QMID Holdings — WisdomTree U.S. MidCap Quality Growth Fund

All 126 reported holdings of WisdomTree U.S. MidCap Quality Growth Fund (QMID) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
ATI Inc1.80%$36.66K
Roivant Sciences Ltd1.72%$35.01K
Nextpower, Inc.1.66%$33.63K
Permian Resources Corp1.39%$28.29K
Coca-Cola Consolidated Inc1.31%$26.65K
Deckers Outdoor Corp.1.29%$26.12K
Tradeweb Markets Inc1.27%$25.89K
Renaissancere Holdings Ltd.1.23%$24.97K
Everest Group Ltd1.22%$24.84K
Lincoln Electric Holdings Inc.1.21%$24.66K
The New York Times Company1.21%$24.62K
Performance Food Group Co.1.21%$24.58K
Toll Brothers, Inc.1.19%$24.16K
Dick's Sporting Goods, Inc.1.18%$23.99K
BJ Wholesale Club Holdings Inc1.18%$23.92K
Neurocrine Biosciences Inc1.17%$23.71K
Sterling Infrastructure Inc1.16%$23.62K
Penumbra Inc.1.13%$22.99K
Five Below Inc1.12%$22.85K
Roku Inc1.12%$22.71K
Allegion PLC1.12%$22.67K
Coeur Mining Inc1.10%$22.41K
Mueller Industries Inc.1.10%$22.27K
Dominos Pizza Inc.1.08%$21.89K
Samsara Inc1.05%$21.42K
Erie Indemnity Co1.05%$21.36K
Exelixis, Inc.1.04%$21.14K
Modine Manufacturing Co.1.03%$21.02K
Ensign Group Inc1.03%$20.96K
Evercore Inc.1.03%$20.90K
Dynatrace Inc1.03%$20.89K
Henry Jack & Associates Inc.1.03%$20.86K
Texas Roadhouse Inc1.01%$20.48K
Biomarin Pharmaceutical Inc.1.00%$20.22K
Antero Midstream Corp.0.97%$19.72K
Advanced Drainage System Inc0.94%$19.06K
Crane Co.0.93%$18.98K
Universal Health Services, Inc.0.93%$18.97K
Nutanix Inc0.93%$18.93K
Encompass Health Corporation0.90%$18.38K
Bentley Systems Incorporated0.90%$18.37K
Donaldson Co Inc0.90%$18.33K
Applied Industrial Technologies Inc.0.90%$18.31K
Dycom Industries, Inc.0.90%$18.30K
Wynn Resorts Limited0.90%$18.28K
Topbuild Corporation0.88%$17.92K
Docusign Inc0.88%$17.83K
Globus Med Inc0.87%$17.75K
Flowserve Corporation0.87%$17.72K
Allison Transmission Holdings Inc0.87%$17.68K
Oshkosh Corporation0.87%$17.67K
SEI Investments Co0.86%$17.42K
Maplebear, Inc.0.86%$17.42K
Booz Allen Hamilton Holding Corp.0.86%$17.40K
Rambus Inc.0.83%$16.86K
Core & Main Inc0.82%$16.75K
Saia Inc0.81%$16.51K
Celsius Holdings, Inc.0.78%$15.79K
Cava Group, Inc.0.78%$15.78K
Watts Water Technologies Inc.0.77%$15.68K
Norwegian Cruise Line Holdings Ltd0.75%$15.33K
Procore Technologies Inc0.75%$15.22K
Primerica, Inc.0.74%$15.03K
FactSet Research Systems Inc.0.74%$14.97K
Firstcash Holdings Inc0.73%$14.85K
Houlihan Lokey Inc.0.73%$14.79K
Argan Inc0.72%$14.71K
Primoris Services Corp.0.72%$14.59K
Manhattan Associates Inc0.71%$14.51K
Kinsale Capital Group Inc0.71%$14.35K
ESCO Technologies Inc.0.71%$14.35K
Tetra Tech Inc0.70%$14.31K
Halozyme Therapeutics Inc0.70%$14.22K
Interdigital, Inc.0.70%$14.19K
Krystal Biotech Inc0.69%$13.95K
Fluor Corporation0.67%$13.62K
Molina Healthcare, Inc.0.67%$13.60K
Sprouts Farmers Markets Inc0.66%$13.50K
Healthequity Inc0.65%$13.29K
Match Group Inc0.64%$13.02K
Installed Building Products Inc0.64%$12.99K
Armstrong World Industries, Inc.0.63%$12.85K
Morningstar Inc0.63%$12.85K
Protagonist Therapeutics Inc0.63%$12.75K
Clearwater Analytics Holdings Inc0.63%$12.72K
NOV Inc.0.62%$12.70K
Boyd Gaming Corporation0.62%$12.66K
Aaon Inc0.61%$12.41K
Primo Brands Corp.0.61%$12.33K
Paycom Software Inc0.60%$12.15K
Federal Signal Corp.0.58%$11.79K
Genpact Ltd.0.57%$11.66K
Brinker International, Inc.0.57%$11.56K
MSA Safety Inc.0.56%$11.48K
Planet Fitness Inc.0.56%$11.45K
Dutch Bros Inc0.56%$11.40K
MarketAxess Holdings Inc.0.56%$11.38K
Churchill Downs Inc0.54%$11.05K
Eagle Materials Inc.0.54%$10.99K
Blue Owl Capital Inc0.54%$10.96K
Newmarket Corporation0.54%$10.90K
Chewy Inc0.53%$10.83K
Parsons Corporation0.52%$10.62K
Lamb Weston Holdings Inc0.52%$10.61K
ESAB Corp.0.52%$10.54K
Ollies Bargain Outlet Holdings Inc.0.52%$10.49K
Paylocity Holding Corporation0.52%$10.48K
CNX Resources Corporation0.48%$9.83K
Chemed Corporation0.48%$9.82K
Urban Outfitters Inc.0.48%$9.76K
Elastic NV0.46%$9.35K
ExlService Holdings Inc.0.44%$8.98K
Hims & Hers Health Inc0.42%$8.62K
Bright Horizons Family Solutions LLC0.42%$8.46K
Boot Barn Holdings Inc0.40%$8.05K
Hamilton Lane Inc0.39%$7.85K
Block(H&R)Inc0.38%$7.81K
Dropbox Inc0.38%$7.70K
Corcept Therapeutics Inc.0.37%$7.62K
Wingstop Inc0.37%$7.59K
Universal Display Corp.0.37%$7.52K
Duolingo Inc0.36%$7.39K
Commvault Systems Inc.0.32%$6.54K
Gitlab Inc0.29%$5.80K
Doximity Inc0.28%$5.76K
Dreyfus Trsy Oblig Cash M0.13%$2.58K

QMID overview: performance, fees, allocation and SEC filings