WisdomTree ETF Monthly Performance Report As of October 31, 2010
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- Alexander Moody
- 5 years ago
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1 Performance is historical and does not guarantee future results. Current performance may be lower or higher than quoted. Investment returns and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than original cost. Performance data for the most recent month-end is available at WisdomTree DOMESTIC EARNINGS ETFs INFORMATION TOTAL RETURN NAV (%) TOTAL RETURN NAV (%) WisdomTree Total Earnings Fund EXT 0.28% 2/23/ % 8.30% 8.33% -9.01% 3.75% 8.34% 8.39% -8.89% 11.15% -5.80% -3.55% 11.21% -5.79% -3.54% Russell 3000 Index 3.91% 8.37% 8.88% % 3.91% 8.37% 8.88% % 10.96% -6.59% -4.19% 10.96% -6.59% -4.19% WisdomTree Earnings 500 Fund EPS 0.28% 2/23/ % 8.22% 7.38% % 3.56% 8.19% 7.37% % 10.22% -6.75% -4.10% 10.40% -6.74% -4.10% S&P 500 Index 3.80% 7.96% 7.84% % 3.80% 7.96% 7.84% % 10.16% -7.16% -4.38% 10.16% -7.16% -4.38% WisdomTree MidCap Earnings Fund EZM 0.38% 2/23/ % 9.04% 15.07% 3.97% 3.97% 9.04% 14.90% 4.01% 18.62% 0.28% -0.04% 18.76% 0.32% 0.01% S&P MidCap 400 Index 3.45% 9.46% 15.42% 1.06% 3.45% 9.46% 15.42% 1.06% 17.78% -1.67% -0.65% 17.78% -1.67% -0.65% WisdomTree SmallCap Earnings Fund EES 0.38% 2/23/ % 8.85% 15.31% -1.23% 5.18% 9.03% 15.38% -1.24% 13.61% 0.62% -1.68% 13.45% 0.64% -1.73% Russell 2000 Index 4.09% 8.39% 13.58% % 4.09% 8.39% 13.58% % 13.35% -4.29% -4.08% 13.35% -4.29% -4.08% WisdomTree LargeCap Value Fund EZY 0.38% 2/23/ % 6.43% 4.89% % 4.15% 6.37% 4.93% % 8.37% % -7.44% 8.42% % -7.41% Russell 1000 Value Index 3.00% 6.24% 7.63% % 3.00% 6.24% 7.63% % 8.90% -9.39% -7.04% 8.90% -9.39% -7.04% WisdomTree LargeCap Growth Fund ROI 0.38% 12/4/ % 8.34% 4.25% 44.20% 3.80% 8.27% 4.25% 44.17% 7.65% N/A 19.79% 7.71% N/A 19.76% Russell 1000 Growth Index 4.78% 10.52% 9.35% 63.21% 4.78% 10.52% 9.35% 63.21% 12.65% -4.36% 27.54% 12.65% -4.36% 27.54% WisdomTree DOMESTIC DIVIDEND ETFs INFORMATION TOTAL RETURN NAV (%) TOTAL RETURN NAV (%) WisdomTree Total Dividend Fund DTD 0.28% 6/16/ % 7.97% 9.98% 0.33% 3.16% 7.89% 9.95% 0.23% 12.43% -7.65% -0.65% 12.56% -7.60% -0.67% Russell 3000 Index 3.91% 8.37% 8.88% 5.19% 3.91% 8.37% 8.88% 5.19% 10.96% -6.59% 0.29% 10.96% -6.59% 0.29% Russell 3000 Value Index 3.07% 6.25% 8.00% -4.31% 3.07% 6.25% 8.00% -4.31% 9.15% -9.04% -1.72% 9.15% -9.04% -1.72% WisdomTree LargeCap Dividend Fund DLN 0.28% 6/16/ % 8.11% 9.05% -1.34% 3.21% 8.10% 9.07% -1.46% 11.29% -8.50% -1.03% 11.47% -8.47% -1.07% S&P 500 Index 3.80% 7.96% 7.84% 3.77% 3.80% 7.96% 7.84% 3.77% 10.16% -7.16% -0.01% 