XSOE

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund

Down$28.99
$-0.11
(-0.38%)
As of 9:00:00 PM EDT | 2/28/20  |  Market Closed

XSOE Trading Data

Open

$28.36

Low Price

$28

High Price

$28.99

Previous Last Price

$29.1

Bid Size

$23 X 100

Ask Size

$0 X 0

XSOE Portfolio Data

AUM

$927,091,000

Shares

31,100

PE Ratio

18.46

Price / Book Ratio

2.32

Expense Ratio

0.32

Net Asset Value

$29.81

Volume

Volume

593,000

Avg. Volume (YDT)

349,883

Dollar Volume

$4,589,249

Weekly Avg. Volume

520,500

Monthly Avg. Volume

274,950

Quarterly Avg. Volume

279,266

XSOE Fund Description

The WisdomTree Emerging Markets ex-State-Owned Enterprises Fund seeks to track the investment results of emerging market companies that are not state-owned enterprises, which is defined as government ownership of more than 20%.

XSOE Chart

XSOE Summary

Fund Family

WisdomTree Investments

Tracks This Index

WisdomTree Emerging Markets ex-State-Owned Enterprises Fund

Inception Date

2014-10-01

Asset Class

Portfolio-Multi Asset

Asset Class Size

Emerging Markets

XSOE Classification

Region (General)

Emerging-Broad

Region (Specific)

Sector

Equity Index

Leveraged Family

XSOE Holdings

Top 10 Holdings

Alibaba Group Holding Ltd ADR BABA UN (BABA UN)
7.97%
Tencent Holdings Ltd 700 HK (700 HK)
7.53%
Samsung Electronics Co Ltd 005930 KS (005930 KS)
4.68%
Taiwan Semiconductor Manufacturing Co Ltd 2330 TT (2330 TT)
4.13%
Lukoil PJSC ADR LKOD LI (LKOD.LN)
1.61%
Naspers Ltd NPN SJ (NPN SJ)
1.59%
Ping An Insurance Group Co of China 2318 HK (2318 HK)
1.52%
Reliance Industries Ltd RIGD LI (RIGD.LN)
1.34%
Housing Development Finance Co HDFC IB (HDFC IB)
1.27%
Meituan Dianping-Class B 3690 HK (3690 HK)
1.06%

