# EDGAR Filing Document

**Accession Number:** 0001350487
**File Stem:** 0001214659-26-007194
**Filing Date:** 2026-6
**Character Count:** 933711
**Document Hash:** 60c5f467412051a1a75958b3ae194a4e
**Contains OCR:** False
**Source Format:** 

## Filing Content

## Filing Summary
**0001214659-26-007194.hdr.sgml**: 20260605

**ACCESSION NUMBER**: 0001214659-26-007194

**CONFORMED SUBMISSION TYPE**: N-CSR

**PUBLIC DOCUMENT COUNT**: 35

**CONFORMED PERIOD OF REPORT**: 20260331

**FILED AS OF DATE**: 20260605

**DATE AS OF CHANGE**: 20260605

**EFFECTIVENESS DATE**: 20260605

**FILER**: 

**COMPANY DATA:**
- **COMPANY CONFORMED NAME:** WisdomTree Trust
- **CENTRAL INDEX KEY:** 0001350487

**ORGANIZATION NAME:**
- **EIN:** 000000000
- **STATE OF INCORPORATION:** DE
- **FISCAL YEAR END:** 0331

**FILING VALUES:**
- **FORM TYPE:** N-CSR
- **SEC ACT:** 1940 Act
- **SEC FILE NUMBER:** 811-21864
- **FILM NUMBER:** 261067749

**BUSINESS ADDRESS:**
- **STREET 1:** 250 WEST 34TH STREET
- **STREET 2:** 3RD FLOOR
- **CITY:** NEW YORK
- **STATE:** NY
- **ZIP:** 10119
- **BUSINESS PHONE:** 212.801.2080

**MAIL ADDRESS:**
- **STREET 1:** 250 WEST 34TH STREET
- **STREET 2:** 3RD FLOOR
- **CITY:** NEW YORK
- **STATE:** NY
- **ZIP:** 10119

## Series and Classes Contracts Data

### WisdomTree Japan Hedged Equity Fund (Series ID: S000012380)

| Class ID   | Class Name                          | Ticker Symbol   |
|:---|:---|:---|
| C000033618 | WisdomTree Japan Hedged Equity Fund | DXJ             |

### WisdomTree Japan SmallCap Dividend Fund (Series ID: S000012382)

| Class ID   | Class Name                              | Ticker Symbol   |
|:---|:---|:---|
| C000033620 | WisdomTree Japan SmallCap Dividend Fund | DFJ             |

### WisdomTree True Developed International Fund (Series ID: S000012384)

| Class ID   | Class Name                                   | Ticker Symbol   |
|:---|:---|:---|
| C000033622 | WisdomTree True Developed International Fund | DOL             |

### WisdomTree International MidCap Dividend Fund (Series ID: S000012385)

| Class ID   | Class Name                                    | Ticker Symbol   |
|:---|:---|:---|
| C000033623 | WisdomTree International MidCap Dividend Fund | DIM             |

### WisdomTree International SmallCap Dividend Fund (Series ID: S000012386)

| Class ID   | Class Name                                      | Ticker Symbol   |
|:---|:---|:---|
| C000033624 | WisdomTree International SmallCap Dividend Fund | DLS             |

### WisdomTree International Equity Fund (Series ID: S000012388)

| Class ID   | Class Name                           | Ticker Symbol   |
|:---|:---|:---|
| C000033626 | WisdomTree International Equity Fund | DWM             |

### WisdomTree International AI Enhanced Value Fund (Series ID: S000012389)

| Class ID   | Class Name                                      | Ticker Symbol   |
|:---|:---|:---|
| C000033627 | WisdomTree International AI Enhanced Value Fund | AIVI            |

### WisdomTree International High Dividend Fund (Series ID: S000012395)

| Class ID   | Class Name                                  | Ticker Symbol   |
|:---|:---|:---|
| C000033633 | WisdomTree International High Dividend Fund | DTH             |

### WisdomTree Europe SmallCap Dividend Fund (Series ID: S000012398)

| Class ID   | Class Name                               | Ticker Symbol   |
|:---|:---|:---|
| C000033636 | WisdomTree Europe SmallCap Dividend Fund | DFE             |

### WisdomTree Europe Hedged Equity Fund (Series ID: S000023597)

| Class ID   | Class Name                           | Ticker Symbol   |
|:---|:---|:---|
| C000069425 | WisdomTree Europe Hedged Equity Fund | HEDJ            |

### WisdomTree Japan Opportunities Fund (Series ID: S000041190)

| Class ID   | Class Name                          | Ticker Symbol   |
|:---|:---|:---|
| C000127778 | WisdomTree Japan Opportunities Fund | OPPJ            |

### WisdomTree International Hedged Quality Dividend Growth Fund (Series ID: S000043768)

| Class ID   | Class Name                                                   | Ticker Symbol   |
|:---|:---|:---|
| C000135785 | WisdomTree International Hedged Quality Dividend Growth Fund | IHDG            |

### WisdomTree Europe Quality Dividend Growth Fund (Series ID: S000045345)

| Class ID   | Class Name                                     | Ticker Symbol   |
|:---|:---|:---|
| C000141114 | WisdomTree Europe Quality Dividend Growth Fund | EUDG            |

### WisdomTree European Opportunities Fund (Series ID: S000048091)

| Class ID   | Class Name                             | Ticker Symbol   |
|:---|:---|:---|
| C000151994 | WisdomTree European Opportunities Fund | OPPE            |

### WisdomTree International Quality Dividend Growth Fund (Series ID: S000052973)

| Class ID   | Class Name                                            | Ticker Symbol   |
|:---|:---|:---|
| C000166521 | WisdomTree International Quality Dividend Growth Fund | IQDG            |

### WisdomTree International Multifactor Fund (Series ID: S000062306)

| Class ID   | Class Name                                | Ticker Symbol   |
|:---|:---|:---|
| C000202067 | WisdomTree International Multifactor Fund | DWMF            |

### WisdomTree Europe Defense Fund (Series ID: S000093465)

| Class ID   | Class Name                     | Ticker Symbol   |
|:---|:---|:---|
| C000261750 | WisdomTree Europe Defense Fund | WDEF            |

?xml version='1.0' encoding='ASCII'? Consolidated ssr-output-EDGAR XBRL File

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

**FORM N-CSR**

**CERTIFIED SHAREHOLDER REPORT OF REGISTERED**

**MANAGEMENT INVESTMENT COMPANIES**

**Investment Company Act file number 811-21864**

**WisdomTree Trust**

**(Exact name of registrant as specified in charter)**

**250 West 34<sup>th</sup> Street, 3<sup>rd</sup> Floor**

**New York, NY 10119**

**(Address of principal executive offices) (Zip code)**

**The Corporation Trust Company**

**1209 Orange Street**

**Wilmington, DE 19801**

**(Name and address of agent for service)**

**Registrant's telephone number, including area code: (866) 909-9473**

**Date of fiscal year end: March 31**

**Date of reporting period: March 31, 2026**

Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles.

A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget ("OMB") control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 100 F Street, NE, Washington, DC 20549. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

**Item 1. Reports to Stockholders.**

&nbsp;&nbsp;&nbsp;&nbsp;(a) The following is a copy of the reports transmitted to shareholders pursuant
 to Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1).

# WisdomTree Europe Defense Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: WDEF

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree Europe Defense Fund (the "Fund") for the period of July 17, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last period?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment<sup>Footnote Reference\*</sup> | Costs paid as a percentage of a $10,000 investment |
| WisdomTree Europe Defense Fund | $32 | 0.45%<sup>Footnote Reference1</sup> |

---

---

| | |
|:---|:---|
| Footnote | Description |
| &nbsp;&nbsp;Footnote<sup>1</sup> | &nbsp;&nbsp;Annualized. |
| &nbsp;&nbsp;Footnote<sup>\*</sup> | &nbsp;&nbsp;The Fund commenced operations on 7/17/25. Actual expenses are calculated using a 258/365 day period (to reflect the period since commencement of operations). The expenses for a full reporting period would be higher. |

---

## How did the Fund perform the last period and what affected its performance?
The Fund returned 2.31% at net asset value (NAV) for the fiscal period July 17, 2025 (inception date) through March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI Europe Index, which returned 8.15% in U.S. dollar (USD) terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* Given the Fund's narrow focus on European defense companies, it was highly concentrated within the Industrials sector during the period, resulting in a large overweight versus its benchmark. This resulted in a negative performance contribution stemming from a negative allocation effect as Industrials underperformed the headline index by 6%.

* Correspondingly, the Fund had large underweights to the largest sectors within the index, including Consumer Staples, Financials, Health Care and Consumer Discretionary. Consumer Discretionary's underweight was additive since it was the worst performing sector in the benchmark during the period. Consumer Staples was one of four sectors to decline, so underweighting it was also additive from an allocation standpoint.

* However, the underweights to Financials and Healthcare were detrimental, as they both outperformed the headline index by a few percentage points each. This produced a negative allocation effect that created a performance headwind.

* At the country level, about 20% of the Fund was concentrated in Germany. This produced a negative allocation effect that resulted in negative performance impacts during the period as German equities lagged the broader European equity market during the period.

* Conversely, Norway exposure was additive as the Norwegian equity market increased significantly during the period, which produced positive performance impacts via allocation effects.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI Europe Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance July 17, 2025 (inception) through March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i6f6ceca8041ff0370bbf9bc8.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree Europe Defense Fund $10,231** | **MSCI Europe Index $10,815** | **WisdomTree Europe Defense Index $10,274** |
| **07/17/25** | $10000 | $10000 | $10000 |
| **07/31/25** | $9736 | $9932 | $9742 |
| **08/31/25** | $9848 | $10274 | $9859 |
| **09/30/25** | $11292 | $10478 | $11310 |
| **10/31/25** | $10335 | $10556 | $10355 |
| **11/30/25** | $9313 | $10710 | $9336 |
| **12/31/25** | $9835 | $11128 | $9862 |
| **01/31/26** | $11239 | $11623 | $11277 |
| **02/28/26** | $11290 | $12003 | $11331 |
| **03/31/26** | $10231 | $10815 | $10274 |

---

## Average Annual Total Returns (%)

---

| | |
|:---|:---|
| | Since Inception 7/17/25<sup>Footnote Reference\*</sup> |
| Fund NAV Returns | 2.31% |
| MSCI Europe Index | 8.15% |
| WisdomTree Europe Defense Index | 2.74% |

---

---

| | |
|:---|:---|
| Footnote | Description |
| &nbsp;&nbsp;Footnote\* | &nbsp;&nbsp;Returns of less than one year are cumulative. |

---

## Key Fund Statistics
* Total Net Assets$83,141,783

* # of Portfolio Holdings39

* Portfolio Turnover Rate39%

* Investment Advisory Fees Paid, Net$110,451

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Thales SA | 10.5% |
| BAE Systems PLC | 10.1% |
| Rheinmetall AG | 9.9% |
| Leonardo SpA | 5.5% |
| Saab AB, Class B | 5.3% |
| Kongsberg Gruppen ASA | 4.9% |
| Hensoldt AG | 4.7% |
| Airbus SE | 4.6% |
| Dassault Aviation SA | 4.5% |
| Safran SA | 4.4% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 94.6% |
| Information Technology | 4.2% |
| Communication Services | 1.1% |
| Other Assets and Liabilities, Net | 0.1% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree Europe Defense Fund
Annual Shareholder Report - March 31, 2026

# Ticker: WDEF
WDEF - 032026

# WisdomTree Europe Hedged Equity Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: HEDJ

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree Europe Hedged Equity Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree Europe Hedged Equity Fund | $63 | 0.60% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 11.59% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI EMU Local Currency Index, which returned 12.31% during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its exposures to Consumer Discretionary and Industrials, primarily due to positive stock selection in the former and allocation effects stemming from an overweight in the latter.

* Energy also contributed positively to performance, driven by strong allocation effects.

* Utilities, Health Care, Materials and Communication Services all detracted from performance due to a mix of negative allocation and selection effects in each.

* The Fund benefited from its exposure to Spain, primarily due to strong allocation effects. It was overweight in Spain by about 9% during the period and Spain was one of the best performing countries within the European Monetary Union (EMU) universe during the period.

* Finland also contributed modestly to performance, driven by positive allocation effects.

* Netherlands and France detracted significantly from performance due to poor stock selection effects. France's negative stock selection impact more than offset positive allocation effects obtained through an underweight to the country's equity market.

* The Fund's currency hedge detracted from performance during the period, as the euro strengthened approximately 6.8% against the U.S. dollar. As a result, the Fund would have experienced stronger performance during the period had no currency hedge been utilized.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EMU Local Currency Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i5bcf08e8d0ef1e30b59d0a6f.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree Europe Hedged Equity Fund $25,668** | **MSCI EMU Local Currency Index $22,897** | **WisdomTree Europe Hedged Equity Index $26,637** |
| **03/31/16** | $10000 | $10000 | $10000 |
| **04/30/16** | $10046 | $10120 | $10046 |
| **05/31/16** | $10317 | $10337 | $10313 |
| **06/30/16** | $9831 | $9715 | $9829 |
| **07/31/16** | $10398 | $10212 | $10408 |
| **08/31/16** | $10555 | $10349 | $10577 |
| **09/30/16** | $10582 | $10352 | $10603 |
| **10/31/16** | $10700 | $10486 | $10730 |
| **11/30/16** | $10612 | $10450 | $10649 |
| **12/31/16** | $11365 | $11175 | $11423 |
| **01/31/17** | $11288 | $11067 | $11359 |
| **02/28/17** | $11784 | $11357 | $11861 |
| **03/31/17** | $12420 | $11971 | $12506 |
| **04/30/17** | $12817 | $12247 | $12918 |
| **05/31/17** | $12896 | $12442 | $12983 |
| **06/30/17** | $12500 | $12128 | $12587 |
| **07/31/17** | $12500 | $12172 | $12595 |
| **08/31/17** | $12424 | $12117 | $12522 |
| **09/30/17** | $13024 | $12654 | $13126 |
| **10/31/17** | $13360 | $12959 | $13467 |
| **11/30/17** | $13010 | $12698 | $13116 |
| **12/31/17** | $12906 | $12587 | $13021 |
| **01/31/18** | $13314 | $12991 | $13440 |
| **02/28/18** | $12833 | $12498 | $12965 |
| **03/31/18** | $12672 | $12236 | $12799 |
| **04/30/18** | $13214 | $12831 | $13342 |
| **05/31/18** | $13167 | $12643 | $13279 |
| **06/30/18** | $13104 | $12532 | $13218 |
| **07/31/18** | $13572 | $12966 | $13702 |
| **08/31/18** | $13216 | $12621 | $13334 |
| **09/30/18** | $13102 | $12586 | $13213 |
| **10/31/18** | $12382 | $11771 | $12507 |
| **11/30/18** | $12351 | $11670 | $12480 |
| **12/31/18** | $11710 | $10982 | $11841 |
| **01/31/19** | $12467 | $11673 | $12608 |
| **02/28/19** | $12980 | $12132 | $13134 |
| **03/31/19** | $13220 | $12290 | $13386 |
| **04/30/19** | $13973 | $12922 | $14155 |
| **05/31/19** | $13144 | $12160 | $13293 |
| **06/30/19** | $13929 | $12784 | $14098 |
| **07/31/19** | $13971 | $12799 | $14148 |
| **08/31/19** | $13674 | $12640 | $13853 |
| **09/30/19** | $14172 | $13109 | $14368 |
| **10/31/19** | $14306 | $13270 | $14510 |
| **11/30/19** | $14704 | $13621 | $14925 |
| **12/31/19** | $14871 | $13777 | $15102 |
| **01/31/20** | $14379 | $13537 | $14609 |
| **02/29/20** | $13107 | $12463 | $13317 |
| **03/31/20** | $10955 | $10318 | $11126 |
| **04/30/20** | $11872 | $10988 | $12068 |
| **05/31/20** | $12316 | $11509 | $12523 |
| **06/30/20** | $12934 | $12072 | $13150 |
| **07/31/20** | $12825 | $11904 | $13050 |
| **08/31/20** | $13227 | $12322 | $13467 |
| **09/30/20** | $13354 | $12097 | $13601 |
| **10/31/20** | $12603 | $11421 | $12846 |
| **11/30/20** | $14254 | $13375 | $14553 |
| **12/31/20** | $14440 | $13639 | $14752 |
| **01/31/21** | $14418 | $13458 | $14737 |
| **02/28/21** | $14531 | $13941 | $14859 |
| **03/31/21** | $15796 | $14860 | $16158 |
| **04/30/21** | $16053 | $15181 | $16417 |
| **05/31/21** | $16513 | $15558 | $16793 |
| **06/30/21** | $16755 | $15721 | $17140 |
| **07/31/21** | $17120 | $15928 | $17528 |
| **08/31/21** | $17501 | $16319 | $17929 |
| **09/30/21** | $16786 | $15769 | $17200 |
| **10/31/21** | $17346 | $16415 | $17785 |
| **11/30/21** | $16885 | $15875 | $17324 |
| **12/31/21** | $17844 | $16658 | $18323 |
| **01/31/22** | $17174 | $16078 | $17645 |
| **02/28/22** | $16374 | $15236 | $16825 |
| **03/31/22** | $16435 | $15129 | $16894 |
| **04/30/22** | $16397 | $14834 | $16855 |
| **05/31/22** | $16439 | $14919 | $16882 |
| **06/30/22** | $14863 | $13544 | $15261 |
| **07/31/22** | $15971 | $14533 | $16414 |
| **08/31/22** | $15065 | $13801 | $15471 |
| **09/30/22** | $14332 | $12929 | $14725 |
| **10/31/22** | $15482 | $13953 | $15913 |
| **11/30/22** | $16727 | $15121 | $17213 |
| **12/31/22** | $16027 | $14578 | $16495 |
| **01/31/23** | $17547 | $15982 | $18073 |
| **02/28/23** | $18284 | $16244 | $18841 |
| **03/31/23** | $18727 | $16360 | $19293 |
| **04/30/23** | $18762 | $16603 | $19304 |
| **05/31/23** | $18239 | $16191 | $18744 |
| **06/30/23** | $19157 | $16809 | $19691 |
| **07/31/23** | $19679 | $17132 | $20236 |
| **08/31/23** | $19049 | $16603 | $19580 |
| **09/30/23** | $18642 | $16069 | $19166 |
| **10/31/23** | $18019 | $15545 | $18534 |
| **11/30/23** | $19505 | $16778 | $20053 |
| **12/31/23** | $20257 | $17319 | $20848 |
| **01/31/24** | $20578 | $17693 | $21191 |
| **02/29/24** | $21789 | $18279 | $22455 |
| **03/31/24** | $22777 | $19092 | $23487 |
| **04/30/24** | $22044 | $18725 | $22704 |
| **05/31/24** | $22385 | $19236 | $23038 |
| **06/30/24** | $21871 | $18758 | $22507 |
| **07/31/24** | $21497 | $18838 | $22130 |
| **08/31/24** | $21803 | $19144 | $22454 |
| **09/30/24** | $21755 | $19339 | $22419 |
| **10/31/24** | $21017 | $18693 | $21667 |
| **11/30/24** | $21070 | $18699 | $21733 |
| **12/31/24** | $21401 | $18955 | $22087 |
| **01/31/25** | $23089 | $20333 | $23855 |
| **02/28/25** | $23978 | $21035 | $24814 |
| **03/31/25** | $23001 | $20388 | $23797 |
| **04/30/25** | $22938 | $20426 | $23712 |
| **05/31/25** | $24178 | $21562 | $25006 |
| **06/30/25** | $23864 | $21408 | $24663 |
| **07/31/25** | $24266 | $21615 | $25098 |
| **08/31/25** | $24659 | $21706 | $25547 |
| **09/30/25** | $24997 | $22323 | $25938 |
| **10/31/25** | $25732 | $22857 | $26668 |
| **11/30/25** | $25936 | $22923 | $26900 |
| **12/31/25** | $26393 | $23468 | $27397 |
| **01/31/26** | $26990 | $24127 | $28036 |
| **02/28/26** | $28063 | $24993 | $29160 |
| **03/31/26** | $25668 | $22897 | $26637 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 11.59% | 10.20% | 9.88% |
| MSCI EMU Local Currency Index | 12.31% | 9.03% | 8.64% |
| WisdomTree Europe Hedged Equity Index | 11.93% | 10.51% | 10.29% |

---

## Key Fund Statistics
* Total Net Assets$1,696,628,307

* # of Portfolio Holdings134

* Portfolio Turnover Rate33%

* Investment Advisory Fees Paid, Net$10,182,794

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Banco Bilbao Vizcaya Argentaria SA | 5.8% |
| ASML Holding NV | 5.5% |
| Deutsche Telekom AG, Registered Shares | 4.9% |
| Banco Santander SA | 4.7% |
| Sanofi SA | 4.4% |
| LVMH Moet Hennessy Louis Vuitton SE | 4.3% |
| Siemens AG, Registered Shares | 3.4% |
| L'Oreal SA | 3.2% |
| BASF SE | 2.4% |
| Anheuser-Busch InBev SA | 2.4% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 21.9% |
| Financials | 14.6% |
| Consumer Staples | 13.3% |
| Consumer Discretionary | 13.2% |
| Information Technology | 9.4% |
| Health Care | 9.2% |
| Materials | 7.6% |
| Communication Services | 6.3% |
| Energy | 3.9% |
| Other Sectors | 0.0%<sup>Footnote Reference\*</sup> |
| Other Assets and Liabilities, Net | 0.6% |
| Total | 100.0% |

---

---

| | |
|:---|:---|
| Footnote | Description |
| &nbsp;&nbsp;Footnote\* | &nbsp;&nbsp;Represents less than 0.1% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree Europe Hedged Equity Fund
Annual Shareholder Report - March 31, 2026

# Ticker: HEDJ
HEDJ - 032026

# WisdomTree Europe Quality Dividend Growth Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: EUDG

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree Europe Quality Dividend Growth Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree Europe Quality Dividend Growth Fund | $63 | 0.59% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 13.73% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI Europe Index, which returned 19.11% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its exposures to Health Care, primarily due to stock selection. Health Care was the only meaningfully positive sector contributor during the period. 

* Consumer Discretionary negatively affected performance due to poor allocation effects stemming from an overweight position in the sector. The Fund was about 7% overweight the sector during the year while it was the worst performer within the European equity universe. 

* However, the Fund's poor performance during the period is most attributable to its large underweight to Financials. As an indirect byproduct of its quality dividend growth methodology, the Fund is routinely heavily underweight Financials versus the MSCI Europe Index. When Financials perform strongly, Fund performance usually struggles. During the fiscal year, Financials were one of the best-performing sectors in the benchmark.

* Consumer Staples, Communication Services, and Materials also hampered performance due to a mix of negative allocation and selection effects.

* From a country perspective, only Switzerland produced meaningful positive performance impacts, which were entirely due to positive stock selection.

* Spain, France, Denmark and the United Kingdom all detracted from performance due to negative stock selection effects.

* The Fund's emphasis on selecting high quality companies mostly penalized performance during the period, as four of the five quintiles by return-on-equity (ROE), our preferred gauge of quality, produced negative performance effects.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI Europe Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](iaf64f6c94105e42b4a8e13b5.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree Europe Quality Dividend Growth Fund $20,504** | **MSCI Europe Index $22,586** | **WisdomTree Europe Quality Dividend Growth Index $21,385** |
| **03/31/16** | $10000 | $10000 | $10000 |
| **04/30/16** | $10031 | $10244 | $10031 |
| **05/31/16** | $10054 | $10184 | $10057 |
| **06/30/16** | $9714 | $9731 | $9696 |
| **07/31/16** | $10127 | $10138 | $10124 |
| **08/31/16** | $10000 | $10168 | $10004 |
| **09/30/16** | $10118 | $10257 | $10126 |
| **10/31/16** | $9544 | $9923 | $9553 |
| **11/30/16** | $9279 | $9707 | $9292 |
| **12/31/16** | $9655 | $10216 | $9675 |
| **01/31/17** | $9970 | $10428 | $9990 |
| **02/28/17** | $10199 | $10553 | $10233 |
| **03/31/17** | $10624 | $10976 | $10653 |
| **04/30/17** | $11155 | $11364 | $11199 |
| **05/31/17** | $11770 | $11915 | $11806 |
| **06/30/17** | $11527 | $11785 | $11566 |
| **07/31/17** | $11768 | $12137 | $11817 |
| **08/31/17** | $11940 | $12144 | $11989 |
| **09/30/17** | $12264 | $12544 | $12314 |
| **10/31/17** | $12366 | $12603 | $12430 |
| **11/30/17** | $12366 | $12631 | $12438 |
| **12/31/17** | $12516 | $12822 | $12599 |
| **01/31/18** | $13046 | $13515 | $13144 |
| **02/28/18** | $12214 | $12720 | $12314 |
| **03/31/18** | $12221 | $12567 | $12324 |
| **04/30/18** | $12347 | $12915 | $12453 |
| **05/31/18** | $12235 | $12491 | $12343 |
| **06/30/18** | $12123 | $12407 | $12247 |
| **07/31/18** | $12543 | $12820 | $12672 |
| **08/31/18** | $12369 | $12462 | $12503 |
| **09/30/18** | $12212 | $12506 | $12350 |
| **10/31/18** | $11231 | $11552 | $11370 |
| **11/30/18** | $11098 | $11444 | $11251 |
| **12/31/18** | $10632 | $10916 | $10773 |
| **01/31/19** | $11386 | $11635 | $11554 |
| **02/28/19** | $11777 | $12026 | $11963 |
| **03/31/19** | $12023 | $12099 | $12200 |
| **04/30/19** | $12311 | $12532 | $12513 |
| **05/31/19** | $11740 | $11845 | $11927 |
| **06/30/19** | $12592 | $12641 | $12813 |
| **07/31/19** | $12311 | $12396 | $12526 |
| **08/31/19** | $12088 | $12084 | $12302 |
| **09/30/19** | $12255 | $12413 | $12475 |
| **10/31/19** | $12684 | $12811 | $12918 |
| **11/30/19** | $13011 | $13003 | $13262 |
| **12/31/19** | $13609 | $13511 | $13879 |
| **01/31/20** | $13350 | $13171 | $13615 |
| **02/29/20** | $12122 | $11949 | $12361 |
| **03/31/20** | $10885 | $10223 | $11078 |
| **04/30/20** | $11594 | $10830 | $11817 |
| **05/31/20** | $12312 | $11323 | $12559 |
| **06/30/20** | $12652 | $11783 | $12907 |
| **07/31/20** | $13226 | $12236 | $13499 |
| **08/31/20** | $13785 | $12740 | $14075 |
| **09/30/20** | $13707 | $12315 | $14004 |
| **10/31/20** | $12914 | $11621 | $13186 |
| **11/30/20** | $14544 | $13598 | $14882 |
| **12/31/20** | $15248 | $14238 | $15604 |
| **01/31/21** | $15093 | $14032 | $15458 |
| **02/28/21** | $15163 | $14375 | $15530 |
| **03/31/21** | $15722 | $14819 | $16100 |
| **04/30/21** | $16451 | $15492 | $16860 |
| **05/31/21** | $17161 | $16138 | $17557 |
| **06/30/21** | $17036 | $15918 | $17446 |
| **07/31/21** | $17509 | $16213 | $17939 |
| **08/31/21** | $17748 | $16458 | $18190 |
| **09/30/21** | $16551 | $15671 | $16990 |
| **10/31/21** | $17143 | $16377 | $17607 |
| **11/30/21** | $16525 | $15533 | $17007 |
| **12/31/21** | $17703 | $16558 | $18234 |
| **01/31/22** | $16641 | $15801 | $17146 |
| **02/28/22** | $16280 | $15354 | $16768 |
| **03/31/22** | $16354 | $15338 | $16839 |
| **04/30/22** | $15434 | $14456 | $15882 |
| **05/31/22** | $15361 | $14564 | $15803 |
| **06/30/22** | $13789 | $13116 | $14187 |
| **07/31/22** | $14618 | $13765 | $15047 |
| **08/31/22** | $13489 | $12907 | $13893 |
| **09/30/22** | $12430 | $11785 | $12796 |
| **10/31/22** | $13105 | $12630 | $13499 |
| **11/30/22** | $14454 | $14063 | $14915 |
| **12/31/22** | $14477 | $14065 | $14945 |
| **01/31/23** | $15541 | $15285 | $16050 |
| **02/28/23** | $15301 | $15190 | $15815 |
| **03/31/23** | $16086 | $15550 | $16623 |
| **04/30/23** | $16823 | $16196 | $17375 |
| **05/31/23** | $15760 | $15246 | $16276 |
| **06/30/23** | $16490 | $15976 | $17034 |
| **07/31/23** | $16826 | $16466 | $17387 |
| **08/31/23** | $16285 | $15813 | $16828 |
| **09/30/23** | $15527 | $15184 | $16048 |
| **10/31/23** | $15060 | $14617 | $15557 |
| **11/30/23** | $16427 | $16060 | $16994 |
| **12/31/23** | $17327 | $16862 | $17947 |
| **01/31/24** | $17327 | $16842 | $17959 |
| **02/29/24** | $17425 | $17105 | $18064 |
| **03/31/24** | $17730 | $17744 | $18378 |
| **04/30/24** | $17250 | $17408 | $17873 |
| **05/31/24** | $18069 | $18251 | $18728 |
| **06/30/24** | $17716 | $17841 | $18360 |
| **07/31/24** | $18070 | $18224 | $18740 |
| **08/31/24** | $18922 | $18943 | $19629 |
| **09/30/24** | $18911 | $19016 | $19623 |
| **10/31/24** | $17593 | $17895 | $18264 |
| **11/30/24** | $17160 | $17594 | $17819 |
| **12/31/24** | $16711 | $17164 | $17360 |
| **01/31/25** | $17841 | $18346 | $18553 |
| **02/28/25** | $18203 | $19020 | $18931 |
| **03/31/25** | $18029 | $18962 | $18719 |
| **04/30/25** | $18738 | $19792 | $19438 |
| **05/31/25** | $19368 | $20694 | $20104 |
| **06/30/25** | $19513 | $21120 | $20261 |
| **07/31/25** | $19004 | $20744 | $19745 |
| **08/31/25** | $19677 | $21458 | $20457 |
| **09/30/25** | $19896 | $21884 | $20693 |
| **10/31/25** | $20060 | $22046 | $20892 |
| **11/30/25** | $20598 | $22369 | $21476 |
| **12/31/25** | $21459 | $23241 | $22383 |
| **01/31/26** | $22331 | $24275 | $23312 |
| **02/28/26** | $22986 | $25069 | $24008 |
| **03/31/26** | $20504 | $22586 | $21385 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 13.73% | 5.46% | 7.44% |
| MSCI Europe Index | 19.11% | 8.79% | 8.49% |
| WisdomTree Europe Quality Dividend Growth Index | 14.24% | 5.84% | 7.90% |

---

## Key Fund Statistics
* Total Net Assets$66,332,432

* # of Portfolio Holdings230

* Portfolio Turnover Rate35%

* Investment Advisory Fees Paid, Net$445,612

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Novartis AG, Registered Shares | 5.2% |
| Nestle SA, Registered Shares | 5.0% |
| Roche Holding AG | 4.4% |
| BP PLC | 3.9% |
| LVMH Moet Hennessy Louis Vuitton SE | 3.4% |
| Industria de Diseno Textil SA | 3.3% |
| Banco Bilbao Vizcaya Argentaria SA | 3.0% |
| Deutsche Telekom AG, Registered Shares | 3.0% |
| AstraZeneca PLC | 2.9% |
| ING Groep NV | 2.3% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 23.1% |
| Health Care | 18.0% |
| Financials | 14.3% |
| Consumer Discretionary | 12.7% |
| Consumer Staples | 12.2% |
| Energy | 4.9% |
| Communication Services | 4.8% |
| Information Technology | 4.3% |
| Materials | 2.9% |
| Utilities | 1.7% |
| Other Assets and Liabilities, Net | 1.1% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree Europe Quality Dividend Growth Fund
Annual Shareholder Report - March 31, 2026

# Ticker: EUDG
EUDG - 032026

# WisdomTree Europe SmallCap Dividend Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DFE

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree Europe SmallCap Dividend Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree Europe SmallCap Dividend Fund | $68 | 0.61% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 22.02% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI Europe Small Cap Index, which returned 19.09% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its Health Care and Industrials exposures, primarily due to strong stock selection effects in each.

* Consumer Staples and Consumer Discretionary made equally positive impacts on performance as well, both due to stock selection.

* Materials exposure detracted from performance due to poor stock selection, while Financials were also a headwind due to negative allocation effects resulting from underweighting an outperforming sector.

* The Fund benefited from its exposures to Norway, Sweden, and France, primarily due to strong stock selection effects in each. Norway's impact was also compounded by positive allocation effects resulting from an overweight.

* Denmark weighed negatively on performance mainly due to negative allocation effects. 

* Austria also detracted from performance due to a mix of negative allocation and stock selection effects.

* The United Kingdom had the most negative performance impact, which was entirely due to stock selection.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI Europe Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i5d6c9e8c15a267f826cfd0cc.jpg)

---

| | | | | |
|:---|:---|:---|:---|:---|
| | **WisdomTree Europe SmallCap Dividend Fund $18,626** | **MSCI Europe Index $22,586** | **MSCI Europe Small Cap Index $19,251** | **WisdomTree Europe SmallCap Dividend Index $19,169** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10070 | $10244 | $10128 | $10072 |
| **05/31/16** | $10240 | $10184 | $10255 | $10234 |
| **06/30/16** | $9128 | $9731 | $9320 | $9142 |
| **07/31/16** | $9815 | $10138 | $9903 | $9826 |
| **08/31/16** | $9853 | $10168 | $10014 | $9874 |
| **09/30/16** | $10037 | $10257 | $10204 | $10067 |
| **10/31/16** | $9678 | $9923 | $9698 | $9713 |
| **11/30/16** | $9485 | $9707 | $9494 | $9520 |
| **12/31/16** | $10028 | $10216 | $9900 | $10071 |
| **01/31/17** | $10350 | $10428 | $10235 | $10396 |
| **02/28/17** | $10450 | $10553 | $10391 | $10505 |
| **03/31/17** | $10797 | $10976 | $10737 | $10852 |
| **04/30/17** | $11527 | $11364 | $11461 | $11600 |
| **05/31/17** | $12029 | $11915 | $11955 | $12101 |
| **06/30/17** | $11912 | $11785 | $11827 | $12007 |
| **07/31/17** | $12450 | $12137 | $12357 | $12557 |
| **08/31/17** | $12450 | $12144 | $12384 | $12556 |
| **09/30/17** | $12939 | $12544 | $12872 | $13040 |
| **10/31/17** | $12930 | $12603 | $12948 | $13031 |
| **11/30/17** | $12902 | $12631 | $13007 | $12994 |
| **12/31/17** | $13282 | $12822 | $13416 | $13383 |
| **01/31/18** | $13865 | $13515 | $14189 | $13975 |
| **02/28/18** | $13278 | $12720 | $13492 | $13388 |
| **03/31/18** | $13058 | $12567 | $13372 | $13165 |
| **04/30/18** | $13360 | $12915 | $13678 | $13465 |
| **05/31/18** | $12990 | $12491 | $13436 | $13078 |
| **06/30/18** | $12660 | $12407 | $13289 | $12776 |
| **07/31/18** | $12787 | $12820 | $13496 | $12917 |
| **08/31/18** | $12467 | $12462 | $13348 | $12597 |
| **09/30/18** | $12342 | $12506 | $13074 | $12480 |
| **10/31/18** | $11263 | $11552 | $11785 | $11384 |
| **11/30/18** | $11007 | $11444 | $11374 | $11124 |
| **12/31/18** | $10435 | $10916 | $10746 | $10537 |
| **01/31/19** | $11312 | $11635 | $11757 | $11410 |
| **02/28/19** | $11588 | $12026 | $12061 | $11694 |
| **03/31/19** | $11466 | $12099 | $12054 | $11575 |
| **04/30/19** | $11922 | $12532 | $12588 | $12037 |
| **05/31/19** | $11231 | $11845 | $11781 | $11337 |
| **06/30/19** | $11754 | $12641 | $12391 | $11872 |
| **07/31/19** | $11302 | $12396 | $12096 | $11416 |
| **08/31/19** | $10909 | $12084 | $11761 | $11003 |
| **09/30/19** | $11315 | $12413 | $12054 | $11419 |
| **10/31/19** | $11892 | $12811 | $12643 | $12021 |
| **11/30/19** | $12269 | $13003 | $13069 | $12410 |
| **12/31/19** | $13231 | $13511 | $13869 | $13398 |
| **01/31/20** | $12740 | $13171 | $13457 | $12903 |
| **02/29/20** | $11426 | $11949 | $12265 | $11565 |
| **03/31/20** | $8421 | $10223 | $9644 | $8544 |
| **04/30/20** | $9356 | $10830 | $10722 | $9504 |
| **05/31/20** | $9937 | $11323 | $11450 | $10087 |
| **06/30/20** | $10243 | $11783 | $11714 | $10394 |
| **07/31/20** | $10826 | $12236 | $12470 | $10995 |
| **08/31/20** | $11521 | $12740 | $13330 | $11706 |
| **09/30/20** | $11130 | $12315 | $12993 | $11317 |
| **10/31/20** | $10563 | $11621 | $12339 | $10744 |
| **11/30/20** | $12364 | $13598 | $14588 | $12622 |
| **12/31/20** | $13603 | $14238 | $15811 | $13898 |
| **01/31/21** | $13554 | $14032 | $15763 | $13854 |
| **02/28/21** | $14248 | $14375 | $16357 | $14566 |
| **03/31/21** | $14635 | $14819 | $16653 | $14978 |
| **04/30/21** | $15477 | $15492 | $17691 | $15846 |
| **05/31/21** | $16008 | $16138 | $18341 | $16459 |
| **06/30/21** | $15607 | $15918 | $17693 | $15974 |
| **07/31/21** | $16254 | $16213 | $18344 | $16645 |
| **08/31/21** | $16623 | $16458 | $18895 | $17037 |
| **09/30/21** | $15483 | $15671 | $17726 | $15871 |
| **10/31/21** | $15996 | $16377 | $18327 | $16408 |
| **11/30/21** | $14979 | $15533 | $17256 | $15407 |
| **12/31/21** | $16084 | $16558 | $18196 | $16531 |
| **01/31/22** | $15048 | $15801 | $16726 | $15470 |
| **02/28/22** | $14457 | $15354 | $16099 | $14865 |
| **03/31/22** | $14657 | $15338 | $16061 | $15066 |
| **04/30/22** | $13767 | $14456 | $14939 | $14146 |
| **05/31/22** | $13931 | $14564 | $14912 | $14291 |
| **06/30/22** | $12261 | $13116 | $12836 | $12570 |
| **07/31/22** | $12891 | $13765 | $13751 | $13225 |
| **08/31/22** | $11879 | $12907 | $12622 | $12185 |
| **09/30/22** | $10340 | $11785 | $10952 | $10598 |
| **10/31/22** | $11077 | $12630 | $11824 | $11360 |
| **11/30/22** | $12271 | $14063 | $13098 | $12598 |
| **12/31/22** | $12461 | $14065 | $13234 | $12782 |
| **01/31/23** | $13446 | $15285 | $14470 | $13795 |
| **02/28/23** | $13667 | $15190 | $14519 | $14027 |
| **03/31/23** | $13415 | $15550 | $14263 | $13740 |
| **04/30/23** | $13861 | $16196 | $14725 | $14191 |
| **05/31/23** | $12835 | $15246 | $13857 | $13125 |
| **06/30/23** | $13209 | $15976 | $14299 | $13513 |
| **07/31/23** | $13698 | $16466 | $14935 | $14020 |
| **08/31/23** | $13119 | $15813 | $14272 | $13419 |
| **09/30/23** | $12595 | $15184 | $13490 | $12874 |
| **10/31/23** | $11931 | $14617 | $12674 | $12194 |
| **11/30/23** | $13123 | $16060 | $14257 | $13439 |
| **12/31/23** | $14312 | $16862 | $15443 | $14683 |
| **01/31/24** | $14007 | $16842 | $15056 | $14368 |
| **02/29/24** | $13887 | $17105 | $15006 | $14247 |
| **03/31/24** | $14408 | $17744 | $15624 | $14778 |
| **04/30/24** | $14341 | $17408 | $15342 | $14716 |
| **05/31/24** | $15402 | $18251 | $16486 | $15806 |
| **06/30/24** | $14668 | $17841 | $15731 | $15041 |
| **07/31/24** | $15412 | $18224 | $16559 | $15821 |
| **08/31/24** | $15715 | $18943 | $16885 | $16147 |
| **09/30/24** | $15824 | $19016 | $17103 | $16245 |
| **10/31/24** | $14648 | $17895 | $15883 | $15050 |
| **11/30/24** | $14392 | $17594 | $15642 | $14800 |
| **12/31/24** | $14267 | $17164 | $15294 | $14671 |
| **01/31/25** | $14763 | $18346 | $15971 | $15191 |
| **02/28/25** | $14889 | $19020 | $16074 | $15311 |
| **03/31/25** | $15265 | $18962 | $16165 | $15663 |
| **04/30/25** | $16353 | $19792 | $17321 | $16780 |
| **05/31/25** | $17359 | $20694 | $18526 | $17815 |
| **06/30/25** | $18087 | $21120 | $19325 | $18575 |
| **07/31/25** | $17860 | $20744 | $19058 | $18346 |
| **08/31/25** | $18204 | $21458 | $19352 | $18700 |
| **09/30/25** | $18356 | $21884 | $19511 | $18863 |
| **10/31/25** | $18004 | $22046 | $19376 | $18523 |
| **11/30/25** | $18270 | $22369 | $19477 | $18797 |
| **12/31/25** | $18966 | $23241 | $20183 | $19526 |
| **01/31/26** | $19789 | $24275 | $21170 | $20381 |
| **02/28/26** | $20500 | $25069 | $21506 | $21129 |
| **03/31/26** | $18626 | $22586 | $19251 | $19169 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 22.02% | 4.94% | 6.42% |
| MSCI Europe Index | 19.11% | 8.79% | 8.49% |
| MSCI Europe Small Cap Index | 19.09% | 2.94% | 6.77% |
| WisdomTree Europe SmallCap Dividend Index | 22.39% | 5.06% | 6.72% |

---

## Key Fund Statistics
* Total Net Assets$155,411,259

* # of Portfolio Holdings382

* Portfolio Turnover Rate55%

* Investment Advisory Fees Paid, Net$967,178

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Hoegh Autoliners ASA | 2.5% |
| DOF Group ASA | 2.0% |
| NOS SGPS SA | 1.7% |
| Elecnor SA | 1.6% |
| Energean PLC | 1.3% |
| Odfjell Drilling Ltd. | 1.3% |
| Pennon Group PLC | 1.3% |
| REN - Redes Energeticas Nacionais SGPS SA | 1.2% |
| APERAM SA | 1.2% |
| Sparebanken Norge | 1.1% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 25.1% |
| Consumer Discretionary | 13.1% |
| Financials | 11.5% |
| Materials | 9.2% |
| Energy | 7.4% |
| Communication Services | 6.9% |
| Real Estate | 6.9% |
| Information Technology | 5.7% |
| Health Care | 5.2% |
| Consumer Staples | 3.7% |
| Other Sectors | 3.8% |
| Other Assets and Liabilities, Net | 1.5% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree Europe SmallCap Dividend Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DFE
DFE - 032026

# WisdomTree European Opportunities Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: OPPE

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree European Opportunities Fund (the "Fund") (formerly, the WisdomTree Europe Hedged SmallCap Equity Fund) for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473). **This report describes changes to the Fund that occurred during the reporting period.**

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree European Opportunities Fund | $68 | 0.59% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 30.47% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI EMU Small Cap Local Currency/MSCI Europe Value Spliced Index, which returned 29.08% in U.S. dollar (USD) terms during the same period. The following summarizes the key factors that affected Fund Performance during the period:

* The Fund benefited significantly from its exposure to Industrials, which produced a strong performance tailwind due to positive stock selection effects. 

* The Fund's focus on allocating to European companies that stand to benefit from changing geopolitical dynamics was an additive during the period. Defense companies, for example, provided a meaningful performance boost during the period.

* Financials also provided a supplementary tailwind through positive stock selection, compounded by modestly positive allocation effects. The Fund's additional emphasis on investing in undervalued European banks was an additive, as those produced strong positive returns during the period.

* Health Care and Energy also provided performance boosts due to positive stock selection in the former and positive allocation effects stemming from an overweight in the latter.

* From a country standpoint, France and the United Kingdom produced positive performance influences due to strong stock selection in the former and a mix of allocation and selection effects in the latter. Sweden and the Netherlands detracted from performance due to negative stock selection in the former and negative allocation effects in the latter.