10.16% -7.16% -0.01% Russell 1000 Value Index 3.00% 6.24% 7.63% -4.74% 3.00% 6.24% 7.63% -4.74% 8.90% -9.39% -1.80% 8.90% -9.39% -1.80% WisdomTree MidCap Dividend Fund DON 0.38% 6/16/ % 7.34% 14.81% 10.64% 3.16% 7.29% 14.83% 11.18% 19.24% -2.58% 1.63% 19.38% -2.54% 1.76% S&P MidCap 400 Index 3.45% 9.46% 15.42% 19.43% 3.45% 9.46% 15.42% 19.43% 17.78% -1.67% 3.40% 17.78% -1.67% 3.40% Russell Midcap Value Index 3.83% 8.36% 15.41% 8.12% 3.83% 8.36% 15.41% 8.12% 16.93% -4.78% 0.95% 16.93% -4.78% 0.95% WisdomTree SmallCap Dividend Fund DES 0.38% 6/16/ % 6.01% 16.58% 4.13% 3.80% 6.04% 16.64% 4.26% 17.03% -3.61% 0.11% 16.99% -3.60% 0.10% Russell 2000 Index 4.09% 8.39% 13.58% 7.75% 4.09% 8.39% 13.58% 7.75% 13.35% -4.29% 0.81% 13.35% -4.29% 0.81% Russell 2000 Value Index 3.87% 6.38% 12.10% 1.16% 3.87% 6.38% 12.10% 1.16% 11.84% -4.99% -0.61% 11.84% -4.99% -0.61% WisdomTree Equity Income Fund DHS 0.38% 6/16/ % 9.25% 13.55% -9.38% 2.47% 9.18% 13.55% -9.27% 15.08% % -2.82% 15.23% % -2.80% Russell 1000 Value Index 3.00% 6.24% 7.63% -4.74% 3.00% 6.24% 7.63% -4.74% 8.90% -9.39% -1.80% 8.90% -9.39% -1.80% WisdomTree Dividend ex Financials Fund DTN 0.38% 6/16/ % 9.34% 14.75% 7.37% 3.94% 9.33% 14.74% 7.40% 21.04% -6.10% 0.76% 21.16% -6.04% 0.77% Dow Jones U.S. Select Dividend Index 2.66% 6.66% 13.02% -5.35% 2.66% 6.66% 13.02% -5.35% 18.30% -7.47% -1.88% 18.30% -7.47% -1.88%
2 WisdomTree INTERNATIONAL DIVIDEND/EARNINGS ETFs INFORMATION TOTAL RETURN NAV (%) TOTAL RETURN NAV (%) WisdomTree DEFA Fund DWM 0.48% 6/16/ % 11.27% 4.03% 9.44% 4.82% 11.20% 4.67% 9.50% 2.65% -9.69% 1.16% 1.99% -9.95% 1.02% MSCI EAFE Index 3.61% 10.23% 4.72% 4.68% 3.61% 10.23% 4.72% 4.68% 3.27% -9.51% 0.24% 3.27% -9.51% 0.24% WisdomTree International Hedged Equity Fund HEDJ 0.58% 12/31/ % 5.41% 1.76% 1.76% 2.47% 5.13% 2.68% 2.68% N/A N/A -0.75% N/A N/A 0.20% MSCI EAFE Local Currency Index 1.82% 4.22% 1.05% 1.05% 1.82% 4.22% 1.05% 1.05% 2.55% % -0.76% 2.55% % -0.76% WisdomTree DEFA Equity Income Fund DTH 0.58% 6/16/ % 11.17% 0.39% 3.55% 5.18% 11.68% 1.70% 3.68% -0.54% % -0.19% -1.34% % -0.33% MSCI EAFE Value Index 3.93% 9.25% 1.91% -0.32% 3.93% 9.25% 1.91% -0.32% -1.67% % -0.97% -1.67% % -0.97% WisdomTree International LargeCap Dividend Fund DOL 0.48% 6/16/ % 11.22% 1.79% 7.78% 4.88% 10.96% 2.85% 7.55% 1.18% -9.81% 0.77% 0.69% -9.97% 0.59% MSCI EAFE Index 3.61% 10.23% 4.72% 4.68% 3.61% 10.23% 4.72% 4.68% 3.27% -9.51% 0.24% 3.27% -9.51% 0.24% WisdomTree International MidCap Dividend Fund DIM 0.58% 6/16/ % 11.78% 9.28% 18.73% 4.91% 12.60% 10.68% 18.74% 6.38% -7.50% 3.17% 5.53% -7.61% 2.93% MSCI EAFE Mid Cap Index 3.06% 10.41% 8.90% 3.86% 3.06% 10.41% 8.90% 3.86% 5.76% -9.41% 