Total XSOE Holdings

Total Holdings: 545

Alibaba Group Holding Ltd ADR BABA UN (BABA UN)
7.97%
Tencent Holdings Ltd 700 HK (700 HK)
7.53%
Samsung Electronics Co Ltd 005930 KS (005930 KS)
4.68%
Taiwan Semiconductor Manufacturing Co Ltd 2330 TT (2330 TT)
4.13%
Lukoil PJSC ADR LKOD LI (LKOD.LN)
1.61%
Naspers Ltd NPN SJ (NPN SJ)
1.59%
Ping An Insurance Group Co of China 2318 HK (2318 HK)
1.52%
Reliance Industries Ltd RIGD LI (RIGD.LN)
1.34%
Housing Development Finance Co HDFC IB (HDFC IB)
1.27%
Meituan Dianping-Class B 3690 HK (3690 HK)
1.06%
Ping An Insurance Group Co of China 601318 C1 (601318 C1)
1%
Infosys Ltd ADR INFY (INFY)
0.9%
Bank Central Asia Tbk PT BBCA IJ (BBCA IJ)
0.86%
SK Hynix Inc 000660 KS (000660 KS)
0.86%
MMC Norilsk Nickel PJSC-ADR MNOD LI (MNOD.LN)
0.82%
JD.com Inc ADR JD UQ (JD UQ)
0.82%
Baidu.com ADR BIDU UQ (BIDU UQ)
0.8%
Public Bank BHD PBK MK (PBK MK)
0.78%
Hon Hai Precision Industry Co 2317 TT (2317 TT)
0.64%
B3 SA-Brasil Bolsa Balcao B3SA3 BZ (B3SA3 BZ)
0.63%
Novatek PJSC NVTK LI (NVTK.LN)
0.63%
Tata Consultancy Services Ltd TCS IB (TCS IB)
0.63%
NetEase Inc ADR NTES UQ (NTES UQ)
0.6%
Xiaomi Corp-Class B 1810 HK (1810 HK)
0.56%
ICICI Bank Ltd IBN US (IBN)
0.55%
Hindustan Unilever Ltd HUVR IB (HUVR IB)
0.51%
TAL Education Group TAL (Group TAL)
0.5%
Yandex NV YNDX UQ (YNDX UQ)
0.48%
Ambev S.A. ABEV3 BS (ABEV3 BS)
0.46%
Kotak Mahindra Bank Ltd KMB IB (KMB IB)
0.46%
NAVER Corp 035420 KS (035420 KS)
0.45%
New Oriental Education & Technology ADR EDU UN (EDU UN)
0.42%
Yum China Holdings Inc YUMC UN (YUMC UN)
0.42%
MediaTek Inc 2454 TT (2454 TT)
0.39%
America Movil SAB de CV AMXL MM (AMXL MM)
0.37%
Sunac China Holdings Ltd 1918 HK (1918 HK)
0.33%
Bharti Airtel Ltd BHARTI IB (BHARTI IB)
0.33%
Jiangsu Hengrui Medicine Co Ltd 600276 C1 (600276 C1)
0.33%
Astra International Tbk PT ASII IJ (ASII IJ)
0.33%
Fomento Economico Mexicano SAB FEMSAUBD MM (FEMSAUBD MM)
0.33%
CTBC Financial Holding Co Ltd 2891 TT (2891 TT)
0.33%
Hyundai Motor Co 005380 KS (005380 KS)
0.32%
Pinduoduo Inc-ADR PDD US (PDD)
0.31%
Trip.Com Group Ltd-ADR 89677Q107 (Ltd- 89677Q107)
0.31%
FirstRand Ltd FSR SJ (FSR SJ)
0.31%
Formosa Plastics Corp 1301 TT (1301 TT)
0.31%
Wal-Mart de Mexico SAB de CV WALMEX MM (WALMEX MM)
0.3%
Uni-President Enterprises Corp 1216 TT (1216 TT)
0.3%
Nan Ya Plastics Corp 1303 TT (1303 TT)
0.3%
Largan Precision Co Ltd 3008 TT (3008 TT)
0.29%
Midea Group Co Ltd 000333 C2 (000333 C2)
0.29%
KB Financial Group Inc 105560 KS (105560 KS)
0.29%
Shinhan Financial Group Ltd 055550 KS (055550 KS)
0.28%
CSPC Pharmaceutical Group Ltd 1093 HK (1093 HK)
0.28%
Sunny Optical Technology Group Co Ltd 2382 HK (2382 HK)
0.28%
Grupo Financiero Banorte-O GFNORTEO MM (GFNORTEO MM)
0.28%
LG Chem Ltd 051910 KS (051910 KS)
0.28%
Lojas Renner SA LREN3 BS (LREN3 BS)
0.28%
Bajaj Finance Ltd BAF IN (BAF IN)
0.27%
Cathay Financial Holding Co Lt 2882 TT (2882 TT)
0.27%
Standard Bank Group Ltd SBK SJ (SBK SJ)
0.26%
ZTO Express Cayman Inc-ADR ZTO (Inc- ZTO)
0.26%
Shenzhou International Group H 2313 HK (2313 HK)
0.26%
E.Sun Financial Holding Co Ltd 2884 TT (2884 TT)
0.26%
Maruti Suzuki India Ltd MSIL IB (MSIL IB)
0.26%
Celltrion Inc 068270 KS (068270 KS)
0.25%
ANTA Sports Products Ltd 2020 HK (2020 HK)
0.25%
CD Projekt SA CDR PW (CDR PW)
0.25%
OTP Bank PLC OTP HB (OTP HB)
0.25%
Fubon Financial Holding Co Ltd 2881 TT (2881 TT)
0.25%
China Conch Venture Holdings Ltd 586 HK (586 HK)
0.24%
WH Group Ltd 288 HK (288 HK)
0.24%
Contemporary Amperex Techn-A 300750 C2 (300750 C2)
0.24%
Sino Biopharmaceutical Ltd 1177 HK (1177 HK)
0.24%
China Minsheng Banking Corp Ltd 600016 C1 (600016 C1)
0.24%
WEG SA WEGE3 BS (WEGE3 BS)
0.23%
Luxshare Precision Industry Co 002475 C2 (002475 C2)
0.23%
Indusind Bank Ltd IIB IB (IIB IB)
0.23%