* The Fund's dynamic currency hedge produced mixed results over the period coinciding with the change in Fund methodology was due to varying changes in the basket of European currency exposures.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI Europe Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i1b4a060f8263be19479aab51.jpg)

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **WisdomTree European Opportunities Fund $30,553** | **MSCI Europe Index $22,586** | **MSCI EMU Local Currency/MSCI Europe (Local) Spliced Index $23,363<sup>Footnote Reference1</sup>** | **MSCI EMU Small Cap Local Currency/MSCI Europe Value Spliced Index $24,313<sup>Footnote Reference2</sup>** | **WisdomTree Europe Hedged SmallCap Equity/WisdomTree European Opportunities Equity Spliced Index $31,054<sup>Footnote Reference3</sup>** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10142 | $10244 | $10120 | $10110 | $10137 |
| **05/31/16** | $10452 | $10184 | $10337 | $10430 | $10440 |
| **06/30/16** | $9683 | $9731 | $9715 | $9655 | $9659 |
| **07/31/16** | $10331 | $10138 | $10212 | $10240 | $10322 |
| **08/31/16** | $10331 | $10168 | $10349 | $10353 | $10334 |
| **09/30/16** | $10403 | $10257 | $10352 | $10478 | $10402 |
| **10/31/16** | $10514 | $9923 | $10486 | $10397 | $10537 |
| **11/30/16** | $10344 | $9707 | $10450 | $10229 | $10381 |
| **12/31/16** | $11143 | $10216 | $11175 | $10878 | $11195 |
| **01/31/17** | $11246 | $10428 | $11067 | $11004 | $11301 |
| **02/28/17** | $11517 | $10553 | $11357 | $11303 | $11597 |
| **03/31/17** | $12162 | $10976 | $11971 | $11859 | $12248 |
| **04/30/17** | $12660 | $11364 | $12247 | $12336 | $12748 |
| **05/31/17** | $12996 | $11915 | $12442 | $12688 | $13072 |
| **06/30/17** | $12749 | $11785 | $12128 | $12409 | $12837 |
| **07/31/17** | $12923 | $12137 | $12172 | $12603 | $13025 |
| **08/31/17** | $12858 | $12144 | $12117 | $12647 | $12942 |
| **09/30/17** | $13411 | $12544 | $12654 | $13264 | $13493 |
| **10/31/17** | $13608 | $12603 | $12959 | $13469 | $13677 |
| **11/30/17** | $13547 | $12631 | $12698 | $13307 | $13607 |
| **12/31/17** | $13629 | $12822 | $12587 | $13520 | $13718 |
| **01/31/18** | $14018 | $13515 | $12991 | $13988 | $14100 |
| **02/28/18** | $13717 | $12720 | $12498 | $13592 | $13812 |
| **03/31/18** | $13363 | $12567 | $12236 | $13312 | $13414 |
| **04/30/18** | $13878 | $12915 | $12831 | $13772 | $13942 |
| **05/31/18** | $13629 | $12491 | $12643 | $13651 | $13660 |
| **06/30/18** | $13453 | $12407 | $12532 | $13437 | $13479 |
| **07/31/18** | $13730 | $12820 | $12966 | $13683 | $13781 |
| **08/31/18** | $13516 | $12462 | $12621 | $13576 | $13550 |
| **09/30/18** | $13525 | $12506 | $12586 | $13316 | $13545 |
| **10/31/18** | $12585 | $11552 | $11771 | $12256 | $12587 |
| **11/30/18** | $12505 | $11444 | $11670 | $11972 | $12518 |
| **12/31/18** | $11801 | $10916 | $10982 | $11163 | $11807 |
| **01/31/19** | $12803 | $11635 | $11673 | $12098 | $12810 |
| **02/28/19** | $13226 | $12026 | $12132 | $12478 | $13237 |
| **03/31/19** | $13436 | $12099 | $12290 | $12677 | $13450 |
| **04/30/19** | $14028 | $12532 | $12922 | $13305 | $14038 |
| **05/31/19** | $13119 | $11845 | $12160 | $12452 | $13101 |
| **06/30/19** | $13796 | $12641 | $12784 | $13033 | $13789 |
| **07/31/19** | $13632 | $12396 | $12799 | $13091 | $13627 |
| **08/31/19** | $13436 | $12084 | $12640 | $12869 | $13435 |
| **09/30/19** | $13943 | $12413 | $13109 | $13176 | $13950 |
| **10/31/19** | $14374 | $12811 | $13270 | $13498 | $14394 |
| **11/30/19** | $14897 | $13003 | $13621 | $13997 | $14928 |
| **12/31/19** | $15159 | $13511 | $13777 | $14310 | $15180 |
| **01/31/20** | $14846 | $13171 | $13537 | $14067 | $14874 |
| **02/29/20** | $13760 | $11949 | $12463 | $13094 | $13787 |
| **03/31/20** | $10799 | $10223 | $10318 | $10369 | $10818 |
| **04/30/20** | $11873 | $10830 | $10988 | $11416 | $11910 |
| **05/31/20** | $12320 | $11323 | $11509 | $12054 | $12356 |
| **06/30/20** | $12500 | $11783 | $12072 | $12408 | $12529 |
| **07/31/20** | $12514 | $12236 | $11904 | $12456 | $12560 |
| **08/31/20** | $13069 | $12740 | $12322 | $13024 | $13122 |
| **09/30/20** | $13003 | $12315 | $12097 | $13014 | $13053 |
| **10/31/20** | $12281 | $11621 | $11421 | $12172 | $12332 |
| **11/30/20** | $14343 | $13598 | $13375 | $14392 | $14438 |
| **12/31/20** | $14804 | $14238 | $13639 | $15095 | $14906 |
| **01/31/21** | $14948 | $14032 | $13458 | $15326 | $15067 |
| **02/28/21** | $15340 | $14375 | $13941 | $15914 | $15460 |
| **03/31/21** | $16252 | $14819 | $14860 | $16753 | $16377 |
| **04/30/21** | $16611 | $15492 | $15181 | $17293 | $16740 |
| **05/31/21** | $17090 | $16138 | $15558 | $17751 | $17149 |
| **06/30/21** | $17009 | $15918 | $15721 | $17629 | $17117 |
| **07/31/21** | $17559 | $16213 | $15928 | $18042 | $17677 |
| **08/31/21** | $17988 | $16458 | $16319 | $18674 | $18112 |
| **09/30/21** | $17349 | $15671 | $15769 | $18063 | $17480 |
| **10/31/21** | $17910 | $16377 | $16415 | $18587 | $18056 |
| **11/30/21** | $17432 | $15533 | $15875 | $17891 | $17589 |
| **12/31/21** | $18157 | $16558 | $16658 | $18606 | $18329 |
| **01/31/22** | $17799 | $15801 | $16078 | $17881 | $17975 |
| **02/28/22** | $17069 | $15354 | $15236 | $17325 | $17219 |
| **03/31/22** | $17037 | $15338 | $15129 | $17403 | $17181 |
| **04/30/22** | $17071 | $14456 | $14834 | $17269 | $17208 |
| **05/31/22** | $17228 | $14564 | $14919 | $17300 | $17332 |
| **06/30/22** | $15522 | $13116 | $13544 | $15124 | $15605 |
| **07/31/22** | $16160 | $13765 | $14533 | $15915 | $16253 |
| **08/31/22** | $15452 | $12907 | $13801 | $15125 | $15546 |
| **09/30/22** | $14255 | $11785 | $12929 | $13689 | $14336 |
| **10/31/22** | $15365 | $12630 | $13953 | $14789 | $15466 |
| **11/30/22** | $16341 | $14063 | $15121 | $15670 | $16472 |
| **12/31/22** | $16127 | $14065 | $14578 | $15419 | $16257 |
| **01/31/23** | $17454 | $15285 | $15982 | $16887 | $17609 |
| **02/28/23** | $18074 | $15190 | $16244 | $17378 | $18237 |
| **03/31/23** | $17474 | $15550 | $16360 | $16687 | $17611 |
| **04/30/23** | $17794 | $16196 | $16603 | $16799 | $17937 |
| **05/31/23** | $17267 | $15246 | $16191 | $16324 | $17377 |
| **06/30/23** | $17794 | $15976 | $16809 | $16762 | $17913 |
| **07/31/23** | $18325 | $16466 | $17132 | $17259 | $18457 |
| **08/31/23** | $18155 | $15813 | $16603 | $16897 | $18291 |
| **09/30/23** | $17627 | $15184 | $16069 | $16227 | $17751 |
| **10/31/23** | $17109 | $14617 | $15545 | $15462 | $17240 |
| **11/30/23** | $18556 | $16060 | $16778 | $16752 | $18724 |
| **12/31/23** | $19244 | $16862 | $17319 | $17582 | $19435 |
| **01/31/24** | $19410 | $16842 | $17693 | $17428 | $19606 |
| **02/29/24** | $19507 | $17105 | $18279 | $17422 | $19712 |
| **03/31/24** | $20577 | $17744 | $19092 | $18227 | $20784 |
| **04/30/24** | $20706 | $17408 | $18725 | $18175 | $20916 |
| **05/31/24** | $21683 | $18251 | $19236 | $18963 | $21872 |
| **06/30/24** | $20668 | $17841 | $18758 | $17839 | $20838 |
| **07/31/24** | $21197 | $18224 | $18838 | $18239 | $21375 |
| **08/31/24** | $21296 | $18943 | $19144 | $18132 | $21483 |
| **09/30/24** | $21592 | $19016 | $19339 | $18159 | $21790 |
| **10/31/24** | $21011 | $17895 | $18693 | $17563 | $21212 |
| **11/30/24** | $21094 | $17594 | $18699 | $17542 | $21304 |
| **12/31/24** | $21311 | $17164 | $18955 | $17660 | $21507 |
| **01/31/25** | $22455 | $18346 | $20333 | $18454 | $22680 |
| **02/28/25** | $23365 | $19020 | $21035 | $18991 | $23608 |
| **03/31/25** | $23417 | $18962 | $20388 | $18835 | $23592 |
| **04/30/25** | $24126 | $19792 | $20426 | $19263 | $24313 |
| **05/31/25** | $25796 | $20694 | $21562 | $20667 | $25956 |
| **06/30/25** | $26496 | $21120 | $21409 | $21109 | $26745 |
| **07/31/25** | $26805 | $20744 | $21586 | $21102 | $27081 |
| **08/31/25** | $27075 | $21458 | $21860 | $22020 | $27366 |
| **09/30/25** | $27948 | $21884 | $22241 | $22237 | $28305 |
| **10/31/25** | $28327 | $22046 | $22798 | $22447 | $28712 |
| **11/30/25** | $28598 | $22369 | $23012 | $23219 | $28998 |
| **12/31/25** | $29564 | $23241 | $23597 | $24296 | $30004 |
| **01/31/26** | $31115 | $24275 | $24202 | $25390 | $31601 |
| **02/28/26** | $32325 | $25069 | $25233 | $26457 | $32850 |
| **03/31/26** | $30553 | $22586 | $23363 | $24313 | $31054 |

---

---

| | |
|:---|:---|
| Footnote | Description |
| &nbsp;&nbsp;Footnote<sup>1</sup> | &nbsp;&nbsp;MSCI EMU Local Currency Index through June 1, 2025; MSCI Europe Local Currency Index thereafter. |
| &nbsp;&nbsp;Footnote<sup>2</sup> | &nbsp;&nbsp;MSCI EMU Small Cap Local Currency Index through June 1, 2025; MSCI Europe Value Index thereafter. |
| &nbsp;&nbsp;Footnote<sup>3</sup> | &nbsp;&nbsp;WisdomTree Europe Hedged SmallCap Equity Index though June 1, 2025; WisdomTree European Opportunities Index thereafter. |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 30.47% | 13.46% | 11.82% |
| MSCI Europe Index | 19.11% | 8.79% | 8.49% |
| MSCI EMU Local Currency/MSCI Europe (Local) Spliced Index | 14.59% | 9.47% | 8.86% |
| MSCI EMU Small Cap Local Currency/MSCI Europe Value Spliced Index | 29.08% | 7.73% | 9.29% |
| WisdomTree Europe Hedged SmallCap Equity/WisdomTree European Opportunities Equity Spliced Index | 31.63% | 13.65% | 12.00% |

---

## Key Fund Statistics
* Total Net Assets$269,846,764

* # of Portfolio Holdings89

* Portfolio Turnover Rate130%

* Investment Advisory Fees Paid, Net$944,398

Effective June 2, 2025, the Fund's broad-based securities market index and comparative indices changed from MSCI EMU Local Currency and MSCI EMU Small Cap Local Currency to MSCI Europe Local Currency and MSCI Europe Value Index, because WisdomTree Asset Management, Inc. believes these are more appropriate indexes for the Fund.

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Glencore PLC | 2.7% |
| Eni SpA | 2.5% |
| ORLEN SA | 2.4% |
| ArcelorMittal SA | 2.1% |
| TotalEnergies SE | 2.0% |
| Nokia OYJ | 1.9% |
| AP Moller - Maersk AS, Class B | 1.8% |
| ABB Ltd., Registered Shares | 1.8% |
| Shell PLC | 1.7% |
| Tryg AS | 1.7% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 25.4% |
| Financials | 22.7% |
| Materials | 12.0% |
| Energy | 9.8% |
| Utilities | 8.2% |
| Health Care | 5.2% |
| Information Technology | 4.9% |
| Consumer Staples | 4.9% |
| Consumer Discretionary | 3.0% |
| Other Sectors | 3.0% |
| Other Assets and Liabilities, Net | 0.9% |
| Total | 100.0% |

---

## Material Fund Changes
On June 2, 2025, WisdomTree Europe Hedged SmallCap Equity Fund (Ticker: EUSC) changed its name, ticker, and non-fundamental investment policy adopted under Rule 35d-1 of the Investment Company Act of 1940 (the "1940 Act"). As of that date, the Fund's name changed to WisdomTree European Opportunities Fund and its ticker changed to OPPE. The Fund seeks to track the price and yield performance, before fees and expenses, of its underlying index. The Fund invests, under normal circumstances, at least 80% of its net assets, plus any borrowings for investment purposes, in constituents of the Index and/or investments that have economic characteristics that are substantially similar to the economic characteristics of such constituents.

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree European Opportunities Fund
Annual Shareholder Report - March 31, 2026

# Ticker: OPPE
OPPE - 032026

# WisdomTree International AI Enhanced Value Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: AIVI

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International AI Enhanced Value Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International AI Enhanced Value Fund | $68 | 0.60% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 27.77% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI EAFE Value Index, which returned 30.05% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited significantly from its exposures to Health Care, driven by strong stock selection effects.

* Consumer Staples and Consumer Discretionary also positively impacted performance due to positive stock selection effects.

* Materials was the largest sector detractor due to negative stock selection effects.

* Information Technology also challenged performance due to negative stock selection.

* The Fund benefited significantly from its exposures to Germany, the United Kingdom and France due to stock selection.

* Netherlands, Italy and Spain all detracted from performance due to poor stock selection effects.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i09519a9e3f923d3d4c3e5aac.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree International AI Enhanced Value Fund $21,650** | **MSCI EAFE Index $22,359** | **MSCI EAFE Value Index $24,433** |
| **03/31/16** | $10000 | $10000 | $10000 |
| **04/30/16** | $10302 | $10290 | $10394 |
| **05/31/16** | $10036 | $10196 | $10229 |
| **06/30/16** | $9971 | $9854 | $9721 |
| **07/31/16** | $10298 | $10353 | $10232 |
| **08/31/16** | $10221 | $10361 | $10398 |
| **09/30/16** | $10368 | $10488 | $10498 |
| **10/31/16** | $10055 | $10273 | $10523 |
| **11/30/16** | $9700 | $10069 | $10458 |
| **12/31/16** | $10147 | $10413 | $10937 |
| **01/31/17** | $10352 | $10715 | $11206 |
| **02/28/17** | $10476 | $10868 | $11282 |
| **03/31/17** | $10756 | $11167 | $11598 |
| **04/30/17** | $10778 | $11452 | $11841 |
| **05/31/17** | $11341 | $11872 | $12116 |
| **06/30/17** | $11200 | $11851 | $12152 |
| **07/31/17** | $11526 | $12193 | $12559 |
| **08/31/17** | $11575 | $12188 | $12480 |
| **09/30/17** | $11832 | $12491 | $12865 |
| **10/31/17** | $11929 | $12681 | $12965 |
| **11/30/17** | $12048 | $12814 | $13081 |
| **12/31/17** | $12179 | $13020 | $13282 |
| **01/31/18** | $12767 | $13673 | $13999 |
| **02/28/18** | $12154 | $13056 | $13333 |
| **03/31/18** | $12123 | $12820 | $13012 |
| **04/30/18** | $12517 | $13113 | $13413 |
| **05/31/18** | $12056 | $12818 | $12832 |
| **06/30/18** | $12010 | $12662 | $12669 |
| **07/31/18** | $12405 | $12973 | $13033 |
| **08/31/18** | $12025 | $12723 | $12559 |
| **09/30/18** | $12170 | $12833 | $12818 |
| **10/31/18** | $11480 | $11812 | $11967 |
| **11/30/18** | $11449 | $11797 | $11901 |
| **12/31/18** | $11040 | $11224 | $11319 |
| **01/31/19** | $11737 | $11962 | $12076 |
| **02/28/19** | $11889 | $12267 | $12277 |
| **03/31/19** | $12077 | $12344 | $12215 |
| **04/30/19** | $12148 | $12691 | $12499 |
| **05/31/19** | $11600 | $12082 | $11776 |
| **06/30/19** | $12259 | $12799 | $12403 |
| **07/31/19** | $12101 | $12636 | $12124 |
| **08/31/19** | $11815 | $12309 | $11626 |
| **09/30/19** | $12149 | $12661 | $12187 |
| **10/31/19** | $12583 | $13116 | $12627 |
| **11/30/19** | $12604 | $13264 | $12677 |
| **12/31/19** | $12993 | $13695 | $13140 |
| **01/31/20** | $12661 | $13409 | $12665 |
| **02/29/20** | $11367 | $12197 | $11466 |
| **03/31/20** | $9690 | $10569 | $9435 |
| **04/30/20** | $10342 | $11252 | $9940 |
| **05/31/20** | $10605 | $11742 | $10242 |
| **06/30/20** | $10965 | $12142 | $10607 |
| **07/31/20** | $11092 | $12425 | $10628 |
| **08/31/20** | $11554 | $13063 | $11250 |
| **09/30/20** | $11249 | $12724 | $10733 |
| **10/31/20** | $10697 | $12216 | $10301 |
| **11/30/20** | $12265 | $14110 | $12252 |
| **12/31/20** | $12842 | $14766 | $12795 |
| **01/31/21** | $12936 | $14608 | $12695 |
| **02/28/21** | $13151 | $14936 | $13300 |
| **03/31/21** | $13553 | $15279 | $13747 |
| **04/30/21** | $13799 | $15739 | $14010 |
| **05/31/21** | $14176 | $16252 | $14495 |
| **06/30/21** | $13964 | $16070 | $14161 |
| **07/31/21** | $14028 | $16191 | $14126 |
| **08/31/21** | $13983 | $16476 | $14286 |
| **09/30/21** | $13594 | $15998 | $14024 |
| **10/31/21** | $13653 | $16391 | $14248 |
| **11/30/21** | $13253 | $15629 | $13391 |
| **12/31/21** | $14046 | $16429 | $14188 |
| **01/31/22** | $13986 | $15635 | $14336 |
| **02/28/22** | $13616 | $15358 | $14141 |
| **03/31/22** | $13594 | $15457 | $14235 |
| **04/30/22** | $13088 | $14457 | $13515 |
| **05/31/22** | $13349 | $14566 | $13848 |
| **06/30/22** | $12157 | $13214 | $12469 |
| **07/31/22** | $12486 | $13873 | $12729 |
| **08/31/22** | $11890 | $13214 | $12299 |
| **09/30/22** | $10657 | $11978 | $11197 |
| **10/31/22** | $11173 | $12622 | $11919 |
| **11/30/22** | $12525 | $14043 | $13229 |
| **12/31/22** | $12636 | $14055 | $13396 |
| **01/31/23** | $13606 | $15193 | $14430 |
| **02/28/23** | $13550 | $14876 | $14228 |
| **03/31/23** | $13703 | $15244 | $14191 |
| **04/30/23** | $14291 | $15675 | $14648 |
| **05/31/23** | $13512 | $15011 | $13859 |
| **06/30/23** | $14053 | $15695 | $14639 |
| **07/31/23** | $14580 | $16202 | $15304 |
| **08/31/23** | $14046 | $15582 | $14850 |
| **09/30/23** | $13767 | $15049 | $14724 |
| **10/31/23** | $13239 | $14439 | $14077 |
| **11/30/23** | $14256 | $15779 | $15192 |
| **12/31/23** | $14930 | $16618 | $15935 |
| **01/31/24** | $14878 | $16713 | $15924 |
| **02/29/24** | $14749 | $17019 | $15953 |
| **03/31/24** | $15163 | $17579 | $16649 |
| **04/30/24** | $14860 | $17129 | $16478 |
| **05/31/24** | $15392 | $17792 | $17128 |
| **06/30/24** | $14963 | $17505 | $16651 |
| **07/31/24** | $15837 | $18019 | $17431 |
| **08/31/24** | $16380 | $18605 | $17877 |
| **09/30/24** | $16742 | $18776 | $18131 |
| **10/31/24** | $15820 | $17755 | $17280 |
| **11/30/24** | $15679 | $17655 | $17147 |
| **12/31/24** | $15244 | $17253 | $16840 |
| **01/31/25** | $15962 | $18160 | $17699 |
| **02/28/25** | $16371 | $18512 | $18359 |
| **03/31/25** | $16945 | $18437 | $18787 |
| **04/30/25** | $17881 | $19282 | $19549 |
| **05/31/25** | $18585 | $20164 | $20334 |
| **06/30/25** | $18963 | $20608 | $20687 |
| **07/31/25** | $18932 | $20319 | $20740 |
| **08/31/25** | $19803 | $21185 | $21928 |
| **09/30/25** | $19789 | $21591 | $22216 |
| **10/31/25** | $19717 | $21845 | $22385 |
| **11/30/25** | $20371 | $21980 | $22994 |
| **12/31/25** | $21042 | $22640 | $23955 |
| **01/31/26** | $22209 | $23821 | $25320 |
| **02/28/26** | $23669 | $24923 | $26821 |
| **03/31/26** | $21650 | $22359 | $24433 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 27.77% | 9.82% | 8.03% |
| MSCI EAFE Index | 21.27% | 7.91% | 8.38% |
| MSCI EAFE Value Index | 30.05% | 12.19% | 9.34% |

---

## Key Fund Statistics
* Total Net Assets$58,666,155

* # of Portfolio Holdings123

* Portfolio Turnover Rate99%

* Investment Advisory Fees Paid, Net$324,898

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| TotalEnergies SE | 3.8% |
| Oversea-Chinese Banking Corp. Ltd. | 3.6% |
| United Overseas Bank Ltd. | 2.9% |
| National Australia Bank Ltd. | 2.6% |
| Swedbank AB, Class A | 2.6% |
| Shell PLC | 2.5% |
| DNB Bank ASA | 2.4% |
| British American Tobacco PLC | 2.2% |
| Vinci SA | 2.0% |
| BASF SE | 1.9% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Financials | 41.2% |
| Industrials | 14.0% |
| Consumer Staples | 8.0% |
| Materials | 7.4% |
| Energy | 6.4% |
| Consumer Discretionary | 5.7% |
| Health Care | 4.6% |
| Utilities | 3.2% |
| Real Estate | 3.2% |
| Other Sectors | 4.6% |
| Other Assets and Liabilities, Net | 1.7% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International AI Enhanced Value Fund
Annual Shareholder Report - March 31, 2026

# Ticker: AIVI
AIVI - 032026

# WisdomTree International Equity Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DWM

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International Equity Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International Equity Fund | $55 | 0.49% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 22.47% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI EAFE Value Index, which returned 30.05% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The only sector to positively impact Fund performance was Consumer Staples, due to a mix of positive stock selection and allocation effects.

* All sectors, excluding Consumer Staples, produced negative performance impacts, with most attributable to poor stock selection. Consumer Discretionary had the worst impact due to a mix of negative stock selection and allocation effects. Industrials and Health Care were the next two greatest detractors, whose negative stock selection impacts were somewhat softened by positive allocation effects.

* At the country level, underweights to the Netherlands and Switzerland were additive during a period when both of their equity markets underperformed the headline EAFE Value universe.

* Japan, France, the United Kingdom, and Australia were the four largest performance detractors primarily due to negative stock selection, compounded by slightly negative allocation effects.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i4d675cc559c903ffff91f86c.jpg)

---

| | | | | |
|:---|:---|:---|:---|:---|
| | **WisdomTree International Equity Fund $21,399** | **MSCI EAFE Index $22,359** | **MSCI EAFE Value Index $24,433** | **WisdomTree International Equity Index $21,893** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10281 | $10290 | $10394 | $10287 |
| **05/31/16** | $10174 | $10196 | $10229 | $10179 |
| **06/30/16** | $9855 | $9854 | $9721 | $9840 |
| **07/31/16** | $10316 | $10353 | $10232 | $10303 |
| **08/31/16** | $10345 | $10361 | $10398 | $10342 |
| **09/30/16** | $10459 | $10488 | $10498 | $10464 |
| **10/31/16** | $10279 | $10273 | $10523 | $10297 |
| **11/30/16** | $10089 | $10069 | $10458 | $10112 |
| **12/31/16** | $10475 | $10413 | $10937 | $10508 |
| **01/31/17** | $10739 | $10715 | $11206 | $10773 |
| **02/28/17** | $10861 | $10868 | $11282 | $10900 |
| **03/31/17** | $11175 | $11167 | $11598 | $11215 |
| **04/30/17** | $11434 | $11452 | $11841 | $11472 |
| **05/31/17** | $11860 | $11872 | $12116 | $11901 |
| **06/30/17** | $11810 | $11851 | $12152 | $11860 |
| **07/31/17** | $12188 | $12193 | $12559 | $12249 |
| **08/31/17** | $12183 | $12188 | $12480 | $12254 |
| **09/30/17** | $12497 | $12491 | $12865 | $12569 |
| **10/31/17** | $12633 | $12681 | $12965 | $12704 |
| **11/30/17** | $12748 | $12814 | $13081 | $12824 |
| **12/31/17** | $12932 | $13020 | $13282 | $13018 |
| **01/31/18** | $13545 | $13673 | $13999 | $13654 |
| **02/28/18** | $12881 | $13056 | $13333 | $12997 |
| **03/31/18** | $12679 | $12820 | $13012 | $12803 |
| **04/30/18** | $13053 | $13113 | $13413 | $13141 |
| **05/31/18** | $12663 | $12818 | $12832 | $12743 |
| **06/30/18** | $12516 | $12662 | $12669 | $12603 |
| **07/31/18** | $12857 | $12973 | $13033 | $12947 |
| **08/31/18** | $12540 | $12723 | $12559 | $12619 |
| **09/30/18** | $12695 | $12833 | $12818 | $12772 |
| **10/31/18** | $11766 | $11812 | $11967 | $11836 |
| **11/30/18** | $11744 | $11797 | $11901 | $11843 |
| **12/31/18** | $11180 | $11224 | $11319 | $11275 |
| **01/31/19** | $11900 | $11962 | $12076 | $12002 |
| **02/28/19** | $12166 | $12267 | $12277 | $12279 |
| **03/31/19** | $12202 | $12344 | $12215 | $12313 |
| **04/30/19** | $12469 | $12691 | $12499 | $12591 |
| **05/31/19** | $11876 | $12082 | $11776 | $11981 |
| **06/30/19** | $12535 | $12799 | $12403 | $12661 |
| **07/31/19** | $12295 | $12636 | $12124 | $12419 |
| **08/31/19** | $11875 | $12309 | $11626 | $12012 |
| **09/30/19** | $12288 | $12661 | $12187 | $12442 |
| **10/31/19** | $12713 | $13116 | $12627 | $12889 |
| **11/30/19** | $12827 | $13264 | $12677 | $12991 |
| **12/31/19** | $13312 | $13695 | $13140 | $13498 |
| **01/31/20** | $12920 | $13409 | $12665 | $13086 |
| **02/29/20** | $11697 | $12197 | $11466 | $11840 |
| **03/31/20** | $9915 | $10569 | $9435 | $9999 |
| **04/30/20** | $10513 | $11252 | $9940 | $10620 |
| **05/31/20** | $10855 | $11742 | $10242 | $10965 |
| **06/30/20** | $11170 | $12142 | $10607 | $11292 |
| **07/31/20** | $11349 | $12425 | $10628 | $11474 |
| **08/31/20** | $11915 | $13063 | $11250 | $12040 |
| **09/30/20** | $11564 | $12724 | $10733 | $11690 |
| **10/31/20** | $11080 | $12216 | $10301 | $11202 |
| **11/30/20** | $12491 | $14110 | $12252 | $12655 |
| **12/31/20** | $13054 | $14766 | $12795 | $13229 |
| **01/31/21** | $12967 | $14608 | $12695 | $13140 |
| **02/28/21** | $13149 | $14936 | $13300 | $13325 |
| **03/31/21** | $13566 | $15279 | $13747 | $13754 |
| **04/30/21** | $13899 | $15739 | $14010 | $14093 |
| **05/31/21** | $14406 | $16252 | $14495 | $14551 |
| **06/30/21** | $14182 | $16070 | $14161 | $14388 |
| **07/31/21** | $14313 | $16191 | $14126 | $14520 |
| **08/31/21** | $14446 | $16476 | $14286 | $14678 |
| **09/30/21** | $13976 | $15998 | $14024 | $14189 |
| **10/31/21** | $14197 | $16391 | $14248 | $14421 |
| **11/30/21** | $13617 | $15629 | $13391 | $13829 |
| **12/31/21** | $14417 | $16429 | $14188 | $14644 |
| **01/31/22** | $14135 | $15635 | $14336 | $14391 |
| **02/28/22** | $13973 | $15358 | $14141 | $14215 |
| **03/31/22** | $14193 | $15457 | $14235 | $14439 |
| **04/30/22** | $13455 | $14457 | $13515 | $13687 |
| **05/31/22** | $13591 | $14566 | $13848 | $13832 |
| **06/30/22** | $12337 | $13214 | $12469 | $12547 |
| **07/31/22** | $12747 | $13873 | $12729 | $12966 |
| **08/31/22** | $12249 | $13214 | $12299 | $12463 |
| **09/30/22** | $11167 | $11978 | $11197 | $11355 |
| **10/31/22** | $11686 | $12622 | $11919 | $11890 |
| **11/30/22** | $12995 | $14043 | $13229 | $13242 |
| **12/31/22** | $13103 | $14055 | $13396 | $13354 |
| **01/31/23** | $14043 | $15193 | $14430 | $14324 |
| **02/28/23** | $13779 | $14876 | $14228 | $14057 |
| **03/31/23** | $13971 | $15244 | $14191 | $14247 |
| **04/30/23** | $14355 | $15675 | $14648 | $14634 |
| **05/31/23** | $13589 | $15011 | $13859 | $13833 |
| **06/30/23** | $14264 | $15695 | $14639 | $14523 |
| **07/31/23** | $14805 | $16202 | $15304 | $15075 |
| **08/31/23** | $14304 | $15582 | $14850 | $14562 |
| **09/30/23** | $14026 | $15049 | $14724 | $14284 |
| **10/31/23** | $13493 | $14439 | $14077 | $13736 |
| **11/30/23** | $14568 | $15779 | $15192 | $14848 |
| **12/31/23** | $15274 | $16618 | $15935 | $15582 |
| **01/31/24** | $15277 | $16713 | $15924 | $15581 |
| **02/29/24** | $15480 | $17019 | $15953 | $15792 |
| **03/31/24** | $16025 | $17579 | $16649 | $16367 |
| **04/30/24** | $15750 | $17129 | $16478 | $16058 |
| **05/31/24** | $16355 | $17792 | $17128 | $16677 |
| **06/30/24** | $15973 | $17505 | $16651 | $16283 |
| **07/31/24** | $16589 | $18019 | $17431 | $16918 |
| **08/31/24** | $17107 | $18605 | $17877 | $17454 |
| **09/30/24** | $17270 | $18776 | $18131 | $17618 |
| **10/31/24** | $16424 | $17755 | $17280 | $16772 |
| **11/30/24** | $16283 | $17655 | $17147 | $16611 |
| **12/31/24** | $15970 | $17253 | $16840 | $16298 |
| **01/31/25** | $16718 | $18160 | $17699 | $17059 |
| **02/28/25** | $17137 | $18512 | $18359 | $17519 |
| **03/31/25** | $17473 | $18437 | $18787 | $17853 |
| **04/30/25** | $18305 | $19282 | $19549 | $18706 |
| **05/31/25** | $19016 | $20164 | $20334 | $19434 |
| **06/30/25** | $19434 | $20608 | $20687 | $19867 |
| **07/31/25** | $19394 | $20319 | $20740 | $19825 |
| **08/31/25** | $20244 | $21185 | $21928 | $20721 |
| **09/30/25** | $20527 | $21591 | $22216 | $21004 |
| **10/31/25** | $20558 | $21845 | $22385 | $21041 |
| **11/30/25** | $20858 | $21980 | $22994 | $21341 |
| **12/31/25** | $21463 | $22640 | $23955 | $21974 |
| **01/31/26** | $22541 | $23821 | $25320 | $23077 |
| **02/28/26** | $23728 | $24923 | $26821 | $24302 |
| **03/31/26** | $21399 | $22359 | $24433 | $21893 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 22.47% | 9.54% | 7.90% |
| MSCI EAFE Index | 21.27% | 7.91% | 8.38% |
| MSCI EAFE Value Index | 30.05% | 12.19% | 9.34% |
| WisdomTree International Equity Index | 22.63% | 9.74% | 8.15% |

---

## Key Fund Statistics
* Total Net Assets$630,520,459

* # of Portfolio Holdings1,431

* Portfolio Turnover Rate29%

* Investment Advisory Fees Paid, Net$2,887,226

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| HSBC Holdings PLC | 1.6% |
| Novartis AG, Registered Shares | 1.3% |
| Toyota Motor Corp. | 1.3% |
| Shell PLC | 1.2% |
| Nestle SA, Registered Shares | 1.2% |
| Intesa Sanpaolo SpA | 1.1% |
| Roche Holding AG | 1.1% |
| British American Tobacco PLC | 0.9% |
| Equinor ASA | 0.9% |
| Banco Bilbao Vizcaya Argentaria SA | 0.8% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Financials | 20.2% |
| Industrials | 19.9% |
| Consumer Discretionary | 10.6% |
| Health Care | 8.7% |
| Consumer Staples | 8.0% |
| Information Technology | 7.1% |
| Communication Services | 5.9% |
| Utilities | 5.7% |
| Materials | 5.5% |
| Energy | 4.4% |
| Other Sectors | 2.9% |
| Other Assets and Liabilities, Net | 1.1% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International Equity Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DWM
DWM - 032026

# WisdomTree International Hedged Quality Dividend Growth Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: IHDG

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International Hedged Quality Dividend Growth Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International Hedged Quality Dividend Growth Fund | $63 | 0.59% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 12.15% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI EAFE Local Currency Index, which returned 17.38% during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its Information Technology exposure due to a strong mix of stock selection and allocation effects. 

* However, the Fund's poor performance during the period is most attributable to its large underweight to Financials. As an indirect byproduct of its quality dividend growth methodology, the Fund is routinely heavily underweight Financials versus the MSCI EAFE Local Currency Index. When Financials perform strongly, Fund performance usually struggles. During the fiscal year, Financials were among the best-performing sectors in the benchmark, which resulted in negative allocation and stock selection effects.

* Health Care exhibited a similar impact as Financials, but to a lesser extent for both allocation and stock selection impacts.

* Consumer Discretionary and Industrials also lagged due to poor stock selection in the latter and negative allocation effects in the former.

* At the country level, Germany and Singapore aided performance through positive stock selection, while Australia and Denmark weighed negatively on performance due to a mix of poor stock selection and allocation effects.

* The Fund's currency hedge detracted from performance during the period, as virtually the entire Group of 10 (G10) basket of currencies, most of which the Fund has exposure to, strengthened versus the U.S. dollar.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Local Currency Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i7633a4492a54d2788b082ba7.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree International Hedged Quality Dividend Growth Fund $24,770** | **MSCI EAFE Local Currency Index $24,443** | **WisdomTree International Hedged Quality Dividend Growth Index $26,307** |
| **03/31/16** | $10000 | $10000 | $10000 |
| **04/30/16** | $10019 | $10125 | $10018 |
| **05/31/16** | $10307 | $10315 | $10316 |
| **06/30/16** | $10031 | $9926 | $10049 |
| **07/31/16** | $10456 | $10397 | $10480 |
| **08/31/16** | $10338 | $10494 | $10363 |
| **09/30/16** | $10383 | $10525 | $10418 |
| **10/31/16** | $10182 | $10651 | $10217 |
| **11/30/16** | $10174 | $10782 | $10215 |
| **12/31/16** | $10459 | $11270 | $10498 |
| **01/31/17** | $10553 | $11280 | $10598 |
| **02/28/17** | $10985 | $11523 | $11044 |
| **03/31/17** | $11326 | $11800 | $11383 |
| **04/30/17** | $11733 | $11965 | $11800 |
| **05/31/17** | $12060 | $12215 | $12147 |
| **06/30/17** | $11776 | $12120 | $11868 |
| **07/31/17** | $11808 | $12202 | $11930 |
| **08/31/17** | $11972 | $12197 | $12093 |
| **09/30/17** | $12278 | $12527 | $12395 |
| **10/31/17** | $12643 | $12899 | $12766 |
| **11/30/17** | $12567 | $12832 | $12714 |
| **12/31/17** | $12704 | $12986 | $12865 |
| **01/31/18** | $12832 | $13142 | $13003 |
| **02/28/18** | $12427 | $12714 | $12605 |
| **03/31/18** | $12326 | $12431 | $12536 |
| **04/30/18** | $12672 | $12989 | $12872 |
| **05/31/18** | $12888 | $12902 | $13097 |
| **06/30/18** | $12824 | $12861 | $13057 |
| **07/31/18** | $13146 | $13200 | $13387 |
| **08/31/18** | $13078 | $12978 | $13309 |
| **09/30/18** | $12909 | $13165 | $13143 |
| **10/31/18** | $12093 | $12304 | $12318 |
| **11/30/18** | $12020 | $12278 | $12248 |
| **12/31/18** | $11216 | $11559 | $11430 |
| **01/31/19** | $12049 | $12190 | $12289 |
| **02/28/19** | $12571 | $12613 | $12829 |
| **03/31/19** | $12941 | $12783 | $13210 |
| **04/30/19** | $13384 | $13215 | $13664 |
| **05/31/19** | $12728 | $12602 | $12989 |
| **06/30/19** | $13321 | $13140 | $13618 |
| **07/31/19** | $13536 | $13233 | $13846 |
| **08/31/19** | $13386 | $12913 | $13696 |
| **09/30/19** | $13677 | $13371 | $14009 |
| **10/31/19** | $13967 | $13594 | $14312 |
| **11/30/19** | $14478 | $13878 | $14853 |
| **12/31/19** | $14889 | $14064 | $15279 |
| **01/31/20** | $14827 | $13891 | $15228 |
| **02/29/20** | $13702 | $12770 | $14064 |
| **03/31/20** | $12596 | $11175 | $12936 |
| **04/30/20** | $13480 | $11781 | $13846 |
| **05/31/20** | $14196 | $12260 | $14585 |
| **06/30/20** | $14472 | $12583 | $14887 |
| **07/31/20** | $14394 | $12357 | $14816 |
| **08/31/20** | $14857 | $12864 | $15295 |
| **09/30/20** | $15214 | $12737 | $15668 |
| **10/31/20** | $14582 | $12238 | $15011 |
| **11/30/20** | $15895 | $13842 | $16387 |
| **12/31/20** | $16493 | $14183 | $17002 |
| **01/31/21** | $16598 | $14129 | $17132 |
| **02/28/21** | $16737 | $14498 | $17276 |
| **03/31/21** | $17358 | $15260 | $17918 |
| **04/30/21** | $17914 | $15452 | $18510 |
| **05/31/21** | $18294 | $15774 | $18848 |
| **06/30/21** | $18684 | $15991 | $19339 |
| **07/31/21** | $19194 | $16054 | $19892 |
| **08/31/21** | $19410 | $16415 | $20113 |
| **09/30/21** | $18623 | $16202 | $19289 |
| **10/31/21** | $19048 | $16555 | $19740 |
| **11/30/21** | $18846 | $16140 | $19587 |
| **12/31/21** | $19746 | $16835 | $20539 |
| **01/31/22** | $18412 | $16222 | $19178 |
| **02/28/22** | $18192 | $15868 | $18925 |
| **03/31/22** | $18735 | $16207 | $19491 |
| **04/30/22** | $18174 | $15982 | $18904 |
| **05/31/22** | $18047 | $15950 | $18763 |
| **06/30/22** | $16501 | $14938 | $17166 |
| **07/31/22** | $17822 | $15713 | $18543 |
| **08/31/22** | $17091 | $15355 | $17776 |
| **09/30/22** | $16162 | $14401 | $16808 |
| **10/31/22** | $16788 | $15168 | $17475 |
| **11/30/22** | $18040 | $16143 | $18825 |
| **12/31/22** | $17503 | $15657 | $18260 |
| **01/31/23** | $18670 | $16644 | $19486 |
| **02/28/23** | $18582 | $16747 | $19402 |
| **03/31/23** | $19298 | $16830 | $20152 |
| **04/30/23** | $19815 | $17213 | $20686 |
| **05/31/23** | $19278 | $16941 | $20130 |
| **06/30/23** | $19863 | $17551 | $20763 |
| **07/31/23** | $20057 | $17844 | $20978 |
| **08/31/23** | $19803 | $17516 | $20718 |
| **09/30/23** | $19316 | $17328 | $20207 |
| **10/31/23** | $18778 | $16747 | $19647 |
| **11/30/23** | $20063 | $17683 | $21028 |
| **12/31/23** | $20925 | $18188 | $21958 |
| **01/31/24** | $21409 | $18663 | $22474 |
| **02/29/24** | $22234 | $19228 | $23370 |
| **03/31/24** | $22966 | $19998 | $24150 |
| **04/30/24** | $22404 | $19823 | $23533 |
| **05/31/24** | $22906 | $20311 | $24050 |
| **06/30/24** | $22962 | $20198 | $24124 |
| **07/31/24** | $23027 | $20353 | $24196 |
| **08/31/24** | $23341 | $20444 | $24539 |
| **09/30/24** | $23061 | $20365 | $24248 |
| **10/31/24** | $22337 | $20040 | $23525 |
| **11/30/24** | $22382 | $20156 | $23588 |
| **12/31/24** | $22269 | $20238 | $23498 |
| **01/31/25** | $23609 | $21215 | $24942 |
| **02/28/25** | $23507 | $21416 | $24856 |
| **03/31/25** | $22085 | $20823 | $23331 |
| **04/30/25** | $22141 | $20809 | $23381 |
| **05/31/25** | $23144 | $21779 | $24442 |
| **06/30/25** | $23406 | $21823 | $24730 |
| **07/31/25** | $23302 | $22124 | $24637 |
| **08/31/25** | $23369 | $22589 | $24715 |
| **09/30/25** | $24013 | $22996 | $25404 |
| **10/31/25** | $24560 | $23780 | $26036 |
| **11/30/25** | $24862 | $23911 | $26378 |
| **12/31/25** | $25458 | $24407 | $27024 |
| **01/31/26** | $26162 | $25192 | $27798 |
| **02/28/26** | $27080 | $26566 | $28761 |
| **03/31/26** | $24770 | $24443 | $26307 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 12.15% | 7.37% | 9.49% |
| MSCI EAFE Local Currency Index | 17.38% | 9.88% | 9.35% |
| WisdomTree International Hedged Quality Dividend Growth Index | 12.76% | 7.98% | 10.16% |

---

## Key Fund Statistics
* Total Net Assets$2,142,339,013

* # of Portfolio Holdings272

* Portfolio Turnover Rate63%

* Investment Advisory Fees Paid, Net$13,827,035

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Toyota Motor Corp. | 5.2% |
| BP PLC | 3.9% |
| LVMH Moet Hennessy Louis Vuitton SE | 3.4% |
| Industria de Diseno Textil SA | 3.3% |
| Deutsche Telekom AG, Registered Shares | 3.0% |
| Banco Bilbao Vizcaya Argentaria SA | 2.9% |
| AstraZeneca PLC | 2.9% |
| ING Groep NV | 2.2% |
| GSK PLC | 2.2% |
| L'Oreal SA | 2.1% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 24.5% |
| Consumer Discretionary | 20.9% |
| Financials | 14.9% |
| Health Care | 10.0% |
| Information Technology | 7.4% |
| Communication Services | 6.3% |
| Materials | 4.8% |
| Energy | 4.8% |
| Consumer Staples | 4.5% |
| Utilities | 0.9% |
| Other Sectors | 0.3% |
| Other Assets and Liabilities, Net | 0.7% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International Hedged Quality Dividend Growth Fund
Annual Shareholder Report - March 31, 2026

# Ticker: IHDG
IHDG - 032026

# WisdomTree International High Dividend Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DTH

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International High Dividend Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International High Dividend Fund | $68 | 0.59% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 31.95% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI EAFE Value Index, which returned 30.05% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its exposures to Health Care and Consumer Staples due to strong stock selection in the latter and an approximately equal blend of positive allocation effects and stock selection effects in the former.

* Energy and Information Technology both provided positive performance influences as well, both due to positive stock selection effects.

* Industrials and Real Estate detracted from performance, both primarily due to negative stock selection.

* Exposure to Norway and Switzerland was additive for performance due to positive allocations effects in each. Netherlands was also additive due to positive stock selection.

* Japan and Australia produced negative performance influences due to poor allocation effects in Japan and negative stock selection in Australia.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i988b9b726006f2df803ed111.jpg)

---

| | | | | |
|:---|:---|:---|:---|:---|
| | **WisdomTree International High Dividend Fund $22,573** | **MSCI EAFE Index $22,359** | **MSCI EAFE Value Index $24,433** | **WisdomTree International High Dividend Index $23,245** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10311 | $10290 | $10394 | $10307 |
| **05/31/16** | $10162 | $10196 | $10229 | $10160 |
| **06/30/16** | $9858 | $9854 | $9721 | $9853 |
| **07/31/16** | $10263 | $10353 | $10232 | $10261 |
| **08/31/16** | $10304 | $10361 | $10398 | $10309 |
| **09/30/16** | $10413 | $10488 | $10498 | $10433 |
| **10/31/16** | $10271 | $10273 | $10523 | $10292 |
| **11/30/16** | $10118 | $10069 | $10458 | $10146 |
| **12/31/16** | $10580 | $10413 | $10937 | $10617 |
| **01/31/17** | $10784 | $10715 | $11206 | $10824 |
| **02/28/17** | $10867 | $10868 | $11282 | $10912 |
| **03/31/17** | $11209 | $11167 | $11598 | $11252 |
| **04/30/17** | $11362 | $11452 | $11841 | $11412 |
| **05/31/17** | $11814 | $11872 | $12116 | $11851 |
| **06/30/17** | $11721 | $11851 | $12152 | $11762 |
| **07/31/17** | $12119 | $12193 | $12559 | $12164 |
| **08/31/17** | $12097 | $12188 | $12480 | $12148 |
| **09/30/17** | $12412 | $12491 | $12865 | $12460 |
| **10/31/17** | $12446 | $12681 | $12965 | $12498 |
| **11/30/17** | $12523 | $12814 | $13081 | $12583 |
| **12/31/17** | $12732 | $13020 | $13282 | $12797 |
| **01/31/18** | $13339 | $13673 | $13999 | $13409 |
| **02/28/18** | $12643 | $13056 | $13333 | $12709 |
| **03/31/18** | $12450 | $12820 | $13012 | $12517 |
| **04/30/18** | $12821 | $13113 | $13413 | $12885 |
| **05/31/18** | $12329 | $12818 | $12832 | $12382 |
| **06/30/18** | $12234 | $12662 | $12669 | $12299 |
| **07/31/18** | $12628 | $12973 | $13033 | $12700 |
| **08/31/18** | $12258 | $12723 | $12559 | $12325 |
| **09/30/18** | $12435 | $12833 | $12818 | $12503 |
| **10/31/18** | $11650 | $11812 | $11967 | $11713 |
| **11/30/18** | $11655 | $11797 | $11901 | $11731 |
| **12/31/18** | $11131 | $11224 | $11319 | $11205 |
| **01/31/19** | $11839 | $11962 | $12076 | $11924 |
| **02/28/19** | $12087 | $12267 | $12277 | $12178 |
| **03/31/19** | $12141 | $12344 | $12215 | $12218 |
| **04/30/19** | $12327 | $12691 | $12499 | $12410 |
| **05/31/19** | $11746 | $12082 | $11776 | $11817 |
| **06/30/19** | $12413 | $12799 | $12403 | $12498 |
| **07/31/19** | $12082 | $12636 | $12124 | $12172 |
| **08/31/19** | $11603 | $12309 | $11626 | $11690 |
| **09/30/19** | $12113 | $12661 | $12187 | $12211 |
| **10/31/19** | $12547 | $13116 | $12627 | $12650 |
| **11/30/19** | $12600 | $13264 | $12677 | $12699 |
| **12/31/19** | $13106 | $13695 | $13140 | $13217 |
| **01/31/20** | $12622 | $13409 | $12665 | $12732 |
| **02/29/20** | $11360 | $12197 | $11466 | $11457 |
| **03/31/20** | $9296 | $10569 | $9435 | $9361 |
| **04/30/20** | $9900 | $11252 | $9940 | $9971 |
| **05/31/20** | $10149 | $11742 | $10242 | $10228 |
| **06/30/20** | $10485 | $12142 | $10607 | $10569 |
| **07/31/20** | $10596 | $12425 | $10628 | $10689 |
| **08/31/20** | $11090 | $13063 | $11250 | $11193 |
| **09/30/20** | $10645 | $12724 | $10733 | $10752 |
| **10/31/20** | $10164 | $12216 | $10301 | $10265 |
| **11/30/20** | $11691 | $14110 | $12252 | $11839 |
| **12/31/20** | $12182 | $14766 | $12795 | $12351 |
| **01/31/21** | $12139 | $14608 | $12695 | $12312 |
| **02/28/21** | $12511 | $14936 | $13300 | $12686 |
| **03/31/21** | $12902 | $15279 | $13747 | $13083 |
| **04/30/21** | $13141 | $15739 | $14010 | $13330 |
| **05/31/21** | $13555 | $16252 | $14495 | $13687 |
| **06/30/21** | $13197 | $16070 | $14161 | $13393 |
| **07/31/21** | $13247 | $16191 | $14126 | $13451 |
| **08/31/21** | $13294 | $16476 | $14286 | $13506 |
| **09/30/21** | $12917 | $15998 | $14024 | $13109 |
| **10/31/21** | $13035 | $16391 | $14248 | $13235 |
| **11/30/21** | $12497 | $15629 | $13391 | $12703 |
| **12/31/21** | $13232 | $16429 | $14188 | $13467 |
| **01/31/22** | $13451 | $15635 | $14336 | $13697 |
| **02/28/22** | $13424 | $15358 | $14141 | $13663 |
| **03/31/22** | $13755 | $15457 | $14235 | $13990 |
| **04/30/22** | $13141 | $14457 | $13515 | $13372 |
| **05/31/22** | $13445 | $14566 | $13848 | $13673 |
| **06/30/22** | $12152 | $13214 | $12469 | $12344 |
| **07/31/22** | $12297 | $13873 | $12729 | $12491 |
| **08/31/22** | $11901 | $13214 | $12299 | $12095 |
| **09/30/22** | $10880 | $11978 | $11197 | $11062 |
| **10/31/22** | $11347 | $12622 | $11919 | $11545 |
| **11/30/22** | $12758 | $14043 | $13229 | $13000 |
| **12/31/22** | $12952 | $14055 | $13396 | $13209 |
| **01/31/23** | $13925 | $15193 | $14430 | $14207 |
| **02/28/23** | $13712 | $14876 | $14228 | $13991 |
| **03/31/23** | $13755 | $15244 | $14191 | $14027 |
| **04/30/23** | $14089 | $15675 | $14648 | $14361 |
| **05/31/23** | $13173 | $15011 | $13859 | $13408 |
| **06/30/23** | $13847 | $15695 | $14639 | $14095 |
| **07/31/23** | $14501 | $16202 | $15304 | $14769 |
| **08/31/23** | $13952 | $15582 | $14850 | $14210 |
| **09/30/23** | $13833 | $15049 | $14724 | $14093 |
| **10/31/23** | $13271 | $14439 | $14077 | $13518 |
| **11/30/23** | $14228 | $15779 | $15192 | $14514 |
| **12/31/23** | $14919 | $16618 | $15935 | $15231 |
| **01/31/24** | $14693 | $16713 | $15924 | $15002 |
| **02/29/24** | $14754 | $17019 | $15953 | $15074 |
| **03/31/24** | $15319 | $17579 | $16649 | $15669 |
| **04/30/24** | $15149 | $17129 | $16478 | $15479 |
| **05/31/24** | $15760 | $17792 | $17128 | $16100 |
| **06/30/24** | $15229 | $17505 | $16651 | $15558 |
| **07/31/24** | $15832 | $18019 | $17431 | $16180 |
| **08/31/24** | $16331 | $18605 | $17877 | $16702 |
| **09/30/24** | $16548 | $18776 | $18131 | $16926 |
| **10/31/24** | $15708 | $17755 | $17280 | $16084 |
| **11/30/24** | $15500 | $17655 | $17147 | $15879 |
| **12/31/24** | $15222 | $17253 | $16840 | $15598 |
| **01/31/25** | $15889 | $18160 | $17699 | $16288 |
| **02/28/25** | $16456 | $18512 | $18359 | $16880 |
| **03/31/25** | $17107 | $18437 | $18787 | $17535 |
| **04/30/25** | $17835 | $19282 | $19549 | $18277 |
| **05/31/25** | $18526 | $20164 | $20334 | $18989 |
| **06/30/25** | $19081 | $20608 | $20687 | $19565 |
| **07/31/25** | $19297 | $20319 | $20740 | $19791 |
| **08/31/25** | $20218 | $21185 | $21928 | $20748 |
| **09/30/25** | $20494 | $21591 | $22216 | $21036 |
| **10/31/25** | $20364 | $21845 | $22385 | $20929 |
| **11/30/25** | $21000 | $21980 | $22994 | $21592 |
| **12/31/25** | $21677 | $22640 | $23955 | $22295 |
| **01/31/26** | $22959 | $23821 | $25320 | $23627 |
| **02/28/26** | $24295 | $24923 | $26821 | $25026 |
| **03/31/26** | $22573 | $22359 | $24433 | $23245 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 31.95% | 11.84% | 8.48% |
| MSCI EAFE Index | 21.27% | 7.91% | 8.38% |
| MSCI EAFE Value Index | 30.05% | 12.19% | 9.34% |
| WisdomTree International High Dividend Index | 32.56% | 12.18% | 8.80% |

---

## Key Fund Statistics
* Total Net Assets$627,106,513

* # of Portfolio Holdings565

* Portfolio Turnover Rate28%

* Investment Advisory Fees Paid, Net$2,836,583

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| HSBC Holdings PLC | 2.7% |
| Shell PLC | 2.6% |
| Nestle SA, Registered Shares | 2.3% |
| Equinor ASA | 2.0% |
| Intesa Sanpaolo SpA | 1.9% |
| British American Tobacco PLC | 1.9% |
| BP PLC | 1.7% |
| BHP Group Ltd. | 1.6% |
| AXA SA | 1.5% |
| Rio Tinto PLC | 1.5% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Financials | 23.4% |
| Industrials | 13.9% |
| Utilities | 11.9% |
| Energy | 10.2% |
| Consumer Staples | 8.3% |
| Communication Services | 7.7% |
| Materials | 7.3% |
| Consumer Discretionary | 5.7% |
| Real Estate | 5.3% |
| Health Care | 4.1% |
| Other Sectors | 1.3% |
| Other Assets and Liabilities, Net | 0.9% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International High Dividend Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DTH
DTH - 032026

# WisdomTree International MidCap Dividend Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DIM

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International MidCap Dividend Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International MidCap Dividend Fund | $67 | 0.59% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 27.59% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI EAFE Mid Cap Index, which returned 25.24% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its exposure to Financials, primarily due to strong stock selection and allocation effects.