0.18% 5.76% -9.41% 0.18% WisdomTree International SmallCap Dividend Fund DLS 0.58% 6/16/ % 11.98% 11.73% 12.98% 4.28% 12.09% 13.04% 12.61% 9.38% -7.74% 2.02% 9.14% -8.02% 1.81% MSCI EAFE Small Cap Index 3.86% 12.35% 13.38% 8.20% 3.86% 12.35% 13.38% 8.20% 8.04% -6.92% 0.96% 8.04% -6.92% 0.96% WisdomTree International Dividend ex Financials Fund DOO 0.58% 6/16/ % 12.50% 6.83% 13.35% 5.41% 12.59% 7.95% 12.86% 6.91% -9.48% 1.92% 6.29% -9.82% 1.60% MSCI EAFE Value Index 3.93% 9.25% 1.91% -0.32% 3.93% 9.25% 1.91% -0.32% -1.67% % -0.97% -1.67% % -0.97% WisdomTree Global Equity Income Fund DEW 0.58% 6/16/ % 10.83% 5.92% 4.22% 3.87% 11.16% 6.21% 3.92% 6.24% -9.87% 0.11% 5.88% -9.93% 0.01% Spliced Cap-Weighted Index Benchmark % 9.56% 7.37% -0.38% 3.61% 9.56% 7.37% -0.38% 8.42% % -0.91% 8.42% % -0.91% WisdomTree Europe SmallCap Dividend Fund DFE 0.58% 6/16/ % 15.98% 14.57% 5.79% 7.14% 15.99% 17.34% 5.10% 9.61% % 0.04% 7.98% % -0.45% MSCI Europe Small Cap Index 5.65% 15.44% 15.11% 17.51% 5.65% 15.44% 15.11% 17.51% 9.33% -8.11% 2.51% 9.33% -8.11% 2.51% WisdomTree Japan Hedged Equity Fund 3 DXJ 0.48% 6/16/ % -3.91% % % -3.49% -3.84% % % % % -6.49% % % -6.22% Spliced Cap-Weighted Index Benchmark % -3.08% -9.95% % -1.61% -3.08% -9.95% % % % -7.42% % % -7.42% WisdomTree World ex-us Growth Fund DNL 0.58% 6/16/ % 13.53% 11.75% 17.89% 4.34% 13.92% 12.71% 19.32% 17.15% 0.41% 3.05% 16.05% 0.64% 3.18% Spliced Cap-Weighted Index Benchmark % 11.67% 9.27% 20.32% 3.26% 11.67% 9.27% 20.32% 11.42% 0.51% 3.63% 11.42% 0.51% 3.63% WisdomTree Japan SmallCap Dividend Fund DFJ 0.58% 6/16/ % -0.07% 5.82% % -1.71% -0.35% 4.93% % -1.64% -5.00% -3.92% -1.14% -4.89% -3.57% MSCI Japan Small Cap Index -0.82% 1.05% 6.86% % -0.82% 1.05% 6.86% % -1.78% -5.84% -5.52% -1.78% -5.84% -5.52% WisdomTree Pacific ex-japan Total Dividend Fund DND 0.48% 6/16/ % 11.24% 9.67% 58.62% 2.24% 11.03% 10.34% 59.25% 12.17% -2.95% 10.85% 11.95% -3.14% 10.88% MSCI Pacific ex-japan Index 2.82% 13.88% 11.01% 55.10% 2.82% 13.88% 11.01% 55.10% 13.53% -3.16% 10.05% 13.53% -3.16% 10.05% WisdomTree Pacific ex-japan Equity Income Fund DNH 0.58% 6/16/ % 12.51% 6.59% 54.37% 2.67% 12.57% 7.78% 54.27% 9.70% -1.62% 10.04% 9.49% -1.81% 9.96% MSCI Pacific ex-japan Value Index 1.68% 12.61% 10.94% 46.58% 1.68% 12.61% 10.94% 46.58% 12.94% -2.07% 8.89% 12.94% -2.07% 8.89%