ENN Energy Holdings Ltd 2688 HK (2688 HK)
0.22%
Country Garden Holdings Co. Ltd. 2007 HK (2007 HK)
0.22%
Wuxi Biologics Cayman Inc 2269 HK (2269 HK)
0.22%
Longfor Properties Co. Ltd. 960 HK (960 HK)
0.22%
Banco Bradesco SA BBDC3 BS (BBDC3 BS)
0.22%
HCL Technologies Ltd HCLT IB (HCLT IB)
0.22%
RAIA DROGASIL SA RADL3 BS (RADL3 BS)
0.21%
Inner Mongolia Yili Industrial 600887 C1 (600887 C1)
0.21%
Geely Automobile Holdings Ltd 175 HK (175 HK)
0.21%
Localiza Rent A CAR RENT3 BS (RENT3 BS)
0.21%
Magazine Luiza SA MGLU3 BZ (MGLU3 BZ)
0.2%
Posco 005490 KS (005490 KS)
0.2%
Asian Paints Ltd APNT IB (APNT IB)
0.2%
KT&G Corp 033780 KS (033780 KS)
0.2%
LG Corp 003550 KS (003550 KS)
0.2%
Dialog Group BHD DLG MK (DLG MK)
0.2%
Catcher Technology Co Ltd 2474 TT (2474 TT)
0.2%
SM Investments Corp SM PM (SM PM)
0.19%
Hana Financial Group Inc 086790 KS (086790 KS)
0.19%
Hong Leong Bank Bhd HLBK MK (HLBK MK)
0.19%
Sanlam Ltd SLM SJ (SLM SJ)
0.19%
Bank Pekao SA PEO PW (PEO PW)
0.19%
Kia Motors Corp 000270 KS (000270 KS)
0.19%
Formosa Chemicals & Fibre Corp 1326 TT (1326 TT)
0.19%
Delta Electronics Inc 2308 TT (2308 TT)
0.19%
SM Prime Holdings Inc SMPH PM (SMPH PM)
0.19%
Natura & Co Holding Sa NTCO3 BZ (NTCO3 BZ)
0.18%
LG Household & Health Care Ltd 051900 KS (051900 KS)
0.18%
Ncsoft Corp 036570 KS (036570 KS)
0.18%
BYD Co Ltd 002594 C2 (002594 C2)
0.18%
Iqiyi Inc-Adr IQ US (IQ)
0.18%
Pagseguro Digital Ltd-Cl A PAGS US (PAGS)
0.18%
AngloGold Ashanti Ltd ANG SJ (ANG SJ)
0.18%
CP ALL PCL - NVDR CPALL-R TB (CPALL-R TB)
0.17%
Ultratech Cement Ltd UTCEM IB (UTCEM IB)
0.17%
Wens Foodstuffs Group Co - A 300498 C2 (300498 C2)
0.17%
Mobile Telesystems PJSC MBT UN (MBT UN)
0.17%
The Shanghai Commer & Svgs 5876 TT (5876 TT)
0.17%
Remgro Ltd REM SJ (REM SJ)
0.17%
Ping An Bank Co Ltd 000001 C2 (000001 C2)
0.17%
Kakao Corp 035720 KS (035720 KS)
0.17%
Asustek Computer Inc 2357 TT (2357 TT)
0.17%
Beigene Ltd 6160 HK (6160 HK)
0.16%
China Evergrande Group 3333 HK (3333 HK)
0.16%
Sany Heavy Industry Co Ltd 600031 C1 (600031 C1)
0.16%
Yuanta Financial Holding Co Lt 2885 TT (2885 TT)
0.15%
Impala Platinum Holdings Ltd IMP SJ (IMP SJ)
0.15%
ASE Technology Holding Co Ltd 3711 TT (3711 TT)
0.15%
Polymetal International PLC POLY LN (POLY.LN)
0.15%
Notre Dame Intermed Par SA GNDI3 BZ (GNDI3 BZ)
0.15%
Gulf Energy Development-Nvdr GULF-R TB (GULF-R TB)
0.15%
Equatorial Energia SA EQTL3 BS (EQTL3 BS)
0.15%
X5 Retail Group NV - GDR FIVE LI (FIVE.LN)
0.15%
Advanced Info Service PCL - NVDR ADVANC-R TB (ADVANC-R TB)
0.15%
BRF SA BRFS3 BS (BRFS3 BS)
0.15%
Hartalega Holdings Bhd HART MK (HART MK)
0.14%
TCL Corp 000100 C2 (000100 C2)
0.14%
Hotai Motor Co Ltd 2207 TT (2207 TT)
0.14%
Rumo Sa RAIL3 BZ (RAIL3 BZ)
0.14%
Polyus PJSC-Reg S-GDR PLZL LI (PLZL.LN)
0.14%
Tech Mahindra Ltd TECHM IN (TECHM IN)
0.14%
Bid Corp Ltd BID SJ (BID SJ)
0.14%
Quanta Computer Inc 2382 TT (2382 TT)
0.14%
Li Ning Co Ltd 2331 HK (2331 HK)
0.14%
Nestle India Ltd NEST IB (NEST IB)
0.14%
Taiwan Cement Corp 1101 TT (1101 TT)
0.13%
AU Optronics Corp 2409 TT (2409 TT)
0.13%
ABSA Group Ltd ABG SJ (ABG SJ)
0.13%
Vipshop Holdings Ltd VIPS UN (VIPS UN)
0.13%
JSW Steel Ltd JSTL IN (JSTL IN)
0.13%
Want Want China Holdings Ltd 151 HK (151 HK)
0.13%
Vodacom Group Pty Ltd VOD SJ (VOD SJ)
0.13%
Titan Industries Ltd TTAN IB (TTAN IB)
0.13%
Korea Zinc Co Ltd 010130 KS (010130 KS)
0.13%
East Money Information Co-A 300059 C2 (300059 C2)
0.13%
Suzano SA SUZB3 BZ (SUZB3 BZ)
0.13%
LPP SA LPP PW (LPP PW)
0.13%
Capitec Bank Holdings Ltd CPI SJ (CPI SJ)
0.13%
Stoneco Ltd-A STNE US (STNE)
0.13%
SinoPac Financial Holdings Co 2890 TT (2890 TT)
0.13%
Shandong Weigao Group Medical Polymer Co. Ltd. - H Shares 1066 HK (1066 HK)
0.13%
Old Mutual Ltd OMU SJ (OMU SJ)
0.13%
CCR SA CCRO3 BS (CCRO3 BS)
0.13%
