inc.

     106         13,166   

Thoratec Corp.*

     85         5,377   

Varian Medical Systems, Inc.*

     293         21,618   

West Pharmaceutical Services, Inc.

     194         10,499   

Zimmer Biomet Holdings, Inc.

     437         41,047   
     

 

 

 
Total Health Care Equipment & Supplies         681,064   
Health Care Providers & Services – 2.5%      

Acadia Healthcare Co., Inc.*

     110         7,290   

Aetna, Inc.

     1,441         157,660   

Air Methods Corp.*

     111         3,784   

AmerisourceBergen Corp.

     185         17,573   

Amsurg Corp.*

     31         2,409   

Anthem, Inc.

     1,139         159,460   

Cardinal Health, Inc.

     853         65,527   

Centene Corp.*

     253         13,720   

Chemed Corp.

     98         13,080   

Cigna Corp.

     1,167         157,568   

Community Health Systems, Inc.*

     135         5,774   

DaVita HealthCare Partners, Inc.*

     605         43,760   

Ensign Group, Inc. (The)

     134         5,712   

Envision Healthcare Holdings, Inc.*

     190         6,990   

Express Scripts Holding Co.*

     1,478         119,659   

Five Star Quality Care, Inc.*

     1,370         4,233   

Hanger, Inc.*

     124         1,691   

HCA Holdings, Inc.*

     1,499         115,963   

Health Net, Inc.*

     171         10,298   

HealthSouth Corp.

     181         6,945   

Henry Schein, Inc.*

     230         30,526   

Humana, Inc.

     429         76,791   
Investments    Shares      Value  

Laboratory Corp. of America Holdings*

     355       $ 38,507   

Landauer, Inc.

     22         814   

LifePoint Health, Inc.*

     156         11,060   

Magellan Health, Inc.*

     125         6,929   

McKesson Corp.

     473         87,519   

MEDNAX, Inc.*

     293         22,499   

National Healthcare Corp.

     40         2,436   

Owens & Minor, Inc.

     183         5,845   

Patterson Cos., Inc.

     325         14,056   

Quest Diagnostics, Inc.

     540         33,194   

Select Medical Holdings Corp.

     687         7,413   

Team Health Holdings, Inc.*

     141         7,618   

Triple-S Management Corp. Class B*

     176         3,135   

UnitedHealth Group, Inc.

     3,484         404,179   

Universal Health Services, Inc. Class B

     304         37,942   

VCA, Inc.*

     238         12,531   

WellCare Health Plans, Inc.*

     53         4,567   
     

 

 

 
Total Health Care Providers & Services         1,726,657   
Health Care Technology – 0.1%      

Cerner Corp.*

     491         29,440   

Medidata Solutions, Inc.*

     124         5,222   
     

 

 

 
Total Health Care Technology         34,662   
Hotels, Restaurants & Leisure – 1.7%      

Aramark

     378         11,204   

Bloomin’ Brands, Inc.

     512         9,308   

Bob Evans Farms, Inc.

     145         6,286   

Bravo Brio Restaurant Group, Inc.*

     42         473   

Brinker International, Inc.

     220         11,587   

Buffalo Wild Wings, Inc.*

     38         7,350   

Cheesecake Factory, Inc. (The)

     103         5,558   

Chipotle Mexican Grill, Inc.*

     46         33,132   

Choice Hotels International, Inc.

     161         7,672   

Churchill Downs, Inc.

     47         6,289   

Cracker Barrel Old Country Store, Inc.(a)

     55         8,100   

Darden Restaurants, Inc.

     128         8,773   

DineEquity, Inc.

     59         5,408   

Domino’s Pizza, Inc.

     129         13,920   

Dunkin’ Brands Group, Inc.

     141         6,909   

Hilton Worldwide Holdings, Inc.

     1,310         30,052   

Hyatt Hotels Corp. Class A*

     173         8,148   

International Speedway Corp. Class A

     177         5,615   

Interval Leisure Group, Inc.

     281         5,159   

Jack in the Box, Inc.

     125         9,630   

Krispy Kreme Doughnuts, Inc.*

     413         6,042   

Las Vegas Sands Corp.

     3,012         114,366   

Marriott International, Inc. Class A

     558         38,056   

Marriott Vacations Worldwide Corp.

     89         6,065   

McDonald’s Corp.

     3,473         342,195   

MGM Resorts International*

     525         9,686   

Panera Bread Co. Class A*

     59         11,411   

Papa John’s International, Inc.

     56         3,835   

SeaWorld Entertainment, Inc.(a)

     251         4,470   

Six Flags Entertainment Corp.

     231         10,575   

 

See Notes to Financial Statements.

 

92   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Sonic Corp.

     235       $ 5,393   

Speedway Motorsports, Inc.

     100         1,805   

Starbucks Corp.

     2,994         170,179   

Starwood Hotels & Resorts Worldwide, Inc.

     472         31,379   

Texas Roadhouse, Inc.

     174         6,473   

Vail Resorts, Inc.

     34         3,559   

Wendy’s Co. (The)

     851         7,361   

Wyndham Worldwide Corp.

     417         29,982   

Wynn Resorts Ltd.

     341         18,114   

Yum! Brands, Inc.

     1,293         103,375   
     

 

 

 
Total Hotels, Restaurants & Leisure         1,124,894   
Household Durables – 0.6%      

D.R. Horton, Inc.

     1,348         39,577   

Ethan Allen Interiors, Inc.

     120         3,169   

Harman International Industries, Inc.

     151         14,495   

iRobot Corp.*

     118         3,439   

Jarden Corp.*

     332         16,228   

KB Home

     389         5,271   

La-Z-Boy, Inc.

     194         5,153   

Leggett & Platt, Inc.

     265         10,931   

Lennar Corp. Class A

     742         35,712   

M/I Homes, Inc.*

     402         9,479   

MDC Holdings, Inc.

     152         3,979   

Meritage Homes Corp.*

     252         9,203   

Mohawk Industries, Inc.*

     211         38,358   

NACCO Industries, Inc. Class A

     58         2,758   

Newell Rubbermaid, Inc.

     833         33,078   

NVR, Inc.*

     14         21,353   

PulteGroup, Inc.

     1,424         26,871   

Ryland Group, Inc. (The)

     400         16,332   

Standard Pacific Corp.*

     2,314         18,512   

Taylor Morrison Home Corp. Class A*

     265         4,945   

Tempur Sealy International, Inc.*

     122         8,714   

Toll Brothers, Inc.*

     540         18,490   

TopBuild Corp.*

     209         6,473   

Tupperware Brands Corp.

     217         10,739   

WCI Communities, Inc.*

     493         11,157   

Whirlpool Corp.

     268         39,466   

William Lyon Homes Class A*

     647         13,328   
     

 

 

 
Total Household Durables         427,210   
Household Products – 1.3%      

Church & Dwight Co., Inc.

     318         26,680   

Clorox Co. (The)

     333         38,471   

Colgate-Palmolive Co.

     1,998         126,793   

Energizer Holdings, Inc.

     184         7,123   

Kimberly-Clark Corp.

     1,231         134,228   

Procter & Gamble Co. (The)

     7,653         550,557   

Spectrum Brands Holdings, Inc.

     159         14,550   

WD-40 Co.

     53         4,721   
     

 

 

 
Total Household Products         903,123   
Investments    Shares      Value  
Independent Power and Renewable Electricity Producers – 0.0%   

AES Corp.

     2,988       $ 29,252   

Talen Energy Corp.*

     209         2,111   
     

 

 

 
Total Independent Power and Renewable Electricity Producers         31,363   
Industrial Conglomerates – 2.4%      

3M Co.

     2,027         287,368   

Carlisle Cos., Inc.

     219         19,136   

Danaher Corp.

     1,929         164,370   

General Electric Co.

     44,541         1,123,324   

Raven Industries, Inc.

     78         1,322   

Roper Technologies, Inc.

     269         42,153   
     

 

 

 
Total Industrial Conglomerates         1,637,673   
Insurance – 4.1%      

Aflac, Inc.

     3,155         183,400   

Alleghany Corp.*

     77         36,044   

Allstate Corp. (The)

     2,311         134,593   

Ambac Financial Group, Inc.*

     180         2,605   

American Equity Investment Life Holding Co.

     445         10,373   

American Financial Group, Inc.

     391         26,944   

American International Group, Inc.

     8,059         457,912   

American National Insurance Co.

     123         12,010   

AMERISAFE, Inc.

     141         7,012   

AmTrust Financial Services, Inc.

     418         26,326   

Arthur J. Gallagher & Co.

     347         14,324   

Assurant, Inc.

     461         36,424   

Brown & Brown, Inc.

     429         13,286   

Chubb Corp. (The)

     1,114         136,632   

Cincinnati Financial Corp.

     478         25,716   

CNA Financial Corp.

     1,430         49,950   

CNO Financial Group, Inc.

     1,216         22,873   

Employers Holdings, Inc.

     291         6,486   

FBL Financial Group, Inc. Class A

     218         13,411   

Fidelity & Guaranty Life

     416         10,209   

First American Financial Corp.

     525         20,512   

Genworth Financial, Inc. Class A*

     2,154         9,951   

Hanover Insurance Group, Inc. (The)

     199         15,462   

Hartford Financial Services Group, Inc. (The)

     2,071         94,810   

HCC Insurance Holdings, Inc.

     463         35,869   

Horace Mann Educators Corp.

     351         11,660   

Infinity Property & Casualty Corp.

     76         6,121   

Kemper Corp.

     165         5,836   

Lincoln National Corp.

     1,579         74,939   

Loews Corp.

     1,410         50,957   

Markel Corp.*

     24         19,245   

Marsh & McLennan Cos., Inc.

     1,616         84,388   

MBIA, Inc.*

     4,273         25,980   

Mercury General Corp.

     160         8,082   

MetLife, Inc.

     6,464         304,778   

National General Holdings Corp.

     398         7,677   

National Western Life Insurance Co. Class A

     27         6,013   

Navigators Group, Inc. (The)*

     47         3,665   

Old Republic International Corp.

     1,169         18,283   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      93   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Primerica, Inc.

     345       $ 15,549   

Principal Financial Group, Inc.

     1,272         60,217   

ProAssurance Corp.

     295         14,476   

Progressive Corp. (The)

     2,522         77,274   

Prudential Financial, Inc.

     1,213         92,443   

Reinsurance Group of America, Inc.

     388         35,149   

RLI Corp.

     225         12,044   

Safety Insurance Group, Inc.

     94         5,090   

Selective Insurance Group, Inc.

     241         7,485   

StanCorp Financial Group, Inc.

     194         22,155   

State Auto Financial Corp.

     255         5,817   

Stewart Information Services Corp.

     191         7,814   

Symetra Financial Corp.

     713         22,559   

Torchmark Corp.

     614         34,630   

Travelers Cos., Inc. (The)

     2,212         220,160   

United Fire Group, Inc.

     143         5,012   

Universal Insurance Holdings, Inc.

     287         8,478   

Unum Group

     1,679         53,862   

W.R. Berkley Corp.

     551         29,958   
     

 

 

 
Total Insurance         2,760,930   
Internet & Catalog Retail – 0.4%      

Expedia, Inc.

     323         38,011   

HSN, Inc.

     98         5,609   

Liberty Interactive Corp., QVC Group Class A*

     1,055         27,673   

Netflix, Inc.*

     280         28,913   

PetMed Express, Inc.(a)

     560         9,016   

Priceline Group, Inc. (The)*

     136         168,213   

TripAdvisor, Inc.*

     174         10,965   
     

 

 

 
Total Internet & Catalog Retail         288,400   
Internet Software & Services – 2.1%      

Akamai Technologies, Inc.*

     329         22,721   

Blucora, Inc.*

     373         5,136   

Facebook, Inc. Class A*

     2,231         200,567   

Google, Inc. Class A*

     1,644         1,049,480   

IAC/InterActiveCorp

     269         17,558   

j2 Global, Inc.

     90         6,376   

Liquidity Services, Inc.*

     71         525   

Rackspace Hosting, Inc.*

     143         3,529   

Stamps.com, Inc.*

     99         7,327   

VeriSign, Inc.*(a)

     612         43,183   

Yahoo!, Inc.*

     1,233         35,646   
     

 

 

 
Total Internet Software & Services         1,392,048   
IT Services – 3.7%      

Alliance Data Systems Corp.*

     144         37,293   

Automatic Data Processing, Inc.

     1,169         93,941   

Booz Allen Hamilton Holding Corp.

     653         17,115   

Broadridge Financial Solutions, Inc.

     397         21,974   

CACI International, Inc. Class A*

     154         11,391   

Cardtronics, Inc.*

     119         3,891   

Cognizant Technology Solutions Corp. Class A*

     1,711         107,126   

Computer Sciences Corp.

     728         44,685   

Convergys Corp.

     354         8,181   
Investments    Shares      Value  

CoreLogic, Inc.*

     259       $ 9,643   

CSG Systems International, Inc.

     199         6,129   

DST Systems, Inc.

     198         20,818   

EPAM Systems, Inc.*

     147         10,954   

Euronet Worldwide, Inc.*

     96         7,113   

Fidelity National Information Services, Inc.

     592         39,711   

Fiserv, Inc.*

     637         55,171   

FleetCor Technologies, Inc.*

     158         21,744   

Gartner, Inc.*

     183         15,359   

Global Payments, Inc.

     225         25,814   

Heartland Payment Systems, Inc.

     118         7,435   

Higher One Holdings, Inc.*

     843         1,661   

International Business Machines Corp.

     6,894         999,423   

Jack Henry & Associates, Inc.

     255         17,751   

ManTech International Corp. Class A

     187         4,806   

MasterCard, Inc. Class A

     2,603         234,582   

MAXIMUS, Inc.

     149         8,874   

MoneyGram International, Inc.*

     464         3,721   

NeuStar, Inc. Class A*(a)

     409         11,129   

Paychex, Inc.

     890         42,391   

Science Applications International Corp.

     182         7,318   

Sykes Enterprises, Inc.*

     313         7,982   

Syntel, Inc.*

     324         14,680   

TeleTech Holdings, Inc.

     345         9,243   

Teradata Corp.*

     497         14,393   

Total System Services, Inc.

     526         23,896   

Unisys Corp.*

     430         5,117   

Vantiv, Inc. Class A*

     112         5,031   

Visa, Inc. Class A

     5,604         390,375   

Western Union Co. (The)

     2,992         54,933   

WEX, Inc.*

     94         8,163   

Xerox Corp.

     5,481         53,330   
     

 

 

 
Total IT Services         2,484,287   
Leisure Products – 0.3%      

Brunswick Corp.

     1,054         50,476   

Hasbro, Inc.

     462         33,329   

LeapFrog Enterprises, Inc.*

     1,413         1,008   

Mattel, Inc.

     1,471         30,979   

Polaris Industries, Inc.

     177         21,217   

Smith & Wesson Holding Corp.*

     659         11,117   

Sturm Ruger & Co., Inc.

     204         11,973   

Vista Outdoor, Inc.*

     472         20,971   
     

 

 

 
Total Leisure Products         181,070   
Life Sciences Tools & Services – 0.4%      

Agilent Technologies, Inc.

     800         27,464   

Bio-Rad Laboratories, Inc. Class A*

     85         11,416   

Bio-Techne Corp.

     97         8,969   

Bruker Corp.*

     361         5,931   

Cambrex Corp.*

     148         5,873   

Charles River Laboratories International, Inc.*

     122         7,749   

Illumina, Inc.*

     103         18,109   

Mettler-Toledo International, Inc.*

     63         17,939   

PAREXEL International Corp.*

     156         9,660   

 

See Notes to Financial Statements.

 

94   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

PerkinElmer, Inc.

     342       $ 15,718   

Quintiles Transnational Holdings, Inc.*

     397         27,619   

Thermo Fisher Scientific, Inc.

     563         68,844   

Waters Corp.*

     272         32,153   
     

 

 

 
Total Life Sciences Tools & Services         257,444   
Machinery – 1.9%      

Actuant Corp. Class A

     420         7,724   

AGCO Corp.

     737         34,366   

Allison Transmission Holdings, Inc.

     373         9,955   

American Railcar Industries, Inc.(a)

     73         2,640   

Astec Industries, Inc.

     105         3,519   

Barnes Group, Inc.

     199         7,174   

Blount International, Inc.*

     304         1,693   

Briggs & Stratton Corp.

     432         8,342   

Caterpillar, Inc.

     2,915         190,524   

Chart Industries, Inc.*

     140         2,689   

CLARCOR, Inc.

     138         6,580   

Colfax Corp.*

     445         13,310   

Crane Co.

     214         9,975   

Cummins, Inc.

     683         74,160   

Deere & Co.(a)

     2,319         171,606   

Donaldson Co., Inc.

     400         11,232   

Dover Corp.

     731         41,799   

EnPro Industries, Inc.

     104         4,074   

ESCO Technologies, Inc.

     185         6,641   

Federal Signal Corp.

     267         3,661   

Flowserve Corp.

     533         21,928   

Graco, Inc.

     179         11,998   

Greenbrier Cos., Inc. (The)(a)

     146         4,688   

Hillenbrand, Inc.

     274         7,127   

IDEX Corp.

     237         16,898   

Illinois Tool Works, Inc.

     1,292         106,344   

ITT Corp.

     248         8,291   

John Bean Technologies Corp.

     117         4,475   

Joy Global, Inc.

     529         7,898   

Kennametal, Inc.

     352         8,761   

Lincoln Electric Holdings, Inc.

     289         15,152   

Lindsay Corp.(a)

     34         2,305   

Manitowoc Co., Inc. (The)

     508         7,620   

Meritor, Inc.*

     556         5,910   

Middleby Corp. (The)*

     165         17,356   

Mueller Industries, Inc.

     267         7,898   

Nordson Corp.

     201         12,651   

Oshkosh Corp.

     429         15,586   

PACCAR, Inc.

     1,259         65,682   

Parker-Hannifin Corp.

     523         50,888   

RBC Bearings, Inc.*

     69         4,121   

Rexnord Corp.*

     152         2,581   

Snap-on, Inc.

     222         33,509   

SPX Corp.

     140         1,669   

SPX FLOW, Inc.*

     140         4,820   

Standex International Corp.

     54         4,069   

Stanley Black & Decker, Inc.

     442         42,865   
Investments    Shares      Value  

Terex Corp.

     673       $ 12,074   

Timken Co. (The)

     402         11,051   

Toro Co. (The)

     202         14,249   

TriMas Corp.*

     140         2,289   

Trinity Industries, Inc.

     1,160         26,297   

Valmont Industries, Inc.

     94         8,920   

Wabash National Corp.*

     563         5,962   

WABCO Holdings, Inc.*

     413         43,295   

Wabtec Corp.

     229         20,163   

Watts Water Technologies, Inc. Class A

     140         7,395   

Woodward, Inc.

     173         7,041   

Xylem, Inc.

     499         16,392   
     

 

 

 
Total Machinery         1,279,882   
Marine – 0.0%      

Kirby Corp.*

     179         11,089   

Matson, Inc.

     64         2,463   
     

 

 

 
Total Marine         13,552   
Media – 3.2%      

AMC Entertainment Holdings, Inc. Class A

     832         20,958   

AMC Networks, Inc. Class A*

     184         13,463   

Cable One, Inc.*

     12         5,033   

Cablevision Systems Corp. Class A

     737         23,930   

CBS Corp. Class B Non-Voting Shares

     1,684         67,192   

Cinemark Holdings, Inc.

     343         11,144   

Comcast Corp. Class A

     7,947         452,025   

Crown Media Holdings, Inc. Class A*

     2,439         13,049   

Discovery Communications, Inc. Class A*

     1,495         38,915   

DISH Network Corp. Class A*

     708         41,305   

Entercom Communications Corp. Class A*

     545         5,537   

Entravision Communications Corp. Class A

     1,718         11,408   

Gannett Co., Inc.