3 WisdomTree INTERNATIONAL DIVIDEND/EARNINGS ETFs (cont.) INFORMATION Cumulative Returns as of 10/31/2010 Average Annual Returns 1 as of 09/30/2010 TOTAL RETURN NAV (%) TOTAL RETURN NAV (%) WisdomTree International Real Estate Fund DRW 0.58% 6/5/ % 15.61% 13.75% % 3.41% 15.45% 14.90% % 10.81% % % 11.10% % % Dow Jones Global ex-u.s. Select Real Estate Securities Index 4.65% 16.23% 17.80% % 4.65% 16.23% 17.80% % 12.90% % % 12.90% % % WisdomTree Emerging Markets Equity Income Fund DEM 0.63% 7/13/ % 12.73% 18.28% 28.29% 3.13% 12.80% 19.32% 25.89% 21.97% 6.77% 7.10% 21.57% 6.65% 6.40% MSCI Emerging Markets Index 2.90% 12.12% 13.97% 3.99% 2.90% 12.12% 13.97% 3.99% 20.22% -1.48% 0.33% 20.22% -1.48% 0.33% WisdomTree Emerging Markets SmallCap Dividend Fund DGS 0.63% 10/30/ % 17.72% 24.16% 12.61% 4.13% 17.54% 24.46% 13.68% 29.69% N/A 2.76% 29.48% N/A 3.05% MSCI Emerging Markets Small Cap Index 4.22% 17.14% 22.81% 1.77% 4.22% 17.14% 22.81% 1.77% 32.32% 1.26% -0.81% 32.32% 1.26% -0.81% WisdomTree India Earnings Fund EPI 0.88% 2/22/ % 16.17% 21.41% 9.77% 2.99% 16.49% 23.87% 9.91% 27.03% N/A 2.70% 26.55% N/A 2.53% MSCI India Index 1.62% 16.47% 20.25% 4.99% 1.62% 16.47% 20.25% 4.99% 27.45% 1.53% 1.26% 27.45% 1.53% 1.26% WisdomTree Middle East Dividend Fund GULF 0.88% 7/16/ % 12.95% 18.80% % 2.95% 12.78% 17.64% % 4.88% N/A % 3.71% N/A % MSCI Arabian Markets ex Saudi Arabia Index 2.47% 13.02% 18.84% % 2.47% 13.02% 18.84% % 1.62% % % 1.62% % % The Fund's net expense ratio of 0.88% (the amount charged to shareholders) reflects a contractual reimbursement of 0.42% through July 31,2011 from the gross expense ratio of 1.30% Index returns for the MSCI Arabian Markets ex Saudi Arabia Index are calculated through the last U.S. trading date of the month. WisdomTree INTERNATIONAL DIVIDEND SECTOR ETFs Cumulative Returns as of 10/31/2010 INFORMATION TOTAL RETURN NAV (%) TOTAL RETURN NAV (%) Average Annual Returns 1 as of 09/30/2010 WisdomTree International Basic Materials Sector Fund DBN 0.58% 10/13/ % 13.77% 6.57% 29.44% 6.22% 13.43% 6.71% 28.35% 11.76% -7.72% 5.15% 11.50% -7.88% 4.89% S&P Developed Ex-U.S. BMI Materials Sector Index 4/1/ % 17.20% 12.57% -3.23% 5.55% 17.20% 12.57% -3.23% 19.39% N/A -3.41% 19.39% N/A -3.41% WisdomTree International Energy Sector Fund DKA 0.58% 10/13/ % 15.80% 1.01% 15.46% 5.97% 16.05% 1.59% 15.18% -2.11% -7.49% 2.29% -1.94% -7.40% 2.13% S&P Developed Ex-U.S. BMI Energy Sector Index 4/1/ % 11.42% -1.50% -6.48% 4.20% 11.42% -1.50% -6.48% 0.65% N/A -4.23% 0.65% N/A -4.23% WisdomTree International Utilities Sector Fund DBU 0.58% 10/13/ % 9.78% -2.41% -0.69% 6.21% 9.61% -2.32% -1.45% -8.00% % -1.64% -9.00% % -1.87% S&P Developed Ex-U.S. BMI Utilities Sector Index 4/1/ % 8.69% -0.97% % 5.42% 8.69% -0.97% % -5.88% N/A % -5.88% N/A % * The inception date of the S&P Develpoed Ex-U.S. BMI Indexes is 4/1/08. Accordingly, "Since Inception" data for these indexes reflects the index date rather than that of the WisdomTree Fund.