Grupo Mexico SAB de CV GMEXICOB MM (GMEXICOB MM)
0.13%
Chang HWA Commercial Bank Ltd 2801 TT (2801 TT)
0.12%
Taiwan Mobile Co Ltd 3045 TT (3045 TT)
0.12%
Samsung Electro-Mechanics Co L 009150 KS (009150 KS)
0.12%
Novolipetsk Steel OJSC NLMK LI (NLMK.LN)
0.12%
Hengan International Group Co 1044 HK (1044 HK)
0.12%
LG Electronics Inc 066570 KS (066570 KS)
0.12%
Bajaj Finserv Ltd BJFIN IB (BJFIN IB)
0.12%
Cogna Educacao COGN3 BZ (COGN3 BZ)
0.12%
Nedbank Group Ltd NED SJ (NED SJ)
0.12%
Sun Pharmaceutical Industries SUNP IB (SUNP IB)
0.12%
AMMB Holdings Bhd AMM MK (AMM MK)
0.12%
Charoen Pokphand Indonesia PT CPIN IJ (CPIN IJ)
0.12%
Unilever Indonesia Tbk PT UNVR IJ (UNVR IJ)
0.12%
Shimao Property Holdings Ltd. 813 HK (813 HK)
0.12%
Top Glove Corp Bhd TOPG MK (TOPG MK)
0.12%
Nestle Malaysia Bhd NESZ MK (NESZ MK)
0.12%
Samsung Biologics Co Ltd 207940 KS (207940 KS)
0.12%
InnoLux Corp 3481 TT (3481 TT)
0.12%
Mail.ru Group Ltd MAIL LI (MAIL.LN)
0.12%
Qingdao Haier Co Ltd 600690 C1 (600690 C1)
0.11%
Wipro Ltd WPRO IB (WPRO IB)
0.11%
58.com Inc WUBA UN (WUBA UN)
0.11%
Gold Fields Ltd GFI SJ (GFI SJ)
0.11%
Autohome Inc ATHM (Inc ATHM)
0.11%
SK Telecom Co Ltd 017670 KS (017670 KS)
0.11%
Chailease Holding Co Ltd 5871 TT (5871 TT)
0.11%
BR Malls Participacoes SA BRML3 BS (BRML3 BS)
0.11%
Akbank TAS AKBNK TI (AKBNK TI)
0.11%
Evraz PLC EVR LN (EVR.LN)
0.11%
UPL Ltd UPLL IB (UPLL IB)
0.11%
Country Garden Services Hold 6098 HK (6098 HK)
0.11%
GDS Holdings Ltd - ADR GDS US (GDS)
0.11%
Samsung Fire & Marine Insuranc 000810 KS (000810 KS)
0.11%
Tim Participacoes SA TIMP3 BS (TIMP3 BS)
0.11%
Cyfrowy Polsat SA CPS PW (CPS PW)
0.11%
Turkiye Garanti Bankasi AS GARAN TI (GARAN TI)
0.11%
Taishin Financial Holding Co Ltd 2887 TT (2887 TT)
0.11%
United Microelectronics Corp 2303 TT (2303 TT)
0.11%
Grupo Televisa SA TLEVICPO MM (TLEVICPO MM)
0.11%
Genting Malaysia BHD GENM MK (GENM MK)
0.11%
Ayala Land Inc ALI PM (ALI PM)
0.11%
SK Holdings Co Inc 034730 KS (034730 KS)
0.11%
Bidvest Group Ltd BVT SJ (BVT SJ)
0.11%
China Minsheng Banking Corp Ltd 1988 HK (1988 HK)
0.11%
Cosan SA Industria e Comercio CSAN3 BS (CSAN3 BS)
0.11%
Muyuan Foodstuff Co Ltd 002714 C2 (002714 C2)
0.11%
Central Pattana PCL - NVDR CPN-R TB (CPN-R TB)
0.11%
Sibanye Stillwater Ltd SSW SJ (SSW SJ)
0.11%
Adani Ports and Special Economic Zone ADSEZ IB (ADSEZ IB)
0.1%
Gemdale Corp 600383 C1 (600383 C1)
0.1%
Sul America SA SULA11 BS (SULA11 BS)
0.1%
Banco de Chile CHILE CC (CHILE CC)
0.1%
Hypermarcas SA HYPE3 BS (HYPE3 BS)
0.1%
Haidilao International Hldgs 6862 HK (6862 HK)
0.1%
Press Metal Aluminium Holdings PMAH MK (PMAH MK)
0.1%
KOC Holdings AS KCHOL TI (KCHOL TI)
0.1%
Momo Inc MOMO US (MOMO)
0.1%
Clicks Group Ltd CLS SJ (CLS SJ)
0.1%
Charoen Pokphand Foods PCL - NVDR CPF-R TB (CPF-R TB)
0.1%
Bangkok Dusit Medical Services - NVDR BGH-R TB (BGH-R TB)
0.1%
BDO Unibank Inc BDO PM (BDO PM)
0.1%
LONGi Green Energy Technology 601012 C1 (601012 C1)
0.1%
Celltrion Healthcare Co Ltd 091990 KS (091990 KS)
0.1%
Samsung SDS Co Ltd 018260 KS (018260 KS)
0.1%
Far Eastern New Century Corp 1402 TT (1402 TT)
0.1%
Banco Santander Brasil SA/Braz SANB11 BS (SANB11 BS)
0.1%
SK Innovation Co Ltd 096770 KS (096770 KS)
0.1%
Dabur India Ltd DABUR IB (DABUR IB)
0.1%
Itausa - Investimentos Itau SA ITSA3 BS (ITSA3 BS)
0.1%
Aier Eye Hospital Group Co-A 300015 C2 (300015 C2)
0.1%
Yduqs Part YDUQ3 BZ (YDUQ3 BZ)
0.1%
Kingsoft Corporation Ltd. 3888 HK (3888 HK)
0.1%
Powertech Technology Inc 6239 TT (6239 TT)
0.1%
Logan Property Holdings Co Ltd 3380 HK (3380 HK)
0.1%
BIM Birlesik Magazalar AS BIMAS TI (BIMAS TI)
0.1%
Tata Steel Ltd TATA IB (TATA IB)
0.1%
Nio Inc - ADR NIO US (NIO)
0.1%
Foshan Haitian Flavouring & Food Co 603288 C1 (603288 C1)
0.1%
Tingyi Cayman Islands Holding 322 HK (322 HK)
