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WTPI

ยทNYSE
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Key Stats
Assets Under Management
336.35MUSD
Fund Flows (1Y)
187.98MUSD
Dividend Yield
14.95%
Discount/Premium to NAV
0.23%
Shares Outstanding
10.20M
Expense Ratio
0.44%
About WisdomTree Equity Premium Income Fund
Issuer
WisdomTree Asset Management
Brand
WisdomTree
Inception Date
--
Structure
Open-Ended Fund
Index Tracked
Volos US Large Cap Target 2.5% PutWrite Index
Management Style
Passive
Dividend Treatment
Distributes
Distribution Tax Treatment
Ordinary income
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
WTPI is a passively managed fund that utilizes a collateralized put options strategy. The underlying index consists of: 1) short exchange-listed put options on the SPDR S&P 500 ETF Trust (SPY), and 2) a cash collateral account that accrues interest at a theoretical three-month Treasury bill rate on a daily basis. At any point in time, the strategy has two SPY put options that target a monthly premium of 2.5% and whose expiration dates are either the first or third Friday of each month. On a biweekly basis, the fund closes the options contracts one week prior to their expiration date and sells the newly selected SPY puts. Each put option has a strike price that is the at-the-money strike price or the strike price for a SPY put that has a premium closest to 2.5%, whichever is higher. The number of SPY puts sold by the fund varies but is limited by the amount held by the fund in Treasury bills. Investors should note that the fund's potential return is limited to the amount of the option premiums it receives. Prior to October 24, 2022, the fund name was WisdomTree CBOE S&P 500 PutWrite Strategy Fund, which reflects its previous underlying index.
Classification
Asset Class
Equity
Category
Size and Style
Focus
Large Cap
Niche
Broad-based
Strategy
Buy-write
Geography
--
Weighting Scheme
Fixed
Selection Criteria
Fixed
Returns
1-Month
3-Month
YTD
1-Year
3-Year
5-Year
Price Performance
-0.72%-1.08%+19.59%+19.59%+19.59%+19.59%
NAV Total Return
+1.34%+5.32%+14.54%+11.39%+52.47%+70.59%
Ratings

No data is currently available

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Holdings Analysis

Sector

Technology

30.34%

Financial Services

12.63%

Healthcare

12.14%

Consumer Cyclical

10.43%

Communication Services

9.29%

Industrials

8.25%

Consumer Defensive

6.05%

Energy

3.98%

Utilities

2.57%

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Asset

Region

99.42%
0.54%
0.04%

Category

Ratio

North America

99.42%

Europe

0.54%

Asia

0.04%

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
2025-12-102025-12-102025-12-120.722
2025-11-242025-11-242025-11-260.325
2025-10-282025-10-282025-10-300.335
2025-09-252025-09-252025-09-290.330
2025-08-262025-08-262025-08-280.325
2025-07-282025-07-282025-07-300.325
2025-06-252025-06-252025-06-270.315

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