WisdomTree

WENUWisdomTree Strategic Metals UCITS ETF - USD Acc

ISIN: IE0007UE04X9

0,55%

Total expense ratio (TER)

Al 03/07/2026

7 gennaio 2025

Data di lancio

369.910.563 USD

AUM del fondo

Al 03/07/2026

USD

Valuta di base

Panoramica

Descrizione del prodotto

The WisdomTree Strategic Metals UCITS ETF (the “Fund”) seeks to track the price and yield performance, before fees and expenses, of the WisdomTree Energy Transition Metals Commodity UCITS Total Return Index (the "Index"). The Index is designed to track the performance of a diversified basket of commodity metals that are associated with energy transition themes, which include, but are not limited to, electric vehicles, transmission, charging, energy storage, solar, wind and hydrogen production.

Perché WENU?

  • The energy transition - the electrification and decarbonisation of the energy system - has become a large driver of demand for metal commodities.
  • The ETF offers exposure to a diversified basket of metal commodities that are involved in energy transition technologies, such as electric vehicles, transmission, charging, energy storage, solar, wind, and hydrogen production.
  • The research for the selection and weighting of commodities in the Index and, subsequently, the ETF, is conducted by experts in the energy transition space, ensuring the portfolio basket remains focused and relevant.
  • Forward looking, with weights assigned to metals in the basket factoring in both energy-transition related demand and market balance.
  • The ETF is UCITS compliant.

Rischi potenziali

  • Although the Index was created to select commodity metals with a relatively higher exposure to the energy transition theme, there is no guarantee this objective will be achieved.
  • An investment in commodities may experience high volatility and should be considered as a longer term investment.
  • The performance of commodity futures based indices may differ significantly from commodity spot prices.
  • The returns payable on the Fund are dependent on payments received by the Fund from the swap counterparty under the terms of the relevant swap and therefore are subject to the credit risk of the swap counterparty.
  • This list does not cover all risks-further risks are disclosed in the KIID and Prospectus.

Articoli e documenti di ricerca

Informazioni chiave

Panoramica del prodottoAl 03/07/2026
ISINIE0007UE04X9
Classe di attiviCommodities
Base / Trading CurrencyUSD / EUR
Data di lancio7 gennaio 2025
Con copertura valutariaNo
Frequenza di distribuzioneN/A
Utilizzo dei proventiAccumulating
Valore patrimoniale nettoAl 03/07/2026
NAV13,874 USD
Variazione giornaliera-0,002 USD
Rendimento giornaliero-0,015%
AUM totale del fondo369.910.563 USD
AUM dell'emittente16.817.813.750 USD

Struttura

StrutturaAl 03/07/2026
Forma giuridicaIrish Collective Asset-management Vehicle (ICAV)
StrutturaOpen-ended Exchange Traded Fund
Metodo di replicaUS TBills With Swap Overlay
DomicilioIrlanda
EmittenteWisdomTree Issuer ICAV
Fine esercizio31 Dicembre
Conforme UCITS
Ulteriori informazioni legali e fiscaliAl 03/07/2026
ISAEligible
SIPPEligible
Idoneo UCITSYes
Status di reporting nel Regno UnitoNo
Idoneo PEANo

Principali fornitori di servizi

Principali fornitori di serviziAl 03/07/2026
DepositarioThe Bank of New York Mellon SA/NV, Dublin Branch
AmministratoreBNY Mellon Fund Services (Ireland) Designated Activity Company
RevisoreDeloitte Ireland LLP
Gestore degli investimentiAssenagon Asset Management S.A
CommissioniAl 03/07/2026
Total expense ratio (TER)0,55%
Tasso swap annuale0,24%

Paesi registrati

Austria
Danimarca
Finlandia
Francia
Germania
Irlanda
Italia
Lussemburgo
Norvegia
Paesi Bassi
Regno Unito
Spagna
Svezia
Svizzera

Composizione del benchmark

Al 02/07/2026

NomePeso (%)
Copper (COMEX)21.5
Aluminum19.75
Nickel12.62
Tin11.41
Zinc11.14
Silver11.07
Lead6.96
Platinum2.19
Cobalt1.82
Lithium1.54
Portafoglio rimanente0

*Holdings are subject to change without notice.

