WISDOMTREE TR - US CORP BOND FD (WFIG)

Historical Portfolio Holders from Q2 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / US CORP BOND FD
Shares, excl. options Q1 2024
212 K
Holdings value Q1 2024
$9.42 M
Value change Q1 2024
+$3.66 M
Grand Portfolio weight change Q1 2024
+0%
Number of holders
9
Number of buys Q1 2024
6
Number of sells Q1 2024
-7
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
97717X198
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 212 K $9.42 M +$3.66 M $44.32 9
2023 Q4 129 K $5.8 M +$936 K $44.89 11
2023 Q3 108 K $4.55 M -$477 K $41.97 9
2023 Q2 119 K $5.2 M +$682 K $43.80 6
2023 Q1 103 K $4.58 M -$775 K $44.44 8
2022 Q4 120 K $5.21 M +$989 K $43.21 10
2022 Q3 97.7 K $4.15 M -$31.7 M $42.43 9
2022 Q2 804 K $36.3 M +$180 K $45.18 9
2022 Q1 798 K $39.3 M +$823 K $49.22 9
2021 Q4 782 K $42 M +$1.33 M $53.74 12
2021 Q3 743 K $40.1 M -$423 K $53.97 11
2021 Q2 760 K $41.4 M -$1.02 M $54.51 14
2021 Q1 759 K $39.8 M -$31.7 M $52.44 12
2020 Q4 1.32 M $73.9 M +$23.9 M $55.94 12
2020 Q3 894 K $49 M -$5.3 M $54.80 8
2020 Q2 991 K $54 M +$26.7 M $54.52 11
2020 Q1 500 K $25.3 M +$8.94 M $50.61 5
2019 Q4 310 K $16.2 M +$2.95 M $52.36 6
2019 Q3 254 K $13.2 M +$10.7 M $52.15 8
2019 Q2 48 K $2.46 M -$10.3 K $51.19 4
2019 Q1 48.2 K $2.38 M +$2.11 M $49.40 3
2018 Q4 5.47 K $260 K -$2.75 M $47.55 2
2018 Q3 63.5 K $3.05 M -$56.2 K $47.83 2
2018 Q2 64.7 K $3.05 M -$164 K $46.94 2
2018 Q1 68.1 K $3.28 M -$659 K $48.34 2
2017 Q4 81.4 K $4.07 M -$575 K $49.96 3
2017 Q3 92.9 K $4.61 M -$93.3 K $49.58 3
2017 Q2 94.8 K $4.71 M -$32.9 K $49.66 3
2017 Q1 95.5 K $4.64 M +$8.51 K $48.57 3
2016 Q4 95.3 K $4.58 M +$38 K $48.08 2
2016 Q3 94.5 K $4.75 M -$23.1 K $50.23 3
2016 Q2 95 K $4.76 M +$4.76 M $50.15 3