     447         6,584   

Harte-Hanks, Inc.

     779         2,750   

Interpublic Group of Cos., Inc. (The)

     1,327         25,386   

John Wiley & Sons, Inc. Class A

     268         13,408   

Liberty Media Corp. Class A*

     1,166         41,650   

Loral Space & Communications, Inc.*

     76         3,578   

Madison Square Garden Co. (The) Class A*

     132         9,522   

Meredith Corp.

     219         9,325   

Morningstar, Inc.

     82         6,581   

National CineMedia, Inc.

     309         4,147   

New York Times Co. (The) Class A

     344         4,063   

News Corp. Class A

     1,332         16,810   

Nexstar Broadcasting Group, Inc. Class A

     153         7,245   

Omnicom Group, Inc.

     875         57,663   

Regal Entertainment Group Class A(a)

     315         5,887   

Scholastic Corp.

     184         7,169   

Scripps Networks Interactive, Inc. Class A

     476         23,414   

Sinclair Broadcast Group, Inc. Class A

     314         7,950   

Sirius XM Holdings, Inc.*

     6,876         25,716   

Starz Class A*

     609         22,740   

TEGNA, Inc.

     888         19,882   

Time Warner Cable, Inc.

     881         158,025   

Time Warner, Inc.

     2,951         202,881   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      95   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Time, Inc.

     287       $ 5,467   

Twenty-First Century Fox, Inc. Class A

     6,940         187,241   

Viacom, Inc. Class B

     2,095         90,399   

Walt Disney Co. (The)

     5,158         527,148   
     

 

 

 
Total Media         2,196,590   
Metals & Mining – 0.3%      

Carpenter Technology Corp.

     179         5,329   

Commercial Metals Co.

     633         8,577   

Compass Minerals International, Inc.

     93         7,288   

Freeport-McMoRan, Inc.

     6,253         60,592   

Gold Resource Corp.(a)

     1,142         2,889   

Haynes International, Inc.

     52         1,968   

Kaiser Aluminum Corp.

     66         5,296   

Materion Corp.

     102         3,062   

Nucor Corp.

     745         27,975   

Reliance Steel & Aluminum Co.

     396         21,388   

Royal Gold, Inc.

     71         3,336   

Steel Dynamics, Inc.

     728         12,507   

SunCoke Energy, Inc.

     258         2,007   

TimkenSteel Corp.

     271         2,743   

United States Steel Corp.

     666         6,940   

Worthington Industries, Inc.

     311         8,235   
     

 

 

 
Total Metals & Mining         180,132   
Multi-Utilities – 1.0%      

Alliant Energy Corp.

     343         20,062   

Ameren Corp.

     893         37,747   

Avista Corp.

     201         6,683   

Black Hills Corp.

     85         3,514   

CenterPoint Energy, Inc.

     1,373         24,769   

CMS Energy Corp.

     961         33,943   

Consolidated Edison, Inc.

     1,402         93,724   

Dominion Resources, Inc.

     257         18,088   

DTE Energy Co.

     642         51,598   

MDU Resources Group, Inc.

     813         13,984   

NiSource, Inc.

     959         17,789   

NorthWestern Corp.

     158         8,505   

PG&E Corp.

     1,826         96,413   

Public Service Enterprise Group, Inc.

     2,071         87,313   

SCANA Corp.

     634         35,669   

Sempra Energy

     631         61,030   

TECO Energy, Inc.

     758         19,905   

Vectren Corp.

     238         9,998   

WEC Energy Group, Inc.

     1,132         59,113   
     

 

 

 
Total Multi-Utilities         699,847   
Multiline Retail – 0.6%      

Big Lots, Inc.

     294         14,088   

Dillard’s, Inc. Class A

     196         17,128   

Dollar General Corp.

     893         64,689   

Dollar Tree, Inc.*

     616         41,063   

Kohl’s Corp.

     891         41,262   

Macy’s, Inc.

     1,552         79,649   

Nordstrom, Inc.

     620         44,460   
Investments    Shares      Value  

Target Corp.

     1,319       $ 103,753   
     

 

 

 
Total Multiline Retail         406,092   
Oil, Gas & Consumable Fuels – 8.4%      

Alon USA Energy, Inc.

     184         3,325   

Anadarko Petroleum Corp.

     1,333         80,500   

Apache Corp.

     90         3,524   

Approach Resources, Inc.*(a)

     671         1,255   

Bonanza Creek Energy, Inc.*

     332         1,351   

Cabot Oil & Gas Corp.

     798         17,444   

Carrizo Oil & Gas, Inc.*

     172         5,253   

Chesapeake Energy Corp.(a)

     1,419         10,401   

Chevron Corp.

     12,857         1,014,160   

Cimarex Energy Co.

     417         42,734   

Cloud Peak Energy, Inc.*(a)

     508         1,336   

Columbia Pipeline Group, Inc.

     959         17,540   

Concho Resources, Inc.*

     350         34,405   

ConocoPhillips

     7,330         351,547   

Continental Resources, Inc.*

     1,880         54,464   

CVR Energy, Inc.

     265         10,878   

Delek U.S. Holdings, Inc.

     377         10,443   

Denbury Resources, Inc.

     3,442         8,398   

Devon Energy Corp.

     1,733         64,277   

Diamondback Energy, Inc.*

     112         7,235   

Energen Corp.

     75         3,740   

EOG Resources, Inc.

     2,164         157,539   

EP Energy Corp. Class A*(a)

     670         3,451   

EQT Corp.

     318         20,597   

Exxon Mobil Corp.

     26,394         1,962,394   

Green Plains, Inc.

     271         5,274   

Gulfport Energy Corp.*

     299         8,874   

Hess Corp.

     1,749         87,555   

HollyFrontier Corp.

     1,107         54,066   

Kinder Morgan, Inc.

     1,826         50,544   

Laredo Petroleum, Inc.*(a)

     1,076         10,147   

Marathon Oil Corp.

     3,654         56,272   

Marathon Petroleum Corp.

     3,498         162,062   

Matador Resources Co.*

     388         8,047   

Murphy Oil Corp.

     1,022         24,732   

Newfield Exploration Co.*

     701         23,063   

Noble Energy, Inc.

     1,590         47,986   

Northern Oil and Gas, Inc.*(a)

     968         4,279   

Oasis Petroleum, Inc.*(a)

     1,970         17,100   

Occidental Petroleum Corp.

     4,030         266,584   

ONEOK, Inc.

     449         14,458   

PBF Energy, Inc. Class A

     675         19,055   

PDC Energy, Inc.*

     97         5,142   

Phillips 66

     3,592         276,009   

QEP Resources, Inc.

     748         9,372   

Range Resources Corp.

     225         7,227   

Renewable Energy Group, Inc.*

     834         6,906   

Rex Energy Corp.*(a)

     670         1,387   

Rice Energy, Inc.*

     244         3,943   

Sanchez Energy Corp.*(a)

     682         4,194   

 

See Notes to Financial Statements.

 

96   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

SM Energy Co.

     616       $ 19,737   

Southwestern Energy Co.*

     1,651         20,951   

Spectra Energy Corp.

     1,857         48,783   

Stone Energy Corp.*

     417         2,068   

Targa Resources Corp.

     80         4,122   

Tesoro Corp.

     558         54,260   

Triangle Petroleum Corp.*(a)

     1,611         2,288   

Valero Energy Corp.

     4,790         287,879   

W&T Offshore, Inc.(a)

     693         2,079   

Western Refining, Inc.

     791         34,899   

Whiting Petroleum Corp.*

     778         11,880   

Williams Cos., Inc. (The)

     2,810         103,548   

World Fuel Services Corp.

     276         9,881   
     

 

 

 
Total Oil, Gas & Consumable Fuels         5,664,844   
Paper & Forest Products – 0.2%      

Boise Cascade Co.*

     116         2,926   

Clearwater Paper Corp.*

     135         6,377   

Domtar Corp.

     692         24,739   

International Paper Co.

     1,842         69,609   

KapStone Paper and Packaging Corp.

     451         7,446   

Mercer International, Inc.

     502         5,035   

PH Glatfelter Co.

     267         4,598   

Schweitzer-Mauduit International, Inc.

     84         2,888   
     

 

 

 
Total Paper & Forest Products         123,618   
Personal Products – 0.2%      

Avon Products, Inc.

     687         2,233   

Edgewell Personal Care Co.

     184         15,014   

Estee Lauder Cos., Inc. (The) Class A

     1,003         80,922   

Inter Parfums, Inc.

     294         7,294   

Medifast, Inc.*

     192         5,157   

Nu Skin Enterprises, Inc. Class A

     373         15,398   

Revlon, Inc. Class A*

     10         295   

USANA Health Sciences, Inc.*

     78         10,454   
     

 

 

 
Total Personal Products         136,767   
Pharmaceuticals – 3.4%      

Akorn, Inc.*

     90         2,566   

Bristol-Myers Squibb Co.

     2,574         152,381   

Depomed, Inc.*

     391         7,370   

Eli Lilly & Co.

     2,431         203,450   

Impax Laboratories, Inc.*

     235         8,274   

Johnson & Johnson

     10,157         948,156   

Lannett Co., Inc.*(a)

     106         4,401   

Medicines Co. (The)*

     180         6,833   

Merck & Co., Inc.

     4,990         246,456   

Pfizer, Inc.

     22,164         696,171   

Prestige Brands Holdings, Inc.*

     208         9,393   

Zoetis, Inc.

     864         35,580   
     

 

 

 
Total Pharmaceuticals         2,321,031   
Professional Services – 0.3%      

CBIZ, Inc.*

     680         6,678   

CEB, Inc.

     87         5,946   

Dun & Bradstreet Corp. (The)

     176         18,480   
Investments    Shares      Value  

Equifax, Inc.

     287       $ 27,891   

FTI Consulting, Inc.*

     139         5,770   

Huron Consulting Group, Inc.*

     104         6,503   

IHS, Inc. Class A*

     86         9,976   

Insperity, Inc.

     153         6,721   

Kelly Services, Inc. Class A

     186         2,630   

Korn/Ferry International

     184         6,085   

ManpowerGroup, Inc.

     414         33,902   

Navigant Consulting, Inc.*

     364         5,791   

On Assignment, Inc.*

     191         7,048   

Robert Half International, Inc.

     308         15,757   

RPX Corp.*

     476         6,531   

Towers Watson & Co. Class A

     191         22,420   

Verisk Analytics, Inc.*

     339         25,055   

WageWorks, Inc.*

     53         2,389   
     

 

 

 
Total Professional Services         215,573   
Real Estate Investment Trusts (REITs) – 1.5%      

Acadia Realty Trust

     313         9,412   

Agree Realty Corp.

     93         2,776   

Alexander’s, Inc.

     13         4,862   

Alexandria Real Estate Equities, Inc.

     76         6,435   

American Campus Communities, Inc.

     151         5,472   

American Tower Corp.

     542         47,685   

Apartment Investment & Management Co. Class A

     549         20,324   

AvalonBay Communities, Inc.

     235         41,083   

BioMed Realty Trust, Inc.

     98         1,958   

Boston Properties, Inc.

     137         16,221   

Camden Property Trust

     141         10,420   

Care Capital Properties, Inc.

     123         4,050   

CBL & Associates Properties, Inc.

     325         4,469   

Chatham Lodging Trust

     458         9,838   

Communications Sales & Leasing, Inc.

     168         3,007   

Corrections Corp. of America

     433         12,791   

Crown Castle International Corp.

     189         14,906   

DiamondRock Hospitality Co.

     233         2,575   

Digital Realty Trust, Inc.

     283         18,486   

Duke Realty Corp.

     505         9,620   

Empire State Realty Trust, Inc. Class A

     635         10,814   

EPR Properties

     144         7,426   

Equinix, Inc.

     46         12,576   

Equity Lifestyle Properties, Inc.

     93         5,447   

Equity Residential

     440         33,053   

Essex Property Trust, Inc.

     23         5,139   

Extra Space Storage, Inc.

     171         13,194   

Federal Realty Investment Trust

     78         10,643   

Gaming and Leisure Properties, Inc.

     362         10,751   

General Growth Properties, Inc.

     543         14,102   

Geo Group, Inc. (The)

     385         11,450   

Government Properties Income Trust

     425         6,800   

HCP, Inc.

     1,441         53,677   

Highwoods Properties, Inc.

     130         5,038   

Home Properties, Inc.

     43         3,214   

Hospitality Properties Trust

     242         6,190   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      97   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Host Hotels & Resorts, Inc.

     1,284       $ 20,300   

Iron Mountain, Inc.

     527         16,348   

Kilroy Realty Corp.

     68         4,431   

Kimco Realty Corp.

     770         18,811   

LaSalle Hotel Properties

     211         5,990   

Liberty Property Trust

     215         6,775   

LTC Properties, Inc.

     116         4,950   

Macerich Co. (The)

     21         1,613   

Medical Properties Trust, Inc.

     410         4,535   

Mid-America Apartment Communities, Inc.

     93         7,614   

National Health Investors, Inc.

     168         9,658   

National Retail Properties, Inc.

     154         5,586   

Omega Healthcare Investors, Inc.

     277         9,737   

Outfront Media, Inc.

     611         12,709   

Pebblebrook Hotel Trust

     114         4,041   

Piedmont Office Realty Trust, Inc. Class A

     224         4,007   

Plum Creek Timber Co., Inc.

     359         14,184   

Post Properties, Inc.

     244         14,223   

Potlatch Corp.

     199         5,729   

Prologis, Inc.

     399         15,521   

PS Business Parks, Inc.

     43         3,413   

Public Storage

     318         67,298   

Rayonier, Inc.

     475         10,483   

Realty Income Corp.

     279         13,222   

Regency Centers Corp.

     39         2,424   

Retail Opportunity Investments Corp.

     467         7,724   

RLJ Lodging Trust

     112         2,830   

Ryman Hospitality Properties, Inc.

     91         4,480   

Sabra Health Care REIT, Inc.

     59         1,368   

Select Income REIT

     444         8,440   

Senior Housing Properties Trust

     382         6,188   

Simon Property Group, Inc.

     496         91,125   

SL Green Realty Corp.

     172         18,604   

Sovran Self Storage, Inc.

     76         7,167   

Strategic Hotels & Resorts, Inc.*

     692         9,543   

Sunstone Hotel Investors, Inc.

     312         4,128   

Tanger Factory Outlet Centers, Inc.

     218         7,187   

UDR, Inc.

     251         8,654   

Universal Health Realty Income Trust

     193         9,059   

Ventas, Inc.

     489         27,413   

W.P. Carey, Inc.

     139         8,036   

Weingarten Realty Investors

     392         12,979   

Welltower, Inc.

     232         15,711   

Weyerhaeuser Co.

     1,128         30,840   

WP GLIMCHER, Inc.

     369         4,303   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         1,025,285   
Real Estate Management & Development – 0.2%      

CBRE Group, Inc. Class A*

     912         29,184   

Forestar Group, Inc.*

     503         6,614   

Jones Lang LaSalle, Inc.

     152         21,853   

Realogy Holdings Corp.*

     682         25,664   

St. Joe Co. (The)*(a)

     1,293         24,735   
     

 

 

 
Total Real Estate Management & Development         108,050   
Investments    Shares      Value  
Road & Rail – 0.9%      

AMERCO

     92       $ 36,199   

Avis Budget Group, Inc.*

     169         7,382   

Con-way, Inc.

     160         7,592   

CSX Corp.

     3,518         94,634   

Genesee & Wyoming, Inc. Class A*

     148         8,744   

Heartland Express, Inc.

     196         3,908   

Hertz Global Holdings, Inc.*

     965         16,145   

JB Hunt Transport Services, Inc.

     299         21,349   

Kansas City Southern

     289         26,264   

Knight Transportation, Inc.

     160         3,840   

Landstar System, Inc.

     124         7,870   

Norfolk Southern Corp.

     1,291         98,632   

Old Dominion Freight Line, Inc.*

     232         14,152   

Ryder System, Inc.

     104         7,700   

Saia, Inc.*

     129         3,993   

Swift Transportation Co.*

     473         7,105   

Union Pacific Corp.

     2,804         247,902   

Werner Enterprises, Inc.

     164         4,116   
     

 

 

 
Total Road & Rail         617,527   
Semiconductors & Semiconductor Equipment – 2.0%   

Advanced Energy Industries, Inc.*

     362         9,521   

Altera Corp.

     870         43,570   

Amkor Technology, Inc.*

     1,614         7,247   

Analog Devices, Inc.

     713         40,220   

Applied Materials, Inc.

     3,000         44,070   

Broadcom Corp. Class A

     651         33,481   

Brooks Automation, Inc.

     540         6,323   

Cabot Microelectronics Corp.*

     54         2,092   

Cirrus Logic, Inc.*

     438         13,801   

Cree, Inc.*(a)

     223         5,403   

Diodes, Inc.*

     239         5,107   

Entegris, Inc.*

     553         7,294   

First Solar, Inc.*

     404         17,271   

Integrated Device Technology, Inc.*

     325         6,597   

Integrated Silicon Solution, Inc.

     152         3,266   

Intel Corp.

     18,641         561,840   

KLA-Tencor Corp.

     518         25,900   

Lam Research Corp.

     454         29,660   

Lattice Semiconductor Corp.*

     399         1,536   

Linear Technology Corp.

     588         23,726   

Maxim Integrated Products, Inc.

     900         30,060   

Microchip Technology, Inc.

     609         26,242   

Micron Technology, Inc.*

     5,752         86,165   

MKS Instruments, Inc.

     213         7,142   

NVIDIA Corp.

     1,914         47,180   

OmniVision Technologies, Inc.*

     202         5,305   

ON Semiconductor Corp.*

     953         8,958   

Qorvo, Inc.*

     93         4,190   

Silicon Laboratories, Inc.*

     57         2,368   

Skyworks Solutions, Inc.

     448         37,726   

SunPower Corp.*

     270         5,411   

Synaptics, Inc.*

     137         11,297   

Teradyne, Inc.

     826         14,876   

 

See Notes to Financial Statements.

 

98   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Tessera Technologies, Inc.

     112       $ 3,630   

Texas Instruments, Inc.

     2,864         141,825   

Xilinx, Inc.

     822         34,853   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         1,355,153   
Software – 3.6%      

ACI Worldwide, Inc.*

     413         8,722   

Activision Blizzard, Inc.

     2,145         66,259   

Adobe Systems, Inc.*

     262         21,542   

ANSYS, Inc.*

     177         15,601   

Aspen Technology, Inc.*

     225         8,530   

Autodesk, Inc.*

     208         9,181   

CA, Inc.

     1,672         45,646   

Cadence Design Systems, Inc.*

     381         7,879   

Citrix Systems, Inc.*

     292         20,230   

Ebix, Inc.(a)

     446         11,132   

Electronic Arts, Inc.*

     506         34,281   

FactSet Research Systems, Inc.

     96         15,342   

Fair Isaac Corp.

     134         11,323   

Fortinet, Inc.*

     103         4,375   

Intuit, Inc.

     557         49,434   

Manhattan Associates, Inc.*

     194         12,086   

Mentor Graphics Corp.

     351         8,645   

Microsoft Corp.

     28,426         1,258,135   

Oracle Corp.

     17,275         623,973   

Progress Software Corp.*

     240         6,199   

PTC, Inc.*

     298         9,458   

Red Hat, Inc.*

     141         10,135   

SolarWinds, Inc.*

     165         6,475   

SS&C Technologies Holdings, Inc.

     134         9,385   

Symantec Corp.

     2,577         50,174   

Synopsys, Inc.*

     361         16,671   

Take-Two Interactive Software, Inc.*

     894         25,685   

TiVo, Inc.*

     754         6,530   

Tyler Technologies, Inc.*

     62         9,257   

VMware, Inc. Class A*

     759         59,802   
     

 

 

 
Total Software         2,442,087   
Specialty Retail – 2.6%      

Aaron’s, Inc.

