RESP Holdings — WisdomTree U.S. ESG Fund

All 302 reported holdings of WisdomTree U.S. ESG Fund (RESP) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Apple Inc6.28%$4.25M
Microsoft Corp6.02%$4.08M
Alphabet Inc3.82%$2.59M
NVIDIA Corp2.80%$1.90M
Amazon.com Inc2.76%$1.87M
Meta Platforms Inc2.02%$1.36M
Berkshire Hathaway Inc1.18%$796.42K
Visa Inc1.03%$699.56K
JPMorgan Chase & Co0.95%$640.94K
Eli Lilly & Co0.90%$608.57K
Mastercard Inc0.85%$577.92K
Adobe Inc0.85%$573.93K
UnitedHealth Group Inc0.81%$547.53K
Oracle Corp0.80%$544.55K
Salesforce Inc0.80%$539.70K
Home Depot Inc/The0.78%$526.76K
Intel Corp0.78%$525.56K
Cisco Systems Inc0.73%$493.63K
Procter & Gamble Co/The0.70%$473.18K
Johnson & Johnson0.69%$464.26K
Intuit Inc0.64%$430.65K
Applied Materials Inc0.60%$405.34K
QUALCOMM Inc0.59%$402.51K
International Business Machines Corp0.59%$400.70K
Verizon Communications Inc0.57%$383.48K
Comcast Corp0.56%$381.14K
AbbVie Inc0.56%$379.21K
Caterpillar Inc0.55%$371.66K
Merck & Co Inc0.54%$368.71K
McDonald's Corp0.52%$353.44K
PepsiCo Inc0.52%$352.08K
Lam Research Corp0.52%$350.12K
NIKE Inc0.48%$324.62K
AT&T Inc0.47%$321.14K
Deere & Co0.46%$312.70K
Lowe's Cos Inc0.46%$311.79K
ServiceNow Inc0.46%$311.56K
Abbott Laboratories0.45%$302.80K
Autodesk Inc0.43%$293.39K
Thermo Fisher Scientific Inc0.43%$292.47K
American Express Co0.43%$290.19K
Dell Technologies Inc0.43%$289.78K
AvalonBay Communities Inc0.40%$272.41K
Goldman Sachs Group Inc/The0.40%$272.35K
United Rentals Inc0.40%$268.36K
T-Mobile US Inc0.39%$264.38K
Pfizer Inc0.39%$263.17K
Citigroup Inc0.38%$260.03K
Amgen Inc0.38%$258.35K
Workday Inc0.38%$256.18K
Waste Management Inc0.38%$253.78K
Starbucks Corp0.36%$246.75K
HP Inc0.36%$245.62K
TJX Cos Inc/The0.36%$241.19K
Hewlett Packard Enterprise Co0.35%$239.04K
Host Hotels & Resorts Inc0.35%$237.86K
Simon Property Group Inc0.35%$236.93K
CVS Health Corp0.35%$234.59K
Keysight Technologies Inc0.34%$231.95K
Ford Motor Co0.34%$230.06K
Cigna Group/The0.33%$224.29K
Sempra0.33%$223.44K
Motorola Solutions Inc0.32%$217.28K
Owens Corning0.32%$216.86K
Elevance Health Inc0.32%$216.45K
Target Corp0.32%$215.34K
Mondelez International Inc0.32%$214.54K
Gilead Sciences Inc0.32%$214.43K
Palo Alto Networks Inc0.31%$211.43K
Bristol-Myers Squibb Co0.31%$209.86K
Boston Scientific Corp0.31%$209.45K
Booking Holdings Inc0.30%$205.74K
Synopsys Inc0.30%$203.90K
Jabil Inc0.30%$203.20K
Regeneron Pharmaceuticals Inc0.30%$200.25K
International Paper Co0.29%$199.48K
Progressive Corp/The0.29%$199.26K
Verisk Analytics Inc0.29%$199.21K
Republic Services Inc0.29%$199.05K
Public Service Enterprise Group Inc0.29%$198.25K
Cognizant Technology Solutions Corp0.29%$195.70K
PPG Industries Inc0.29%$195.61K
Eversource Energy0.29%$195.22K
Intercontinental Exchange Inc0.29%$194.96K
FedEx Corp0.29%$193.27K
PG&E Corp0.28%$191.44K
Travelers Cos Inc/The0.28%$190.68K
Bank of New York Mellon Corp/The0.28%$190.50K
Gen Digital Inc0.28%$190.00K
Edison International0.28%$188.95K
Colgate-Palmolive Co0.28%$188.91K
Becton Dickinson & Co0.28%$188.24K
Cadence Design Systems Inc0.28%$187.39K
Broadridge Financial Solutions Inc0.28%$187.23K
MetLife Inc0.28%$187.08K
PVH Corp0.27%$185.50K
WESCO International Inc0.27%$184.31K
Fiserv Inc0.27%$183.58K
Lincoln Electric Holdings Inc0.27%$182.67K
Biogen Inc0.27%$182.17K
Best Buy Co Inc0.27%$182.16K
