DEW

WisdomTree Global Equity Income Fund

Up$47.72
+$0.28
(+0.59%)
As of 1:00:00 AM EDT | 11/15/19  |  Market Closed

DEW Trading Data

Open

$47.59

Low Price

$47.55

High Price

$47.72

Previous Last Price

$47.44

Bid Size

$0 X 0

Ask Size

$0 X 0

DEW Portfolio Data

AUM

$92,488,500

Shares

1,950

PE Ratio

14.25

Price / Book Ratio

1.8

Expense Ratio

0.58

Net Asset Value

$47.43

Volume

Volume

1,700

Avg. Volume (YDT)

8,746

Dollar Volume

$0

Weekly Avg. Volume

2,500

Monthly Avg. Volume

6,630

Quarterly Avg. Volume

9,006

DEW Fund Description

The WisdomTree Global High Dividend Fund seeks to track the investment results of high-dividend-yielding companies in the U.S. and in developed and emerging equity markets. Prior to August 31, 2015, the WisdomTree Global High Dividend Fund was named the WisdomTree Global Equity Income Fund.

DEW Chart

DEW Summary

Fund Family

WisdomTree Investments

Tracks This Index

WisdomTree Global Equity Income Fund

Inception Date

2006-06-16

Asset Class

Equity

Asset Class Size

International

DEW Classification

Region (General)

Global

Region (Specific)

Sector

Equity Index

Leveraged Family

DEW Holdings

Top 10 Holdings

AT&T Inc T UN
348%
Exxon Mobil Corp XOM UN
325%
Verizon Communications Inc VZ UN
227%
Chevron Corp CVX UN
214%
Pfizer Inc PFE UN
186%
Philip Morris International Inc PM UN
174%
AbbVie Inc ABBV UN
172%
Wells Fargo & Co WFC UN
153%
Coca-Cola Co/The KO UN
153%
Altria Group Inc MO UN
152%