Ripartizione settoriale

Al 02/07/2026

NomePeso (%)
Industrial Metals
86.75
Precious Metals
13.25
Industrial Metal
0

*Sectors are subject to change without notice

Partecipazioni

NomePeso (%)
US Treasury Bill (BT9R101)11,78%
US Treasury Bill (BVBFK11)11,10%
US Treasury Bill (BTWQYX9)11,05%
US Treasury Bill (BV3PBJ4)10,43%
US Treasury Bill (BVPJDQ5)10,05%
US Treasury Bill (BT3F9K7)8,87%
US Treasury Bill (BTMT074)8,22%
US Treasury Bill (BV2FL84)6,89%
US Treasury Bill (BRT7WS2)6,58%
US Treasury Bill (BVN7R03)6,34%
US Treasury Bill (BVMNBH7)5,98%
US Treasury Bill (BXM7C47)2,96%
CASH W-O0,03%
EURO INCOME A/C0,03%
STERLING POUND0,02%

Quotazioni e codici

PaeseBorsaValuta di negoziazioneTicker di borsaTicker BloombergRICSEDOLISINWKNData di quotazione
LSEUSDWENUWENU LNWENU.LBSLSGS8IE0007UE04X9A40NNX15/01/2025
LSEGBxNRUCNRUC LNNRUC.LBSLSGT9IE0007UE04X9A40NNX15/01/2025
Borsa ItalianaEURWENUWENU IMWENU.MIBSLTY43IE0007UE04X9A40NNX14/01/2025
XetraEURWENUWENU GYWENU.DEBSLTY76IE0007UE04X9A40NNX14/01/2025
Euronext (FR)EURWENUWENU FPWENU.PABQXMKB5IE0007UE04X9A40NNX04/03/2026
SIXUSDWENUWENU SWWENU.SBQMQ8V4IE0007UE04X9A40NNX23/04/2025

Index Details

WisdomTree Energy Transition Metals Commodity UCITS Index TR

The Index is designed to track the performance of a diversified basket of metal commodities that are associated with the energy transition theme, which include, but are not limited to electric vehicles, transmission, charging, energy storage, solar, wind, and hydrogen production.

The Index was developed by WisdomTree, Inc. (“WT”), in collaboration with third party specialists in the energy transition space. The selection and weighting of index components is based on an intensity rating, created in collaboration with third party specialists, which measures the exposure and growth metrics for each commodity within the usage of energy transition technologies, as well as each commodity’s market balance.

The maximum weight of each commodity is capped at 20% at the rebalance. The Index is reconstituted on a semi-annual basis. Excess and total return versions of the Index are calculated and published.

Index Details
Index NameWisdomTree Energy Transition Metals Commodity UCITS Index TR
CurrencyUSD
Index ProviderWisdomTree, Inc.
Bloomberg TickerWTETMUTR

Responsible Investing

SFDR Disclosure

The EU Sustainable Finance Disclosures Regulation (SFDR) took effect on 10 March 2021 as part of the EU Action Plan on Sustainable Finance. The SFDR lays down harmonised sustainability related disclosure rules for EU financial market participants and advisors and requires certain sustainability disclosures to be made for financial products which promote environmental or social characteristics (Article 8 SFDR) and funds which have a sustainable investment objective (Article 9 SFDR).

There are different SFDR product categorisations for these sustainability disclosure requirements:

+ Article 6 products: require disclosures relating to the manner in which sustainability risks are integrated into the decision-making process.
+ Article 8 products: promote, among other characteristics, environmental or social characteristics or a combination of those characteristics, provided that the companies in which the investments are made follow good governance practices.
+ Article 9 products: have sustainable investment as their objective

Please refer to EU regulation guidelines for more details: https://www.esma.europa.eu/sections/sustainable-finance

SFDR categorisations

SFDR Disclosure

Article 8

ESG Characteristics

The fund tracks an index which designed to track the performance of a diversified basket of metals commodities that are associated with energy transition themes, which include, but are not limited to, electric vehicles, transmission, charging, energy storage, solar, wind and hydrogen production. Relevant commodities are selected based on the representativeness of the energy transition themes and liquidity criteria as described in the Index methodology.