Interpublic Group of Cos Inc/The0.27%$181.22K
Edwards Lifesciences Corp0.27%$180.48K
AptarGroup Inc0.27%$180.49K
Vertex Pharmaceuticals Inc0.27%$179.85K
Prudential Financial Inc0.27%$179.63K
Hershey Co/The0.26%$179.17K
Juniper Networks Inc0.26%$178.18K
Levi Strauss & Co0.26%$176.66K
Exelon Corp0.26%$176.52K
Chipotle Mexican Grill Inc0.26%$176.10K
Booz Allen Hamilton Holding Corp0.26%$175.88K
Brixmor Property Group Inc0.26%$175.43K
CF Industries Holdings Inc0.26%$173.07K
Consolidated Edison Inc0.25%$172.12K
General Mills Inc0.25%$171.71K
Kimco Realty Corp0.25%$171.42K
Capital One Financial Corp0.25%$171.37K
Berry Global Group Inc0.25%$171.31K
Nasdaq Inc0.25%$170.64K
Keurig Dr Pepper Inc0.25%$170.10K
Gap Inc/The0.25%$169.31K
Yum! Brands Inc0.25%$169.34K
NetApp Inc0.25%$169.00K
CCC Intelligent Solutions Holdings Inc0.25%$167.48K
Humana Inc0.25%$167.10K
Crown Holdings Inc0.24%$165.21K
MSA Safety Inc0.24%$163.77K
Zoetis Inc0.24%$163.62K
Akamai Technologies Inc0.24%$163.56K
McKesson Corp0.24%$162.51K
Marsh & McLennan Cos Inc0.24%$162.38K
CME Group Inc0.24%$162.16K
Watts Water Technologies Inc0.24%$162.09K
Aflac Inc0.24%$161.37K
Stryker Corp0.24%$161.11K
Avangrid Inc0.24%$161.08K
VICI Properties Inc0.24%$160.87K
Gartner Inc0.24%$160.60K
Northern Trust Corp0.24%$159.82K
Omnicom Group Inc0.24%$159.44K
EMCOR Group Inc0.23%$158.13K
PACCAR Inc0.23%$157.90K
State Street Corp0.23%$157.40K
Lennox International Inc0.23%$157.08K
Campbell Soup Co0.23%$156.45K
Williams-Sonoma Inc0.23%$156.38K
Allstate Corp/The0.23%$155.66K
Kimberly-Clark Corp0.23%$155.29K
Masco Corp0.23%$154.39K
Nucor Corp0.23%$154.03K
Kraft Heinz Co/The0.23%$153.58K
Hartford Financial Services Group Inc/The0.23%$153.45K
AGCO Corp0.23%$153.34K
Ameriprise Financial Inc0.23%$153.07K
Huntington Bancshares Inc/OH0.23%$152.77K
Ralph Lauren Corp0.23%$152.71K
Clorox Co/The0.22%$151.29K
Voya Financial Inc0.22%$150.59K
Agilent Technologies Inc0.22%$149.32K
Cencora Inc0.22%$148.90K
Hubbell Inc0.22%$148.68K
Kellanova0.22%$146.43K
Robert Half Inc0.21%$145.24K
McCormick & Co Inc/MD0.21%$144.71K
Advanced Drainage Systems Inc0.21%$143.87K
Archer-Daniels-Midland Co0.21%$142.06K
Dolby Laboratories Inc0.21%$142.02K
Apollo Global Management Inc0.21%$141.28K
Fortinet Inc0.21%$140.59K
Mosaic Co/The0.21%$139.99K
Synchrony Financial0.21%$139.93K
Deckers Outdoor Corp0.21%$139.70K
United Airlines Holdings Inc0.21%$139.54K
Applied Industrial Technologies Inc0.21%$139.19K
Sysco Corp0.20%$138.51K
Zimmer Biomet Holdings Inc0.20%$138.01K
Lear Corp0.20%$137.54K
Conagra Brands Inc0.20%$136.56K
Tractor Supply Co0.20%$136.54K
Comerica Inc0.20%$136.18K
Avis Budget Group Inc0.20%$135.43K
Ryman Hospitality Properties Inc0.20%$134.05K
Quest Diagnostics Inc0.20%$133.47K
GoDaddy Inc0.20%$132.91K
AppLovin Corp0.20%$132.18K
LPL Financial Holdings Inc0.19%$131.34K
Baxter International Inc0.19%$130.63K
FactSet Research Systems Inc0.19%$129.28K
American International Group Inc0.19%$127.64K
A O Smith Corp0.19%$127.04K
Tapestry Inc0.19%$126.85K
Unum Group0.19%$126.48K
Packaging Corp of America0.19%$126.26K
BorgWarner Inc0.18%$124.76K
Molson Coors Beverage Co0.18%$124.75K
Clean Harbors Inc0.18%$123.55K
MSC Industrial Direct Co Inc0.18%$123.13K
Core & Main Inc0.18%$122.32K
Discover Financial Services0.18%$121.28K
J M Smucker Co/The0.18%$121.07K