Total DEW Holdings

Total Holdings: 753

AT&T Inc T UN
348%
Exxon Mobil Corp XOM UN
325%
Verizon Communications Inc VZ UN
227%
Chevron Corp CVX UN
214%
Pfizer Inc PFE UN
186%
Philip Morris International Inc PM UN
174%
AbbVie Inc ABBV UN
172%
Wells Fargo & Co WFC UN
153%
Coca-Cola Co/The KO UN
153%
Altria Group Inc MO UN
152%
Cisco Systems Inc CSCO UQ
132%
International Business Machines Corp IBM UN
121%
Broadcom Inc AVGO US
107%
Amgen Inc AMGN UQ
88%
BP PLC BP/ LN
83%
Qualcomm Inc QCOM UQ
82%
3M Co MMM UN (MMM)
81%
Royal Dutch Shell PLC Class A RDSA LN
78%
Gilead Sciences Inc GILD UQ
72%
Total SA FP FP
70%
Bristol-Myers Squibb Co BMY UN
68%
China Mobile Ltd 941 HK
64%
United Parcel Service Inc UPS UN
63%
Southern Co/The SO UN
61%
Dominion Resources Inc/VA D UN
60%
British American Tobacco PLC BATS LN
60%
Las Vegas Sands Corp LVS UN
59%
Kraft Heinz Co/The KHC UQ
59%
HSBC Holdings PLC HSBA LN
59%
Duke Energy Corp DUK UN
57%
Dupont De Nemours Inc DD US
56%
Occidental Petroleum Corp OXY UN
53%
General Motors Co GM UN
51%
GlaxoSmithKline PLC GSK LN
49%
Ford Motor Co F UN
49%
Gazprom PJSC OGZD LI
48%
China Construction Bank Corp H 939 HK
48%
Kinder Morgan Inc/DE KMI UN
46%
Simon Property Group Inc SPG UN
45%
Walgreen Boots Alliance Inc WBA UQ
44%
Enbridge Inc ENB CT
41%
Morgan Stanley MS UN
41%
CenturyLink Inc CTL
41%
Daimler Ag-Reg Shs DAI GR
41%
Williams Cos Inc/The WMB UN
40%
Phillips 66 PSX UN
39%
Valero Energy Corp VLO UN
39%
Rio Tinto PLC RIO LN
38%
CNOOC Ltd 883 HK
38%
BHP Group Ltd BHP AU
37%
Commonwealth Bank of Australia CBA AU
33%
American Electric Power Co Inc AEP UN
33%
Crown Castle International Corp CCI UN
33%
Siemens AG SIE GY
33%
Marathon Petroleum Corp MPC UN
32%
Allianz SE ALV GY
32%
Exelon Corp EXC UN
32%
Oneok Inc OKE UN
32%
Royal Bank of Canada RY CT
32%
Deutsche Telekom AG DTE GY
32%
BASF SE BAS GY
32%
Tatneft PAO ATAD LI
32%
NTT DoCoMo Inc 9437 JT
32%
Enel SpA ENEL IM
31%
Emerson Electric Co EMR UN
31%
Softbank Corp 9434 JP
31%
Kimberly-Clark Corp KMB UN
31%
Equinor ASA EQNR NO
31%
ENI SpA ENI IM
30%
Paccar Inc PCAR UQ
30%
Hon Hai Precision Industry Co 2317 TT
30%
Takeda Pharmaceutical Co Ltd 4502 JT
29%
Sberbank of Russia SBER LI
29%
Prudential Financial Inc PRU UN
29%
Japan Tobacco Inc 2914 JT
29%
Toronto-Dominion Bank/The TD CT
29%
MMC Norilsk Nickel PJSC-ADR MNOD LI
29%
HP Inc HPQ UN
29%
MetLife Inc MET UN
29%
Westpac Banking Corp WBC AU
28%
Intesa Sanpaolo SpA ISP IM
28%
Lukoil PJSC ADR LKOD LI
28%
Bayer AG BAYN GY
28%
BNP Paribas BNP FP
27%
BHP Group Plc BHP LN
27%
Bayerische Motoren Werke AG BMW GY
26%
Industrial & Commercial Bank of China-H 1398 HK
26%
Axa SA CS FP
26%
Iberdrola SA IBE SM
26%
Progressive Corp/The PGR UN
26%
PPL Corp PPL UN
25%
Blackstone Group Inc/The-A BX US
25%
Zurich Insurance Group AG ZURN SW
24%
Ing Groep NV-CVA INGA NA
24%
General Mills Inc GIS UN
24%
Public Service Enterprise Grou PEG UN
24%
KDDI Corp 9433 JT
24%
Welltower Inc HCN UN
23%
Imperial Brands PLC IMB LN
23%
Mitsubishi UFJ Financial Group 8306 JT
23%
UBS Group AG UBSG VX
22%
Consolidated Edison Inc ED
22%
Paychex Inc PAYX
22%
BB&T Corp BBT UN
21%
Vodafone Group PLC VOD LN
21%
Lloyds Banking Group PLC LLOY LN
21%
WisdomTree International High Dividend Fund DTH US
21%
Canon Inc 7751 JT
21%
BCE Inc BCE CT
21%
Public Storage PSA UN
20%
Entergy Corp ETR
20%
TC Energy Corp TRP CN
20%
Sumitomo Mitsui Financial Group 8316 JT