* Consumer Staples also contributed positively to performance, driven by strong stock selection.

* Energy and Information Technology were also meaningful positive contributors due to positive allocation effects resulting from an overweight in the former and an underweight in the latter.

* The Fund benefited from its exposures to Norway and Ireland, driven by a mix of strong allocation and stock selection effects in Norway and exclusively stock selection in Ireland.

* Spain and Japan were also positive contributors due to positive allocation effects in the former and stock selection in the latter.

* Germany was the only meaningfully negative detractor at the country level. A mix of poor allocation and stock selection effects resulted in the performance headwind.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](ic10518e124b7ac66a934ffdf.jpg)

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **WisdomTree International MidCap Dividend Fund $20,539** | **MSCI EAFE Index $22,359** | **MSCI EAFE Mid Cap Index $20,590** | **MSCI EAFE Mid Cap Value Index $21,435** | **WisdomTree International MidCap Dividend Index $21,358** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10195 | $10290 | $10236 | $10332 | $10189 |
| **05/31/16** | $10097 | $10196 | $10127 | $10055 | $10093 |
| **06/30/16** | $9524 | $9854 | $9677 | $9461 | $9534 |
| **07/31/16** | $10097 | $10353 | $10269 | $10051 | $10110 |
| **08/31/16** | $10150 | $10361 | $10232 | $10166 | $10163 |
| **09/30/16** | $10256 | $10488 | $10403 | $10376 | $10277 |
| **10/31/16** | $10055 | $10273 | $10086 | $10222 | $10078 |
| **11/30/16** | $9887 | $10069 | $9873 | $10116 | $9908 |
| **12/31/16** | $10198 | $10413 | $10145 | $10506 | $10225 |
| **01/31/17** | $10555 | $10715 | $10530 | $10796 | $10588 |
| **02/28/17** | $10755 | $10868 | $10695 | $10981 | $10795 |
| **03/31/17** | $11034 | $11167 | $10933 | $11209 | $11074 |
| **04/30/17** | $11421 | $11452 | $11304 | $11576 | $11466 |
| **05/31/17** | $11817 | $11872 | $11733 | $11905 | $11862 |
| **06/30/17** | $11832 | $11851 | $11726 | $11943 | $11879 |
| **07/31/17** | $12223 | $12193 | $12100 | $12360 | $12276 |
| **08/31/17** | $12223 | $12188 | $12169 | $12406 | $12287 |
| **09/30/17** | $12439 | $12491 | $12442 | $12613 | $12513 |
| **10/31/17** | $12651 | $12681 | $12697 | $12832 | $12738 |
| **11/30/17** | $12819 | $12814 | $12816 | $12920 | $12906 |
| **12/31/17** | $13062 | $13020 | $13091 | $13226 | $13157 |
| **01/31/18** | $13650 | $13673 | $13714 | $13832 | $13765 |
| **02/28/18** | $13119 | $13056 | $13149 | $13270 | $13239 |
| **03/31/18** | $12871 | $12820 | $12908 | $12999 | $13014 |
| **04/30/18** | $13185 | $13113 | $13158 | $13428 | $13300 |
| **05/31/18** | $12903 | $12818 | $13027 | $13094 | $13021 |
| **06/30/18** | $12594 | $12662 | $12792 | $12729 | $12723 |
| **07/31/18** | $12840 | $12973 | $13028 | $12986 | $12983 |
| **08/31/18** | $12613 | $12723 | $12936 | $12804 | $12761 |
| **09/30/18** | $12713 | $12833 | $12922 | $12960 | $12856 |
| **10/31/18** | $11671 | $11812 | $11703 | $12000 | $11816 |
| **11/30/18** | $11623 | $11797 | $11577 | $12048 | $11776 |
| **12/31/18** | $11093 | $11224 | $10970 | $11416 | $11232 |
| **01/31/19** | $11912 | $11962 | $11802 | $12386 | $12065 |
| **02/28/19** | $12128 | $12267 | $12068 | $12563 | $12291 |
| **03/31/19** | $12101 | $12344 | $12105 | $12495 | $12262 |
| **04/30/19** | $12370 | $12691 | $12466 | $12759 | $12534 |
| **05/31/19** | $11703 | $12082 | $11790 | $11951 | $11849 |
| **06/30/19** | $12329 | $12799 | $12464 | $12555 | $12497 |
| **07/31/19** | $12088 | $12636 | $12329 | $12294 | $12258 |
| **08/31/19** | $11657 | $12309 | $12058 | $11892 | $11824 |
| **09/30/19** | $12085 | $12661 | $12395 | $12513 | $12259 |
| **10/31/19** | $12671 | $13116 | $12943 | $13147 | $12858 |
| **11/30/19** | $12819 | $13264 | $13188 | $13176 | $13030 |
| **12/31/19** | $13293 | $13695 | $13592 | $13611 | $13512 |
| **01/31/20** | $12844 | $13409 | $13287 | $13076 | $13051 |
| **02/29/20** | $11584 | $12197 | $12056 | $11802 | $11771 |
| **03/31/20** | $9508 | $10569 | $10129 | $9417 | $9683 |
| **04/30/20** | $10221 | $11252 | $11011 | $10100 | $10426 |
| **05/31/20** | $10702 | $11742 | $11693 | $10431 | $10917 |
| **06/30/20** | $10918 | $12142 | $11967 | $10660 | $11144 |
| **07/31/20** | $11141 | $12425 | $12286 | $10723 | $11381 |
| **08/31/20** | $11831 | $13063 | $13128 | $11595 | $12092 |
| **09/30/20** | $11519 | $12724 | $12896 | $11234 | $11777 |
| **10/31/20** | $11128 | $12216 | $12480 | $10829 | $11386 |
| **11/30/20** | $12675 | $14110 | $14314 | $12799 | $12997 |
| **12/31/20** | $13249 | $14766 | $15029 | $13429 | $13590 |
| **01/31/21** | $13266 | $14608 | $14959 | $13453 | $13618 |
| **02/28/21** | $13496 | $14936 | $15114 | $13966 | $13848 |
| **03/31/21** | $13933 | $15279 | $15454 | $14369 | $14295 |
| **04/30/21** | $14203 | $15739 | $15949 | $14595 | $14572 |
| **05/31/21** | $14585 | $16252 | $16325 | $14915 | $14920 |
| **06/30/21** | $14299 | $16070 | $16141 | $14531 | $14681 |
| **07/31/21** | $14491 | $16191 | $16311 | $14557 | $14885 |
| **08/31/21** | $14706 | $16476 | $16621 | $14826 | $15117 |
| **09/30/21** | $14356 | $15998 | $16029 | $14439 | $14742 |
| **10/31/21** | $14493 | $16391 | $16278 | $14580 | $14891 |
| **11/30/21** | $13786 | $15629 | $15543 | $13774 | $14176 |
| **12/31/21** | $14472 | $16429 | $16185 | $14489 | $14882 |
| **01/31/22** | $13991 | $15635 | $14979 | $14177 | $14381 |
| **02/28/22** | $13832 | $15358 | $14820 | $14127 | $14224 |
| **03/31/22** | $13915 | $15457 | $14801 | $14048 | $14299 |
| **04/30/22** | $13169 | $14457 | $13761 | $13280 | $13523 |
| **05/31/22** | $13326 | $14566 | $13725 | $13401 | $13680 |
| **06/30/22** | $12049 | $13214 | $12367 | $12043 | $12354 |
| **07/31/22** | $12456 | $13873 | $13079 | $12521 | $12786 |
| **08/31/22** | $11977 | $13214 | $12456 | $12070 | $12289 |
| **09/30/22** | $10585 | $11978 | $11084 | $10725 | $10858 |
| **10/31/22** | $11061 | $12622 | $11647 | $11291 | $11352 |
| **11/30/22** | $12228 | $14043 | $12861 | $12447 | $12569 |
| **12/31/22** | $12401 | $14055 | $12895 | $12669 | $12755 |
| **01/31/23** | $13313 | $15193 | $14007 | $13740 | $13698 |
| **02/28/23** | $13090 | $14876 | $13730 | $13547 | $13473 |
| **03/31/23** | $13122 | $15244 | $13878 | $13395 | $13501 |
| **04/30/23** | $13439 | $15675 | $14211 | $13775 | $13828 |
| **05/31/23** | $12775 | $15011 | $13582 | $12967 | $13130 |
| **06/30/23** | $13188 | $15695 | $13964 | $13444 | $13562 |
| **07/31/23** | $13858 | $16202 | $14675 | $14266 | $14255 |
| **08/31/23** | $13440 | $15582 | $14154 | $13844 | $13823 |
| **09/30/23** | $13047 | $15049 | $13599 | $13525 | $13416 |
| **10/31/23** | $12457 | $14439 | $12847 | $12824 | $12809 |
| **11/30/23** | $13530 | $15779 | $14139 | $13917 | $13936 |
| **12/31/23** | $14288 | $16618 | $15043 | $14719 | $14730 |
| **01/31/24** | $14191 | $16713 | $14942 | $14667 | $14634 |
| **02/29/24** | $14278 | $17019 | $15087 | $14557 | $14727 |
| **03/31/24** | $14762 | $17579 | $15586 | $15177 | $15264 |
| **04/30/24** | $14447 | $17129 | $15106 | $14918 | $14902 |
| **05/31/24** | $14985 | $17792 | $15675 | $15568 | $15456 |
| **06/30/24** | $14514 | $17505 | $15221 | $14980 | $14972 |
| **07/31/24** | $15247 | $18019 | $15858 | $15739 | $15743 |
| **08/31/24** | $15714 | $18605 | $16385 | $16159 | $16231 |
| **09/30/24** | $16054 | $18776 | $16745 | $16457 | $16589 |
| **10/31/24** | $15155 | $17755 | $15750 | $15586 | $15672 |
| **11/30/24** | $15172 | $17655 | $15894 | $15634 | $15694 |
| **12/31/24** | $14825 | $17253 | $15499 | $15272 | $15343 |
| **01/31/25** | $15433 | $18160 | $16130 | $15821 | $15987 |
| **02/28/25** | $15771 | $18512 | $16385 | $16235 | $16343 |
| **03/31/25** | $16098 | $18437 | $16441 | $16481 | $16662 |
| **04/30/25** | $17097 | $19282 | $17378 | $17325 | $17704 |
| **05/31/25** | $18011 | $20164 | $18316 | $18233 | $18652 |
| **06/30/25** | $18560 | $20608 | $18887 | $18790 | $19223 |
| **07/31/25** | $18493 | $20319 | $18711 | $18731 | $19163 |
| **08/31/25** | $19266 | $21185 | $19528 | $19695 | $19976 |
| **09/30/25** | $19428 | $21591 | $19761 | $19879 | $20141 |
| **10/31/25** | $19328 | $21845 | $19786 | $19892 | $20051 |
| **11/30/25** | $19803 | $21980 | $19953 | $20442 | $20560 |
| **12/31/25** | $20305 | $22640 | $20378 | $21036 | $21090 |
| **01/31/26** | $21341 | $23821 | $21509 | $22101 | $22184 |
| **02/28/26** | $22592 | $24923 | $22812 | $23474 | $23509 |
| **03/31/26** | $20539 | $22359 | $20590 | $21435 | $21358 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 27.59% | 8.07% | 7.46% |
| MSCI EAFE Index | 21.27% | 7.91% | 8.38% |
| MSCI EAFE Mid Cap Index | 25.24% | 5.91% | 7.49% |
| MSCI EAFE Mid Cap Value Index | 30.06% | 8.33% | 7.92% |
| WisdomTree International MidCap Dividend Index | 28.19% | 8.36% | 7.88% |

---

## Key Fund Statistics
* Total Net Assets$159,092,373

* # of Portfolio Holdings596

* Portfolio Turnover Rate33%

* Investment Advisory Fees Paid, Net$899,877

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| AIB Group PLC | 1.3% |
| WH Group Ltd. | 1.2% |
| Tenaris SA | 0.9% |
| Astellas Pharma, Inc. | 0.8% |
| Koninklijke KPN NV | 0.8% |
| Fortum OYJ | 0.8% |
| Admiral Group PLC | 0.8% |
| Banca Mediolanum SpA | 0.7% |
| Traton SE | 0.7% |
| NN Group NV | 0.7% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Financials | 24.1% |
| Industrials | 20.7% |
| Utilities | 8.3% |
| Consumer Discretionary | 7.9% |
| Real Estate | 7.4% |
| Consumer Staples | 6.7% |
| Materials | 6.2% |
| Communication Services | 5.7% |
| Energy | 5.1% |
| Health Care | 3.7% |
| Other Sectors | 3.2% |
| Other Assets and Liabilities, Net | 1.0% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International MidCap Dividend Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DIM
DIM - 032026

# WisdomTree International Multifactor Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DWMF

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International Multifactor Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International Multifactor Fund | $44 | 0.40% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 18.21% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI EAFE Index, which returned 21.27% in U.S. dollar (USD) terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from exposure to Consumer Discretionary due to allocation effects resulting from an underweight position. Consumer Discretionary was the only sector to decline within the headline index during the period, resulting in a positive allocation influence.

* Communication Services also aided returns through positive stock selection, while Utilities delivered a performance benefit through positive allocation effects resulting from an overweight. Utilities was ultimately the second best-performing sector group within the benchmark during the period.

* Industrials, Information Technology and Financials all detracted from performance due to negative stock selection effects.

* The Fund benefited from its exposures to Denmark, driven by strong stock selection effects.

* France and Hong Kong also contributed positively to performance, supported by positive stock selection effects in the former and favorable allocation effects in the latter.

* Japan and Australia detracted from performance, both due to negative stock selection effects.

* The Fund's currency hedge detracted from performance during the period, as virtually the entire Group of 10 (G10) basket of currencies, most of which the Fund has exposure to, strengthened versus the U.S. dollar.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Local Currency Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance August 10, 2018 (inception) through March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i965fa840695d971d9ed86c4b.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree International Multifactor Fund $17,035** | **MSCI EAFE Local Currency Index $18,781** | **MSCI EAFE Index $17,701** |
| **08/10/18** | $10000 | $10000 | $10000 |
| **08/31/18** | $9996 | $9972 | $10073 |
| **09/30/18** | $10170 | $10115 | $10160 |
| **10/31/18** | $9646 | $9454 | $9351 |
| **11/30/18** | $9691 | $9434 | $9340 |
| **12/31/18** | $9258 | $8882 | $8886 |
| **01/31/19** | $9760 | $9366 | $9470 |
| **02/28/19** | $9993 | $9692 | $9712 |
| **03/31/19** | $10118 | $9822 | $9773 |
| **04/30/19** | $10384 | $10153 | $10048 |
| **05/31/19** | $9958 | $9683 | $9565 |
| **06/30/19** | $10267 | $10096 | $10132 |
| **07/31/19** | $10242 | $10168 | $10004 |
| **08/31/19** | $10026 | $9922 | $9745 |
| **09/30/19** | $10354 | $10273 | $10024 |
| **10/31/19** | $10475 | $10445 | $10384 |
| **11/30/19** | $10600 | $10663 | $10501 |
| **12/31/19** | $10733 | $10806 | $10842 |
| **01/31/20** | $10851 | $10674 | $10616 |
| **02/29/20** | $9943 | $9812 | $9656 |
| **03/31/20** | $8795 | $8586 | $8367 |
| **04/30/20** | $9330 | $9052 | $8908 |
| **05/31/20** | $9641 | $9420 | $9296 |
| **06/30/20** | $9813 | $9668 | $9612 |
| **07/31/20** | $9911 | $9495 | $9836 |
| **08/31/20** | $10241 | $9884 | $10342 |
| **09/30/20** | $10163 | $9786 | $10073 |
| **10/31/20** | $9792 | $9403 | $9671 |
| **11/30/20** | $10470 | $10635 | $11170 |
| **12/31/20** | $10654 | $10897 | $11690 |
| **01/31/21** | $10645 | $10856 | $11565 |
| **02/28/21** | $10474 | $11140 | $11825 |
| **03/31/21** | $10967 | $11725 | $12097 |
| **04/30/21** | $11127 | $11873 | $12460 |
| **05/31/21** | $11420 | $12120 | $12867 |
| **06/30/21** | $11462 | $12287 | $12722 |
| **07/31/21** | $11559 | $12335 | $12818 |
| **08/31/21** | $11787 | $12613 | $13044 |
| **09/30/21** | $11489 | $12449 | $12665 |
| **10/31/21** | $11547 | $12720 | $12977 |
| **11/30/21** | $11339 | $12401 | $12373 |
| **12/31/21** | $11802 | $12935 | $13006 |
| **01/31/22** | $11330 | $12464 | $12378 |
| **02/28/22** | $11170 | $12192 | $12159 |
| **03/31/22** | $11299 | $12453 | $12237 |
| **04/30/22** | $11138 | $12280 | $11446 |
| **05/31/22** | $11192 | $12255 | $11531 |
| **06/30/22** | $10616 | $11477 | $10461 |
| **07/31/22** | $10866 | $12073 | $10983 |
| **08/31/22** | $10630 | $11798 | $10461 |
| **09/30/22** | $9933 | $11065 | $9482 |
| **10/31/22** | $10390 | $11655 | $9992 |
| **11/30/22** | $11035 | $12404 | $11118 |
| **12/31/22** | $10946 | $12030 | $11127 |
| **01/31/23** | $11374 | $12788 | $12028 |
| **02/28/23** | $11360 | $12867 | $11777 |
| **03/31/23** | $11612 | $12932 | $12069 |
| **04/30/23** | $12006 | $13226 | $12409 |
| **05/31/23** | $11463 | $13017 | $11884 |
| **06/30/23** | $11848 | $13486 | $12425 |
| **07/31/23** | $12028 | $13711 | $12827 |
| **08/31/23** | $11810 | $13459 | $12336 |
| **09/30/23** | $11727 | $13314 | $11914 |
| **10/31/23** | $11479 | $12867 | $11431 |
| **11/30/23** | $11889 | $13587 | $12492 |
| **12/31/23** | $12116 | $13974 | $13156 |
| **01/31/24** | $12303 | $14340 | $13232 |
| **02/29/24** | $12279 | $14774 | $13474 |
| **03/31/24** | $12757 | $15366 | $13917 |
| **04/30/24** | $12699 | $15231 | $13561 |
| **05/31/24** | $12998 | $15606 | $14086 |
| **06/30/24** | $12837 | $15519 | $13859 |
| **07/31/24** | $13367 | $15638 | $14265 |
| **08/31/24** | $13842 | $15708 | $14729 |
| **09/30/24** | $13968 | $15647 | $14865 |
| **10/31/24** | $13400 | $15398 | $14057 |
| **11/30/24** | $13499 | $15487 | $13977 |
| **12/31/24** | $13427 | $15550 | $13659 |
| **01/31/25** | $13859 | $16300 | $14377 |
| **02/28/25** | $14217 | $16455 | $14656 |
| **03/31/25** | $14410 | $16000 | $14597 |
| **04/30/25** | $15232 | $15988 | $15265 |
| **05/31/25** | $15729 | $16734 | $15964 |
| **06/30/25** | $15897 | $16768 | $16315 |
| **07/31/25** | $15775 | $16999 | $16086 |
| **08/31/25** | $16155 | $17357 | $16772 |
| **09/30/25** | $16275 | $17669 | $17093 |
| **10/31/25** | $16275 | $18271 | $17294 |
| **11/30/25** | $16575 | $18372 | $17402 |
| **12/31/25** | $16786 | $18753 | $17924 |
| **01/31/26** | $17216 | $19356 | $18859 |
| **02/28/26** | $18372 | $20412 | $19731 |
| **03/31/26** | $17035 | $18781 | $17701 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | Since Inception 8/10/18 |
| Fund NAV Returns | 18.21% | 9.21% | 7.22% |
| MSCI EAFE Local Currency Index | 17.38% | 9.88% | 8.59% |
| MSCI EAFE Index | 21.27% | 7.91% | 7.76% |

---

## Key Fund Statistics
* Total Net Assets$36,523,928

* # of Portfolio Holdings203

* Portfolio Turnover Rate117%

* Investment Advisory Fees Paid, Net$142,701

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Admiral Group PLC | 1.3% |
| LEG Immobilien SE | 1.2% |
| Zurich Insurance Group AG | 1.2% |
| Sea Ltd., ADR | 1.2% |
| Euronext NV | 1.1% |
| Suncorp Group Ltd. | 1.1% |
| Credit Agricole SA | 1.0% |
| Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares | 1.0% |
| DNB Bank ASA | 1.0% |
| Mapfre SA | 1.0% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Financials | 19.5% |
| Industrials | 18.4% |
| Consumer Staples | 11.9% |
| Utilities | 9.1% |
| Communication Services | 9.0% |
| Health Care | 8.4% |
| Real Estate | 6.5% |
| Consumer Discretionary | 6.5% |
| Materials | 4.0% |
| Information Technology | 3.6% |
| Other Sectors | 2.2% |
| Other Assets and Liabilities, Net | 0.9% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International Multifactor Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DWMF
DWMF - 032026

# WisdomTree International Quality Dividend Growth Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: IQDG

# **Principal Listing Exchange: Cboe BZX Exchange, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International Quality Dividend Growth Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International Quality Dividend Growth Fund | $47 | 0.44% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 13.88% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI EAFE Index, which returned 21.27% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its exposure to Information Technology due to a strong mix of stock selection and allocation effects. 

* However, the Fund's poor performance during the period is most attributable to its large underweight to Financials. As an indirect byproduct of its quality dividend growth methodology, the Fund is routinely heavily underweight in Financials versus the MSCI EAFE Index. When Financials perform strongly, Fund performance usually struggles. During the fiscal year, Financials were among the best-performing sectors in the benchmark, which resulted in negative allocation and stock selection effects.

* Health Care exhibited a similar impact as Financials, but to a lesser extent for both allocation and stock selection impacts.

* Consumer Discretionary and Industrials also lagged due to poor stock selection in the latter and negative allocation effects in the former.

* At the country level, Germany and Singapore aided performance through positive stock selection, while Australia and Denmark weighed negatively on performance due to a mix of poor stock selection and allocation effects.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance April 7, 2016 (inception) through March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i760991526fdd7a9a838be8bf.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree International Quality Dividend Growth Fund $19,923** | **MSCI EAFE Index $22,950** | **WisdomTree International Quality Dividend Growth Index $20,582** |
| **04/07/16** | $10000 | $10000 | $10000 |
| **04/30/16** | $10294 | $10562 | $10292 |
| **05/31/16** | $10310 | $10466 | $10311 |
| **06/30/16** | $9988 | $10114 | $10016 |
| **07/31/16** | $10430 | $10627 | $10466 |
| **08/31/16** | $10215 | $10635 | $10254 |
| **09/30/16** | $10330 | $10765 | $10372 |
| **10/31/16** | $9802 | $10545 | $9838 |
| **11/30/16** | $9546 | $10335 | $9587 |
| **12/31/16** | $9726 | $10688 | $9771 |
| **01/31/17** | $10077 | $10998 | $10111 |
| **02/28/17** | $10370 | $11156 | $10418 |
| **03/31/17** | $10712 | $11463 | $10762 |
| **04/30/17** | $11241 | $11754 | $11290 |
| **05/31/17** | $11753 | $12186 | $11814 |
| **06/30/17** | $11578 | $12164 | $11642 |
| **07/31/17** | $11871 | $12515 | $11942 |
| **08/31/17** | $12023 | $12511 | $12095 |
| **09/30/17** | $12300 | $12822 | $12367 |
| **10/31/17** | $12457 | $13017 | $12524 |
| **11/30/17** | $12590 | $13153 | $12655 |
| **12/31/17** | $12780 | $13364 | $12850 |
| **01/31/18** | $13403 | $14034 | $13483 |
| **02/28/18** | $12726 | $13401 | $12806 |
| **03/31/18** | $12651 | $13160 | $12751 |
| **04/30/18** | $12696 | $13460 | $12787 |
| **05/31/18** | $12676 | $13157 | $12766 |
| **06/30/18** | $12488 | $12997 | $12598 |
| **07/31/18** | $12768 | $13317 | $12886 |
| **08/31/18** | $12605 | $13059 | $12718 |
| **09/30/18** | $12396 | $13173 | $12503 |
| **10/31/18** | $11368 | $12124 | $11476 |
| **11/30/18** | $11288 | $12109 | $11402 |
| **12/31/18** | $10602 | $11521 | $10708 |
| **01/31/19** | $11493 | $12278 | $11611 |
| **02/28/19** | $11886 | $12591 | $12011 |
| **03/31/19** | $12114 | $12671 | $12238 |
| **04/30/19** | $12440 | $13027 | $12569 |
| **05/31/19** | $11733 | $12401 | $11851 |
| **06/30/19** | $12452 | $13137 | $12599 |
| **07/31/19** | $12362 | $12970 | $12511 |
| **08/31/19** | $12148 | $12634 | $12298 |
| **09/30/19** | $12328 | $12996 | $12485 |
| **10/31/19** | $12821 | $13463 | $12986 |
| **11/30/19** | $13169 | $13615 | $13342 |
| **12/31/19** | $13773 | $14058 | $13958 |
| **01/31/20** | $13575 | $13764 | $13757 |
| **02/29/20** | $12363 | $12520 | $12527 |
| **03/31/20** | $11215 | $10849 | $11358 |
| **04/30/20** | $12073 | $11550 | $12237 |
| **05/31/20** | $12753 | $12052 | $12934 |
| **06/30/20** | $13090 | $12463 | $13283 |
| **07/31/20** | $13586 | $12753 | $13791 |
| **08/31/20** | $14170 | $13409 | $14379 |
| **09/30/20** | $14252 | $13061 | $14467 |
| **10/31/20** | $13626 | $12539 | $13833 |
| **11/30/20** | $15157 | $14483 | $15406 |
| **12/31/20** | $16065 | $15156 | $16326 |
| **01/31/21** | $16079 | $14995 | $16354 |
| **02/28/21** | $16228 | $15331 | $16476 |
| **03/31/21** | $16398 | $15684 | $16651 |
| **04/30/21** | $17183 | $16156 | $17458 |
| **05/31/21** | $17698 | $16682 | $17996 |
| **06/30/21** | $17667 | $16495 | $18002 |
| **07/31/21** | $18188 | $16619 | $18563 |
| **08/31/21** | $18282 | $16912 | $18656 |
| **09/30/21** | $17229 | $16421 | $17577 |
| **10/31/21** | $17707 | $16825 | $18080 |
| **11/30/21** | $17071 | $16042 | $17503 |
| **12/31/21** | $18054 | $16863 | $18519 |
| **01/31/22** | $16589 | $16048 | $17028 |
| **02/28/22** | $16476 | $15765 | $16874 |
| **03/31/22** | $16802 | $15866 | $17197 |
| **04/30/22** | $15433 | $14840 | $15785 |
| **05/31/22** | $15469 | $14951 | $15805 |
| **06/30/22** | $13664 | $13564 | $13960 |
| **07/31/22** | $14665 | $14239 | $15001 |
| **08/31/22** | $13678 | $13563 | $13989 |
| **09/30/22** | $12452 | $12294 | $12724 |
| **10/31/22** | $12969 | $12955 | $13258 |
| **11/30/22** | $14492 | $14415 | $14832 |
| **12/31/22** | $14417 | $14426 | $14759 |
| **01/31/23** | $15572 | $15595 | $15947 |
| **02/28/23** | $15120 | $15269 | $15490 |
| **03/31/23** | $15987 | $15648 | $16366 |
| **04/30/23** | $16571 | $16089 | $16960 |
| **05/31/23** | $15627 | $15408 | $15996 |
| **06/30/23** | $16350 | $16110 | $16741 |
| **07/31/23** | $16751 | $16631 | $17155 |
| **08/31/23** | $16178 | $15994 | $16581 |
| **09/30/23** | $15361 | $15447 | $15740 |
| **10/31/23** | $14834 | $14821 | $15197 |
| **11/30/23** | $16376 | $16197 | $16809 |
| **12/31/23** | $17423 | $17057 | $17891 |
| **01/31/24** | $17471 | $17156 | $17950 |
| **02/29/24** | $17918 | $17470 | $18431 |
| **03/31/24** | $18341 | $18044 | $18878 |
| **04/30/24** | $17573 | $17582 | $18071 |
| **05/31/24** | $18191 | $18263 | $18715 |
| **06/30/24** | $18030 | $17968 | $18561 |
| **07/31/24** | $18357 | $18495 | $18908 |
| **08/31/24** | $19102 | $19097 | $19678 |
| **09/30/24** | $19076 | $19273 | $19653 |
| **10/31/24** | $17723 | $18225 | $18284 |
| **11/30/24** | $17508 | $18122 | $18062 |
| **12/31/24** | $16954 | $17710 | $17508 |
| **01/31/25** | $18002 | $18640 | $18612 |
| **02/28/25** | $18096 | $19002 | $18703 |
| **03/31/25** | $17494 | $18925 | $18047 |
| **04/30/25** | $18337 | $19792 | $18908 |
| **05/31/25** | $19141 | $20697 | $19737 |
| **06/30/25** | $19727 | $21153 | $20347 |
| **07/31/25** | $19048 | $20857 | $19653 |
| **08/31/25** | $19482 | $21746 | $20111 |
| **09/30/25** | $20013 | $22162 | $20663 |
| **10/31/25** | $20018 | $22423 | $20697 |
| **11/30/25** | $20274 | $22562 | $20968 |
| **12/31/25** | $20931 | $23239 | $21650 |
| **01/31/26** | $21869 | $24451 | $22632 |
| **02/28/26** | $22404 | $25583 | $23171 |
| **03/31/26** | $19923 | $22950 | $20582 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | Since Inception 4/7/16 |
| Fund NAV Returns | 13.88% | 3.97% | 7.15% |
| MSCI EAFE Index | 21.27% | 7.91% | 8.67% |
| WisdomTree International Quality Dividend Growth Index | 14.04% | 4.33% | 7.50% |

---

## Key Fund Statistics
* Total Net Assets$672,909,552

* # of Portfolio Holdings263

* Portfolio Turnover Rate58%

* Investment Advisory Fees Paid, Net$3,129,123

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Toyota Motor Corp. | 5.2% |
| BP PLC | 3.9% |
| LVMH Moet Hennessy Louis Vuitton SE | 3.4% |
| Industria de Diseno Textil SA | 3.3% |
| Deutsche Telekom AG, Registered Shares | 3.0% |
| Banco Bilbao Vizcaya Argentaria SA | 2.9% |
| AstraZeneca PLC | 2.9% |
| GSK PLC | 2.2% |
| ING Groep NV | 2.2% |
| L'Oreal SA | 2.1% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 24.4% |
| Consumer Discretionary | 20.9% |
| Financials | 14.9% |
| Health Care | 9.9% |
| Information Technology | 7.5% |
| Communication Services | 6.3% |
| Materials | 4.9% |
| Energy | 4.7% |
| Consumer Staples | 4.5% |
| Utilities | 0.9% |
| Other Sectors | 0.3% |
| Other Assets and Liabilities, Net | 0.8% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International Quality Dividend Growth Fund
Annual Shareholder Report - March 31, 2026

# Ticker: IQDG
IQDG - 032026

# WisdomTree International SmallCap Dividend Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DLS

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree International SmallCap Dividend Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree International SmallCap Dividend Fund | $67 | 0.59% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 26.86% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI EAFE Small Cap Index, which returned 25.55% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited equally from its exposures to Consumer Staples and Real Estate due to positive stock selection effects in the former and a blend of allocation and selection effects in the latter.

* Financials and Industrials were also additive due to positive stock selection.

* Materials was the most notable detractor, which was exclusively due to negative stock selection. Utilities and Information Technology produced similar effects for similar reasons, albeit to lesser extents.

* From a country standpoint, the Fund benefited from Singapore and Norway exposure due to positive stock selection effects in the former and allocation effects resulting from an overweight in the latter.

* Australia and the United Kingdom both detracted from performance due to negative stock selection impacts.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](idc39dfe493615bffd3bb6a25.jpg)

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **WisdomTree International SmallCap Dividend Fund $19,814** | **MSCI EAFE Index $22,359** | **MSCI EAFE Small Cap Index $20,461** | **MSCI EAFE Small Cap Value Index $21,587** | **WisdomTree International SmallCap Dividend Index $21,067** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10197 | $10290 | $10230 | $10321 | $10192 |
| **05/31/16** | $10239 | $10196 | $10283 | $10268 | $10237 |
| **06/30/16** | $9618 | $9854 | $9740 | $9693 | $9641 |
| **07/31/16** | $10318 | $10353 | $10337 | $10367 | $10364 |
| **08/31/16** | $10335 | $10361 | $10276 | $10400 | $10382 |
| **09/30/16** | $10607 | $10488 | $10582 | $10632 | $10651 |
| **10/31/16** | $10413 | $10273 | $10282 | $10461 | $10455 |
| **11/30/16** | $10241 | $10069 | $9993 | $10256 | $10287 |
| **12/31/16** | $10581 | $10413 | $10279 | $10603 | $10636 |
| **01/31/17** | $10975 | $10715 | $10643 | $10989 | $11028 |
| **02/28/17** | $11234 | $10868 | $10881 | $11226 | $11287 |
| **03/31/17** | $11424 | $11167 | $11099 | $11382 | $11480 |
| **04/30/17** | $11853 | $11452 | $11574 | $11806 | $11906 |
| **05/31/17** | $12206 | $11872 | $12001 | $12132 | $12267 |
| **06/30/17** | $12280 | $11851 | $11998 | $12214 | $12382 |
| **07/31/17** | $12778 | $12193 | $12433 | $12683 | $12865 |
| **08/31/17** | $12819 | $12188 | $12535 | $12733 | $12887 |
| **09/30/17** | $13186 | $12491 | $12893 | $13083 | $13241 |
| **10/31/17** | $13369 | $12681 | $13110 | $13189 | $13411 |
| **11/30/17** | $13460 | $12814 | $13318 | $13406 | $13523 |
| **12/31/17** | $13857 | $13020 | $13673 | $13814 | $13940 |
| **01/31/18** | $14463 | $13673 | $14372 | $14413 | $14525 |
| **02/28/18** | $13907 | $13056 | $13863 | $13848 | $13984 |
| **03/31/18** | $13668 | $12820 | $13706 | $13667 | $13744 |
| **04/30/18** | $13829 | $13113 | $13892 | $13949 | $13900 |
| **05/31/18** | $13677 | $12818 | $13759 | $13567 | $13723 |
| **06/30/18** | $13232 | $12662 | $13492 | $13275 | $13324 |
| **07/31/18** | $13373 | $12973 | $13579 | $13435 | $13462 |
| **08/31/18** | $13158 | $12723 | $13470 | $13243 | $13263 |
| **09/30/18** | $13164 | $12833 | $13373 | $13240 | $13258 |
| **10/31/18** | $12022 | $11812 | $12086 | $12138 | $12093 |
| **11/30/18** | $12011 | $11797 | $12001 | $12021 | $12157 |
| **12/31/18** | $11266 | $11224 | $11227 | $11304 | $11392 |
| **01/31/19** | $12056 | $11962 | $12131 | $12191 | $12190 |
| **02/28/19** | $12316 | $12267 | $12403 | $12388 | $12472 |
| **03/31/19** | $12272 | $12344 | $12423 | $12318 | $12420 |
| **04/30/19** | $12597 | $12691 | $12798 | $12606 | $12762 |
| **05/31/19** | $11983 | $12082 | $12121 | $11911 | $12140 |
| **06/30/19** | $12351 | $12799 | $12635 | $12427 | $12600 |
| **07/31/19** | $12125 | $12636 | $12546 | $12253 | $12379 |
| **08/31/19** | $11688 | $12309 | $12236 | $11999 | $11955 |
| **09/30/19** | $12158 | $12661 | $12580 | $12436 | $12438 |
| **10/31/19** | $12743 | $13116 | $13152 | $13038 | $13070 |
| **11/30/19** | $13055 | $13264 | $13442 | $13259 | $13395 |
| **12/31/19** | $13757 | $13695 | $14029 | $13828 | $14125 |
| **01/31/20** | $13215 | $13409 | $13623 | $13366 | $13565 |
| **02/29/20** | $11778 | $12197 | $12287 | $12030 | $12087 |
| **03/31/20** | $9378 | $10569 | $10168 | $9595 | $9618 |
| **04/30/20** | $10252 | $11252 | $11226 | $10428 | $10559 |
| **05/31/20** | $10790 | $11742 | $12026 | $10882 | $11108 |
| **06/30/20** | $10901 | $12142 | $12190 | $10997 | $11222 |
| **07/31/20** | $11199 | $12425 | $12600 | $11180 | $11530 |
| **08/31/20** | $11957 | $13063 | $13540 | $12023 | $12327 |
| **09/30/20** | $11852 | $12724 | $13440 | $11790 | $12209 |
| **10/31/20** | $11521 | $12216 | $12972 | $11401 | $11881 |
| **11/30/20** | $12774 | $14110 | $14754 | $13222 | $13282 |
| **12/31/20** | $13588 | $14766 | $15761 | $14122 | $14135 |
| **01/31/21** | $13542 | $14608 | $15703 | $14063 | $14094 |
| **02/28/21** | $13928 | $14936 | $16119 | $14676 | $14493 |
| **03/31/21** | $14392 | $15279 | $16471 | $15174 | $14984 |
| **04/30/21** | $14918 | $15739 | $17133 | $15717 | $15544 |
| **05/31/21** | $15287 | $16252 | $17476 | $16154 | $15934 |
| **06/30/21** | $15037 | $16070 | $17187 | $15701 | $15671 |
| **07/31/21** | $15255 | $16191 | $17479 | $15895 | $15899 |
| **08/31/21** | $15660 | $16476 | $17983 | $16294 | $16311 |
| **09/30/21** | $15188 | $15998 | $17340 | $15723 | $15814 |
| **10/31/21** | $15290 | $16391 | $17613 | $15883 | $15941 |
| **11/30/21** | $14370 | $15629 | $16628 | $14955 | $15065 |
| **12/31/21** | $15173 | $16429 | $17353 | $15760 | $15893 |
| **01/31/22** | $14382 | $15635 | $16084 | $15229 | $15079 |
| **02/28/22** | $14278 | $15358 | $15880 | $15120 | $14991 |
| **03/31/22** | $14278 | $15457 | $15873 | $15073 | $14981 |
| **04/30/22** | $13497 | $14457 | $14784 | $14252 | $14162 |
| **05/31/22** | $13412 | $14566 | $14677 | $14236 | $14040 |
| **06/30/22** | $12252 | $13214 | $13065 | $12733 | $12822 |
| **07/31/22** | $12870 | $13873 | $13929 | $13363 | $13472 |
| **08/31/22** | $12400 | $13214 | $13312 | $12856 | $12991 |
| **09/30/22** | $11024 | $11978 | $11781 | $11411 | $11547 |
| **10/31/22** | $11285 | $12622 | $12279 | $11962 | $11838 |
| **11/30/22** | $12344 | $14043 | $13497 | $13136 | $12988 |
| **12/31/22** | $12539 | $14055 | $13641 | $13398 | $13201 |
| **01/31/23** | $13490 | $15193 | $14660 | $14436 | $14204 |
| **02/28/23** | $13322 | $14876 | $14342 | $14204 | $14029 |
| **03/31/23** | $13246 | $15244 | $14312 | $14006 | $13935 |
| **04/30/23** | $13525 | $15675 | $14600 | $14345 | $14229 |
| **05/31/23** | $12788 | $15011 | $13991 | $13647 | $13429 |
| **06/30/23** | $13205 | $15695 | $14395 | $14117 | $13869 |
| **07/31/23** | $13808 | $16202 | $15033 | $14864 | $14511 |
| **08/31/23** | $13387 | $15582 | $14533 | $14407 | $14062 |
| **09/30/23** | $12968 | $15049 | $13890 | $13975 | $13616 |
| **10/31/23** | $12313 | $14439 | $13074 | $13284 | $12931 |
| **11/30/23** | $13404 | $15779 | $14389 | $14446 | $14114 |
| **12/31/23** | $14469 | $16618 | $15437 | $15459 | $15239 |
| **01/31/24** | $14352 | $16713 | $15182 | $15261 | $15125 |
| **02/29/24** | $14379 | $17019 | $15240 | $15158 | $15152 |
| **03/31/24** | $14827 | $17579 | $15807 | $15911 | $15684 |
| **04/30/24** | $14631 | $17129 | $15338 | $15604 | $15414 |
| **05/31/24** | $15136 | $17792 | $16002 | $16207 | $15969 |
| **06/30/24** | $14678 | $17505 | $15516 | $15600 | $15499 |
| **07/31/24** | $15513 | $18019 | $16400 | $16571 | $16374 |
| **08/31/24** | $15805 | $18605 | $16725 | $16837 | $16692 |
| **09/30/24** | $16171 | $18776 | $17152 | $17292 | $17072 |
| **10/31/24** | $15124 | $17755 | $16076 | $16220 | $15986 |
| **11/30/24** | $15145 | $17655 | $16087 | $16233 | $16012 |
| **12/31/24** | $14938 | $17253 | $15717 | $15874 | $15799 |
| **01/31/25** | $15269 | $18160 | $16259 | $16419 | $16155 |
| **02/28/25** | $15403 | $18512 | $16211 | $16564 | $16307 |
| **03/31/25** | $15619 | $18437 | $16297 | $16861 | $16536 |
| **04/30/25** | $16428 | $19282 | $17243 | $17770 | $17411 |
| **05/31/25** | $17291 | $20164 | $18210 | $18598 | $18334 |
| **06/30/25** | $18127 | $20608 | $19001 | $19343 | $19238 |
| **07/31/25** | $18297 | $20319 | $18985 | $19429 | $19423 |
| **08/31/25** | $19189 | $21185 | $19864 | $20531 | $20386 |
| **09/30/25** | $19443 | $21591 | $20179 | $20879 | $20647 |
| **10/31/25** | $19070 | $21845 | $20016 | $20734 | $20252 |
| **11/30/25** | $19465 | $21980 | $20260 | $21288 | $20668 |
| **12/31/25** | $19941 | $22640 | $20721 | $21850 | $21195 |
| **01/31/26** | $21009 | $23821 | $21920 | $23125 | $22336 |
| **02/28/26** | $22045 | $24923 | $22971 | $24273 | $23473 |
| **03/31/26** | $19814 | $22359 | $20461 | $21587 | $21067 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 26.86% | 6.60% | 7.08% |
| MSCI EAFE Index | 21.27% | 7.91% | 8.38% |
| MSCI EAFE Small Cap Index | 25.55% | 4.43% | 7.42% |
| MSCI EAFE Small Cap Value Index | 28.03% | 7.30% | 8.00% |
| WisdomTree International SmallCap Dividend Index | 27.40% | 7.05% | 7.74% |

---

## Key Fund Statistics
* Total Net Assets$976,222,761

* # of Portfolio Holdings1,018

* Portfolio Turnover Rate45%

* Investment Advisory Fees Paid, Net$5,768,977

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Hafnia Ltd. | 0.8% |
| Hoegh Autoliners ASA | 0.7% |
| Elecnor SA | 0.6% |
| DOF Group ASA | 0.6% |
| Plus500 Ltd. | 0.6% |
| NOS SGPS SA | 0.5% |
| Odfjell Drilling Ltd. | 0.5% |
| Man Group PLC | 0.5% |
| FIBI Holdings Ltd. | 0.5% |
| First Resources Ltd. | 0.4% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 25.7% |
| Financials | 13.5% |
| Consumer Discretionary | 12.1% |
| Materials | 9.6% |
| Consumer Staples | 7.5% |
| Real Estate | 7.5% |
| Information Technology | 7.4% |
| Communication Services | 4.8% |
| Energy | 4.7% |
| Health Care | 3.6% |
| Other Sectors | 2.6% |
| Other Assets and Liabilities, Net | 1.0% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree International SmallCap Dividend Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DLS
DLS - 032026

# WisdomTree Japan Hedged Equity Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DXJ

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree Japan Hedged Equity Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree Japan Hedged Equity Fund | $58 | 0.48% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 43.52% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI Japan Local Currency Index, which returned 33.92% during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited significantly from Industrials exposure solely due to stock selection effects. Industrials single-handedly explains about half of the excess return versus the benchmark during the period.

* The Fund also benefited, albeit to a lesser extent, from Consumer Discretionary exposure, once again due to positive stock selection.

* Energy exposure produced a positive performance effect due to allocation effects. While the Fund maintained a modest overweight position, its effect was magnified as Energy was the best performing Japanese equity sector during the period.

* No sectors exhibited outsized, negative performance impacts, but the most negative contribution overall came from Utilities, owing to allocation impacts. Utilities was the second best performing Japanese equity sector and a very slight underweight magnified a negative allocation impact that caused the sector to detract within the Fund.

