EMCG

WisdomTree Emerging Markets Consumer Growth Fund

Down$22.36
$-0.09
(-0.4%)
As of 4:27:40 PM EDT | 11/11/19  |  Market Closed

EMCG Trading Data

Open

$22.42

Low Price

$22.36

High Price

$22.42

Previous Last Price

$22.45

Bid Size

$0 X 0

Ask Size

$0 X 0

EMCG Portfolio Data

AUM

$38,301,000

Shares

1,700

PE Ratio

16.41

Price / Book Ratio

2.36

Expense Ratio

0.32

Net Asset Value

$22.53

Volume

Volume

917

Avg. Volume (YDT)

5,647

Dollar Volume

$18,978

Weekly Avg. Volume

2,420

Monthly Avg. Volume

3,020

Quarterly Avg. Volume

4,095

EMCG Fund Description

The WisdomTree Emerging Markets Consumer Growth Fund seeks to track the investment results of companies in the consumer and non-consumer sectors that exemplify growth trends in emerging market consumers and their local economies.

EMCG Chart

EMCG Summary

Fund Family

WisdomTree Investments

Tracks This Index

WisdomTree Emerging Markets Consumer Growth Fund

Inception Date

2013-09-30

Asset Class

Equity

Asset Class Size

Emerging Markets

EMCG Classification

Region (General)

Emerging-Broad

Region (Specific)

Sector

Consumer Staples

Equity Index

Leveraged Family

EMCG Holdings

Top 10 Holdings

Samsung Electronics Co Ltd 005930 KS
3.49%
Alibaba Group Holding Ltd ADR BABA UN (BABA)
2.64%
Taiwan Semiconductor Manufacturing Co Ltd 2330 TT
2.54%
Tencent Holdings Ltd 700 HK
2.44%
MercadoLibre Inc MELI (Inc M)
1.26%
Housing Development Finance Co HDFC IB (HDFC)
1.11%
Sul America SA SULA11 BS (SULA11)
0.94%
SK Hynix Inc 000660 KS
0.93%
America Movil SAB de CV AMXL MM (AMXL)
0.85%
Ping An Insurance Group Co of China 2318 HK
0.84%