20%
Honda Motor Co Ltd 7267 JT
20%
Suncor Energy Inc SU CT
20%
Bank of Nova Scotia BNS CT
19%
Orange SA ORA FP
19%
BT Group PLC BT/A LN
19%
Cummins Inc CMI UN
19%
Targa Resources Corp TRGP UN
19%
Archer-Daniels-Midland Co ADM UN
19%
Mitsubishi Corp 8058 JT
19%
FirstEnergy Corp FE UN
19%
Credit Agricole SA ACA FP
19%
National Australia Bank Ltd NAB AU
19%
Kellogg Co K UN
18%
International Paper Co IP UN
18%
Hewlett Packard Enterprise Co HPE UN
18%
Endesa SA ELE SM
17%
Halliburton Co HAL UN
17%
Nissan Motor Co Ltd 7201 JT
17%
Australia & New Zealand Banking Group Ltd ANZ AU
17%
Realty Income Corp O UN
17%
Bank of China Ltd 3988 HK
17%
Edison International EIX UN
16%
Ventas Inc VTR UN
16%
DBS Group Holdings Ltd DBS SP
16%
Deutsche Post AG DPW GY
16%
Anglo American PLC AAL LN
16%
Singapore Telecommunications Ltd ST SP
16%
Bank of Montreal BMO CT
16%
Repsol SA REP SM
16%
CITIC Ltd 267 HK
16%
Nordea Bank Abp NDA SS
16%
DTE Energy Co DTE
16%
SunTrust Banks Inc STI UN
15%
Weyerhaeuser Co WY UN
15%
State Street Corp STT UN
15%
National Grid Plc NG/ LN
15%
China Petroleum & Chemical Corp H 386 HK
15%
Muenchener Rueckversicherungs MUV2 GY
15%
Telefonica SA TEF SM
15%
Swiss Reinsurance SREN SW
15%
Omnicom Group Inc OMC UN
15%
BOC Hong Kong Holdings Ltd 2388 HK
15%
Wesfarmers Ltd WES AU
15%
Nan Ya Plastics Corp 1303 TT
14%
Digital Realty Trust Inc DLR UN
14%
ABB Ltd ABBN SW
14%
Mizuho Financial Group Inc 8411 JT
14%
Banco Santander SA SAN SM
14%
Societe Generale GLE FP
14%
Telenor ASA TEL NO
13%
Naturgy Energy Group SA NTGY SM
13%
Barclays PLC BARC LN
13%
Canadian Natural Resources Ltd CNQ CN
13%
Nucor Corp NUE UN
13%
Formosa Chemicals & Fibre Corp 1326 TT
13%
Keycorp KEY UN
13%
Macquarie Group Ltd MQG AU
13%
Koninklijke Ahold NV AD NA
13%
WP Carey Inc WPC US
13%
Canadian Imperial Bank of Comm CM CT
13%
Iron Mountain Inc IRM
13%
Westrock Co WRK
13%
Sampo OYJ SAMPO FH
13%
Centerpoint Energy Inc CNP
13%
Engie ENGI FP
12%
Fifth Third Bancorp FITB UQ (FITB.O)
12%
Woodside Petroleum Ltd WPL AU
12%
Avangrid Inc AGR UN
12%
NetApp Inc NTAP UQ
12%
Hang Seng Bank Ltd 11 HK
12%
Macy s Inc M UN
12%
Fortum Oyj FORTUM FH
12%
Swedbank AB SWEDA SS
12%
Fiat Chrysler Automobiles NV FCA IM (FCHA.MI)
12%
Healthpeak Properties Inc PEAK UN
12%
Cardinal Health Inc CAH UN
12%
Kohl s Corp KSS UN
12%
Western Digital Corp WDC UQ
12%
Host Hotels & Resorts Inc HST UN
12%
Citizens Financial Group Inc CFG UN
11%
Mid-America Apartment Communities MAA UN
11%
Kuehne + Nagel International AG KNIN SW
11%
Skandinaviska Enskilda Banken SEBA SS
11%
Sun Hung Kai Properties Ltd 16 HK
11%
Fortescue Metals Group Ltd FMG AU (FMG.AX)
11%
Itochu Corp 8001 JT
11%
Aena SA AENA SM
11%
Genuine Parts Co GPC UN
11%
Rio Tinto Ltd RIO AU
11%
Formosa Plastics Corp 1301 TT
11%
Newell Brands Inc NWL US
11%
Continental AG CON GY
11%
Telia Co AB TELIA SS
11%
Oversea-Chinese Banking Corp L OCBC SP
11%
Hennes & Mauritz AB HMB SS
11%
Posco 005490 KS
11%
Persimmon PLC PSN LN
11%
Swisscom AG SCMN SW
11%
Interpublic Group of Cos Inc IPG UN
11%
Regions Financial Corp RF UN
11%
Transurban Group TCL AU
11%
Huntington Bancshares Inc/OH HBAN UQ
11%
Omega Healthcare Investors Inc OHI UN
11%
BAE Systems PLC BA/ LN
11%
Telus Corp T CT
11%
Komatsu Ltd 6301 JT
10%
CNA Financial Corp CNA UN
10%
Western Union Co/The WU UN
10%
Apache Corp APA UN
10%
Legal & General Group PLC LGEN LN
10%
Coty Inc COTY UN