* The Fund's currency hedge was also additive for performance as the yen weakened by about 5.5% versus the U.S. dollar during the period.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI Japan Local Currency Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](id0ebc4fe8b18b7e234e5e3ed.jpg)

---

| | | | |
|:---|:---|:---|:---|
| | **WisdomTree Japan Hedged Equity Fund $45,977** | **MSCI Japan Local Currency Index $31,995** | **WisdomTree Japan Hedged Equity Index $48,563** |
| **03/31/16** | $10000 | $10000 | $10000 |
| **04/30/16** | $9911 | $9962 | $9913 |
| **05/31/16** | $10107 | $10219 | $10146 |
| **06/30/16** | $8847 | $9220 | $8883 |
| **07/31/16** | $9582 | $9807 | $9630 |
| **08/31/16** | $9953 | $9936 | $10012 |
| **09/30/16** | $9824 | $9883 | $9865 |
| **10/31/16** | $10436 | $10392 | $10494 |
| **11/30/16** | $11133 | $10996 | $11225 |
| **12/31/16** | $11593 | $11365 | $11695 |
| **01/31/17** | $11649 | $11377 | $11760 |
| **02/28/17** | $11836 | $11434 | $11954 |
| **03/31/17** | $11745 | $11346 | $11850 |
| **04/30/17** | $11873 | $11469 | $11981 |
| **05/31/17** | $11882 | $11720 | $12003 |
| **06/30/17** | $12273 | $12034 | $12416 |
| **07/31/17** | $12380 | $12074 | $12530 |
| **08/31/17** | $12330 | $12020 | $12485 |
| **09/30/17** | $12966 | $12535 | $13122 |
| **10/31/17** | $13653 | $13237 | $13828 |
| **11/30/17** | $13791 | $13426 | $13985 |
| **12/31/17** | $14175 | $13609 | $14381 |
| **01/31/18** | $14366 | $13791 | $14583 |
| **02/28/18** | $13793 | $13279 | $14012 |
| **03/31/18** | $13215 | $12955 | $13523 |
| **04/30/18** | $13719 | $13419 | $13940 |
| **05/31/18** | $13336 | $13192 | $13561 |
| **06/30/18** | $13228 | $13110 | $13468 |
| **07/31/18** | $13528 | $13302 | $13783 |
| **08/31/18** | $13401 | $13206 | $13667 |
| **09/30/18** | $14125 | $13939 | $14396 |
| **10/31/18** | $12875 | $12678 | $13124 |
| **11/30/18** | $12877 | $12807 | $13129 |
| **12/31/18** | $11510 | $11548 | $11739 |
| **01/31/19** | $12260 | $12153 | $12534 |
| **02/28/19** | $12452 | $12427 | $12722 |
| **03/31/19** | $12368 | $12426 | $12631 |
| **04/30/19** | $12729 | $12677 | $13010 |
| **05/31/19** | $11615 | $11869 | $11867 |
| **06/30/19** | $12089 | $12218 | $12366 |
| **07/31/19** | $12171 | $12330 | $12463 |
| **08/31/19** | $11610 | $11932 | $11887 |
| **09/30/19** | $12445 | $12640 | $12742 |
| **10/31/19** | $13203 | $13257 | $13533 |
| **11/30/19** | $13462 | $13505 | $13801 |
| **12/31/19** | $13648 | $13681 | $13995 |
| **01/31/20** | $13274 | $13459 | $13619 |
| **02/29/20** | $11986 | $12170 | $12305 |
| **03/31/20** | $10726 | $11309 | $10999 |
| **04/30/20** | $11307 | $11806 | $11604 |
| **05/31/20** | $12023 | $12599 | $12353 |
| **06/30/20** | $11972 | $12615 | $12309 |
| **07/31/20** | $11335 | $12166 | $11656 |
| **08/31/20** | $12392 | $13132 | $12754 |
| **09/30/20** | $12407 | $13196 | $12775 |
| **10/31/20** | $12132 | $12863 | $12482 |
| **11/30/20** | $13411 | $14433 | $13809 |
| **12/31/20** | $14011 | $14880 | $14431 |
| **01/31/21** | $14215 | $14938 | $14645 |
| **02/28/21** | $14763 | $15432 | $15218 |
| **03/31/21** | $15763 | $16175 | $16237 |
| **04/30/21** | $15329 | $15757 | $15790 |
| **05/31/21** | $15944 | $16015 | $16226 |
| **06/30/21** | $15890 | $16201 | $16386 |
| **07/31/21** | $15481 | $15818 | $15970 |
| **08/31/21** | $15830 | $16320 | $16339 |
| **09/30/21** | $16568 | $17030 | $17094 |
| **10/31/21** | $16318 | $16819 | $16837 |
| **11/30/21** | $15721 | $16335 | $16231 |
| **12/31/21** | $16575 | $16880 | $17121 |
| **01/31/22** | $16410 | $16034 | $16957 |
| **02/28/22** | $16357 | $15848 | $16906 |
| **03/31/22** | $17148 | $16617 | $17713 |
| **04/30/22** | $16885 | $16176 | $17441 |
| **05/31/22** | $17132 | $16325 | $17714 |
| **06/30/22** | $16764 | $15879 | $17338 |
| **07/31/22** | $17277 | $16511 | $17882 |
| **08/31/22** | $17588 | $16689 | $18218 |
| **09/30/22** | $16557 | $15620 | $17130 |
| **10/31/22** | $17396 | $16515 | $18017 |
| **11/30/22** | $18437 | $17005 | $19131 |
| **12/31/22** | $17819 | $16122 | $18497 |
| **01/31/23** | $18647 | $16878 | $19376 |
| **02/28/23** | $19216 | $17000 | $19979 |
| **03/31/23** | $19456 | $17268 | $20209 |
| **04/30/23** | $20005 | $17732 | $20808 |
| **05/31/23** | $20913 | $18533 | $21767 |
| **06/30/23** | $23050 | $19957 | $24010 |
| **07/31/23** | $23663 | $20210 | $24680 |
| **08/31/23** | $24011 | $20207 | $25052 |
| **09/30/23** | $24611 | $20277 | $25671 |
| **10/31/23** | $23842 | $19652 | $24885 |
| **11/30/23** | $25296 | $20825 | $26459 |
| **12/31/23** | $25082 | $20726 | $26220 |
| **01/31/24** | $27460 | $22482 | $28745 |
| **02/29/24** | $29353 | $23710 | $30746 |
| **03/31/24** | $30744 | $24699 | $32400 |
| **04/30/24** | $31029 | $24434 | $32499 |
| **05/31/24** | $31476 | $24727 | $32991 |
| **06/30/24** | $32006 | $25131 | $33578 |
| **07/31/24** | $31920 | $24870 | $33492 |
| **08/31/24** | $30631 | $24189 | $32103 |
| **09/30/24** | $30218 | $23626 | $31641 |
| **10/31/24** | $31171 | $24180 | $32668 |
| **11/30/24** | $31031 | $23996 | $32522 |
| **12/31/24** | $32649 | $25024 | $34278 |
| **01/31/25** | $32670 | $25042 | $34318 |
| **02/28/25** | $31703 | $24040 | $33309 |
| **03/31/25** | $32035 | $23891 | $33626 |
| **04/30/25** | $31894 | $23981 | $33465 |
| **05/31/25** | $33610 | $25241 | $35324 |
| **06/30/25** | $34122 | $25699 | $35859 |
| **07/31/25** | $35501 | $26400 | $37345 |
| **08/31/25** | $37338 | $27547 | $39332 |
| **09/30/25** | $38456 | $28383 | $40483 |
| **10/31/25** | $40399 | $30612 | $42598 |
| **11/30/25** | $41771 | $30794 | $44091 |
| **12/31/25** | $42838 | $31098 | $45216 |
| **01/31/26** | $45393 | $32622 | $47957 |
| **02/28/26** | $50973 | $35852 | $53887 |
| **03/31/26** | $45977 | $31995 | $48563 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 43.52% | 23.87% | 16.48% |
| MSCI Japan Local Currency Index | 33.92% | 14.62% | 12.33% |
| WisdomTree Japan Hedged Equity Index | 44.42% | 24.50% | 17.12% |

---

## Key Fund Statistics
* Total Net Assets$5,847,339,845

* # of Portfolio Holdings431

* Portfolio Turnover Rate28%

* Investment Advisory Fees Paid, Net$21,087,118

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Mitsubishi UFJ Financial Group, Inc. | 4.7% |
| Toyota Motor Corp. | 4.7% |
| Tokio Marine Holdings, Inc. | 3.2% |
| Mitsubishi Corp. | 3.2% |
| Sumitomo Mitsui Financial Group, Inc. | 3.1% |
| Mitsui & Co. Ltd. | 2.5% |
| Japan Tobacco, Inc. | 2.5% |
| NTT, Inc. | 2.5% |
| Mizuho Financial Group, Inc. | 2.4% |
| Takeda Pharmaceutical Co. Ltd. | 2.1% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 26.1% |
| Financials | 18.3% |
| Consumer Discretionary | 17.1% |
| Information Technology | 9.9% |
| Materials | 8.8% |
| Health Care | 7.5% |
| Consumer Staples | 5.1% |
| Communication Services | 3.7% |
| Energy | 2.2% |
| Utilities | 0.1% |
| Other Assets and Liabilities, Net | 1.2% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree Japan Hedged Equity Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DXJ
DXJ - 032026

# WisdomTree Japan Opportunities Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: OPPJ

# **Principal Listing Exchange: The Nasdaq Stock Market LLC** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree Japan Opportunities Fund (the "Fund") (formerly, the WisdomTree Japan Hedged SmallCap Equity Fund) for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473). **This report describes changes to the Fund that occurred during the reporting period.**

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree Japan Opportunities Fund | $74 | 0.58% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 55.23% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI Japan Small Cap Local Currency/MSCI Japan Local Currency Spliced Index, which returned 35.11% in local currency terms during the same period. The following summarizes the key factors that affected Fund Performance during the period:

* The Fund benefited significantly from its exposure to Industrials, which produced a strong performance tailwind due to positive allocation and stock selection effects. 

* The Fund's focus on allocating to Japanese companies that stand to benefit from changing geopolitical dynamics was additive during the period. Defense companies, for example, provided a performance boost during the period.

* Financials also provided a supplementary tailwind through positive stock selection. The Fund's additional emphasis on investing in Berkshire Hathaway's publicly disclosed equity stake in select Japanese trading firms was additive, as those produced strong positive returns during the period.

* Communication Services and Energy weighed negatively on performance during the period, due to negative stock selection effects in the former and negative allocation effects in the latter.

* The Fund's currency hedge was also additive for performance as the yen weakened by about 10% versus the U.S. dollar over the period.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI Japan (USD) Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i8d0498f1a14f05aa85e2ae2d.jpg)

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| | **WisdomTree Japan Opportunities Fund $43,707** | **MSCI Japan (USD) Index $22,604** | **MSCI Japan Small Cap Local Currency/MSCI Japan Local Currency Spliced Index $29,024<sup>Footnote Reference1</sup>** | **MSCI Japan Value (USD) Index $26,367** | **WisdomTree Japan Hedged SmallCap Equity/WisdomTree Japan Opportunities Spliced Index $46,214<sup>Footnote Reference2</sup>** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $9882 | $10465 | $9934 | $10426 | $9894 |
| **05/31/16** | $10186 | $10356 | $10299 | $10284 | $10227 |
| **06/30/16** | $9185 | $10101 | $9470 | $9796 | $9196 |
| **07/31/16** | $9889 | $10756 | $9968 | $10574 | $9914 |
| **08/31/16** | $9811 | $10797 | $9705 | $10894 | $9842 |
| **09/30/16** | $10052 | $10970 | $10013 | $10898 | $10084 |
| **10/31/16** | $10737 | $11114 | $10529 | $11199 | $10789 |
| **11/30/16** | $11302 | $10846 | $10880 | $11203 | $11369 |
| **12/31/16** | $11837 | $10952 | $11338 | $11400 | $11916 |
| **01/31/17** | $11916 | $11359 | $11357 | $11825 | $12008 |
| **02/28/17** | $12271 | $11486 | $11634 | $11944 | $12371 |
| **03/31/17** | $12164 | $11444 | $11566 | $11785 | $12248 |
| **04/30/17** | $12395 | $11564 | $11768 | $11860 | $12499 |
| **05/31/17** | $12637 | $11912 | $12104 | $11910 | $12746 |
| **06/30/17** | $13068 | $12038 | $12414 | $12111 | $13193 |
| **07/31/17** | $13240 | $12282 | $12533 | $12311 | $13380 |
| **08/31/17** | $13422 | $12275 | $12716 | $12284 | $13549 |
| **09/30/17** | $14054 | $12516 | $13212 | $12610 | $14180 |
| **10/31/17** | $14669 | $13093 | $13794 | $13074 | $14813 |
| **11/30/17** | $14868 | $13484 | $14062 | $13355 | $15036 |
| **12/31/17** | $15325 | $13578 | $14374 | $13520 | $15511 |
| **01/31/18** | $15457 | $14201 | $14519 | $14073 | $15644 |
| **02/28/18** | $14966 | $13987 | $14022 | $13779 | $15162 |
| **03/31/18** | $14511 | $13692 | $13855 | $13439 | $14851 |
| **04/30/18** | $15175 | $13783 | $14275 | $13723 | $15410 |
| **05/31/18** | $14973 | $13647 | $14141 | $13339 | $15202 |
| **06/30/18** | $14802 | $13303 | $13975 | $13015 | $15062 |
| **07/31/18** | $14984 | $13357 | $14001 | $13178 | $15266 |
| **08/31/18** | $14680 | $13386 | $13780 | $13061 | $14954 |
| **09/30/18** | $15275 | $13793 | $14313 | $13535 | $15564 |
| **10/31/18** | $13846 | $12627 | $12876 | $12684 | $14108 |
| **11/30/18** | $14228 | $12676 | $13307 | $12536 | $14502 |
| **12/31/18** | $12593 | $11830 | $11761 | $11807 | $12831 |
| **01/31/19** | $13127 | $12551 | $12305 | $12649 | $13381 |
| **02/28/19** | $13532 | $12547 | $12728 | $12407 | $13807 |
| **03/31/19** | $13367 | $12618 | $12708 | $12390 | $13627 |
| **04/30/19** | $13556 | $12793 | $12899 | $12446 | $13830 |
| **05/31/19** | $12556 | $12286 | $12063 | $11935 | $12801 |
| **06/30/19** | $12869 | $12746 | $12262 | $12383 | $13137 |
| **07/31/19** | $13091 | $12764 | $12516 | $12281 | $13368 |
| **08/31/19** | $12521 | $12635 | $12118 | $12078 | $12783 |
| **09/30/19** | $13361 | $13145 | $12786 | $12672 | $13638 |
| **10/31/19** | $14301 | $13783 | $13482 | $13302 | $14610 |
| **11/30/19** | $14602 | $13861 | $13771 | $13354 | $14929 |
| **12/31/19** | $14901 | $14150 | $13903 | $13627 | $15247 |
| **01/31/20** | $14224 | $13957 | $13400 | $13329 | $14567 |
| **02/29/20** | $12466 | $12681 | $11752 | $12190 | $12770 |
| **03/31/20** | $11709 | $11774 | $11017 | $10829 | $11981 |
| **04/30/20** | $12244 | $12409 | $11577 | $11335 | $12551 |
| **05/31/20** | $13129 | $13144 | $12556 | $11822 | $13489 |
| **06/30/20** | $12942 | $13142 | $12418 | $11613 | $13310 |
| **07/31/20** | $12256 | $12933 | $11842 | $11170 | $12608 |
| **08/31/20** | $13283 | $13918 | $12823 | $12266 | $13667 |
| **09/30/20** | $13768 | $14054 | $13304 | $12110 | $14171 |
| **10/31/20** | $13286 | $13829 | $12847 | $11899 | $13675 |
| **11/30/20** | $13764 | $15557 | $13617 | $13049 | $14186 |
| **12/31/20** | $14209 | $16199 | $14060 | $13731 | $14662 |
| **01/31/21** | $14291 | $16037 | $14150 | $13762 | $14756 |
| **02/28/21** | $14669 | $16280 | $14466 | $14461 | $15141 |
| **03/31/21** | $15956 | $16453 | $15561 | $14881 | $16464 |
| **04/30/21** | $15436 | $16202 | $15211 | $14620 | $15931 |
| **05/31/21** | $15593 | $16454 | $15115 | $14981 | $15885 |
| **06/30/21** | $15701 | $16407 | $15486 | $14917 | $16226 |
| **07/31/21** | $15629 | $16199 | $15242 | $14707 | $16165 |
| **08/31/21** | $16019 | $16696 | $15685 | $14965 | $16573 |
| **09/30/21** | $16476 | $17155 | $16100 | $15491 | $17033 |
| **10/31/21** | $16220 | $16578 | $15860 | $14874 | $16765 |
| **11/30/21** | $15146 | $16170 | $14846 | $14261 | $15652 |
| **12/31/21** | $15911 | $16476 | $15325 | $14538 | $16452 |
| **01/31/22** | $15415 | $15640 | $14518 | $14833 | $15950 |
| **02/28/22** | $15742 | $15465 | $14739 | $14820 | $16303 |
| **03/31/22** | $15669 | $15388 | $14996 | $14736 | $16212 |
| **04/30/22** | $15632 | $14033 | $14799 | $13784 | $16177 |
| **05/31/22** | $15672 | $14263 | $14814 | $13939 | $16226 |
| **06/30/22** | $15890 | $13137 | $14878 | $13110 | $16459 |
| **07/31/22** | $16415 | $13885 | $15382 | $13555 | $17017 |
| **08/31/22** | $16713 | $13531 | $15645 | $13295 | $17337 |
| **09/30/22** | $16366 | $12129 | $15131 | $11969 | $16975 |
| **10/31/22** | $16791 | $12488 | $15526 | $12270 | $17433 |
| **11/30/22** | $17279 | $13697 | $15896 | $13450 | $17959 |
| **12/31/22** | $16999 | $13733 | $15444 | $13773 | $17686 |
| **01/31/23** | $17652 | $14587 | $15823 | $14485 | $18377 |
| **02/28/23** | $18168 | $14027 | $16075 | $14084 | $18923 |
| **03/31/23** | $18389 | $14583 | $16209 | $14320 | $19135 |
| **04/30/23** | $18869 | $14636 | $16701 | $14460 | $19660 |
| **05/31/23** | $18942 | $14909 | $16842 | $14538 | $19746 |
| **06/30/23** | $20303 | $15519 | $17816 | $15442 | $21178 |
| **07/31/23** | $21098 | $15988 | $18226 | $16135 | $22035 |
| **08/31/23** | $21725 | $15600 | $18546 | $16055 | $22692 |
| **09/30/23** | $22094 | $15273 | $18423 | $16266 | $23082 |
| **10/31/23** | $21825 | $14585 | $17931 | $15461 | $22828 |
| **11/30/23** | $22832 | $15833 | $18642 | $16479 | $23916 |
| **12/31/23** | $23237 | $16524 | $18701 | $16957 | $24335 |
| **01/31/24** | $24411 | $17287 | $19484 | $17985 | $25584 |
| **02/29/24** | $25235 | $17805 | $20121 | $18442 | $26463 |
| **03/31/24** | $26104 | $18257 | $20829 | $19174 | $27744 |
| **04/30/24** | $26472 | $17451 | $20879 | $18713 | $27760 |
| **05/31/24** | $26762 | $17686 | $20940 | $18956 | $28066 |
| **06/30/24** | $27264 | $17560 | $21117 | $18591 | $28624 |
| **07/31/24** | $27562 | $18578 | $21391 | $19854 | $28932 |
| **08/31/24** | $26541 | $18672 | $20889 | $19643 | $27862 |
| **09/30/24** | $26631 | $18565 | $21055 | $19480 | $27944 |
| **10/31/24** | $26812 | $17841 | $21137 | $18723 | $28143 |
| **11/30/24** | $27048 | $17958 | $21102 | $19007 | $28399 |
| **12/31/24** | $28042 | $17897 | $21758 | $19120 | $29476 |
| **01/31/25** | $28002 | $18177 | $21836 | $19523 | $29456 |
| **02/28/25** | $27419 | $17930 | $21155 | $19700 | $28849 |
| **03/31/25** | $28156 | $17957 | $21481 | $19967 | $29592 |
| **04/30/25** | $28140 | $18896 | $21519 | $20784 | $29583 |
| **05/31/25** | $29346 | $19661 | $22523 | $20630 | $30894 |
| **06/30/25** | $30127 | $19997 | $23313 | $21269 | $31728 |
| **07/31/25** | $30440 | $19717 | $23949 | $21400 | $32052 |
| **08/31/25** | $33121 | $21087 | $24989 | $23488 | $34927 |
| **09/30/25** | $34552 | $21601 | $25748 | $24114 | $36417 |
| **10/31/25** | $35375 | $22334 | $27770 | $24098 | $37314 |
| **11/30/25** | $36962 | $22180 | $27935 | $24606 | $39040 |
| **12/31/25** | $38197 | $22299 | $28211 | $25239 | $40364 |
| **01/31/26** | $41877 | $23769 | $29593 | $27139 | $44298 |
| **02/28/26** | $47740 | $25810 | $32523 | $29797 | $50531 |
| **03/31/26** | $43707 | $22604 | $29024 | $26367 | $46214 |

---

---

| | |
|:---|:---|
| Footnote | Description |
| &nbsp;&nbsp;Footnote<sup>1</sup> | &nbsp;&nbsp;MSCI Japan Small Cap Local Currency Index through June 30, 2025; MSCI Japan Local Currency Index thereafter. |
| &nbsp;&nbsp;Footnote<sup>2</sup> | &nbsp;&nbsp;WisdomTree Japan Hedged SmallCap Equity Index through June 30, 2025; WisdomTree Japan Opportunities Index thereafter. |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 55.23% | 22.33% | 15.89% |
| MSCI Japan (USD) Index | 25.88% | 6.56% | 8.50% |
| MSCI Japan Small Cap Local Currency/MSCI Japan Local Currency Spliced Index | 35.11% | 13.28% | 11.24% |
| MSCI Japan Value (USD) Index | 32.05% | 12.12% | 10.18% |
| WisdomTree Japan Hedged SmallCap Equity/WisdomTree Japan Opportunities Spliced Index | 56.17% | 22.93% | 16.54% |

---

## Key Fund Statistics
* Total Net Assets$248,151,969

* # of Portfolio Holdings101

* Portfolio Turnover Rate146%

* Investment Advisory Fees Paid, Net$663,818

Effective July 1, 2025, the Fund's comparative indices changed from MSCI Japan Small Cap Local Currency, to MSCI Japan Local Currency Index, because WisdomTree Asset Management, Inc. believes this is a more appropriate index for the Fund.

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Marubeni Corp. | 10.1% |
| Mitsui & Co. Ltd. | 8.9% |
| Mitsubishi Corp. | 8.9% |
| Sumitomo Corp. | 7.5% |
| ITOCHU Corp. | 5.9% |
| SoftBank Corp. | 2.3% |
| Kawasaki Heavy Industries Ltd. | 2.0% |
| Tokyo Electron Ltd. | 1.9% |
| Hanwa Co. Ltd. | 1.9% |
| Mitsubishi Heavy Industries Ltd. | 1.8% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 57.5% |
| Materials | 10.7% |
| Information Technology | 9.6% |
| Financials | 7.3% |
| Consumer Discretionary | 7.0% |
| Consumer Staples | 2.8% |
| Communication Services | 2.3% |
| Health Care | 1.0% |
| Real Estate | 0.5% |
| Other Assets and Liabilities, Net | 1.3% |
| Total | 100.0% |

---

## Material Fund Changes
On July 1, 2025, WisdomTree Japan Hedged SmallCap Equity Fund (Ticker: DXJS) changed its name, ticker, and non-fundamental investment policy adopted under Rule 35d-1 of the Investment Company Act of 1940 (the "1940 Act"). As of that date, the Fund's name changed to WisdomTree Japan Opportunities Fund and its ticker changed to OPPJ. The Fund seeks to track the price and yield performance, before fees and expenses, of its underlying index. The Fund invests, under normal circumstances, at least 80% of its net assets, plus any borrowings for investment purposes, in constituents of the Index and/or investments that have economic characteristics that are substantially similar to the economic characteristics of such constituents.

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree Japan Opportunities Fund
Annual Shareholder Report - March 31, 2026

# Ticker: OPPJ
OPPJ - 032026

# WisdomTree Japan SmallCap Dividend Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DFJ

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree Japan SmallCap Dividend Fund (the "Fund") for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473).

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree Japan SmallCap Dividend Fund | $67 | 0.58% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 29.52% at net asset value (NAV) for the fiscal year ended March 31, 2026, outperforming the Fund's primary comparative benchmark, the MSCI Japan Small Cap Index, which returned 28.38% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its exposures to Financials and Communication Services primarily due to a mix of positive allocation and stock selection effects.

* Real Estate also contributed positively to Fund performance, exclusively due to allocation effects. The Fund was underweight Real Estate, which was also its largest sector deviation in absolute value, which proved to be valuable as Real Estate was the second worst-performing sector among broader Japanese small cap equities.

* Among sector detractors, Consumer Discretionary, Health Care, and Industrials all weighed negatively on performance due to poor stock selection effects.

* Materials had the largest negative effect due to negative stock selection, which was just large enough to offset positive allocation influences stemming from an overweight to the sector.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI Japan (USD) Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i998f6eeb2b50cc527699803d.jpg)

---

| | | | | |
|:---|:---|:---|:---|:---|
| | **WisdomTree Japan SmallCap Dividend Fund $22,635** | **MSCI Japan (USD) Index $22,604** | **MSCI Japan Small Cap Index $20,727** | **WisdomTree Japan SmallCap Dividend Index $23,752** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10389 | $10465 | $10435 | $10396 |
| **05/31/16** | $10345 | $10356 | $10438 | $10365 |
| **06/30/16** | $10136 | $10101 | $10376 | $10144 |
| **07/31/16** | $10901 | $10756 | $10932 | $10936 |
| **08/31/16** | $10690 | $10797 | $10545 | $10743 |
| **09/30/16** | $11165 | $10970 | $11114 | $11219 |
| **10/31/16** | $11497 | $11114 | $11262 | $11572 |
| **11/30/16** | $11190 | $10846 | $10732 | $11279 |
| **12/31/16** | $11443 | $10952 | $10926 | $11542 |
| **01/31/17** | $11917 | $11359 | $11339 | $12026 |
| **02/28/17** | $12324 | $11486 | $11687 | $12455 |
| **03/31/17** | $12243 | $11444 | $11666 | $12365 |
| **04/30/17** | $12464 | $11564 | $11866 | $12598 |
| **05/31/17** | $12779 | $11912 | $12302 | $12933 |
| **06/30/17** | $13004 | $12038 | $12418 | $13164 |
| **07/31/17** | $13370 | $12282 | $12749 | $13556 |
| **08/31/17** | $13579 | $12275 | $12986 | $13762 |
| **09/30/17** | $13900 | $12516 | $13192 | $14077 |
| **10/31/17** | $14356 | $13093 | $13644 | $14552 |
| **11/30/17** | $14746 | $13484 | $14124 | $14976 |
| **12/31/17** | $15062 | $13578 | $14342 | $15322 |
| **01/31/18** | $15645 | $14201 | $14950 | $15920 |
| **02/28/18** | $15480 | $13987 | $14769 | $15774 |
| **03/31/18** | $15025 | $13692 | $14642 | $15467 |
| **04/30/18** | $15259 | $13783 | $14662 | $15590 |
| **05/31/18** | $15126 | $13647 | $14629 | $15459 |
| **06/30/18** | $14620 | $13303 | $14181 | $14988 |
| **07/31/18** | $14605 | $13357 | $14058 | $15004 |
| **08/31/18** | $14397 | $13386 | $13968 | $14808 |
| **09/30/18** | $14622 | $13793 | $14163 | $15027 |
| **10/31/18** | $13315 | $12627 | $12823 | $13684 |
| **11/30/18** | $13553 | $12676 | $13171 | $13954 |
| **12/31/18** | $12408 | $11830 | $12048 | $12785 |
| **01/31/19** | $12993 | $12551 | $12708 | $13405 |
| **02/28/19** | $13086 | $12547 | $12851 | $13505 |
| **03/31/19** | $12981 | $12618 | $12905 | $13373 |
| **04/30/19** | $13046 | $12793 | $13017 | $13454 |
| **05/31/19** | $12396 | $12286 | $12487 | $12766 |
| **06/30/19** | $12759 | $12746 | $12792 | $13170 |
| **07/31/19** | $12850 | $12764 | $12957 | $13268 |
| **08/31/19** | $12566 | $12635 | $12831 | $12963 |
| **09/30/19** | $13162 | $13145 | $13297 | $13574 |
| **10/31/19** | $14058 | $13783 | $14017 | $14507 |
| **11/30/19** | $14155 | $13861 | $14134 | $14612 |
| **12/31/19** | $14519 | $14150 | $14379 | $14994 |
| **01/31/20** | $13883 | $13957 | $13896 | $14340 |
| **02/29/20** | $12212 | $12681 | $12246 | $12617 |
| **03/31/20** | $11443 | $11774 | $11470 | $11804 |
| **04/30/20** | $12056 | $12409 | $12168 | $12461 |
| **05/31/20** | $12856 | $13144 | $13099 | $13297 |
| **06/30/20** | $12640 | $13142 | $12937 | $13096 |
| **07/31/20** | $12223 | $12933 | $12589 | $12665 |
| **08/31/20** | $13208 | $13918 | $13591 | $13686 |
| **09/30/20** | $13747 | $14054 | $14169 | $14251 |
| **10/31/20** | $13400 | $13829 | $13812 | $13885 |
| **11/30/20** | $13925 | $15557 | $14678 | $14436 |
| **12/31/20** | $14510 | $16199 | $15306 | $15055 |
| **01/31/21** | $14390 | $16037 | $15191 | $14938 |
| **02/28/21** | $14508 | $16280 | $15261 | $15063 |
| **03/31/21** | $15250 | $16453 | $15828 | $15820 |
| **04/30/21** | $14915 | $16202 | $15641 | $15478 |
| **05/31/21** | $14974 | $16454 | $15529 | $15417 |
| **06/30/21** | $14941 | $16407 | $15682 | $15518 |
| **07/31/21** | $15052 | $16199 | $15610 | $15631 |
| **08/31/21** | $15409 | $16696 | $16047 | $16006 |
| **09/30/21** | $15608 | $17155 | $16219 | $16201 |
| **10/31/21** | $15019 | $16578 | $15633 | $15592 |
| **11/30/21** | $14077 | $16170 | $14695 | $14618 |
| **12/31/21** | $14585 | $16476 | $14958 | $15149 |
| **01/31/22** | $14120 | $15640 | $14162 | $14674 |
| **02/28/22** | $14423 | $15465 | $14384 | $15001 |
| **03/31/22** | $13631 | $15388 | $13886 | $14152 |
| **04/30/22** | $12720 | $14033 | $12838 | $13202 |
| **05/31/22** | $12835 | $14263 | $12943 | $13324 |
| **06/30/22** | $12319 | $13137 | $12309 | $12792 |
| **07/31/22** | $12912 | $13885 | $12935 | $13416 |
| **08/31/22** | $12652 | $13531 | $12684 | $13150 |
| **09/30/22** | $11830 | $12129 | $11749 | $12282 |
| **10/31/22** | $11795 | $12488 | $11740 | $12254 |
| **11/30/22** | $12850 | $13697 | $12803 | $13365 |
| **12/31/22** | $13323 | $13733 | $13155 | $13870 |
| **01/31/23** | $13977 | $14587 | $13676 | $14557 |
| **02/28/23** | $13702 | $14027 | $13264 | $14278 |
| **03/31/23** | $14124 | $14583 | $13689 | $14710 |
| **04/30/23** | $14120 | $14636 | $13786 | $14714 |
| **05/31/23** | $13758 | $14909 | $13548 | $14348 |
| **06/30/23** | $14215 | $15519 | $13854 | $14832 |
| **07/31/23** | $14958 | $15988 | $14418 | $15614 |
| **08/31/23** | $14973 | $15600 | $14318 | $15634 |
| **09/30/23** | $14810 | $15273 | $13876 | $15448 |
| **10/31/23** | $14341 | $14585 | $13308 | $14963 |
| **11/30/23** | $15282 | $15833 | $14173 | $15958 |
| **12/31/23** | $16201 | $16524 | $14909 | $16926 |
| **01/31/24** | $16370 | $17287 | $14981 | $17114 |
| **02/29/24** | $16465 | $17805 | $15110 | $17217 |
| **03/31/24** | $16786 | $18342 | $15658 | $17775 |
| **04/30/24** | $16299 | $17451 | $14912 | $17033 |
| **05/31/24** | $16427 | $17686 | $14977 | $17164 |
| **06/30/24** | $16299 | $17560 | $14755 | $17037 |
| **07/31/24** | $17509 | $18578 | $15979 | $18316 |
| **08/31/24** | $17354 | $18672 | $16125 | $18166 |
| **09/30/24** | $17652 | $18565 | $16545 | $18463 |
| **10/31/24** | $16597 | $17841 | $15596 | $17360 |
| **11/30/24** | $16923 | $17958 | $15792 | $17698 |
| **12/31/24** | $16726 | $17897 | $15561 | $17494 |
| **01/31/25** | $16894 | $18177 | $15849 | $17679 |
| **02/28/25** | $16949 | $17930 | $15779 | $17744 |
| **03/31/25** | $17476 | $17957 | $16145 | $18275 |
| **04/30/25** | $18282 | $18896 | $16956 | $19117 |
| **05/31/25** | $18793 | $19661 | $17544 | $19679 |
| **06/30/25** | $19210 | $19997 | $18140 | $20124 |
| **07/31/25** | $19511 | $19717 | $18166 | $20445 |
| **08/31/25** | $21083 | $21087 | $19501 | $22108 |
| **09/30/25** | $21464 | $21601 | $19816 | $22487 |
| **10/31/25** | $20584 | $22334 | $19414 | $21575 |
| **11/30/25** | $21547 | $22180 | $19949 | $22614 |
| **12/31/25** | $21890 | $22299 | $20026 | $22981 |
| **01/31/26** | $23215 | $23769 | $21178 | $24386 |
| **02/28/26** | $25804 | $25810 | $23514 | $27114 |
| **03/31/26** | $22635 | $22604 | $20727 | $23752 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 29.52% | 8.22% | 8.51% |
| MSCI Japan (USD) Index | 25.88% | 6.56% | 8.50% |
| MSCI Japan Small Cap Index | 28.38% | 5.54% | 7.56% |
| WisdomTree Japan SmallCap Dividend Index | 29.97% | 8.47% | 9.04% |

---

## Key Fund Statistics
* Total Net Assets$387,673,278

* # of Portfolio Holdings803

* Portfolio Turnover Rate31%

* Investment Advisory Fees Paid, Net$1,866,265

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Daishi Hokuetsu Financial Group, Inc. | 0.7% |
| Chugin Financial Group, Inc. | 0.6% |
| Hazama Ando Corp. | 0.6% |
| NSK Ltd. | 0.6% |
| Exedy Corp. | 0.6% |
| Nippon Shokubai Co. Ltd. | 0.5% |
| SKY Perfect JSAT Corp. | 0.5% |
| Seino Holdings Co. Ltd. | 0.5% |
| INFRONEER Holdings, Inc. | 0.5% |
| Toa Corp. | 0.5% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Industrials | 25.3% |
| Materials | 14.8% |
| Consumer Discretionary | 13.3% |
| Financials | 12.8% |
| Information Technology | 12.5% |
| Consumer Staples | 8.4% |
| Health Care | 4.0% |
| Real Estate | 2.7% |
| Utilities | 1.7% |
| Communication Services | 1.6% |
| Other Sectors | 1.4% |
| Other Assets and Liabilities, Net | 1.5% |
| Total | 100.0% |

---

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree Japan SmallCap Dividend Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DFJ
DFJ - 032026

# WisdomTree True Developed International Fund
![Image](if67539f833e7d52ab2cccd6f.jpg)

# Ticker: DOL

# **Principal Listing Exchange: NYSE Arca, Inc.** 

# Annual Shareholder Report - March 31, 2026
This annual shareholder report contains important information about the WisdomTree True Developed International Fund (the "Fund") (formerly, the WisdomTree International LargeCap Dividend Fund) for the period of April 1, 2025 to March 31, 2026. You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory. You can also request this information by contacting us at 1-866-909-WISE (9473). **This report describes changes to the Fund that occurred during the reporting period.**

## What were the Fund's costs for the last year?
*(based on a hypothetical $10,000 investment)*

---

| | | |
|:---|:---|:---|
| Fund Name | Costs of a $10,000 investment | Costs paid as a percentage of a $10,000 investment |
| WisdomTree True Developed International Fund | $55 | 0.49% |

---

## How did the Fund perform last year and what affected its performance?
The Fund returned 25.48% at net asset value (NAV) for the fiscal year ended March 31, 2026, underperforming the Fund's primary comparative benchmark, the MSCI EAFE Value Index, which returned 30.05% in U.S. dollar terms during the same period. The following summarizes the key factors that affected Fund performance during the period:

* The Fund benefited from its exposures to Financials and Consumer Discretionary due to positive stock selection in each.

* Information Technology also contributed positively to performance, supported by beneficial stock selection effects offsetting negative allocation effects resulting from a modest underweight.

* Energy and Industrials detracted from performance due to negative allocation effects in each.

* The Fund benefited from its exposures to the United Kingdom and Spain, driven by stock selection effects in the former and allocation effects resulting from an overweight in the latter.

* The Netherlands contributed negatively to performance, primarily due to a blend of strong stock selection and allocation effects. France produced a similar effect, albeit to a more modest extent.

* Japan detracted from performance due to negative allocation effects resulting from an overweight to an underperformer.

## Fund Performance
The following line graph and average annual total return table reflects performance over the past 10 fiscal year periods or since inception if the Fund lacks 10 fiscal years of operating history. The graph and table show how the Fund's NAV performance compares to the MSCI EAFE Index, a broad-based securities market index, and one or more additional indexes that reflect the market segment(s) in which the Fund invests. Fund performance assumes dividends and capital gain distributions, if any, are reinvested. Index returns do not include expenses, which are deducted from Fund returns. **The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit www.wisdomtree.com/investments.**

### **Growth of $10,000 Investment** 

### Cumulative Performance for the ten years ended March 31, 2026
![Graph depicting Investment Growth 10K over past 10 years](i727620791f95b322fb6535ef.jpg)

---

| | | | | |
|:---|:---|:---|:---|:---|
| | **WisdomTree True Developed International Fund $22,733** | **MSCI EAFE Index $22,359** | **MSCI EAFE Value Index $24,433** | **WisdomTree True Developed International Index $23,212** |
| **03/31/16** | $10000 | $10000 | $10000 | $10000 |
| **04/30/16** | $10320 | $10290 | $10394 | $10321 |
| **05/31/16** | $10199 | $10196 | $10229 | $10195 |
| **06/30/16** | $9953 | $9854 | $9721 | $9948 |
| **07/31/16** | $10352 | $10353 | $10232 | $10352 |
| **08/31/16** | $10388 | $10361 | $10398 | $10388 |
| **09/30/16** | $10490 | $10488 | $10498 | $10496 |
| **10/31/16** | $10322 | $10273 | $10523 | $10330 |
| **11/30/16** | $10123 | $10069 | $10458 | $10137 |
| **12/31/16** | $10542 | $10413 | $10937 | $10562 |
| **01/31/17** | $10760 | $10715 | $11206 | $10780 |
| **02/28/17** | $10845 | $10868 | $11282 | $10874 |
| **03/31/17** | $11179 | $11167 | $11598 | $11210 |
| **04/30/17** | $11384 | $11452 | $11841 | $11413 |
| **05/31/17** | $11834 | $11872 | $12116 | $11862 |
| **06/30/17** | $11753 | $11851 | $12152 | $11782 |
| **07/31/17** | $12115 | $12193 | $12559 | $12158 |
| **08/31/17** | $12113 | $12188 | $12480 | $12159 |
| **09/30/17** | $12451 | $12491 | $12865 | $12497 |
| **10/31/17** | $12556 | $12681 | $12965 | $12602 |
| **11/30/17** | $12660 | $12814 | $13081 | $12708 |
| **12/31/17** | $12813 | $13020 | $13282 | $12861 |
| **01/31/18** | $13448 | $13673 | $13999 | $13505 |
| **02/28/18** | $12734 | $13056 | $13333 | $12792 |
| **03/31/18** | $12556 | $12820 | $13012 | $12620 |
| **04/30/18** | $12940 | $13113 | $13413 | $12994 |
| **05/31/18** | $12503 | $12818 | $12832 | $12543 |
| **06/30/18** | $12429 | $12662 | $12669 | $12477 |
| **07/31/18** | $12809 | $12973 | $13033 | $12868 |
| **08/31/18** | $12436 | $12723 | $12559 | $12497 |
| **09/30/18** | $12618 | $12833 | $12818 | $12682 |
| **10/31/18** | $11750 | $11812 | $11967 | $11810 |
| **11/30/18** | $11761 | $11797 | $11901 | $11825 |
| **12/31/18** | $11212 | $11224 | $11319 | $11274 |
| **01/31/19** | $11889 | $11962 | $12076 | $11963 |
| **02/28/19** | $12172 | $12267 | $12277 | $12255 |
| **03/31/19** | $12246 | $12344 | $12215 | $12327 |
| **04/30/19** | $12510 | $12691 | $12499 | $12594 |
| **05/31/19** | $11945 | $12082 | $11776 | $12013 |
| **06/30/19** | $12645 | $12799 | $12403 | $12726 |
| **07/31/19** | $12393 | $12636 | $12124 | $12478 |
| **08/31/19** | $12000 | $12309 | $11626 | $12086 |
| **09/30/19** | $12410 | $12661 | $12187 | $12504 |
| **10/31/19** | $12769 | $13116 | $12627 | $12872 |
| **11/30/19** | $12829 | $13264 | $12677 | $12931 |
| **12/31/19** | $13310 | $13695 | $13140 | $13424 |
| **01/31/20** | $12935 | $13409 | $12665 | $13049 |
| **02/29/20** | $11741 | $12197 | $11466 | $11842 |
| **03/31/20** | $10077 | $10569 | $9435 | $10148 |
| **04/30/20** | $10618 | $11252 | $9940 | $10697 |
| **05/31/20** | $10889 | $11742 | $10242 | $10972 |
| **06/30/20** | $11263 | $12142 | $10607 | $11353 |
| **07/31/20** | $11420 | $12425 | $10628 | $11514 |
| **08/31/20** | $11904 | $13063 | $11250 | $12010 |
| **09/30/20** | $11508 | $12724 | $10733 | $11610 |
| **10/31/20** | $10973 | $12216 | $10301 | $11069 |
| **11/30/20** | $12399 | $14110 | $12252 | $12526 |
| **12/31/20** | $12945 | $14766 | $12795 | $13083 |
| **01/31/21** | $12822 | $14608 | $12695 | $12963 |
| **02/28/21** | $12976 | $14936 | $13300 | $13126 |
| **03/31/21** | $13382 | $15279 | $13747 | $13539 |
| **04/30/21** | $13746 | $15739 | $14010 | $13910 |
| **05/31/21** | $14303 | $16252 | $14495 | $14413 |
| **06/30/21** | $14097 | $16070 | $14161 | $14266 |
| **07/31/21** | $14211 | $16191 | $14126 | $14387 |
| **08/31/21** | $14328 | $16476 | $14286 | $14512 |
| **09/30/21** | $13791 | $15998 | $14024 | $13970 |
| **10/31/21** | $14074 | $16391 | $14248 | $14261 |
| **11/30/21** | $13528 | $15629 | $13391 | $13724 |
| **12/31/21** | $14376 | $16429 | $14188 | $14586 |
| **01/31/22** | $14234 | $15635 | $14336 | $14446 |
| **02/28/22** | $14047 | $15358 | $14141 | $14248 |
| **03/31/22** | $14355 | $15457 | $14235 | $14559 |
| **04/30/22** | $13627 | $14457 | $13515 | $13819 |
| **05/31/22** | $13786 | $14566 | $13848 | $13976 |
| **06/30/22** | $12502 | $13214 | $12469 | $12670 |
| **07/31/22** | $12886 | $13873 | $12729 | $13066 |
| **08/31/22** | $12378 | $13214 | $12299 | $12550 |
| **09/30/22** | $11382 | $11978 | $11197 | $11540 |
| **10/31/22** | $11952 | $12622 | $11919 | $12124 |
| **11/30/22** | $13341 | $14043 | $13229 | $13546 |
| **12/31/22** | $13408 | $14055 | $13396 | $13620 |
| **01/31/23** | $14377 | $15193 | $14430 | $14610 |
| **02/28/23** | $14088 | $14876 | $14228 | $14320 |
| **03/31/23** | $14347 | $15244 | $14191 | $14575 |
| **04/30/23** | $14772 | $15675 | $14648 | $14998 |
| **05/31/23** | $13956 | $15011 | $13859 | $14151 |
| **06/30/23** | $14730 | $15695 | $14639 | $14943 |
| **07/31/23** | $15225 | $16202 | $15304 | $15448 |
| **08/31/23** | $14683 | $15582 | $14850 | $14894 |
| **09/30/23** | $14452 | $15049 | $14724 | $14659 |
| **10/31/23** | $13940 | $14439 | $14077 | $14134 |
| **11/30/23** | $15030 | $15779 | $15192 | $15250 |
| **12/31/23** | $15694 | $16618 | $15935 | $15938 |
| **01/31/24** | $15723 | $16713 | $15924 | $15967 |
| **02/29/24** | $15974 | $17019 | $15953 | $16224 |
| **03/31/24** | $16540 | $17579 | $16649 | $16805 |
| **04/30/24** | $16256 | $17129 | $16478 | $16496 |
| **05/31/24** | $16876 | $17792 | $17128 | $17127 |
| **06/30/24** | $16512 | $17505 | $16651 | $16761 |
| **07/31/24** | $17066 | $18019 | $17431 | $17328 |
| **08/31/24** | $17630 | $18605 | $17877 | $17911 |
| **09/30/24** | $17708 | $18776 | $18131 | $17992 |
| **10/31/24** | $16872 | $17755 | $17280 | $17151 |
| **11/30/24** | $16630 | $17655 | $17147 | $16911 |
| **12/31/24** | $16327 | $17253 | $16840 | $16608 |
| **01/31/25** | $17208 | $18160 | $17699 | $17513 |
| **02/28/25** | $17755 | $18512 | $18359 | $18083 |
| **03/31/25** | $18116 | $18437 | $18787 | $18434 |
| **04/30/25** | $18921 | $19282 | $19549 | $19241 |
| **05/31/25** | $19603 | $20164 | $20334 | $19939 |
| **06/30/25** | $19942 | $20608 | $20687 | $20290 |
| **07/31/25** | $19857 | $20319 | $20740 | $20216 |
| **08/31/25** | $20709 | $21185 | $21928 | $21095 |
| **09/30/25** | $21026 | $21591 | $22216 | $21417 |
| **10/31/25** | $21235 | $21845 | $22385 | $21653 |
| **11/30/25** | $21526 | $21980 | $22994 | $21964 |
| **12/31/25** | $22395 | $22640 | $23955 | $22863 |
| **01/31/26** | $23783 | $23821 | $25320 | $24295 |
| **02/28/26** | $25290 | $24923 | $26821 | $25848 |
| **03/31/26** | $22733 | $22359 | $24433 | $23212 |

---

## Average Annual Total Returns (%)

---

| | | | |
|:---|:---|:---|:---|
| | 1 Year | 5 Years | 10 Years |
| Fund NAV Returns | 25.48% | 11.18% | 8.56% |
| MSCI EAFE Index | 21.27% | 7.91% | 8.38% |
| MSCI EAFE Value Index | 30.05% | 12.19% | 9.34% |
| WisdomTree True Developed International Index | 25.92% | 11.38% | 8.79% |

---

## Key Fund Statistics
* Total Net Assets$733,008,317

* # of Portfolio Holdings301

* Portfolio Turnover Rate22%

* Investment Advisory Fees Paid, Net$3,193,524

## What did the Fund invest in?
The tables below show the investment makeup of the Fund on March 31, 2026, as a percentage of net assets. Excluding derivatives and investment of cash collateral for securities on loan (if any).

### **Top 10 Holdings (% of Net Assets)** 

---

| | |
|:---|:---|
| Taiwan Semiconductor Manufacturing Co. Ltd. | 3.9% |
| Samsung Electronics Co. Ltd. | 2.0% |
| HSBC Holdings PLC | 1.9% |
| Shell PLC | 1.7% |
| Novartis AG, Registered Shares | 1.6% |
| Toyota Motor Corp. | 1.6% |
| Nestle SA, Registered Shares | 1.5% |
| Roche Holding AG | 1.4% |
| Intesa Sanpaolo SpA | 1.3% |
| Equinor ASA | 1.3% |

---

### **Sector Breakdown (% of Net Assets)** 

---

| | |
|:---|:---|
| Financials | 24.1% |
| Industrials | 15.1% |
| Information Technology | 11.5% |
| Health Care | 8.6% |
| Consumer Discretionary | 8.3% |
| Consumer Staples | 8.0% |
| Utilities | 6.3% |
| Communication Services | 5.9% |
| Energy | 5.2% |
| Materials | 4.9% |
| Other Sectors | 1.1% |
| Other Assets and Liabilities, Net | 1.0% |
| Total | 100.0% |

---

## Material Fund Changes
On October 23, 2025, WisdomTree International LargeCap Dividend Fund changed its name and non-fundamental investment policy adopted under Rule 35d-1 of the Investment Company Act of 1940 (the "1940 Act"). As of that date, the Fund's name changed to WisdomTree True Developed International Fund, and the Fund's Index, the WisdomTree International LargeCap Dividend Index, was renamed to the WisdomTree True Developed International Index. The Fund seeks to track the price and yield performance, before fees and expenses, of the WisdomTree True Developed International Index. The Fund invests, under normal circumstances, 80% of its net assets, plus any borrowings for investment purposes, in constituents of the Index and/or investments that have economic characteristics that are substantially similar to the economic characteristics of such constituents.

## Additional Information
If you wish to view additional information about the Fund, including, but not limited to, financial statements, holdings, prospectus and proxy voting information, please visit www.wisdomtree.com/investments/regulatory.

Phone: 1-866-909-WISE (9473)

![Image](if67539f833e7d52ab2cccd6f.jpg)

# WisdomTree True Developed International Fund
Annual Shareholder Report - March 31, 2026

# Ticker: DOL
DOL - 032026

&nbsp;&nbsp;&nbsp;&nbsp;(b) Not applicable

**Item 2. Code of Ethics.**

&nbsp;&nbsp;&nbsp;&nbsp;(a) The Registrant, as of the end of the period covered by the Shareholder Reports, has adopted a code of ethics
 that applies to the registrant's principal executive officer, principal financial officer, principal accounting officer or controller,
 or persons performing similar functions, regardless of whether these individuals are employed by the registrant or a third party (the
 "Code of Ethics").

&nbsp;&nbsp;&nbsp;&nbsp;(c) There have been no amendments, during the period covered by the Shareholder Reports, to a provision of the
 Code, and that relates to any element of the Code description.

&nbsp;&nbsp;&nbsp;&nbsp;(d) The registrant has not granted any waivers, including an implicit waiver, from a provision of the Code that
 relates to one or more of the items set forth in paragraph (d) of this item's instructions.

&nbsp;&nbsp;&nbsp;&nbsp;(e) Not applicable.

&nbsp;&nbsp;&nbsp;&nbsp;(f) A copy of the Code of Ethics is filed as an Exhibit.

**Item 3. Audit Committee Financial Expert.**

The Registrant's Board of Trustees (the "Board") has determined that the Registrant has at least one audit committee financial expert, as that term is defined under Item 3(b) and 3(c), serving on its Audit Committee. The Board has designated David Chrencik, the Chair of the Audit Committee, as the Audit Committee financial expert. Mr. Chrencik is "independent" as that term is defined under Item 3(a)(2).

**Item 4. Principal Accountant Fees and Services.**

<u>Audit Fees</u>

&nbsp;&nbsp;&nbsp;&nbsp;(a) The aggregate fees billed for each of the last two fiscal years for professional services rendered by the
 principal accountant for the audit of the Registrant's annual financial statements or services that are normally provided by the accountant
 in connection with statutory and regulatory filings or engagements for those fiscal years were $1,012,572 for the fiscal year ended March
 31, 2026 and $1,124,801 for the fiscal year ended March 31, 2025.

<u>Audit-Related Fees</u>

&nbsp;&nbsp;&nbsp;&nbsp;(b) The aggregate fees billed in each of the last two fiscal years for assurance and related services by the principal
 accountant that are reasonably related to the performance of the audit of the Registrant's financial statements and are not reported under
 paragraph (a) of this Item are $0 for the fiscal year ended March 31, 2026 and $0 for the fiscal year ended March 31, 2025.

<u>Tax Fees</u>

&nbsp;&nbsp;&nbsp;&nbsp;(c) The aggregate fees billed in each of the last two fiscal years for professional services rendered by the principal
 accountant for service fees for analysis of potential Passive Foreign Investment Companies, tax compliance, International tax compliance,
 tax advice, and tax planning are $1,309,498 for the fiscal year ended March 31, 2026 and $1,174,071 for the fiscal year ended March 31,
 2025.

<u>All Other Fees</u>

&nbsp;&nbsp;&nbsp;&nbsp;(d) The aggregate fees billed in each of the last two fiscal years for products and services provided by the principal
 accountant, other than the services reported in paragraphs (a) through (c) of this Item were $0 for the fiscal year ended March 31, 2026
 and $0 for the fiscal year ended March 31, 2025.

&nbsp;&nbsp;&nbsp;&nbsp;(e) (1) Disclose the Audit Committee's pre-approval policies and procedures described in paragraph
 (c)(7) of Rule 2-01 of Regulation S-X.

The Audit Committee's pre-approval policy and procedures provide:

The Audit Committee may pre-approve any Audit Service and any non-Audit Service that is not a prohibited non-Audit Service (collectively, "Permissible Audit and Non-Audit Services"). In addition, the Audit Committee may determine that one or more non-Audit Services not specifically prohibited by the SEC should nonetheless be treated as prohibited because such Services may impair the independence of the independent auditor in fact or appearance.

Permissible Audit and Non-Audit Services may include Audit-Related Services. Audit-Related Services are assurance and related services that are reasonably related to the performance of the audit or review of the Funds' financial statements or that are traditionally performed by the independent auditor. Permissible Audit and Non-Audit Services also may include Tax Services that the Audit Committee believes the independent auditor is best positioned to provide to the Funds. The Audit Committee, however, will not permit the retention of the independent auditor in connection with a transaction initially recommended by the independent auditor, the sole business purpose of which may be tax avoidance and the tax treatment of which may not be supported in the Internal Revenue Code of 1986, as amended, and related regulations.

The term of any pre-approval is 12 months from the date of such pre-approval unless the Audit Committee specifically pre-approves a different term.