4 WisdomTree CURRENCY INCOME ETFs INFORMATION TOTAL RETURN NAV (%) TOTAL RETURN NAV (%) Developed Market ETFs WisdomTree Dreyfus Euro Fund EU 0.35% 5/14/ % 6.70% -3.11% -7.95% 2.23% 6.69% -2.64% -7.83% -6.60% N/A -4.15% -7.60% N/A -4.26% EURO (EUR) 1.81% 6.69% -3.13% % 1.81% 6.69% -3.13% % -6.60% N/A -5.08% -6.60% N/A -5.08% Merrill Lynch Euro Currency 1-Month LIBID Constant Maturity Index (L1EC) 1.85% 6.82% -2.84% -6.37% 1.85% 6.82% -2.84% -6.37% -6.28% N/A -3.47% -6.28% N/A -3.47% WisdomTree Dreyfus Japanese Yen Fund JYF 0.35% 5/21/ % 7.49% 15.32% 27.78% 3.81% 7.35% 15.26% 27.41% 6.90% N/A 9.25% 6.88% N/A 9.06% Japanese Yen (JPY) 3.71% 7.59% 15.57% 28.19% 3.71% 7.59% 15.57% 28.19% 7.18% N/A 9.37% 7.18% N/A 9.37% Merrill Lynch Japanese Yen 1-Month LIBID Constant Maturity Index (L1JY) 3.72% 7.61% 15.65% 29.06% 3.72% 7.61% 15.65% 29.06% 7.26% N/A 9.69% 7.26% N/A 9.69% WisdomTree Dreyfus New Zealand Dollar Fund BNZ 0.45% 6/25/ % 6.32% 7.21% 9.38% 4.28% 5.83% 7.32% 8.57% 3.96% N/A 2.17% 3.51% N/A 1.79% New Zealand Dollar (NZD) 3.98% 5.58% 5.11% 1.09% 3.98% 5.58% 5.11% 1.09% 1.68% N/A -1.23% 1.68% N/A -1.23% Merrill Lynch New Zealand 1-Month LIBID Constant Maturity Index (L1ND) 4.24% 6.38% 7.48% 11.15% 4.24% 6.38% 7.48% 11.15% 4.42% N/A 2.88% 4.42% N/A 2.88% Emerging Market ETFs WisdomTree Dreyfus Chinese Yuan Fund CYB 0.45% 5/14/ % 2.28% 1.31% 4.65% 0.63% 2.40% 1.43% 3.72% 0.12% N/A 1.61% 0.12% N/A 1.28% Chinese Yuan (CNY) 0.22% 1.46% 2.26% 4.83% 0.22% 1.46% 2.26% 4.83% 2.04% N/A 1.90% 2.04% N/A 1.90% JP Morgan Emerging Markets Index Plus (ELMI+) China (JPPUCH) 0.25% 1.75% 1.53% 8.01% 0.25% 1.75% 1.53% 8.01% 1.06% N/A 3.18% 1.06% N/A 3.18% WisdomTree Dreyfus Brazilian Real Fund BZF 0.45% 5/14/ % 5.48% 8.86% 20.42% -0.42% 4.85% 8.49% 18.42% 12.65% N/A 7.98% 12.45% N/A 7.55% Brazilian Real (BRL) -0.14% 3.69% 2.74% -2.28% -0.14% 3.69% 2.74% -2.28% 5.16% N/A -0.90% 5.16% N/A -0.90% JP Morgan Emerging Markets Index Plus (ELMI+) Brazil (JPPUBZ) -0.05% 5.12% 9.73% 25.70% -0.05% 5.12% 9.73% 25.70% 13.48% N/A 10.09% 13.48% N/A 10.09% WisdomTree Dreyfus Indian Rupee Fund ICN 0.45% 5/14/ % 5.37% 6.51% 8.96% 1.32% 5.64% 6.40% 8.49% 8.96% N/A 3.21% 7.26% N/A 2.91% Indian Rupee (INR) 0.85% 4.26% 4.71% -4.68% 0.85% 4.26% 4.71% -4.68% 7.08% N/A -2.34% 7.08% N/A -2.34% JP Morgan Emerging Markets Index Plus (ELMI+) India (JPPUIN) 1.45% 5.82% 7.62% 13.84% 1.45% 5.82% 7.62% 13.84% 10.22% N/A 4.95% 10.22% N/A 4.95% WisdomTree Dreyfus South African Rand Fund SZR 0.45% 6/25/ % 6.54% 11.40% 37.13% -0.03% 5.79% 11.09% 35.48% 15.77% N/A 14.60% 14.65% N/A 14.36% South African Rand (ZAR) 0.25% 4.98% 5.85% 13.65% 0.25% 4.98% 5.85% 13.65% 8.65% N/A 5.69% 8.65% N/A 5.69% JP Morgan Emerging Markets Index Plus (ELMI+) South Africa (JPPUSA) 0.74% 6.69% 12.20% 40.49% 0.74% 6.69% 12.20% 40.49% 16.82% N/A 15.79% 16.82% N/A 15.79% WisdomTree Dreyfus Emerging Currency Fund CEW 0.55% 5/6/ % 5.00% 5.39% 16.47% 0.83% 5.00% 5.05% 15.52% 6.94% N/A 10.86% 6.24% N/A 10.18% Equal-Weighted Emerging Currency Composite 0.84% 5.15% 6.15% 17.93% 0.84% 5.15% 6.15% 17.93% 7.96% N/A 11.82% 7.96% N/A 11.82% JP Morgan Emerging Local Markets Index Plus (ELMI+) (JPPUELM) 1.34% 5.36% 6.65% 17.33% 1.34% 5.36% 6.65% 17.33% 6.33% N/A 10.99% 6.33% N/A 10.99% Currency Income World ex-u.s. WisdomTree Dreyfus Commodity Currency Fund CCX 0.55% 9/24/ % N/A N/A 1.27% 0.51% N/A N/A 1.15% N/A N/A 0.64% N/A N/A 0.64% Equal-Weighted Commodity Currency Composite 0.65% N/A N/A 1.37% 0.65% N/A N/A 1.37% N/A N/A 0.71% N/A N/A 0.71% Cumulative Returns as of 10/31/2010 Average Annual Returns 1 as of 09/30/2010 WisdomTree FIXED INCOME ETFs INFORMATION TOTAL RETURN NAV (%) TOTAL RETURN NAV (%) WisdomTree Emerging Markets Local Debt Fund ELD 0.55% 8/9/ % N/A N/A 5.65% 1.42% N/A N/A 5.79% N/A N/A 4.54% N/A N/A 4.31% JP Morgan GBI-EM Global Diversified Composite Unhedged USD 1.28% 7.85% 17.63% 6.07% 1.28% 7.85% 17.63% 6.07% 19.42% 11.45% 4.73% 19.42% 11.45% 4.73%