0.1%
BTS Group Holdings PCL - NVDR BTS-R TB (BTS-R TB)
0.09%
Investec Plc INP SJ (INP SJ)
0.09%
Formosa Petrochemical Corp 6505 TT (6505 TT)
0.09%
Ayala Corp AC PM (AC PM)
0.09%
Anglo Platinum Ltd AMS SJ (AMS SJ)
0.09%
CIFI Holdings Group Co Ltd 884 HK (884 HK)
0.09%
Haier Electronics Group Co Ltd 1169 HK (1169 HK)
0.09%
Hundsun Technologies Inc 600570 C1 (600570 C1)
0.09%
Huazhu Group Ltd-ADR HTHT US (HTHT)
0.09%
Yonyou Network Technology Co Ltd 600588 C1 (600588 C1)
0.09%
Dino Polska Sa DNP PW (DNP PW)
0.09%
Innovent Biologics Inc 1801 HK (1801 HK)
0.09%
Moneta Money Bank AS MONET CP (MONET CP)
0.09%
Shanghai Fosun Pharmaceutical 2196 HK (2196 HK)
0.09%
Shoprite Holdings Ltd SHP SJ (SHP SJ)
0.09%
Lite-On Technology Corp 2301 TT (2301 TT)
0.09%
Asia Cement Corp 1102 TT (1102 TT)
0.09%
Enel Americas SA ENELAM CI (ENELAM CI)
0.09%
Shin Corp PCL - NVDR INTUCH-R TB (INTUCH-R TB)
0.09%
MOL Hungarian Oil and Gas (and Gas)
0.09%
Ultrapar Participacoes SA UGPA3 BS (UGPA3 BS)
0.09%
Enel Chile SA ENELCHILE CI (CI)
0.09%
Dr. Reddys Laboratories DRRD IN (DRRD IN)
0.09%
JG Summit Holdings Inc JGS PM (JGS PM)
0.09%
Itau Unibanco Holding SA ITUB3 BS (ITUB3 BS)
0.09%
Energy Absolute PCL - NVDR EA-R TB (EA-R TB)
0.09%
B2W CIA Digital BTOW3 BS (BTOW3 BS)
0.09%
Shree Cement Ltd SRCM IN (SRCM IN)
0.09%
Indofood Sukses Makmur Tbk PT INDF IJ (INDF IJ)
0.09%
Mahindra & Mahindra Ltd MM IB (MM IB)
0.09%
Compal Electronics Inc 2324 TT (2324 TT)
0.09%
Avenue Supermarts Ltd DMART IN (DMART IN)
0.08%
Fuyao Glass Industry Group Co 3606 HK (3606 HK)
0.08%
Ambuja Cements Ltd ACEM IB (ACEM IB)
0.08%
Hero Motocorp Ltd HMCL IB (HMCL IB)
0.08%
Kingdee International Sftwr 268 HK (268 HK)
0.08%
Minor International PCL - NVDR MINT-R TB (MINT-R TB)
0.08%
AAC Technologies Holdings Inc 2018 HK (2018 HK)
0.08%
Shriram Transport Finance Co Ltd SHTF IB (SHTF IB)
0.08%
Energisa Sa-Units ENGI11 BZ (ENGI11 BZ)
0.08%
Grupo Aeroportuario del Pacific GAPB MM (GAPB MM)
0.08%
China Biologic Products Holdings CBPO (Holdings CBPO)
0.08%
Turkcell Iletisim Hizmet AS TCELL TI (TCELL TI)
0.08%
President Chain Store Corp 2912 TT (2912 TT)
0.08%
Severstal PAO SVST LI (SVST.LN)
0.08%
HDFC Standard Life Insurance Co Ltd HDFCLIFE IN (HDFCLIFE IN)
0.08%
Indorama Ventures PCL - NVDR IVL-R TB (IVL-R TB)
0.08%
HAP Seng Consolidated Bhd HAP MK (HAP MK)
0.08%
QL Resources BHD QLG MK (QLG MK)
0.08%
Indocement Tunggal Prakarsa Tb INTP IJ (INTP IJ)
0.08%
Totvs SA TOTS3 BS (TOTS3 BS)
0.08%
Bajaj Auto Ltd BJAUT IB (BJAUT IB)
0.08%
Hyundai Heavy Industries 009540 KS (009540 KS)
0.08%
Nine Dragons Paper Holdings Lt 2689 HK (2689 HK)
0.08%
Tata Motors Ltd TTMT IB (TTMT IB)
0.08%
Xinyi Glass Holdings Ltd. 868 HK (868 HK)
0.08%
Hindalco Industries Ltd HNDL IB (HNDL IB)
0.08%
Santander Bank Polska SA SPL PW (SPL PW)
0.08%
Coca-Cola Femsa Sab De CV UBL KOFUBL MM (KOFUBL MM)
0.08%
Klabin SA KLBN11 BS (KLBN11 BS)
0.08%
Bangkok Expressway And Metro-NVDR BEM-R TB (BEM-R TB)
0.08%
Focus Media Information Tech 002027 C2 (002027 C2)
0.08%
Cheng Shin Rubber Industry Co 2105 TT (2105 TT)
0.08%
Cemex SAB de CV CEMEXCPO MM (CEMEXCPO MM)
0.08%
Britannia Industries Ltd BRIT IN (BRIT IN)
0.08%
Pou Chen Corp 9904 TT (9904 TT)
0.08%
Grupo Elektra SAB DE CV ELEKTRA* MM (ELEKTRA* MM)
0.08%
Sina Corp (Caymans) SINA UQ (SINA UQ)
0.07%
Nanya Technology Corp 2408 TT (2408 TT)
0.07%
Inventec Co Ltd 2356 TT (2356 TT)
0.07%
Barito Pacific Tbk Pt BRPT IJ (BRPT IJ)
0.07%
Fraser & Neave Holdings Bhd FNH MK (FNH MK)
0.07%
Hong Leong Financial Group Bhd HLFG MK (HLFG MK)
0.07%
Sun Art Retail Group Ltd 6808 HK (6808 HK)
0.07%
Engie Brasil Energia SA EGIE3 BZ (EGIE3 BZ)
0.07%
Bumrungrad Hospital PCL - NVDR BH-R TB (BH-R TB)
0.07%
Bharti Infratel Ltd BHIN IB (BHIN IB)
0.07%
Embraer SA EMBR3 BS (EMBR3 BS)