     301         10,869   

Abercrombie & Fitch Co. Class A

     185         3,920   

Advance Auto Parts, Inc.

     176         33,357   

American Eagle Outfitters, Inc.

     392         6,127   

Asbury Automotive Group, Inc.*

     133         10,793   

Ascena Retail Group, Inc.*

     771         10,725   

AutoNation, Inc.*

     381         22,167   

AutoZone, Inc.*

     110         79,621   

Bed Bath & Beyond, Inc.*

     847         48,296   

Best Buy Co., Inc.

     1,682         62,436   

Buckle, Inc. (The)(a)

     215         7,948   

Cabela’s, Inc.*

     224         10,214   

Caleres, Inc.

     126         3,847   

CarMax, Inc.*

     572         33,931   

Cato Corp. (The) Class A

     196         6,670   

Chico’s FAS, Inc.

     582         9,155   
Investments    Shares      Value  

Children’s Place, Inc. (The)

     86       $ 4,960   

Conn’s, Inc.*(a)

     308         7,404   

CST Brands, Inc.

     172         5,789   

Dick’s Sporting Goods, Inc.

     315         15,627   

DSW, Inc. Class A

     251         6,353   

Express, Inc.*

     542         9,685   

Finish Line, Inc. (The) Class A

     222         4,285   

Foot Locker, Inc.

     502         36,129   

Francesca’s Holdings Corp.*

     254         3,106   

GameStop Corp. Class A(a)

     713         29,383   

Gap, Inc. (The)

     1,911         54,463   

Genesco, Inc.*

     57         3,253   

GNC Holdings, Inc. Class A

     337         13,621   

Group 1 Automotive, Inc.

     54         4,598   

Guess?, Inc.

     445         9,505   

Hibbett Sports, Inc.*

     93         3,256   

Home Depot, Inc. (The)

     3,718         429,392   

L Brands, Inc.

     723         65,164   

Lithia Motors, Inc. Class A

     106         11,460   

Lowe’s Cos., Inc.

     2,429         167,407   

Lumber Liquidators Holdings, Inc.*(a)

     82         1,077   

Mattress Firm Holding Corp.*(a)

     118         4,928   

Men’s Wearhouse, Inc. (The)

     111         4,720   

Michaels Cos., Inc. (The)*

     394         9,101   

Monro Muffler Brake, Inc.

     59         3,985   

Murphy USA, Inc.*

     73         4,011   

O’Reilly Automotive, Inc.*

     248         62,000   

Outerwall, Inc.(a)

     158         8,995   

Penske Automotive Group, Inc.

     406         19,667   

Pier 1 Imports, Inc.(a)

     577         3,981   

Rent-A-Center, Inc.

     216         5,238   

Restoration Hardware Holdings, Inc.*

     48         4,479   

Ross Stores, Inc.

     1,210         58,649   

Sally Beauty Holdings, Inc.*

     519         12,326   

Select Comfort Corp.*

     236         5,164   

Sonic Automotive, Inc. Class A

     340         6,943   

Stage Stores, Inc.

     232         2,283   

Staples, Inc.

     2,377         27,882   

Tiffany & Co.

     303         23,398   

Tilly’s, Inc. Class A*

     188         1,384   

TJX Cos., Inc. (The)

     2,111         150,768   

Tractor Supply Co.

     253         21,333   

Ulta Salon Cosmetics & Fragrance, Inc.*

     85         13,885   

Urban Outfitters, Inc.*

     423         12,428   

Vitamin Shoppe, Inc.*

     56         1,828   

Williams-Sonoma, Inc.

     267         20,385   
     

 

 

 
Total Specialty Retail               1,735,754   
Technology Hardware, Storage & Peripherals – 4.5%   

3D Systems Corp.*(a)

     90         1,039   

Apple, Inc.

     22,862         2,521,679   

Electronics For Imaging, Inc.*

     143         6,189   

EMC Corp.

     5,779         139,621   

Hewlett-Packard Co.

     8,318         213,024   

Lexmark International, Inc. Class A

     300         8,694   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      99   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree Total Earnings Fund (EXT)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

NCR Corp.*

     681       $ 15,493   

NetApp, Inc.

     880         26,048   

SanDisk Corp.

     708         38,466   

Western Digital Corp.

     978         77,692   
     

 

 

 
Total Technology Hardware, Storage & Peripherals               3,047,945   
Textiles, Apparel & Luxury Goods – 0.8%      

Carter’s, Inc.

     141         12,780   

Coach, Inc.

     1,150         33,270   

Columbia Sportswear Co.

     137         8,054   

Deckers Outdoor Corp.*

     100         5,806   

Fossil Group, Inc.*

     229         12,797   

G-III Apparel Group Ltd.*

     76         4,686   

Hanesbrands, Inc.

     868         25,120   

Iconix Brand Group, Inc.*

     252         3,407   

lululemon athletica, Inc.*

     268         13,574   

NIKE, Inc. Class B

     1,869         229,831   

PVH Corp.

     153         15,597   

Ralph Lauren Corp.

     271         32,021   

Skechers U.S.A., Inc. Class A*

     152         20,380   

Steven Madden Ltd.*

     272         9,961   

Under Armour, Inc. Class A*

     178         17,227   

Vera Bradley, Inc.*

     222         2,799   

VF Corp.

     1,192         81,306   

Wolverine World Wide, Inc.

     328         7,098   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               535,714   
Thrifts & Mortgage Finance – 0.3%      

Astoria Financial Corp.

     493         7,937   

BofI Holding, Inc.*

     94         12,110   

Capitol Federal Financial, Inc.

     337         4,085   

Dime Community Bancshares, Inc.

     97         1,639   

EverBank Financial Corp.

     429         8,280   

Flagstar Bancorp, Inc.*

     387         7,957   

HomeStreet, Inc.*

     253         5,844   

Hudson City Bancorp, Inc.

     1,383         14,065   

MGIC Investment Corp.*

     933         8,640   

Nationstar Mortgage Holdings, Inc.*(a)

     382         5,298   

New York Community Bancorp, Inc.

     1,893         34,188   

Northwest Bancshares, Inc.

     486         6,318   

Ocwen Financial Corp.*(a)

     507         3,402   

Provident Financial Services, Inc.

     313         6,104   

Radian Group, Inc.

     1,686         26,824   

Territorial Bancorp, Inc.

     208         5,416   

TFS Financial Corp.

     260         4,485   

Walker & Dunlop, Inc.*

     127         3,312   

Walter Investment Management Corp.*(a)

     240         3,900   

Washington Federal, Inc.

     524         11,921   
     

 

 

 
Total Thrifts & Mortgage Finance               181,725   
Tobacco – 1.4%      

Altria Group, Inc.

     5,580         303,552   

Philip Morris International, Inc.

     5,905         468,444   

Reynolds American, Inc.

     3,644         161,320   

Universal Corp.

     143         7,088   
     

 

 

 
Total Tobacco               940,404   
Investments    Shares      Value  
Trading Companies & Distributors – 0.3%      

Air Lease Corp.

     359       $ 11,100   

Applied Industrial Technologies, Inc.

     233         8,889   

Beacon Roofing Supply, Inc.*

     184         5,978   

CAI International, Inc.*

     153         1,542   

DXP Enterprises, Inc.*

     108         2,946   

Fastenal Co.

     571         20,904   

GATX Corp.

     136         6,005   

Kaman Corp.

     100         3,585   

MRC Global, Inc.*

     788         8,786   

MSC Industrial Direct Co., Inc. Class A

     171         10,436   

NOW, Inc.*(a)

     520         7,696   

Rush Enterprises, Inc. Class A*

     182         4,405   

TAL International Group, Inc.*

     217         2,966   

United Rentals, Inc.*

     288         17,295   

W.W. Grainger, Inc.

     215         46,227   

Watsco, Inc.

     94         11,137   

WESCO International, Inc.*

     212         9,852   
     

 

 

 
Total Trading Companies & Distributors               179,749   
Transportation Infrastructure – 0.0%      

Wesco Aircraft Holdings, Inc.*

     472         5,758   
Water Utilities – 0.1%      

American States Water Co.

     202         8,363   

American Water Works Co., Inc.

     540         29,743   

Aqua America, Inc.

     579         15,326   

California Water Service Group

     397         8,782   
     

 

 

 
Total Water Utilities               62,214   
Wireless Telecommunication Services – 0.0%      

NTELOS Holdings Corp.*

     105         948   

Spok Holdings, Inc.

     359         5,909   

T-Mobile U.S., Inc.*

     456         18,154   
     

 

 

 
Total Wireless Telecommunication Services               25,011   

TOTAL COMMON STOCKS

(Cost: $67,357,443)

              67,550,728   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.8%   
United States – 0.8%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $523,681)(c)      523,681         523,681   

TOTAL INVESTMENTS IN SECURITIES – 100.6%

(Cost: $67,881,124)

  

  

     68,074,409   

Liabilities in Excess of Cash and Other Assets – (0.6)%

  

     (429,754
     

 

 

 
NET ASSETS – 100.0%             $ 67,644,655   
* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $510,451 and the total market value of the collateral held by the Fund was $524,650. The total market value of the collateral includes non-cash U.S. Government and U.S. Government Agencies securities collateral having a value of $969.

 

See Notes to Financial Statements.

 

100   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.9%      
United States – 99.9%      
Aerospace & Defense – 6.1%      

Boeing Co. (The)

     63,741       $ 8,346,884   

BWX Technologies, Inc.

     5,469         144,163   

Honeywell International, Inc.

     62,356         5,904,490   

Huntington Ingalls Industries, Inc.

     2,695         288,769   

Lockheed Martin Corp.

     37,854         7,847,513   

Orbital ATK, Inc.

     1,375         98,821   

Precision Castparts Corp.

     306         70,291   

Rockwell Collins, Inc.

     7,189         588,348   

Textron, Inc.

     2,011         75,694   

United Technologies Corp.

     70,779         6,298,623   
     

 

 

 
Total Aerospace & Defense         29,663,596   
Air Freight & Logistics – 1.6%      

C.H. Robinson Worldwide, Inc.

     10,503         711,893   

FedEx Corp.

     4,781         688,369   

United Parcel Service, Inc. Class B

     63,135         6,230,793   
     

 

 

 
Total Air Freight & Logistics         7,631,055   
Airlines – 0.2%      

Alaska Air Group, Inc.

     4,508         358,161   

Southwest Airlines Co.

     14,626         556,373   
     

 

 

 
Total Airlines         914,534   
Auto Components – 0.7%      

BorgWarner, Inc.

     8,121         337,752   

Gentex Corp.

     18,980         294,190   

Johnson Controls, Inc.

     55,328         2,288,366   

Lear Corp.

     2,593         282,067   
     

 

 

 
Total Auto Components         3,202,375   
Automobiles – 1.6%      

General Motors Co.

     225,312         6,763,866   

Harley-Davidson, Inc.

     13,144         721,605   

Thor Industries, Inc.

     3,967         205,491   
     

 

 

 
Total Automobiles         7,690,962   
Banks – 0.1%      

BankUnited, Inc.

     11,362         406,192   
Beverages – 3.6%      

Brown-Forman Corp. Class B

     6,956         674,037   

Coca-Cola Enterprises, Inc.

     20,703         1,000,990   

Dr. Pepper Snapple Group, Inc.

     16,767         1,325,431   

PepsiCo, Inc.

     152,969         14,424,977   
     

 

 

 
Total Beverages         17,425,435   
Biotechnology – 3.2%      

AbbVie, Inc.

     176,900         9,625,129   

Amgen, Inc.

     41,619         5,756,740   
     

 

 

 
Total Biotechnology         15,381,869   
Building Products – 0.1%      

Lennox International, Inc.

     2,294         259,979   
Capital Markets – 2.9%      

Ameriprise Financial, Inc.

     12,303         1,342,626   
Investments    Shares      Value  

Charles Schwab Corp. (The)

     40,391       $ 1,153,567   

Eaton Vance Corp.

     10,849         362,574   

Federated Investors, Inc. Class B

     12,293         355,268   

Franklin Resources, Inc.

     20,332         757,570   

Goldman Sachs Group, Inc. (The)

     20,440         3,551,655   

Janus Capital Group, Inc.

     13,862         188,523   

LPL Financial Holdings, Inc.(a)

     8,518         338,761   

Morgan Stanley

     79,794         2,513,511   

Raymond James Financial, Inc.

     6,740         334,506   

SEI Investments Co.

     7,070         340,986   

T. Rowe Price Group, Inc.

     20,448         1,421,136   

TD Ameritrade Holding Corp.

     34,505         1,098,639   

Waddell & Reed Financial, Inc. Class A

     9,379         326,108   
     

 

 

 
Total Capital Markets         14,085,430   
Chemicals – 3.9%      

Airgas, Inc.

     5,619         501,945   

Albemarle Corp.

     5,673         250,179   

Cabot Corp.

     5,130         161,903   

Celanese Corp. Series A

     9,934         587,795   

CF Industries Holdings, Inc.

     22,135         993,862   

Cytec Industries, Inc.

     2,977         219,851   

E.I. du Pont de Nemours & Co.

     90,909         4,381,814   

Eastman Chemical Co.

     10,629         687,909   

Ecolab, Inc.

     11,910         1,306,765   

FMC Corp.

     5,328         180,672   

International Flavors & Fragrances, Inc.

     5,599         578,153   

Monsanto Co.

     29,716         2,535,963   

Mosaic Co. (The)

     27,740         862,991   

PolyOne Corp.

     3,733         109,526   

PPG Industries, Inc.

     12,308         1,079,289   

Praxair, Inc.

     22,630         2,305,092   

Scotts Miracle-Gro Co. (The) Class A

     6,764         411,387   

Sensient Technologies Corp.

     3,022         185,249   

Sherwin-Williams Co. (The)

     3,149         701,534   

Sigma-Aldrich Corp.

     2,947         409,397   

Valspar Corp. (The)

     3,918         281,626   

Westlake Chemical Corp.

     6,021         312,430   
     

 

 

 
Total Chemicals         19,045,332   
Commercial Services & Supplies – 0.2%      

Cintas Corp.

     5,106         437,839   

Deluxe Corp.

     3,637         202,726   

Waste Connections, Inc.

     5,370         260,875   
     

 

 

 
Total Commercial Services & Supplies         901,440   
Communications Equipment – 1.2%   

QUALCOMM, Inc.

     107,172         5,758,352   
Construction & Engineering – 0.1%      

EMCOR Group, Inc.

     1,717         75,977   

Fluor Corp.

     8,378         354,809   
     

 

 

 
Total Construction & Engineering         430,786   
Construction Materials – 0.1%      

Martin Marietta Materials, Inc.

     3,760         571,332   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      101   


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Containers & Packaging – 0.2%      

AptarGroup, Inc.

     4,061       $ 267,864   

Avery Dennison Corp.

     9,406         532,097   

Ball Corp.

     3,919         243,762   
     

 

 

 
Total Containers & Packaging         1,043,723   
Diversified Consumer Services – 0.2%      

H&R Block, Inc.

     25,562         925,344   

Sotheby’s

     2,616         83,660   
     

 

 

 
Total Diversified Consumer Services         1,009,004   
Diversified Financial Services – 0.6%      

CBOE Holdings, Inc.

     4,332         290,590   

Intercontinental Exchange, Inc.

     4,943         1,161,556   

McGraw Hill Financial, Inc.

     13,544         1,171,556   

MSCI, Inc.

     6,470         384,706   
     

 

 

 
Total Diversified Financial Services         3,008,408   
Electric Utilities – 0.1%      

ITC Holdings Corp.

     9,901         330,099   
Electrical Equipment – 1.2%      

Acuity Brands, Inc.

     595         104,470   

AMETEK, Inc.

     6,796         355,567   

Emerson Electric Co.

     82,654         3,650,827   

EnerSys

     2,010         107,696   

Hubbell, Inc. Class B

     4,225         358,914   

Regal Beloit Corp.

     2,010         113,464   

Rockwell Automation, Inc.

     12,396         1,257,822   
     

 

 

 
Total Electrical Equipment         5,948,760   
Electronic Equipment, Instruments & Components – 0.1%   

Amphenol Corp. Class A

     8,126         414,101   

FEI Co.

     1,288         94,075   

FLIR Systems, Inc.

     4,710         131,833   
     

 

 

 
Total Electronic Equipment, Instruments & Components         640,009   
Energy Equipment & Services – 0.8%      

Baker Hughes, Inc.

     19,813         1,031,068   

Halliburton Co.

     59,262         2,094,912   

Helmerich & Payne, Inc.

     18,168         858,620   
     

 

 

 
Total Energy Equipment & Services         3,984,600   
Food & Staples Retailing – 3.6%      

Casey’s General Stores, Inc.

     1,315         135,340   

Costco Wholesale Corp.

     16,610         2,401,308   

CVS Health Corp.

     51,737         4,991,586   

Kroger Co. (The)

     43,704         1,576,403   

PriceSmart, Inc.

     934         72,235   

Sysco Corp.

     66,269         2,582,503   

Walgreens Boots Alliance, Inc.

     63,393         5,267,958   

Whole Foods Market, Inc.

     14,364         454,621   
     

 

 

 
Total Food & Staples Retailing         17,481,954   
Food Products – 2.0%      

Flowers Foods, Inc.

     21,989         544,008   

Hershey Co. (The)

     12,960         1,190,765   

Hormel Foods Corp.

     15,195         961,995   
Investments    Shares      Value  

Keurig Green Mountain, Inc.

     4,981       $ 259,709   

Kraft Heinz Co. (The)

     80,712         5,696,653   

McCormick & Co., Inc. Non-Voting Shares

     8,764         720,226   

Tyson Foods, Inc. Class A

     11,142         480,220   
     

 

 

 
Total Food Products         9,853,576   
Health Care Equipment & Supplies – 1.6%      

Baxter International, Inc.

     58,066         1,907,468   

Becton, Dickinson and Co.

     11,227         1,489,374   

C.R. Bard, Inc.

     1,481         275,925   

Cooper Cos., Inc. (The)

     30         4,466   

ResMed, Inc.

     10,870         553,935   

St. Jude Medical, Inc.

     17,186         1,084,265   

STERIS Corp.

     3,217         209,009   

Stryker Corp.

     18,627         1,752,801   

West Pharmaceutical Services, Inc.

     2,052         111,054   

Zimmer Biomet Holdings, Inc.

     4,951         465,047   
     

 

 

 
Total Health Care Equipment & Supplies         7,853,344   
Health Care Providers & Services – 2.2%      

Aetna, Inc.

     14,861         1,625,942   

Cardinal Health, Inc.

     21,088         1,619,980   

McKesson Corp.

     4,053         749,927   

Patterson Cos., Inc.

     6,334         273,945   

UnitedHealth Group, Inc.

     53,782         6,239,250   
     

 

 

 
Total Health Care Providers & Services         10,509,044   
Hotels, Restaurants & Leisure – 5.5%      

Brinker International, Inc.

     4,827         254,238   

Cracker Barrel Old Country Store, Inc.(a)

     2,659         391,618   

Dunkin’ Brands Group, Inc.

     7,444         364,756   

Jack in the Box, Inc.

     1,382         106,469   

Las Vegas Sands Corp.

     107,268         4,072,966   

McDonald’s Corp.

     134,964         13,298,003   

Starbucks Corp.

     85,156         4,840,267   

Wyndham Worldwide Corp.

     7,662         550,898   

Yum! Brands, Inc.

     36,278         2,900,426   
     

 

 

 
Total Hotels, Restaurants & Leisure         26,779,641   
Household Durables – 0.5%      

D.R. Horton, Inc.

     14,160         415,738   

Harman International Industries, Inc.

     3,168         304,096   

Lennar Corp. Class A

     2,351         113,154   

PulteGroup, Inc.

     21,859         412,479   

Tupperware Brands Corp.

     8,058         398,791   

Whirlpool Corp.

     4,836         712,149   
     

 

 

 
Total Household Durables         2,356,407   
Household Products – 2.0%   

Church & Dwight Co., Inc.

