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All 778 DTD (WISDOMTREE U.S. TOTAL DIVIDEND FUND) Holdings

There are 778 DTD holdings. Top 10 companies weight: 21.95%.

Screener with all companies

Total Market Cap: $46T
Rank
Average(778 stocks)+28.92%27.3820.850.52+19.85%+22.78%1.12
151
HCAHca Healthcare Inc0.09%$373.15$84BMedical Care FacilitiesHealthcare+16.92%12.7212.390.43N/AN/A66+25.31%$468+9.53%0.27
152
BENFranklin Resources Inc0.09%$32.63$18BAsset ManagementFinancial Services-8.38%23.8310.660.29N/AN/A50+5.58%$34+7.24%1.06
153
CTASCintas Corp0.09%$200.41$77BSpecialty Business ServicesIndustrials+15.38%39.8636.904.15N/AN/A62+7.03%$215+16.51%0.56
154
DHRDanaher Corp0.09%$179.14$142BDiagnostics & ResearchHealthcare-4.86%38.5524.101.28N/AN/A75+35.38%$243-5.78%0.78
155
DRIDarden Restaurants Inc0.09%$193.42$23BRestaurantsConsumer Cyclical+12.07%20.2417.610.94N/AN/A65+18.05%$228+9.61%0.55
156
ECLEcolab Inc0.09%$264.20$76BSpecialty ChemicalsBasic MaterialsN/A36.2632.8973.71N/AN/A72+20.90%$319+5.37%0.57
157
LNTAlliant Energy Corp0.09%$73.11$19BUtilities - Regulated ElectricUtilities+4.98%23.3722.032.36N/AN/A71+8.74%$80+8.33%0.13
158
CNPCenterpoint Energy Inc0.08%$42.73$28BUtilities - Regulated ElectricUtilitiesN/A25.2822.622.10N/AN/A62+8.55%$46+14.12%0.11
159
NUENucor Corp0.08%$233.20$54BSteelBasic Materials+4.99%25.8315.275.21N/AN/A73+14.55%$267+21.76%1.14
160
ARESN/A0.08%$120.92$39BAsset ManagementFinancial Services-11.79%197.1020.581.11N/AN/A75+18.02%$143+17.00%1.61
161
SHWSherwin-williams Co0.08%$318.46$82BSpecialty ChemicalsBasic Materials+6.01%31.7028.172.54N/AN/A66+19.20%$380+3.42%0.72
162
CMSCms Energy Corp0.08%$72.50$23BUtilities - Regulated ElectricUtilities+3.94%20.4119.053.27N/AN/A64+11.63%$81+6.91%0.02
163
HALHalliburton Co0.08%$33.19$30BOil & Gas Equipment & ServicesEnergy+0.29%25.9513.640.92N/AN/A70+32.69%$44+11.96%0.94
164
STZConstellation Brands Inc Class A0.08%$130.66$23BBeverages - BrewersConsumer Defensive+10.21%12.5611.362.56N/AN/A64+30.87%$171-8.60%0.32
165
AMPAmeriprise Financial Inc0.08%$528.37$49BAsset ManagementFinancial Services+22.71%14.6212.000.93N/AN/A62+4.33%$551+18.17%1.04
166
GWWW.w. Grainger Inc0.08%$1,361.42$65BIndustrial DistributionIndustrials+19.80%36.2130.672.15N/AN/A48-5.08%$1.29K+25.82%0.66
167
PPGPpg Industries Inc0.08%$115.71$26BSpecialty ChemicalsBasic Materials+5.77%15.7214.811.74N/AN/A63+8.46%$126-4.37%0.93
168
PGRProgressive Corp0.08%$205.90$120BInsurance - Property & CasualtyFinancial Services+24.68%10.7612.690.20N/AN/A58+12.65%$232+19.78%0.16
169
WPCW.p. Carey Inc0.08%$75.23$16BReit - DiversifiedReal Estate-0.84%31.1625.001.49N/AN/A59+4.35%$79+5.83%0.23
170
ROSTRoss Stores Inc0.08%$235.81$73BApparel RetailConsumer Cyclical+24.14%31.4930.402.33N/AN/A69+8.64%$256+15.51%0.66
171
HSTHost Hotels & Resorts Inc0.08%$24.44$16BReit - Hotel & MotelReal EstateN/A16.1626.040.31N/AN/A65+0.25%$25+13.61%1.00
172
HWMHowmet Aerospace Inc0.08%$278.88$112BAerospace & DefenseIndustrials+45.13%65.5352.910.95N/AN/A76+11.76%$312+54.32%1.19
173
LVSLas Vegas Sands Corp0.08%$45.47$30BResorts & CasinosConsumer CyclicalN/A16.4114.080.32N/AN/A72+45.88%$66+0.39%0.94
174
NDAQNasdaq Inc0.07%$90.24$52BFinancial Data & Stock ExchangesFinancial Services+9.97%27.2424.810.54N/AN/A79+18.05%$107+9.35%0.80
175
PNWPinnacle West Capital Corp0.07%$105.65$13BUtilities - Regulated ElectricUtilities-1.71%19.7422.993.85N/AN/A52+0.20%$106+9.60%0.11