Total EMCG Holdings

Total Holdings: 232

Samsung Electronics Co Ltd 005930 KS (005930)
3.49%
Alibaba Group Holding Ltd ADR BABA UN (BABA)
2.64%
Taiwan Semiconductor Manufacturing Co Ltd 2330 TT (2330)
2.54%
Tencent Holdings Ltd 700 HK (700)
2.44%
MercadoLibre Inc MELI (Inc M)
1.26%
Housing Development Finance Co HDFC IB (HDFC)
1.11%
Sul America SA SULA11 BS (SULA11)
0.94%
SK Hynix Inc 000660 KS (000660)
0.93%
America Movil SAB de CV AMXL MM (AMXL)
0.85%
Ping An Insurance Group Co of China 2318 HK (2318)
0.84%
Telefonica Brasil SA VIVT4 BZ (VIVT4)
0.79%
Hindustan Unilever Ltd HUVR IB (HUVR)
0.79%
CP ALL PCL - NVDR CPALL-R TB (CPALL-R)
0.65%
Ambev S.A. ABEV3 BS (ABEV3)
0.64%
Telekomunikasi Indonesia Persero TBK TLKM IJ (TLKM)
0.63%
Kakao Corp 035720 KS (035720)
0.63%
Tim Participacoes SA TIMP3 BS (TIMP3)
0.62%
ICICI Bank Ltd ICICIBC IN (ICICIBC)
0.62%
Wal-Mart de Mexico SAB de CV WALMEX MM (WALMEX)
0.58%
Nestle India Ltd NEST IB (NEST)
0.58%
SM Prime Holdings Inc SMPH PM (SMPH)
0.57%
OTP Bank PLC OTP HB (OTP)
0.57%
Advanced Info Service PCL - NVDR ADVANC-R TB (ADVANC-R)
0.57%
BDO Unibank Inc BDO PM (BDO)
0.56%
Fomento Economico Mexicano SAB FEMSAUBD MM (FEMSAUBD)
0.56%
ITC Ltd ITC IB (ITC)
0.55%
Lojas Renner SA LREN3 BS (LREN3)
0.55%
Charoen Pokphand Indonesia PT CPIN IJ (CPIN)
0.54%
Home Product Center PCL HMPRO-R TB (HMPRO-R)
0.54%
Dabur India Ltd DABUR IB (DABUR)
0.54%
Banco do Brasil SA BBAS3 BS (BBAS3)
0.54%
Grupo Financiero Banorte-O GFNORTEO MM (GFNORTEO)
0.54%
Banco Bradesco SA BBDC3 BS (BBDC3)
0.53%
MTN Group Ltd MTN SJ (MTN)
0.53%
Kweichow Moutai Co Ltd 600519 C1 (600519)
0.53%
Tech Mahindra Ltd TECHM IN (TECHM)
0.52%
Samsung Electro-Mechanics Co L 009150 KS (009150)
0.52%
Shinsegae Co Ltd 004170 KS (004170)
0.52%
Gudang Garam Tbk PT GGRM IJ (GGRM)
0.52%
Titan Industries Ltd TTAN IB (TTAN)
0.52%
JD.com Inc ADR JD UQ (JD)
0.52%
Ncsoft Corp 036570 KS (036570)
0.52%
LG Household & Health Care Ltd 051900 KS (051900)
0.51%
Magazine Luiza SA MGLU3 BZ (MGLU3)
0.51%
Capitec Bank Holdings Ltd CPI SJ (CPI)
0.51%
Banco Santander Brasil SA/Braz SANB11 BS (SANB11)
0.5%
Metropolitan Bank & Trust MBT PM (MBT)
0.5%
Anadolu Efes Biracilik Ve Malt AEFES TI (AEFES)
0.5%
Marico Ltd MRCO IB (MRCO)
0.5%
Cia Brasileira de Distribuicao PCAR4 BZ (PCAR4)
0.49%
Woongjin Coway Co Ltd 021240 KS (021240)
0.49%
Pick n Pay Stores Ltd PIK SJ (PIK)
0.49%
Equatorial Energia SA EQTL3 BS (EQTL3)
0.49%
RAIA DROGASIL SA RADL3 BS (RADL3)
0.49%
Megaworld Corp MEG PM (MEG)
0.49%
Natura Cosmeticos SA NATU3 BS (NATU3)
0.48%
Bangkok Dusit Medical Services - NVDR BGH-R TB (BGH-R)
0.48%
Cia de Saneamento Basico do Es SBSP3 BS (SBSP3)
0.48%
BIM Birlesik Magazalar AS BIMAS TI (BIMAS)
0.48%
Enel Americas SA ENELAM CI (ENELAM)
0.48%
Godrej Consumer Products Ltd GCPL IB (GCPL)
0.48%