Subject to certain limitations described in this Section, the Audit Committee has delegated its authority and responsibility to pre-approve Permissible Audit and Non-Audit Services to the Audit Committee Chairperson or, if the Audit Committee Chairperson is not available, a subcommittee of one or more Audit Committee members. Pursuant to such delegated authority, the Audit Committee Chairperson or other Audit Committee delegate may pre-approve any proposed Permissible Audit or Non-Audit Services that in the aggregate do not exceed $100,000 (excluding reasonable out-of-pocket expenses) on an annual basis. Such delegated authority is intended to be exercised primarily in connection with time-sensitive requests for the pre-approval of proposed Permissible Audit or Non-Audit Services that arise between regular meetings of the Audit Committee.

Any Permissible Audit or Non-Audit Services pre-approved pursuant to delegated authority will be reported, for informational purposes only, to the Audit Committee at its next regularly scheduled meeting. This policy does not delegate the Audit Committee's responsibilities to pre-approve services performed by the independent auditor to the Adviser.

Any request for the pre-approval of Permissible Audit and Non-Audit Services to be provided by the independent auditor shall be discussed with the WisdomTree Fund Accounting and Administration group prior to its presentation to the Audit Committee. If such request is to be pre-approved pursuant to delegated authority, the independent auditor shall submit a completed "Independent Audit Firm Audit and Non-Audit Services Pre-Approval Request" Form (the "Request Form") to the WisdomTree Fund Accounting and Administration group prior to the submission of the request to the Audit Committee Chairperson or other Audit Committee delegate. The Request Form should include a detailed description of the services proposed to be rendered together with information related to proposed or estimated fees and the independent auditor's conclusion regarding the effect of its provision of such services on its independence.

The WisdomTree Fund Accounting and Administration group will consider each such request and confirm that the proposed services constitute Permissible Audit and Non-Audit Services. The WisdomTree Fund Accounting and Administration group will then notify the Audit Committee Chairperson (or Audit Committee delegate, if appropriate) of its findings and confirmations and provide any related recommendations.

Any pre-approval of Permissible Audit and Non-Audit Services by the Audit Committee or its delegate will be documented either in the minutes of the relevant Audit Committee Meeting if the pre-approval is carried out by the Audit Committee, or by the WisdomTree Fund Accounting and Administration group with such documentation to be maintained together with the relevant Request Form if the pre-approval is carried out by the Audit Committee Chairperson or other Audit Committee delegate pursuant to delegated authority. Any Permissible Audit or Non-Audit Services pre-approved pursuant to delegated authority will be reported, for informational purposes only, to the Audit Committee at its next regularly scheduled meeting.

(e) (2) There were no services described in each of paragraphs (b) through (d) of this Item 4 that were approved by
 the audit committee pursuant to paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

&nbsp;&nbsp;&nbsp;&nbsp;(f) The percentage of hours expended on the principal accountant's engagement to audit the registrant's financial
 statements for the most recent fiscal year that were attributed to work performed by persons other than the principal accountant's full-time,
 permanent employees was less than fifty percent.

&nbsp;&nbsp;&nbsp;&nbsp;(g) The aggregate non-audit fees billed by the Registrant's principal accountant for services rendered to the
 Registrant, and rendered to the Registrant's investment adviser (not including any sub-adviser whose role is primarily portfolio management
 and is subcontracted with or overseen by another investment adviser), and any entity controlling, controlled by, or under common control
 with the adviser that provides ongoing services to the Registrant for each of the last two fiscal years of the Registrant was $2,177,498
 for the fiscal year ended March 31, 2026 and $1,174,071 for the fiscal year ended March 31, 2025.

&nbsp;&nbsp;&nbsp;&nbsp;(h) Not applicable.

&nbsp;&nbsp;&nbsp;&nbsp;(i) Not applicable.

&nbsp;&nbsp;&nbsp;&nbsp;(j) Not applicable.

**Item 5. Audit Committee of Listed Registrants.** 

**(**a) The Registrant is a listed issuer as defined in Rule 10A-3 under the Securities Exchange Act of 1934, as amended
 (the "Exchange Act"), and has a separately-designated standing Audit Committee established in accordance with Section 3(a)(58)A
 of the Exchange Act. The Registrant's Audit Committee members are David Chrencik, Philip Goff, Melinda Raso Kirstein, and Victor
 Ugolyn.

**(**b) Not applicable.

**Item 6. Investments.**

&nbsp;&nbsp;&nbsp;&nbsp;(a) Schedule of Investments in securities of unaffiliated issuers as of the close of the reporting period **is included in the financial statements filed under Item 7 of this Form.** 

**-OR-**

&nbsp;&nbsp;&nbsp;&nbsp;(b) Not applicable.

**Item 7. Financial Statements and Financial Highlights for Open-End Management Investment Companies.**

The annual financial statements are attached herewith.

**WisdomTree Trust**

**Annual Financial Statements and Other Information**

March 31, 2026

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; **WisdomTree Europe Defense Fund (WDEF)**<br> **WisdomTree Europe Hedged Equity Fund (HEDJ)**<br> **WisdomTree European Opportunities Fund (OPPE)**<br> ***(formerly, WisdomTree Europe Hedged SmallCap Equity Fund (EUSC))***<br> **WisdomTree Europe Quality Dividend Growth Fund (EUDG)**<br> **WisdomTree Europe SmallCap Dividend Fund (DFE)**<br> **WisdomTree International AI Enhanced Value Fund (AIVI)**<br> **WisdomTree International Equity Fund (DWM)**<br> **WisdomTree International Hedged Quality Dividend Growth Fund (IHDG)**<br> **WisdomTree International High Dividend Fund (DTH)**<br> **WisdomTree International MidCap Dividend Fund (DIM)**<br> **WisdomTree International Multifactor Fund (DWMF)**<br> **WisdomTree International Quality Dividend Growth Fund (IQDG)**<br> **WisdomTree International SmallCap Dividend Fund (DLS)**<br> **WisdomTree Japan Hedged Equity Fund (DXJ)**<br> **WisdomTree Japan Opportunities Fund (OPPJ)**<br> ***(formerly, WisdomTree Japan Hedged SmallCap Equity Fund (DXJS))***<br> **WisdomTree Japan SmallCap Dividend Fund (DFJ)**<br> **WisdomTree True Developed International Fund (DOL)** <br> ***(formerly, WisdomTree International LargeCap Dividend Fund)***<br>

------

**Table of Contents**

---

| | |
|:---|:---|
|  Schedules of Investments |  |
| &nbsp;&nbsp;&nbsp; [WisdomTree Europe Defense Fund](#T01) | 1 |
| &nbsp;&nbsp;&nbsp; [WisdomTree Europe Hedged Equity Fund](#T02) | 3 |
| &nbsp;&nbsp;&nbsp; [WisdomTree European Opportunities Fund *(formerly, WisdomTree Europe Hedged SmallCap Equity Fund)*](#T03) | 6 |
| &nbsp;&nbsp;&nbsp; [WisdomTree Europe Quality Dividend Growth Fund](#T04) | 11 |
| &nbsp;&nbsp;&nbsp; [WisdomTree Europe SmallCap Dividend Fund](#T05) | 15 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International AI Enhanced Value Fund](#T06) | 20 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International Equity Fund](#T07) | 23 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International Hedged Quality Dividend Growth Fund](#T08) | 39 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International High Dividend Fund](#T09) | 48 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International MidCap Dividend Fund](#T10) | 55 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International Multifactor Fund](#T11) | 63 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International Quality Dividend Growth Fund](#T12) | 68 |
| &nbsp;&nbsp;&nbsp; [WisdomTree International SmallCap Dividend Fund](#T13) | 72 |
| &nbsp;&nbsp;&nbsp; [WisdomTree Japan Hedged Equity Fund](#T14) | 85 |
| &nbsp;&nbsp;&nbsp; [WisdomTree Japan Opportunities Fund *(formerly, WisdomTree Japan Hedged SmallCap Equity Fund)*](#T15) | 92 |
| &nbsp;&nbsp;&nbsp; [WisdomTree Japan SmallCap Dividend Fund](#T16) | 95 |
| &nbsp;&nbsp;&nbsp; [WisdomTree True Developed International Fund *(formerly, WisdomTree International LargeCap Dividend Fund)*](#T17) | 106 |
|  [Statements of Assets and Liabilities](#T18) | 111 |
|  [Statements of Operations](#T19) | 116 |
|  [Statements of Changes in Net Assets](#T20) | 121 |
|  [Financial Highlights](#T21) | 130 |
|  [Notes to Financial Statements](#T22) | 139 |
|  [Report of Independent Registered Public Accounting Firm](#T23) | 158 |
|  [Supplemental Information (unaudited)](#T24) | 160 |
|  [Additional Information (unaudited)](#T25) | 161 |

---

"WisdomTree" is a registered mark of WisdomTree, Inc. and is licensed for use by the WisdomTree Trust.

------

**Schedule of Investments** <br> WisdomTree Europe Defense Fund *(WDEF)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 99.9% |  |  |
|  Cyprus – 1.3% |  |  |
|  Theon International PLC<sup>(a)</sup> | 30590 | $1089095 |
|  Czech Republic – 2.6% |  |  |
|  Colt CZ Group SE | 11184 | 474187 |
|  CSG NV<sup>\*</sup> | 61179 | 1645247 |
|  Total Czech Republic |  | 2119434 |
|  Finland – 0.6% |  |  |
|  Bittium OYJ | 11897 | 500332 |
|  France – 27.1% |  |  |
|  Airbus SE | 20504 | 3799325 |
|  Dassault Aviation SA | 10117 | 3720852 |
|  Eutelsat Communications SACA<sup>\*(a)</sup> | 150790 | 355299 |
|  Exail Technologies SA<sup>\*(a)</sup> | 6651 | 911931 |
|  Exosens SAS | 18432 | 1299726 |
|  Safran SA | 11439 | 3682496 |
|  Thales SA | 30168 | 8762886 |
|  Total France |  | 22532515 |
|  Germany – 20.4% |  |  |
|  Hensoldt AG | 44357 | 3863774 |
|  RENK Group AG | 41752 | 2436121 |
|  Rheinmetall AG | 4959 | 8253525 |
|  Tkms AG& Co. KGaA<sup>\*</sup> | 26933 | 2439131 |
|  Total Germany |  | 16992551 |
|  Italy – 7.4% |  |  |
|  Avio SpA | 6645 | 253426 |
|  Fincantieri SpA<sup>\*</sup> | 88957 | 1340651 |
|  Leonardo SpA | 67957 | 4544534 |
|  Total Italy |  | 6138611 |
|  Luxembourg – 0.4% |  |  |
|  SES SA | 43275 | 304903 |
|  Norway – 5.2% |  |  |
|  Kitron ASA | 28947 | 277852 |
|  Kongsberg Gruppen ASA | 96014 | 4068369 |
|  Total Norway |  | 4346221 |
|  Spain – 3.2% |  |  |
|  Indra Sistemas SA | 48536 | 2641811 |
|  Sweden – 6.5% |  |  |
|  INVISIO AB | 18598 | 506619 |
|  Mildef Group AB<sup>(a)</sup> | 19109 | 277621 |
|  Ovzon AB<sup>\*</sup> | 41663 | 236169 |
|  Saab AB, Class B | 67759 | 4391487 |
|  Total Sweden |  | 5411896 |
|  Switzerland – 0.1% |  |  |
|  Cicor Technologies Ltd., Registered Shares<sup>\*</sup> | 769 | 111969 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  United Kingdom – 25.1% |  |  |
|  Avon Technologies PLC | 11320 | $247500 |
|  Babcock International Group PLC | 190486 | 2908824 |
|  BAE Systems PLC | 288863 | 8380316 |
|  Chemring Group PLC | 101813 | 682045 |
|  Cohort PLC<sup>(a)</sup> | 16871 | 270088 |
|  Goodwin PLC | 966 | 142673 |
|  Melrose Industries PLC | 359204 | 2381673 |
|  QinetiQ Group PLC | 203934 | 1220931 |
|  Rolls-Royce Holdings PLC | 236993 | 3537755 |
|  Senior PLC | 58256 | 219711 |
|  Serco Group PLC | 240285 | 903061 |
|  Total United Kingdom |  | 20894577 |
|  TOTAL COMMON STOCKS<br> (Cost: $87,633,403) |  | 83083915 |
|  MUTUAL FUND – 0.1% |  |  |
|  United States – 0.1% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(b)</sup><br> (Cost: $44,441) | 44441 | 44441 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.1% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.1% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.1% |
|  United States – 2.1% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(b)</sup><br> (Cost: $1,779,292) | 1779292 | 1779292 |
|  TOTAL INVESTMENTS IN SECURITIES – 102.1% <br>(Cost: $89,457,136) | TOTAL INVESTMENTS IN SECURITIES – 102.1% <br>(Cost: $89,457,136) | 84907648 |
|  Other Liabilities less Assets – (2.1)% |  | (1765865) |
|  NET ASSETS – 100.0% |  | $83141783 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $1,310,398 and the total market value of the collateral held by the Fund was $2,384,215. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $604,923.

<sup>(b)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<u> CURRENCY ABBREVIATIONS:</u> <br> <u> GBP </u> <u> British pound </u> <br> <u> USD </u> <u> United States dollar </u>

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;1

**Schedule of Investments (concluded)**<br> WisdomTree Europe Defense Fund *(WDEF)*<br> March 31, 2026<br>

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Morgan Stanley & Co. International | 4/2/2026 | 4619 | USD | 3500 | GBP | $4 | $— |

---

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted<br>Prices in<br>Active<br>Markets<br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $83083915 | $— | $— | $83083915 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 44441 |  | 44441 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 1779292 |  | 1779292 |
|  Total Investments in Securities | $83083915 | $1823733 | $— | $84907648 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $4 | $— | $&nbsp;&nbsp;&nbsp;&nbsp; 4 |
|  Total – Net | $83083915 | $1823737 | $— | $84907652 |

---

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

2&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree Europe Hedged Equity Fund *(HEDJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 99.4% | COMMON STOCKS – 99.4% | COMMON STOCKS – 99.4% |
|  Austria – 0.6% | Austria – 0.6% | Austria – 0.6% |
|  ANDRITZ AG | 122931 | $8427644 |
|  Palfinger AG | 65339 | 2548350 |
|  Total Austria |  | 10975994 |
|  Belgium – 4.5% |  |  |
|  Anheuser-Busch InBev SA | 597592 | 41119932 |
|  Barco NV | 169632 | 1849934 |
|  Bekaert SA | 94536 | 4356974 |
|  Fagron | 121604 | 3026421 |
|  Melexis NV | 71320 | 4318291 |
|  Solvay SA | 181470 | 5532514 |
|  Syensqo SA | 85273 | 4861486 |
|  UCB SA | 35841 | 10675014 |
|  Total Belgium |  | 75740566 |
|  Brazil – 0.1% |  |  |
|  Pluxee NV<sup>(a)</sup> | 75495 | 914216 |
|  Finland – 5.0% |  |  |
|  Hiab OYJ, Class B | 83511 | 3891192 |
|  Huhtamaki OYJ | 173688 | 5591445 |
|  Kalmar OYJ, Class B<sup>\*</sup> | 94058 | 4699080 |
|  Kemira OYJ | 261171 | 5657318 |
|  Kone OYJ, Class B | 388651 | 24530682 |
|  Konecranes OYJ | 270297 | 8701526 |
|  Metso OYJ | 687723 | 11679893 |
|  Valmet OYJ<sup>(a)</sup> | 263332 | 7394128 |
|  Wartsila OYJ Abp | 343056 | 12533982 |
|  Total Finland |  | 84679246 |
|  France – 16.4% |  |  |
|  Accor SA | 18512 | 866405 |
|  Air Liquide SA | 128979 | 26440617 |
|  Airbus SE | 84156 | 15593836 |
|  BioMerieux | 3689 | 390193 |
|  Cie Generale des Etablissements Michelin SCA | 279907 | 9414032 |
|  Danone SA | 347989 | 27681786 |
|  Dassault Systemes SE | 76765 | 1527508 |
|  EssilorLuxottica SA | 72238 | 16513350 |
|  Etablissements Maurel & Prom SA | 23247 | 289280 |
|  Gaztransport & Technigaz SA | 1351 | 316306 |
|  Hermes International SCA | 8842 | 16392091 |
|  Ipsen SA | 5405 | 998913 |
|  Kering SA | 14471 | 4278416 |
|  Legrand SA | 43938 | 6667359 |
|  L'Oreal SA | 133199 | 53615396 |
|  LVMH Moet Hennessy Louis Vuitton SE | 135471 | 72285124 |
|  Nexans SA | 3339 | 442043 |
|  Opmobility | 14772 | 254964 |
|  Planisware SA | 999 | 16552 |
|  Publicis Groupe SA | 76641 | 6255579 |
|  Rubis SCA | 11331 | 449895 |
|  Safran SA | 38764 | 12479087 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  SCOR SE | 103161 | $3632425 |
|  Technip Energies NV | 13374 | 563680 |
|  Valeo SE | 22357 | 266098 |
|  Vallourec SACA | 19562 | 490231 |
|  Vicat SACA | 4115 | 295383 |
|  Total France |  | 278416549 |
|  Germany – 24.1% |  |  |
|  adidas AG | 21415 | 3371751 |
|  AIXTRON SE | 9106 | 343086 |
|  BASF SE | 685121 | 41364366 |
|  Bayer AG, Registered Shares | 68463 | 3106809 |
|  Bayerische Motoren Werke AG | 445787 | 40063585 |
|  Beiersdorf AG | 22237 | 1962092 |
|  Continental AG | 128295 | 8810160 |
|  Daimler Truck Holding AG | 639850 | 30573138 |
|  Deutsche Telekom AG, Registered Shares | 2245833 | 82675367 |
|  Eckert & Ziegler SE | 3077 | 51833 |
|  Elmos Semiconductor SE | 1847 | 306023 |
|  Fresenius Medical Care AG | 108310 | 4813334 |
|  GEA Group AG | 49953 | 3522417 |
|  Hannover Rueck SE | 60795 | 18758851 |
|  Heidelberg Materials AG | 61789 | 12697321 |
|  Henkel AG & Co. KGaA | 97400 | 6935460 |
|  HochTief AG | 28925 | 12757721 |
|  Hugo Boss AG | 5578 | 236063 |
|  Infineon Technologies AG | 174860 | 7655999 |
|  Knorr-Bremse AG | 35828 | 4010451 |
|  Krones AG | 1384 | 183703 |
|  MTU Aero Engines AG | 2465 | 880454 |
|  SAP SE | 181628 | 30742020 |
|  Schaeffler AG | 387754 | 3151963 |
|  Siemens AG, Registered Shares | 246940 | 58526634 |
|  Siemens Healthineers AG<sup>(b)</sup> | 314772 | 13165293 |
|  Symrise AG | 18795 | 1586056 |
|  Talanx AG | 136137 | 16564102 |
|  Total Germany |  | 408816052 |
|  Ireland – 0.8% |  |  |
|  Glanbia PLC | 323869 | 6325093 |
|  Kerry Group PLC, Class A | 87172 | 6870066 |
|  Total Ireland |  | 13195159 |
|  Italy – 6.0% |  |  |
|  Brembo NV | 528208 | 4938799 |
|  Brunello Cucinelli SpA<sup>(a)</sup> | 45824 | 3937705 |
|  Carel Industries SpA<sup>(b)</sup> | 164626 | 4182489 |
|  DiaSorin SpA<sup>(a)</sup> | 59344 | 4101201 |
|  El.En. SpA<sup>(a)</sup> | 134875 | 1909902 |
|  Ferrari NV | 36773 | 12244885 |
|  Ferretti SpA<sup>(a)</sup> | 522945 | 2404123 |
|  Leonardo SpA | 150322 | 10052585 |
|  Maire SpA | 378679 | 5802975 |
|  Moncler SpA | 178010 | 10542299 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;3

**Schedule of Investments (continued)**<br> WisdomTree Europe Hedged Equity Fund *(HEDJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Pirelli & C SpA<sup>(b)</sup> | 1502619 | $10221698 |
|  Prysmian SpA | 78452 | 8928959 |
|  Reply SpA | 30877 | 2872800 |
|  Saipem SpA | 3481568 | 15700863 |
|  Webuild SpA<sup>(a)</sup> | 1281558 | 3340094 |
|  Total Italy |  | 101181377 |
|  Netherlands – 14.6% |  |  |
|  Akzo Nobel NV | 142188 | 8060386 |
|  AMG Critical Materials NV | 51993 | 2038013 |
|  Arcadis NV | 91613 | 2894359 |
|  ASM International NV | 10117 | 7425385 |
|  ASML Holding NV | 72200 | 93104937 |
|  BE Semiconductor Industries NV | 41756 | 8609509 |
|  Corbion NV | 98911 | 2137988 |
|  Havas NV<sup>\*</sup> | 182583 | 3153478 |
|  Heineken Holding NV | 188891 | 13352225 |
|  Heineken NV | 299171 | 22853927 |
|  Koninklijke Ahold Delhaize NV | 542135 | 25167062 |
|  Koninklijke Philips NV | 661798 | 17797300 |
|  Koninklijke Vopak NV | 161486 | 8726408 |
|  SBM Offshore NV | 265692 | 10598230 |
|  Universal Music Group NV | 760485 | 14576098 |
|  Wolters Kluwer NV | 108632 | 8088212 |
|  Total Netherlands |  | 248583517 |
|  Portugal – 0.2% |  |  |
|  Altri SGPS SA<sup>(a)</sup> | 296672 | 1673235 |
|  Mota-Engil SGPS SA<sup>(a)</sup> | 446493 | 2277981 |
|  Total Portugal |  | 3951216 |
|  Spain – 16.6% |  |  |
|  ACS Actividades de Construccion y Servicios SA | 215146 | 25978996 |
|  Amadeus IT Group SA | 188515 | 10573635 |
|  Banco Bilbao Vizcaya Argentaria SA | 4643213 | 97635844 |
|  Banco Santander SA | 7266891 | 79458922 |
|  CIE Automotive SA | 223045 | 6900246 |
|  Ebro Foods SA | 277345 | 6007669 |
|  Elecnor SA | 134239 | 5196917 |
|  Fluidra SA | 230547 | 5251628 |
|  Gestamp Automocion SA<sup>(b)</sup> | 1045380 | 3541191 |
|  Grifols SA<sup>(a)</sup> | 480317 | 4956440 |
|  Mapfre SA | 4202054 | 18465885 |
|  Prosegur Cash SA<sup>(a)(b)</sup> | 2340572 | 1693595 |
|  Prosegur Cia de Seguridad SA | 980311 | 2919794 |
|  Puig Brands SA, Class B<sup>(a)</sup> | 414354 | 8063601 |
|  Viscofan SA | 80935 | 5613848 |
|  Total Spain |  | 282258211 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  United States – 10.5% |  |  |
|  Acerinox SA | 445096 | $6133561 |
|  Aegon Ltd. | 1899690 | 13631987 |
|  Ferrovial SE | 336812 | 21507102 |
|  QIAGEN NV | 5770 | 230991 |
|  Sanofi SA | 779719 | 74314995 |
|  Schneider Electric SE | 107862 | 28472222 |
|  Signify NV<sup>(b)</sup> | 210732 | 4385065 |
|  Tenaris SA | 1008491 | 29630571 |
|  Total United States |  | 178306494 |
|  TOTAL COMMON STOCKS<br> (Cost: $1,290,210,671) |  | 1687018597 |
|  MUTUAL FUND – 0.1% | MUTUAL FUND – 0.1% | MUTUAL FUND – 0.1% |
|  United States – 0.1% | United States – 0.1% | United States – 0.1% |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $1,013,612) | 1013612 | 1013612 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% |
|  United States – 0.7% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup> | 630814 | 630814 |
|  WisdomTree Treasury Money Market Digital Fund, 3.43%<sup>(c)(d)</sup> | 11100000 | 11100000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $11,730,814) | TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $11,730,814) | 11730814 |
|  TOTAL INVESTMENTS IN SECURITIES – 100.2% <br> (Cost: $1,302,955,097) | TOTAL INVESTMENTS IN SECURITIES – 100.2% <br> (Cost: $1,302,955,097) | 1699763023 |
|  Other Liabilities less Assets – (0.2)% |  | (3134716) |
|  NET ASSETS – 100.0% |  | $1696628307 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $20,904,461. The Fund also had securities on loan having a total market value of $27,796 that were sold and pending settlement. The total market value of the collateral held by the Fund was $21,782,430. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $10,051,616.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<sup>(d)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

<u> CURRENCY ABBREVIATIONS:</u> <br> <u> EUR </u>   <u> Euro </u> <br> <u> USD </u>   <u> United States dollar </u>

*See Notes to Financial Statements.*

4&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (concluded)**<br> WisdomTree Europe Hedged Equity Fund *(HEDJ)*<br> March 31, 2026<br>

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/ <br>Additions | Sales/<br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Securities <br>Lending <br>Income |
|  WisdomTree Treasury Money Market Digital Fund | $— | $108000000 | $96900000 | $— | $— | $11100000 | $162700 |

---

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement <br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized <br>Appreciation | Unrealized <br>Depreciation |
|  Barclays Bank PLC | 4/7/2026 | 321890029 | EUR | 370964739 | USD | $3310 | $— |
|  Barclays Bank PLC | 4/7/2026 | 376046448 | USD | 317963970 | EUR | 9603058 |  |
|  Barclays Bank PLC | 5/6/2026 | 337873152 | USD | 292770661 | EUR |  | (2266) |
|  Deutsche Bank AG | 4/7/2026 | 321890867 | EUR | 370964739 | USD | 4276 |  |
|  Deutsche Bank AG | 4/7/2026 | 376046448 | USD | 317964238 | EUR | 9602748 |  |
|  Deutsche Bank AG | 5/6/2026 | 337873152 | USD | 292770914 | EUR |  | (2559) |
|  Goldman Sachs | 4/7/2026 | 9774670 | EUR | 11292686 | USD |  | (27689) |
|  Goldman Sachs | 4/7/2026 | 321889750 | EUR | 370964739 | USD | 2988 |  |
|  Goldman Sachs | 4/7/2026 | 376046448 | USD | 317963701 | EUR | 9603367 |  |
|  Goldman Sachs | 5/6/2026 | 337873152 | USD | 292770407 | EUR |  | (1974) |
|  HSBC Holdings PLC | 4/7/2026 | 321893101 | EUR | 370964739 | USD | 6851 |  |
|  HSBC Holdings PLC | 4/7/2026 | 7349056 | EUR | 8469515 | USD | 39 |  |
|  HSBC Holdings PLC | 5/6/2026 | 337873152 | USD | 292772183 | EUR |  | (4023) |
|  JPMorgan Chase Bank NA | 4/7/2026 | 4774201 | EUR | 5646343 | USD |  | (144227) |
|  Royal Bank of Canada | 4/7/2026 | 376046448 | USD | 317964238 | EUR | 9602748 |  |
|  UBS Group AG | 4/7/2026 | 321890027 | EUR | 370964737 | USD | 3310 |  |
|  UBS Group AG | 4/7/2026 | 376046445 | USD | 317965849 | EUR | 9600889 |  |
|  UBS Group AG | 5/6/2026 | 337873149 | USD | 292770658 | EUR |  | (2267) |
|  |  |  |  |  |  | $48033584 | $(185005) |

---

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $1687018597 | $— | $— | $1687018597 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 1013612 | &nbsp;&nbsp;&nbsp;&nbsp;— | 1013612 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 11730814 | &nbsp;&nbsp;&nbsp;&nbsp;— | 11730814 |
|  Total Investments in Securities | $1687018597 | $12744426 | $— | $1699763023 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $48033584 | $— | $48033584 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(185005) | $— | $(185005) |
|  Total – Net | $1687018597 | $60593005 | $— | $1747611602 |

---

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;5

**Schedule of Investments** <br> WisdomTree European Opportunities Fund *(OPPE)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 99.1% |  |  |
|  Australia – 2.7% |  |  |
|  Glencore PLC<sup>\*</sup> | 981779 | $&nbsp;&nbsp;&nbsp; 7321366 |
|  Czech Republic – 2.1% |  |  |
|  Colt CZ Group SE | 91573 | 3882578 |
|  Komercni Banka AS | 33638 | 1702299 |
|  Total Czech Republic |  | 5584877 |
|  Denmark – 3.3% |  |  |
|  Danske Bank AS | 87806 | 4228238 |
|  Tryg AS | 196078 | 4659022 |
|  Total Denmark |  | 8887260 |
|  Finland – 4.8% |  |  |
|  Fortum OYJ<sup>(a)</sup> | 169236 | 4266462 |
|  Nokia OYJ | 653936 | 5120548 |
|  Nordea Bank Abp | 214239 | 3622467 |
|  Total Finland |  | 13009477 |
|  France – 13.4% |  |  |
|  Alstom SA<sup>\*</sup> | 148853 | 4160794 |
|  AXA SA | 58669 | 2652562 |
|  BNP Paribas SA | 22499 | 2099532 |
|  Bureau Veritas SA | 48316 | 1430711 |
|  Eiffage SA | 5234 | 790915 |
|  Engie SA | 47402 | 1513425 |
|  Klepierre SA | 54279 | 2027555 |
|  Rexel SA | 75703 | 2902847 |
|  Societe Generale SA | 52455 | 3732690 |
|  Thales SA | 11829 | 3435965 |
|  TotalEnergies SE | 58725 | 5474608 |
|  Veolia Environnement SA | 104896 | 3947325 |
|  Vinci SA | 13733 | 2030903 |
|  Total France |  | 36199832 |
|  Germany – 9.5% |  |  |
|  BASF SE | 67630 | 4083180 |
|  Deutsche Post AG, Registered Shares | 60559 | 3122479 |
|  Fresenius Medical Care AG | 69244 | 3077227 |
|  GEA Group AG | 22921 | 1616266 |
|  Heidelberg Materials AG | 17123 | 3518688 |
|  Mercedes-Benz Group AG | 29530 | 1782542 |
|  Siemens AG, Registered Shares | 14305 | 3390392 |
|  Siemens Healthineers AG<sup>(b)</sup> | 14525 | 607506 |
|  thyssenkrupp AG | 521858 | 4453115 |
|  Total Germany |  | 25651395 |
|  Ireland – 1.7% |  |  |
|  AIB Group PLC | 446072 | 4633386 |
|  Italy – 9.1% |  |  |
|  Banca Mediolanum SpA | 73328 | 1459962 |
|  Banca Monte dei Paschi di Siena SpA | 255610 | 2187354 |
|  Banco BPM SpA | 128802 | 1760091 |
|  Enel SpA | 239534 | 2587416 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Eni SpA | 235059 | $&nbsp;&nbsp;&nbsp; 6730248 |
|  Intesa Sanpaolo SpA | 435279 | 2588388 |
|  Leonardo SpA | 64986 | 4345853 |
|  Ryanair Holdings PLC | 102913 | 2830417 |
|  Total Italy |  | 24489729 |
|  Luxembourg – 2.5% |  |  |
|  ArcelorMittal SA | 110980 | 5605870 |
|  Eurofins Scientific SE | 16626 | 1200345 |
|  Total Luxembourg |  | 6806215 |
|  Norway – 3.3% |  |  |
|  DNB Bank ASA | 100396 | 3104346 |
|  Equinor ASA | 74837 | 3229816 |
|  Norsk Hydro ASA | 246068 | 2589272 |
|  Total Norway |  | 8923434 |
|  Poland – 7.8% |  |  |
|  Allegro.eu SA<sup>\*(b)</sup> | 354193 | 2504400 |
|  Bank Polska Kasa Opieki SA | 31626 | 1845108 |
|  Budimex SA | 19974 | 3541480 |
|  Grupa Kety SA | 13142 | 3472290 |
|  ORLEN SA | 176627 | 6364740 |
|  Powszechny Zaklad Ubezpieczen SA | 84009 | 1443547 |
|  Santander Bank Polska SA | 11912 | 1862823 |
|  Total Poland |  | 21034388 |
|  Portugal – 1.7% |  |  |
|  EDP SA | 851711 | 4440569 |
|  Spain – 0.8% |  |  |
|  Banco Bilbao Vizcaya Argentaria SA | 43717 | 919265 |
|  Endesa SA | 28636 | 1190438 |
|  Total Spain |  | 2109703 |
|  Sweden – 5.2% |  |  |
|  Evolution AB<sup>(b)</sup> | 40350 | 2478711 |
|  Hexagon AB, Class B | 476177 | 4500720 |
|  Skandinaviska Enskilda Banken AB, Class A<sup>(a)</sup> | 184346 | 3334241 |
|  Skanska AB, Class B | 140169 | 3716750 |
|  Total Sweden |  | 14030422 |
|  Switzerland – 4.2% |  |  |
|  ABB Ltd., Registered Shares | 61831 | 4866147 |
|  Kuehne & Nagel International AG, Registered Shares | 9456 | 2121731 |
|  Logitech International SA, Registered Shares | 28590 | 2574541 |
|  Swiss Life Holding AG, Registered Shares | 1535 | 1652004 |
|  Total Switzerland |  | 11214423 |
|  United Kingdom – 18.3% |  |  |
|  Admiral Group PLC | 49918 | 2073545 |
|  Aviva PLC | 224596 | 1778232 |
|  BAE Systems PLC | 138320 | 4012855 |
|  British American Tobacco PLC | 24749 | 1426541 |
|  Centrica PLC | 1473173 | 4128179 |
|  HSBC Holdings PLC | 275575 | 4439301 |

---

*See Notes to Financial Statements.*

6&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree European Opportunities Fund *(OPPE)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Imperial Brands PLC | 68616 | $&nbsp;&nbsp;&nbsp; 2766092 |
|  International Consolidated Airlines Group SA | 409794 | 1890302 |
|  J Sainsbury PLC | 703097 | 3143118 |
|  Melrose Industries PLC | 119881 | 794861 |
|  NatWest Group PLC | 497543 | 3629598 |
|  Next PLC | 7483 | 1250747 |
|  Reckitt Benckiser Group PLC | 37965 | 2547278 |
|  RELX PLC | 43915 | 1433869 |
|  Sage Group PLC | 104330 | 1152644 |
|  Segro PLC | 204924 | 1739761 |
|  Smiths Group PLC | 121108 | 3641275 |
|  Tesco PLC | 534109 | 3332181 |
|  Vodafone Group PLC | 2881491 | 4305196 |
|  Total United Kingdom |  | 49485575 |
|  United States – 8.7% |  |  |
|  AP Moller – Maersk AS, Class B | 1992 | 4931316 |
|  GSK PLC | 99992 | 2721578 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 15179 | 1226334 |
|  Novartis AG, Registered Shares | 21390 | 3217218 |
|  Sanofi SA | 32505 | 3098050 |
|  Schneider Electric SE | 13736 | 3625878 |
|  Shell PLC | 98997 | 4677509 |
|  Total United States |  | 23497883 |
|  TOTAL COMMON STOCKS<br> (Cost: $246,902,315) |  | 267319934 |
|  MUTUAL FUND – 0.0% |  |  |
|  United States – 0.0% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $6,453) | 6453 | 6453 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.8% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.8% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.8% |
|  United States – 2.8% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup> | 346549 | $&nbsp;&nbsp;&nbsp; 346549 |
|  WisdomTree Treasury Money Market Digital Fund, 3.43%<sup>(c)(d)</sup> | 7300000 | 7300000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $7,646,549) | TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $7,646,549) | 7646549 |
|  TOTAL INVESTMENTS IN SECURITIES – 101.9% <br> (Cost: $254,555,317) | TOTAL INVESTMENTS IN SECURITIES – 101.9% <br> (Cost: $254,555,317) | 274972936 |
|  Other Liabilities less Assets – (1.9)% |  | (5126172) |
|  NET ASSETS – 100.0% |  | $&nbsp;&nbsp;&nbsp; 269846764 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $7,379,534 and the total market value of the collateral held by the Fund was $7,646,549.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<sup>(d)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

---

| | |
|:---|:---|
| CURRENCY ABBREVIATIONS: | CURRENCY ABBREVIATIONS: |
|  CHF | Swiss franc |
|  CZK | Czech koruna |
|  DKK | Danish krone |
|  EUR | Euro |
|  GBP | British pound |
|  NOK | Norwegian krone |
|  PLN | Polish zloty |
|  SEK | Swedish krona |
|  USD | United States dollar |

---

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at<br> 3/31/2025 | Purchases/<br>Additions | Sales/<br>Reductions | Realized<br> Gain/(Loss) | Change in <br>Unrealized<br>Appreciation/<br>Depreciation | Value at<br>3/31/2026 | Securities <br>Lending<br>Income |
|  WisdomTree Treasury Money Market Digital Fund | $— | $8200000 | $900000 | $— | $— | $7300000 | $6717 |

---

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Barclays Bank PLC | 4/3/2026 | 3160397 | PLN | 847726 | USD | $7 | $— |
|  Barclays Bank PLC | 4/3/2026 | 797860 | USD | 2850759 | PLN | 33184 |  |
|  Barclays Bank PLC | 4/3/2026 | 207776 | USD | 766099 | PLN | 2281 |  |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;7

**Schedule of Investments (continued)**<br> WisdomTree European Opportunities Fund *(OPPE)*<br> March 31, 2026<br>

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Barclays Bank PLC | 4/3/2026 | 41555 | USD | 154638 | PLN | $75  | $— |
|  Barclays Bank PLC | 4/7/2026 | 2964016 | CHF | 3690636 | USD | 40  |  |
|  Barclays Bank PLC | 4/7/2026 | 4106287 | CZK | 192596 | USD | 1  |  |
|  Barclays Bank PLC | 4/7/2026 | 7563092 | SEK | 794130 | USD | 1  |  |
|  Barclays Bank PLC | 4/7/2026 | 3473540 | USD | 2661225 | CHF | 159887  |  |
|  Barclays Bank PLC | 4/7/2026 | 904568 | USD | 702359 | CHF | 30018  |  |
|  Barclays Bank PLC | 4/7/2026 | 180913 | USD | 141484 | CHF | 4743  |  |
|  Barclays Bank PLC | 4/7/2026 | 181267 | USD | 3717915 | CZK | 6885  |  |
|  Barclays Bank PLC | 4/7/2026 | 47205 | USD | 993557 | CZK | 604  |  |
|  Barclays Bank PLC | 4/7/2026 | 9441 | USD | 199279 | CZK | 94  |  |
|  Barclays Bank PLC | 4/7/2026 | 19100629 | USD | 16150430 | EUR | 487771  |  |
|  Barclays Bank PLC | 4/7/2026 | 4974122 | USD | 4285033 | EUR | 35757  |  |
|  Barclays Bank PLC | 4/7/2026 | 994824 | USD | 858203 | EUR | 5772  |  |
|  Barclays Bank PLC | 4/7/2026 | 7123200 | USD | 5297769 | GBP | 137121  |  |
|  Barclays Bank PLC | 4/7/2026 | 1855000 | USD | 1384905 | GBP | 28749  |  |
|  Barclays Bank PLC | 4/7/2026 | 371000 | USD | 278893 | GBP | 3228  |  |
|  Barclays Bank PLC | 4/7/2026 | 747416 | USD | 6731430 | SEK | 40610  |  |
|  Barclays Bank PLC | 4/7/2026 | 194640 | USD | 1788468 | SEK | 6849  |  |
|  Barclays Bank PLC | 4/7/2026 | 38928 | USD | 361744 | SEK | 945  |  |
|  Barclays Bank PLC | 4/8/2026 | 652430 | USD | 4120191 | DKK | 17090  |  |
|  Barclays Bank PLC | 4/8/2026 | 169904 | USD | 1093258 | DKK | 1322  |  |
|  Barclays Bank PLC | 4/8/2026 | 33981 | USD | 218959 | DKK | 217  |  |
|  Barclays Bank PLC | 5/6/2026 | 3134328 | USD | 2509243 | CHF | —  | (96) |
|  Barclays Bank PLC | 5/6/2026 | 281552 | USD | 6000974 | CZK | —  | (7) |
|  Barclays Bank PLC | 5/6/2026 | 1043808 | USD | 3891647 | PLN | 1  |  |
|  Barclays Bank PLC | 5/6/2026 | 2800972 | USD | 26636249 | SEK | —  | (36) |
|  Deutsche Bank AG | 4/3/2026 | 3160398 | PLN | 847726 | USD | 7  |  |
|  Deutsche Bank AG | 4/3/2026 | 797860 | USD | 2850783 | PLN | 33177  |  |
|  Deutsche Bank AG | 4/7/2026 | 2964002 | CHF | 3690636 | USD | 22  |  |
|  Deutsche Bank AG | 4/7/2026 | 4106242 | CZK | 192596 | USD | —  | (1) |
|  Deutsche Bank AG | 4/7/2026 | 7563037 | SEK | 794130 | USD | —  | (5) |
|  Deutsche Bank AG | 4/7/2026 | 3473540 | USD | 2661220 | CHF | 159894  |  |
|  Deutsche Bank AG | 4/7/2026 | 181267 | USD | 3717931 | CZK | 6885  |  |
|  Deutsche Bank AG | 4/7/2026 | 19100629 | USD | 16150444 | EUR | 487755  |  |
|  Deutsche Bank AG | 4/7/2026 | 7123200 | USD | 5297765 | GBP | 137127  |  |
|  Deutsche Bank AG | 4/7/2026 | 747416 | USD | 6731476 | SEK | 40605  |  |
|  Deutsche Bank AG | 4/8/2026 | 652430 | USD | 4120230 | DKK | 17084  |  |
|  Deutsche Bank AG | 5/6/2026 | 3134328 | USD | 2509223 | CHF | —  | (72) |
|  Deutsche Bank AG | 5/6/2026 | 281552 | USD | 6001095 | CZK | —  | (13) |
|  Deutsche Bank AG | 5/6/2026 | 1043808 | USD | 3891778 | PLN | —  | (34) |
|  Deutsche Bank AG | 5/6/2026 | 2800972 | USD | 26636547 | SEK | —  | (68) |
|  Goldman Sachs | 4/3/2026 | 3160398 | PLN | 847726 | USD | 7  |  |
|  Goldman Sachs | 4/3/2026 | 797860 | USD | 2850742 | PLN | 33188  |  |
|  Goldman Sachs | 4/7/2026 | 2964024 | CHF | 3690636 | USD | 50  |  |
|  Goldman Sachs | 4/7/2026 | 4106293 | CZK | 192596 | USD | 2  |  |
|  Goldman Sachs | 4/7/2026 | 7563171 | SEK | 794130 | USD | 9  |  |
|  Goldman Sachs | 4/7/2026 | 3473540 | USD | 2661211 | CHF | 159905  |  |
|  Goldman Sachs | 4/7/2026 | 181267 | USD | 3717895 | CZK | 6886  |  |
|  Goldman Sachs | 4/7/2026 | 19100629 | USD | 16150416 | EUR | 487786  |  |
|  Goldman Sachs | 4/7/2026 | 7123200 | USD | 5297745 | GBP | 137153  |  |
|  Goldman Sachs | 4/7/2026 | 747416 | USD | 6731371 | SEK | 40617  |  |

---

*See Notes to Financial Statements.*

8&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree European Opportunities Fund *(OPPE)*<br> March 31, 2026<br>

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Goldman Sachs | 4/8/2026 | 652430 | USD | 4120120 | DKK | $17101 | $— |
|  Goldman Sachs | 5/6/2026 | 3134328 | USD | 2509302 | CHF |  | (170) |
|  Goldman Sachs | 5/6/2026 | 281552 | USD | 6000912 | CZK |  | (4) |
|  Goldman Sachs | 5/6/2026 | 1043808 | USD | 3891724 | PLN |  | (20) |
|  Goldman Sachs | 5/6/2026 | 2800972 | USD | 26636810 | SEK |  | (95) |
|  HSBC Holdings PLC | 4/2/2026 | 985000 | PLN | 265005 | USD |  | (792) |
|  HSBC Holdings PLC | 4/3/2026 | 3160368 | PLN | 847726 | USD |  | (1) |
|  HSBC Holdings PLC | 4/7/2026 | 2963979 | CHF | 3690636 | USD |  | (5) |
|  HSBC Holdings PLC | 4/7/2026 | 4106243 | CZK | 192596 | USD |  | (1) |
|  HSBC Holdings PLC | 4/7/2026 | 7563005 | SEK | 794130 | USD |  | (8) |
|  HSBC Holdings PLC | 5/6/2026 | 3134328 | USD | 2509243 | CHF |  | (96) |
|  HSBC Holdings PLC | 5/6/2026 | 281552 | USD | 6001253 | CZK |  | (20) |
|  HSBC Holdings PLC | 5/6/2026 | 1043808 | USD | 3891796 | PLN |  | (39) |
|  HSBC Holdings PLC | 5/6/2026 | 2800972 | USD | 26636740 | SEK |  | (88) |
|  JPMorgan Chase Bank NA | 4/7/2026 | 88046970 | EUR | 101472090 | USD |  | (750) |
|  JPMorgan Chase Bank NA | 4/8/2026 | 22477054 | DKK | 3466034 | USD |  | (38) |
|  JPMorgan Chase Bank NA | 5/6/2026 | 4448837 | USD | 43341314 | NOK | 29 |  |
|  Morgan Stanley & Co. International | 4/3/2026 | 207776 | USD | 773162 | PLN | 386 |  |
|  Morgan Stanley & Co. International | 4/7/2026 | 904568 | USD | 712005 | CHF | 18007 |  |
|  Morgan Stanley & Co. International | 4/7/2026 | 47205 | USD | 1004731 | CZK | 80 |  |
|  Morgan Stanley & Co. International | 4/7/2026 | 4974122 | USD | 4326851 | EUR |  | (12437) |
|  Morgan Stanley & Co. International | 4/7/2026 | 1855000 | USD | 1394616 | GBP | 15943 |  |
|  Morgan Stanley & Co. International | 4/7/2026 | 194640 | USD | 1819161 | SEK | 3627 |  |
|  Morgan Stanley & Co. International | 4/8/2026 | 169904 | USD | 1104069 | DKK |  | (345) |
|  Royal Bank of Canada | 4/1/2026 | 99022 | EUR | 740000 | DKK |  | (9) |
|  Royal Bank of Canada | 4/3/2026 | 797860 | USD | 2850793 | PLN | 33175 |  |
|  Royal Bank of Canada | 4/7/2026 | 570000 | GBP | 603277 | CHF | 447 |  |
|  Royal Bank of Canada | 4/7/2026 | 3473540 | USD | 2661183 | CHF | 159939 |  |
|  Royal Bank of Canada | 4/7/2026 | 181267 | USD | 3717914 | CZK | 6885 |  |
|  Royal Bank of Canada | 4/7/2026 | 19100629 | USD | 16150444 | EUR | 487755 |  |
|  Royal Bank of Canada | 4/7/2026 | 7123200 | USD | 5297761 | GBP | 137132 |  |
|  Royal Bank of Canada | 4/7/2026 | 747416 | USD | 6731316 | SEK | 40622 |  |
|  Royal Bank of Canada | 4/8/2026 | 652430 | USD | 4120171 | DKK | 17093 |  |
|  Standard Chartered Bank | 4/2/2026 | 2670000 | CZK | 125561 | USD |  | (334) |
|  Standard Chartered Bank | 4/7/2026 | 2360000 | NOK | 2305342 | SEK | 139 |  |
|  Standard Chartered Bank | 4/7/2026 | 392529 | USD | 340000 | EUR | 781 |  |
|  UBS Group AG | 4/3/2026 | 763870 | PLN | 207776 | USD |  | (2879) |
|  UBS Group AG | 4/3/2026 | 3160389 | PLN | 847724 | USD | 6 |  |
|  UBS Group AG | 4/3/2026 | 797857 | USD | 2850753 | PLN | 33182 |  |
|  UBS Group AG | 4/7/2026 | 704118 | CHF | 904568 | USD |  | (27827) |
|  UBS Group AG | 4/7/2026 | 2964013 | CHF | 3690633 | USD | 40 |  |
|  UBS Group AG | 4/7/2026 | 995048 | CZK | 47205 | USD |  | (534) |
|  UBS Group AG | 4/7/2026 | 4106197 | CZK | 192596 | USD |  | (3) |
|  UBS Group AG | 4/7/2026 | 4295238 | EUR | 4974122 | USD |  | (23996) |
|  UBS Group AG | 4/7/2026 | 1384513 | GBP | 1855000 | USD |  | (29266) |
|  UBS Group AG | 4/7/2026 | 28696552 | GBP | 37842000 | USD |  | (340) |
|  UBS Group AG | 4/7/2026 | 1793025 | SEK | 194640 | USD |  | (6371) |
|  UBS Group AG | 4/7/2026 | 7563143 | SEK | 794127 | USD | 9 |  |
|  UBS Group AG | 4/7/2026 | 3473536 | USD | 2661239 | CHF | 159866 |  |
|  UBS Group AG | 4/7/2026 | 181266 | USD | 3717927 | CZK | 6884 |  |
|  UBS Group AG | 4/7/2026 | 19100628 | USD | 16150525 | EUR | 487661 |  |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;9

**Schedule of Investments (concluded)**<br> WisdomTree European Opportunities Fund *(OPPE)*<br> March 31, 2026<br>

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  UBS Group AG | 4/7/2026 | 7123200 | USD | 5297760 | GBP | $137133 | $— |
|  UBS Group AG | 4/7/2026 | 747415 | USD | 6731511 | SEK | 40601 |  |
|  UBS Group AG | 4/8/2026 | 1095926 | DKK | 169904 | USD |  | (911) |
|  UBS Group AG | 4/8/2026 | 652429 | USD | 4120162 | DKK | 17094 |  |
|  UBS Group AG | 5/6/2026 | 3134325 | USD | 2509215 | CHF |  | (65) |
|  UBS Group AG | 5/6/2026 | 281548 | USD | 6000973 | CZK |  | (11) |
|  UBS Group AG | 5/6/2026 | 1043807 | USD | 3891707 | PLN |  | (16) |
|  UBS Group AG | 5/6/2026 | 2800968 | USD | 26636842 | SEK |  | (103) |
|  |  |  |  |  |  | $4573028 | $(107906) |

---

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted<br>Prices in<br>Active<br>Markets<br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $267319934 | $— | $—  | $267319934 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 6453 |  | 6453 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 7646549 |  | 7646549 |
|  Total Investments in Securities | $267319934 | $7653002 | $—  | $274972936 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $4573028 | $—  | $4573028 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(107906) | $—  | $(107906) |
|  Total – Net | $267319934 | $12118124 | $—  | $279438058 |