10%
Telefonica Deutschland Holding O2D GY
10%
DNB ASA DNB NO
10%
VEREIT Inc 92339V100
10%
Wynn Resorts Ltd WYNN UQ
10%
Boston Properties Inc BXP UN
10%
Renault SA RNO FP
10%
Principal Financial Group Inc PFG UQ
10%
Bridgestone Corp 5108 JT
10%
Whirlpool Corp WHR UN
10%
Japan Post Holdings Co Ltd 6178 JP
10%
Liberty Property Trust LPT
10%
E.ON SE EOAN GY
10%
Pinnacle West Capital Corp PNW UN
10%
Evergy Inc EVRG UN
10%
Gap Inc/The GPS UN
10%
Gaming & Leisure Porperties Inc GLPI UQ
10%
Xerox Holdings Corp XRX US
9%
Pembina Pipeline Corp PPL CT
9%
Tapestry Inc TPR UN
9%
Campbell Soup Co CPB
9%
Chunghwa Telecom Co Ltd 2412 TT
9%
Eastman Chemical Co EMN UN
9%
AES Corp/The AES UN
9%
Sydney Airport SYD AU
9%
Caixacorp SA CABK SM
9%
Medical Properties Trust Inc MPW UN
9%
Snam SpA SRG IM
9%
UPM-Kymmene Oyj UPM FH
9%
VICI Properties Inc VICI UN
9%
Park Hotels & Resorts Inc PK
9%
Grupo Mexico SAB de CV GMEXICOB MM
9%
CLP Holdings Ltd 2 HK
9%
United Overseas Bank Ltd UOB SP
9%
Maxim Integrated Products Inc MXIM UQ
9%
Franklin Resources Inc BEN UN (BEN)
9%
Evraz PLC EVR LN
9%
Agricultural Bank of China Ltd 1288 HK
9%
Standard Bank Group Ltd SBK SJ
9%
JM Smucker Co/The SJM UN
9%
Telekomunikasi Indonesia Persero TBK TLKM IJ
9%
Mega Financial Holding Co Ltd 2886 TT
9%
FirstRand Ltd FSR SJ
9%
Taylor Wimpey PLC TW/ LN
9%
Macerich Co/The MAC UN
9%
Helmerich & Payne Inc HP US
9%
SSE PLC SSE LN
9%
Comerica Inc CMA UN
9%
Bouygues SA EN FP
9%
Extra Space Storage Inc EXR UN
9%
Brixmor Property Group Inc BRX UN
8%
Cie de Saint-Gobain SGO FP
8%
Assicurazioni Generali SpA G IM
8%
Molson Coors Brewing Co TAP UN
8%
LafargeHolcim Ltd LHN SW
8%
Banco do Brasil SA BBAS3 BS
8%
Rosneft Oil Co ROSN LI
8%
Henderson Land Development Co 12 HK
8%
Power Financial Corp PWF CT
8%
Centrica PLC CNA LN
8%
Cie Generale des Etablissements Michelin ML FP
8%
China Steel Corp 2002 TT
8%
CVR Energy Inc CVI UN
8%
PetroChina Co Ltd 857 HK
8%
EDP - Energias de Portugal SA EDP PL
8%
Viacom Inc VIAB UQ
8%
KBC Groep NV KBC BB
8%
KB Financial Group Inc 105560 KS
8%
Taiwan Cement Corp 1101 TT
8%
Banco Bilbao Vizcaya ArgentariaSA BBVA SM
8%
Kimco Realty Corp KIM
8%
JXTG Holdings Inc 5020 JT
8%
Telstra Corp Ltd TLS AU
8%
Red Electrica Corp SA REE SM
8%
Terna SPA TRN IM
7%
Aviva PLC AV/ LN
7%
PacWest Bancorp PACW UQ
7%
Emera Inc EMA CT
7%
Mowi ASA MOWI NO
7%
Manulife Financial Corp MFC CT
7%
ACS Actividades de Construccio ACS SM
7%
Juniper Networks Inc JNPR UN
7%
Sumitomo Corp 8053 JT
7%
Barratt Developments PLC BDEV LN
7%
Service Properties Trust SVC US
7%
Poste Italiane SpA PST IM
7%
Atlantia SpA ATL IM
7%
Apollo Global Management Inc APO US
7%
Evonik Industries AG EVK GY
7%
Hana Financial Group Inc 086790 KS
7%
WisdomTree U.S. High Dividend Fund DHS US
7%
National Retail Properties Inc NNN UN
7%
Lamar Advertising Co LAMR UQ
7%
Vedanta Ltd VEDL IN
7%
Country Garden Holdings Co. Ltd. 2007 HK
7%
Subaru Corp 7270 JT
7%
Marubeni Corp 8002 JT
7%
Antero Midstream Corp AM US
7%
Klepierre LI FP
7%
China Shenhua Energy Co Ltd 1088 HK
7%
Nordstrom Inc JWN UN
7%
Ageas AGS BB
7%
Aker Bp Asa AKERBP NO
7%
Quanta Computer Inc 2382 TT
7%
Fosun International 656 HK
7%
Grupo Financiero Banorte-O GFNORTEO MM
7%
National Bank of Canada NA CT
7%
OGE Energy Corp OGE UN
7%
Equitrans Midstream Corp ETRN US
6%
EPR Properties EPR UN
6%
CTBC Financial Holding Co Ltd 2891 TT
6%
STORE Capital Corp STOR
6%