Discovery Ltd DSY SJ (DSY)
0.47%
Foschini Group Ltd/The TFG SJ (TFG)
0.47%
Oil & Natural Gas Corp Ltd ONGC IB (ONGC)
0.47%
Page Industries Ltd PAG IN (PAG)
0.46%
Unilever Indonesia Tbk PT UNVR IJ (UNVR)
0.46%
Hotel Shilla Co Ltd 008770 KS (008770)
0.46%
Ford Otomotiv Sanayi AS FROTO TI (FROTO)
0.46%
Indofood CBP Sukses Makmur Tbk ICBP IJ (ICBP)
0.46%
LG Innotek Co Ltd 011070 KS (011070)
0.46%
Kimberly-Clark de Mexico SAB d KIMBERA MM (KIMBERA)
0.46%
LG Electronics Inc 066570 KS (066570)
0.45%
CJ Enm Co Ltd 035760 KS (035760)
0.45%
Powszechny Zaklad Ubezpieczen PZU PW (PZU)
0.45%
Clicks Group Ltd CLS SJ (CLS)
0.45%
QL Resources BHD QLG MK (QLG)
0.45%
Arca ContinentalSAB de CV AC* MM (AC*)
0.45%
ANTA Sports Products Ltd 2020 HK (2020)
0.45%
Minor International PCL - NVDR MINT-R TB (MINT-R)
0.44%
Delta Electronics Inc 2308 TT (2308)
0.44%
Samsung SDS Co Ltd 018260 KS (018260)
0.44%
Globe Telecom Inc GLO PM (GLO)
0.44%
Fraser & Neave Holdings Bhd FNH MK (FNH)
0.44%
Fila Korea Ltd 081660 KS (081660)
0.44%
Turkcell Iletisim Hizmet AS TCELL TI (TCELL)
0.44%
Electricity Generating PCL - NVDR EGCO-R TB (EGCO-R)
0.43%
Komercni Banka AS KOMB CP (KOMB)
0.43%
Indofood Sukses Makmur Tbk PT INDF IJ (INDF)
0.43%
Dr. Reddy s Laboratories DRRD IN (DRRD)
0.43%
Gruma SAB de CV GRUMAB MM (GRUMAB)
0.43%
NetEase Inc ADR NTES UQ (NTES)
0.43%
Gail India Ltd GAIL IN (GAIL)
0.43%
Cipla Ltd/India CIPLA IB (CIPLA)
0.42%
Momentum Metropolitan Hldgs MTM SJ (MTM)
0.42%
Li Ning Co Ltd 2331 HK (2331)
0.42%
Coca-Cola Femsa Sab De CV UBL KOFUBL MM (KOFUBL)
0.42%
Novatek Microelectronics Corp 3034 TT (3034)
0.42%
Zhen Ding Technology Hldgs Ltd 4958 TT (4958)
0.42%
Bajaj Auto Ltd BJAUT IB (BJAUT)
0.42%
Robinsons Land Corp RLC PM (RLC)
0.42%
E.Sun Financial Holding Co Ltd 2884 TT (2884)
0.41%
LPP SA LPP PW (LPP)
0.41%
Realtek Semiconductor Corp 2379 TT (2379)
0.41%
Nestle Malaysia Bhd NESZ MK (NESZ)
0.41%
Industrial Bank of Korea 024110 KS (024110)
0.41%
Ping An Insurance Group Co of China 601318 C1 (601318)
0.41%
Cheil Worldwide Inc 030000 KS (030000)
0.41%
CSPC Pharmaceutical Group Ltd 1093 HK (1093)
0.41%
PLDT Inc TEL PM (TEL)
0.41%
Yihai International Holding 1579 HK (1579)
0.41%
Sunac China Holdings Ltd 1918 HK (1918)
0.4%
Berli Jucker PCL - NVDR BJC-R TB (BJC-R)
0.4%
New Oriental Education & Technology ADR EDU UN (EDU)
0.4%
Standard Foods Corp 1227 TT (1227)
0.39%
Spar Group Ltd/The SPP SJ (SPP)
0.39%
Charoen Pokphand Foods PCL - NVDR CPF-R TB (CPF-R)
0.39%
Hanjaya Mandala Sampoerna Tbk HMSP IJ (HMSP)
0.39%
Shenzhou International Group H 2313 HK (2313)
0.39%
TAL Education Group TAL (Group)
0.39%
China Merchants Bank Co Ltd 3968 HK (3968)
0.39%
Uni-President Enterprises Corp 1216 TT (1216)
0.39%
Kumba Iron Ore Ltd KIO SJ (KIO)
0.39%
Porto Seguro SA PSSA3 BS (PSSA3)
0.39%