176
CINFCincinnati Financial Corp0.07%$180.51$27BInsurance - Property & CasualtyFinancial Services+22.45%13.5120.791.16N/AN/A65+4.80%$189+12.18%0.51
177
SWKStanley Black & Decker Inc0.07%$88.19$13BTools & AccessoriesIndustrials-22.54%43.8816.690.23N/AN/A57+3.19%$91-12.20%1.43
178
PRPermian Resources Corp Class A0.07%$20.98$16BOil & Gas E&pEnergy+37.44%21.779.861.19N/AN/A76+19.16%$25+34.48%0.94
179
GMGeneral Motors Co0.07%$79.51$70BAuto ManufacturersConsumer Cyclical-16.50%29.256.070.34N/AN/A72+20.55%$96+7.73%0.97
180
OMCOmnicom Group Inc0.07%$79.21$24BAdvertising AgenciesCommunication Services+4.59%22.287.8912.32N/AN/A67+29.72%$103+5.63%0.67
181
NTAPNetapp Inc0.07%$165.76$32BSoftware - InfrastructureTechnology+14.46%25.1218.052.42N/AN/A61+6.93%$177+19.21%1.26
182
MSCIMsci Inc0.07%$561.57$45BFinancial Data & Stock ExchangesFinancial Services+17.64%35.1531.951.67N/AN/A75+25.47%$705+1.00%0.67
183
ESSEssex Property Trust Inc0.07%$293.88$19BReit - ResidentialReal Estate+6.35%31.3152.087.39N/AN/A58-0.40%$293+1.45%0.56
184
TPRTapestry Inc0.07%$142.16$28BLuxury GoodsConsumer Cyclical+22.17%42.2518.550.28N/AN/A71+17.30%$167+32.30%1.25
185
MCKMckesson Corp0.07%$828.84$98BMedical DistributionHealthcare+64.44%20.7018.980.23N/AN/A77+13.50%$941+33.74%0.03
186
SUISun Communities Inc0.07%$119.04$15BReit - ResidentialReal Estate+53.03%10.6651.810.01N/AN/A72+17.96%$140-5.40%0.30
187
MPWRMonolithic Power Systems Inc0.07%$1,383.26$67BSemiconductorsTechnology+29.55%96.4354.051.70N/AN/A75+29.35%$1.79K+28.77%2.43
188
CLXClorox Co0.07%$95.66$12BHousehold & Personal ProductsConsumer Defensive-3.24%15.6215.291.48N/AN/A44+9.15%$104-8.89%0.16
189
UDRUdr Inc0.07%$39.57$13BReit - ResidentialReal Estate+48.13%26.3554.950.09N/AN/A56+4.70%$41-2.45%0.51
190
PWRQuanta Services Inc0.07%$639.20$97BEngineering & ConstructionIndustrials+15.75%87.6945.255.08N/AN/A67+18.82%$760+48.50%1.33
191
AWKAmerican Water Works Co Inc0.07%$131.47$25BUtilities - Regulated WaterUtilities+9.38%23.5622.272.55N/AN/A51+6.42%$140-2.35%N/A
192
VRTVertiv Holdings Co Class A0.07%$304.50$117BElectrical Equipment & PartsIndustrialsN/A74.7946.730.57N/AN/A72+24.53%$379+61.98%2.41
193
AMAntero Midstream Corp0.07%$22.50$11BOil & Gas MidstreamEnergy+3.03%26.0215.241.17N/AN/A43+7.29%$24+25.97%0.45
194
CTVACorteva Inc0.07%$86.94$57BAgricultural InputsBasic Materials+30.83%24.2124.940.14N/AN/A70+3.75%$90+16.78%0.55
195
APAApa Corp0.07%$35.77$12BOil & Gas E&pEnergyN/A7.695.370.24N/AN/A57+17.75%$42+17.75%0.93
196
URIUnited Rentals Inc0.06%$1,013.54$66BRental & Leasing ServicesIndustrials+25.36%26.5422.5218.42N/AN/A70+14.86%$1.16K+26.86%1.26
197
REGRegency Centers Corp0.06%$82.09$15BReit - RetailReal EstateN/A26.7235.210.75N/AN/AN/A+4.90%$86+9.25%0.40
198
KKRKkr & Co Inc Ordinary Shares0.06%$97.09$90BAsset ManagementFinancial Services-17.45%30.3716.310.90N/AN/A78+27.80%$124+10.84%1.72
199
LAMRLamar Advertising Co Class A0.06%$160.07$16BReit - SpecialtyReal Estate+7.55%30.3729.504.23N/AN/A58-0.92%$159+14.93%0.77
200
INTUIntuit Inc0.06%$289.92$77BSoftware - ApplicationTechnology+31.70%11.0710.790.10N/AN/A72+63.38%$474-10.41%0.79

DTD (WISDOMTREE U.S. TOTAL DIVIDEND FUND) Sector Allocation

FINANCIALS
19.30%
INFORMATION TECHNOLOGY
18.80%
HEALTHCARE
11.90%
INDUSTRIALS
8.80%
CONSUMER STAPLES
8.30%
ENERGY
7.50%
COMMUNICATION SERVICES
7.40%
UTILITIES
5.80%
CONSUMER DISCRETIONARY
5.20%
MATERIALS
1.60%
REAL ESTATE
0.00%