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WTIDGD

WisdomTree Dynamic Currency Hedged International Quality Dividend Growth Index

The WisdomTree Dynamic Currency Hedged International 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 with a hedge ratio ranging from 0 to 100% on a monthly basis. The Index is comprised of the top 300 companies from the WisdomTree International Equity Index with the best combined rank of growth and quality factors. The growth factor ranking is based on long-term earnings growth expectations, while the quality factor ranking is based on three year historical averages for return on equity and return on assets. Companies are weighted in the Index based on annual cash dividends paid. The Index was established with a base value of 200 on May 30, 2016.

Index Facts

Index Facts
As of 05/25/2018
Bloomberg Index Symbol WTIDGD
Exchange Index Symbol
Index Inception Date 05/31/2016
Base Index Value 200
Number of Components in Index 298
Current Index Value 245.88
Total Return Index Closing Value 256.30
Total Index Market Capitalization ($ Trillion) 3.54
Index MarketCap Breakdown
Large Cap (> $10 Billion) 74.38%
Mid Cap (≥ $2 Billion and ≤ $10 Billion) 22.41%
Small Cap (< $2 Billion) 3.22%

Index Statistics

Index Statistics
As of 05/25/2018
Dividend Yield 2.42
Price/Earnings 17.40
Estimated Price/Earnings 17.9
Price/Book 4.36
Price/Sales 2.30
Price/Cash Flow 17.90
Gross Buyback Yield 0.72
Net Buyback Yield 0.54

Hedge Ratio

Hedge Ratio
As of 04/30/2018
Aggregate Hedge Ratio 52.19%
AUD 83.33%
CHF 100.00%
DKK 33.33%
EUR 33.33%
GBP 50.00%
HKD 0.00%
ILS 50.00%
JPY 50.00%
NOK 66.67%
NZD 16.67%
SEK 83.33%
SGD 50.00%
Hedge ratios are implemented after the close of trading on the last business day of each month.

Top Components

Top Components
Components
As of 05/25/2018
Weight
1. Novo Nordisk A/S (NOVOB DC) 4.93%
2. Roche Holding AG (ROG SW) 4.87%
3. Unilever NV (UNA NA) 4.21%
4. LVMH Moet Hennessy Louis Vuitton SE (MC FP) 3.99%
5. Airbus SE (AIR FP) 3.10%
6. Diageo PLC (DGE LN) 3.04%
7. British American Tobacco PLC (BATS LN) 2.70%
8. Unilever PLC (ULVR LN) 2.38%
9. Inditex SA (ITX SM) 2.27%
10. China Overseas Land & Investment Ltd (688 HK) 2.23%
Subject to change without notice.

Industry Group Breakdown

Industry Group Breakdown
Industry Group
As of 05/25/2018
Weight
1. Pharmaceuticals Biotechnology & Life Sciences 14.63%
2. Capital Goods 13.91%
3. Household & Personal Products 9.22%
4. Consumer Durables & Apparel 8.70%
5. Food Beverage & Tobacco 7.92%
6. Software & Services 5.63%
7. Materials 5.00%
8. Retailing 4.81%
9. Automobiles & Components 4.16%
10. Semiconductors & Semiconductor Equipment 4.15%

Country Allocation

Country Allocation
Country
As of 05/25/2018
Weight
1. United Kingdom 18.66%
2. Japan 15.42%
3. Switzerland 11.88%
4. Netherlands 9.93%
5. Sweden 6.92%
6. Denmark 6.85%
7. France 5.88%
8. Germany 5.51%
9. Australia 5.01%
10. Spain 4.04%

Important Information about Index Performance

Index performance does not represent actual fund or portfolio performance. A fund or portfolio may differ significantly from the securities included in the Index. Index performance assumes reinvestment of dividends, but does not reflect any management fees, transaction costs or other expenses that would be incurred by a portfolio or fund, or brokerage commissions on transactions in Fund shares. Such fees, expenses and commissions could reduce returns. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, or delays, or for any actions taken in reliance on information contained herein.

WisdomTree vs. Comparative Cap-weighted Benchmark Performance

Hypothetical Investment of $10,000

Correlation Matrix of Indexes

Index Volatility

Definitions

  • Index dividend yield is a measure of the annual dividends of the shares of all Index components divided by the Index value.
  • Price/Book Ratio is a ratio used to compare a stock's market value to its book value.
  • Price/Earnings Ratio is a valuation ratio of a company's current share price compared to its per-share earnings.
  • Estimated Price/Earnings is a valuation ratio of a company's current share price compared to the consensus estimates for per-share earnings over the next 12 months.
  • Price/Cash Flow Ratio is a measure of the market's expectations of a firm's future financial health.
  • Price/Sales Ratio is a ratio for valuing a stock relative to its own past performance, other companies or the market itself.
  • Gross Buyback Yield is the amount of a company’s gross share repurchase over the past year to its market capitalization.
  • Net Buyback Yield is the amount of a company’s net share repurchase over the past year to its market capitalization.
  • Return on Equity (ROE) measures a corporation’s profitability by revealing how much profit a company generates with the money shareholders have invested.
  • Return on Assets (ROA) refers to the firm profits (after accounting for all expenses) divided by the firm’s total assets. Higher numbers indicate greater profits relative to the level of assets utilized to generate them.
  • You cannot invest directly in an index.