ETF constituents for DOO

Below, a list of constituents for DOO (WisdomTree International Dividend ex-Financials Fund) is shown. In total, DOO consists of 93 securities.

Note: The data shown here is as of date 11/12/2021 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

CountryCode Weight IdentifierName IdentifierTicker SharesPar MarketValue
NO 0.0248099 Equinor ASA EQNR NO 132754 3391768.05
ES 0.0214377 Naturgy Energy Group SA NTGY SM 113967 2930752.17
AU 0.0212587 Fortescue Metals Group Ltd FMG AU 252050 2906280.61
FI 0.0192596 Fortum Oyj FORTUM FH 90935 2632985.69
GB 0.0179191 Vodafone Group PLC VOD LN 1610460 2449729.73
JP 0.0176618 Canon Inc 7751 JT 105200 2414554.87
GB 0.0175066 SSE PLC SSE LN 108287 2393332.9
AU 0.0173821 Telstra Corp Ltd TLS AU 817606 2376319.66
JP 0.0172889 Japan Tobacco Inc 2914 JT 115300 2363571.59
JP 0.0166907 Softbank Corp 9434 JP 168900 2281791.5
DE 0.0165605 BASF SE BAS GY 31576 2263993.08
AU 0.0165122 Woodside Petroleum Ltd WPL AU 138582 2257392.74
GB 0.0162908 British American Tobacco Plc BATS LN 63630 2227122.87
HK 0.0161308 Power Assets Holdings Ltd 6 HK 361000 2205245.02
AU 0.0151086 BHP Group Plc BHP LN 78641 2065499.87
HK 0.0148969 Henderson Land Development Co 12 HK 473000 2036556.02
ES 0.0147393 Red Electrica Corp SA REE SM 97707 2015010.77
JP 0.0146002 Mitsubishi Corp 8058 JT 65700 1995993.16
SG 0.0141359 Singapore Telecommunications ST SP 1013000 1932519.96
JP 0.0140837 Sumitomo Corp 8053 JT 133500 1925385.02
GB 0.0138814 Rio Tinto Plc RIO LN 31052 1897733.83
NL 0.0136145 Koninklijke KPN NV KPN NA 614866 1861242.93
GB 0.0134239 GlaxoSmithKline PLC GSK LN 85983 1835186.69
DE 0.0133433 Evonik Industries AG EVK GY 57501 1824170.93
JP 0.0132758 JXTG Holdings Inc 5020 JT 459500 1814935.28
GB 0.0132731 BAE Systems PLC BA/ LN 237327 1814570.98
DE 0.0132085 Volkswagen AG VOW GY 5544 1805739.19
FI 0.012992 UPM-Kymmene Oyj UPM FH 47782 1776140.23
IT 0.0128297 Snam SpA SRG IM 305415 1753952.9
DE 0.0127941 Bayer AG BAYN GY 30091 1749088.32
NO 0.0126735 Yara International Asa YAR NO 32558 1732595.6
AU 0.0123543 Rio Tinto Ltd RIO AU 25019 1688955.68
DE 0.0123308 Bayerische Motoren Werke Ag BMW GR 15835 1685742.78
FR 0.0119695 Orange SA ORA FP 144982 1636349.2
GB 0.0119651 National Grid Plc NG/ LN 124889 1635750.52
SE 0.0118539 Telia Co AB TELIA SS 407698 1620547.64
CH 0.0116698 Holcim Ltd HOLN SW 30506 1595387.84
DE 0.011589 E.On Se EOAN GR 125464 1584342.3
JP 0.0115212 Sekisui House Ltd 1928 JT 74600 1575074.37
NO 0.0114005 Telenor Asa TEL NO 98657 1558569.57
SG 0.0110963 Capitaland Investment Ltd/Si CLI SP 603400 1516977.23
HK 0.0107928 Link REIT/The 823 HK 160800 1475484.94
JP 0.0107359 Bridgestone Corp 5108 JT 33700 1467711.82