---

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

10&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree Europe Quality Dividend Growth Fund *(EUDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.9% |  |  |
|  Austria – 2.2% |  |  |
|  ANDRITZ AG | 1637 | $112226 |
|  BAWAG Group AG<sup>\*(a)</sup> | 2145 | 320055 |
|  Erste Group Bank AG | 6139 | 654286 |
|  Kontron AG | 825 | 17937 |
|  Raiffeisen Bank International AG<sup>\*</sup> | 6959 | 291540 |
|  Wienerberger AG | 1707 | 44804 |
|  Total Austria |  | 1440848 |
|  Belgium – 0.4% |  |  |
|  Solvay SA | 3445 | 105028 |
|  Syensqo SA | 936 | 53362 |
|  UCB SA | 391 | 116457 |
|  Total Belgium |  | 274847 |
|  Brazil – 0.1% |  |  |
|  Pluxee NV | 6296 | 76242 |
|  Chile – 0.3% |  |  |
|  Antofagasta PLC | 4025 | 176589 |
|  China – 0.3% |  |  |
|  Prosus NV<sup>\*</sup> | 4015 | 180325 |
|  Denmark – 2.3% |  |  |
|  D/S Norden AS | 615 | 27860 |
|  ISS AS | 1315 | 47568 |
|  Novo Nordisk AS, Class B | 38090 | 1356120 |
|  Pandora AS | 756 | 52888 |
|  Royal Unibrew AS | 668 | 54024 |
|  Total Denmark |  | 1538460 |
|  Finland – 0.8% |  |  |
|  Kone OYJ, Class B | 5201 | 328274 |
|  Konecranes OYJ | 2334 | 75137 |
|  Sanoma OYJ | 2424 | 24997 |
|  Valmet OYJ<sup>(b)</sup> | 3539 | 99372 |
|  Total Finland |  | 527780 |
|  France – 14.0% |  |  |
|  Accor SA | 2847 | 133246 |
|  Air Liquide SA | 3854 | 790068 |
|  Airbus SE | 2778 | 514754 |
|  BioMerieux | 388 | 41040 |
|  Bouygues SA | 7248 | 412630 |
|  Bureau Veritas SA | 5460 | 161679 |
|  Cie Generale des Etablissements Michelin SCA | 12129 | 407931 |
|  Dassault Aviation SA | 500 | 183891 |
|  Edenred SE | 9012 | 177145 |
|  Eiffage SA | 1498 | 226364 |
|  Etablissements Maurel & Prom SA | 6196 | 77102 |
|  Hermes International SCA | 298 | 552459 |
|  Interparfums SA | 1420 | 37369 |
|  Kering SA | 891 | 263428 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Legrand SA | 1470 | $223065 |
|  L'Oreal SA | 3538 | 1424119 |
|  LVMH Moet Hennessy Louis Vuitton SE | 4283 | 2285339 |
|  Nexans SA | 375 | 49645 |
|  Opmobility | 2862 | 49398 |
|  Rexel SA | 4865 | 186549 |
|  Safran SA | 1464 | 471298 |
|  Technip Energies NV | 1538 | 64823 |
|  Thales SA | 1073 | 311674 |
|  Valeo SE | 4163 | 49549 |
|  Vallourec SACA | 7945 | 199105 |
|  Total France |  | 9293670 |
|  Georgia – 0.5% |  |  |
|  Lion Finance Group PLC | 1499 | 183440 |
|  TBC Bank Group PLC | 2370 | 127513 |
|  Total Georgia |  | 310953 |
|  Germany – 11.4% |  |  |
|  adidas AG | 706 | 111158 |
|  Aurubis AG | 267 | 46146 |
|  Bechtle AG | 1092 | 36689 |
|  Bilfinger SE | 385 | 43473 |
|  Continental AG | 2456 | 168656 |
|  CTS Eventim AG & Co. KGaA | 811 | 46404 |
|  Daimler Truck Holding AG | 15815 | 755668 |
|  Deutsche Lufthansa AG, Registered Shares | 19169 | 158935 |
|  Deutsche Post AG, Registered Shares | 20322 | 1047822 |
|  Deutsche Telekom AG, Registered Shares | 53469 | 1968343 |
|  Deutz AG | 1706 | 16590 |
|  Fielmann Group AG | 833 | 41799 |
|  flatexDEGIRO SE | 2830 | 95865 |
|  GEA Group AG | 1359 | 95829 |
|  Heidelberg Materials AG | 1092 | 224400 |
|  Hensoldt AG | 234 | 20383 |
|  HochTief AG | 555 | 244790 |
|  Hugo Boss AG | 999 | 42278 |
|  Infineon Technologies AG | 5271 | 230783 |
|  Knorr-Bremse AG | 1344 | 150442 |
|  Krones AG | 314 | 41678 |
|  Nemetschek SE | 317 | 23266 |
|  RENK Group AG | 247 | 14412 |
|  Rheinmetall AG | 83 | 138141 |
|  RWE AG | 7166 | 476245 |
|  SAP SE | 4397 | 744228 |
|  Scout24 SE<sup>(a)</sup> | 482 | 36654 |
|  Sixt SE | 460 | 34053 |
|  Stroeer SE & Co. KGaA | 1184 | 41540 |
|  Traton SE<sup>(b)</sup> | 11488 | 407948 |
|  Wacker Neuson SE | 1087 | 22644 |
|  Total Germany |  | 7527262 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;11

**Schedule of Investments (continued)**<br> WisdomTree Europe Quality Dividend Growth Fund *(EUDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Ireland – 0.5% |  |  |
|  Bank of Ireland Group PLC | 18704 | $332636 |
|  Israel – 0.4% |  |  |
|  Energean PLC | 6937 | 79037 |
|  Plus500 Ltd. | 3040 | 163080 |
|  Total Israel |  | 242117 |
|  Italy – 2.1% |  |  |
|  Alerion Cleanpower SpA | 909 | 21366 |
|  Brembo NV | 4638 | 43366 |
|  Brunello Cucinelli SpA<sup>(b)</sup> | 353 | 30334 |
|  Coca-Cola HBC AG<sup>\*</sup> | 3525 | 197372 |
|  DiaSorin SpA | 430 | 29717 |
|  Ferrari NV | 631 | 210114 |
|  Leonardo SpA | 2140 | 143110 |
|  Maire SpA | 3718 | 56975 |
|  Moltiply Group SpA | 1674 | 60949 |
|  Moncler SpA | 2622 | 155283 |
|  Prysmian SpA | 1056 | 120188 |
|  Recordati Industria Chimica & Farmaceutica SpA | 1996 | 112782 |
|  Ryanair Holdings PLC | 6683 | 183802 |
|  Technogym SpA<sup>(a)</sup> | 2579 | 51526 |
|  Total Italy |  | 1416884 |
|  Luxembourg – 0.2% |  |  |
|  APERAM SA | 1852 | 72466 |
|  Eurofins Scientific SE | 765 | 55231 |
|  Total Luxembourg |  | 127697 |
|  Netherlands – 6.3% |  |  |
|  Arcadis NV | 725 | 22905 |
|  ASM International NV | 120 | 88074 |
|  ASML Holding NV | 1080 | 1392705 |
|  Heineken Holding NV | 3372 | 238358 |
|  ING Groep NV | 60267 | 1534963 |
|  Koninklijke BAM Groep NV | 3454 | 34285 |
|  Koninklijke Heijmans NV | 389 | 34333 |
|  Koninklijke KPN NV | 63157 | 349512 |
|  Koninklijke Vopak NV | 1886 | 101916 |
|  Universal Music Group NV | 14475 | 277440 |
|  Wolters Kluwer NV | 1821 | 135583 |
|  Total Netherlands |  | 4210074 |
|  Nigeria – 0.2% |  |  |
|  Airtel Africa PLC<sup>(a)</sup> | 28394 | 129029 |
|  Norway – 1.3% |  |  |
|  Austevoll Seafood ASA | 5738 | 60909 |
|  Borregaard ASA | 1587 | 28478 |
|  Europris ASA<sup>(a)</sup> | 3406 | 31924 |
|  Frontline PLC | 3940 | 137482 |
|  Kongsberg Gruppen ASA | 4770 | 202118 |
|  Leroy Seafood Group ASA | 13499 | 68181 |
|  Mowi ASA | 6232 | 140494 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Norwegian Air Shuttle ASA | 24509 | $35779 |
|  Stolt-Nielsen Ltd. | 1854 | 63475 |
|  TOMRA Systems ASA | 2173 | 25766 |
|  Veidekke ASA | 4365 | 84423 |
|  Total Norway |  | 879029 |
|  Portugal – 0.7% |  |  |
|  Banco Comercial Portugues SA, Class R | 324527 | 311101 |
|  Corticeira Amorim SGPS SA | 4720 | 35295 |
|  Jeronimo Martins SGPS SA | 6195 | 146755 |
|  Total Portugal |  | 493151 |
|  Spain – 6.8% |  |  |
|  Amadeus IT Group SA | 3319 | 186160 |
|  Banco Bilbao Vizcaya Argentaria SA | 94679 | 1990877 |
|  Faes Farma SA | 7036 | 37737 |
|  Gestamp Automocion SA<sup>(a)</sup> | 6918 | 23434 |
|  Indra Sistemas SA | 527 | 28684 |
|  Industria de Diseno Textil SA | 38133 | 2163450 |
|  Puig Brands SA, Class B | 1864 | 36275 |
|  Viscofan SA | 758 | 52577 |
|  Total Spain |  | 4519194 |
|  Sweden – 6.6% |  |  |
|  AAK AB | 2099 | 53410 |
|  AddTech AB, Class B | 1387 | 46242 |
|  Assa Abloy AB, Class B | 7065 | 249486 |
|  Atea ASA<sup>\*</sup> | 3152 | 45755 |
|  Atlas Copco AB, Class B | 11414 | 173554 |
|  Atlas Copco AB, Class A | 21272 | 364312 |
|  Axfood AB | 2764 | 93340 |
|  Betsson AB, Class B | 2718 | 28589 |
|  Bilia AB, Class A | 2372 | 30975 |
|  Billerud Aktiebolag | 4790 | 36605 |
|  Bravida Holding AB<sup>(a)</sup> | 4073 | 42071 |
|  Elekta AB, Class B | 8148 | 47214 |
|  Epiroc AB, Class A | 5525 | 132873 |
|  Epiroc AB, Class B | 3111 | 65380 |
|  EQT AB | 8454 | 254252 |
|  Evolution AB<sup>(a)</sup> | 3201 | 196638 |
|  Granges AB | 1527 | 23708 |
|  Hexpol AB | 7675 | 57726 |
|  Indutrade AB | 2293 | 51607 |
|  Lifco AB, Class B | 1418 | 41946 |
|  Loomis AB | 1071 | 48141 |
|  Munters Group AB<sup>(a)</sup> | 1449 | 25219 |
|  Mycronic AB | 1757 | 40207 |
|  Peab AB, Class B | 4716 | 47624 |
|  Saab AB, Class B | 1064 | 68958 |
|  Sandvik AB | 9923 | 372285 |
|  SKF AB, Class B | 5390 | 126854 |
|  Sweco AB, Class B | 2750 | 38307 |
|  Tele2 AB, Class B | 9904 | 202317 |
|  Thule Group AB<sup>(a)</sup> | 1720 | 36689 |

---

*See Notes to Financial Statements.*

12&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Europe Quality Dividend Growth Fund *(EUDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Trelleborg AB, Class B | 1707 | $62501 |
|  Volvo AB, Class B | 39309 | 1260611 |
|  Total Sweden |  | 4365396 |
|  Switzerland – 3.6% |  |  |
|  ABB Ltd., Registered Shares | 6995 | 550512 |
|  Belimo Holding AG, Registered Shares | 25 | 19772 |
|  Geberit AG, Registered Shares | 73 | 48385 |
|  Kuehne & Nagel International AG, Registered Shares | 1273 | 285635 |
|  Logitech International SA, Registered Shares | 361 | 32508 |
|  Partners Group Holding AG | 301 | 316976 |
|  Schindler Holding AG, Participation Certificate | 117 | 37915 |
|  SGS SA, Registered Shares | 545 | 57040 |
|  Sika AG, Registered Shares | 286 | 46234 |
|  Sonova Holding AG, Registered Shares | 129 | 28736 |
|  Straumann Holding AG, Registered Shares | 284 | 28982 |
|  UBS Group AG, Registered Shares | 22896 | 875607 |
|  VAT Group AG<sup>(a)</sup> | 56 | 33716 |
|  Total Switzerland |  | 2362018 |
|  United Kingdom – 14.5% |  |  |
|  AJ Bell PLC | 17034 | 105530 |
|  AstraZeneca PLC | 9941 | 1925740 |
|  Autotrader Group PLC<sup>(a)</sup> | 5347 | 33105 |
|  B&M European Value Retail PLC | 44922 | 99817 |
|  BAE Systems PLC | 18749 | 543934 |
|  Bridgepoint Group PLC<sup>(a)</sup> | 33463 | 101405 |
|  Bytes Technology Group PLC | 5043 | 18381 |
|  Centrica PLC | 51809 | 145181 |
|  Coats Group PLC | 34319 | 36296 |
|  Compass Group PLC | 10829 | 297742 |
|  Games Workshop Group PLC | 449 | 104801 |
|  Halma PLC | 1361 | 68236 |
|  Hiscox Ltd. | 8131 | 162015 |
|  Howden Joinery Group PLC | 5853 | 61052 |
|  IMI PLC | 1884 | 62856 |
|  Imperial Brands PLC | 17322 | 698296 |
|  Inchcape PLC | 5600 | 55385 |
|  IntegraFin Holdings PLC | 15251 | 61541 |
|  International Consolidated Airlines Group SA | 31817 | 146766 |
|  Intertek Group PLC | 1973 | 94913 |
|  JD Sports Fashion PLC | 23111 | 21535 |
|  Lancashire Holdings Ltd. | 9840 | 75780 |
|  Lloyds Banking Group PLC | 915725 | 1115066 |
|  Man Group PLC | 45049 | 149466 |
|  Marks & Spencer Group PLC | 7396 | 33083 |
|  Mitie Group PLC | 18834 | 41974 |
|  MONY Group PLC | 15188 | 30083 |
|  Next PLC | 873 | 145918 |
|  RELX PLC | 12166 | 397232 |
|  Rightmove PLC | 4942 | 27951 |
|  Rolls-Royce Holdings PLC | 27804 | 415049 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Rotork PLC | 11132 | $45889 |
|  RS Group PLC | 8324 | 61470 |
|  Sage Group PLC | 6940 | 76674 |
|  Softcat PLC | 3109 | 49813 |
|  Spirax Group PLC | 703 | 61880 |
|  SSE PLC | 13671 | 467825 |
|  Telecom Plus PLC | 1790 | 30497 |
|  Unilever PLC | 26550 | 1470131 |
|  Weir Group PLC | 1694 | 62504 |
|  WH Smith PLC | 3152 | 23859 |
|  Total United Kingdom |  | 9626671 |
|  United States – 23.4% |  |  |
|  BP PLC | 323188 | 2583976 |
|  Experian PLC | 4353 | 149133 |
|  Ferrovial SE | 4086 | 260911 |
|  GSK PLC | 53969 | 1468926 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 2042 | 164976 |
|  InterContinental Hotels Group PLC | 838 | 109275 |
|  Nestle SA, Registered Shares | 33816 | 3300169 |
|  Novartis AG, Registered Shares | 23031 | 3464037 |
|  Roche Holding AG, Bearer Shares | 652 | 265490 |
|  Roche Holding AG | 7518 | 2944328 |
|  Schneider Electric SE | 3169 | 836518 |
|  Total United States |  | 15547739 |
|  TOTAL COMMON STOCKS<br>(Cost: $58,034,209) |  | 65598611 |
|  MUTUAL FUND – 0.1% |  |  |
|  United States – 0.1% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $54,043) | 54043 | 54043 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.2% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.2% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.2% |
|  United States – 0.2% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup><br> (Cost: $122,358) | 122358 | 122358 |
|  TOTAL INVESTMENTS IN SECURITIES – 99.2% <br> (Cost: $58,210,610) | TOTAL INVESTMENTS IN SECURITIES – 99.2% <br> (Cost: $58,210,610) | 65775012 |
|  Other Assets less Liabilities – 0.8% |  | 557420 |
|  NET ASSETS – 100.0% |  | $66332432 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(b)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $404,327. The Fund also had securities on loan having a total market value of $2,668 that were sold and pending settlement. The total market value of the collateral held by the Fund was $420,797. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $298,439.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;13

**Schedule of Investments (concluded)**<br> WisdomTree Europe Quality Dividend Growth Fund *(EUDG)*<br> March 31, 2026<br>

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $65598611 | $— | $—  | $65598611 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 54043 |  | 54043 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 122358 |  | 122358 |
|  Total Investments in Securities | $65598611 | $176401 | $—  | $65775012 |

---

*See Notes to Financial Statements.*

14&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree Europe SmallCap Dividend Fund *(DFE)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.5% |  |  |
|  Austria – 1.0% |  |  |
|  Kontron AG | 15571 | $338545 |
|  Palfinger AG | 9310 | 363108 |
|  Porr AG | 11091 | 457490 |
|  SBO AG | 10946 | 455923 |
|  Total Austria |  | 1615066 |
|  Belgium – 2.9% |  |  |
|  Barco NV | 36279 | 395643 |
|  Bekaert SA | 26734 | 1232116 |
|  Deceuninck NV | 49995 | 114978 |
|  EVS Broadcast Equipment SA | 3494 | 134059 |
|  Fagron | 12730 | 316818 |
|  Ion Beam Applications | 7380 | 110372 |
|  Kinepolis Group NV | 5027 | 150885 |
|  Montea NV | 12350 | 930620 |
|  Retail Estates NV | 9874 | 750870 |
|  Tessenderlo Group SA | 14808 | 334070 |
|  Total Belgium |  | 4470431 |
|  Denmark – 1.1% |  |  |
|  Cementir Holding NV | 29700 | 524256 |
|  Chemometec AS | 1909 | 88541 |
|  D/S Norden AS | 10417 | 471908 |
|  Matas AS<sup>(a)</sup> | 6756 | 109798 |
|  Per Aarsleff Holding AS | 3945 | 451959 |
|  Total Denmark |  | 1646462 |
|  Finland – 3.0% |  |  |
|  Aktia Bank OYJ | 31123 | 449683 |
|  F-Secure OYJ | 51432 | 95408 |
|  Harvia OYJ | 4087 | 155634 |
|  Marimekko OYJ | 13196 | 154477 |
|  Nokian Renkaat OYJ<sup>(a)</sup> | 46070 | 482514 |
|  Oma Saastopankki OYJ | 10959 | 152786 |
|  Outokumpu OYJ | 284604 | 1521552 |
|  Pihlajalinna OYJ | 9060 | 134662 |
|  Puuilo OYJ | 41240 | 598236 |
|  Raisio OYJ, Class V | 38889 | 119189 |
|  Sanoma OYJ | 15408 | 158890 |
|  Terveystalo OYJ<sup>(b)</sup> | 63941 | 637270 |
|  Total Finland |  | 4660301 |
|  France – 5.4% |  |  |
|  ABC arbitrage | 33780 | 204726 |
|  Antin Infrastructure Partners SA<sup>(a)</sup> | 32980 | 389115 |
|  Bonduelle SCA<sup>(a)</sup> | 8146 | 79122 |
|  Cie des Alpes | 25196 | 685128 |
|  Derichebourg SA | 31476 | 295754 |
|  Etablissements Maurel & Prom SA | 123686 | 1539119 |
|  GL Events SACA | 12887 | 434316 |
|  IPSOS SA | 22663 | 878418 |
|  Kaufman & Broad SA | 14249 | 464621 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Lectra | 7031 | $135289 |
|  LISI SA | 5351 | 323068 |
|  Louis Hachette Group | 77519 | 139290 |
|  Mersen SA | 7847 | 200717 |
|  Opmobility | 66137 | 1141522 |
|  Planisware SA | 11438 | 189512 |
|  Pullup Entertainment<sup>(a)</sup> | 6908 | 104586 |
|  Quadient SA | 18354 | 227970 |
|  Television Francaise 1 SA | 113229 | 904757 |
|  Total France |  | 8337030 |
|  Germany – 6.0% |  |  |
|  AIXTRON SE | 13191 | 496996 |
|  Alzchem Group AG | 1699 | 332790 |
|  Borussia Dortmund GmbH & Co. KGaA | 22264 | 77856 |
|  Cancom SE | 12629 | 351410 |
|  Dermapharm Holding SE<sup>(a)</sup> | 14035 | 684039 |
|  Deutz AG | 26764 | 260268 |
|  Eckert & Ziegler SE | 6571 | 110690 |
|  Elmos Semiconductor SE | 3409 | 564825 |
|  Friedrich Vorwerk Group SE | 1372 | 110657 |
|  Indus Holding AG | 13246 | 404444 |
|  MLP SE | 53542 | 430604 |
|  Mutares SE & Co. KGaA<sup>(a)</sup> | 14248 | 467871 |
|  Nagarro SE<sup>(a)</sup> | 2769 | 150844 |
|  PNE AG | 6051 | 58843 |
|  ProCredit Holding AG | 37999 | 319612 |
|  ProSiebenSat.1 Media SE | 20617 | 92454 |
|  SAF-Holland SE | 27785 | 525668 |
|  Salzgitter AG | 3878 | 163090 |
|  Sirius Real Estate Ltd. | 793630 | 969114 |
|  Softwareone Holding AG | 80540 | 697602 |
|  Stroeer SE & Co. KGaA | 31540 | 1106565 |
|  SUSS MicroTec SE | 1685 | 95248 |
|  Vossloh AG | 3436 | 269209 |
|  Wacker Neuson SE | 21074 | 439009 |
|  Wuestenrot & Wuerttembergische AG | 11057 | 173517 |
|  Total Germany |  | 9353225 |
|  Ireland – 1.2% |  |  |
|  C&C Group PLC<sup>(a)</sup> | 140710 | 207821 |
|  Cairn Homes PLC | 281249 | 680515 |
|  COSMO Pharmaceuticals NV<sup>(a)</sup> | 4916 | 507170 |
|  Greencore Group PLC | 53480 | 171021 |
|  Origin Enterprises PLC | 37730 | 194974 |
|  Uniphar PLC | 20529 | 89883 |
|  Total Ireland |  | 1851384 |
|  Israel – 1.3% |  |  |
|  Energean PLC | 181710 | 2070324 |
|  Italy – 4.6% |  |  |
|  Alerion Cleanpower SpA | 16861 | 396316 |
|  Arnoldo Mondadori Editore SpA | 163327 | 374865 |
|  Ascopiave SpA | 59946 | 234146 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;15

**Schedule of Investments (continued)**<br> WisdomTree Europe SmallCap Dividend Fund *(DFE)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Banco di Desio e della Brianza SpA | 61171 | $606138 |
|  BasicNet SpA | 13357 | 97880 |
|  Datalogic SpA | 18855 | 110362 |
|  Digital Value SpA | 2909 | 97201 |
|  El.En. SpA | 15458 | 218894 |
|  Equita Group SpA | 29755 | 194731 |
|  Esprinet SpA | 35819 | 203464 |
|  Ferretti SpA<sup>(a)</sup> | 120776 | 555241 |
|  Fiera Milano SpA | 29698 | 244659 |
|  Fila SpA | 16635 | 176335 |
|  Garofalo Health Care SpA | 17420 | 92529 |
|  Gas Plus SpA | 21305 | 179198 |
|  GPI SpA<sup>(a)</sup> | 12827 | 243267 |
|  Immobiliare Grande Distribuzione SIIQ SpA | 48094 | 219162 |
|  IMMSI SpA | 145170 | 78782 |
|  Moltiply Group SpA | 3241 | 118003 |
|  Orsero SpA | 7370 | 127036 |
|  OVS SpA<sup>(b)</sup> | 65363 | 335286 |
|  RAI Way SpA<sup>(b)</sup> | 137220 | 928075 |
|  Revo Insurance SpA | 5320 | 144967 |
|  Rizzoli Corriere Della Sera Mediagroup SpA | 104190 | 113925 |
|  Sanlorenzo SpA | 10507 | 372870 |
|  Sesa SpA | 1896 | 172909 |
|  Sogefi SpA | 103351 | 225778 |
|  Tinexta SpA | 8815 | 151943 |
|  Wiit SpA<sup>(a)</sup> | 4530 | 136489 |
|  Total Italy |  | 7150451 |
|  Luxembourg – 1.2% |  |  |
|  APERAM SA | 47085 | 1842375 |
|  Netherlands – 4.8% |  |  |
|  Acomo NV | 15020 | 460341 |
|  AMG Critical Materials NV | 4438 | 173960 |
|  Brunel International NV<sup>(a)</sup> | 34046 | 258511 |
|  Corbion NV | 22768 | 492136 |
|  Eurocommercial Properties NV | 34375 | 1033739 |
|  ForFarmers NV | 60015 | 433566 |
|  Havas NV<sup>\*</sup> | 55049 | 950778 |
|  Kendrion NV | 6611 | 128731 |
|  Koninklijke BAM Groep NV | 78561 | 779812 |
|  Koninklijke Heijmans NV | 10647 | 939688 |
|  PostNL NV | 331588 | 411856 |
|  Sligro Food Group NV | 20644 | 320636 |
|  Wereldhave NV | 47195 | 1155534 |
|  Total Netherlands |  | 7539288 |
|  Norway – 16.2% |  |  |
|  AF Gruppen ASA | 16045 | 280019 |
|  Austevoll Seafood ASA | 88281 | 937101 |
|  Borregaard ASA | 22922 | 411332 |
|  Bouvet ASA | 48993 | 253994 |
|  BW Offshore Ltd. | 66150 | 351770 |
|  Deep Value Driller AS | 175837 | 381785 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  DOF Group ASA | 219182 | $3127652 |
|  Elmera Group ASA<sup>(b)</sup> | 68225 | 246539 |
|  Elopak ASA | 87862 | 326970 |
|  Europris ASA<sup>(b)</sup> | 59583 | 558460 |
|  Hoegh Autoliners ASA | 269988 | 3849864 |
|  Kid ASA<sup>(b)</sup> | 23763 | 307376 |
|  Kitron ASA | 14930 | 143308 |
|  Klaveness Combination Carriers ASA<sup>(b)</sup> | 41320 | 400010 |
|  Moreld AS<sup>\*</sup> | 82655 | 147814 |
|  Multiconsult ASA<sup>(b)</sup> | 14862 | 248693 |
|  NORBIT ASA | 15997 | 313011 |
|  Norconsult Norge AS | 166349 | 701876 |
|  Norwegian Air Shuttle ASA | 844562 | 1232906 |
|  Odfjell Drilling Ltd. | 192450 | 2007291 |
|  Odfjell SE, Class A | 37559 | 457296 |
|  Pareto Bank ASA | 25533 | 223851 |
|  Pexip Holding ASA | 53407 | 333898 |
|  Reach Subsea ASA | 146760 | 105765 |
|  SpareBank 1 Nord Norge | 67470 | 1078445 |
|  SpareBank 1 Oestlandet | 23885 | 486235 |
|  SpareBank 1 SMN | 69846 | 1481752 |
|  Sparebanken More | 9584 | 115548 |
|  Sparebanken Norge | 81910 | 1677730 |
|  Stolt-Nielsen Ltd. | 41215 | 1411074 |
|  Veidekke ASA | 43523 | 841780 |
|  Wilh Wilhelmsen Holding ASA, Class A | 9708 | 722548 |
|  Total Norway |  | 25163693 |
|  Peru – 0.2% |  |  |
|  Hochschild Mining PLC | 44592 | 351057 |
|  Portugal – 4.5% |  |  |
|  Altri SGPS SA<sup>(a)</sup> | 126463 | 713254 |
|  Corticeira Amorim SGPS SA | 78565 | 587492 |
|  CTT-Correios de Portugal SA | 30058 | 208836 |
|  Martifer SGPS SA | 34242 | 96661 |
|  Mota-Engil SGPS SA<sup>(a)</sup> | 75949 | 387487 |
|  NOS SGPS SA | 413352 | 2590877 |
|  REN – Redes Energeticas Nacionais SGPS SA | 452216 | 1946096 |
|  Semapa-Sociedade de Investimento & Gestao | 17478 | 447067 |
|  Total Portugal |  | 6977770 |
|  South Africa – 0.6% |  |  |
|  Pan African Resources PLC | 496472 | 912648 |
|  Spain – 5.1% |  |  |
|  Almirall SA | 32798 | 459524 |
|  ATALAYA MINING COPPER SA | 18974 | 177399 |
|  Befesa SA<sup>(b)</sup> | 7962 | 266774 |
|  Construcciones y Auxiliar de Ferrocarriles SA | 12374 | 829776 |
|  Elecnor SA | 64564 | 2499525 |
|  Faes Farma SA | 111409 | 597541 |
|  Gestamp Automocion SA<sup>(b)</sup> | 187446 | 634967 |
|  Global Dominion Access SA<sup>(b)</sup> | 45713 | 161962 |
|  Grupo Empresarial San Jose SA | 22010 | 200343 |

---

*See Notes to Financial Statements.*

16&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Europe SmallCap Dividend Fund *(DFE)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Linea Directa Aseguradora SA Cia de Seguros y Reaseguros | 198896 | $269960 |
|  Melia Hotels International SA | 45631 | 503153 |
|  Metrovacesa SA<sup>\*(b)</sup> | 16266 | 208033 |
|  Pharma Mar SA<sup>\*</sup> | 1731 | 174316 |
|  Prosegur Cash SA<sup>(b)</sup> | 368674 | 266766 |
|  Prosegur Cia de Seguridad SA | 137446 | 409374 |
|  Tubacex SA<sup>(a)</sup> | 77476 | 252628 |
|  Total Spain |  | 7912041 |
|  Sweden – 13.7% |  |  |
|  AcadeMedia AB<sup>(b)</sup> | 35613 | 375336 |
|  AddLife AB, Class B | 9273 | 135792 |
|  Addnode Group AB | 15213 | 105719 |
|  Alimak Group AB<sup>(b)</sup> | 29375 | 329944 |
|  Alleima AB | 78571 | 609928 |
|  Alligo AB, Class B | 7619 | 101253 |
|  Ambea AB<sup>(b)</sup> | 15240 | 212132 |
|  AQ Group AB | 7382 | 143979 |
|  Arjo AB, Class B | 83558 | 219108 |
|  Atea ASA<sup>\*</sup> | 55734 | 809037 |
|  Attendo AB<sup>(b)</sup> | 27184 | 288783 |
|  Bahnhof AB, Class B | 42559 | 231866 |
|  Beijer Alma AB | 12108 | 303772 |
|  Bergman & Beving AB | 2664 | 75505 |
|  Betsson AB, Class B | 60797 | 639481 |
|  Bilia AB, Class A | 48134 | 628565 |
|  Billerud Aktiebolag | 107870 | 824347 |
|  BioGaia AB, Class B | 64593 | 809595 |
|  Bravida Holding AB<sup>(b)</sup> | 80018 | 826534 |
|  Bufab AB | 18955 | 208050 |
|  Clas Ohlson AB, Class B | 17798 | 695385 |
|  Cloetta AB, Class B | 131469 | 732128 |
|  Coor Service Management Holding AB<sup>(b)</sup> | 25774 | 160170 |
|  Corem Property Group AB, Class B | 312766 | 109528 |
|  Dios Fastigheter AB | 45866 | 302122 |
|  Duni AB<sup>(a)</sup> | 22511 | 226380 |
|  Electrolux Professional AB, Class B | 34843 | 184342 |
|  Elekta AB, Class B | 188519 | 1092376 |
|  Engcon AB | 15012 | 101958 |
|  Fagerhult Group AB | 37865 | 108512 |
|  FastPartner AB, Class A | 39729 | 178288 |
|  Ferronordic AB<sup>\*</sup> | 12821 | 56526 |
|  Granges AB | 29420 | 456761 |
|  Heba Fastighets AB, Class B | 26061 | 76053 |
|  Hemnet Group AB | 7795 | 87227 |
|  Intea Fastigheter AB<sup>\*</sup> | 16272 | 119654 |
|  INVISIO AB | 3568 | 97194 |
|  Inwido AB | 16890 | 261871 |
|  Lindab International AB | 21158 | 338706 |
|  MIPS AB | 5283 | 127441 |
|  Morrow Bank AB<sup>\*</sup> | 104213 | 138385 |
|  Munters Group AB<sup>(b)</sup> | 24853 | 432555 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  NCC AB, Class B | 57631 | $1251079 |
|  New Wave Group AB, Class B | 29178 | 294805 |
|  Nolato AB, Class B | 58085 | 291088 |
|  Note AB | 10407 | 184188 |
|  NP3 Fastigheter AB | 12750 | 327910 |
|  Nyab AB | 160026 | 102638 |
|  OEM International AB, Class B | 13064 | 176907 |
|  Paradox Interactive AB | 19871 | 258028 |
|  Peab AB, Class B | 92600 | 935113 |
|  Platzer Fastigheter Holding AB, Class B | 28733 | 203593 |
|  Ratos AB, Class B | 84036 | 284229 |
|  RaySearch Laboratories AB | 5529 | 111088 |
|  Rejlers AB | 4960 | 81953 |
|  Rusta AB | 35401 | 346531 |
|  Rvrc Holding AB | 27667 | 190231 |
|  Scandi Standard AB | 19221 | 298214 |
|  Scandic Hotels Group AB<sup>(b)</sup> | 65182 | 581942 |
|  SkiStar AB | 13490 | 230681 |
|  Svedbergs Group AB | 19503 | 139830 |
|  Synsam AB | 47714 | 344097 |
|  Systemair AB | 34662 | 257975 |
|  Troax Group AB | 15267 | 154333 |
|  Truecaller AB, Class B | 36982 | 42237 |
|  VBG Group AB, Class B | 4720 | 172722 |
|  Zinzino AB, Class B<sup>(a)</sup> | 9487 | 139025 |
|  Total Sweden |  | 21362725 |
|  Switzerland – 0.7% |  |  |
|  Comet Holding AG, Registered Shares | 588 | 180889 |
|  Implenia AG, Registered Shares<sup>\*</sup> | 2220 | 171566 |
|  Landis & Gyr Group AG<sup>\*</sup> | 5430 | 341255 |
|  Vetropack Holding AG, Registered Shares<sup>(a)</sup> | 6069 | 171447 |
|  Zehnder Group AG | 1784 | 147196 |
|  Total Switzerland |  | 1012353 |
|  United Kingdom – 25.0% |  |  |
|  Advanced Medical Solutions Group PLC | 28529 | 72233 |
|  AG Barr PLC | 43649 | 375291 |
|  AJ Bell PLC | 137643 | 852733 |
|  Alfa Financial Software Holdings PLC<sup>(b)</sup> | 123577 | 236293 |
|  Avon Technologies PLC | 3251 | 71080 |
|  Baltic Classifieds Group PLC | 53680 | 129542 |
|  Bloomsbury Publishing PLC<sup>(a)</sup> | 27199 | 201933 |
|  Bodycote PLC | 58440 | 470481 |
|  BRCK Group PLC | 195016 | 130641 |
|  Brooks Macdonald Group PLC | 8021 | 142265 |
|  BTG Consulting PLC | 83736 | 132507 |
|  Bytes Technology Group PLC<sup>(a)</sup> | 118730 | 432757 |
|  Card Factory PLC | 189782 | 158919 |
|  Chemring Group PLC | 35329 | 236669 |
|  Chesnara PLC | 181324 | 718531 |
|  City of London Investment Group PLC | 45076 | 233011 |
|  Clarkson PLC | 9367 | 569439 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;17

**Schedule of Investments (continued)**<br> WisdomTree Europe SmallCap Dividend Fund *(DFE)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  CMC Markets PLC<sup>(b)</sup> | 140193 | $635037 |
|  Coats Group PLC | 571758 | 604689 |
|  Cohort PLC<sup>(a)</sup> | 4872 | 77996 |
|  Costain Group PLC | 41190 | 98531 |
|  Craneware PLC | 7918 | 138871 |
|  Currys PLC | 122457 | 200725 |
|  CVS Group PLC | 5426 | 79996 |
|  DiscoverIE Group PLC | 17707 | 125624 |
|  Domino's Pizza Group PLC | 235399 | 534544 |
|  Dr. Martens PLC | 266859 | 221525 |
|  Elementis PLC | 111952 | 220856 |
|  Elixirr International PLC | 14256 | 112796 |
|  Essentra PLC<sup>(a)</sup> | 69443 | 82783 |
|  Everplay Group PLC | 22652 | 66911 |
|  Ferrari Group PLC | 31978 | 308393 |
|  Fevertree Drinks PLC | 26351 | 264788 |
|  Firstgroup PLC | 238728 | 523215 |
|  Fonix PLC | 52086 | 99251 |
|  Foresight Group Holdings Ltd. | 87086 | 404238 |
|  Forterra PLC<sup>(b)</sup> | 53309 | 108822 |
|  FRP Advisory Group PLC | 105018 | 151643 |
|  Fuller Smith & Turner PLC, Class A | 12230 | 104830 |
|  FW Thorpe PLC | 22789 | 72124 |
|  Galliford Try Holdings PLC | 50990 | 322418 |
|  Gamma Communications PLC | 19851 | 185860 |
|  GB Group PLC | 45502 | 120607 |
|  Genuit Group PLC | 79910 | 301906 |
|  Genus PLC | 8017 | 250557 |
|  Grainger PLC | 299755 | 640365 |
|  Greggs PLC<sup>(a)</sup> | 43141 | 865866 |
|  Halfords Group PLC | 139476 | 237266 |
|  Hammerson PLC | 290542 | 1128723 |
|  Hargreaves Services PLC | 19496 | 190249 |
|  Harworth Group PLC | 36235 | 70002 |
|  Helical PLC<sup>(a)</sup> | 34984 | 80918 |
|  Henry Boot PLC | 45739 | 109775 |
|  Hill & Smith PLC | 28932 | 803112 |
|  Hilton Food Group PLC | 46947 | 316355 |
|  Hollywood Bowl Group PLC | 78826 | 244797 |
|  Hunting PLC | 46835 | 306336 |
|  IntegraFin Holdings PLC | 96557 | 389629 |
|  J D Wetherspoon PLC<sup>(a)</sup> | 29827 | 219477 |
|  James Halstead PLC | 197431 | 313724 |
|  Johnson Service Group PLC | 111138 | 187008 |
|  Jupiter Fund Management PLC | 226474 | 497553 |
|  Kainos Group PLC | 33364 | 321179 |
|  Keller Group PLC | 21791 | 552302 |
|  Keystone Law Group PLC | 12452 | 73892 |
|  Kier Group PLC | 128066 | 321886 |
|  Lancashire Holdings Ltd. | 88701 | 683105 |
|  LSL Property Services PLC | 40138 | 118034 |
|  Luceco PLC<sup>(b)</sup> | 53248 | 121477 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Me Group International PLC | 167110 | $298819 |
|  Midwich Group PLC | 61999 | 128360 |
|  Mitie Group PLC | 404569 | 901623 |
|  MONY Group PLC | 342093 | 677579 |
|  Moonpig Group PLC | 46922 | 129630 |
|  Morgan Advanced Materials PLC | 147693 | 391473 |
|  Morgan Sindall Group PLC | 19862 | 1083039 |
|  Mortgage Advice Bureau Holdings Ltd. | 18841 | 138142 |
|  Next 15 Group PLC | 42500 | 126661 |
|  Nichols PLC | 11105 | 137069 |
|  Ninety One PLC | 356474 | 1068967 |
|  Norcros PLC | 30279 | 111002 |
|  On the Beach Group PLC<sup>(b)</sup> | 24387 | 50554 |
|  Oxford Instruments PLC | 7300 | 231036 |
|  Paratus Energy Services Ltd. | 99891 | 474795 |
|  PayPoint PLC<sup>(a)</sup> | 34121 | 249274 |
|  Pennon Group PLC | 287444 | 2007081 |
|  Personal Group Holdings PLC<sup>(a)</sup> | 29993 | 139618 |
|  Petronor E&P ASA<sup>\*</sup> | 101532 | 140713 |
|  Pets at Home Group PLC | 275525 | 658362 |
|  Polar Capital Holdings PLC | 83261 | 668659 |
|  PPHE Hotel Group Ltd.<sup>(a)</sup> | 12306 | 258348 |
|  Premier Foods PLC | 136054 | 331558 |
|  Premier Miton Group PLC | 188592 | 107561 |
|  Property Franchise Group PLC | 32928 | 186715 |
|  PZ Cussons PLC | 196494 | 207293 |
|  Ramsdens Holdings PLC | 19057 | 87957 |
|  Rank Group PLC | 143302 | 168752 |
|  Renew Holdings PLC | 14934 | 167394 |
|  Restore PLC<sup>(a)</sup> | 28187 | 89766 |
|  S4 Capital PLC<sup>(a)</sup> | 307922 | 112884 |
|  Sabre Insurance Group PLC<sup>(b)</sup> | 223388 | 460726 |
|  Safestore Holdings PLC | 93599 | 783157 |
|  Savills PLC | 44114 | 479346 |
|  Secure Trust Bank PLC | 10786 | 181350 |
|  Senior PLC | 46418 | 175065 |
|  Smiths News PLC | 234602 | 197997 |
|  Spire Healthcare Group PLC<sup>(b)</sup> | 40003 | 77018 |
|  SSP Group PLC | 180976 | 417404 |
|  Supreme PLC | 43759 | 75016 |
|  Tatton Asset Management PLC | 24706 | 189614 |
|  Telecom Plus PLC | 40291 | 686462 |
|  Travis Perkins PLC | 42617 | 317524 |
|  Tristel PLC | 21294 | 101089 |
|  Vertu Motors PLC | 126162 | 96328 |
|  Victorian Plumbing Group PLC | 90209 | 76609 |
|  Volex PLC | 19611 | 117150 |
|  Volution Group PLC | 26319 | 197829 |
|  Warpaint London PLC<sup>(a)</sup> | 44177 | 107774 |
|  WH Smith PLC | 66710 | 504950 |
|  Wickes Group PLC | 117417 | 323611 |
|  Wilmington PLC | 18406 | 55826 |

---

*See Notes to Financial Statements.*

18&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (concluded)**<br> WisdomTree Europe SmallCap Dividend Fund *(DFE)*<br> March 31, 2026<br>

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Workspace Group PLC | 133215 | $| 599915 |
|  XPS Pensions Group PLC | 72804 |  | 278419 |
|  YouGov PLC | 40847 |  | 91032 |
|  Young & Co.'s Brewery PLC, Class A | 12068 |  | 120310 |
|  Yu Group PLC<sup>(a)</sup> | 7467 |  | 163948 |
|  Zotefoams PLC | 15808 |  | 70668 |
|  Total United Kingdom |  |  | 38853712 |
|  TOTAL COMMON STOCKS<br>(Cost: $137,316,307) |  |  | 153082336 |
|  MUTUAL FUND – 0.1% |  |  |  |
|  United States – 0.1% |  |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $217,850) | 217850 |  | 217850 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.7% |
|  United States – 3.7% |  |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup> | 320253 |  | 320253 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  WisdomTree Treasury Money Market Digital Fund, 3.43%<sup>(c)(d)</sup> | 5400000 | $&nbsp;&nbsp;&nbsp; 5400000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $5,720,253) |  | &nbsp;&nbsp;&nbsp; 5720253 |
|  TOTAL INVESTMENTS IN SECURITIES – 102.3% <br> (Cost: $143,254,410) | TOTAL INVESTMENTS IN SECURITIES – 102.3% <br> (Cost: $143,254,410) | &nbsp;&nbsp;&nbsp; 159020439 |
|  Other Liabilities less Assets – (2.3)% |  | &nbsp;&nbsp;&nbsp; (3609180) |
|  NET ASSETS – 100.0% |  | $&nbsp;&nbsp;&nbsp; 155411259 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $6,375,528 and the total market value of the collateral held by the Fund was $7,117,595. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $1,397,342.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<sup>(d)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/ <br>Additions | Sales/ <br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Dividend <br>Income | Securities <br>Lending <br>Income |
|  WisdomTree International MidCap Dividend Fund | $516282 | $778778 | $1398769 | $116272 | $(12563) | $—<sup>^</sup> | $17399 | $— |
|  WisdomTree Treasury Money Market Digital Fund |  | 7400000 | 2000000 |  |  | 5400000 |  | 6922 |
|  Total | $516282 | $8178778 | $3398769 | $116272 | $(12563) | $5400000 | $17399 | $6922 |

---

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>As of March 31, 2026, the Fund did not hold a position in this affiliate.

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $153082336 | $— | $—  | $153082336 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 217850 |  | 217850 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 5720253 |  | 5720253 |
|  Total Investments in Securities | $153082336 | $5938103 | $—  | $159020439 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;19

**Schedule of Investments** <br> WisdomTree International AI Enhanced Value Fund *(AIVI)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 96.5% |  |  |
|  Australia – 5.8% |  |  |
|  APA Group | 23871 | $162675 |
|  National Australia Bank Ltd. | 54092 | 1535253 |
|  Scentre Group | 159791 | 363344 |
|  Sonic Healthcare Ltd. | 9498 | 133031 |
|  Suncorp Group Ltd. | 18980 | 209940 |
|  Transurban Group | 82148 | 788247 |
|  Vicinity Ltd. | 127715 | 204685 |
|  Total Australia |  | 3397175 |
|  Belgium – 1.9% |  |  |
|  Ageas SA | 3278 | 238135 |
|  Anheuser-Busch InBev SA | 4435 | 305169 |
|  Groupe Bruxelles Lambert NV | 3338 | 299030 |
|  Syensqo SA | 4857 | 276902 |
|  Total Belgium |  | 1119236 |
|  Denmark – 1.1% |  |  |
|  Carlsberg AS, Class B | 1553 | 192335 |
|  Danske Bank AS | 9028 | 434737 |
|  Total Denmark |  | 627072 |
|  France – 12.2% |  |  |
|  Air Liquide SA | 771 | 158054 |
|  AXA SA | 14081 | 636635 |
|  Bouygues SA | 3061 | 174263 |
|  Capgemini SE | 4911 | 568675 |
|  Carrefour SA | 8945 | 163924 |
|  Cie Generale des Etablissements Michelin SCA | 8898 | 299264 |
|  Eiffage SA | 4725 | 713999 |
|  Gecina SA | 2141 | 167253 |
|  Getlink SE | 10722 | 229412 |
|  Klepierre SA | 5081 | 189797 |
|  Publicis Groupe SA | 1931 | 157612 |
|  Renault SA | 7774 | 259938 |
|  TotalEnergies SE | 24147 | 2251092 |
|  Vinci SA | 7937 | 1173762 |
|  Total France |  | 7143680 |
|  Germany – 5.7% |  |  |
|  BASF SE | 18823 | 1136444 |
|  Bayer AG, Registered Shares | 16048 | 728248 |
|  Deutsche Telekom AG, Registered Shares | 13384 | 492702 |
|  Evonik Industries AG | 23213 | 447996 |
|  Fresenius Medical Care AG | 3292 | 146298 |
|  Hannover Rueck SE | 514 | 158599 |
|  Mercedes-Benz Group AG | 4065 | 245379 |
|  Total Germany |  | 3355666 |
|  Hong Kong – 1.9% |  |  |
|  CK Asset Holdings Ltd. | 30000 | 170123 |
|  CLP Holdings Ltd. | 16000 | 149996 |
|  Hong Kong & China Gas Co. Ltd. | 156000 | 141272 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Hongkong Land Holdings Ltd. | 24600 | $191142 |
|  Link REIT | 32700 | 150233 |
|  Swire Pacific Ltd., Class A | 15000 | 163293 |
|  Wharf Real Estate Investment Co. Ltd. | 47000 | 135601 |
|  Total Hong Kong |  | 1101660 |
|  Ireland – 0.3% |  |  |
|  AIB Group PLC | 15159 | 157458 |
|  Israel – 1.0% |  |  |
|  Mizrahi Tefahot Bank Ltd. | 8468 | 610930 |
|  Italy – 5.8% |  |  |
|  Banca Mediolanum SpA | 33984 | 676622 |
|  Generali | 14698 | 584428 |
|  Intesa Sanpaolo SpA | 108572 | 645624 |
|  Poste Italiane SpA<sup>(a)(b)</sup> | 20748 | 481464 |
|  Unipol Assicurazioni SpA | 43490 | 994416 |
|  Total Italy |  | 3382554 |
|  Japan – 17.6% |  |  |
|  Advantest Corp. | 1100 | 140568 |
|  AGC, Inc. | 10200 | 352502 |
|  Asahi Group Holdings Ltd. | 30100 | 299884 |
|  Bridgestone Corp. | 50900 | 1045259 |
|  Fujikura Ltd. | 5400 | 138827 |
|  JX Advanced Metals Corp. | 15700 | 326849 |
|  Kioxia Holdings Corp.<sup>\*</sup> | 1300 | 155912 |
|  Komatsu Ltd. | 17700 | 668993 |
|  Kubota Corp. | 48300 | 745950 |
|  Makita Corp. | 18300 | 584003 |
|  Mitsubishi Chemical Group Corp. | 136000 | 768521 |
|  Mitsubishi Corp. | 15300 | 511347 |
|  Mitsubishi UFJ Financial Group, Inc. | 61700 | 1008360 |
|  Nippon Yusen KK | 4400 | 159527 |
|  ORIX Corp. | 16000 | 463335 |
|  Otsuka Corp. | 7600 | 144318 |
|  Sekisui Chemical Co. Ltd. | 8300 | 135986 |
|  Sekisui House Ltd. | 13400 | 296486 |
|  SMC Corp. | 500 | 188164 |
|  SoftBank Group Corp. | 15000 | 335188 |
|  Sumitomo Corp. | 7200 | 261588 |
|  Sumitomo Metal Mining Co. Ltd. | 6000 | 333962 |
|  Takeda Pharmaceutical Co. Ltd. | 12500 | 445031 |
|  Tokyu Corp. | 13300 | 155622 |
|  Toray Industries, Inc. | 21200 | 146650 |
|  Unicharm Corp. | 59500 | 348009 |
|  West Japan Railway Co. | 8800 | 173024 |
|  Total Japan |  | 10333865 |
|  Mexico – 0.4% |  |  |
|  Fresnillo PLC | 6087 | 265209 |

---

*See Notes to Financial Statements.*

20&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International AI Enhanced Value Fund *(AIVI)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Netherlands – 0.4% |  |  |
|  EXOR NV | 1801 | $136231 |
|  Randstad NV | 4930 | 126728 |
|  Total Netherlands |  | 262959 |
|  Norway – 2.4% |  |  |
|  DNB Bank ASA | 44812 | 1385632 |
|  Portugal – 0.2% |  |  |
|  Banco Comercial Portugues SA, Class R | 152169 | 145874 |
|  Singapore – 7.0% |  |  |
|  CapitaLand Investment Ltd. | 66600 | 140412 |
|  DBS Group Holdings Ltd. | 3800 | 167593 |
|  Oversea-Chinese Banking Corp. Ltd. | 122500 | 2086056 |
|  United Overseas Bank Ltd. | 60300 | 1712975 |
|  Total Singapore |  | 4107036 |
|  South Korea – 0.2% |  |  |
|  Delivery Hero SE<sup>\*(a)(b)</sup> | 7632 | 135861 |
|  Spain – 5.0% |  |  |
|  ACS Actividades de Construccion y Servicios SA | 4880 | 589263 |
|  Aena SME SA<sup>(a)</sup> | 11471 | 337295 |
|  Amadeus IT Group SA | 4045 | 226880 |
|  Banco Bilbao Vizcaya Argentaria SA | 25060 | 526953 |
|  Endesa SA | 10960 | 455622 |
|  Grifols SA<sup>(b)</sup> | 23492 | 242416 |
|  Mapfre SA | 90948 | 399670 |
|  Redeia Corp. SA | 8633 | 144828 |
|  Total Spain |  | 2922927 |
|  Sweden – 5.6% |  |  |
|  Industrivarden AB, Class C | 6003 | 291761 |
|  L E Lundbergforetagen AB, Class B | 3721 | 207802 |
|  Skandinaviska Enskilda Banken AB, Class A<sup>(b)</sup> | 34544 | 624792 |
|  Svenska Handelsbanken AB, Class A | 50966 | 658325 |
|  Swedbank AB, Class A | 45677 | 1529080 |
|  Total Sweden |  | 3311760 |
|  Switzerland – 2.4% |  |  |
|  Banque Cantonale Vaudoise, Registered Shares | 1159 | 186063 |
|  Sonova Holding AG, Registered Shares | 606 | 134993 |
|  Swatch Group AG, Bearer Shares | 1291 | 278749 |
|  Zurich Insurance Group AG | 1148 | 802050 |
|  Total Switzerland |  | 1401855 |
|  United Kingdom – 12.2% |  |  |
|  Admiral Group PLC | 3900 | 162002 |
|  Associated British Foods PLC | 6007 | 148646 |
|  Barclays PLC | 27828 | 142916 |
|  British American Tobacco PLC | 22584 | 1301750 |
|  Entain PLC | 20435 | 151176 |
|  HSBC Holdings PLC | 56454 | 909431 |
|  Imperial Brands PLC | 19350 | 780050 |
|  M&G PLC | 214032 | 767703 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  NatWest Group PLC | 19724 | $143887 |
|  Reckitt Benckiser Group PLC | 10493 | 704032 |
|  Segro PLC | 15971 | 135590 |
|  Standard Life PLC | 108286 | 968875 |
|  United Utilities Group PLC | 46951 | 814172 |
|  Total United Kingdom |  | 7130230 |
|  United States – 7.4% |  |  |
|  GSK PLC | 32496 | 884475 |
|  Haleon PLC | 28472 | 140347 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 5779 | 466894 |
|  Shell PLC | 31340 | 1480783 |
|  Stellantis NV | 35753 | 249598 |
|  Swiss Re AG | 6725 | 1106397 |
|  Total United States |  | 4328494 |
|  TOTAL COMMON STOCKS<br> (Cost: $49,795,474) |  | 56627133 |
|  PREFERRED STOCKS – 0.6% |  |  |
|  Germany – 0.6% |  |  |
|  Henkel AG & Co. KGaA, 3.01%<br> (Cost: $355,639) | 4426 | 338106 |
|  EXCHANGE-TRADED FUND – 1.2% |  |  |
|  United States – 1.2% |  |  |
|  iShares MSCI EAFE Value ETF<br> (Cost: $687,191) | 9232 | 686399 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2% |
|  United States – 2.2% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup><br> (Cost: $1,294,117) | 1294117 | 1294117 |
|  TOTAL INVESTMENTS IN SECURITIES – 100.5%<br> (Cost: $52,132,421) | TOTAL INVESTMENTS IN SECURITIES – 100.5%<br> (Cost: $52,132,421) | 58945755 |
|  Other Liabilities less Assets – (0.5)% |  | (279600) |
|  NET ASSETS – 100.0% |  | $&nbsp;&nbsp;&nbsp; 58666155 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(b)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $1,348,621 and the total market value of the collateral held by the Fund was $1,543,667. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $249,550.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;21

**Schedule of Investments (concluded)**<br> WisdomTree International AI Enhanced Value Fund *(AIVI)*<br> March 31, 2026<br>

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/<br>Additions | Sales/<br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/<br>Depreciation | Value at <br> 3/31/2026 | Securities<br>Lending <br>Income |
|  WisdomTree Treasury Money Market Digital Fund | $— | $2400000 | $2400000 | $— | $— | $—<sup>^</sup> | $526 |

---

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>As of March 31, 2026, the Fund did not hold a position in this affiliate.