Mitsubishi Chemical Holdings Corp 4188 JT
6%
Magnit PJSC MGNT LI
6%
Regency Centers Corp REG UN
6%
Malayan Banking Bhd MAY MK
6%
Aisin Seiki Co Ltd 7259 JT
6%
People s United Financial Inc PBCT UQ
6%
Old Republic International Corp ORI UN
6%
American Financial Group Inc/Ohio AFG UN
6%
Six Flags Entertainment Corp SIX US
6%
Sekisui House Ltd 1928 JT
6%
Erste Group Bank AG EBS AV
6%
Macquarie Infrastructure Co LLC MIC UN
6%
First Financial Holding Co Ltd 2892 TT
6%
Healthcare Trust of America Inc HTA UN
6%
New York Community Bancorp Inc NYCB
6%
Mobile Telesystems PJSC MBT UN
6%
Camden Property Trust CPT US
6%
Insurance Australia Group Ltd IAG AU
6%
Murphy Oil Corp MUR UN
6%
Steel Dynamics Inc STLD UQ
6%
Chemours Co/The CC UN
6%
H&R Block Inc HRB UN
6%
Delta Electronics Inc 2308 TT
6%
Suncorp Group Ltd SUN AU
6%
Sabra Health Care REIT Inc SBRA UQ
6%
Koninklijke KPN NV KPN NA
6%
Great-West Lifeco Inc GWO CT
6%
Extended Stay America Inc STAY
6%
Federal Realty Invest Trust FRT UN
6%
NN Group NV NN NA
6%
Hanesbrands Inc HBI UN
6%
SK Telecom Co Ltd 017670 KS
6%
Elisa Oyj ELISA FH
6%
Vornado Realty Trust VNO US
6%
Proximus SA PROX BB
6%
Unum Group UNM UN
6%
Azimut Holding SpA AZM IM
6%
Oil & Natural Gas Corp Ltd ONGC IB
5%
Goodyear Tire & Rubber Co/The GT UQ
5%
Deutsche Lufthansa Reg LHA GR
5%
Nedbank Group Ltd NED SJ
5%
Sanlam Ltd SLM SJ
5%
Husky Energy Inc HSE CT
5%
Icade SA ICAD FP
5%
Spark New Zealand Ltd SPK NZ
5%
Yuanta Financial Holding Co Lt 2885 TT
5%
Solvay SA SOLB BB
5%
New World Development Ltd 17 HK
5%
Galp Energia SGPS SA GALP PL
5%
Old Mutual Ltd OMU SJ
5%
Indian Oil Corp Ltd IOCL IB
5%
Navient Corp NAVI UQ
5%
Hydro One Ltd H CN
5%
Umpqua Holdings Corp UMPQ UQ
5%
Mercury NZ Ltd MCY NZ
5%
Veolia Environment VIE FP
5%
TUI AG TUI1 GY
5%
Land Securities Group PLC REIT
5%
Inter Pipeline Ltd IPL CT
5%
PTT PCL - NVDR PTT-R TB
5%
Covestro AG 1COV GR
5%
Bank of Communications Co Ltd 3328 HK
5%
Carnival PLC CCL LN
5%
China Minsheng Banking Corp Ltd 1988 HK
5%
Itau Unibanco Holding SA ITUB3 BS
5%
TFS Financial Corp TFSL UQ
5%
Magnitogorsk Spon GDR MMK LI
5%
Bankia SA BKIA SM
5%
Compal Electronics Inc 2324 TT
5%
Phoenix Group Holdings Plc PHNX LN
5%
Shimao Property Holdings Ltd. 813 HK
5%
CNP Assurances CNP FP
5%
Lundin Petroleum AB LUPE SS
5%
H Lundbeck A/S LUN DC
5%
Sonoco Products Co SON US
5%
PBF Energy Inc PBF UN
5%
ABN AMRO Group NV ABN NA
5%
Far Eastern New Century Corp 1402 TT
5%
L Brands Inc LB
5%
Yageo Corp 2327 TT
5%
Novatek Microelectronics Corp 3034 TT
5%
Tabcorp Holdings Ltd TAH AU
5%
Apartment Invt & Mgmt Co -A 03748R754
5%
DS Smith PLC SMDS LN
5%
Bharat Petroleum Corp Ltd BPCL IB
5%
Dufry AG DUFN SW
5%
Ingredion Inc INGR UN
5%
Woori Financial Group Inc 316140 KS
4%
Klabin SA KLBN11 BS
4%
Taiwan Mobile Co Ltd 3045 TT
4%
Meridian Energy Ltd MEL NZ
4%
PCCW Ltd 8 HK
4%
Micro Focus International PLC MCRO LN
4%
UnipolSai SpA US IM
4%
Japan Post Insurance Co Ltd 7181 JP
4%
Santander Bank Polska SA SPL PW
4%
Admiral Group PLC ADM LN
4%
Scor SE SCR FP
4%
Pou Chen Corp 9904 TT
4%
IGM Financial Inc IGM CN
4%
AIB Group Plc AIBG ID
4%
Outfront Media Inc OUT UN
4%
Digi.Com BHD DIGI MK
4%
Sojitz Corp 2768 JT
4%
Amundi SA AMUN FP
4%
Mitsubishi Tanabe Pharma Corp 4508 JT
4%
Petrobras Distribuidora Sa BRDT3 BZ
4%
FNB Corp/PA FNB UN
4%
Pegatron Corp Inc 4938 TT
4%
Piedmont Office Realty Trust Inc PDM UN
4%
Valley National Bancorp VLY UQ