Darden Restaurants Inc0.18%$119.45K
Tyson Foods Inc0.18%$119.16K
Ross Stores Inc0.17%$118.32K
Electronic Arts Inc0.17%$117.79K
NNN REIT Inc0.17%$117.53K
Church & Dwight Co Inc0.17%$117.44K
Gentex Corp0.17%$117.25K
Cardinal Health Inc0.17%$116.93K
Parsons Corp0.17%$116.45K
Fastenal Co0.17%$115.74K
Reliance Steel & Aluminum Co0.17%$115.51K
UFP Industries Inc0.17%$114.75K
ADT Inc0.17%$114.71K
AutoZone Inc0.17%$113.77K
FTI Consulting Inc0.17%$113.71K
Acuity Brands Inc0.17%$113.68K
West Pharmaceutical Services Inc0.17%$113.38K
Sirius XM Holdings Inc0.17%$113.18K
WP Carey Inc0.16%$110.44K
Vertiv Holdings Co0.16%$109.70K
CDW Corp/DE0.16%$109.57K
Waters Corp0.16%$107.99K
Warner Music Group Corp0.16%$107.80K
Charter Communications Inc0.16%$107.28K
Dropbox Inc0.16%$106.98K
Arrow Electronics Inc0.16%$106.36K
ResMed Inc0.16%$105.10K
CubeSmart0.15%$104.61K
US Foods Holding Corp0.15%$103.90K
Steel Dynamics Inc0.15%$102.75K
VeriSign Inc0.15%$100.71K
BioMarin Pharmaceutical Inc0.15%$99.79K
Henry Schein Inc0.15%$99.63K
Centene Corp0.15%$99.59K
Coty Inc0.15%$99.35K
Snap-on Inc0.15%$99.36K
HCA Healthcare Inc0.15%$99.07K
DaVita Inc0.14%$97.22K
Splunk Inc0.14%$97.05K
Avantor Inc0.14%$96.57K
Selective Insurance Group Inc0.14%$96.40K
WEX Inc0.14%$95.13K
Ulta Beauty Inc0.14%$94.57K
Primerica Inc0.14%$92.59K
Expedia Group Inc0.14%$91.83K
Laboratory Corp of America Holdings0.13%$88.42K
Assurant Inc0.13%$88.12K
Aramark0.13%$88.07K
Simpson Manufacturing Co Inc0.13%$87.90K
Viatris Inc0.13%$87.31K
TD SYNNEX Corp0.13%$85.66K
PulteGroup Inc0.13%$85.36K
Reinsurance Group of America Inc0.13%$84.77K
TriNet Group Inc0.13%$84.80K
Cboe Global Markets Inc0.12%$83.74K
Manhattan Associates Inc0.12%$82.68K
Comfort Systems USA Inc0.12%$81.65K
SEI Investments Co0.12%$78.80K
W R Berkley Corp0.12%$78.15K
O'Reilly Automotive Inc0.12%$77.91K
Lamb Weston Holdings Inc0.11%$75.77K
Charles River Laboratories International Inc0.11%$75.65K
Tenet Healthcare Corp0.11%$74.51K
Pilgrim's Pride Corp0.11%$74.24K
H&R Block Inc0.11%$73.72K
Fair Isaac Corp0.11%$73.33K
Toll Brothers Inc0.11%$72.98K
Gaming and Leisure Properties Inc0.11%$72.64K
Qualys Inc0.10%$68.70K
Globe Life Inc0.10%$68.65K
F5 Inc0.09%$62.64K
Incyte Corp0.08%$57.26K
American Financial Group Inc/OH0.08%$56.95K
Chemed Corp0.08%$56.72K
Ensign Group Inc/The0.08%$56.22K
Atmos Energy Corp0.08%$54.70K
Tradeweb Markets Inc0.08%$53.71K
Domino's Pizza Inc0.08%$52.35K
Exelixis Inc0.08%$51.39K
Texas Roadhouse Inc0.08%$50.85K
Fox Corp0.07%$50.56K
CNA Financial Corp0.07%$44.59K
First Citizens BancShares Inc/NC0.07%$43.99K
Fidelity National Financial Inc0.06%$41.63K
Cincinnati Financial Corp0.06%$41.28K
United Therapeutics Corp0.06%$38.48K
Coca-Cola Consolidated Inc0.06%$38.06K
New York Times Co/The0.05%$36.74K
Molina Healthcare Inc0.05%$35.77K
Dillard's Inc0.05%$35.52K
Interactive Brokers Group Inc0.05%$35.48K
Encompass Health Corp0.05%$35.43K
Markel Group Inc0.04%$28.40K
Builders FirstSource Inc0.04%$25.71K
BellRing Brands Inc0.04%$25.55K
Medpace Holdings Inc0.04%$25.44K
Reynolds Consumer Products Inc0.04%$25.42K
New York Community Bancorp Inc0.03%$18.02K
Neurocrine Biosciences Inc0.02%$14.49K
State Street Global Advisors0.02%$13.25K
Old Republic International Corp0.01%$4.47K

RESP overview: performance, fees, allocation and SEC filings