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | &nbsp;&nbsp; Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $56627133 | $— | $—  | $56627133 |
| &nbsp;&nbsp;&nbsp; Preferred Stocks | 338106 |  |  | 338106 |
| &nbsp;&nbsp;&nbsp; Exchange-Traded Fund | 686399 |  |  | 686399 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 1294117 |  | 1294117 |
|  Total Investments in Securities | $57651638 | $1294117 | $—  | $58945755 |

---

*See Notes to Financial Statements.*

22&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.9% |  |  |
|  Australia – 6.9% |  |  |
|  ALS Ltd. | 19052 | $&nbsp;&nbsp;&nbsp; 271413 |
|  Ampol Ltd. | 3713 | 85649 |
|  Ansell Ltd. | 1126 | 21771 |
|  ANZ Group Holdings Ltd. | 67958 | 1674204 |
|  APA Group | 83658 | 570109 |
|  Aristocrat Leisure Ltd. | 10426 | 323691 |
|  Aussie Broadband Ltd. | 35596 | 116535 |
|  Australian Clinical Labs Ltd. | 29950 | 42667 |
|  Bendigo & Adelaide Bank Ltd. | 10761 | 72891 |
|  BHP Group Ltd. | 137166 | 4733889 |
|  BlueScope Steel Ltd. | 9921 | 174765 |
|  Brambles Ltd. | 41092 | 636052 |
|  Breville Group Ltd. | 14204 | 256244 |
|  CAR Group Ltd. | 28467 | 444533 |
|  Centuria Capital Group | 37032 | 40201 |
|  Cleanaway Waste Management Ltd. | 70729 | 109964 |
|  Cochlear Ltd. | 2758 | 319422 |
|  Codan Ltd. | 16836 | 360458 |
|  Coles Group Ltd. | 43873 | 659868 |
|  Commonwealth Bank of Australia | 33080 | 3799494 |
|  Computershare Ltd. | 13179 | 256257 |
|  Corporate Travel Management Ltd.<sup>\*^</sup> | 12273 | 90406 |
|  Cromwell Property Group | 303379 | 82075 |
|  CSL Ltd. | 9121 | 879449 |
|  Dalrymple Bay Infrastructure Ltd. | 55838 | 193129 |
|  Dexus | 15547 | 63037 |
|  Dicker Data Ltd. | 14028 | 81954 |
|  Downer EDI Ltd. | 22190 | 116416 |
|  Dyno Nobel Ltd. | 35077 | 74956 |
|  Eagers Automotive Ltd. | 6654 | 102540 |
|  Evolution Mining Ltd. | 47086 | 406985 |
|  EVT Ltd. | 11945 | 107991 |
|  Goodman Group | 25754 | 450498 |
|  GPT Group | 39679 | 123108 |
|  GWA Group Ltd. | 46656 | 66785 |
|  Hansen Technologies Ltd. | 13432 | 45262 |
|  Harvey Norman Holdings Ltd. | 19724 | 66599 |
|  Helia Group Ltd. | 18062 | 65070 |
|  Imdex Ltd. | 44674 | 117493 |
|  Ingenia Communities Group | 47224 | 128728 |
|  Insurance Australia Group Ltd. | 19028 | 95657 |
|  Integral Diagnostics Ltd. | 35128 | 56780 |
|  IVE Group Ltd. | 56026 | 100151 |
|  JB Hi-Fi Ltd. | 6052 | 300182 |
|  Jumbo Interactive Ltd. | 10162 | 53661 |
|  Lottery Corp. Ltd. | 107710 | 396886 |
|  Lovisa Holdings Ltd. | 8375 | 121375 |
|  Lycopodium Ltd. | 8809 | 78553 |
|  Maas Group Holdings Ltd. | 41467 | 122975 |
|  Macmahon Holdings Ltd. | 126201 | 61801 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Macquarie Group Ltd. | 5704 | $&nbsp;&nbsp;&nbsp; 788874 |
|  Mader Group Ltd. | 24980 | 134646 |
|  Metcash Ltd. | 45340 | 91918 |
|  Mirvac Group | 96749 | 117286 |
|  Monadelphous Group Ltd. | 11304 | 211050 |
|  MyState Ltd. | 23325 | 70291 |
|  National Australia Bank Ltd. | 72027 | 2044289 |
|  Nick Scali Ltd. | 8191 | 87965 |
|  Northern Star Resources Ltd. | 34436 | 480195 |
|  NRW Holdings Ltd. | 41991 | 151563 |
|  Orica Ltd. | 11992 | 164759 |
|  Origin Energy Ltd. | 47075 | 399152 |
|  Perseus Mining Ltd. | 57745 | 203680 |
|  Pro Medicus Ltd. | 4380 | 350684 |
|  Propel Funeral Partners Ltd.<sup>(a)</sup> | 23176 | 64287 |
|  Qantas Airways Ltd. | 44727 | 256403 |
|  QBE Insurance Group Ltd. | 12609 | 183340 |
|  Qube Holdings Ltd. | 68939 | 229471 |
|  Ramelius Resources Ltd. | 93896 | 236015 |
|  REA Group Ltd. | 5716 | 612367 |
|  Redox Ltd. | 38869 | 87851 |
|  Regis Healthcare Ltd. | 26769 | 112938 |
|  Rio Tinto Ltd.<sup>(a)</sup> | 12502 | 1382264 |
|  Rio Tinto PLC | 42774 | 3916836 |
|  Scentre Group | 215503 | 490025 |
|  SEEK Ltd. | 11084 | 105901 |
|  SGH Ltd. | 9932 | 274886 |
|  Sigma Healthcare Ltd. | 229278 | 416136 |
|  SmartGroup Corp. Ltd. | 3552 | 19973 |
|  SRG Global Ltd. | 39935 | 67285 |
|  Stockland | 99640 | 294129 |
|  Suncorp Group Ltd. | 5984 | 66190 |
|  Super Retail Group Ltd. | 9255 | 81263 |
|  Supply Network Ltd.<sup>(a)</sup> | 5432 | 116559 |
|  Tasmea Ltd. | 19789 | 61262 |
|  Technology One Ltd. | 24190 | 444678 |
|  Telstra Group Ltd. | 469918 | 1715444 |
|  TPG Telecom Ltd. | 20989 | 57789 |
|  Transurban Group | 132673 | 1273057 |
|  Universal Store Holdings Ltd. | 12140 | 64771 |
|  Ventia Services Group Pty. Ltd. | 63099 | 226022 |
|  Vicinity Ltd. | 198494 | 318120 |
|  Vulcan Steel Ltd. | 21341 | 77029 |
|  Waypoint REIT Ltd. | 5109 | 8223 |
|  Wesfarmers Ltd. | 36168 | 1806088 |
|  Westgold Resources Ltd. | 44809 | 180762 |
|  Westpac Banking Corp. | 73410 | 1984493 |
|  Whitehaven Coal Ltd. | 5049 | 31987 |
|  WiseTech Global Ltd. | 13295 | 346201 |
|  Woolworths Group Ltd. | 26790 | 668068 |
|  Worley Ltd. | 6290 | 48293 |
|  Total Australia |  | 43243337 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;23

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Austria – 0.4% |  |  |
|  ANDRITZ AG | 3113 | $&nbsp;&nbsp;&nbsp; 213415 |
|  CA Immobilien Anlagen AG | 3945 | 110545 |
|  Erste Group Bank AG | 8846 | 942793 |
|  Kontron AG | 4336 | 94273 |
|  Strabag SE, Bearer Shares | 4115 | 405855 |
|  Telekom Austria AG | 38495 | 404064 |
|  Verbund AG | 3840 | 290465 |
|  Wienerberger AG | 893 | 23439 |
|  Total Austria |  | 2484849 |
|  Belgium – 1.1% |  |  |
|  Ackermans & van Haaren NV | 499 | 150981 |
|  Ageas SA | 4028 | 292619 |
|  Anheuser-Busch InBev SA | 25860 | 1779410 |
|  Barco NV | 2098 | 22880 |
|  Bekaert SA | 1738 | 80101 |
|  Cofinimmo SA | 1868 | 174768 |
|  Colruyt Group NV | 1993 | 83311 |
|  Elia Group SA<sup>\*</sup> | 2410 | 365983 |
|  Fagron | 7679 | 191111 |
|  Financiere de Tubize SA | 903 | 220573 |
|  KBC Group NV | 12519 | 1507349 |
|  Kinepolis Group NV | 3067 | 92055 |
|  Melexis NV | 5130 | 310612 |
|  Montea NV | 2859 | 215437 |
|  Shurgard Self Storage Ltd. | 3987 | 114156 |
|  Solvay SA | 3034 | 92498 |
|  Syensqo SA | 2392 | 136370 |
|  UCB SA | 2020 | 601644 |
|  VGP NV | 3187 | 301476 |
|  Warehouses De Pauw CVA | 13965 | 359139 |
|  Total Belgium |  | 7092473 |
|  Brazil – 0.0% |  |  |
|  Yara International ASA | 1361 | 78802 |
|  Chile – 0.1% |  |  |
|  Antofagasta PLC | 15844 | 695126 |
|  China – 0.5% |  |  |
|  BOC Aviation Ltd.<sup>(b)</sup> | 21500 | 211841 |
|  BOC Hong Kong Holdings Ltd. | 447444 | 2442617 |
|  Health & Happiness H&H International Holdings Ltd. | 47500 | 72460 |
|  Morimatsu International Holdings Co. Ltd. | 47000 | 39565 |
|  Prosus NV<sup>\*</sup> | 12506 | 561679 |
|  VSTECS Holdings Ltd.<sup>(a)</sup> | 44000 | 47759 |
|  Total China |  | 3375921 |
|  Denmark – 0.9% |  |  |
|  AL Sydbank | 1521 | 120664 |
|  Ambu AS, Class B | 21082 | 222347 |
|  Carlsberg AS, Class B | 1557 | 192830 |
|  Danske Bank AS | 23503 | 1131771 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  H Lundbeck AS | 5678 | $&nbsp;&nbsp;&nbsp; 34933 |
|  ISS AS | 4242 | 153448 |
|  Novo Nordisk AS, Class B | 85551 | 3045876 |
|  Pandora AS | 2409 | 168527 |
|  Rockwool AS, Class B | 36 | 977 |
|  Royal Unibrew AS | 1827 | 147757 |
|  Tryg AS | 2297 | 54579 |
|  Vestas Wind Systems AS | 9383 | 275107 |
|  Total Denmark |  | 5548816 |
|  Finland – 1.6% |  |  |
|  Elisa OYJ | 6413 | 309749 |
|  Fortum OYJ | 24997 | 630178 |
|  F-Secure OYJ | 40330 | 74814 |
|  Harvia OYJ | 2552 | 97181 |
|  Hiab OYJ, Class B | 1924 | 89649 |
|  Kalmar OYJ, Class B<sup>\*</sup> | 1507 | 75289 |
|  Kemira OYJ | 7069 | 153124 |
|  Kone OYJ, Class B | 17558 | 1108217 |
|  Konecranes OYJ | 11616 | 373948 |
|  Metso OYJ | 33980 | 577097 |
|  Neste OYJ | 14301 | 460549 |
|  Nokian Renkaat OYJ | 14131 | 148001 |
|  Nordea Bank Abp | 221424 | 3743955 |
|  Orion OYJ, Class B | 5551 | 445791 |
|  Outokumpu OYJ | 18285 | 97755 |
|  Puuilo OYJ | 8735 | 126712 |
|  Raisio OYJ, Class V | 28873 | 88491 |
|  Sampo OYJ, Class A | 39927 | 423328 |
|  Sanoma OYJ | 16056 | 165572 |
|  Terveystalo OYJ<sup>(b)</sup> | 6374 | 63527 |
|  Valmet OYJ | 6751 | 189562 |
|  Wartsila OYJ Abp | 15866 | 579684 |
|  Total Finland |  | 10022173 |
|  France – 8.2% |  |  |
|  Accor SA | 11132 | 521004 |
|  Aeroports de Paris SA | 2716 | 327333 |
|  Air Liquide SA | 9265 | 1899319 |
|  Airbus SE | 6798 | 1259648 |
|  AXA SA | 110853 | 5011922 |
|  Ayvens SA<sup>(b)</sup> | 21042 | 242931 |
|  BioMerieux | 2017 | 213342 |
|  BNP Paribas SA | 47678 | 4449152 |
|  Bouygues SA | 10029 | 570953 |
|  Bureau Veritas SA | 13208 | 391109 |
|  Cie de Saint-Gobain SA | 9287 | 749676 |
|  Cie des Alpes | 3410 | 92724 |
|  Cie Generale des Etablissements Michelin SCA | 16985 | 571252 |
|  Covivio SA | 5295 | 312671 |
|  Credit Agricole SA | 111683 | 2049890 |
|  Danone SA | 20253 | 1611083 |
|  Dassault Aviation SA | 1568 | 576682 |

---

*See Notes to Financial Statements.*

24&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Dassault Systemes SE | 14911 | $&nbsp;&nbsp;&nbsp; 296706 |
|  Edenred SE | 2252 | 44267 |
|  Eiffage SA | 1636 | 247218 |
|  Elis SA | 4997 | 139793 |
|  Engie SA | 130513 | 4166948 |
|  EssilorLuxottica SA | 5431 | 1241507 |
|  Exosens SAS | 5657 | 398901 |
|  Gaztransport & Technigaz SA | 2743 | 642210 |
|  Getlink SE | 29248 | 625800 |
|  Hermes International SCA | 834 | 1546144 |
|  Interparfums SA | 10826 | 284900 |
|  Ipsen SA | 1070 | 197750 |
|  Kering SA | 1998 | 590718 |
|  Klepierre SA | 16705 | 624004 |
|  Legrand SA | 5237 | 794687 |
|  LISI SA | 3011 | 181790 |
|  L'Oreal SA | 7982 | 3212923 |
|  LVMH Moet Hennessy Louis Vuitton SE | 9301 | 4962862 |
|  Mersen SA | 978 | 25016 |
|  Nexans SA | 863 | 114251 |
|  Opmobility | 4381 | 75616 |
|  Orange SA | 102264 | 2082620 |
|  Planisware SA | 9193 | 152315 |
|  Publicis Groupe SA | 7076 | 577556 |
|  Rexel SA | 10573 | 405424 |
|  Rubis SCA | 2475 | 98269 |
|  Safran SA | 4299 | 1383954 |
|  Societe Generale SA | 2810 | 199959 |
|  SPIE SA | 5614 | 277108 |
|  Technip Energies NV | 5408 | 227934 |
|  Thales SA | 2960 | 859790 |
|  Valeo SE | 4357 | 51858 |
|  Vallourec SACA | 8238 | 206447 |
|  Veolia Environnement SA | 23159 | 871493 |
|  Vicat SACA | 1866 | 133945 |
|  Vinci SA | 16749 | 2476923 |
|  Vusion/France | 763 | 96265 |
|  Total France |  | 51366562 |
|  Georgia – 0.0% |  |  |
|  Lion Finance Group PLC | 1003 | 122743 |
|  TBC Bank Group PLC | 628 | 33788 |
|  Total Georgia |  | 156531 |
|  Germany – 6.4% |  |  |
|  adidas AG | 2165 | 340875 |
|  AIXTRON SE | 15516 | 584595 |
|  Allianz SE, Registered Shares | 10832 | 4484290 |
|  Alzchem Group AG | 1054 | 206451 |
|  Aurubis AG | 519 | 89699 |
|  BASF SE | 31144 | 1880327 |
|  Bayer AG, Registered Shares | 4024 | 182607 |
|  Bayerische Motoren Werke AG | 19214 | 1726793 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Bechtle AG | 4412 | $&nbsp;&nbsp;&nbsp; 148235 |
|  Beiersdorf AG | 2018 | 178059 |
|  Bilfinger SE | 1788 | 201893 |
|  Commerzbank AG | 12855 | 456047 |
|  Continental AG | 3162 | 217138 |
|  CTS Eventim AG & Co. KGaA | 4721 | 270127 |
|  Daimler Truck Holding AG | 31573 | 1508612 |
|  Deutsche Bank AG, Registered Shares | 14698 | 425323 |
|  Deutsche Boerse AG | 1874 | 542181 |
|  Deutsche Lufthansa AG, Registered Shares | 9843 | 81611 |
|  Deutsche Post AG, Registered Shares | 37145 | 1915231 |
|  Deutsche Telekom AG, Registered Shares | 114272 | 4206671 |
|  Deutz AG | 17620 | 171347 |
|  DWS Group GmbH & Co. KGaA<sup>(b)</sup> | 2874 | 179976 |
|  E.ON SE | 60547 | 1322692 |
|  Eckert & Ziegler SE | 8462 | 142544 |
|  Elmos Semiconductor SE | 2135 | 353740 |
|  Fielmann Group AG | 5759 | 288977 |
|  Freenet AG | 1602 | 48767 |
|  Fresenius Medical Care AG | 1521 | 67594 |
|  Fresenius SE & Co. KGaA | 4594 | 234595 |
|  Friedrich Vorwerk Group SE | 2174 | 175342 |
|  GEA Group AG | 3702 | 261045 |
|  Hannover Rueck SE | 1273 | 392796 |
|  Heidelberg Materials AG | 3759 | 772455 |
|  Henkel AG & Co. KGaA | 1865 | 132799 |
|  Hensoldt AG<sup>(a)</sup> | 4423 | 385271 |
|  HochTief AG | 2117 | 933728 |
|  Hugo Boss AG | 315 | 13331 |
|  Indus Holding AG | 3113 | 95050 |
|  Infineon Technologies AG | 15102 | 661220 |
|  KION Group AG | 1424 | 72947 |
|  Knorr-Bremse AG | 3567 | 399276 |
|  LEG Immobilien SE | 857 | 55395 |
|  MTU Aero Engines AG | 668 | 238598 |
|  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares | 2730 | 1696686 |
|  Nemetschek SE | 5871 | 430903 |
|  PNE AG | 9038 | 87891 |
|  RENK Group AG | 7406 | 432121 |
|  Rheinmetall AG | 461 | 767267 |
|  RWE AG | 13149 | 873868 |
|  SAP SE | 10688 | 1809031 |
|  Schaeffler AG | 33131 | 269314 |
|  Schott Pharma AG & Co. KGaA | 12510 | 194878 |
|  Scout24 SE<sup>(b)</sup> | 4823 | 366766 |
|  Siemens AG, Registered Shares | 13220 | 3133239 |
|  Siemens Healthineers AG<sup>(b)</sup> | 17835 | 745946 |
|  Sirius Real Estate Ltd. | 157253 | 192024 |
|  Stroeer SE & Co. KGaA | 2914 | 102236 |
|  Symrise AG | 2631 | 222022 |
|  TAG Immobilien AG | 7159 | 110861 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;25

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Talanx AG | 2585 | $&nbsp;&nbsp;&nbsp; 314523 |
|  Traton SE<sup>(a)</sup> | 24567 | 872394 |
|  Vonovia SE | 27551 | 684406 |
|  Vossloh AG | 2079 | 162889 |
|  Wacker Neuson SE | 2046 | 42622 |
|  Total Germany |  | 40558137 |
|  Hong Kong – 2.0% |  |  |
|  AIA Group Ltd. | 121565 | 1315629 |
|  ASMPT Ltd. | 15800 | 200115 |
|  Bank of East Asia Ltd. | 60600 | 101023 |
|  Cathay Pacific Airways Ltd. | 482000 | 689783 |
|  CK Asset Holdings Ltd. | 30500 | 172959 |
|  CK Infrastructure Holdings Ltd. | 88500 | 706063 |
|  CLP Holdings Ltd. | 55000 | 515612 |
|  DFI Retail Group Holdings Ltd., Registered Shares | 16200 | 67716 |
|  Dream International Ltd. | 14000 | 12303 |
|  Hang Lung Group Ltd. | 45000 | 85578 |
|  Hang Lung Properties Ltd. | 73000 | 81285 |
|  HKT Trust & HKT Ltd. | 272000 | 423948 |
|  Hong Kong & China Gas Co. Ltd. | 528570 | 478667 |
|  Hong Kong Exchanges & Clearing Ltd. | 28029 | 1389259 |
|  Hongkong Land Holdings Ltd. | 49400 | 383838 |
|  Hutchison Telecommunications Hong Kong Holdings Ltd. | 96000 | 14326 |
|  Johnson Electric Holdings Ltd. | 22000 | 65381 |
|  Kerry Properties Ltd. | 30000 | 83569 |
|  Luk Fook Holdings International Ltd. | 27000 | 80034 |
|  Man Wah Holdings Ltd.<sup>(a)</sup> | 48800 | 26827 |
|  MTR Corp. Ltd.<sup>(a)</sup> | 158553 | 646734 |
|  Nissin Foods Co. Ltd. | 174000 | 160014 |
|  Pacific Basin Shipping Ltd. | 100000 | 36479 |
|  PCCW Ltd. | 489000 | 361751 |
|  Power Assets Holdings Ltd. | 81500 | 634624 |
|  Sun Hung Kai Properties Ltd. | 52000 | 856917 |
|  SUNeVision Holdings Ltd.<sup>(a)</sup> | 214000 | 147394 |
|  Swire Pacific Ltd., Class B | 185000 | 302033 |
|  Swire Properties Ltd. | 214400 | 621854 |
|  Techtronic Industries Co. Ltd. | 47500 | 618575 |
|  Time Interconnect Technology Ltd. | 140000 | 275886 |
|  United Laboratories International Holdings Ltd.<sup>(a)</sup> | 30000 | 36772 |
|  VTech Holdings Ltd.<sup>(a)</sup> | 1400 | 10553 |
|  WH Group Ltd.<sup>(b)</sup> | 775500 | 1014850 |
|  Wharf Real Estate Investment Co. Ltd. | 17000 | 49047 |
|  Total Hong Kong |  | 12667398 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Indonesia – 0.1% |  |  |
|  Bumitama Agri Ltd. | 156700 | $&nbsp;&nbsp;&nbsp; 223484 |
|  First Pacific Co. Ltd. | 60000 | 41938 |
|  First Resources Ltd. | 21700 | 48777 |
|  Jardine Matheson Holdings Ltd. | 2700 | 192105 |
|  Total Indonesia |  | 506304 |
|  Ireland – 0.2% |  |  |
|  AIB Group PLC | 62475 | 648933 |
|  Cairn Homes PLC | 69190 | 167413 |
|  COSMO Pharmaceuticals NV | 2062 | 212731 |
|  Glanbia PLC | 3964 | 77416 |
|  Kerry Group PLC, Class A | 1887 | 148715 |
|  Total Ireland |  | 1255208 |
|  Israel – 1.3% |  |  |
|  Amot Investments Ltd. | 28045 | 170801 |
|  AudioCodes Ltd.<sup>(a)</sup> | 5714 | 47630 |
|  Aura Investments Ltd.<sup>(a)</sup> | 28518 | 171605 |
|  Azorim-Investment Development & Construction Co. Ltd.<sup>\*(a)</sup> | 20086 | 119594 |
|  Azrieli Group Ltd. | 1751 | 232191 |
|  Bank Hapoalim BM | 24395 | 566474 |
|  Bank Leumi Le-Israel BM | 13627 | 301197 |
|  Bezeq The Israeli Telecommunication Corp. Ltd. | 52544 | 124641 |
|  Big Shopping Centers Ltd. | 1196 | 271510 |
|  Carasso Real Estate Ltd.<sup>(a)</sup> | 4874 | 51248 |
|  Danya Cebus Ltd. | 2955 | 151610 |
|  Delek Group Ltd. | 307 | 102985 |
|  Elbit Systems Ltd. | 1021 | 852693 |
|  Energean PLC | 19579 | 223075 |
|  Energix-Renewable Energies Ltd. | 57727 | 345539 |
|  Gav-Yam Lands Corp. Ltd. | 5760 | 65380 |
|  Hilan Ltd. | 2162 | 132835 |
|  ICL Group Ltd. | 19117 | 98022 |
|  Inrom Construction Industries Ltd. | 12776 | 99538 |
|  Israel Canada TR Ltd. | 32454 | 179975 |
|  Matrix IT Ltd. | 10088 | 278413 |
|  Mediterranean Towers Ltd. | 57219 | 302631 |
|  Mega Or Holdings Ltd. | 3397 | 538571 |
|  Mivne Real Estate KD Ltd.<sup>\*</sup> | 36210 | 149427 |
|  Mizrahi Tefahot Bank Ltd. | 5593 | 403511 |
|  Neto Malinda Trading Ltd. | 1789 | 87311 |
|  Newmed Energy LP | 66136 | 376813 |
|  Next Vision Stabilized Systems Ltd. | 10420 | 1006524 |
|  One Software Technologies Ltd. | 7269 | 135826 |
|  Palram Industries 1990 Ltd.<sup>(a)</sup> | 2766 | 43669 |
|  Plus500 Ltd. | 1937 | 103910 |
|  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. | 2370 | 282674 |
|  Retailors Ltd. | 5744 | 62397 |
|  Sisram Medical Ltd.<sup>(b)</sup> | 153600 | 64064 |
|  Strauss Group Ltd. | 6811 | 298109 |
|  Total Israel |  | 8442393 |

---

*See Notes to Financial Statements.*

26&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Italy – 5.2% |  |  |
|  A2A SpA | 70091 | $&nbsp;&nbsp;&nbsp; 196082 |
|  ACEA SpA | 6148 | 157967 |
|  Alerion Cleanpower SpA | 4775 | 112236 |
|  Azimut Holding SpA | 4408 | 164302 |
|  Banca Generali SpA | 2671 | 156646 |
|  Banca Mediolanum SpA | 16411 | 326743 |
|  Banca Monte dei Paschi di Siena SpA | 100812 | 862687 |
|  Banco BPM SpA | 78307 | 1070072 |
|  BPER Banca SpA | 72495 | 930092 |
|  Brembo NV | 3670 | 34315 |
|  Brunello Cucinelli SpA<sup>(a)</sup> | 4794 | 411954 |
|  Carel Industries SpA<sup>(b)</sup> | 14568 | 370115 |
|  Coca-Cola HBC AG<sup>\*</sup> | 10959 | 613616 |
|  Credito Emiliano SpA | 14584 | 243990 |
|  De' Longhi SpA | 2326 | 80347 |
|  DiaSorin SpA<sup>(a)</sup> | 1413 | 97651 |
|  El.En. SpA<sup>(a)</sup> | 7187 | 101772 |
|  Enav SpA<sup>(b)</sup> | 41784 | 248902 |
|  Enel SpA | 410856 | 4438015 |
|  ERG SpA | 7392 | 187035 |
|  Ferrari NV | 2439 | 812152 |
|  FinecoBank Banca Fineco SpA | 6070 | 132429 |
|  Generali | 30153 | 1198956 |
|  Hera SpA | 6545 | 29953 |
|  Industrie De Nora SpA | 41 | 264 |
|  Infrastrutture Wireless Italiane SpA<sup>(a)(b)</sup> | 47769 | 377295 |
|  Intesa Sanpaolo SpA | 1117827 | 6647162 |
|  Iren SpA | 23955 | 67291 |
|  Italgas SpA | 54322 | 627776 |
|  Leonardo SpA | 6947 | 464571 |
|  Lottomatica Group SpA | 14735 | 420367 |
|  Maire SpA | 10935 | 167571 |
|  Moncler SpA | 8787 | 520393 |
|  Orsero SpA | 3114 | 53676 |
|  OVS SpA<sup>(b)</sup> | 1781 | 9136 |
|  Poste Italiane SpA<sup>(b)</sup> | 42800 | 993187 |
|  PRADA SpA | 70300 | 331047 |
|  Prysmian SpA | 4478 | 509660 |
|  RAI Way SpA<sup>(b)</sup> | 25958 | 175565 |
|  Recordati Industria Chimica & Farmaceutica SpA | 6812 | 384904 |
|  Reply SpA | 2238 | 208224 |
|  Rizzoli Corriere Della Sera Mediagroup SpA<sup>(a)</sup> | 130187 | 142351 |
|  Ryanair Holdings PLC | 23438 | 644616 |
|  Saipem SpA | 57711 | 260260 |
|  Sanlorenzo SpA<sup>(a)</sup> | 1425 | 50570 |
|  Snam SpA | 126733 | 957027 |
|  SOL SpA | 4351 | 295279 |
|  Technogym SpA<sup>(b)</sup> | 18980 | 379204 |
|  Terna – Rete Elettrica Nazionale | 52017 | 591189 |
|  UniCredit SpA | 56818 | 3984242 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Unipol Assicurazioni SpA | 14507 | $&nbsp;&nbsp;&nbsp; 331708 |
|  Webuild SpA | 27300 | 71151 |
|  Wiit SpA<sup>(a)</sup> | 3633 | 109462 |
|  Total Italy |  | 32753177 |
|  Ivory Coast – 0.0% |  |  |
|  Endeavour Mining PLC | 4473 | 263075 |
|  Japan – 24.6% |  |  |
|  77 Bank Ltd./The | 16500 | 316953 |
|  A&D HOLON Holdings Co. Ltd. | 5700 | 89608 |
|  ABC-Mart, Inc. | 10600 | 168271 |
|  ADEKA Corp. | 9400 | 213301 |
|  Advantest Corp. | 7300 | 932862 |
|  Aeon Co. Ltd. | 27000 | 319828 |
|  Aichi Financial Group, Inc. | 13500 | 116510 |
|  Aida Engineering Ltd. | 15900 | 107039 |
|  Ain Holdings, Inc. | 2600 | 91945 |
|  Airport Facilities Co. Ltd. | 27300 | 164737 |
|  Aisan Industry Co. Ltd. | 2800 | 32314 |
|  Aisin Corp. | 5200 | 70863 |
|  AIT Corp. | 10000 | 137721 |
|  Ajinomoto Co., Inc. | 25000 | 690961 |
|  Alinco, Inc. | 14400 | 92959 |
|  Amada Co. Ltd. | 16300 | 221411 |
|  Amano Corp. | 5800 | 137736 |
|  Anritsu Corp. | 13100 | 225456 |
|  Anycolor, Inc. | 1900 | 34623 |
|  Aoyama Trading Co. Ltd. | 9300 | 47058 |
|  Arcs Co. Ltd. | 2400 | 57024 |
|  ARE Holdings, Inc. | 5900 | 124423 |
|  Ariake Japan Co. Ltd. | 4400 | 154881 |
|  Artner Co. Ltd. | 5800 | 69561 |
|  As One Corp. | 4800 | 66498 |
|  Asahi Intecc Co. Ltd. | 33700 | 707088 |
|  Asahi Kasei Corp. | 4531 | 42977 |
|  Asanuma Corp. | 28300 | 174329 |
|  Asics Corp. | 24000 | 626966 |
|  Astellas Pharma, Inc. | 61400 | 972196 |
|  Astena Holdings Co. Ltd. | 30600 | 90786 |
|  Aucnet, Inc. | 10800 | 80649 |
|  Avant Group Corp. | 6200 | 49923 |
|  Axial Retailing, Inc. | 8500 | 66412 |
|  Azbil Corp. | 27200 | 231497 |
|  AZOOM Co. Ltd. | 2000 | 55566 |
|  Bandai Namco Holdings, Inc. | 18800 | 456972 |
|  Baroque Japan Ltd.<sup>(a)</sup> | 17300 | 81666 |
|  Base Co. Ltd. | 3300 | 65755 |
|  BayCurrent, Inc. | 12200 | 348078 |
|  Belluna Co. Ltd. | 11300 | 61795 |
|  BIPROGY, Inc. | 6100 | 177145 |
|  Bridgestone Corp. | 30000 | 616066 |
|  Bunka Shutter Co. Ltd. | 6900 | 82406 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;27

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Business Brain Showa-Ota, Inc. | 26700 | $&nbsp;&nbsp;&nbsp; 156417 |
|  C Uyemura & Co. Ltd. | 1400 | 173537 |
|  Canon Marketing Japan, Inc. | 10200 | 221196 |
|  Canon, Inc. | 26300 | 720278 |
|  Capcom Co. Ltd. | 21900 | 460879 |
|  Careerlink Co. Ltd. | 5700 | 86706 |
|  Casio Computer Co. Ltd. | 8800 | 77496 |
|  Cawachi Ltd. | 2900 | 54522 |
|  Central Automotive Products Ltd. | 7700 | 91331 |
|  Central Japan Railway Co. | 2900 | 74446 |
|  Change Holdings, Inc. | 12300 | 71903 |
|  Charm Care Corp. KK | 8600 | 69626 |
|  Chubu Electric Power Co., Inc. | 4700 | 76280 |
|  Chubu Steel Plate Co. Ltd. | 4300 | 65599 |
|  Chugai Pharmaceutical Co. Ltd. | 22600 | 1223261 |
|  Chugoku Marine Paints Ltd. | 7500 | 153687 |
|  Citizen Watch Co. Ltd. | 16200 | 169546 |
|  CKD Corp. | 5000 | 134201 |
|  Cleanup Corp. | 18000 | 104205 |
|  Coca-Cola Bottlers Japan Holdings, Inc. | 6600 | 149349 |
|  COMSYS Holdings Corp. | 2100 | 65750 |
|  Cosmo Energy Holdings Co. Ltd. | 8200 | 228439 |
|  Cosmos Pharmaceutical Corp. | 2700 | 116051 |
|  Create Restaurants Holdings, Inc.<sup>(a)</sup> | 53200 | 255149 |
|  Create SD Holdings Co. Ltd. | 1200 | 24929 |
|  CTS Co. Ltd. | 14000 | 79376 |
|  Curves Holdings Co. Ltd. | 14200 | 66140 |
|  CyberAgent, Inc. | 28900 | 240970 |
|  Cybozu, Inc.<sup>(a)</sup> | 12900 | 167605 |
|  Dai Nippon Toryo Co. Ltd. | 12500 | 96093 |
|  Daicel Corp. | 4300 | 33124 |
|  Dai-Dan Co. Ltd. | 6600 | 108818 |
|  Daido Steel Co. Ltd. | 3900 | 44432 |
|  Daiei Kankyo Co. Ltd. | 10800 | 263738 |
|  Daifuku Co. Ltd. | 12500 | 426017 |
|  Daihen Corp. | 1800 | 126381 |
|  Daiichi Life Group, Inc. | 26832 | 239665 |
|  Daiichi Sankyo Co. Ltd. | 40500 | 704149 |
|  Daiki Aluminium Industry Co. Ltd. | 6000 | 53064 |
|  Daikin Industries Ltd. | 3500 | 411072 |
|  Daikyonishikawa Corp. | 16500 | 85876 |
|  Daishi Hokuetsu Financial Group, Inc. | 10300 | 121005 |
|  Daito Trust Construction Co. Ltd. | 10300 | 238126 |
|  Daiwa House Industry Co. Ltd. | 10400 | 321499 |
|  Daiwa Securities Group, Inc. | 19600 | 179873 |
|  Denso Corp. | 51700 | 632885 |
|  Dentsu Soken, Inc. | 22200 | 274901 |
|  Dexerials Corp. | 16400 | 217976 |
|  Digital Information Technologies Corp. | 8600 | 49517 |
|  Dip Corp.<sup>(a)</sup> | 8200 | 107158 |
|  Disco Corp. | 2500 | 962348 |
|  DMG Mori Co. Ltd. | 10600 | 157644 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Doutor Nichires Holdings Co. Ltd. | 9500 | $&nbsp;&nbsp;&nbsp; 175203 |
|  East Japan Railway Co. | 15300 | 348623 |
|  Ebara Corp. | 12300 | 328897 |
|  EDION Corp. | 10900 | 147992 |
|  Eisai Co. Ltd. | 10800 | 330673 |
|  Elan Corp. | 12900 | 58382 |
|  Electric Power Development Co. Ltd. | 3800 | 103450 |
|  EM Systems Co. Ltd.<sup>(a)</sup> | 14500 | 59699 |
|  ENEOS Holdings, Inc. | 44800 | 397199 |
|  Enplas Corp. | 900 | 65963 |
|  ES-Con Japan Ltd. | 14400 | 97937 |
|  Eslead Corp. | 700 | 26884 |
|  Exedy Corp. | 3800 | 132089 |
|  Falco Holdings Co. Ltd. | 3600 | 59061 |
|  FANUC Corp. | 19300 | 643212 |
|  Fast Retailing Co. Ltd. | 3400 | 1317129 |
|  Ferrotec Corp. | 3700 | 146056 |
|  Food & Life Cos. Ltd. | 12100 | 705054 |
|  France Bed Holdings Co. Ltd. | 8900 | 72335 |
|  Fuji Corp. Ltd. | 14700 | 74198 |
|  Fuji Electric Co. Ltd. | 2400 | 159608 |
|  Fuji Kyuko Co. Ltd. | 7300 | 111595 |
|  Fuji Oil Co. Ltd. | 7600 | 171548 |
|  Fujibo Holdings, Inc. | 300 | 6798 |
|  FUJIFILM Holdings Corp. | 18500 | 344964 |
|  Fujikura Composites, Inc. | 9500 | 142061 |
|  Fujikura Ltd. | 42000 | 1079766 |
|  Fujimi, Inc. | 10300 | 173706 |
|  Fujitsu Ltd. | 22000 | 438645 |
|  Fukuoka Financial Group, Inc. | 2900 | 107422 |
|  FULLCAST Holdings Co. Ltd. | 8200 | 85304 |
|  Funai Soken Holdings, Inc. | 26100 | 187190 |
|  Furukawa Co. Ltd. | 1800 | 48143 |
|  Furukawa Electric Co. Ltd. | 800 | 144748 |
|  Furuno Electric Co. Ltd.<sup>(a)</sup> | 3100 | 118669 |
|  Fuso Chemical Co. Ltd. | 9600 | 164496 |
|  Fuso Pharmaceutical Industries Ltd. | 5100 | 75751 |
|  Futaba Industrial Co. Ltd. | 18500 | 111402 |
|  G-7 Holdings, Inc. | 10000 | 84292 |
|  Galilei Co. Ltd. | 300 | 6619 |
|  Genki Global Dining Concepts Corp. | 2900 | 52444 |
|  Giken Ltd.<sup>(a)</sup> | 8000 | 97756 |
|  GLOBERIDE, Inc. | 6900 | 90864 |
|  Glory Ltd. | 7100 | 177400 |
|  Goldwin, Inc. | 15300 | 212732 |
|  Grandy House Corp. | 23500 | 81686 |
|  grems, Inc. | 4800 | 82761 |
|  GS Yuasa Corp. | 2100 | 69657 |
|  G-Tekt Corp. | 11200 | 126932 |
|  Gunze Ltd. | 3600 | 83726 |
|  Hagihara Industries, Inc. | 7600 | 82693 |
|  Hagiwara Electric Holdings Co. Ltd. | 4100 | 94968 |

---

*See Notes to Financial Statements.*

28&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Happinet Corp. | 5800 | $&nbsp;&nbsp;&nbsp; 97961 |
|  Harima Chemicals Group, Inc. | 14000 | 79992 |
|  Harmonic Drive Systems, Inc. | 9900 | 215623 |
|  Haseko Corp. | 12000 | 217650 |
|  Hazama Ando Corp. | 10500 | 128833 |
|  Heiwado Co. Ltd. | 5500 | 102539 |
|  Hiday Hidaka Corp.<sup>(a)</sup> | 8700 | 161597 |
|  Hioki EE Corp. | 2200 | 97077 |
|  Hirose Electric Co. Ltd. | 1300 | 164819 |
|  Hitachi Construction Machinery Co. Ltd. | 8500 | 281624 |
|  Hitachi Ltd. | 43800 | 1229010 |
|  Hokuto Corp. | 1300 | 15550 |
|  Honda Motor Co. Ltd. | 159100 | 1257579 |
|  Hoosiers Holdings Co. Ltd. | 12500 | 93501 |
|  Horiba Ltd. | 2000 | 224590 |
|  Hoshizaki Corp. | 9500 | 301678 |
|  Hoya Corp. | 4900 | 817745 |
|  HU Group Holdings, Inc. | 6600 | 132382 |
|  Hulic Co. Ltd. | 23200 | 266795 |
|  Ibiden Co. Ltd. | 5400 | 250228 |
|  Ichibanya Co. Ltd. | 42100 | 243195 |
|  Ichigo, Inc. | 24200 | 70886 |
|  Ichikoh Industries Ltd. | 22700 | 69916 |
|  Idemitsu Kosan Co. Ltd. | 25055 | 242770 |
|  IHI Corp. | 21300 | 420136 |
|  Iino Kaiun Kaisha Ltd. | 7500 | 82548 |
|  I'll, Inc. | 4400 | 65797 |
|  Infomart Corp.<sup>(a)</sup> | 41500 | 121299 |
|  Innotech Corp. | 6000 | 90553 |
|  Inpex Corp. | 33900 | 996821 |
|  Intelligent Wave, Inc. | 11700 | 70013 |
|  Internet Initiative Japan, Inc. | 17600 | 270765 |
|  Ise Chemicals Corp. | 6000 | 197247 |
|  Isetan Mitsukoshi Holdings Ltd. | 5200 | 93269 |
|  Ishihara Sangyo Kaisha Ltd. | 9400 | 163137 |
|  Isuzu Motors Ltd. | 13700 | 191261 |
|  Ito En Ltd. | 4600 | 86064 |
|  ITOCHU Corp. | 143000 | 1774804 |
|  Itochu Enex Co. Ltd. | 1300 | 16269 |
|  Itoham Yonekyu Holdings, Inc. | 3200 | 115457 |
|  Itoki Corp. | 5300 | 100776 |
|  Iyogin Holdings, Inc. | 14200 | 252644 |
|  J Front Retailing Co. Ltd. | 8900 | 135047 |
|  JAC Recruitment Co. Ltd. | 18400 | 98193 |
|  JALCO Holdings, Inc. | 28000 | 63008 |
|  Japan Airlines Co. Ltd. | 3300 | 53092 |
|  Japan Airport Terminal Co. Ltd. | 5000 | 162078 |
|  Japan Electronic Materials Corp. | 1100 | 36024 |
|  Japan Elevator Service Holdings Co. Ltd. | 22200 | 226410 |
|  Japan Exchange Group, Inc. | 8800 | 99926 |
|  Japan Lifeline Co. Ltd. | 9800 | 84331 |
|  Japan Material Co. Ltd. | 13200 | 130515 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Japan Post Holdings Co. Ltd. | 6800 | $&nbsp;&nbsp;&nbsp; 76467 |
|  Japan Steel Works Ltd. | 7700 | 405159 |
|  Japan Tobacco, Inc. | 67044 | 2536959 |
|  JCU Corp. | 3800 | 127073 |
|  Jeol Ltd. | 5400 | 194120 |
|  JINS Holdings, Inc. | 1200 | 38544 |
|  JM Holdings Co. Ltd. | 1400 | 13614 |
|  JMDC, Inc.<sup>\*</sup> | 7800 | 158853 |
|  Joshin Corp. | 8900 | 157704 |
|  JTEKT Corp. | 6000 | 61682 |
|  JX Advanced Metals Corp. | 24800 | 516296 |
|  Kajima Corp. | 3700 | 137381 |
|  Kakaku.com, Inc. | 31400 | 409252 |
|  Kakiyasu Honten Co. Ltd. | 3900 | 69866 |
|  Kamakura Shinsho Ltd.<sup>(a)</sup> | 17000 | 49368 |
|  Kamigumi Co. Ltd. | 4500 | 154215 |
|  Kandenko Co. Ltd. | 4000 | 147388 |
|  Kanematsu Corp. | 5400 | 74861 |
|  Kansai Electric Power Co., Inc. | 7589 | 123287 |
|  Kansai Paint Co. Ltd. | 4200 | 61869 |
|  Kao Corp. | 7300 | 283484 |
|  Kasumigaseki Capital Co. Ltd. | 800 | 31529 |
|  Katitas Co. Ltd. | 8800 | 172582 |
|  Kawasaki Heavy Industries Ltd. | 25500 | 464350 |
|  KDDI Corp. | 91600 | 1568122 |
|  KeePer Technical Laboratory Co. Ltd. | 4400 | 82585 |
|  Keihan Holdings Co. Ltd. | 4000 | 81212 |
|  Keikyu Corp. | 12700 | 121739 |
|  Keio Corp. | 5000 | 24241 |
|  Keisei Electric Railway Co. Ltd. | 8800 | 64995 |
|  Keyence Corp. | 2100 | 724156 |
|  KH Neochem Co. Ltd. | 3200 | 54530 |
|  Kikkoman Corp. | 27600 | 248953 |
|  Kobe Bussan Co. Ltd. | 15700 | 340862 |
|  Kobe Steel Ltd. | 20300 | 241165 |
|  Koei Tecmo Holdings Co. Ltd. | 31700 | 320507 |
|  Kokusai Electric Corp. | 22000 | 693092 |
|  Komatsu Ltd. | 28200 | 1065853 |
|  Konami Group Corp. | 3800 | 461833 |
|  Koshidaka Holdings Co. Ltd. | 11500 | 77852 |
|  Kotobuki Spirits Co. Ltd. | 20600 | 237025 |
|  Kraftia Corp. | 2200 | 129256 |
|  K's Holdings Corp. | 4500 | 47336 |
|  KU Holdings Co. Ltd. | 11300 | 83459 |
|  Kura Sushi, Inc.<sup>(a)</sup> | 5100 | 116048 |
|  Kurabo Industries Ltd. | 2000 | 105726 |
|  Kuraray Co. Ltd. | 3600 | 37326 |
|  Kureha Corp. | 1100 | 27277 |
|  Kurita Water Industries Ltd. | 3700 | 170429 |
|  Kusuri no Aoki Holdings Co. Ltd.<sup>(a)</sup> | 9900 | 240764 |
|  KYB Corp. | 7200 | 187592 |
|  Kyoei Steel Ltd. | 8200 | 119632 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;29