0.07%
China Development Financial Ho 2883 TT (2883 TT)
0.07%
Pegatron Corp Inc 4938 TT (4938 TT)
0.07%
Netmarble Corp 251270 KS (251270 KS)
0.07%
Sarana Menara Nusantara PT TOWR IJ (TOWR IJ)
0.07%
YTL Corp Bhd YTL MK (YTL MK)
0.07%
Macquarie Korea Infrastructure 088980 KS (088980 KS)
0.07%
United Spirits Ltd UNSP IN (UNSP IN)
0.07%
Micro-Star International Co Ltd 2377 TT (2377 TT)
0.07%
MRV Engenharia e Participacoes MRVE3 BS (MRVE3 BS)
0.07%
Godrej Consumer Products Ltd GCPL IB (GCPL IB)
0.07%
Universal Robina Corp URC PM (URC PM)
0.07%
Cipla Ltd/India CIPLA IB (CIPLA IB)
0.07%
Kalbe Farma Tbk PT KLBF IJ (KLBF IJ)
0.07%
Multichoice Group Ltd MCG SJ (MCG SJ)
0.07%
Promotora y Operadora de Infra PINFRA* MM (PINFRA* MM)
0.07%
Spar Group Ltd/The SPP SJ (SPP SJ)
0.07%
MBank SA MBK PW (MBK PW)
0.07%
Agile Group Holdings Ltd 3383 HK (3383 HK)
0.07%
Woongjin Coway Co Ltd 021240 KS (021240 KS)
0.07%
Shenzhen Sunway Communication-A 300136 C2 (300136 C2)
0.07%
Fabrinet FN US (FN)
0.07%
New Hope Liuhe Co Ltd 000876 C2 (000876 C2)
0.07%
Aspen Pharmacare Holdings Ltd APN SJ (APN SJ)
0.07%
Woolworths Holdings Ltd/South WHL SJ (WHL SJ)
0.07%
Atacadao Distribuicao Comerc CRFB3 BZ (CRFB3 BZ)
0.07%
Indiabulls Housing Finance LTD IHFL IB (IHFL IB)
0.07%
Zhongsheng Group Holdings Ltd 881 HK (881 HK)
0.07%
Gruma SAB de CV GRUMAB MM (GRUMAB MM)
0.07%
Vedanta Ltd VEDL IN (VEDL IN)
0.07%
ICICI Prudential Life Insurance Company Ltd IPRU IN (IPRU IN)
0.07%
Hanwha Chem Corp 009830 KS (009830 KS)
0.07%
Bilibili Inc - Sponsored ADR BILI US (BILI)
0.07%
Amorepacific Corp 090430 KS (090430 KS)
0.07%
Xinyi Solar Holdings Ltd 968 HK (968 HK)
0.07%
Lupin Ltd LPC IB (LPC IB)
0.07%
Cosan Ltd CZZ US (CZZ)
0.06%
Mirae Asset Daewoo Co Ltd 006800 KS (006800 KS)
0.06%
Pidilite Industries Ltd PIDI IB (PIDI IB)
0.06%
Grupo Aeroportuario del Centro OMAB MM (OMAB MM)
0.06%
Multiplan Empreendimentos Imobiliarios SA MULT3 BS (MULT3 BS)
0.06%
Hapvida Participacoes e Invest HAPV3 BZ (HAPV3 BZ)
0.06%
Wistron Corp 3231 TT (3231 TT)
0.06%
Thai Union Group PCL - NVDR TUF-R TB (TUF-R TB)
0.06%
SF Holding Co Ltd 002352 C2 (002352 C2)
0.06%
Home Product Center PCL HMPRO-R TB (HMPRO-R TB)
0.06%
FarEas Tone Telecommunications 4904 TT (4904 TT)
0.06%
Havells India Ltd HAVL IB (HAVL IB)
0.06%
Investec Ltd INL SJ (INL SJ)
0.06%
GoerTek Inc 002241 C2 (002241 C2)
0.06%
Kimberly-Clark de Mexico SAB d KIMBERA MM (KIMBERA MM)
0.06%
Shin Kong Financial Holding Co 2888 TT (2888 TT)
0.06%
Novatek Microelectronics Corp 3034 TT (3034 TT)
0.06%
Pick n Pay Stores Ltd PIK SJ (PIK SJ)
0.06%
Bank of the Philippine Islands BPI PM (BPI PM)
0.06%
Infraestructura Energetica Nov IENOVA* MM (IENOVA* MM)
0.06%
Federal Bank Ltd FB IB (FB IB)
0.06%
Joyy Inc YY US (YY)
0.06%
Banco de Credito e Inversiones BCI CC (BCI CC)
0.06%
Hyundai Engineering & Construc 000720 KS (000720 KS)
0.06%
Hyundai Heavy Industries Hldgs 267250 KS (267250 KS)
0.06%
Bharat Forge Ltd BHFC IB (BHFC IB)
0.06%
Aboitiz Equity Ventures Inc AEV PM (AEV PM)
0.06%
51Job Inc-ADR JOBS (Inc- JOBS)
0.06%
Kingboard Holdings Ltd. 148 HK (148 HK)
0.06%
Indofood CBP Sukses Makmur Tbk ICBP IJ (ICBP IJ)
0.06%
Hyundai Glovis Co Ltd 086280 KS (086280 KS)
0.06%
Realtek Semiconductor Corp 2379 TT (2379 TT)
0.06%
Hyundai Steel Co 004020 KS (004020 KS)
0.06%
Eicher Motors Ltd EIM IB (EIM IB)
0.06%
Divis Laboratories Ltd DIVI IN (DIVI IN)
0.06%
Tongwei Co Ltd-A 600438 C1 (600438 C1)
0.06%
Cia Siderurgica Nacional SA CSNA3 BS (CSNA3 BS)
0.06%
DLF Ltd DLFU IB (DLFU IB)
0.06%
Jubilant Foodworks Ltd JUBI IB (JUBI IB)
0.06%
Hanwha Corp 000880 KS (000880 KS)
0.06%
Northam Platinum Ltd NHM SJ (NHM SJ)
0.06%
Wuxi Apptec Co Ltd-A 603259 C1 (603259 C1)
0.06%
Walvax Biotechnology Co-A 300142 C2 (300142 C2)
0.06%