4%
Covivio COV FP
4%
CubeSmart CUBE UN
4%
Kansai Electric Power Co Inc 9503 JP
4%
Crown Resorts Ltd CWN AU
4%
Penske Auto Group Inc PAG UN
4%
Itausa - Investimentos Itau SA ITSA3 BS
4%
Sino Land Co 83 HK
4%
Kingboard Holdings Ltd. 148 HK
4%
Samsung Fire & Marine Insuranc 000810 KS
4%
Santander Consumer USA Holding SC UN
4%
Singapore Technologies Engineering Ltd STE SP
4%
AGL Energy Ltd AGL AU
4%
Gjensidige Forsikring ASA GJF NO
4%
KT&G Corp 033780 KS
4%
Eutelsat Communications ETL FP
4%
Hochtief AG HOT GY
4%
Banco Santander Brasil SA/Braz SANB11 BS
4%
British Land Co PLC BLND LN
4%
Ryder System Inc R UN
4%
SinoPac Financial Holdings Co 2890 TT
4%
Anhui Conch Cement Co Ltd-H 914 HK
4%
Yamaha Motor Co Ltd 7272 JT
4%
CIMIC Group Ltd CIM AU
4%
MSC Industrial Direct Co MSM UN
4%
National Health Investors Inc NHI UN
4%
Flowers Foods Inc FLO UN (FLO.N)
4%
First American Financial Corp FAF UN
4%
Hengan International Group Co 1044 HK
4%
BR Malls Participacoes SA BRML3 BS
4%
MS&AD Insurance Group Holdings Inc 8725 JT
4%
Cineworld Group PLC CINE LN
4%
Nanya Technology Corp 2408 TT
4%
Highwoods Properties Inc HIW UN
4%
Olin Corp OLN UN
4%
Genting Singapore Ltd GENS SP
4%
Swire Pacific Ltd 19 HK
4%
Transmissora Alianca de Energia Eletrica SA TAEE11 BS
4%
Natixis KN FP
4%
Iskenderun Demir Ve Celik As ISDMR TI
4%
Pattern Energy Group Inc PEGI
4%
Cullen/Frost Bankers Inc CFR UN
4%
Bankinter SA BKT SM
4%
Foot Locker Inc FL UN (FL.N)
4%
Foschini Group Ltd/The TFG SJ
4%
Randstad Holding NV RAND NA
4%
Synovus Financial Corp SNV UN
4%
St James s Place PLC STJ LN
4%
Stora Enso Oyj STERV FH
4%
CEZ AS CEZ CP
4%
Valeo SA FR FP
4%
RSA Insurance Group PLC RSA LN
4%
NOS SGPS SA NOS PL
4%
Longfor Properties Co. Ltd. 960 HK
4%
Ryman Hospitality Properties RHP UN
4%
MTN Group Ltd MTN SJ
4%
QBE Insurance Group Ltd QBE AU
4%
NorthWestern Corp NWE UN
4%
Paramount Group Inc PGRE
4%
Harley-Davidson Inc HOG UN
4%
Rayonier Inc RYN UN
4%
Ausnet Services AST AU
3%
KAR Auction Services Inc KAR UN
3%
China CITIC Bank Corp Ltd 998 HK
3%
PTT Exploration & Production P - NVDR PTTEP-R TB
3%
Power Assets Holdings Ltd 6 HK
3%
Mediobanca SpA MB IM
3%
Nikon Corp 7731 JT
3%
Seiko Epson Corp 6724 JT
3%
Guangzhou Automobile Group Co 2238 HK
3%
Mitsubishi Motors Corp 7211 JT
3%
Asia Cement Corp 1102 TT
3%
China Communications Construct 1800 HK
3%
ABSA Group Ltd ABG SJ
3%
NTPC Ltd NTPC IB
3%
Grupo Aeroportuario del Pacific GAPB MM
3%
Associated Banc-Corp ASB UN
3%
DiamondRock Hospitality Co DRH UN
3%
NSK Ltd 6471 JT
3%
United Tractors Tbk PT UNTR IJ
3%
Weichai Power Co Ltd 2338 HK
3%
Nine Dragons Paper Holdings Lt 2689 HK
3%
IRPC PCL - NVDR IRPC-R TB
3%
easyJet PLC EZJ LN
3%
Hays PLC HAS LN
3%
Mebuki Financial Group Inc 7167 JT
3%
Spar Group Ltd/The SPP SJ
3%
China Jinmao Holdings Group 817 HK
3%
Siam Cement PCL - NVDR SCC-R TB
3%
Adecco Group AG Reg ADEN SW
3%
CIFI Holdings Group Co Ltd 884 HK
3%
Powertech Technology Inc 6239 TT
3%
ACEA SpA ACE IM
3%
Fluor Corp FLR UN (FLR.N)
3%
Webster Financial Corp WBS UN
3%
Investors Bancorp Inc ISBC UQ
3%
Lite-On Technology Corp 2301 TT
3%
Raiffeisen Bank International RBI AV
3%
Bharti Infratel Ltd BHIN IB
3%
RMB Holdings Ltd RMH SJ
3%
SK Innovation Co Ltd 096770 KS
3%
Land and Houses PCL - NVDR LH-R TB
3%
American Eagle Outfitters Inc AEO UN
3%
Israel Chemicals Ltd ICL IT
3%
Imerys SA NK FP
3%
Hindustan Petroleum Corp Ltd HPCL IB
3%
