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OPPE

ยทNYSE
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Key Stats
Assets Under Management
187.94MUSD
Fund Flows (1Y)
127.98MUSD
Dividend Yield
3.33%
Discount/Premium to NAV
-0.17%
Shares Outstanding
3.70M
Expense Ratio
0.58%
About WisdomTree European Opportunities Fund
Issuer
WisdomTree Asset Management
Brand
WisdomTree
Inception Date
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Structure
Open-Ended Fund
Index Tracked
WisdomTree European Opportunities Index
Management Style
Passive
Dividend Treatment
Distributes
Distribution Tax Treatment
Qualified dividends
Income Tax Type
Capital Gains
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
20.00%
Primary Advisor
WisdomTree Asset Management, Inc.
Distributor
Foreside Fund Services LLC
OPPE provides currency-hedged exposure to the dividend-paying eurozone small-cap space. The fund is the first ETF in the segment to hedge out EUR/USD moves. The fund's eurozone universe removes UK, Switzerland and Sweden stocks from consideration. OPPE's country selection, FX hedge and dividend screen skews away from a market-like portfolio. Holdings are dividend-weighted as well, with single security and sector weights capped at 2% and 25%, respectively. The index is reconstituted annually.
Classification
Asset Class
Equity
Category
Size and Style
Focus
Total Market
Niche
Broad-based
Strategy
Fundamental
Geography
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Weighting Scheme
Fundamental
Selection Criteria
Fundamental
Returns
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
Price Performance
+4.84%+5.96%+33.67%+35.01%+64.48%+70.62%
NAV Total Return
+0.32%+4.92%+20.19%+20.05%+49.53%+109.14%
Ratings

No data is currently available

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Holdings Analysis

Sector

Industrials

31.00%

Financial Services

23.73%

Consumer Defensive

8.22%

Basic Materials

8.13%

Energy

7.49%

Utilities

5.91%

Healthcare

5.25%

Consumer Cyclical

3.85%

Communication Services

2.30%

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Asset

Region

96.11%
2%
1.89%

Category

Ratio

Europe

96.11%

Asia

2.00%

North America

1.89%

Investment Style

No data is currently available

Top 10 Holdings

No data is currently available

Dividends

Dividend Payout History

Declaration Date
Record Date
Payment Date
Amount
2025-09-252025-09-252025-09-290.140
2025-06-252025-06-252025-06-271.230
2025-03-262025-03-262025-03-280.025
2024-12-262024-12-262024-12-300.308
2024-09-252024-09-252024-09-270.165
2024-06-252024-06-252024-06-271.015
2024-03-222024-03-252024-03-270.035

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Premium/Discount Chart
Premium/Discount to NAV
Price
Assets Under Management
Assets Under Management
Fund Flows
Inflows
Outflows