WISDOMTREE TR - EMERG CUR STR FD (CEW)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / EMERG CUR STR FD
Shares, excl. options Q3 2024
102K
Holdings value Q3 2024
$1.91M
Value change Q3 2024
-$2.35K
Grand Portfolio weight change Q3 2024
0%
Number of holders
13
Number of buys Q3 2024
4
Number of sells Q3 2024
-2
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 102K $1.91M -$2.35K $18.73 13
2024 Q2 102K $1.81M -$247K $17.72 10
2024 Q1 116K $2.06M -$13M $17.75 10
2023 Q4 840K $15.1M +$11.9M $18.01 13
2023 Q3 180K $3.13M +$410K $17.40 11
2023 Q2 156K $2.75M -$285K $17.63 10
2023 Q1 173K $3.02M -$1.83K $17.50 13
2022 Q4 142K $2.39M +$45.5K $16.84 10
2022 Q3 140K $2.22M +$746K $15.88 10
2022 Q2 93K $1.54M +$835K $16.59 10
2022 Q1 42.7K $758K -$4.65M $17.75 8
2021 Q4 312K $5.39M +$1.38M $17.26 12
2021 Q3 224K $3.98M -$2.39M $17.76 9
2021 Q2 362K $6.59M -$521K $18.21 9
2021 Q1 392K $7.01M +$2.72M $17.89 11
2020 Q4 240K $4.42M +$3.58M $18.48 9
2020 Q3 59.2K $1.03M -$438K $17.31 11
2020 Q2 84.6K $1.46M -$1.85M $17.20 15
2020 Q1 192K $3.2M +$1.28M $16.54 16
2019 Q4 112K $2.09M -$1.71M $18.63 17
2019 Q3 205K $3.76M +$1.48M $18.31 17
2019 Q2 125K $2.34M -$3.46M $18.81 16
2019 Q1 318K $5.83M +$1.04M $18.31 20
2018 Q4 248K $4.49M -$1.03M $18.10 17
2018 Q3 307K $5.59M -$3.17M $18.22 18
2018 Q2 480K $8.91M +$1.5M $18.57 21
2018 Q1 389K $7.74M -$2.57M $19.90 21
2017 Q4 506K $10.1M -$644K $19.43 21
2017 Q3 530K $10M -$1.2M $18.96 21
2017 Q2 611K $11.4M +$721K $18.63 22
2017 Q1 573K $10.5M -$6.99M $18.34 19
2016 Q4 959K $16.8M +$8.98M $17.49 24
2016 Q3 444K $8.09M +$2.39M $18.20 19
2016 Q2 313K $5.61M -$4.63M $17.89 20
2016 Q1 575K $10.2M -$2.31M $17.74 21
2015 Q4 707K $11.9M -$10.6M $16.80 22
2015 Q3 1.34M $22.4M +$958K $16.80 24
2015 Q2 1.29M $23.5M -$3.26M $18.18 25
2015 Q1 1.47M $26.8M +$3.51M $18.19 26
2014 Q4 1.28M $23.8M +$2.65M $18.59 28
2014 Q3 1.09M $21.5M -$18.8M $19.69 33
2014 Q2 2.04M $41.9M -$14.3M $20.57 34
2014 Q1 2.69M $54.2M -$3.09M $20.18 33