Wartsila Oyj WRT1V FH
3%
Fubon Financial Holding Co Ltd 2881 TT
3%
Schroders PLC SDR LN
3%
Spark Infrastructure Group SKI AU
3%
First Horizon National Corp FHN UN
3%
Showa Denko KK 4004 JT
3%
Ford Otomotiv Sanayi AS FROTO TI
3%
Great Wall Motor Co Ltd 2333 HK
3%
Industrial Bank of Korea 024110 KS
3%
China Vanke Co Ltd H 2202 HK
3%
Trinity Industries Inc TRN UN
3%
South Jersey Industries Inc SJI UN
3%
AltaGas Ltd ALA CT
3%
American Campus Communities In ACC UN
3%
Olam International Ltd OLAM SP
3%
Power Grid Corp of India Ltd PWGR IB
3%
KWG Property Holding Ltd 1813 HK
3%
Spectrum Brands Holdings Inc SPB US
3%
Wistron Corp 3231 TT
3%
Topdanmark A/S TOP DC
3%
Storebrand ASA STB NO
3%
Cia de Distribucion Integral Ltd LOG SM
3%
United Bankshares Inc UBSI UQ
3%
IMI PLC IMI LN
3%
Qantas Airways Ltd QAN AU
3%
Cohen & Steers Inc CNS UN
3%
Mr Price Group Ltd MRP SJ
3%
Federated Investors Inc FII UN
3%
Investec PLC INVP LN
3%
Sinotruk (Hong Kong) Ltd. 3808 HK
3%
John Wiley & Sons Inc JW/A UN
3%
Netlink NBN Trust NETLINK SP
3%
Kennedy-Wilson Holdings Inc KW UN
3%
Mitsui Chemicals Inc 4183 JT
3%
Bank Ozk OZK US
3%
Nippon Electric Glass 5214 JP
3%
Coresite Realty Corp COR UN
3%
Turkcell Iletisim Hizmet AS TCELL TI
3%
China Power Intl 2380 HK
3%
Bawag Group Ag BG AV
3%
Mitsubishi Gas Chemical Co Inc 4182 JT
3%
Yuexiu Property Co Ltd 123 HK
3%
Bank of Ireland Group BIRGI IX
3%
Concordia Financial Group Ltd 7186 JP
3%
Danske Bank A/S DANSKE DC
3%
ComfortDelgro Corp Ltd CD SP
3%
Washington Real Estate Invest WRE US
3%
Kesko Oyj KESKOB FH
3%
Hyundai Heavy Industries Hldgs 267250 KS
3%
Close Brothers Group PLC CBG LN
3%
China Everbright International 257 HK
2%
Lee & Man Paper Manufacturing 2314 HK
2%
Cathay General Bancorp CATY UQ
2%
RHB Bank Bhd RHBBANK MK
2%
Colbun SA COLBUN CC
2%
Lawson Inc 2651 JT
2%
Rexel SA RXL FP
2%
SITE Centers Corp SITC US
2%
Vodacom Group Pty Ltd VOD SJ
2%
Hang Lung Group Ltd 10 HK
2%
Walsin Technology Corp 2492 TT
2%
Agile Group Holdings Ltd 3383 HK
2%
Legg Mason Inc LM UN
2%
Sumitomo Rubber Industries Ltd 5110 JT
2%
Siltronic Ag WAF GR
2%
Postal Savings Bank of China Co Ltd - H Shares 1658 HK
2%
Jupiter Fund Management PLC JUP LN
2%
Societe BIC SA BB FP
2%
Bellway PLC BWY LN
2%
Delek US Holdings Inc DK UN
2%
United Utilities Group PLC UU/ LN
2%
O2 Czech Republic As TELEC CP
2%
Kumba Iron Ore Ltd KIO SJ
2%
First Hawaiian Inc FHB UQ
2%
CIMB Group Holdings BHD CIMB MK
2%
Cia Siderurgica Nacional SA CSNA3 BS
2%
African Rainbow Minerals Ltd ARI SJ
2%
Urban Edge Properties UE UN
2%
AMMB Holdings Bhd AMM MK
2%
Manila Electric Co MER PM
2%
Yuzhou Properties Co Ltd 1628 HK
2%
Alfa SAB de CV ALFAA MM
2%
Cia Cervecerias Unidas SA CCU CC
2%
Nu Skin Enterprises Inc NUS UN
2%
Svenska Handelsbanken-A Shs SHBA SS
2%
Sunrise Communications Group A SRCG SW
2%
Intrum AB INTRUM SS
2%
Eaton Vance Corp EV UN
2%
Petronas Gas BHD PTG MK
2%
Methanex Corp MX CT
2%
Inchcape PLC INCH LN
2%
SJM Holdings Ltd 880 HK
2%
PLDT Inc TEL PM
2%
Ares Management Corp - A ARES US
2%
Zardoya Otis SA ZOT SM
2%
Bank Leumi Le-Israel BM LUMI IT
2%
DWS Group GmbH & Co KgaA DWS GR
2%
Tosoh Corp 4042 JT
2%
Prosegur Cash Sa CASH SM
2%
Sumco Corp 3436 JT
2%
Fulton Financial Corp FULT UQ (FULT.O)
2%
SATS Ltd SATS SP
2%
Cabot Corp CBT UN
2%
Star Entertainment Grp Ltd SGR AU
2%
Konica Minolta Inc 4902 JT
2%
Xinyi Glass Holdings Ltd. 868 HK
2%
Haseko Corp 1808 JT