LG Household & Health Care Ltd 051905 KS (051905)
0.38%
China Mengniu Dairy Co Ltd 2319 HK (2319)
0.38%
Sunny Optical Technology Group Co Ltd 2382 HK (2382)
0.38%
Cia Cervecerias Unidas SA CCU CC (CCU)
0.38%
Arcelik ARCLK TI (ARCLK)
0.38%
Cyfrowy Polsat SA CPS PW (CPS)
0.38%
Pakuwon Jati Tbk PT PWON IJ (PWON)
0.38%
Manila Electric Co MER PM (MER)
0.37%
Wistron Corp 3231 TT (3231)
0.37%
Britannia Industries Ltd BRIT IN (BRIT)
0.37%
President Chain Store Corp 2912 TT (2912)
0.37%
Megacable Holdings SAB de CV MEGACPO MM (MEGACPO)
0.37%
Banco Santander Chile BSAN CC (BSAN)
0.37%
Kalbe Farma Tbk PT KLBF IJ (KLBF)
0.36%
Jollibee Foods Corp JFC PM (JFC)
0.36%
China Resources Beer Holdings 291 HK (291)
0.36%
Infraestructura Energetica Nov IENOVA* MM (IENOVA*)
0.35%
Country Garden Holdings Co. Ltd. 2007 HK (2007)
0.35%
China Resources Land Ltd 1109 HK (1109)
0.35%
Geely Automobile Holdings Ltd 175 HK (175)
0.35%
El Puerto de Liverpool SAB de LIVEPOLC MM (LIVEPOLC)
0.35%
Chicony Electronics Co Ltd 2385 TT (2385)
0.34%
Advantech Co Ltd 2395 TT (2395)
0.34%
Lenovo Group Ltd 992 HK (992)
0.34%
China Pacific Insurance Group 2601 HK (2601)
0.34%
Yageo Corp 2327 TT (2327)
0.34%
Hotai Motor Co Ltd 2207 TT (2207)
0.34%
Walsin Technology Corp 2492 TT (2492)
0.34%
Nien Made Enterprise Co Ltd 8464 TT (8464)
0.34%
Sino Biopharmaceutical Ltd 1177 HK (1177)
0.33%
ENN Energy Holdings Ltd 2688 HK (2688)
0.33%
China Resources Gas Group Ltd 1193 HK (1193)
0.33%
Embotelladora Andina-Pref B ANDINAB CI (ANDINAB)
0.33%
Longfor Properties Co. Ltd. 960 HK (960)
0.33%
Vipshop Holdings Ltd VIPS UN (VIPS)
0.33%
Zhongsheng Group Holdings Ltd 881 HK (881)
0.32%
Logan Property Holdings Co Ltd 3380 HK (3380)
0.32%
Chailease Holding Co Ltd 5871 TT (5871)
0.32%
58.com Inc WUBA UN (WUBA)
0.32%
Taiwan Mobile Co Ltd 3045 TT (3045)
0.31%
Want Want China Holdings Ltd 151 HK (151)
0.31%
China Development Financial Ho 2883 TT (2883)
0.3%
Synnex Technology International Corp 2347 TT (2347)
0.3%
Tingyi Cayman Islands Holding 322 HK (322)
0.3%
Nanya Technology Corp 2408 TT (2408)
0.3%
New China Life Insurance Co Ltd 1336 HK (1336)
0.3%
China Gas Holdings Ltd 384 HK (384)
0.3%
Far East Horizon Ltd 3360 HK (3360)
0.3%
Weibo Corp-Spon ADR WB (ADR)
0.29%
Kunlun Energy Co Ltd 135 HK (135)
0.29%
Momo Inc MOMO US (MOMO)
0.29%
Cheng Shin Rubber Industry Co 2105 TT (2105)
0.29%
Luye Pharma Group Ltd 2186 HK (2186)
0.29%
Pou Chen Corp 9904 TT (9904)
0.29%
Kingdee International Sftwr 268 HK (268)
0.28%
China Unicom Hong Kong Ltd 762 HK (762)
0.28%
SinoPac Financial Holdings Co 2890 TT (2890)
0.28%
China Taiping Insurance Hldgs 966 HK (966)
0.27%
China Jinmao Holdings Group 817 HK (817)
0.27%
SSY Group Ltd 2005 HK (2005)
0.27%
Giant Manufacturing Co Ltd 9921 TT (9921)
0.27%
Wuliangye Yibin Co Ltd 000858 C2 (000858)
0.27%