5 There are risks associated with investing including possible loss of principal. In addition to the normal risks of investing, foreign investing involves special risks, such as risk of loss from currency fluctuation or political or economic uncertainty. Investments in real estate involve additional special risks, such as credit risk, interest rate fluctuations and the effect of varied economic conditions. Funds that focus its investments in one country increase the impact of events and developments associated with the region which can adversely affect performance. Funds focusing on a single sector and/or smaller companies generally experience greater price volatility. Investments in emerging, offshore or frontier markets are generally less liquid and less efficient than developed markets. Investments in currency involve additional special risks, such as credit risk, interest rate fluctuations, derivative investment risk which can be volatile and may be less liquid than other securities and the effect of varied economic conditions. As these funds can have a high concentration in some issuers the funds can be adversely impacted by changes affecting issuers. Unlike typical exchange-traded funds, there are no indexes that the currency Funds attempt to track or replicate. Thus, the ability of the currency Funds to achieve their objectives will depend on the effectiveness of the portfolio manager. Please read the funds prospectus for specific details regarding the fund s risk profile. Investors should consider the investment objectives, risks, charges and expenses of the Funds carefully before investing. A prospectus, containing this and other information, is available at or by calling WISE (9473). Investors should read the prospectus carefully before investing. WisdomTree shares are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Total Returns are calculated using the daily 4:00pm net asset value (NAV). Market price returns reflect the midpoint of th bid/ask spread as of the close of trading on the exchange where Fund shares are listed. Market price returns do not represent the returns you would receive if you traded shares at other times. 1 Performance of one year or less is cumulative. 2 MSCI Europe Value Index through June 19, MSCI AC World Index thereafter. 3 Effective April 1, 2010, the WisdomTree Japan Total Dividend Fund changed its investment objective and was renamed the WisdomTree Japan Hedged Equity Fund. Please read the Fund's prospectus for more information 4 MSCI Japan Value Index through June 19, 2009, MSCI AC World ex USA Growth Index thereafter. 5 MSCI Japan Index through April 1, 2010, MSCI Japan Local Currecy Index thereafter. Performance of the domestic benchmark indexes assumes the reinvestment of gross dividends and excludes management fees, transaction costs and expenses. Performance information for the MSCI Indexes assumes the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. Benchmark Index Descriptions: The Russell 1000 Value Index is a capitalization weighted index that measures the large-cap value segment of the U.S. equity universe, selecting from the Russell 1000 Index. The Russell 1000 Growth Index is a capitalization weighted index that measures the large-cap growth segment of the U.S. equity universe, selecting from the Russell 1000 Index. The Russell 2000 Index is a capitalization weighted index that measures the small cap segment of the U.S. equity universe, selecting stocks ranked by market capitalization from the Russell 3000 Index. The Russell 2000 Value Index is a capitalization weighted index that measures the small-cap value segment of the U.S. equity universe, selecting from the Russell 2000 