2%
Chartwell Retirement Residence CSH-U CT
2%
Corporate Office Properties Tr OFC US
2%
AVX Corp AVX UN
2%
Assore Ltd ASR SJ
2%
Bendigo and Adelaide Bank Ltd BEN AU
2%
SBI Holdings Inc/Japan 8473 JT
2%
Shimizu Corp 1803 JT
2%
Gibson Energy Inc GEI CT
2%
UNIQA Insurance Group AG UQA AV
2%
Fukuoka Financial Group Inc 8354 JT
2%
Potlatch Corp PCH UQ
2%
Publicis Groupe PUB FP
2%
Andritz AG ANDR AV
2%
Redrow PLC RDW LN
2%
Shenzhen Investment Ltd 604 HK
2%
Oesterreichische Post AG POST AV
2%
First Financial Bancorp FFBC UQ
2%
CVB Financial Corp CVBF UQ
2%
Yduqs Part YDUQ3 BZ
2%
Chow Tai Fook Jewellery Group 1929 HK
2%
Krung Thai Bank PCL - NVDR KTB-R TB
2%
Indorama Ventures PCL - NVDR IVL-R TB
2%
Travis Perkins PLC TPK LN
2%
Orora Ltd ORA AU
2%
Cadence Bancorp CADE US
2%
Bank Pekao SA PEO PW
2%
Aeon Credit Service Co Ltd 8570 JT
2%
Cyrela Brazil Realty SA CYRE3 BS
2%
Spirit Realty Capital Inc 84860W300
2%
REC Ltd RECL IB
2%
Wacker Chemie AG WCH GY
2%
COSCO Shipping Ports Ltd 1199 HK
2%
Nine Entertainment Co Holdings NEC AU
2%
DMCI Holdings Inc DMC PM
2%
CGN Power Co Ltd 1816 HK
2%
China Zhongwang Holdings Ltd 1333 HK
2%
Nexity NXI FP
2%
Mediaset Espana Communicacion TL5 SM
2%
Beijing Enterprises Water Group 371 HK
2%
Old National Bancorp/IN ONB UQ
2%
Denki Co Ltd 4061 JT
2%
Lagardere SCA MMB FP
2%
Industrias Penoles SAB de CV PE&OLES* MM
2%
Ube Industries Ltd/Japan 4208 JT
2%
Hanjaya Mandala Sampoerna Tbk HMSP IJ
2%
Kingboard Laminates Holdings L 1888 HK
2%
Atlas Arteria ALX AU
2%
WesBanco Inc WSBC UQ
2%
Capital Power Corp CPX CT
2%
Lenzing AG LNZ AV
2%
Northland Power Inc NPI CT
2%
DIC Corp 4631 JT
2%
YTL Corp Bhd YTL MK
2%
TransAlta Renewables Inc RNW CT
2%
Harvey Norman Holdings Ltd HVN AU
2%
BBA Aviation PLC BBA LN
2%
Acciona SA ANA SM
2%
Far East Horizon Ltd 3360 HK
2%
Peab AB PEABB SS
2%
Telecom Italia SpA TITR IM
2%
Aker ASA AKER NO
2%
TMB Bank PCL - NVDR TMB-R TB
1%
Coca-Cola Amatil Ltd CCL AU
1%
Bolsas y Mercados Espanoles BME SM
1%
Challenger Ltd CGF AU
1%
Micro-Star International Co Ltd 2377 TT
1%
Mercury General Corp MCY
1%
Columbia Banking System Inc COLB UQ
1%
Medibank Private Limited MPL AU
1%
Matsui Securities Co Ltd 8628 JT
1%
Nokian Tyres PLC NRE1V FH
1%
Avista Corp AVA UN
1%
Unione di Banche Italiane SCPA UBI IM
1%
Wharf Holdings Ltd 4 HK
1%
Telkom SA Ltd TKG SJ
1%
Mitsubishi UFJ Lease & Finance 8593 JT
1%
Delta Electronics Thailand PCL - NVDR DELTA-R TB
1%
Canadian Utilities Ltd CU CT
1%
Standard Life Aberdeen Plc SLA LN
1%
Liberty Holdings Ltd LBH SJ
1%
MISC Bhd MISC MK
1%
Suez SA SEV FP
1%
Societa Iniziative Autostradal SIS IM
1%
Caretrust Reit Inc CTRE
1%
QTS Realty Trust Inc - Cl A QTS UN
1%
Gazprom Neft OAO GAZ LI
1%
Royal Mail PLC RMG LN
1%
Porto Seguro SA PSSA3 BS
1%
Italgas SpA IG IM
1%
Vector Ltd VCT NZ
1%
Midea Real Estate Holding Ltd 3990 HK
1%
Meritz Securities Co Ltd 008560 KS
1%
Vienna Insurance Group VIG AV
1%
WisdomTree Global Equity Income Fund ETF (DEW)
0%
Pebblebrook Hotel Trust PEB UN
0%

DEW Technicals

Alpha

1.07

Beta

0.84

Leverage

Long

Standard Deviation

1.31

DEW Dividends

Dividend Date

2019-09-24

Latest Dividend

0.51

Annual Dividend

1.79

Annual Dividend Rate

1.79

Annual Dividend Yield

3.77

DEW Performance

YTD Return

14.33%

1 Year Return

6.23%

3 Year Return

14.11%

5 Year Return

2.58%

10 Year Return

15.27%

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