Lite-On Technology Corp 2301 TT (2301)
0.26%
Haier Electronics Group Co Ltd 1169 HK (1169)
0.26%
Anhui Conch Cement Co Ltd-H 914 HK (914)
0.26%
Autohome Inc ATHM (Inc A)
0.26%
Huazhu Group Ltd-ADR HTHT US (HTHT)
0.26%
Huaneng Renewables Corp Ltd 958 HK (958)
0.26%
Beijing Enterprises Holdings Ltd 392 HK (392)
0.26%
WPG Holdings Co Ltd 3702 TT (3702)
0.26%
China Medical System Holdings 867 HK (867)
0.26%
Shandong Weigao Group Medical Polymer Co. Ltd. - H Shares 1066 HK (1066)
0.25%
Tsingtao Brewery Co Ltd 168 HK (168)
0.25%
Yuzhou Properties Co Ltd 1628 HK (1628)
0.25%
Luxshare Precision Industry Co 002475 C2 (002475)
0.25%
Beijing Enterprises Water Group 371 HK (371)
0.24%
Baozun Inc-Spn ADR BZUN US (BZUN)
0.24%
BYD Co Ltd 1211 HK (1211)
0.24%
ZTE Corp 763 HK (763)
0.24%
Uni-President China Holdings Ltd 220 HK (220)
0.23%
China Traditional Chinese Medicine Hldgs Co Ltd 570 HK (570)
0.22%
HengTen Networks Group Ltd 136 HK (136)
0.21%
Foshan Haitian Flavouring & Food Co 603288 C1 (603288)
0.21%
Midea Group Co Ltd 000333 C2 (000333)
0.19%
Shanxi Xinghuacun Fen Wine FacTory Co 600809 C1 (600809)
0.18%
China International Travel Service Co 601888 C1 (601888)
0.18%
Gree Electric Appliances Inc 000651 C2 (000651)
0.18%
Wuhu Shunrong Sanqi Interactive 002555 C2 (002555)
0.17%
Mango Excellent Media Co L-A 300413 C2 (300413)
0.17%
Luzhou Laojiao Co Ltd 000568 C2 (000568)
0.16%
360 Security Technology Inc 601360 C1 (601360)
0.16%
Suzhou Dongshan Precision Manufacturing Co 002384 C2 (002384)
0.15%
Hundsun Technologies Inc 600570 C1 (600570)
0.14%
Iflytek Co Ltd 002230 C2 (002230)
0.14%
Wuxi Lead Intelligent Equip-A 300450 C2 (300450)
0.14%
Yonyou Network Technology Co Ltd 600588 C1 (600588)
0.14%
Tongwei Co Ltd-A 600438 C1 (600438)
0.14%
Perfect World Co Ltd/China 002624 CH (002624)
0.13%
LONGi Green Energy Technology 601012 C1 (601012)
0.13%
Yonghui Superstores Co Ltd 601933 C1 (601933)
0.13%
Ninestar Corp 002180 C2 (002180)
0.13%
Tianma Microelectronics Co Ltd 000050 C2 (000050)
0.12%
Jinke Properties Group Co Ltd 000656 C2 (000656)
0.12%
Shanghai 2345 Network Holding 002195 C2 (002195)
0.12%
Zhejiang Semir Garment Co-A 002563 C2 (002563)
0.1%
Tiga Pilar Sejahtera Food Tbk AISA IJ (AISA)
0.01%
WisdomTree EM Consumer Growth Fund ETF (EMCG)
0%
Britannia Industries Ltd 8% 8/28/2022 ZR2766916 (8.28.2022 ZR2766)
0%
Legend Holdings Corp (Holdings C)
0%

EMCG Technicals

Alpha

-5.19

Beta

0.89

Leverage

Long

Standard Deviation

0.82

EMCG Dividends

Dividend Date

2019-09-24

Latest Dividend

0.405

Annual Dividend

0.71

Annual Dividend Rate

0.71

Annual Dividend Yield

3.16

EMCG Performance

YTD Return

12.42%

1 Year Return

12.88%

3 Year Return

11.14%

5 Year Return

-10.56%

10 Year Return

-9.88%

EMCG Related Articles

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