WISDOMTREE TR - FUTRE STRAT FD (WTMF)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / FUTRE STRAT FD
Shares, excl. options Q2 2024
4.49M
Holdings value Q2 2024
$163M
Value change Q2 2024
-$2.55M
Grand Portfolio weight change Q2 2024
0%
Number of holders
50
Number of buys Q2 2024
18
Number of sells Q2 2024
-33
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 4.49M $163M -$2.55M $36.27 50
2024 Q1 4.59M $172M -$5.05M $37.50 56
2023 Q4 4.71M $165M +$39.4M $35.07 54
2023 Q3 3.62M $127M -$291K $35.21 48
2023 Q2 3.52M $123M +$17.2M $34.99 43
2023 Q1 3.03M $102M -$5.4M $33.56 41
2022 Q4 3.21M $101M +$7.23M $31.54 42
2022 Q3 2.83M $97.4M -$5.74M $34.43 43
2022 Q2 2.99M $105M -$2.22M $35.11 49
2022 Q1 3.05M $110M -$23.6M $35.96 45
2021 Q4 3.72M $132M +$25.3M $35.44 43
2021 Q3 2.86M $117M +$7.53M $40.99 37
2021 Q2 2.61M $108M +$10.5M $41.42 36
2021 Q1 2.35M $91.6M -$3.49M $38.97 36
2020 Q4 2.4M $89M -$7.53M $37.09 31
2020 Q3 2.06M $72.2M +$9.88M $35.01 28
2020 Q2 1.78M $62.3M -$7.23M $34.99 34
2020 Q1 2.33M $84.3M -$10.3M $36.25 41
2019 Q4 2.64M $97.8M -$44.2M $37.09 44
2019 Q3 3.32M $126M -$7.05M $38.06 49
2019 Q2 3.2M $121M -$22.2M $37.79 44
2019 Q1 3.81M $148M -$37.1M $38.89 49
2018 Q4 4.75M $184M +$74.5M $38.76 56
2018 Q3 2.73M $110M -$3.14M $40.76 43
2018 Q2 2.77M $110M -$7.68M $39.84 39
2018 Q1 2.94M $116M +$7.16M $39.54 44
2017 Q4 2.76M $111M +$7.92M $40.05 44
2017 Q3 2.54M $98.6M +$3.29M $38.78 41
2017 Q2 2.52M $98.1M -$7.57M $39.01 37
2017 Q1 2.72M $108M -$24M $39.80 35
2016 Q4 3.31M $137M +$22M $41.46 41
2016 Q3 2.73M $115M +$288K $42.07 37
2016 Q2 2.74M $116M -$13M $42.52 37
2016 Q1 3.04M $127M -$6.02M $41.87 38
2015 Q4 3.18M $133M -$1.45M $41.79 46
2015 Q3 3.19M $132M -$11.7M $41.44 38
2015 Q2 3.48M $148M +$9.06M $42.69 33
2015 Q1 3.26M $144M +$5.16M $44.28 35
2014 Q4 3.14M $137M +$19.2M $43.57 32
2014 Q3 2.7M $118M +$10.4M $43.61 27
2014 Q2 1.08M $45.2M -$2.06M $41.77 23
2014 Q1 2.38M $97.8M -$4.59M $41.07 30