     8,088         678,583   

Colgate-Palmolive Co.

     70,849         4,496,078   

Kimberly-Clark Corp.

     41,112         4,482,852   
     

 

 

 
Total Household Products         9,657,513   
Industrial Conglomerates – 1.8%      

3M Co.

     51,453         7,294,492   

Carlisle Cos., Inc.

     2,687         234,790   

 

See Notes to Financial Statements.

 

102   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Danaher Corp.

     12,337       $ 1,051,236   

Roper Technologies, Inc.

     1,981         310,422   
     

 

 

 
Total Industrial Conglomerates         8,890,940   
Insurance – 0.7%      

AmTrust Financial Services, Inc.

     4,718         297,140   

Arthur J. Gallagher & Co.

     18,276         754,433   

Marsh & McLennan Cos., Inc.

     39,506         2,063,003   
     

 

 

 
Total Insurance         3,114,576   
Internet & Catalog Retail – 0.1%      

Expedia, Inc.

     3,412         401,524   

HSN, Inc.

     3,636         208,125   
     

 

 

 
Total Internet & Catalog Retail         609,649   
Internet Software & Services – 0.1%      

IAC/InterActiveCorp

     4,668         304,680   

j2 Global, Inc.

     2,393         169,544   
     

 

 

 
Total Internet Software & Services         474,224   
IT Services – 4.3%      

Automatic Data Processing, Inc.

     30,969         2,488,669   

Booz Allen Hamilton Holding Corp.

     6,729         176,367   

DST Systems, Inc.

     1,356         142,570   

Global Payments, Inc.

     117         13,423   

International Business Machines Corp.

     76,046         11,024,389   

Jack Henry & Associates, Inc.

     3,076         214,120   

MasterCard, Inc. Class A

     15,684         1,413,442   

MAXIMUS, Inc.

     685         40,799   

Paychex, Inc.

     32,303         1,538,592   

Total System Services, Inc.

     6,102         277,214   

Visa, Inc. Class A

     39,879         2,777,971   

Western Union Co. (The)

     41,851         768,384   
     

 

 

 
Total IT Services         20,875,940   
Leisure Products – 0.6%      

Brunswick Corp.

     3,415         163,545   

Hasbro, Inc.

     14,243         1,027,490   

Mattel, Inc.

     61,501         1,295,211   

Polaris Industries, Inc.

     3,298         395,331   
     

 

 

 
Total Leisure Products         2,881,577   
Life Sciences Tools & Services – 0.0%      

Bio-Techne Corp.

     1,937         179,095   
Machinery – 2.8%      

Allison Transmission Holdings, Inc.

     12,335         329,221   

Caterpillar, Inc.

     69,317         4,530,559   

CLARCOR, Inc.

     2,358         112,430   

Cummins, Inc.

     14,909         1,618,819   

Donaldson Co., Inc.

     8,837         248,143   

Dover Corp.

     14,418         824,421   

Flowserve Corp.

     5,741         236,185   

Graco, Inc.

     3,027         202,900   

IDEX Corp.

     4,359         310,797   

Illinois Tool Works, Inc.

     30,035         2,472,181   

ITT Corp.

     3,731         124,727   

Joy Global, Inc.

     6,114         91,282   

Lincoln Electric Holdings, Inc.

     4,782         250,720   
Investments    Shares      Value  

Manitowoc Co., Inc. (The)

     2,104       $ 31,560   

Nordson Corp.

     2,645         166,476   

Parker-Hannifin Corp.

     11,230         1,092,679   

Timken Co. (The)

     8,278         227,562   

Toro Co. (The)

     2,675         188,695   

Valmont Industries, Inc.

     1,024         97,167   

Wabtec Corp.

     979         86,201   

Woodward, Inc.

     1,714         69,760   

Xylem, Inc.

     9,606         315,557   
     

 

 

 
Total Machinery         13,628,042   
Media – 4.1%      

CBS Corp. Class B Non-Voting Shares

     19,802         790,100   

Cinemark Holdings, Inc.

     11,856         385,201   

Comcast Corp. Class A

     128,987         7,336,780   

Comcast Corp. Special Class A

     24,967         1,429,111   

John Wiley & Sons, Inc. Class A

     3,691         184,661   

Morningstar, Inc.

     1,706         136,924   

Scripps Networks Interactive, Inc. Class A

     3,968         195,186   

TEGNA, Inc.

     21,874         489,759   

Twenty-First Century Fox, Inc. Class A

     34,344         926,601   

Twenty-First Century Fox, Inc. Class B

     20,866         564,843   

Viacom, Inc. Class A

     3,316         146,799   

Viacom, Inc. Class B

     23,885         1,030,638   

Walt Disney Co. (The)

     58,810         6,010,382   
     

 

 

 
Total Media         19,626,985   
Metals & Mining – 0.7%      

Compass Minerals International, Inc.

     3,662         286,991   

Freeport-McMoRan, Inc.

     220,411         2,135,783   

Reliance Steel & Aluminum Co.

     7,009         378,556   

Royal Gold, Inc.

     3,025         142,114   

Steel Dynamics, Inc.

     20,215         347,294   
     

 

 

 
Total Metals & Mining         3,290,738   
Multiline Retail – 1.6%      

Big Lots, Inc.

     3,385         162,209   

Dillard’s, Inc. Class A

     315         27,528   

Macy’s, Inc.

     25,978         1,333,191   

Nordstrom, Inc.

     12,714         911,721   

Target Corp.

     67,186         5,284,851   
     

 

 

 
Total Multiline Retail         7,719,500   
Oil, Gas & Consumable Fuels – 6.2%      

Cabot Oil & Gas Corp.

     4,163         91,003   

Cimarex Energy Co.

     2,041         209,162   

EOG Resources, Inc.

     15,835         1,152,788   

EQT Corp.

     913         59,135   

Exxon Mobil Corp.

     319,245         23,735,866   

HollyFrontier Corp.

     24,786         1,210,548   

Marathon Petroleum Corp.

     49,615         2,298,663   

Range Resources Corp.

     1,733         55,664   

SM Energy Co.

     730         23,389   

Tesoro Corp.

     7,544         733,578   

Western Refining, Inc.

     11,872         523,793   
     

 

 

 
Total Oil, Gas & Consumable Fuels         30,093,589   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      103   


Table of Contents

 

Schedule of Investments (unaudited) (concluded)

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

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Personal Products – 0.2%      

Estee Lauder Cos., Inc. (The) Class A

     11,246       $ 907,327   
Pharmaceuticals – 4.0%      

Bristol-Myers Squibb Co.

     150,323         8,899,121   

Eli Lilly & Co.

     116,000         9,708,040   

Zoetis, Inc.

     12,816         527,763   
     

 

 

 
Total Pharmaceuticals         19,134,924   
Professional Services – 0.3%      

Equifax, Inc.

     5,519         536,336   

ManpowerGroup, Inc.

     4,332         354,748   

Robert Half International, Inc.

     6,482         331,619   
     

 

 

 
Total Professional Services         1,222,703   
Real Estate Management & Development – 0.0%      

Jones Lang LaSalle, Inc.

     529         76,054   
Road & Rail – 2.1%      

Con-way, Inc.

     2,663         126,359   

CSX Corp.

     67,571         1,817,660   

JB Hunt Transport Services, Inc.

     4,287         306,092   

Kansas City Southern

     4,128         375,153   

Knight Transportation, Inc.

     2,097         50,328   

Landstar System, Inc.

     759         48,174   

Norfolk Southern Corp.

     25,786         1,970,050   

Ryder System, Inc.

     3,331         246,627   

Union Pacific Corp.

     58,466         5,168,979   
     

 

 

 
Total Road & Rail         10,109,422   
Semiconductors & Semiconductor Equipment – 4.0%      

Altera Corp.

     16,164         809,493   

Analog Devices, Inc.

     22,525         1,270,635   

Intel Corp.

     347,721         10,480,311   

Linear Technology Corp.

     15,629         630,630   

Microchip Technology, Inc.

     17,895         771,096   

NVIDIA Corp.

     25,717         633,924   

Skyworks Solutions, Inc.

     3,902         328,587   

Teradyne, Inc.

     7,062         127,187   

Texas Instruments, Inc.

     73,543         3,641,849   

Xilinx, Inc.

     18,452         782,365   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         19,476,077   
Software – 5.4%      

Activision Blizzard, Inc.

     19,899         614,680   

FactSet Research Systems, Inc.

     1,330         212,547   

Intuit, Inc.

     8,408         746,210   

Microsoft Corp.

     432,282         19,132,802   

Oracle Corp.

     144,217         5,209,118   

SS&C Technologies Holdings, Inc.

     2,032         142,321   
     

 

 

 
Total Software               26,057,678   
Specialty Retail – 4.3%      

Advance Auto Parts, Inc.

     413         78,276   

Dick’s Sporting Goods, Inc.

     3,710         184,053   

DSW, Inc. Class A

     6,133         155,226   

Foot Locker, Inc.

     8,359         601,597   

Gap, Inc. (The)

     35,394         1,008,729   
Investments    Shares      Value  

GNC Holdings, Inc. Class A

     4,780       $ 193,208   

Home Depot, Inc. (The)

     93,748         10,826,957   

Lowe’s Cos., Inc.

     51,690         3,562,475   

Penske Automotive Group, Inc.

     5,745         278,288   

Ross Stores, Inc.

     13,762         667,044   

Tiffany & Co.

     7,018         541,930   

TJX Cos., Inc. (The)

     27,264         1,947,195   

Tractor Supply Co.

     4,057         342,086   

Williams-Sonoma, Inc.

     6,235         476,042   
     

 

 

 
Total Specialty Retail               20,863,106   
Technology Hardware, Storage & Peripherals – 4.8%   

Apple, Inc.

     184,952         20,400,206   

EMC Corp.

     89,953         2,173,264   

NetApp, Inc.

     13,811         408,806   

SanDisk Corp.

     7,122         386,938   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         23,369,214   
Textiles, Apparel & Luxury Goods – 1.6%      

Carter’s, Inc.

     1,891         171,400   

Coach, Inc.

     39,170         1,133,188   

Columbia Sportswear Co.

     3,377         198,534   

Hanesbrands, Inc.

     16,172         468,018   

NIKE, Inc. Class B

     29,415         3,617,163   

Ralph Lauren Corp.

     2,284         269,877   

VF Corp.

     28,233         1,925,773   

Wolverine World Wide, Inc.

     3,168         68,555   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               7,852,508   
Tobacco – 3.5%      

Altria Group, Inc.

     305,997         16,646,237   
Trading Companies & Distributors – 0.5%      

Air Lease Corp.

     1,741         53,832   

Fastenal Co.

     24,051         880,507   

MSC Industrial Direct Co., Inc. Class A

     3,659         223,309   

W.W. Grainger, Inc.

     4,441         954,859   

Watsco, Inc.

     2,615         309,825   
     

 

 

 
Total Trading Companies & Distributors               2,422,332   

TOTAL COMMON STOCKS

(Cost: $513,258,135)

              483,347,188   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1%   
United States – 0.1%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $657,837)(c)      657,837         657,837   

TOTAL INVESTMENTS IN SECURITIES – 100.0%

(Cost: $513,915,972)

        484,005,025   

Liabilities in Excess of Cash and Other Assets – (0.0)%

  

     (18,041
     

 

 

 
NET ASSETS – 100.0%             $ 483,986,984   
(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $643,523 and the total market value of the collateral held by the Fund was $657,837.

 

See Notes to Financial Statements.

 

104   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
COMMON STOCKS – 99.8%      
United States – 99.8%      
Aerospace & Defense – 0.5%      

AAR Corp.

     2,588       $ 49,094   

HEICO Corp.

     369         18,037   

HEICO Corp. Class A

     639         29,017   

National Presto Industries, Inc.

     721         60,752   
     

 

 

 
Total Aerospace & Defense         156,900   
Air Freight & Logistics – 0.3%      

Forward Air Corp.

     1,735         71,985   

Park-Ohio Holdings Corp.

     646         18,644   
     

 

 

 
Total Air Freight & Logistics         90,629   
Auto Components – 1.4%      

Cooper Tire & Rubber Co.

     4,816         190,280   

Remy International, Inc.

     4,194         122,675   

Standard Motor Products, Inc.

     1,956         68,225   

Strattec Security Corp.

     110         6,937   
     

 

 

 
Total Auto Components         388,117   
Banks – 5.2%      

BancFirst Corp.

     1,988         125,443   

Bank of Hawaii Corp.

     8,162         518,205   

CoBiz Financial, Inc.

     3,185         41,437   

CVB Financial Corp.

     16,249         271,358   

German American Bancorp, Inc.

     1,611         47,154   

Hanmi Financial Corp.

     2,503         63,076   

Lakeland Financial Corp.

     1,978         89,307   

Mercantile Bank Corp.

     2,171         45,113   

Preferred Bank

     1,238         39,121   

South State Corp.

     1,965         151,049   

Stock Yards Bancorp, Inc.

     2,420         87,967   
     

 

 

 
Total Banks         1,479,230   
Building Products – 0.8%      

AAON, Inc.

     2,728         52,868   

Insteel Industries, Inc.

     610         9,809   

Simpson Manufacturing Co., Inc.

     4,910         164,436   
     

 

 

 
Total Building Products         227,113   
Capital Markets – 3.1%      

Arlington Asset Investment Corp. Class A

     17,136         240,761   

Cohen & Steers, Inc.

     5,608         153,939   

Evercore Partners, Inc. Class A

     4,816         241,956   

Financial Engines, Inc.

     2,168         63,891   

GAMCO Investors, Inc. Class A

     133         7,302   

Pzena Investment Management, Inc. Class A

     1,208         10,751   

Silvercrest Asset Management Group, Inc. Class A

     1,468         15,869   

Virtus Investment Partners, Inc.

     608         61,104   

Westwood Holdings Group, Inc.

     1,479         80,384   
     

 

 

 
Total Capital Markets         875,957   
Chemicals – 4.3%      

A. Schulman, Inc.

     3,758         122,022   

Balchem Corp.

     730         44,362   

Chase Corp.

     727         28,637   
Investments    Shares      Value  

FutureFuel Corp.

     10,379       $ 102,545   

H.B. Fuller Co.

     3,432         116,482   

Hawkins, Inc.

     1,168         44,968   

Innophos Holdings, Inc.

     4,551         180,402   

Innospec, Inc.

     1,930         89,764   

Minerals Technologies, Inc.

     612         29,474   

Olin Corp.(a)

     16,600         279,046   

Quaker Chemical Corp.

     1,125         86,715   

Stepan Co.

     2,553         106,230   
     

 

 

 
Total Chemicals         1,230,647   
Commercial Services & Supplies – 7.3%      

ABM Industries, Inc.

     7,432         202,968   

CECO Environmental Corp.

     2,637         21,597   

Essendant, Inc.

     3,236         104,944   

G&K Services, Inc. Class A

     2,257         150,361   

HNI Corp.

     5,380         230,802   

Interface, Inc.

     3,892         87,336   

Kimball International, Inc. Class B

     4,350         41,151   

Knoll, Inc.

     7,374         162,081   

Matthews International Corp. Class A

     2,204         107,930   

McGrath RentCorp

     4,396         117,329   

Mobile Mini, Inc.

     4,891         150,594   

MSA Safety, Inc.

     5,325         212,840   

Steelcase, Inc. Class A

     12,704         233,881   

Tetra Tech, Inc.

     4,075         99,063   

U.S. Ecology, Inc.

     2,344         102,316   

UniFirst Corp.

     126         13,458   

Viad Corp.

     1,865         54,066   
     

 

 

 
Total Commercial Services & Supplies         2,092,717   
Communications Equipment – 1.8%      

ADTRAN, Inc.

     5,604         81,819   

Alliance Fiber Optic Products, Inc.

     1,191         20,354   

Comtech Telecommunications Corp.

     3,729         76,855   

InterDigital, Inc.

     3,370         170,522   

Plantronics, Inc.

     2,925         148,736   

TESSCO Technologies, Inc.

     1,430         30,087   
     

 

 

 
Total Communications Equipment         528,373   
Construction & Engineering – 0.1%      

Primoris Services Corp.

     2,265         40,566   
Construction Materials – 0.0%      

United States Lime & Minerals, Inc.

     255         11,641   
Consumer Finance – 0.1%   

Cash America International, Inc.

     1,105         30,907   
Containers & Packaging – 0.9%      

Greif, Inc. Class A

     5,547         177,005   

Myers Industries, Inc.

     6,010         80,534   
     

 

 

 
Total Containers & Packaging         257,539   
Distributors – 1.2%      

Core-Mark Holding Co., Inc.

     1,164         76,184   

Pool Corp.

     3,663         264,835   
     

 

 

 
Total Distributors         341,019   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      105   


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Diversified Consumer Services – 0.3%      

Capella Education Co.

     1,456       $ 72,101   

Carriage Services, Inc.

     587         12,674   
     

 

 

 
Total Diversified Consumer Services         84,775   
Diversified Financial Services – 0.8%      

Gain Capital Holdings, Inc.

     5,870         42,734   

MarketAxess Holdings, Inc.

     2,051         190,497   
     

 

 

 
Total Diversified Financial Services         233,231   
Diversified Telecommunication Services – 1.2%      

Atlantic Tele-Network, Inc.

     1,627         120,284   

IDT Corp. Class B

     4,809         68,769   

Inteliquent, Inc.

     6,591         147,177   
     

 

 

 
Total Diversified Telecommunication Services         336,230   
Electrical Equipment – 0.9%      

Allied Motion Technologies, Inc.

     284         5,047   

AZZ, Inc.

     2,004         97,575   

Encore Wire Corp.

     286         9,344   

Franklin Electric Co., Inc.

     2,770         75,427   

Global Power Equipment Group, Inc.

     2,682         9,843   

LSI Industries, Inc.

     832         7,022   

Powell Industries, Inc.

     1,624         48,882   

Preformed Line Products Co.

     510         18,946   
     

 

 

 
Total Electrical Equipment         272,086   
Electronic Equipment, Instruments & Components – 2.5%      

Badger Meter, Inc.

     1,185         68,801   

CTS Corp.

     1,849         34,225   

Daktronics, Inc.

     8,578         74,371   

Dolby Laboratories, Inc. Class A

     2,764         90,107   

Littelfuse, Inc.

     1,408         128,339   

Mesa Laboratories, Inc.

     195         21,723   

Methode Electronics, Inc.

     2,312         73,753   

MTS Systems Corp.

     1,598         96,056   

Vishay Intertechnology, Inc.

     14,509         140,592   
     

 

 

 
Total Electronic Equipment, Instruments & Components         727,967   
Energy Equipment & Services – 2.2%      

Bristow Group, Inc.

     4,445         116,281   

CARBO Ceramics, Inc.(a)

     5,168         98,140   

Patterson-UTI Energy, Inc.

     24,004         315,413   

U.S. Silica Holdings, Inc.(a)

     6,534         92,064   
     

 

 

 
Total Energy Equipment & Services         621,898   
Food & Staples Retailing – 0.7%      

Ingles Markets, Inc. Class A

     1,692         80,928   

Liberator Medical Holdings, Inc.(a)

     9,763         22,943   

Weis Markets, Inc.

     2,448         102,204   
     

 

 

 
Total Food & Staples Retailing         206,075   
Food Products – 4.7%      

Alico, Inc.

     257         10,432   

B&G Foods, Inc.

     14,520         529,254   

Cal-Maine Foods, Inc.(a)

     4,842         264,421   

Calavo Growers, Inc.

     1,685         75,218   

J&J Snack Foods Corp.

     1,321         150,145   
Investments    Shares      Value  

Lancaster Colony Corp.

     3,210       $ 312,911   

Limoneira Co.(a)

     619         10,356   
     

 

 

 
Total Food Products         1,352,737   
Gas Utilities – 1.7%      

Delta Natural Gas Co., Inc.