Collateral Details

Collateral Structure

Replicating Exposure to Commodities Through a Swap

The Fund aims to track the WisdomTree Energy Transition Metals Commodity UCITS Index (the “Index”). The Fund gains indirect exposure to the constituents of the Index through the use of swaps on the Index. The Fund holds a portfolio of short-term US T-bills.

Structure Diagram

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Counterparty Risk Management


Counterparty risk is primarily managed through the daily exchange of collateral between the Fund and its swap provider(s) (also referred to as the swap counterparty).

The value of the collateral required is based on a daily calculation of counterparty exposure using the prior day’s mark-to-market of the swaps and any unsettled cash flowing between the Fund and the swap provider.


Assets posted as collateral may only include cash (US Dollars only) or government bonds of US, UK, France or Germany, with a minimum rating of AA-/Aa3 (“eligible collateral assets”). When valuing the bonds posted as collateral, a haircut is applied to each bond's value based on the issuing country and the bond's maturity. Applying a haircut to the value of eligible collateral typically results in the collateral value exceeding the counterparty exposure and in any exposure being “over-collateralised”.

Dati storici

Scegli un intervallo di date ed esporta i dati storici di NAV e AUM in formato XLSX.

Data iniziale
Data finale

AVVERTENZE

I prodotti trattati nel presente documento sono emessi da WisdomTree Issuer ICAV ("WT Issuer"). WT Issuer è una società d'investimento multicomparto a capitale variabile con separazione patrimoniale tra i comparti, costituita ai sensi del diritto irlandese in forma di Veicolo di gestione patrimoniale collettivo irlandese e autorizzata dalla Central Bank of Ireland ("CBI"). WT Issuer è costituita in forma di Organismo di Investimento Collettivo in Valori Mobiliari ("OICVM") di diritto irlandese ed emette una classe di azioni separata ("Azioni") rappresentativa di ogni fondo.

Il Fondo è descritto in un Documento contenente le informazioni chiave (KID) o Documento contenente le informazioni chiave per gli investitori (KIID) destinato agli investitori del Regno Unito, nonché nel prospetto di WT Issuer ("Prospetto WT"). Una copia del Prospetto WT e del KID/KIID in lingua inglese è disponibile, esclusivamente per il SEE/Regno Unito, su www.wisdomtree.com. Laddove previsto dalla normativa nazionale, il KID sarà disponibile anche nella lingua locale dello Stato membro del SEE interessato. Per maggiori dettagli sui rischi associati a un investimento nelle Azioni, si invitano gli investitori a leggere il Prospetto WT prima di effettuare l'investimento e a consultare la sezione del Prospetto WT intitolata "Risk Factors".

La descrizione sintetica dei diritti degli investitori associati a un investimento nel fondo è disponibile in lingua inglese sul sito web di WisdomTree Europe. WisdomTree Management Limited può decidere di risolvere gli accordi relativi alla commercializzazione dei suoi organismi di investimento collettivo. In simili circostanze, gli azionisti situati nello Stato membro del SEE interessato riceveranno la comunicazione di tale decisione e avranno la possibilità di chiedere il rimborso della propria partecipazione nel fondo a titolo gratuito o senza alcuna detrazione per almeno 30 giorni lavorativi dalla data della suddetta notifica.

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Informazioni importanti sui rischi

Giurisdizioni nello Spazio economico europeo ("SEE"): questo sito Web e il suo contenuto sono stati forniti da WisdomTree Ireland Limited, che è autorizzata e regolamentata dalla Central Bank of Ireland.

Giurisdizioni al di fuori della SEE: questo sito Web e il suo contenuto sono stati forniti da WisdomTree UK Limited, che è autorizzata e regolamentata dalla Financial Conduct Authority del Regno Unito.

Il prezzo di qualsiasi azione o il valore di un investimento in ETP potrebbe fluttuare verso l'alto o verso il basso e un investitore potrebbe non recuperare la somma investita. Le precedenti performance non sono indicatori affidabili di quelle future.

Questo materiale non deve essere inteso come una previsione, una ricerca o una consulenza in materia di investimento e non è un consiglio, né un'offerta o un invito ad acquistare o a vendere prodotti o strumenti finanziari o ad adottare qualsiasi strategia di investimento.

Fare clic qui per leggere l'Esclusione di responsabilità completa.

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