ES 0.0105892 Endesa SA ELE SM 65882 1447654.45
FR 0.0105394 Gecina SA GFC FP 10345 1440847.37
AU 0.0104885 BHP Group Ltd BHP AU 51952 1433883.63
DE 0.0102354 Siemens Ag-Reg SIE GR 8239 1399282.2
JP 0.0102266 KDDI Corp 9433 JT 46300 1398080.82
HK 0.0102098 China Overseas Land & Investment Ltd 688 HK 586000 1395784.22
HK 0.0102056 Sun Hung Kai Properties Ltd 16 HK 108500 1395211.85
JP 0.0100732 Hitachi Ltd 6501 JT 21500 1377109.39
HK 0.0099783 New World Development 17 HK 309000 1364142.12
GB 0.0096509 Tesco Plc TSCO LN 345605 1319373.4
JP 0.0095808 Denso Corp 6902 JT 17500 1309793.34
CH 0.0095737 ABB Ltd-Reg ABBN SW 37346 1308822.0
JP 0.0092481 Tokyo Electron Ltd 8035 JT 2500 1264314.86
ES 0.0092057 Ferrovial SA FER SM 41733 1258511.33
NL 0.0091528 Koninklijke Ahold NV AD NA 36708 1251282.1
AU 0.0089828 Wesfarmers Ltd WES AU 28230 1228043.67
FR 0.0089254 Danone BN FP 18507 1220199.4
HK 0.0087835 Swire Properties Ltd 1972 HK 442400 1200793.11
HK 0.008528 Guangdong Investment Ltd 270 HK 882000 1165865.65
JP 0.00849 Seven & I Holdings Co Ltd 3382 JT 26400 1160668.69
JP 0.0083824 Daiwa House Industry Co Ltd 1925 JT 37300 1145954.98
JP 0.0082462 Takeda Pharmaceutical Co Ltd 4502 JT 39000 1127339.74
CH 0.0080915 Novartis AG NOVN SW 13376 1106188.6
JP 0.0080258 Panasonic Corp 6752 JT 88300 1097212.06
FR 0.0079096 Sanofi SA SAN FP 10590 1081322.11
JP 0.0077833 Itochu Corp 8001 JT 35800 1064056.86
CH 0.0077133 SGS SA SGSN SW 345 1054483.81
JP 0.0075772 Honda Motor Co Ltd 7267 JT 36000 1035882.59
CH 0.007574 Roche Holding AG RO SW 2354 1035438.18
DE 0.0074124 Continental AG CON GY 8300 1013346.58
HK 0.007186 Hang Lung Properties Ltd 101 HK 443000 982404.09
CH 0.0070667 Roche Holding AG ROG SW 2413 966090.16
AU 0.0069218 Coles Group Ltd COL AU 72493 946275.73
JP 0.0065476 Astellas Pharma Inc 4503 JT 51400 895119.13
AU 0.0064841 Transurban Group TCL AU 89890 886439.83
SG 0.0064466 Wilmar International Ltd WIL SP 274000 881322.09
JP 0.0059207 Fuji Film Holdings Corp 4901 JT 9900 809427.41
GB 0.0058966 Astrazeneca Plc AZN LN 6838 806127.92
NL 0.0057951 Unilever Plc UNAA T1 15095 792253.33
GB 0.0057035 Sage Group PLC/The SGE LN 77346 779731.22
JP 0.0057016 Kirin Holdings Co Ltd 2503 JT 47500 779474.35
AU 0.0054662 Sonic Healthcare Ltd SHL AU 26506 747287.98
JP 0.0041718 Fujitsu Ltd 6702 JT 3100 570326.01
FR 0.0038513 Edenred EDEN FP 10518 526512.7
FI 0.0038057 Neste OYJ NESTE FH 9685 520282.98
0.0036265 WisdomTree International LargeCap Dividend Fund DOL US 10018 495775.79
JP 0.0031936 Murata Manufacturing Co Ltd 6981 JT 5800 436596.9
JP 0.0030274 TDK Corp 6762 JT 10400 413882.67
SE 0.0028362 Ericsson Lm-B Shs ERICB SS 35165 387731.77
ES 0.0001053 Ferrovial Sa-Rts FER/D SM 41733 14390.49