     1,008         20,624   

New Jersey Resources Corp.

     15,230         457,357   
     

 

 

 
Total Gas Utilities         477,981   
Health Care Equipment & Supplies – 2.7%      

Abaxis, Inc.

     920         40,471   

Analogic Corp.

     347         28,468   

Atrion Corp.

     103         38,621   

Cantel Medical Corp.

     557         31,582   

CONMED Corp.

     2,969         141,740   

CryoLife, Inc.

     1,933         18,808   

Hill-Rom Holdings, Inc.

     4,537         235,879   

Meridian Bioscience, Inc.

     11,926         203,934   

Utah Medical Products, Inc.

     402         21,656   
     

 

 

 
Total Health Care Equipment & Supplies         761,159   
Health Care Providers & Services – 2.8%      

Aceto Corp.

     1,955         53,665   

Chemed Corp.

     809         107,977   

Ensign Group, Inc. (The)

     858         36,576   

Landauer, Inc.

     3,561         131,721   

National Healthcare Corp.

     1,365         83,115   

Owens & Minor, Inc.

     11,089         354,183   

U.S. Physical Therapy, Inc.

     838         37,618   
     

 

 

 
Total Health Care Providers & Services         804,855   
Health Care Technology – 0.4%      

Computer Programs & Systems, Inc.

     2,554         107,600   
Hotels, Restaurants & Leisure – 5.0%      

Cheesecake Factory, Inc. (The)

     3,952         213,250   

Churchill Downs, Inc.

     1,103         147,593   

DineEquity, Inc.

     3,912         358,574   

Interval Leisure Group, Inc.

     7,065         129,713   

Marcus Corp. (The)

     2,527         48,872   

Papa John’s International, Inc.

     2,344         160,517   

Sonic Corp.

     4,120         94,554   

Texas Roadhouse, Inc.

     7,522         279,818   
     

 

 

 
Total Hotels, Restaurants & Leisure         1,432,891   
Household Durables – 2.3%      

Bassett Furniture Industries, Inc.

     1,033         28,769   

Ethan Allen Interiors, Inc.

     2,798         73,895   

Hooker Furniture Corp.

     1,564         36,816   

La-Z-Boy, Inc.

     3,854         102,362   

Lennar Corp. Class B

     881         34,888   

Lifetime Brands, Inc.

     707         9,884   

MDC Holdings, Inc.

     11,560         302,641   

NACCO Industries, Inc. Class A

     612         29,101   

Ryland Group, Inc. (The)

     883         36,053   
     

 

 

 
Total Household Durables         654,409   

 

See Notes to Financial Statements.

 

106   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Schedule of Investments (unaudited) (continued)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  
Household Products – 0.5%      

WD-40 Co.

     1,518       $ 135,208   
Industrial Conglomerates – 0.3%      

Raven Industries, Inc.

     5,320         90,174   
Insurance – 3.4%      

AMERISAFE, Inc.

     1,319         65,594   

Employers Holdings, Inc.

     2,135         47,589   

HCI Group, Inc.

     1,627         63,079   

National Interstate Corp.

     1,935         51,626   

ProAssurance Corp.

     8,539         419,008   

RLI Corp.

     4,040         216,261   

Universal Insurance Holdings, Inc.

     4,083         120,612   
     

 

 

 
Total Insurance         983,769   
Internet & Catalog Retail – 0.3%      

PetMed Express, Inc.(a)

     6,020         96,922   
IT Services – 1.7%      

Computer Task Group, Inc.

     3,035         18,786   

Convergys Corp.

     8,218         189,918   

CSG Systems International, Inc.

     5,181         159,575   

Hackett Group, Inc. (The)

     2,477         34,059   

Heartland Payment Systems, Inc.

     1,386         87,332   
     

 

 

 
Total IT Services         489,670   
Leisure Products – 0.5%      

Arctic Cat, Inc.

     1,144         25,374   

Johnson Outdoors, Inc. Class A

     587         12,385   

Sturm Ruger & Co., Inc.

     1,862         109,281   
     

 

 

 
Total Leisure Products         147,040   
Machinery – 5.6%      

Actuant Corp. Class A

     544         10,004   

Alamo Group, Inc.

     399         18,653   

Albany International Corp. Class A

     3,017         86,316   

Altra Industrial Motion Corp.

     2,722         62,933   

American Railcar Industries, Inc.(a)

     4,109         148,581   

Astec Industries, Inc.

     1,469         49,226   

Barnes Group, Inc.

     4,438         159,990   

CIRCOR International, Inc.

     271         10,873   

Columbus McKinnon Corp.

     706         12,821   

Dynamic Materials Corp.

     743         7,088   

Federal Signal Corp.

     3,008         41,240   

Gorman-Rupp Co. (The)

     2,091         50,121   

Graham Corp.

     326         5,754   

Greenbrier Cos., Inc. (The)(a)

     2,111         67,784   

Hardinge, Inc.

     506         4,645   

Hillenbrand, Inc.

     9,112         237,003   

Hyster-Yale Materials Handling, Inc.

     1,078         62,341   

John Bean Technologies Corp.

     1,931         73,861   

Kadant, Inc.

     952         37,138   

L.B. Foster Co. Class A

     203         2,493   

Lindsay Corp.(a)

     864         58,571   

Mueller Industries, Inc.

     3,099         91,668   

NN, Inc.

     1,691         31,283   

Standex International Corp.

     479         36,093   
Investments    Shares      Value  

Sun Hydraulics Corp.

     1,450       $ 39,831   

Supreme Industries, Inc. Class A

     1,148         9,563   

Tennant Co.

     1,292         72,585   

Twin Disc, Inc.

     1,321         16,394   

Watts Water Technologies, Inc. Class A

     1,670         88,209   
     

 

 

 
Total Machinery         1,593,062   
Media – 1.1%      

Meredith Corp.

     7,053         300,317   

Saga Communications, Inc. Class A

     415         13,948   
     

 

 

 
Total Media         314,265   
Metals & Mining – 3.1%      

Carpenter Technology Corp.

     4,797         142,806   

Commercial Metals Co.

     21,204         287,314   

Gold Resource Corp.(a)

     11,277         28,531   

Kaiser Aluminum Corp.

     2,059         165,235   

Materion Corp.

     1,187         35,634   

Worthington Industries, Inc.

     8,183         216,686   
     

 

 

 
Total Metals & Mining         876,206   
Oil, Gas & Consumable Fuels – 3.0%      

Adams Resources & Energy, Inc.

     558         22,878   

Delek U.S. Holdings, Inc.

     7,868         217,943   

Panhandle Oil and Gas, Inc. Class A

     854         13,801   

PBF Energy, Inc. Class A

     21,565         608,780   
     

 

 

 
Total Oil, Gas & Consumable Fuels         863,402   
Paper & Forest Products – 1.6%      

Deltic Timber Corp.

     463         27,692   

Neenah Paper, Inc.

     2,059         119,998   

PH Glatfelter Co.

     4,581         78,885   

Schweitzer-Mauduit International, Inc.

     6,620         227,596   
     

 

 

 
Total Paper & Forest Products         454,171   
Personal Products – 2.0%      

Inter Parfums, Inc.

     3,391         84,131   

Nu Skin Enterprises, Inc. Class A

     11,986         494,782   
     

 

 

 
Total Personal Products         578,913   
Professional Services – 1.6%      

CEB, Inc.

     2,977         203,448   

Exponent, Inc.

     1,954         87,070   

Insperity, Inc.

     3,603         158,280   

VSE Corp.

     257         10,298   
     

 

 

 
Total Professional Services         459,096   
Real Estate Investment Trusts (REITs) – 2.0%      

Potlatch Corp.

     8,090         232,911   

Saul Centers, Inc.

     3,228         167,049   

Universal Health Realty Income Trust

     3,503         164,431   
     

 

 

 
Total Real Estate Investment Trusts (REITs)         564,391   
Road & Rail – 0.5%      

ArcBest Corp.

     838         21,595   

Celadon Group, Inc.

     550         8,811   

Heartland Express, Inc.

     1,577         31,445   

Universal Truckload Services, Inc.

     1,737         27,045   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      107   


Table of Contents

Schedule of Investments (unaudited) (concluded)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

September 30, 2015

 

  

 

 

Investments    Shares      Value  

Werner Enterprises, Inc.

     2,766       $ 69,427   
     

 

 

 
Total Road & Rail         158,323   
Semiconductors & Semiconductor Equipment – 1.7%      

Integrated Silicon Solution, Inc.

     2,639         56,712   

IXYS Corp.

     2,094         23,369   

MKS Instruments, Inc.

     5,691         190,819   

Monolithic Power Systems, Inc.

     2,813         144,026   

Power Integrations, Inc.

     1,636         68,990   
     

 

 

 
Total Semiconductors & Semiconductor Equipment         483,916   
Software – 2.0%      

Blackbaud, Inc.

     3,029         169,988   

Ebix, Inc.(a)

     4,054         101,188   

Fair Isaac Corp.

     216         18,252   

Mentor Graphics Corp.

     6,270         154,430   

Monotype Imaging Holdings, Inc.

     2,665         58,150   

Pegasystems, Inc.

     2,661         65,487   
     

 

 

 
Total Software         567,495   
Specialty Retail – 9.1%      

Aaron’s, Inc.

     1,422         51,348   

Abercrombie & Fitch Co. Class A(a)

     12,064         255,636   

Big 5 Sporting Goods Corp.

     3,972         41,229   

Buckle, Inc. (The)(a)

     4,995         184,665   

Cato Corp. (The) Class A

     4,522         153,884   

Chico’s FAS, Inc.

     17,231         271,044   

Children’s Place, Inc. (The)

     1,216         70,127   

Destination Maternity Corp.

     4,403         40,596   

Finish Line, Inc. (The) Class A

     3,183         61,432   

Group 1 Automotive, Inc.

     1,212         103,202   

Guess?, Inc.

     22,199         474,171   

Haverty Furniture Cos., Inc.

     1,824         42,827   

Lithia Motors, Inc. Class A

     1,052         113,732   

Men’s Wearhouse, Inc. (The)

     4,922         209,283   

Monro Muffler Brake, Inc.

     1,716         115,916   

Pier 1 Imports, Inc.(a)

     9,470         65,343   

Rent-A-Center, Inc.

     9,119         221,136   

Sonic Automotive, Inc. Class A

     861         17,582   

Stage Stores, Inc.

     5,372         52,860   

Stein Mart, Inc.

     5,481         53,056   

Winmark Corp.

     105         10,806   
     

 

 

 
Total Specialty Retail               2,609,875   
Technology Hardware, Storage & Peripherals – 1.4%      

Astro-Med, Inc.

     530         7,367   

Lexmark International, Inc. Class A

     13,180         381,956   
     

 

 

 
Total Technology Hardware, Storage & Peripherals         389,323   
Textiles, Apparel & Luxury Goods – 0.6%      

Culp, Inc.

     706         22,641   

Movado Group, Inc.

     1,605         41,457   

Oxford Industries, Inc.

     1,452         107,274   
     

 

 

 
Total Textiles, Apparel & Luxury Goods               171,372   
Investments    Shares      Value  
Thrifts & Mortgage Finance – 0.1%      

Federal Agricultural Mortgage Corp. Class C

     1,140       $ 29,560   
Trading Companies & Distributors – 2.3%      

Applied Industrial Technologies, Inc.

     5,496         209,672   

H&E Equipment Services, Inc.

     7,799         130,399   

Houston Wire & Cable Co.

     3,982         25,246   

Kaman Corp.

     2,703         96,903   

TAL International Group, Inc.*

     14,299         195,467   
     

 

 

 
Total Trading Companies & Distributors               657,687   
Wireless Telecommunication Services – 0.2%      

Spok Holdings, Inc.

     3,972         65,379   

TOTAL COMMON STOCKS

(Cost: $31,362,774)

              28,604,468   
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 4.7%   
United States – 4.7%      

State Street Navigator Securities Lending Prime Portfolio, 0.20%(b)

     
(Cost: $1,361,837)(c)      1,361,837         1,361,837   

TOTAL INVESTMENTS IN SECURITIES – 104.5%

(Cost: $32,724,611)

        29,966,305   

Liabilities in Excess of Cash and Other Assets – (4.5)%

  

     (1,298,279
     

 

 

 
NET ASSETS – 100.0%             $ 28,668,026   

 

* 

Non-income producing security.

 

(a) 

Security, or portion thereof, was on loan at September 30, 2015 (See Note 2).

 

(b) 

Rate shown represents annualized 7-day yield as of September 30, 2015.

 

(c) 

At September 30, 2015, the total market value of the Fund’s securities on loan was $1,332,360 and the total market value of the collateral held by the Fund was $1,367,424. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $5,587.

 

 

See Notes to Financial Statements.

 

108   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Statements of Assets and Liabilities (unaudited)

WisdomTree Domestic Earnings and Dividend Funds

September 30, 2015

 

  

 

 

     

WisdomTree

Dividend
ex-Financials Fund

    

WisdomTree
Earnings

500 Fund

    

WisdomTree

High

Dividend Fund

    

WisdomTree

LargeCap

Dividend Fund

     WisdomTree
LargeCap
Value Fund
 

ASSETS:

              

Investments, at cost

   $ 972,303,204       $ 114,526,567       $ 898,221,762       $ 1,612,792,656       $ 30,329,889   

Investment in affiliates, at cost (Note 8)

     2,193,012         19,642         1,238         1,308,306         138,364   

Investments in securities, at value (including securities on loan) (Note 2)1

     935,177,105         124,984,996         861,924,569         1,619,473,806         30,816,333   

Investment in affiliates, at value (Note 8)

     2,183,316         19,598         1,290         1,216,725         128,989   

Cash

     1,083,711         63,957         983,017         1,178,796         19,146   

Receivables:

              

Investment securities sold

     6,711,747                 2,886,070         6,589,029           

Dividends

     2,031,923         139,897         2,366,605         2,849,813         20,245   

Total Assets

     947,187,802         125,208,448         868,161,551         1,631,308,169         30,984,713   

LIABILITIES:

              

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     18,322,186         189,492         3,992,451         20,775         131,940   

Investment securities purchased

     978,071                                   

Capital shares redeemed

     6,721,663                 2,734,100         6,594,514           

Advisory fees (Note 3)

     294,550         28,984         269,187         379,320         9,725   

Service fees (Note 2)

     3,419         457         3,120         5,966         113   

Total Liabilities

     26,319,889         218,933         6,998,858         7,000,575         141,778   

NET ASSETS

   $ 920,867,913       $ 124,989,515       $ 861,162,693       $ 1,624,307,594       $ 30,842,935   

NET ASSETS:

              

Paid-in capital

   $ 1,010,014,542       $ 132,014,017       $ 941,976,312       $ 1,604,797,765       $ 36,918,896   

Undistributed net investment income

     1,366,670         91,427         1,516,425         1,844,081         10,682   

Accumulated net realized gain (loss) on investments

     (53,377,504      (17,574,314      (46,032,903      11,076,179         (6,563,712

Net unrealized appreciation (depreciation) on investments

     (37,135,795      10,458,385         (36,297,141      6,589,569         477,069   

NET ASSETS

   $ 920,867,913       $ 124,989,515       $ 861,162,693       $ 1,624,307,594       $ 30,842,935   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     13,700,000         1,900,000         15,500,000         24,150,000         500,000   

Net asset value per share

   $ 67.22       $ 65.78       $ 55.56       $ 67.26       $ 61.69   

1 Market value of securities out on loan were as follows:

   $ 25,830,014       $ 185,522       $ 4,377,427       $ 2,329,463       $ 202,353   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      109   


Table of Contents

Statements of Assets and Liabilities (unaudited) (continued)

WisdomTree Domestic Earnings and Dividend Funds

September 30, 2015

 

  

 

 

     

WisdomTree
MidCap

Dividend Fund

     WisdomTree
MidCap
Earnings Fund
    

WisdomTree
SmallCap

Dividend Fund

     WisdomTree
SmallCap
Earnings Fund
    

WisdomTree
Total

Dividend Fund

 

ASSETS:

              

Investments, at cost

   $ 1,487,813,400       $ 734,236,483       $ 1,246,768,038       $ 418,503,536       $ 434,991,829   

Investment in affiliates, at cost (Note 8)

     68,725         1,426,283         2,340,186         2,376,267         619,665   

Investments in securities, at value (including securities on loan) (Note 2)1

     1,470,181,504         723,105,229         1,207,133,168         390,599,109         469,199,229   

Investment in affiliates, at value (Note 8)

     63,993         1,432,670         2,377,672         2,249,643         599,421   

Cash

     20,068         220,434         1,362,543         165,990         319,717   

Receivables:

              

Investment securities sold

     1,311,687         76,200                 298,664         42,646   

Capital shares sold

     3,824,832                                   

Dividends

     2,407,692         759,412         2,483,485         370,074         845,334   

Total Assets

     1,477,809,776         725,593,945         1,213,356,868         393,683,480         471,006,347   

LIABILITIES:

              

Payables:

              

Investment of cash collateral for securities loaned (Note 2)

     49,143,858         24,608,659         79,832,049         25,574,379         2,288,103   

Investment securities purchased

     3,821,357                 1,568,561                   

Advisory fees (Note 3)

     449,748         223,415         358,007         119,864         108,045   

Service fees (Note 2)

     5,214         2,596         4,154         1,393         1,701   

Total Liabilities

     53,420,177         24,834,670         81,762,771         25,695,636         2,397,849   

NET ASSETS

   $ 1,424,389,599       $ 700,759,275       $ 1,131,594,097       $ 367,987,844       $ 468,608,498   

NET ASSETS:

              

Paid-in capital

   $ 1,421,237,633       $ 731,126,385       $ 1,233,575,704       $ 428,033,778       $ 429,188,600   

Undistributed net investment income

     1,587,541         530,976         1,245,202         271,502         560,631   

Accumulated net realized gain (loss) on investments

     19,201,053         (19,773,219      (63,629,425      (32,286,385      4,672,111   

Net unrealized appreciation (depreciation) on investments

     (17,636,628      (11,124,867      (39,597,384      (28,031,051      34,187,156   

NET ASSETS

   $ 1,424,389,599       $ 700,759,275       $ 1,131,594,097       $ 367,987,844       $ 468,608,498   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     18,350,000         8,150,000         17,950,000         5,000,000         6,900,000   

Net asset value per share

   $ 77.62       $ 85.98       $ 63.04       $ 73.60       $ 67.91   

1 Market value of securities out on loan were as follows:

   $ 49,673,344       $ 24,450,228       $ 78,162,159       $ 24,908,333       $ 2,221,260   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

110   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Statements of Assets and Liabilities (unaudited) (concluded)

WisdomTree Domestic Earnings and Dividend Funds

September 30, 2015

 

  

 

 

     

WisdomTree
Total

Earnings Fund

    

WisdomTree
U.S. Quality
Dividend

Growth Fund

     WisdomTree
U.S. SmallCap
Quality Dividend
Growth Fund
 

ASSETS:

        

Investments, at cost

   $ 67,881,124       $ 513,915,972       $ 32,724,611   

Investments in securities, at value (including securities on loan) (Note 2)1

     68,074,409         484,005,025         29,966,305   

Cash

     33,271         279,938         21,994   

Receivables:

        

Investment securities sold

     1,325         1,406,015           

Capital shares sold

             9,815,862           

Dividends

     75,362         471,535         50,702   

Total Assets

     68,184,367         495,978,375         30,039,001   

LIABILITIES:

        

Payables:

        

Investment of cash collateral for securities loaned (Note 2)

     523,681         657,837         1,361,837   

Investment securities purchased

             9,815,791           

Capital shares redeemed

             1,406,090           

Advisory fees (Note 3)

     15,783         109,945         9,033   

Service fees (Note 2)

     248         1,728         105   

Total Liabilities

     539,712         11,991,391         1,370,975   

NET ASSETS

   $ 67,644,655       $ 483,986,984       $ 28,668,026   

NET ASSETS:

        

Paid-in capital

   $ 62,441,540       $ 509,431,316       $ 32,436,274   

Undistributed net investment income

     49,126         276,335         30,777   

Accumulated net realized gain (loss) on investments

     4,960,704         4,190,280         (1,040,719

Net unrealized appreciation (depreciation) on investments

     193,285         (29,910,947      (2,758,306

NET ASSETS

   $ 67,644,655       $ 483,986,984       $ 28,668,026   

Outstanding beneficial interest shares of $0.001 par value (unlimited number of shares authorized)

     1,000,000         16,900,000         1,100,000   

Net asset value per share

   $ 67.64       $ 28.64       $ 26.06   

1 Market value of securities out on loan were as follows:

   $ 510,451       $ 643,523       $ 1,332,360   
  

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      111   


Table of Contents

Statements of Operations (unaudited)

WisdomTree Domestic Earnings and Dividend Funds

For the Six Months Ended September 30, 2015

 

  

 

 

     

WisdomTree

Dividend
ex-Financials Fund

    

WisdomTree
Earnings

500 Fund

    

WisdomTree

High
Dividend Fund

    

WisdomTree

LargeCap

Dividend Fund

     WisdomTree
LargeCap
Value Fund
 

INVESTMENT INCOME:

              

Dividends

   $ 20,426,727       $ 1,532,157       $ 19,117,694       $ 27,591,610       $ 267,453   

Dividends from affiliates (Note 8)

     61,560         7,517         27,115         45,426         1,998   

Securities lending income (Note 2)

     84,216         12,037         120,680         44,785         5,063   

Total investment income

     20,572,503         1,551,711         19,265,489         27,681,821         274,514   

EXPENSES:

              

Advisory fees (Note 3)

     2,139,490         190,837         1,872,023         2,607,353         57,991   

Service fees (Note 2)

     24,773         2,999         21,676         40,973         671   

Legal fees (Note 2)

                     1,968                   

Total expenses

     2,164,263         193,836         1,895,667         2,648,326         58,662   

Expense waivers (Note 3)

     (3,509      (92      (819      (1,526      (224

Net expenses

     2,160,754         193,744         1,894,848         2,646,800         58,438   

Net investment income

     18,411,749         1,357,967         17,370,641         25,035,021         216,076   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     12,016,301         341,938         2,629,463         2,796,775         (460,594

Investment transactions in affiliates (Note 8)

     (98,161      (31,604      (191,797      (86,985      (7,290

In-kind redemptions

     30,911,086         1,522,272         18,253,460         82,027,157         2,385,255   

In-kind redemptions in affiliates (Note 8)

     2,279         254         19,752         12,527           

Net realized gain

     42,831,505         1,832,860         20,710,878         84,749,474         1,917,371   

Net change in unrealized depreciation on investments

     (167,420,139      (12,573,211      (103,231,576      (230,099,178      (4,508,803

Net realized and unrealized loss on investments

     (124,588,634      (10,740,351      (82,520,698      (145,349,704      (2,591,432

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (106,176,885    $ (9,382,384    $ (65,150,057    $ (120,314,683    $ (2,375,356

 

See Notes to Financial Statements.

 

112   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Statements of Operations (unaudited) (continued)

WisdomTree Domestic Earnings and Dividend Funds

For the Six Months Ended September 30, 2015

 

  

 

 

      WisdomTree
MidCap
Dividend Fund
     WisdomTree
MidCap
Earnings Fund
     WisdomTree
SmallCap
Dividend Fund
     WisdomTree
SmallCap
Earnings Fund
     WisdomTree
Total
Dividend Fund
 

INVESTMENT INCOME:

              

Dividends1

   $ 22,672,065       $ 5,693,481       $ 19,758,672       $ 2,612,138       $ 7,880,999   

Dividends from affiliates (Note 8)

     38,528         36,665         37,183         7,837         10,224   

Securities lending income (Note 2)

     550,562         255,875         1,069,299         597,190         44,257   

Total investment income

     23,261,155         5,986,021         20,865,154         3,217,165         7,935,480   

EXPENSES:

              

Advisory fees (Note 3)

     2,993,133         1,432,165         2,351,977         794,815         736,414   

Service fees (Note 2)

     34,657         16,582         27,233         9,203         11,571   

Legal fees (Note 2)

     6,470                                 812   

Total expenses

     3,034,260         1,448,747         2,379,210         804,018         748,797   

Expense waivers (Note 3)

     (1,374      (1,398      (1,421      (1,365        

Net expenses

     3,032,886         1,447,349         2,377,789         802,653         748,797   

Net investment income

     20,228,269         4,538,672         18,487,365         2,414,512         7,186,683   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

              

Net realized gain (loss) from:

              

Investment transactions

     (2,055,527      3,261,728         5,174,797         (603,296      948,524   

Investment transactions in affiliates (Note 8)

     (170,789      (58,335      (135,894      (10,595      3,119   

In-kind redemptions

     26,753,563                 2,939,887         1,975,627         27,450,169   

In-kind redemptions in affiliates (Note 8)

     7,908                 3,775         (145        

Net realized gain

     24,535,155         3,203,393         7,982,565         1,361,591         28,401,812   

Net change in unrealized depreciation on investments

     (183,454,853      (88,684,122      (170,338,024      (56,521,292      (72,242,351

Net realized and unrealized loss on investments

     (158,919,698      (85,480,729      (162,355,459      (55,159,701      (43,840,539

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (138,691,429    $ (80,942,057    $ (143,868,094    $ (52,745,189    $ (36,653,856

1 Net of foreign withholding tax of:

   $       $       $       $ 823       $   
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      113   


Table of Contents

Statements of Operations (unaudited) (concluded)

WisdomTree Domestic Earnings and Dividend Funds

For the Six Months Ended September 30, 2015

 

  

 

 

     

WisdomTree
Total

Earnings Fund

     WisdomTree
U.S. Quality
Dividend
Growth Fund
     WisdomTree
U.S. SmallCap
Quality Dividend
Growth Fund
 

INVESTMENT INCOME:

        

Dividends1

   $ 1,013,798       $ 6,069,473       $ 325,302   

Securities lending income (Note 2)

     20,680         15,529         18,190   

Total investment income

     1,034,478         6,085,002         343,492   

EXPENSES:

        

Advisory fees (Note 3)

     132,126         694,526         50,323   

Service fees (Note 2)

     2,076         10,914         583   

Total expenses

     134,202         705,440         50,906   

Net investment income

     900,276         5,379,562         292,586   

NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

        

Net realized gain from:

        

Investment transactions

     347,641         879,089         31,194   

In-kind redemptions

     10,121,892         5,366,363           

Net realized gain

     10,469,533         6,245,452         31,194   

Net change in unrealized depreciation on investments

     (18,838,579      (52,123,912      (3,990,045

Net realized and unrealized loss on investments

     (8,369,046      (45,878,460      (3,958,851

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (7,468,770    $ (40,498,898    $ (3,666,265

1 Net of foreign withholding tax of:

   $ 19       $       $   
  

 

 

    

 

 

    

 

 

 

 

See Notes to Financial Statements.

 

114   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Statements of Changes in Net Assets

WisdomTree Domestic Earnings and Dividend Funds

 

 

  

 

 

     WisdomTree
Dividend ex-Financials Fund
    WisdomTree
Earnings 500 Fund
    WisdomTree
High Dividend Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

          

Net investment income

  $ 18,411,749      $ 40,438,109      $ 1,357,967      $ 2,326,752      $ 17,370,641       $ 31,264,944   

Net realized gain on investments

    42,831,505        100,929,982        1,832,860        10,117,566        20,710,878         100,160,031   

Net change in unrealized depreciation on investments

    (167,420,139     (13,005,302     (12,573,211     (211,909     (103,231,576      (41,482,698

Net increase (decrease) in net assets resulting from operations

    (106,176,885     128,362,789        (9,382,384     12,232,409        (65,150,057      89,942,277   

DIVIDENDS:

            

Net investment income

    (18,590,059     (39,456,992     (1,335,016     (2,297,699     (17,305,844      (30,019,168

CAPITAL SHARE TRANSACTIONS:

            

Net proceeds from sale of shares

           378,042,831               49,289,980                562,545,150   

Cost of shares redeemed

    (205,351,904     (343,773,894     (3,679,133     (21,189,284     (116,230,651      (360,213,965

Net increase (decrease) in net assets resulting from capital share transactions

    (205,351,904     34,268,937        (3,679,133     28,100,696        (116,230,651      202,331,185   

Net Increase (Decrease) in Net Assets

    (330,118,848     123,174,734        (14,396,533     38,035,406        (198,686,552      262,254,294   

NET ASSETS:

            

Beginning of period

  $ 1,250,986,761      $ 1,127,812,027      $ 139,386,048      $ 101,350,642      $ 1,059,849,245       $ 797,594,951   

End of period

  $ 920,867,913      $ 1,250,986,761      $ 124,989,515      $ 139,386,048      $ 861,162,693       $ 1,059,849,245   

Undistributed net investment income included in net assets at end of period

  $ 1,366,670      $ 1,544,980      $ 91,427      $ 68,476      $ 1,516,425       $ 1,451,628   

SHARES CREATED AND REDEEMED:

            

Shares outstanding, beginning of period

    16,500,000        16,050,000        1,950,000        1,550,000        17,450,000         14,100,000   

Shares created

           4,950,000               700,000                9,250,000   

Shares redeemed

    (2,800,000     (4,500,000     (50,000     (300,000     (1,950,000      (5,900,000

Shares outstanding, end of period

    13,700,000        16,500,000        1,900,000        1,950,000        15,500,000         17,450,000   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      115   


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

 

  

 

 

     WisdomTree
LargeCap Dividend Fund
    WisdomTree
LargeCap Value Fund
    WisdomTree
MidCap Dividend Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

          

Net investment income

  $ 25,035,021      $ 54,055,938      $ 216,076       $ 389,856      $ 20,228,269      $ 32,448,034   

Net realized gain on investments

    84,749,474        270,980,053        1,917,371         4,288,300        24,535,155        124,743,157   

Net change in unrealized appreciation (depreciation) on investments

    (230,099,178     (78,758,022     (4,508,803      (860,084     (183,454,853     7,825,969   

Net increase (decrease) in net assets resulting from operations

    (120,314,683     246,277,969        (2,375,356      3,818,072        (138,691,429     165,017,160   

DIVIDENDS:

            

Net investment income

    (24,804,443     (52,955,618     (218,001      (385,836     (20,621,879     (30,452,989

CAPITAL SHARE TRANSACTIONS:

            

Net proceeds from sale of shares

    3,249,541        895,710,195        23,562,639         17,435,834        93,460,972        765,348,105   

Cost of shares redeemed

    (340,441,031     (804,300,296     (16,637,196      (20,714,417     (105,653,807     (297,164,121

Net increase (decrease) in net assets resulting from capital share transactions

    (337,191,490     91,409,899        6,925,443         (3,278,583     (12,192,835     468,183,984   

Net Increase (Decrease) in Net Assets

    (482,310,616     284,732,250        4,332,086         153,653        (171,506,143     602,748,155   

NET ASSETS:

            

Beginning of period

  $ 2,106,618,210      $ 1,821,885,960      $ 26,510,849       $ 26,357,196      $ 1,595,895,742      $ 993,147,587   

End of period

  $ 1,624,307,594      $ 2,106,618,210      $ 30,842,935       $ 26,510,849      $ 1,424,389,599      $ 1,595,895,742   

Undistributed net investment income included in net assets at end of period

  $ 1,844,081      $ 1,613,503      $ 10,682       $ 12,607      $ 1,587,541      $ 1,981,151   

SHARES CREATED AND REDEEMED:

            

Shares outstanding, beginning of period

    28,750,000        26,950,000        400,000         450,000        18,550,000        12,900,000   

Shares created

    50,000        12,750,000        350,000         300,000        1,100,000        9,250,000   

Shares redeemed

    (4,650,000     (10,950,000     (250,000      (350,000     (1,300,000     (3,600,000

Shares outstanding, end of period

    24,150,000        28,750,000        500,000         400,000        18,350,000        18,550,000   

 

See Notes to Financial Statements.

 

116   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

 

  

 

 

     WisdomTree
MidCap Earnings Fund
    WisdomTree
SmallCap Dividend Fund
    WisdomTree
SmallCap Earnings Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

         

Net investment income

  $ 4,538,672      $ 8,335,542      $ 18,487,365      $ 31,096,433      $ 2,414,512      $ 5,250,296   

Net realized gain on investments

    3,203,393        53,922,532        7,982,565        69,775,853        1,361,591        37,522,298   

Net change in unrealized depreciation on investments

    (88,684,122     (1,974,745     (170,338,024     (11,600,102     (56,521,292     (22,953,050

Net increase (decrease) in net assets resulting from operations

    (80,942,057     60,283,329        (143,868,094     89,272,184        (52,745,189     19,819,544   

DIVIDENDS:

           

Net investment income

    (4,152,028     (8,472,389     (18,278,076     (31,680,603     (2,341,064     (5,168,210

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

    48,321,702        371,307,213        60,596,472        442,081,745        12,664,337        171,056,045   

Cost of shares redeemed

           (200,268,963     (15,788,512     (313,266,398     (11,711,544     (203,157,138

Net increase (decrease) in net assets resulting from capital share transactions

    48,321,702        171,038,250        44,807,960        128,815,347        952,793        (32,101,093

Net Increase (Decrease) in Net Assets

    (36,772,383     222,849,190        (117,338,210     186,406,928        (54,133,460     (17,449,759

NET ASSETS:

           

Beginning of period

  $ 737,531,658      $ 514,682,468      $ 1,248,932,307      $ 1,062,525,379      $ 422,121,304      $ 439,571,063   

End of period

  $ 700,759,275      $ 737,531,658      $ 1,131,594,097      $ 1,248,932,307      $ 367,987,844      $ 422,121,304   

Undistributed net investment income included in net assets at end of period

  $ 530,976      $ 144,332      $ 1,245,202      $ 1,035,913      $ 271,502      $ 198,054   

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    7,650,000        5,800,000        17,350,000        15,550,000        5,000,000        5,400,000   

Shares created

    500,000        4,050,000        850,000        6,300,000        150,000        2,100,000   

Shares redeemed

           (2,200,000     (250,000     (4,500,000     (150,000     (2,500,000

Shares outstanding, end of period

    8,150,000        7,650,000        17,950,000        17,350,000        5,000,000        5,000,000   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      117   


Table of Contents

Statements of Changes in Net Assets (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

 

  

 

 

     WisdomTree
Total Dividend Fund
    WisdomTree
Total Earnings Fund
    WisdomTree
U.S. Quality Dividend Growth Fund
 
     For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

   

         

Net investment income

  $ 7,186,683      $ 13,604,539      $ 900,276      $ 1,709,121      $ 5,379,562      $ 4,538,731   

Net realized gain on investments

    28,401,812        35,717,037        10,469,533        7,455,398        6,245,452        5,617,690   

Net change in unrealized appreciation (depreciation) on investments

    (72,242,351     4,486,777        (18,838,579     (348,237     (52,123,912     15,841,017   

Net increase (decrease) in net assets resulting from operations

    (36,653,856     53,808,353        (7,468,770     8,816,282        (40,498,898     25,997,438   

DIVIDENDS AND DISTRIBUTIONS:

           

Net investment income

    (7,222,518     (13,202,159     (901,000     (1,687,769     (5,273,354     (4,457,140

Capital gains

                                       (5,475

Total dividends and distributions

    (7,222,518     (13,202,159     (901,000     (1,687,769     (5,273,354     (4,462,615

CAPITAL SHARE TRANSACTIONS:

           

Net proceeds from sale of shares

           189,610,089               43,490,775        119,415,150        393,421,791   

Cost of shares redeemed

    (70,377,407     (67,308,790     (31,194,602     (14,584,629     (37,813,880     (71,600,204

Net increase (decrease) in net assets resulting from capital share transactions

    (70,377,407     122,301,299        (31,194,602     28,906,146        81,601,270        321,821,587   

Net Increase (Decrease) in Net Assets

    (114,253,781     162,907,493        (39,564,372     36,034,659        35,829,018        343,356,410   

NET ASSETS:

           

Beginning of period

  $ 582,862,279      $ 419,954,786      $ 107,209,027      $ 71,174,368      $ 448,157,966      $ 104,801,556   

End of period

  $ 468,608,498      $ 582,862,279      $ 67,644,655      $ 107,209,027      $ 483,986,984      $ 448,157,966   

Undistributed net investment income included in net assets at end of period

  $ 560,631      $ 596,466      $ 49,126      $ 49,850      $ 276,335      $ 170,127   

SHARES CREATED AND REDEEMED:

           

Shares outstanding, beginning of period

    7,850,000        6,150,000        1,450,000        1,050,000        14,350,000        3,750,000   

Shares created

           2,600,000               600,000        3,850,000        12,900,000   

Shares redeemed

    (950,000     (900,000     (450,000     (200,000     (1,300,000     (2,300,000

Shares outstanding, end of period

    6,900,000        7,850,000        1,000,000        1,450,000        16,900,000        14,350,000   

 

See Notes to Financial Statements.

 

118   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Statements of Changes in Net Assets (concluded)

WisdomTree Domestic Earnings and Dividend Funds

 

 

  

 

 

      WisdomTree
U.S. SmallCap Quality Dividend Growth Fund
 
      For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
 

INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:

  

Net investment income

   $ 292,586       $ 562,440   

Net realized gain on investments

     31,194         883,609   

Net change in unrealized appreciation (depreciation) on investments

     (3,990,045      466,901   

Net increase (decrease) in net assets resulting from operations

     (3,666,265      1,912,950   

DIVIDENDS AND DISTRIBUTIONS:

     

Net investment income

     (281,500      (581,041

Capital gains

             (1,702

Total dividends and distributions

     (281,500      (582,743

CAPITAL SHARE TRANSACTIONS:

     

Net proceeds from sale of shares

     10,022,139         10,037,640   

Cost of shares redeemed

             (12,937,188

Net increase (decrease) in net assets resulting from capital share transactions

     10,022,139         (2,899,548

Net Increase (Decrease) in Net Assets

     6,074,374         (1,569,341

NET ASSETS:

     

Beginning of period

   $ 22,593,652       $ 24,162,993   

End of period

   $ 28,668,026       $ 22,593,652   

Undistributed net investment income included in net assets at end of period

   $ 30,777       $ 19,691   

SHARES CREATED AND REDEEMED:

     

Shares outstanding, beginning of period

     750,000         850,000   

Shares created

     350,000         350,000   

Shares redeemed

             (450,000

Shares outstanding, end of period

     1,100,000         750,000   

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      119   


Table of Contents

Financial Highlights

WisdomTree Domestic Earnings and Dividend Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree Dividend
ex-Financials Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
     For the
Year Ended
March 31, 2012
     For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 75.82      $ 70.27      $ 62.03       $ 54.81       $ 50.13       $ 42.76   

Investment operations:

               

Net investment income1

     1.21        2.47        2.00         2.27         2.06         1.81   

Net realized and unrealized gain (loss)

     (8.58     5.38        8.22         7.36         4.31         7.25   

Total from investment operations

     (7.37     7.85        10.22         9.63         6.37         9.06   

Dividends to shareholders:

               

Net investment income

     (1.23     (2.30     (1.98      (2.41      (1.69      (1.69

Net asset value, end of period

   $ 67.22      $ 75.82      $ 70.27       $ 62.03       $ 54.81       $ 50.13   

TOTAL RETURN2

     (9.82 )%      11.27     16.75      18.18      12.99      21.68

RATIOS/SUPPLEMENTAL DATA:

               

Net assets, end of period (000’s omitted)

   $ 920,868      $ 1,250,987      $ 1,127,812       $ 1,094,800       $ 1,268,812       $ 343,382   

Ratios to average net assets3 of:

               

Expenses4

     0.38 %5      0.39 %6      0.38      0.38      0.38      0.38

Net investment income

     3.27 %5      3.34     3.06      4.08      4.05      3.99

Portfolio turnover rate7

     2     32     35      34      38      5

 

             
WisdomTree Earnings 500
Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 71.48      $ 65.39      $ 54.46       $ 49.42      $ 45.59      $ 40.75   

Investment operations:

             

Net investment income1

     0.71        1.34        1.14         1.04        0.88        0.77   

Net realized and unrealized gain (loss)

     (5.71     6.01        10.88         5.10        3.84        4.84   

Total from investment operations

     (5.00     7.35        12.02         6.14        4.72        5.61   

Dividends to shareholders:

             

Net investment income

     (0.70     (1.26     (1.09      (1.10     (0.89     (0.77

Net asset value, end of period

   $ 65.78      $ 71.48      $ 65.39       $ 54.46      $ 49.42      $ 45.59   

TOTAL RETURN2

     (7.05 )%      11.28     22.24      12.66     10.60     13.99

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 124,990      $ 139,386      $ 101,351       $ 65,354      $ 69,187      $ 63,832   

Ratios to average net assets3 of:

             

Expenses

     0.28 %4,5      0.29 %4,6      0.28      0.28 %4      0.28 %4      0.28 %4 

Net investment income

     1.99 %5      1.93     1.89      2.12     1.98     1.87

Portfolio turnover rate7

     1     16     15      13     16     12
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 Dividend ex-Financials Fund and WisdomTree 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, as well.