Index. The Russell 3000 Index is a capitalization weighted index that measures the performance of the 3,000 largest U.S. companies based on total market capitalization. The Russell 3000 Value Index is a capitalization weighted index that measures the performance of the value sector of the broad U.S. equity market, selecting from the Russell 3000 Value Index. The Russell Midcap Value Index is a capitalization weighted index that measures the midcap value segment of the U.S. equity universe, selecting from the Russell Midcap In The S&P 500 Index is a capitalization-weighted index of 500 stocks selected by the Standard & Poor's Index Committee designed to represent the performance of the leading industries in the U.S. economy. The S&P MidCap 400 Index is a capitalization-weighted index of 400 stocks selected by the Standard & Poor's Index Committee designed to represent the performance of the midcap segment of the market. The Dow Jones U.S. Select Dividend Index measures the performance of 100 U.S. dividend-paying companies. The MSCI EAFE Index is a free float-adjusted market capitalization index that is designed to measure developed market equity performance, excluding the US & Canada. The MSCI EAFE Mid Cap Index is a free float-adjusted market capitalization index that is designed to measure the performance of mid capitalization equities in the developed markets excluding the US & Canada. The MSCI EAFE Small Cap Index is a free float-adjusted market capitalization index that is designed to measure the performance of "small" stocks within the developed market equity performance, excluding the US & Canada. The MSCI EAFE Value Index is a free float-adjusted market capitalization index that is designed to measure the performance of "value" stocks within the developed market equity performance, excluding the US & Canada. The MSCI Europe Small Cap Index is a free float-adjusted market capitalization index that is designed to measure the performance of "small" stocks within 16 developed market European countries. The MSCI Japan Small Cap Index is a free float-adjusted market capitalization index that is designed to measure the performance of "small" stocks within Japan. The MSCI EAFE Local Currency Index is a free float-adjust market capitalization weighted index that is designed to measure developed market equity performance, excluding the US and Canada. The index is calculated using the same methodology as its corresponding MSCI EAFE Index in U.S. dollars, with the key difference being the currency the securities are quoted in. The price used for each security in the local currency index is the local price, on the primary exchange on which a security is traded, with no conversion into U.S. dollars. The MSCI Japan Local Currency Index is a free float-adjusted market capitalization index that is designed to measure developed market equity performance in Japan. The index is calculated using the same methodology as its corresponding MSCI Japan Index in U.S. dollars, with the key difference being the currency the securities are quoted in. The price used for each security in the local currency index is the local price, on the primary exchange on which a security is traded, with no conversion into U.S. dollars. The MSCI Pacific ex-japan Index is a free float-adjusted market capitalization index that is designed to measure developed market equity performance in Australia, Hong Kong, Singapore, and New Zealand. The MSCI Pacific ex-japan Value Index is a free floatadjusted market capitalization index that is designed to measure developed market equity performance of value stocks in Australia, Hong Kong, Singapore, and New Zealand. The MSCI AC World Index is a free float-adjusted market capitalization index that is designed to measure the performance of the world stock market