Daelim Industrial Co Ltd 000210 KS (000210 KS)
0.06%
Mahindra & Mahindra Financial Services Ltd MMFS IB (MMFS IB)
0.06%
Future Land Development Holdings 1030 HK (1030 HK)
0.06%
Westports Holdings Bhd WPRTS MK (WPRTS MK)
0.06%
Hyundai Department Store Co Lt 069960 KS (069960 KS)
0.05%
Info Edge India Ltd INFOE IB (INFOE IB)
0.05%
Hans Laser Technology Industry Grp 002008 C2 (002008 C2)
0.05%
China Life Insurance Co Ltd/Ta 2823 TT (2823 TT)
0.05%
Enka Insaat ve Sanayi AS ENKAI TI (ENKAI TI)
0.05%
Apollo Hospitals Enterprise Lt APHS IB (APHS IB)
0.05%
Indah Kiat Pulp & Paper Tbk INKP IJ (INKP IJ)
0.05%
Qualicorp SA QUAL3 BS (QUAL3 BS)
0.05%
Phosagro OAO PHOR LI (PHOR.LN)
0.05%
Cyrela Brazil Realty SA CYRE3 BS (CYRE3 BS)
0.05%
Ottogi Corp 007310 KS (007310 KS)
0.05%
Weibo Corp-Spon ADR WB (WB)
0.05%
Changjiang Securities Co Ltd 000783 C2 (000783 C2)
0.05%
Banco Del Bajio Sa BBAJIOO MM (BBAJIOO MM)
0.05%
Yuhan Corp 000100 KS (000100 KS)
0.05%
Jollibee Foods Corp JFC PM (JFC PM)
0.05%
Wuxi Apptec Co Ltd-H 2359 HK (2359 HK)
0.05%
Lepu Medical Technology-A 300003 C2 (300003 C2)
0.05%
Feng TAY Enterprise Co Ltd 9910 TT (9910 TT)
0.05%
Zhejiang Longsheng Group Co Ltd 600352 C1 (600352 C1)
0.05%
Acer Inc 2353 TT (2353 TT)
0.05%
Osotspa PCL-Nvdr OSP-R TB (OSP-R TB)
0.05%
United Tractors Tbk PT UNTR IJ (UNTR IJ)
0.05%
Berli Jucker PCL - NVDR BJC-R TB (BJC-R TB)
0.05%
Haitian International Holdings Ltd. 1882 HK (1882 HK)
0.05%
Samsung Heavy Industries Co Ltd 010140 KS (010140 KS)
0.05%
Marico Ltd MRCO IB (MRCO IB)
0.05%
Yageo Corp 2327 TT (2327 TT)
0.05%
Cia Cervecerias Unidas SA CCU CC (CCU CC)
0.05%
Grupo Bimbo SAB de CV BIMBOA MM (BIMBOA MM)
0.05%
Times China Hldgs Ltd 1233 HK (1233 HK)
0.05%
Advantech Co Ltd 2395 TT (2395 TT)
0.05%
Great Wall Motor Co Ltd 2333 HK (2333 HK)
0.05%
HLB Inc 028300 KS (028300 KS)
0.05%
China Aoyuan Group Ltd 3883 HK (3883 HK)
0.05%
Fosun International 656 HK (656 HK)
0.05%
Tupras Turkiye Petrol Rafine TUPRS TI (TUPRS TI)
0.05%
China Fortune Land Development 600340 C1 (600340 C1)
0.05%
Fleury SA FLRY3 BS (FLRY3 BS)
0.05%
Hotel Shilla Co Ltd 008770 KS (008770 KS)
0.05%
Minth Group Ltd. 425 HK (425 HK)
0.05%
Grupo Aeroportuario del Surest ASURB MM (ASURB MM)
0.05%
Thanachart Capital PCL - NVDR TCAP-R TB (TCAP-R TB)
0.05%
Srisawad Corp PCL-Nvdr SAWAD-R TB (SAWAD-R TB)
0.05%
Hanmi Pharm Co Ltd 128940 KS (128940 KS)
0.05%
True Corp PCL - NVDR TRUE-R TB (TRUE-R TB)
0.05%
KWG Property Holding Ltd 1813 HK (1813 HK)
0.05%
Alibaba Pictures Group Ltd 1060 HK (1060 HK)
0.05%
Walsin Lihwa Corp 1605 TT (1605 TT)
0.05%
Cheil Worldwide Inc 030000 KS (030000 KS)
0.04%
Meinian Onehealth Healthcare H 002044 C2 (002044 C2)
0.04%
LG Innotek Co Ltd 011070 KS (011070 KS)
0.04%
Aguas Andinas SA AGUAS/A CC (AGUAS.A CC)
0.04%
Foschini Group Ltd/The TFG SJ (TFG SJ)
0.04%
ACC Ltd ACC IB (ACC IB)
0.04%
Tongcheng-Elong Holdings Ltd 780 HK (780 HK)
0.04%
Macronix International 2337 TT (2337 TT)
0.04%
PSG Group Ltd PSG SJ (PSG SJ)
0.04%
IDFC Bank Ltd IDFCBK IN (IDFCBK IN)
0.04%
Empresa Nacional De Telecom ENTEL CI (ENTEL CI)
0.04%
LG Uplus Corp 032640 KS (032640 KS)
0.04%
Manila Electric Co MER PM (MER PM)
0.04%
Amorepacific Group 002790 KS (002790 KS)
0.04%
Xinjiang Goldwind Science & Tech 002202 C2 (002202 C2)
0.04%
SITC International Holdings Co 1308 HK (1308 HK)
0.04%
Korea Investment Holdings Co Ltd 071050 KS (071050 KS)
0.04%
Discovery Ltd DSY SJ (DSY SJ)
0.04%
Doosan Bobcat Inc 241560 KS (241560 KS)
0.04%
Exxaro Resources Ltd EXX SJ (EXX SJ)
0.04%
Interglobe Aviation Ltd INDIGO IN (INDIGO IN)
0.04%
Yihai International Holding 1579 HK (1579 HK)
0.04%
Unimicron Technology Corp 3037 TT (3037 TT)
0.04%
MGM China Holdings Ltd 2282 HK (2282 HK)
0.04%
Bajaj Holdings and Investment Ltd BJHI IN (BJHI IN)
0.04%