 

See Notes to Financial Statements.

 

120   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

WisdomTree High Dividend
Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
     For the
Year Ended
March 31, 2012
     For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 60.74      $ 56.57      $ 51.17       $ 44.81       $ 40.52       $ 35.12   

Investment operations:

               

Net investment income1

     1.05        1.95        1.77         1.82         1.66         1.61   

Net realized and unrealized gain (loss)

     (5.18     4.03        5.37         6.40         4.15         5.33   

Total from investment operations

     (4.13     5.98        7.14         8.22         5.81         6.94   

Dividends to shareholders:

               

Net investment income

     (1.05     (1.81     (1.74      (1.86      (1.52      (1.54

Net asset value, end of period

   $ 55.56      $ 60.74      $ 56.57       $ 51.17       $ 44.81       $ 40.52   

TOTAL RETURN2

     (6.88 )%      10.64     14.24      18.83      14.66      20.24

RATIOS/SUPPLEMENTAL DATA:

               

Net assets, end of period (000’s omitted)

   $ 861,163      $ 1,059,849      $ 797,595       $ 639,585       $ 427,918       $ 178,273   

Ratios to average net assets3 of:

               

Expenses4

     0.38 %5,6      0.39 %7      0.38      0.38      0.38      0.38

Net investment income

     3.53 %5      3.25     3.31      3.91      3.99      4.25

Portfolio turnover rate8

     2     27     30      28      22      8

 

             
WisdomTree LargeCap
Dividend Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 73.27      $ 67.60      $ 58.94       $ 52.98      $ 48.31      $ 42.56   

Investment operations:

             

Net investment income1

     0.98        1.86        1.65         1.61        1.45        1.33   

Net realized and unrealized gain (loss)

     (6.02     5.59        8.64         6.00        4.59        5.68   

Total from investment operations

     (5.04     7.45        10.29         7.61        6.04        7.01   

Dividends to shareholders:

             

Net investment income

     (0.97     (1.78     (1.63      (1.65     (1.37     (1.26

Net asset value, end of period

   $ 67.26      $ 73.27      $ 67.60       $ 58.94      $ 52.98      $ 48.31   

TOTAL RETURN2

     (6.95 )%      11.08     17.70      14.69     12.82     16.83

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 1,624,308      $ 2,106,618      $ 1,821,886       $ 1,500,106      $ 1,205,215      $ 611,094   

Ratios to average net assets3 of:

             

Expenses

     0.28 %4,5      0.29 %4,9      0.28      0.28 %4      0.28 %4      0.28 %4 

Net investment income

     2.69 %5      2.59     2.62      2.97     3.02     3.04

Portfolio turnover rate8

     1     12     11      14     14     5
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, which are not annualized. 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, as well.

 

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 Earnings and Dividend Funds      121   


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree LargeCap
Value Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
     For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 66.28      $ 58.57      $ 48.86       $ 44.31       $ 43.02      $ 37.01   

Investment operations:

              

Net investment income1

     0.47        0.88        0.61         1.02         0.75        0.49   

Net realized and unrealized gain (loss)

     (4.60     7.71        9.70         4.56         1.26        6.04   

Total from investment operations

     (4.13     8.59        10.31         5.58         2.01        6.53   

Dividends to shareholders:

              

Net investment income

     (0.46     (0.88     (0.60      (1.03      (0.72     (0.52

Net asset value, end of period

   $ 61.69      $ 66.28      $ 58.57       $ 48.86       $ 44.31      $ 43.02   

TOTAL RETURN2

     (6.27 )%      14.73     21.20      12.81      4.83     17.86

RATIOS/SUPPLEMENTAL DATA:

              

Net assets, end of period (000’s omitted)

   $ 30,843      $ 26,511      $ 26,357       $ 24,428       $ 31,015      $ 25,812   

Ratios to average net assets3 of:

              

Expenses

     0.38 %4,5      0.39 %5,6      0.38      0.38      0.38 %5      0.38 %5 

Net investment income

     1.42 %4      1.42     1.14      2.26      1.84     1.33

Portfolio turnover rate7

     61     63     67      65      62     6

 

             
WisdomTree MidCap
Dividend Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
     For the
Year Ended
March 31, 2012
     For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 86.03      $ 76.99      $ 65.15       $ 56.25       $ 54.01       $ 46.08   

Investment operations:

               

Net investment income1

     1.07        2.16        1.83         1.99         1.47         1.53   

Net realized and unrealized gain (loss)

     (8.39     8.84        11.82         8.91         2.17         7.79   

Total from investment operations

     (7.32     11.00        13.65         10.90         3.64         9.32   

Dividends to shareholders:

               

Net investment income

     (1.09     (1.96     (1.81      (2.00      (1.40      (1.39

Net asset value, end of period

   $ 77.62      $ 86.03      $ 76.99       $ 65.15       $ 56.25       $ 54.01   

TOTAL RETURN2

     (8.57 )%      14.46     21.24      19.96      6.99      20.60

RATIOS/SUPPLEMENTAL DATA:

               

Net assets, end of period (000’s omitted)

   $ 1,424,390      $ 1,595,896      $ 993,148       $ 540,728       $ 345,963       $ 256,552   

Ratios to average net assets3 of:

               

Expenses5

     0.38 %4,8      0.39 %9      0.38      0.38      0.38      0.38

Net investment income

     2.57 %4      2.65     2.58      3.46      2.81      3.16

Portfolio turnover rate7

     5     30     32      33      29      10
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 annualized 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, as well.

 

8 

Included in the expense ratio are legal expenses, which are not annualized. 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.

 

122   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree MidCap
Earnings Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
     For the
Year Ended
March 31, 2012
     For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 96.41      $ 88.74      $ 70.55       $ 61.00       $ 58.75       $ 47.22   

Investment operations:

               

Net investment income1

     0.57        1.25        1.00         1.09         0.62         0.73   

Net realized and unrealized gain (loss)

     (10.49     7.56        18.11         9.54         2.20         11.50   

Total from investment operations

     (9.92     8.81        19.11         10.63         2.82         12.23   

Dividends to shareholders:

               

Net investment income

     (0.51     (1.14     (0.92      (1.08      (0.57      (0.70

Net asset value, end of period

   $ 85.98      $ 96.41      $ 88.74       $ 70.55       $ 61.00       $ 58.75   

TOTAL RETURN2

     (10.32 )%      9.99     27.26      17.75      4.92      26.15

RATIOS/SUPPLEMENTAL DATA:

               

Net assets, end of period (000’s omitted)

   $ 700,759      $ 737,532      $ 514,682       $ 211,643       $ 158,596       $ 105,745   

Ratios to average net assets3 of:

               

Expenses4

     0.38 %5      0.39 %6      0.38      0.38      0.38      0.38

Net investment income

     1.20 %5      1.37     1.24      1.80      1.11      1.45

Portfolio turnover rate7

     2     36     41      39      38      18

 

             
WisdomTree SmallCap
Dividend Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
     For the
Year Ended
March 31, 2012
     For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 71.98      $ 68.33      $ 57.07       $ 49.03       $ 48.66       $ 42.39   

Investment operations:

               

Net investment income1

     1.03        1.97        1.85         1.87         1.68         1.72   

Net realized and unrealized gain (loss)

     (8.95     3.62        11.10         8.14         0.34         6.14   

Total from investment operations

     (7.92     5.59        12.95         10.01         2.02         7.86   

Dividends to shareholders:

               

Net investment income

     (1.02     (1.94     (1.69      (1.97      (1.65      (1.59

Net asset value, end of period

   $ 63.04      $ 71.98      $ 68.33       $ 57.07       $ 49.03       $ 48.66   

TOTAL RETURN2

     (11.10 )%      8.33     22.99      21.06      4.50      18.96

RATIOS/SUPPLEMENTAL DATA:

               

Net assets, end of period (000’s omitted)

   $ 1,131,594      $ 1,248,932      $ 1,062,525       $ 553,551       $ 313,791       $ 248,171   

Ratios to average net assets3 of:

               

Expenses4

     0.38 %5      0.39 %6      0.38      0.38      0.38      0.38

Net investment income

     2.99 %5      2.86     2.93      3.71      3.69      3.86

Portfolio turnover rate7

     3     33     42      49      31      11
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%.

 

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, as well.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      123   


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree SmallCap
Earnings Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 84.42      $ 81.40      $ 63.40       $ 56.59      $ 54.97      $ 44.33   

Investment operations:

             

Net investment income1

     0.48        0.99        0.73         1.03        0.74        0.65   

Net realized and unrealized gain (loss)

     (10.84     2.96        17.95         6.86        1.59        10.60   

Total from investment operations

     (10.36     3.95        18.68         7.89        2.33        11.25   

Dividends to shareholders:

             

Net investment income

     (0.46     (0.93     (0.68      (1.08     (0.71     (0.61

Net asset value, end of period

   $ 73.60      $ 84.42      $ 81.40       $ 63.40      $ 56.59      $ 54.97   

TOTAL RETURN2

     (12.33 )%      4.89     29.55      14.20     4.39     25.57

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 367,988      $ 422,121      $ 439,571       $ 180,687      $ 147,127      $ 134,672   

Ratios to average net assets3 of:

             

Expenses

     0.38 %4,5      0.39 %5,6      0.38      0.38 %5      0.38 %5      0.38 %5 

Net investment income

     1.15 %4      1.24     0.98      1.83     1.43     1.37

Portfolio turnover rate7

     3     43     61      50     41     19

 

             
WisdomTree Total Dividend
Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 74.25      $ 68.29      $ 59.33       $ 53.04      $ 48.84      $ 42.89   

Investment operations:

             

Net investment income1

     1.00        1.91        1.68         1.65        1.47        1.37   

Net realized and unrealized gain (loss)

     (6.33     5.86        8.91         6.32        4.15        5.92   

Total from investment operations

     (5.33     7.77        10.59         7.97        5.62        7.29   

Dividends to shareholders:

             

Net investment income

     (1.01     (1.81     (1.63      (1.68     (1.42     (1.34

Net asset value, end of period

   $ 67.91      $ 74.25      $ 68.29       $ 59.33      $ 53.04      $ 48.84   

TOTAL RETURN2

     (7.25 )%      11.47     18.10      15.39     11.81     17.37

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 468,608      $ 582,862      $ 419,955       $ 296,638      $ 243,985      $ 170,948   

Ratios to average net assets3 of:

             

Expenses

     0.28 %4,8      0.29 %5,9      0.28      0.28 %5      0.28 %5      0.28 %5 

Net investment income

     2.73 %4      2.64     2.65      3.05     3.03     3.10

Portfolio turnover rate7

     1     13     12      13     15     6
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, as well.

 

8 

Included in the expense ratio are legal expenses, which are not annualized. 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 0.28%.

 

See Notes to Financial Statements.

 

124   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

Financial Highlights (continued)

WisdomTree Domestic Earnings and Dividend Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree Total Earnings
Fund
   For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the
Year Ended
March 31, 2014
     For the
Year Ended
March 31, 2013
    For the
Year Ended
March 31, 2012
    For the
Year Ended
March 31, 2011
 

Net asset value, beginning of period

   $ 73.94      $ 67.79      $ 56.14       $ 50.62      $ 47.12      $ 41.56   

Investment operations:

             

Net investment income1

     0.70        1.34        1.12         1.07        0.88        0.77   

Net realized and unrealized gain (loss)

     (6.20     6.05        11.63         5.51        3.58        5.55   

Total from investment operations

     (5.50     7.39        12.75         6.58        4.46        6.32   

Dividends to shareholders:

             

Net investment income

     (0.80     (1.24     (1.10      (1.06     (0.96     (0.76

Net asset value, end of period

   $ 67.64      $ 73.94      $ 67.79       $ 56.14      $ 50.62      $ 47.12   

TOTAL RETURN2

     (7.50 )%      10.93     22.89      13.23     9.74     15.44

RATIOS/SUPPLEMENTAL DATA:

             

Net assets, end of period (000’s omitted)

   $ 67,645      $ 107,209      $ 71,174       $ 53,329      $ 43,026      $ 54,193   

Ratios to average net assets of:

             

Expenses

     0.28 %3      0.29 %4      0.28      0.28 %5      0.28 %5,6      0.28 %5,6 

Net investment income

     1.91 %3      1.88     1.81      2.10 %5      1.90 %5      1.82 %5 

Portfolio turnover rate7

     1     16     13      13     12     9

 

         
WisdomTree U.S. Quality Dividend Growth Fund          For the
Six Months Ended
September 30, 2015
(unaudited)
    For the
Year Ended
March 31, 2015
    For the Period
May 22, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

                  $ 31.23      $ 27.95      $ 24.86   

Investment operations:

               

Net investment income1

              0.33        0.66        0.48   

Net realized and unrealized gain (loss)

               (2.60     3.21        3.02   

Total from investment operations

                    (2.27     3.87        3.50   

Dividends and distributions to shareholders:

            

Net investment income

              (0.32     (0.59     (0.41

Capital gains

                           (0.00 )8      (0.00 )8 

Total dividends and distributions to shareholders

                    (0.32     (0.59     (0.41

Net asset value, end of period

                  $ 28.64      $ 31.23      $ 27.95   

TOTAL RETURN2

                    (7.31 )%      13.94     14.19

RATIOS/SUPPLEMENTAL DATA:

               

Net assets, end of period (000’s omitted)

         $ 483,987      $ 448,158      $ 104,802   

Ratios to average net assets of:

               

Expenses

              0.28 %3      0.29 %4      0.28 %3 

Net investment income

                    2.17 %3      2.19     2.11 %3 

Portfolio turnover rate7

                    1     35     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, 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 0.28%.

 

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 

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, as well.

 

8 

Amount represents less than $0.005.

 

See Notes to Financial Statements.

 

WisdomTree Domestic Earnings and Dividend Funds      125   


Table of Contents

Financial Highlights (concluded)

WisdomTree Domestic Earnings and Dividend Funds

 

Selected data for a share of beneficial interest outstanding throughout the period is presented below:

 

 

 

WisdomTree U.S. SmallCap Quality Dividend
Growth Fund
                     For the
Six Months Ended
September 30, 2015
(unaudited)
     For the
Year Ended
March 31, 2015
     For the Period
July 25, 2013*
through
March 31, 2014
 

Net asset value, beginning of period

                  $ 30.12       $ 28.43       $ 25.02   

Investment operations:

                 

Net investment income1

              0.32         0.65         0.34   

Net realized and unrealized gain (loss)

                    (4.08      1.69         3.32   

Total from investment operations

                    (3.76      2.34         3.66   

Dividends and distributions to shareholders:

                 

Net investment income

              (0.30      (0.65      (0.25

Capital gains

                            (0.00 )2         

Total dividends and distributions to shareholders

                    (0.30      (0.65      (0.25

Net asset value, end of period

                  $ 26.06       $ 30.12       $ 28.43   

TOTAL RETURN3

                    (12.56 )%       8.37      14.66

RATIOS/SUPPLEMENTAL DATA:

                 

Net assets, end of period (000’s omitted)

            $ 28,668       $ 22,594       $ 24,163   

Ratios to average net assets of:

                 

Expenses

              0.38 %4       0.39 %5       0.38 %4 

Net investment income

                    2.21 %4       2.30      1.82 %4 

Portfolio turnover rate6

                    1      53      71

 

* 

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.

 

4 

Annualized.

 

5 

Included in the expense ratio are proxy expenses. Without these proxy expenses, the expense ratio would have been 0.38%.

 

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, as well.

 

See Notes to Financial Statements.

 

126   WisdomTree Domestic Earnings and Dividend 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, 2015, the Trust offered 79 investment funds (each a “Fund”, collectively, the “Funds”). In accordance with Accounting Standard Update (“ASU”) 2013-08, Financial Services-Investment Companies, each Fund 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 Dividend ex-Financials Fund (“Dividend ex-Financials Fund”)

     June 16, 2006   

WisdomTree Earnings 500 Fund (“Earnings 500 Fund”)

     February 23, 2007   

WisdomTree High Dividend Fund (“High Dividend Fund”) (formerly, WisdomTree Equity Income Fund)

     June 16, 2006   

WisdomTree LargeCap Dividend Fund (“LargeCap Dividend Fund”)

     June 16, 2006   

WisdomTree LargeCap Value Fund (“LargeCap Value Fund”)

     February 23, 2007   

WisdomTree MidCap Dividend Fund (“MidCap Dividend Fund”)

     June 16, 2006   

WisdomTree MidCap Earnings Fund (“MidCap Earnings Fund”)

     February 23, 2007   

WisdomTree SmallCap Dividend Fund (“SmallCap Dividend Fund”)

     June 16, 2006   

WisdomTree SmallCap Earnings Fund (“SmallCap Earnings Fund”)

     February 23, 2007   

WisdomTree Total Dividend Fund (“Total Dividend Fund”)

     June 16, 2006   

WisdomTree Total Earnings Fund (“Total Earnings Fund”)

     February 23, 2007   

WisdomTree U.S. Quality Dividend Growth Fund (“U.S. Quality Dividend Growth Fund”)
(formerly, WisdomTree U.S. Dividend Growth Fund)

     May 22, 2013   

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (“U.S. SmallCap Quality Dividend Growth Fund”)
(formerly, WisdomTree U.S. SmallCap Dividend Growth Fund)

     July 25, 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 mark 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.

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, generally 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 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. 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

 

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(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. Fixed income securities (including short-term debt securities with remaining maturities of 60 days or less) generally are valued at current market quotations or mean prices obtained from broker-dealers or independent pricing service providers. Each Fund may invest in money market funds which are valued at their NAV per share and affiliated ETFs which are valued at their last sale or official closing price on the exchange on which they are principally traded.

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 and derivatives will be fair valued in accordance with the Fund’s pricing policy. The Board of Trustees of the Trust has established a pricing committee (the “Pricing Committee”) which is comprised of senior representatives of WisdomTree Asset Management, Inc. (“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 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 independent pricing service providers.