indexes covered by MSCI. The MSCI AC World ex USA Growth Index is a subset of the MSCI AC World ex USA Index and is composed only of the MSCI AC World ex USA Index stocks which are categorized as growth stocks. The Dow Jones Global ex-u.s. Select Real Estate Securities Index is a float-adjusted market capitalization weighted index that defines and measures the investable universe of publicly traded real estate securities in countries outside the U.S. The MSCI Emerging Markets Index is a free float-adjusted market capitalization index that is designed to measure emerging markets equity performance. The MSCI Emerging Markets Small Cap Index is a free float-adjusted market capitalization index that is designed to measure the performance of small capitalization equities in the emerging markets. The MSCI India Index is a free float-adjusted market capitalization index that is designed to measure the performance of stocks in India. The MSCI Arabian Markets ex Saudi Arabia Index is a free float-adjusted market capitalization index that is designed to measure the performance of stocks in the Gulf Cooperation Council (GCC) countries and the neighboring region:the United Arab Emirates, Kuwait, Qatar, Bahrain, Oman, Egypt, Jordan, and Morocco. S&P Developed Ex-U.S. BMI Sector Indexes are indexes that track specific sectors of developed global markets outside the United States. Merrill Lynch New Zealand Dollar 1-Month LIBID Constant Maturity Index: Merrill Lynch New Zealand Dollar, one-month LIBID Constant Maturity Index tracks a consistent investment in 1-mo. New Zealand Dollar-denominated bank deposits. The JP Morgan Emerging Local Markets Index Plus (ELMI+) and its underlying country and regional sub-indexes track the total returns for local-currency denominated money market instruments in emerging market countries. The Brazil, China, India and South Africa sub-indexes use a weighted basket of 1-mo, 2-mo, and 3-mo months currency forwards collateralized with U.S. money market rates to proxy the total returns of an investment in the local-currency money market instruments. The returns are reported in U.S. dollar terms. Equal- Weighted Emerging Currency Composite: An equal-weighted composite calculated by WisdomTree that tracks the returns of the currencies within the fund using the total returns of the respective country sub-indices of the JP Morgan Emerging Local Markets Index Plus (ELMI+). Merrill Lynch Euro, Japanese Yen and U.S. Dollar Currency 1-Month LIBID Constant Maturity Indexes: Merrill Lynch Currency, One-month constant maturity LIBID Index tracks a consistent investment in 1-mo. appropriate currencydenominated bank deposits. LIBID is the London Interbank Bid Rate, or the rate at which banks are willing to borrow. The JP Morgan GBI-EM Global Diversified Index tracks the performance of local currency debt issued by emerging market governments, whose debt is accessible by most of the international investor base. The index incorporates a constrained marketcapitalization methodology in which individual issuer exposures are capped at 10%, (with the excess distributed to smaller issuers) to greater diversification among issuing governments. New Zealand Dollar; South African Rand; Brazilian Real; EURO; Japanese Yen: Currency return calculated by WisdomTree as the percentage difference between the end of quarter spot rate and the beginning of the quarter spot rate. Source: WM Reuters London closing rates. Chinese Yuan; Indian Rupee: Currency return calculated by WisdomTree as the percentage difference between the end of quarter spot rate and the beginning of the quarter spot rate. Source: Tullett Prepon Singapore closing rates.
6 Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI s express written consent
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