Hyprop Investments Ltd HYP SJ (HYP SJ)
0.04%
Gudang Garam Tbk PT GGRM IJ (GGRM IJ)
0.04%
Winbond Electronics Corp 2344 TT (2344 TT)
0.04%
United Breweries Ltd UBBL IB (UBBL IB)
0.04%
LG Display Co Ltd 034220 KS (034220 KS)
0.04%
Accton Technology Corp 2345 TT (2345 TT)
0.04%
Hanon Systems 018880 KS (018880 KS)
0.04%
ICICI Lombard General Insurance Co Ltd ICICIGI IN (ICICIGI IN)
0.04%
Land and Houses PCL - NVDR LH-R TB (LH-R TB)
0.04%
Colbun SA COLBUN CC (COLBUN CC)
0.04%
Megacable Holdings SAB de CV MEGACPO MM (MEGACPO MM)
0.04%
B Grimm Power PCL-Nvdr BGRIM-R TB (BGRIM-R TB)
0.04%
Orion Corp/Republic Of Korea 271560 KS (271560 KS)
0.04%
United Energy Group Ltd 467 HK (467 HK)
0.04%
Mitra Keluarga Karyasehat Tbk MIKA IJ (MIKA IJ)
0.04%
Muangthai Capital Pcl-NVDR MTC-R TB (MTC-R TB)
0.04%
Best Inc - ADR BEST US (BEST)
0.04%
Adaro Energy TBK PT ADRO IJ (O IJ)
0.04%
Kumho Petrochemical Co Ltd 011780 KS (011780 KS)
0.04%
Momentum Metropolitan Hldgs MTM SJ (MTM SJ)
0.04%
SACI Falabella FALAB CC (FALAB CC)
0.04%
Genscript Biotech Corp 1548 HK (1548 HK)
0.04%
Odontoprev SA ODPV3 BS (ODPV3 BS)
0.04%
China Medical System Holdings 867 HK (867 HK)
0.04%
Grupo Financiero Inbursa-O GFINBURO MM (GFINBURO MM)
0.04%
Latam Airlines Group SA LTM CI (LTM CI)
0.04%
Samsung Engineering Co Ltd 028050 KS (028050 KS)
0.04%
Banco Santander Chile BSAN CC (BSAN CC)
0.04%
Samsung Life Insurance Co Ltd 032830 KS (032830 KS)
0.03%
Linx SA LINX3 BZ (LINX3 BZ)
0.03%
Walsin Technology Corp 2492 TT (2492 TT)
0.03%
Fila Korea Ltd 081660 KS (081660 KS)
0.03%
Bharti Retail
0.03%
HUYA Inc - ADR HUYA US (HUYA)
0.03%
BGF Retail Co Ltd/New 282330 KS (282330 KS)
0.03%
Industrias Penoles SAB de CV PE&OLES* MM (PE&OLES* MM)
0.03%
Samsung Securities Co Ltd 016360 KS (016360 KS)
0.03%
Uni-President China Holdings Ltd 220 HK (220 HK)
0.03%
Mediclinic International PLC MEI SJ (MEI SJ)
0.03%
Lotte Chemical Corp 011170 KS (011170 KS)
0.03%
CVC Brasil Operadora e Agencia CVCB3 BZ (CVCB3 BZ)
0.03%
Porto Seguro SA PSSA3 BS (PSSA3 BS)
0.03%
Hiwin Technologies Corp 2049 TT (2049 TT)
0.03%
Meritz Securities Co Ltd 008560 KS (008560 KS)
0.03%
Airtac International Group 1590 TT (1590 TT)
0.03%
Baozun Inc-Spn ADR BZUN US (BZUN)
0.03%
Kumba Iron Ore Ltd KIO SJ (KIO SJ)
0.03%
GS Holdings Corp 078930 KS (078930 KS)
0.03%
Eclat Textile Co Ltd 1476 TT (1476 TT)
0.03%
Zhen Ding Technology Hldgs Ltd 4958 TT (4958 TT)
0.03%
Central Retail Corp PCL-NVDR CRC-R TB (CRC-R TB)
0.03%
Arca ContinentalSAB de CV AC* MM (AC* MM)
0.03%
3SBio Inc 1530 HK (1530 HK)
0.03%
Bandhan Bank Ltd BANDHAN IN (BANDHAN IN)
0.03%
WHA Corp PCL - NVDR WHA-R TB (WHA-R TB)
0.03%
Giant Manufacturing Co Ltd 9921 TT (9921 TT)
0.03%
Chroma ATE Inc 2360 TT (2360 TT)
0.03%
GS Engineering & Construction 006360 KS (006360 KS)
0.02%
Luye Pharma Group Ltd 2186 HK (2186 HK)
0.02%
Chicony Electronics Co Ltd 2385 TT (2385 TT)
0.02%
Antarchile SA ANTAR CC (ANTAR CC)
0.02%
M Dias Branco SA MDIA3 BS (MDIA3 BS)
0.02%
Empresas CMPC SA CMPC CC (CMPC CC)
0.02%
Doosan Corp 000150 KS (000150 KS)
0.01%
Doosan Solus Co Ltd 336370 KS (336370 KS)
0.01%
Reliance Industries Ltd - GDR RLNIY US (RLNIY)
0.01%
WisdomTree EmMkts ex-Stt-Ownd EntrprsETF (XSOE)
0%
Doosan Fuel Cell Co Ltd 336260 KS (336260 KS)
0%
BTS Group Holdings PCL Wts (PCL Wts)
0%
China Com Rich Ene Invest (Ene Invest)
0%

XSOE Technicals

Alpha

0.73

Beta

1.06

Leverage

Long

Standard Deviation

1.19

XSOE Dividends

Dividend Date

2019-12-23

Latest Dividend

0.126

Annual Dividend

0.63

Annual Dividend Rate

0.63

Annual Dividend Yield

2.1

XSOE Performance

YTD Return

-7.14%

1 Year Return

2.69%

3 Year Return

21.5%

5 Year Return

16.63%

10 Year Return

19.07%

XSOE Related Articles

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