 

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Notes to Financial Statements (unaudited) (continued)

 

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, book values, 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, 2015 in valuing each Fund’s assets:

 

Dividend ex-Financials Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 916,854,919       $       $   

Exchange-Traded Funds

     2,183,316                   

Investment of Cash Collateral for Securities Loaned

             18,322,186           

Total

   $ 919,038,235       $ 18,322,186       $   
       
Earnings 500 Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 124,795,504       $       $   

Exchange-Traded Fund

     19,598                   

Investment of Cash Collateral for Securities Loaned

             189,492           

Total

   $ 124,815,102       $ 189,492       $   
       
High Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 857,932,118       $       $   

Exchange-Traded Fund

     1,290                   

Investment of Cash Collateral for Securities Loaned

             3,992,451           

Total

   $ 857,933,408       $ 3,992,451       $   
       
LargeCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,619,453,031       $       $   

Exchange-Traded Fund

     1,216,725                   

Investment of Cash Collateral for Securities Loaned

             20,775           

Total

   $ 1,620,669,756       $ 20,775       $   
       
LargeCap Value Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 30,684,393       $       $   

Exchange-Traded Funds

     128,989                   

Investment of Cash Collateral for Securities Loaned

             131,940           

Total

   $ 30,813,382       $ 131,940       $   

 

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MidCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,421,037,646       $       $   

Exchange-Traded Fund

     63,993                   

Investment of Cash Collateral for Securities Loaned

             49,143,858           

Total

   $ 1,421,101,639       $ 49,143,858       $   
       
MidCap Earnings Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 698,496,570       $       $   

Exchange-Traded Fund

     1,432,670                   

Investment of Cash Collateral for Securities Loaned

             24,608,659           

Total

   $ 699,929,240       $ 24,608,659       $   
       
SmallCap Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 1,127,301,119       $       $   

Exchange-Traded Fund

     2,377,672                   

Investment of Cash Collateral for Securities Loaned

             79,832,049           

Total

   $ 1,129,678,791       $ 79,832,049       $   
       
SmallCap Earnings Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 365,024,730       $       $   

Exchange-Traded Fund

     2,249,643                   

Investment of Cash Collateral for Securities Loaned

             25,574,379           

Total

   $ 367,274,373       $ 25,574,379       $   
       
Total Dividend Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 466,911,126       $       $   

Exchange-Traded Fund

     599,421                   

Investment of Cash Collateral for Securities Loaned

             2,288,103           

Total

   $ 467,510,547       $ 2,288,103       $   
       
Total Earnings Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 67,550,728       $       $   

Investment of Cash Collateral for Securities Loaned

             523,681           

Total

   $ 67,550,728       $ 523,681       $   
       
U.S. Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 483,347,188       $       $   

Investment of Cash Collateral for Securities Loaned

             657,837           

Total

   $ 483,347,188       $ 657,837       $   
       
U.S. SmallCap Quality Dividend Growth Fund    Level 1      Level 2      Level 3  

Common Stocks*

   $ 28,604,468       $       $   

Investment of Cash Collateral for Securities Loaned

             1,361,837           

Total

   $ 28,604,468       $ 1,361,837       $   
  * Please refer to Schedule of Investments for a breakdown of the valuation by industry.

There were no Level 3 securities at or during the six months ended September 30, 2015.

 

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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, 2015, SmallCap Dividend Fund transferred securities with a fair value of $66,688 from Level 2 to Level 1 primarily due to the availability of a quoted price in an active market for identical investments as of September 30, 2015

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 is recognized on the ex-dividend date, net of any foreign taxes withheld, if any.

Expenses/Reimbursements — Under the investment advisory agreement for each Fund, except U.S. Quality Dividend Growth Fund and U.S. SmallCap Quality Dividend Growth Fund, 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 U.S. Quality Dividend Growth Fund and U.S. SmallCap Quality Dividend Growth Fund, 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.

The internal expenses of pooled investment vehicles in which the Funds may invest (acquired fund fees and expenses) are not expenses of the Funds and are not paid by WTAM.

During the six months ended September 30, 2015, High Dividend Fund, MidCap Dividend Fund and Total Dividend Fund (the “Affected Funds”) incurred legal expenses pertaining to defending against 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 transfers 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. While the Affected Funds believe that they have valid defenses and are participating in the defense along with a number of other shareholders, at this stage of the proceedings, the Affected Funds are not able to make a reliable prediction as to the outcome of these lawsuits or the effect, if any, on an Affected Fund’s net asset value.

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.

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 value of the investment of cash collateral for securities on loan along with the obligation to return such collateral are included on the Statements of Assets and Liabilities. The value of securities received as collateral for securities on loan are not included on 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 Statement 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

 

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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, 2015, are presented on a gross basis in the Statements of Assets and Liabilities. As of September 30, 2015, the Funds had securities on loan and the value of the related collateral received by each Fund exceeded the value of the securities loaned by each Fund at period end. The value of the securities loaned by each Fund is located in the Statements of Assets and Liabilities. 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 Regulated Investment Company (“RIC”) under Subchapter M of the Code. It is the policy of each Fund to pay out dividends, if any, to investors’ at least annually. 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.

 

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3. ADVISORY FEES AND TRANSACTIONS

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 a fee 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

 

Dividend ex-Financials Fund

     0.38

Earnings 500 Fund

     0.28

High Dividend Fund

     0.38

LargeCap Dividend Fund

     0.28

LargeCap Value Fund

     0.38

MidCap Dividend Fund

     0.38

MidCap Earnings Fund

     0.38

SmallCap Dividend Fund

     0.38

SmallCap Earnings Fund

     0.38

Total Dividend Fund

     0.28

Total Earnings Fund

     0.28

U.S. Quality Dividend Growth Fund

     0.28

U.S. SmallCap Quality Dividend Growth Fund

     0.38

Each Fund may purchase shares of affiliated exchanged-traded funds (“ETF”) in secondary market transactions. WTAM waives its advisory fees for each Fund’s investment, associated with daily uninvested cash, in correlated affiliated ETFs net of any incremental costs as a result of these transactions (fund accounting, safekeeping, transaction fees, etc.) that are paid by WTAM out of the advisory fee received from the affiliated ETFs. The dollar amount of advisory fees waived during the period for the Funds, if any, are shown in the Statements of Operations. Please see Note 7 “Other Affiliated Parties and Transactions” for additional information.

4. CAPITAL SHARE TRANSACTIONS

As of September 30, 2015, 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 designated portfolio of equity securities constituting a portfolio sampling representation of the securities included in the relevant Fund’s underlying Index 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.

 

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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, 2015 are shown in the below table. Realized gains and losses on sales resulting from in-kind capital share redemptions, as shown in the Statements of Operations, are not recognized by the Funds for tax purposes.

 

              In-kind Capital Share Transactions  
Fund    Purchases      Sales      Purchases      Sales  

Dividend ex-Financials Fund

   $ 37,759,457       $ 19,569,342       $       $ 204,977,042   

Earnings 500 Fund

     1,757,587         1,351,672                 3,669,044   

High Dividend Fund

     20,981,946         15,247,132                 115,980,331   

LargeCap Dividend Fund

     26,139,926         19,567,188         3,246,297         340,140,573   

LargeCap Value Fund

     18,364,293         18,313,729         23,555,205         16,630,672   

MidCap Dividend Fund

     76,240,638         72,764,454         93,343,331         105,576,468   

MidCap Earnings Fund

     17,897,759         17,568,306         48,283,903           

SmallCap Dividend Fund

     40,796,469         38,116,348         60,533,810         15,776,332   

SmallCap Earnings Fund

     10,578,574         10,533,931         12,643,178         11,705,538   

Total Dividend Fund

     9,215,026         7,610,673                 70,271,370   

Total Earnings Fund

     1,136,262         931,196                 31,070,563   

U.S. Quality Dividend Growth Fund

     7,790,453         6,488,237         119,319,787         37,795,439   

U.S. SmallCap Quality Dividend Growth Fund

     386,557         364,373         10,015,111           

6. FEDERAL INCOME TAXES

At September 30, 2015, 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/
(Depreciation)
 

Dividend ex-Financials Fund

   $ 984,189,136       $ 80,239,916       $ (127,068,631    $ (46,828,715

Earnings 500 Fund

     115,281,096         17,195,457         (7,471,959      9,723,498   

High Dividend Fund

     907,648,788         48,947,282         (94,670,211      (45,722,929

LargeCap Dividend Fund

     1,620,532,598         131,766,974         (131,609,041      157,933   

LargeCap Value Fund

     30,477,556         2,608,366         (2,140,600      467,766   

MidCap Dividend Fund

     1,498,759,144         114,110,218         (142,623,865      (28,513,647

MidCap Earnings Fund

     741,055,073         65,126,151         (81,643,325      (16,517,174

SmallCap Dividend Fund

     1,263,167,612         102,626,291         (156,283,063      (53,656,772

SmallCap Earnings Fund

     425,783,443         37,577,086         (70,511,777      (32,934,691

Total Dividend Fund

     439,080,779         61,131,435         (30,413,564      30,717,871   

Total Earnings Fund

     68,473,106         6,113,505         (6,512,202      (398,697

U.S. Quality Dividend Growth Fund

     515,387,618         16,481,895         (47,864,488      (31,382,593

U.S. SmallCap Quality Dividend Growth Fund

     32,823,079         1,465,739         (4,322,513      (2,856,774

 

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Table of Contents

Notes to Financial Statements (unaudited) (concluded)

 

7. OTHER AFFILIATED PARTIES AND TRANSACTIONS

Affiliated holdings are funds which are managed by, or an affiliate of, WTAM. Transactions with affiliated funds during the six months ended September 30, 2015 are as follows:

 

Fund    Value at
3/31/2015
     Purchases/
Additions
     Sales/
Reductions
     Value at
9/30/2015
     Dividend
Income
 

Dividend ex-Financials Fund

                                            

WisdomTree LargeCap Dividend Fund

   $ 2,992,839       $ 5,015,992       $ 6,862,347       $ 1,095,955       $ 30,873   

WisdomTree MidCap Dividend Fund

     3,008,754         5,015,280         6,817,163         1,087,361         30,687   

Total

   $ 6,001,593       $ 10,031,272       $ 13,679,510       $ 2,183,316       $ 61,560   

Earnings 500 Fund

                                            

WisdomTree High Dividend Fund

   $ 158,834       $ 977,551       $ 1,083,489       $ 19,598       $ 7,517   

High Dividend Fund

                                            

WisdomTree Total Dividend Fund

   $ 1,968,955       $ 5,844,087       $ 7,607,057       $ 1,290       $ 27,115   

LargeCap Dividend Fund

                                            

WisdomTree Total Dividend Fund

   $ 2,427,941       $ 9,523,562       $ 10,579,995       $ 1,216,725       $ 45,426   

LargeCap Value Fund

                                            

WisdomTree Earnings 500 Fund

   $ 34,983       $ 180,317       $ 110,573       $ 90,669       $ 1,619   

WisdomTree MidCap Earnings Fund

     15,154         77,268         47,160         38,320         379   

Total

   $ 50,137       $ 257,585       $ 157,733       $ 128,989       $ 1,998   

MidCap Dividend Fund

                                            

WisdomTree LargeCap Dividend Fund

   $ 2,739,441       $ 9,653,928       $ 12,167,740       $ 63,993       $ 38,528   

MidCap Earnings Fund

                                            

WisdomTree MidCap Dividend Fund

   $ 2,841,673       $ 1,119,682       $ 2,293,818       $ 1,432,670       $ 36,665   

SmallCap Dividend Fund

                                            

WisdomTree MidCap Dividend Fund

   $ 1,781,942       $ 11,608,910       $ 10,809,056       $ 2,377,672       $ 37,183   

SmallCap Earnings Fund

                                            

WisdomTree MidCap Earnings Fund

   $ 1,153,993       $ 1,706,931       $ 446,680       $ 2,249,643       $ 7,837   

Total Dividend Fund

                                            

WisdomTree Total Earnings Fund

   $ 1,129,266       $ 3,073,799       $ 3,539,213       $ 599,421       $ 10,224   

8. RECENT ACCOUNTING PRONOUNCEMENT

In May 2015, the FASB issued ASU 2015-07 Fair Value Measurement (Topic 820): Disclosures for Investments in Certain Entities that Calculate Net Asset Value per Share (or its Equivalent). This is an update to Fair Value Measurement Topic 820. The amendments in this ASU remove the requirement to categorize within the fair value hierarchy all investments for which fair value is measured using the net asset value per share practical expedient. The amendments also remove the requirement to make certain disclosures for all investments that are eligible to be measured at fair value using the net asset value per share practical expedient. Rather, those disclosures are limited to investments for which the entity has elected to measure the fair value using that practical expedient. ASU 2015-07 is effective for financial statements issued for fiscal years beginning after December 15, 2015, and interim periods within those fiscal years. WTAM is evaluating the impact, if any, of this guidance on the Trust’s financial statement disclosures.

 

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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 21-22, 2015 (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 series included in this report (each, a “Fund,” and, collectively, the “Funds”), pursuant to which WTAM provides the Funds with investment advisory services (the “Advisory Agreements”) and the Sub- Advisory Agreement (the “Sub-Advisory Agreement”), pursuant to which Mellon Capital Management Corporation (the “Sub-Adviser”) coordinates the investment and reinvestment of the assets of the Funds.

The Independent Trustees requested, and WTAM provided, such information as the Independent Trustees, with advice from independent legal counsel, deemed reasonably necessary to evaluate the Agreements. On June 10, 2015, a committee of Independent Trustees (the “Contracts Review Committee”) met with independent legal counsel to discuss the types of information the Independent Trustees required and the manner in which Fund management would organize and present such information. On July 15, 2015, members of the Contracts Review Committee met with representatives from WTAM for a preliminary discussion of matters relating to the Board’s consideration of the continuance of the Agreements. At a meeting of the Contracts Review Committee held on August 6, 2015, 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 the Funds and other index-based funds in the WisdomTree fund complex, 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 the 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 Agreement, 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 Lipper, Inc. (“Lipper”), an independent provider of investment company data, which included information (1) measuring each Fund’s performance by how well it tracked the relevant WisdomTree 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 Lipper as of the date of its analysis. The Contracts Review Committee and the Independent Trustees previously had reviewed and discussed the methodology Lipper used to select the Expense Groups and Expense Universes. The Board noted that the Expense Groups and Expense Universes included only pure-index exchange traded funds (“ETFs”) as comparison funds. The

 

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

 

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 Lipper reports may or may not provide meaningful direct comparisons to the Funds.

The Board discussed the Funds’ performance, noting that the 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 Lipper 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 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 their entire management fee and reimbursement of certain operating expenses. The Board noted that the Funds’ actual management fees and total expenses generally were within 10 basis points of the actual management fees and total expenses of the funds in their respective Expense Groups and Expense Universes. In those specific instances where a Fund’s actual management fees or 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, the unique attributes of a Fund or certain comparison funds and temporary fee waivers in place for marketing or other reasons.

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), although the current trend is positive. 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 advisers, respectively, and noted that there were no soft dollar

 

WisdomTree Domestic Earnings and Dividend Funds      137   


Table of Contents

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

 

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.

 

138   WisdomTree Domestic Earnings and Dividend Funds


Table of Contents

General Information (unaudited)

 

Proxy Voting Policies, Procedures and Record

A complete copy of the Proxy Voting Policy may be obtained 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

 

WisdomTree Domestic Earnings and Dividend Funds      139   


Table of Contents

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, 2015:

 

WisdomTree Domestic Earnings and Dividend Funds

 

WisdomTree Dividend ex-Financials Fund (DTN)

 

WisdomTree Earnings 500 Fund (EPS)

 

WisdomTree High Dividend Fund (DHS)

 

WisdomTree LargeCap Dividend Fund (DLN)

 

WisdomTree LargeCap Value Fund (EZY)

 

WisdomTree MidCap Dividend Fund (DON)

 

WisdomTree MidCap Earnings Fund (EZM)

 

WisdomTree SmallCap Dividend Fund (DES)

 

WisdomTree SmallCap Earnings Fund (EES)

 

WisdomTree Total Dividend Fund (DTD)

 

WisdomTree Total Earnings Fund (EXT)

 

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

 

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

 

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 International Dividend ex-Financials Fund (DOO)

 

WisdomTree International Equity Fund (DWM)

 

WisdomTree International Hedged Equity Fund (HDWM)

 

WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)

 

WisdomTree International Hedged SmallCap Dividend Fund (HDLS)

 

WisdomTree International High Dividend Fund (DTH)

 

WisdomTree International LargeCap Dividend Fund (DOL)

 

WisdomTree International MidCap Dividend Fund (DIM)

 

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 Hedged Tech, Media and Telecom Fund (DXJT)

 

WisdomTree Japan Quality Dividend Growth Fund (JDG)

 

WisdomTree Japan SmallCap Dividend Fund (DFJ)

 

WisdomTree Korea Hedged Equity Fund (DXKW)

 

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 Commodity Country Equity Fund (CCXE)

 

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. Hedged Dividend Fund (DXUS)

 

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

 

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

 

WisdomTree Global ex-U.S. Utilities Fund (DBU)

 

WisdomTree Global High Dividend Fund (DEW)

 

WisdomTree Global Natural Resources Fund (GNAT)

 

WisdomTree India Earnings Fund (EPI)

 

WisdomTree Middle East Dividend Fund (GULF)

 

WisdomTree Dollar Sensitive Equity Funds

 

WisdomTree Strong Dollar U.S. Equity Fund (USSD)

 

WisdomTree Weak Dollar U.S. Equity Fund (USWD)

 

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 Commodity Currency Strategy Fund (CCX)

 

WisdomTree Emerging Currency Strategy Fund (CEW)

 

WisdomTree Indian Rupee Strategy Fund (ICN)

 

WisdomTree Fixed Income Funds

 

WisdomTree Asia Local Debt Fund (ALD)

 

WisdomTree Australia & New Zealand Debt Fund (AUNZ)

 

WisdomTree Barclays U.S. Aggregate Bond Enhanced Yield Fund (AGGY)

 

WisdomTree Barclays U.S. Aggregate Bond Negative Duration Fund (AGND)

 

WisdomTree Barclays U.S. Aggregate Bond Zero Duration Fund (AGZD)

 

WisdomTree Bloomberg Floating Rate Treasury Fund (USFR)

 

WisdomTree BofA Merrill Lynch High Yield Bond Negative Duration Fund (HYND)

 

WisdomTree BofA Merrill Lynch High Yield Bond Zero Duration Fund (HYZD)

 

WisdomTree Emerging Markets Corporate Bond Fund (EMCB)

 

WisdomTree Emerging Markets Local Debt Fund (ELD)

 

WisdomTree Japan Interest Rate Strategy Fund (JGBB)

 

WisdomTree Strategic Corporate Bond Fund (CRDT)

 

WisdomTree Western Asset Unconstrained Bond Fund (UBND)

 

WisdomTree Alternative Funds

 

WisdomTree Global Real Return Fund (RRF)

 

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. 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 in large amounts of 50,000 shares or more.


Table of Contents

WisdomTree Trust

245 Park Avenue, 35th Floor

New York, NY 10167

 

LOGO

 

LOGO

 

WisdomTree Domestic Earnings and Dividend Funds

WisdomTree Dividend ex-Financials Fund (DTN)

WisdomTree Earnings 500 Fund (EPS)

WisdomTree High Dividend Fund (DHS)

(formerly, WisdomTree Equity Income Fund)

WisdomTree LargeCap Dividend Fund (DLN)

WisdomTree LargeCap Value Fund (EZY)

WisdomTree MidCap Dividend Fund (DON)

WisdomTree MidCap Earnings Fund (EZM)

WisdomTree SmallCap Dividend Fund (DES)

WisdomTree SmallCap Earnings Fund (EES)

WisdomTree Total Dividend Fund (DTD)

WisdomTree Total Earnings Fund (EXT)

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

(formerly, WisdomTree U.S. Dividend Growth Fund)

WisdomTree U.S. SmallCap Quality Dividend Growth Fund (DGRS)

(formerly, WisdomTree U.S. SmallCap Dividend Growth Fund)

WisdomTree Fund shares are distributed by Foreside Fund Services, LLC.

WTGM-0809


Table of Contents
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.


Table of Contents
Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

Not applicable.

 

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. 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.


Table of Contents

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 4, 2015

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 4, 2015

 

By (Signature and Title)   /s/ David Castano
  David Castano, Treasurer
  (principal financial officer)

Date: December 4, 2015