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Kyokuto Boeki Kaisha Ltd. | 10000 | $&nbsp;&nbsp;&nbsp; 116475 |
|  Kyoritsu Maintenance Co. Ltd. | 7700 | 117782 |
|  Kyushu Railway Co. | 1300 | 30749 |
|  LA Holdings Co. Ltd. | 1200 | 66151 |
|  Lasertec Corp. | 4800 | 1006223 |
|  Leopalace21 Corp. | 14800 | 59073 |
|  Life Corp. | 7600 | 121340 |
|  LIKE, Inc. | 9800 | 95542 |
|  Lintec Corp. | 7800 | 219649 |
|  LY Corp. | 85500 | 205675 |
|  M3, Inc. | 26900 | 271469 |
|  Macnica Holdings, Inc. | 9800 | 142328 |
|  Maeda Kosen Co. Ltd. | 7200 | 87347 |
|  Makita Corp. | 1500 | 47869 |
|  Marubeni Corp. | 32700 | 1154746 |
|  Maruwa Co. Ltd. | 1500 | 497831 |
|  Matching Service Japan Co. Ltd. | 11300 | 69821 |
|  MatsukiyoCocokara & Co. | 17200 | 273098 |
|  Max Co. Ltd. | 21200 | 213879 |
|  McDonald's Holdings Co. Japan Ltd.<sup>(a)</sup> | 6200 | 321906 |
|  Meidensha Corp. | 2700 | 127286 |
|  Meiko Electronics Co. Ltd. | 3500 | 531083 |
|  MEITEC Group Holdings, Inc. | 8200 | 168495 |
|  Meiwa Corp. | 19900 | 98693 |
|  Micronics Japan Co. Ltd. | 4200 | 243937 |
|  Mie Kotsu Group Holdings, Inc. | 21900 | 75299 |
|  Milbon Co. Ltd. | 5500 | 93274 |
|  Minebea Mitsumi, Inc. | 4700 | 74892 |
|  Miroku Jyoho Service Co. Ltd. | 7500 | 81463 |
|  MISUMI Group, Inc. | 10800 | 178235 |
|  Mitsubishi Corp. | 93400 | 3121553 |
|  Mitsubishi Electric Corp. | 34300 | 1075419 |
|  Mitsubishi Estate Co. Ltd. | 14600 | 396547 |
|  Mitsubishi Gas Chemical Co., Inc. | 3000 | 67792 |
|  Mitsubishi Heavy Industries Ltd. | 38400 | 1019317 |
|  Mitsubishi Logisnext Co. Ltd.<sup>\*</sup> | 9800 | 94125 |
|  Mitsubishi Logistics Corp. | 17800 | 147802 |
|  Mitsubishi Materials Corp. | 700 | 21186 |
|  Mitsubishi Research Institute, Inc. | 1100 | 32255 |
|  Mitsubishi UFJ Financial Group, Inc. | 241400 | 3945188 |
|  Mitsuboshi Belting Ltd. | 3000 | 74109 |
|  Mitsui & Co. Ltd. | 53000 | 1985210 |
|  Mitsui Fudosan Co. Ltd. | 59000 | 613957 |
|  Mitsui High-Tec, Inc.<sup>(a)</sup> | 26500 | 98111 |
|  Mitsui Kinzoku Co. Ltd. | 900 | 158627 |
|  Mitsui-Soko Holdings Co. Ltd. | 2500 | 62763 |
|  Miura Co. Ltd. | 7400 | 144474 |
|  Mizuho Financial Group, Inc. | 38430 | 1470384 |
|  Mizuho Medy Co. Ltd. | 9900 | 112510 |
|  Mizuno Corp. | 6300 | 133453 |
|  Modec, Inc. | 500 | 46106 |
|  Monogatari Corp. | 5600 | 164561 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  MonotaRO Co. Ltd. | 46300 | $&nbsp;&nbsp;&nbsp; 496207 |
|  Moriroku Co. Ltd. | 5400 | 81192 |
|  MOS Food Services, Inc. | 3200 | 85285 |
|  MS&AD Insurance Group Holdings, Inc. | 15690 | 397650 |
|  MTG Co. Ltd. | 5800 | 222025 |
|  MTI Ltd. | 12400 | 48169 |
|  Murata Manufacturing Co. Ltd. | 32700 | 700700 |
|  Musashi Seimitsu Industry Co. Ltd. | 8300 | 136794 |
|  Nabtesco Corp. | 3200 | 77280 |
|  Nagaileben Co. Ltd.<sup>(a)</sup> | 1300 | 13614 |
|  Nakanishi, Inc. | 11900 | 202111 |
|  NANKAI Co. Ltd. | 1400 | 26999 |
|  NEC Corp. | 19600 | 473830 |
|  Nexon Co. Ltd. | 10900 | 200679 |
|  Nextage Co. Ltd. | 8800 | 172858 |
|  NGK Corp. | 2900 | 72495 |
|  NHK Spring Co. Ltd. | 4700 | 71612 |
|  Nichicon Corp. | 6900 | 74382 |
|  NIDEC Corp.<sup>\*</sup> | 13400 | 165594 |
|  Nifco, Inc. | 4000 | 110403 |
|  Nihon Flush Co. Ltd. | 17200 | 86276 |
|  Nihon Nohyaku Co. Ltd. | 18900 | 118801 |
|  Nikkiso Co. Ltd. | 12000 | 187290 |
|  Nikkon Holdings Co. Ltd. | 11900 | 318126 |
|  Nikon Corp. | 15400 | 182759 |
|  Nintendo Co. Ltd. | 15000 | 827362 |
|  Nippon Densetsu Kogyo Co. Ltd. | 6700 | 200676 |
|  Nippon Electric Glass Co. Ltd. | 3500 | 130087 |
|  Nippon Express Holdings, Inc. | 7300 | 162620 |
|  Nippon Gas Co. Ltd. | 9800 | 180766 |
|  Nippon Light Metal Holdings Co. Ltd. | 5200 | 90736 |
|  Nippon Paint Holdings Co. Ltd. | 62600 | 384123 |
|  Nippon Sanso Holdings Corp. | 6900 | 239975 |
|  Nippon Signal Co. Ltd. | 26000 | 261487 |
|  Nippon Soda Co. Ltd. | 2400 | 52725 |
|  Nippon Steel Corp. | 141700 | 512949 |
|  Nippon Thompson Co. Ltd. | 34000 | 182299 |
|  Nissan Chemical Corp. | 5800 | 218562 |
|  Nisshin Oillio Group Ltd. | 6900 | 82797 |
|  Nisso Holdings Co. Ltd. | 18900 | 71993 |
|  Niterra Co. Ltd. | 8700 | 395216 |
|  Nitto Boseki Co. Ltd. | 4000 | 471180 |
|  Nitto Denko Corp. | 15700 | 302375 |
|  Nittoc Construction Co. Ltd. | 18600 | 144390 |
|  Noevir Holdings Co. Ltd. | 2700 | 76711 |
|  NOF Corp. | 12400 | 241702 |
|  Nohmi Bosai Ltd. | 6100 | 157207 |
|  Nomura Co. Ltd. | 11500 | 92454 |
|  Nomura Holdings, Inc. | 27800 | 210392 |
|  Nomura Micro Science Co. Ltd. | 4800 | 91420 |
|  Nomura Real Estate Holdings, Inc. | 42300 | 268679 |
|  Nomura Research Institute Ltd. | 14100 | 383941 |

---

*See Notes to Financial Statements.*

30&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Noritake Co. Ltd. | 15800 | $&nbsp;&nbsp;&nbsp; 309366 |
|  NS Solutions Corp. | 9800 | 225580 |
|  NS Tool Co. Ltd. | 20400 | 105404 |
|  NS United Kaiun Kaisha Ltd. | 700 | 32076 |
|  NSD Co. Ltd. | 15100 | 260114 |
|  NTN Corp. | 56500 | 113398 |
|  NTT, Inc. | 2004900 | 1981082 |
|  Obara Group, Inc. | 600 | 19498 |
|  Obayashi Corp. | 12900 | 304560 |
|  OBIC Business Consultants Co. Ltd. | 10300 | 404062 |
|  Obic Co. Ltd. | 18500 | 447935 |
|  Odakyu Electric Railway Co. Ltd. | 900 | 9306 |
|  Ohsho Food Service Corp. | 3300 | 64096 |
|  Okabe Co. Ltd. | 19100 | 112974 |
|  Okamoto Machine Tool Works Ltd. | 3600 | 85310 |
|  Oki Electric Industry Co. Ltd. | 4000 | 64693 |
|  Okinawa Cellular Telephone Co. | 7900 | 170573 |
|  OKUMA Corp. | 3100 | 68395 |
|  Okumura Corp. | 4100 | 162876 |
|  Okura Industrial Co. Ltd. | 4100 | 120611 |
|  Okuwa Co. Ltd. | 14700 | 75953 |
|  Olympus Corp. | 12200 | 114147 |
|  Ono Pharmaceutical Co. Ltd. | 1100 | 17358 |
|  Open House Group Co. Ltd. | 3600 | 226400 |
|  Open Up Group, Inc. | 11600 | 129788 |
|  Optorun Co. Ltd. | 6600 | 106702 |
|  Oracle Corp. | 6200 | 335429 |
|  Organo Corp. | 5100 | 436300 |
|  Oriental Land Co. Ltd. | 25100 | 425985 |
|  Osaka Gas Co. Ltd. | 5100 | 204558 |
|  Osaka Soda Co. Ltd. | 13900 | 149144 |
|  OSAKA Titanium Technologies Co. Ltd. | 6000 | 93721 |
|  OSG Corp.<sup>(a)</sup> | 3900 | 62021 |
|  Otsuka Corp. | 9500 | 180398 |
|  Otsuka Holdings Co. Ltd. | 5300 | 366792 |
|  PAL GROUP Holdings Co. Ltd. | 29600 | 269598 |
|  Pan Pacific International Holdings Corp. | 46900 | 285427 |
|  Panasonic Holdings Corp. | 31500 | 511932 |
|  Park24 Co. Ltd. | 17700 | 209999 |
|  PCA Corp. | 5400 | 55157 |
|  Penta-Ocean Construction Co. Ltd. | 21300 | 217833 |
|  Persol Holdings Co. Ltd. | 83500 | 121243 |
|  Pigeon Corp. | 12400 | 127281 |
|  PILLAR Corp. | 2900 | 127601 |
|  Plus Alpha Consulting Co. Ltd. | 6300 | 80270 |
|  Pola Orbis Holdings, Inc. | 6400 | 52599 |
|  Press Kogyo Co. Ltd. | 26900 | 136960 |
|  PS Construction Co. Ltd. | 3300 | 55902 |
|  Qol Holdings Co. Ltd. | 8200 | 96076 |
|  Quick Co. Ltd. | 20100 | 105750 |
|  Rakus Co. Ltd. | 51700 | 241520 |
|  Recruit Holdings Co. Ltd. | 8700 | 356881 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Relo Group, Inc. | 8200 | $&nbsp;&nbsp;&nbsp; 97417 |
|  Resona Holdings, Inc. | 22100 | 239281 |
|  Resonac Holdings Corp. | 4700 | 289581 |
|  Resorttrust, Inc. | 11800 | 128725 |
|  Retail Partners Co. Ltd. | 10300 | 81382 |
|  Rigaku Holdings Corp.<sup>(a)</sup> | 28500 | 358646 |
|  Riken Keiki Co. Ltd. | 5200 | 95443 |
|  Rohm Co. Ltd. | 19400 | 372294 |
|  Rohto Pharmaceutical Co. Ltd. | 11200 | 169489 |
|  Rorze Corp. | 20800 | 336011 |
|  Round One Corp. | 26700 | 137217 |
|  Royal Holdings Co. Ltd.<sup>(a)</sup> | 11400 | 104477 |
|  Ryobi Ltd. | 7100 | 107823 |
|  Ryohin Keikaku Co. Ltd. | 25800 | 540683 |
|  Saizeriya Co. Ltd.<sup>(a)</sup> | 6700 | 267848 |
|  Sakai Moving Service Co. Ltd. | 5100 | 87645 |
|  Sakata Seed Corp. | 2500 | 67729 |
|  Sangetsu Corp. | 9200 | 178691 |
|  San-In Godo Bank Ltd. | 3000 | 32604 |
|  Sanki Engineering Co. Ltd. | 4100 | 172927 |
|  Sankyo Co. Ltd. | 16200 | 197549 |
|  Sankyu, Inc. | 3200 | 175458 |
|  Sanoh Industrial Co. Ltd. | 16300 | 68852 |
|  Sanrio Co. Ltd. | 64000 | 393920 |
|  Santec Holdings Corp. | 1200 | 124005 |
|  Santen Pharmaceutical Co. Ltd. | 11100 | 124578 |
|  Sanwa Holdings Corp. | 11100 | 246783 |
|  Sapporo Holdings Ltd. | 9500 | 102202 |
|  Sato Shoji Corp. | 8800 | 130377 |
|  SBI Holdings, Inc. | 6800 | 121775 |
|  SBS Holdings, Inc. | 4300 | 114332 |
|  SCREEN Holdings Co. Ltd. | 7000 | 393362 |
|  Secom Co. Ltd. | 3200 | 121411 |
|  Sega Sammy Holdings, Inc. | 11200 | 170615 |
|  Seibu Giken Co. Ltd.<sup>(a)</sup> | 6300 | 81972 |
|  Seibu Holdings, Inc. | 7100 | 195073 |
|  Seiko Group Corp. | 5600 | 192545 |
|  Sekisui Chemical Co. Ltd. | 3200 | 52428 |
|  Seria Co. Ltd. | 1300 | 30725 |
|  SG Holdings Co. Ltd. | 2700 | 25092 |
|  Shibaura Mechatronics Corp. | 6500 | 161387 |
|  Shimadzu Corp. | 8200 | 190143 |
|  Shimizu Corp. | 9800 | 170787 |
|  Shimojima Co. Ltd. | 9600 | 84541 |
|  Shin Nippon Air Technologies Co. Ltd. | 3700 | 75819 |
|  Shin Nippon Biomedical Laboratories Ltd. | 8800 | 78215 |
|  Shin-Etsu Chemical Co. Ltd. | 33100 | 1302237 |
|  Shin-Etsu Polymer Co. Ltd. | 9500 | 114652 |
|  Shionogi & Co. Ltd. | 20300 | 442647 |
|  Shoei Co. Ltd. | 8600 | 88979 |
|  Siix Corp. | 14600 | 107832 |
|  Simplex Holdings, Inc. | 28800 | 145005 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;31

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Sinfonia Technology Co. Ltd. | 3100 | $&nbsp;&nbsp;&nbsp; 202068 |
|  Sinko Industries Ltd. | 8800 | 66322 |
|  Skylark Holdings Co. Ltd.<sup>(a)</sup> | 11200 | 239713 |
|  SMS Co. Ltd. | 12100 | 124963 |
|  Socionext, Inc. | 23600 | 277254 |
|  SoftBank Corp. | 1436400 | 1905991 |
|  Softcreate Holdings Corp. | 4800 | 57054 |
|  Sojitz Corp. | 8800 | 338802 |
|  Solasto Corp. | 14900 | 104428 |
|  Soliton Systems KK | 7400 | 76935 |
|  Sompo Holdings, Inc. | 8000 | 302319 |
|  Sony Group Corp. | 31300 | 631351 |
|  Sotetsu Holdings, Inc. | 1300 | 23918 |
|  Square Enix Holdings Co. Ltd. | 16500 | 259702 |
|  St. Marc Holdings Co. Ltd. | 11100 | 207222 |
|  Starts Corp., Inc. | 6000 | 179144 |
|  Subaru Corp. | 16100 | 251332 |
|  Sugi Holdings Co. Ltd. | 5400 | 117986 |
|  SUMCO Corp. | 7400 | 77191 |
|  Sumida Corp. | 13800 | 93856 |
|  Sumitomo Bakelite Co. Ltd. | 4600 | 139599 |
|  Sumitomo Corp. | 43400 | 1576793 |
|  Sumitomo Electric Industries Ltd. | 20900 | 1100899 |
|  Sumitomo Forestry Co. Ltd. | 18400 | 162384 |
|  Sumitomo Mitsui Financial Group, Inc. | 67500 | 2123986 |
|  Sumitomo Realty & Development Co. Ltd. | 9000 | 248463 |
|  Sumitomo Rubber Industries Ltd. | 8500 | 108006 |
|  Sun Frontier Fudousan Co. Ltd. | 11900 | 196950 |
|  Sundrug Co. Ltd. | 3000 | 73732 |
|  Sun-Wa Technos Corp. | 9500 | 186011 |
|  Suzuki Motor Corp. | 34800 | 410255 |
|  SWCC Corp. | 3600 | 272450 |
|  Systena Corp. | 56600 | 146934 |
|  T&D Holdings, Inc. | 5800 | 144225 |
|  Tachi-S Co. Ltd. | 3100 | 39517 |
|  Taiheiyo Cement Corp. | 1400 | 30809 |
|  Taikisha Ltd. | 3900 | 80652 |
|  Taisei Corp. | 4000 | 403671 |
|  Taiyo Holdings Co. Ltd. | 14200 | 444860 |
|  Taiyo Yuden Co. Ltd. | 9500 | 220586 |
|  Takachiho Koheki Co. Ltd. | 7200 | 91420 |
|  Takara Bio, Inc.<sup>\*</sup> | 15200 | 109684 |
|  Takara Holdings, Inc. | 4400 | 42731 |
|  Takara Standard Co. Ltd. | 6100 | 105060 |
|  Takasago International Corp. | 12400 | 92363 |
|  Takasago Thermal Engineering Co. Ltd. | 8800 | 237355 |
|  Takashimaya Co. Ltd. | 6200 | 73169 |
|  Takeda Pharmaceutical Co. Ltd. | 48200 | 1716040 |
|  Takeuchi Manufacturing Co. Ltd. | 1800 | 69923 |
|  Tamron Co. Ltd. | 14800 | 92099 |
|  Tamura Corp. | 24500 | 91785 |
|  Tauns Laboratories, Inc. | 19200 | 59860 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Tayca Corp. | 8300 | $&nbsp;&nbsp;&nbsp; 88535 |
|  TDC Soft, Inc. | 7600 | 43568 |
|  TDK Corp. | 24800 | 306473 |
|  Techno Ryowa Ltd. | 1900 | 69150 |
|  Teikoku Corp. | 500 | 8756 |
|  Terumo Corp. | 25500 | 337884 |
|  THK Co. Ltd. | 12900 | 370807 |
|  TIS, Inc. | 7300 | 154223 |
|  TKC Corp. | 4400 | 102332 |
|  Toa Corp. | 8500 | 162691 |
|  Tocalo Co. Ltd. | 13600 | 213716 |
|  Toei Animation Co. Ltd. | 29800 | 486083 |
|  Toho Co. Ltd. | 29000 | 303872 |
|  Tokai Rika Co. Ltd. | 400 | 7395 |
|  Tokio Marine Holdings, Inc. | 45400 | 2085506 |
|  Tokushu Tokai Paper Co. Ltd. | 14700 | 148026 |
|  Tokuyama Corp. | 5700 | 133928 |
|  Tokyo Electron Device Ltd. | 3700 | 68772 |
|  Tokyo Electron Ltd. | 9200 | 2152970 |
|  Tokyo Gas Co. Ltd. | 3400 | 158513 |
|  Tokyo Ohka Kogyo Co. Ltd. | 12800 | 593133 |
|  Tokyo Seimitsu Co. Ltd. | 4200 | 348746 |
|  Tokyo Tatemono Co. Ltd. | 7700 | 173612 |
|  Tokyu Construction Co. Ltd. | 16400 | 144733 |
|  Tokyu Fudosan Holdings Corp. | 14300 | 119099 |
|  Tomoku Co. Ltd. | 6000 | 127286 |
|  Tomy Co. Ltd. | 12200 | 199537 |
|  Topre Corp. | 3200 | 47591 |
|  Topy Industries Ltd. | 8400 | 153121 |
|  Toray Industries, Inc. | 9700 | 67099 |
|  Toridoll Holdings Corp. | 11100 | 303996 |
|  Tosei Corp. | 10800 | 106445 |
|  Totech Corp. | 3500 | 80080 |
|  Towa Corp. | 10100 | 140876 |
|  Toyo Seikan Group Holdings Ltd. | 5400 | 120057 |
|  Toyo Suisan Kaisha Ltd. | 4100 | 283487 |
|  Toyo Tanso Co. Ltd. | 2600 | 82695 |
|  Toyota Boshoku Corp. | 1200 | 18186 |
|  Toyota Motor Corp. | 394350 | 7837920 |
|  Toyota Tsusho Corp. | 31700 | 1185587 |
|  Trend Micro, Inc. | 11200 | 368898 |
|  Tri Chemical Laboratories, Inc. | 4500 | 74364 |
|  Trial Holdings, Inc.<sup>(a)</sup> | 16400 | 432962 |
|  Tsumura & Co. | 3200 | 75349 |
|  Tsuruha Holdings, Inc. | 5400 | 84196 |
|  Tsurumi Manufacturing Co. Ltd. | 6900 | 89042 |
|  Ulvac, Inc. | 1500 | 76862 |
|  U-Next Holdings Co. Ltd.<sup>(a)</sup> | 21300 | 221047 |
|  Unicharm Corp. | 18400 | 107620 |
|  Union Tool Co. | 2800 | 227217 |
|  United Super Markets Holdings, Inc.<sup>(a)</sup> | 1370 | 7716 |
|  USS Co. Ltd. | 26800 | 278967 |

---

*See Notes to Financial Statements.*

32&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  UT Group Co. Ltd. | 76500 | $&nbsp;&nbsp;&nbsp; 93287 |
|  Valor Holdings Co. Ltd. | 8000 | 184047 |
|  Valqua Ltd. | 4200 | 120121 |
|  ValueCommerce Co. Ltd. | 10200 | 27249 |
|  Vector, Inc. | 11400 | 87780 |
|  Vision, Inc. | 8900 | 63440 |
|  Wacoal Holdings Corp. | 4300 | 106953 |
|  Warabeya Nichiyo Holdings Co. Ltd. | 4900 | 92000 |
|  Wellneo Sugar Co. Ltd. | 7600 | 136627 |
|  West Japan Railway Co. | 2900 | 57019 |
|  Will Group, Inc. | 15000 | 109655 |
|  Workman Co. Ltd. | 7400 | 290251 |
|  World Holdings Co. Ltd. | 8500 | 133626 |
|  YAC Holdings Co. Ltd. | 7000 | 43824 |
|  Yamaguchi Financial Group, Inc. | 12000 | 181520 |
|  Yamaichi Electronics Co. Ltd. | 1900 | 88139 |
|  Yokogawa Electric Corp. | 11400 | 339943 |
|  Yokohama Financial Group, Inc. | 23500 | 202961 |
|  Yokohama Rubber Co. Ltd. | 4500 | 164652 |
|  Yokorei Co. Ltd. | 13600 | 131734 |
|  Yonex Co. Ltd. | 11300 | 209891 |
|  Yoshinoya Holdings Co. Ltd. | 6700 | 138767 |
|  Yushin Co. | 32000 | 132956 |
|  Yutaka Giken Co. Ltd.<sup>\*</sup> | 5700 | 107486 |
|  Zenrin Co. Ltd. | 19400 | 120724 |
|  Zensho Holdings Co. Ltd. | 8400 | 484601 |
|  Zeon Corp. | 800 | 8840 |
|  ZIGExN Co. Ltd. | 20600 | 52960 |
|  Zojirushi Corp. | 1100 | 11519 |
|  ZOZO, Inc. | 71000 | 493149 |
|  Total Japan |  | 154805054 |
|  Luxembourg – 0.1% |  |  |
|  ArcelorMittal SA | 1599 | 80769 |
|  CVC Capital Partners PLC<sup>(a)(b)</sup> | 15220 | 195532 |
|  Eurofins Scientific SE | 2084 | 150458 |
|  Total Luxembourg |  | 426759 |
|  Macau – 0.2% |  |  |
|  Galaxy Entertainment Group Ltd. | 126000 | 562486 |
|  Sands China Ltd. | 269200 | 566198 |
|  Wynn Macau Ltd. | 389600 | 271322 |
|  Total Macau |  | 1400006 |
|  Mexico – 0.1% |  |  |
|  Fresnillo PLC | 13420 | 584707 |
|  Netherlands – 2.4% |  |  |
|  Acomo NV | 6015 | 184351 |
|  Akzo Nobel NV | 1936 | 109748 |
|  ASM International NV | 836 | 613583 |
|  ASML Holding NV | 3817 | 4922182 |
|  BE Semiconductor Industries NV | 3368 | 694435 |
|  CTP NV<sup>(b)</sup> | 14735 | 244478 |
|  Euronext NV<sup>(b)</sup> | 1681 | 268253 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  ForFarmers NV | 10956 | $&nbsp;&nbsp;&nbsp; 79149 |
|  Heineken Holding NV | 5069 | 358315 |
|  Heineken NV | 10485 | 800958 |
|  ING Groep NV | 99244 | 2527683 |
|  Koninklijke Ahold Delhaize NV | 18456 | 856767 |
|  Koninklijke BAM Groep NV | 6155 | 61096 |
|  Koninklijke Heijmans NV | 2072 | 182872 |
|  Koninklijke KPN NV | 172826 | 956422 |
|  Koninklijke Philips NV | 24619 | 662063 |
|  Koninklijke Vopak NV | 5270 | 284781 |
|  SBM Offshore NV | 2384 | 95096 |
|  Universal Music Group NV | 42642 | 817313 |
|  Wereldhave NV | 6057 | 148301 |
|  Wolters Kluwer NV | 4783 | 356119 |
|  Total Netherlands |  | 15223965 |
|  Nigeria – 0.1% |  |  |
|  Airtel Africa PLC<sup>(b)</sup> | 95075 | 432043 |
|  Norway – 2.6% |  |  |
|  AF Gruppen ASA | 6317 | 110245 |
|  Aker ASA, Class A | 5431 | 596571 |
|  Borregaard ASA | 4958 | 88971 |
|  DNB Bank ASA | 70638 | 2184198 |
|  Elopak ASA | 30513 | 113551 |
|  Equinor ASA | 135766 | 5859390 |
|  Europris ASA<sup>(b)</sup> | 15103 | 141558 |
|  Frontline PLC | 15077 | 526096 |
|  Hoegh Autoliners ASA | 2801 | 39941 |
|  Kid ASA<sup>(b)</sup> | 3827 | 49503 |
|  Kitron ASA | 24342 | 233650 |
|  Klaveness Combination Carriers ASA<sup>(b)</sup> | 10851 | 105046 |
|  Kongsberg Gruppen ASA | 31242 | 1323807 |
|  Leroy Seafood Group ASA | 29772 | 150374 |
|  Mowi ASA | 18324 | 413096 |
|  Multiconsult ASA<sup>(b)</sup> | 3668 | 61378 |
|  NORBIT ASA | 8149 | 159451 |
|  Norconsult Norge AS | 36334 | 153304 |
|  Odfjell Drilling Ltd. | 21012 | 219159 |
|  Orkla ASA | 33464 | 418087 |
|  Pexip Holding ASA | 12090 | 75586 |
|  Salmar ASA | 8410 | 487802 |
|  SpareBank 1 Nord Norge | 3460 | 55305 |
|  SpareBank 1 Oestlandet | 7178 | 146125 |
|  SpareBank 1 Sor-Norge ASA | 6338 | 136963 |
|  Sparebanken Norge | 6604 | 135267 |
|  Stolt-Nielsen Ltd. | 537 | 18385 |
|  Storebrand ASA | 8748 | 156533 |
|  Telenor ASA | 80770 | 1412093 |
|  TOMRA Systems ASA | 32292 | 382891 |
|  Veidekke ASA | 11711 | 226503 |
|  Vend Marketplaces ASA | 3917 | 96347 |
|  Wallenius Wilhelmsen ASA | 32684 | 408678 |
|  Total Norway |  | 16685854 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;33

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Peru – 0.0% |  |  |
|  Hochschild Mining PLC | 30717 | $&nbsp;&nbsp;&nbsp; 241824 |
|  Portugal – 0.3% |  |  |
|  Altri SGPS SA<sup>(a)</sup> | 5557 | 31342 |
|  CTT-Correios de Portugal SA | 16612 | 115416 |
|  EDP SA | 111335 | 580468 |
|  Galp Energia SGPS SA | 19564 | 473600 |
|  Jeronimo Martins SGPS SA | 17384 | 411813 |
|  Semapa-Sociedade de Investimento & Gestao | 3730 | 95409 |
|  Total Portugal |  | 1708048 |
|  Singapore – 2.0% |  |  |
|  China Aviation Oil Singapore Corp. Ltd. | 115600 | 184580 |
|  City Developments Ltd. | 39500 | 251362 |
|  ComfortDelGro Corp. Ltd. | 52200 | 58263 |
|  CSE Global Ltd. | 57900 | 53405 |
|  DBS Group Holdings Ltd. | 80083 | 3531933 |
|  Delfi Ltd. | 134000 | 98151 |
|  Food Empire Holdings Ltd. | 36400 | 84924 |
|  Hafnia Ltd. | 21563 | 165094 |
|  Hong Leong Asia Ltd. | 31000 | 67519 |
|  Keppel Infrastructure Trust | 273920 | 108281 |
|  Keppel Ltd. | 54900 | 500851 |
|  Oversea-Chinese Banking Corp. Ltd. | 100295 | 1707926 |
|  Propnex Ltd. | 30100 | 38962 |
|  SATS Ltd. | 53200 | 145149 |
|  Sembcorp Industries Ltd. | 41700 | 214294 |
|  Sheng Siong Group Ltd. | 125900 | 275191 |
|  SIA Engineering Co. Ltd. | 72100 | 181067 |
|  Singapore Airlines Ltd. | 90600 | 463481 |
|  Singapore Exchange Ltd. | 9400 | 142222 |
|  Singapore Technologies Engineering Ltd. | 110856 | 928848 |
|  Singapore Telecommunications Ltd. | 525300 | 2011380 |
|  UMS Integration Ltd. | 126875 | 151446 |
|  United Overseas Bank Ltd. | 36301 | 1031223 |
|  UOL Group Ltd. | 30100 | 226774 |
|  Venture Corp. Ltd. | 14800 | 176662 |
|  Total Singapore |  | 12798988 |
|  South Africa – 0.1% |  |  |
|  Anglo American PLC | 5107 | 214093 |
|  Pan African Resources PLC | 128567 | 236340 |
|  Total South Africa |  | 450433 |
|  Spain – 6.0% |  |  |
|  Acciona SA | 1575 | 404318 |
|  ACS Actividades de Construccion y Servicios SA | 10039 | 1212215 |
|  Aena SME SA<sup>(b)</sup> | 73072 | 2148619 |
|  Almirall SA | 14966 | 209685 |
|  Amadeus IT Group SA | 12048 | 675761 |
|  Banco Bilbao Vizcaya Argentaria SA | 248728 | 5230165 |
|  Banco de Sabadell SA | 121243 | 425095 |
|  Banco Santander SA | 334551 | 3658107 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Bankinter SA | 15128 | $&nbsp;&nbsp;&nbsp; 233133 |
|  CaixaBank SA | 324917 | 3805464 |
|  Cellnex Telecom SA<sup>\*(b)</sup> | 9674 | 309089 |
|  CIE Automotive SA | 3468 | 107288 |
|  Colonial SFL Socimi SA<sup>(a)</sup> | 18522 | 108519 |
|  Corp. ACCIONA Energias Renovables SA | 4880 | 118527 |
|  EDP Renovaveis SA | 12807 | 202013 |
|  Elecnor SA | 6651 | 257486 |
|  Endesa SA | 45947 | 1910080 |
|  Faes Farma SA | 28612 | 153460 |
|  Fluidra SA | 7238 | 164874 |
|  Fomento de Construcciones y Contratas SA | 15125 | 183332 |
|  Gestamp Automocion SA<sup>(b)</sup> | 9483 | 32123 |
|  Grifols SA<sup>(a)</sup> | 6191 | 63886 |
|  Iberdrola SA | 195494 | 4447525 |
|  Indra Sistemas SA | 5738 | 312319 |
|  Industria de Diseno Textil SA | 84986 | 4821623 |
|  Laboratorios Farmaceuticos Rovi SA | 4478 | 416634 |
|  Logista Integral SA | 4599 | 170945 |
|  Merlin Properties Socimi SA | 31025 | 497598 |
|  Metrovacesa SA<sup>\*(b)</sup> | 6953 | 88925 |
|  Naturgy Energy Group SA | 71734 | 2140684 |
|  Pharma Mar SA<sup>\*</sup> | 2334 | 235039 |
|  Prosegur Cia de Seguridad SA | 15375 | 45793 |
|  Puig Brands SA, Class B | 6547 | 127409 |
|  Repsol SA | 43139 | 1225222 |
|  Sacyr SA | 51632 | 249979 |
|  Telefonica SA | 269112 | 1176719 |
|  Total Spain |  | 37569653 |
|  Sweden – 4.0% |  |  |
|  AAK AB | 4498 | 114454 |
|  AddLife AB, Class B | 12623 | 184848 |
|  Addnode Group AB | 15743 | 109402 |
|  AddTech AB, Class B | 13146 | 438281 |
|  Alfa Laval AB | 6253 | 333318 |
|  Alimak Group AB<sup>(b)</sup> | 12296 | 138110 |
|  Alleima AB | 12112 | 94023 |
|  AQ Group AB | 10538 | 205533 |
|  Assa Abloy AB, Class B | 15646 | 552506 |
|  Atea ASA<sup>\*</sup> | 5140 | 74612 |
|  Atlas Copco AB, Class B | 37237 | 566202 |
|  Atlas Copco AB, Class A | 57241 | 980330 |
|  Axfood AB | 9369 | 316390 |
|  Beijer Alma AB | 4432 | 111193 |
|  Beijer Ref AB | 22583 | 305334 |
|  Betsson AB, Class B | 9675 | 101765 |
|  BioGaia AB, Class B | 15042 | 188533 |
|  Bravida Holding AB<sup>(b)</sup> | 5516 | 56977 |
|  Bufab AB | 19702 | 216249 |
|  Catena AB | 5186 | 239096 |
|  Clas Ohlson AB, Class B | 4585 | 179140 |
|  Cloetta AB, Class B | 20787 | 115759 |

---

*See Notes to Financial Statements.*

34&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Coor Service Management Holding AB<sup>(b)</sup> | 21546 | $&nbsp;&nbsp;&nbsp; 133896 |
|  Corem Property Group AB, Class B | 13835 | 4845 |
|  Duni AB | 9366 | 94188 |
|  Engcon AB | 16499 | 112057 |
|  Epiroc AB, Class B | 15603 | 327907 |
|  Epiroc AB, Class A | 19692 | 473580 |
|  EQT AB | 9245 | 278041 |
|  Essity AB, Class B | 8788 | 224076 |
|  Evolution AB<sup>(b)</sup> | 10825 | 664983 |
|  FastPartner AB, Class A | 2075 | 9312 |
|  Getinge AB, Class B | 6066 | 120062 |
|  Granges AB | 6740 | 104642 |
|  H & M Hennes & Mauritz AB, Class B<sup>(a)</sup> | 62157 | 1142821 |
|  Heba Fastighets AB, Class B | 29489 | 86056 |
|  Hexagon AB, Class B | 35167 | 332391 |
|  Hufvudstaden AB, Class A | 16904 | 212049 |
|  Indutrade AB | 12395 | 278965 |
|  Intea Fastigheter AB<sup>\*</sup> | 25139 | 184856 |
|  INVISIO AB | 6058 | 165023 |
|  Lagercrantz Group AB, Class B | 3086 | 64433 |
|  Lifco AB, Class B | 11647 | 344535 |
|  Lindab International AB | 6993 | 111947 |
|  Logistea AB, Class B | 75445 | 103431 |
|  Loomis AB | 1267 | 56951 |
|  Medicover AB, Class B | 5524 | 109132 |
|  MIPS AB | 3951 | 95309 |
|  Munters Group AB<sup>(b)</sup> | 23878 | 415586 |
|  Mycronic AB | 13945 | 319119 |
|  NCC AB, Class B | 4566 | 99121 |
|  New Wave Group AB, Class B | 12092 | 122173 |
|  Nolato AB, Class B | 15548 | 77918 |
|  Nordnet AB publ | 4708 | 150735 |
|  NP3 Fastigheter AB | 4429 | 113907 |
|  Paradox Interactive AB | 14253 | 185078 |
|  Peab AB, Class B | 16287 | 164473 |
|  Platzer Fastigheter Holding AB, Class B | 6644 | 47077 |
|  Proact IT Group AB | 7778 | 80423 |
|  RaySearch Laboratories AB | 3637 | 73074 |
|  Rusta AB | 16886 | 165293 |
|  Saab AB, Class B | 10346 | 670528 |
|  Sagax AB, Class B | 15232 | 278217 |
|  Sandvik AB | 29496 | 1106613 |
|  Scandi Standard AB | 9833 | 152559 |
|  Sectra AB, Class B | 18634 | 442463 |
|  Skandinaviska Enskilda Banken AB, Class A<sup>(a)</sup> | 32430 | 586557 |
|  Skanska AB, Class B | 8237 | 218414 |
|  SKF AB, Class B | 5560 | 130854 |
|  SkiStar AB | 5973 | 102139 |
|  SSAB AB, Class A | 3509 | 27133 |
|  SSAB AB, Class B | 3123 | 24082 |
|  Sweco AB, Class B | 13481 | 187789 |
|  Swedbank AB, Class A | 39898 | 1335622 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Synsam AB | 17687 | $&nbsp;&nbsp;&nbsp; 127553 |
|  Systemair AB | 10096 | 75140 |
|  Tele2 AB, Class B | 33371 | 681695 |
|  Telefonaktiebolaget LM Ericsson, Class B | 38087 | 424999 |
|  Telefonaktiebolaget LM Ericsson, Class A | 22542 | 249882 |
|  Telia Co. AB | 125871 | 637398 |
|  Thule Group AB<sup>(b)</sup> | 9376 | 199995 |
|  Trelleborg AB, Class B | 6045 | 221335 |
|  Troax Group AB | 533 | 5388 |
|  Truecaller AB, Class B | 11260 | 12860 |
|  Volvo AB, Class A | 24669 | 788787 |
|  Volvo AB, Class B | 81861 | 2625224 |
|  Wallenstam AB, Class B | 16801 | 71992 |
|  Wihlborgs Fastigheter AB | 11406 | 103030 |
|  Zinzino AB, Class B<sup>(a)</sup> | 6910 | 101261 |
|  Total Sweden |  | 25061029 |
|  Switzerland – 3.8% |  |  |
|  ABB Ltd., Registered Shares | 35948 | 2829135 |
|  Accelleron Industries AG | 6796 | 602595 |
|  Allreal Holding AG, Registered Shares | 768 | 215046 |
|  Avolta AG<sup>\*</sup> | 3034 | 178442 |
|  Bachem Holding AG<sup>(a)</sup> | 6999 | 564850 |
|  Belimo Holding AG, Registered Shares | 610 | 482428 |
|  BKW AG | 1135 | 220630 |
|  Cie Financiere Richemont SA, Class A, Registered Shares | 8769 | 1511972 |
|  Comet Holding AG, Registered Shares | 911 | 280255 |
|  EFG International AG<sup>\*</sup> | 5927 | 124065 |
|  Flughafen Zurich AG, Registered Shares | 718 | 221597 |
|  Galderma Group AG | 2961 | 565263 |
|  Galenica AG<sup>(b)</sup> | 1383 | 156363 |
|  Geberit AG, Registered Shares | 641 | 424860 |
|  Georg Fischer AG, Registered Shares | 2674 | 134440 |
|  Givaudan SA, Registered Shares | 141 | 470965 |
|  Helvetia Baloise Holding AG, Registered Shares | 698 | 178420 |
|  Huber & Suhner AG, Registered Shares | 1280 | 279719 |
|  Inficon Holding AG, Registered Shares | 2764 | 341910 |
|  International Workplace Group PLC | 28544 | 65834 |
|  Kuehne & Nagel International AG, Registered Shares | 3882 | 871040 |
|  Landis & Gyr Group AG<sup>\*</sup> | 918 | 57693 |
|  Logitech International SA, Registered Shares | 3494 | 314636 |
|  Partners Group Holding AG | 432 | 454929 |
|  PSP Swiss Property AG, Registered Shares | 1439 | 283842 |
|  Sandoz Group AG | 7841 | 602456 |
|  Schindler Holding AG, Registered Shares | 1453 | 450248 |
|  Schindler Holding AG, Participation Certificate | 1269 | 411235 |
|  SFS Group AG | 1448 | 212636 |
|  SGS SA, Registered Shares | 5695 | 596042 |
|  Sika AG, Registered Shares | 3408 | 550929 |
|  Sonova Holding AG, Registered Shares | 1316 | 293154 |
|  Straumann Holding AG, Registered Shares | 4247 | 433394 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;35

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Sulzer AG, Registered Shares | 1547 | $&nbsp;&nbsp;&nbsp; 316889 |
|  Sunrise Communications AG, Class A<sup>\*</sup> | 4172 | 245684 |
|  Swiss Life Holding AG, Registered Shares | 441 | 474615 |
|  Swiss Prime Site AG, Registered Shares | 2646 | 444540 |
|  Swisscom AG, Registered Shares | 1451 | 1204427 |
|  Temenos AG, Registered Shares | 1924 | 164853 |
|  UBS Group AG, Registered Shares | 39312 | 1503401 |
|  VAT Group AG<sup>(b)</sup> | 1252 | 753802 |
|  Vontobel Holding AG, Registered Shares | 1804 | 154234 |
|  Zurich Insurance Group AG | 4627 | 3232652 |
|  Total Switzerland |  | 23876120 |
|  United Kingdom – 9.7% |  |  |
|  Admiral Group PLC | 13290 | 552054 |
|  Advanced Medical Solutions Group PLC | 31679 | 80208 |
|  AG Barr PLC | 9910 | 85205 |
|  Alfa Financial Software Holdings PLC<sup>(b)</sup> | 65033 | 124350 |
|  Associated British Foods PLC | 9788 | 242208 |
|  AstraZeneca PLC | 23283 | 4510311 |
|  Autotrader Group PLC<sup>(b)</sup> | 55307 | 342422 |
|  Aviva PLC | 31605 | 250232 |
|  Avon Technologies PLC | 3905 | 85379 |
|  B&M European Value Retail PLC | 40389 | 89745 |
|  Babcock International Group PLC | 8530 | 130258 |
|  BAE Systems PLC | 66140 | 1918813 |
|  Balfour Beatty PLC | 17385 | 173317 |
|  Baltic Classifieds Group PLC | 91361 | 220474 |
|  Barclays PLC | 178470 | 916564 |
|  Big Yellow Group PLC | 6340 | 70647 |
|  Bodycote PLC | 5068 | 40801 |
|  British American Tobacco PLC | 102032 | 5881160 |
|  BT Group PLC | 215831 | 599117 |
|  BTG Consulting PLC | 48918 | 77410 |
|  Bunzl PLC | 855 | 25436 |
|  Bytes Technology Group PLC<sup>(a)</sup> | 26639 | 97096 |
|  Centrica PLC | 26524 | 74326 |
|  Cerillion PLC | 4735 | 80236 |
|  Chemring Group PLC | 31617 | 211802 |
|  CK Hutchison Holdings Ltd. | 86500 | 657560 |
|  Coats Group PLC | 85006 | 89902 |
|  Coca-Cola Europacific Partners PLC | 9565 | 866538 |
|  Cohort PLC<sup>(a)</sup> | 6759 | 108205 |
|  Compass Group PLC | 29249 | 804198 |
|  Computacenter PLC | 2212 | 87217 |
|  Convatec Group PLC<sup>(b)</sup> | 80849 | 229650 |
|  Cranswick PLC | 2271 | 156626 |
|  Diploma PLC | 6572 | 516956 |
|  Dr. Martens PLC | 27879 | 23143 |
|  Drax Group PLC | 8150 | 95168 |
|  Dunelm Group PLC | 7543 | 77984 |
|  Elementis PLC | 39185 | 77303 |
|  Entain PLC | 15991 | 118300 |
|  Fevertree Drinks PLC | 17877 | 179637 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Firstgroup PLC | 21965 | $&nbsp;&nbsp;&nbsp; 48140 |
|  Forterra PLC<sup>(b)</sup> | 4310 | 8798 |
|  Games Workshop Group PLC | 2796 | 652614 |
|  GB Group PLC | 22229 | 58920 |
|  Genus PLC | 4376 | 136764 |
|  Greggs PLC | 4204 | 84377 |
|  Halma PLC | 9786 | 490640 |
|  Hammerson PLC | 32672 | 126927 |
|  Harworth Group PLC | 31048 | 59981 |
|  Helical PLC<sup>(a)</sup> | 20982 | 48531 |
|  Hill & Smith PLC | 3463 | 96128 |
|  Hollywood Bowl Group PLC | 14888 | 46235 |
|  Howden Joinery Group PLC | 17775 | 185409 |
|  HSBC Holdings PLC | 601689 | 9692747 |
|  IMI PLC | 7390 | 246553 |
|  Imperial Brands PLC | 53698 | 2164708 |
|  Inchcape PLC | 2045 | 20226 |
|  Informa PLC | 34988 | 344840 |
|  IntegraFin Holdings PLC | 1127 | 4548 |
|  International Consolidated Airlines Group SA | 100634 | 464206 |
|  Intertek Group PLC | 4313 | 207482 |
|  ITV PLC | 60525 | 59901 |
|  J Sainsbury PLC | 13907 | 62170 |
|  James Halstead PLC | 945 | 1502 |
|  JD Sports Fashion PLC | 40911 | 38121 |
|  JET2 PLC | 738 | 10822 |
|  Johnson Matthey PLC | 2207 | 55210 |
|  Kainos Group PLC | 14302 | 137678 |
|  Kingfisher PLC | 13392 | 50119 |
|  Lloyds Banking Group PLC | 1202633 | 1464430 |
|  London Stock Exchange Group PLC | 2197 | 256806 |
|  LondonMetric Property PLC | 156582 | 374769 |
|  Marks & Spencer Group PLC | 13738 | 61450 |
|  Melrose Industries PLC | 33110 | 219533 |
|  Midwich Group PLC | 21542 | 44600 |
|  Mitie Group PLC | 84486 | 188286 |
|  MONY Group PLC | 23150 | 45853 |
|  Moonpig Group PLC | 43478 | 120116 |
|  Morgan Sindall Group PLC | 1167 | 63634 |
|  National Grid PLC | 161645 | 2706081 |
|  NatWest Group PLC | 311819 | 2274733 |
|  Next PLC | 2850 | 476364 |
|  Nichols PLC | 4581 | 56543 |
|  Oxford Instruments PLC | 5185 | 164099 |
|  Paratus Energy Services Ltd. | 18783 | 89278 |
|  Pearson PLC | 14903 | 194482 |
|  Pennon Group PLC | 44822 | 312970 |
|  PPHE Hotel Group Ltd. | 5665 | 118929 |
|  Property Franchise Group PLC | 9378 | 53177 |
|  PZ Cussons PLC | 66955 | 70635 |
|  QinetiQ Group PLC | 31715 | 189874 |
|  Reckitt Benckiser Group PLC | 15477 | 1038436 |

---

*See Notes to Financial Statements.*

36&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  RELX PLC | 34355 | $&nbsp;&nbsp;&nbsp; 1121725 |
|  Renishaw PLC | 2867 | 133459 |
|  Rentokil Initial PLC | 58296 | 359006 |
|  Rightmove PLC | 8583 | 48545 |
|  Rolls-Royce Holdings PLC | 108583 | 1620892 |
|  Rotork PLC | 38610 | 159160 |
|  RS Group PLC | 11866 | 87627 |
|  Safestore Holdings PLC | 34 | 284 |
|  Sage Group PLC | 35795 | 395465 |
|  Savills PLC | 7047 | 76573 |
|  Senior PLC | 41143 | 155170 |
|  Serco Group PLC | 46488 | 174716 |
|  Severn Trent PLC | 13622 | 555067 |
|  Smith & Nephew PLC | 17756 | 277466 |
|  Smiths Group PLC | 12924 | 388577 |
|  Softcat PLC | 18242 | 292277 |
|  Spirax Group PLC | 2572 | 226396 |
|  Spire Healthcare Group PLC<sup>(b)</sup> | 21428 | 41255 |
|  SSE PLC | 31775 | 1087348 |
|  SSP Group PLC | 8624 | 19890 |
|  Standard Chartered PLC | 19736 | 404702 |
|  Subsea 7 SA | 15748 | 485651 |
|  Telecom Plus PLC | 8773 | 149471 |
|  Tesco PLC | 140511 | 876615 |
|  Travis Perkins PLC | 37 | 276 |
|  Unilever PLC | 57933 | 3207877 |
|  United Utilities Group PLC | 23260 | 403349 |
|  Vodafone Group PLC | 470831 | 703462 |
|  Volex PLC | 18446 | 110191 |
|  Volution Group PLC | 26134 | 196438 |
|  Weir Group PLC | 7756 | 286175 |
|  WH Smith PLC | 509 | 3853 |
|  Whitbread PLC | 3109 | 94132 |
|  Workspace Group PLC | 9474 | 42665 |
|  Total United Kingdom |  | 61343088 |
|  United States – 8.0% |  |  |
|  Acerinox SA | 4713 | 64947 |
|  Aegon Ltd. | 20440 | 146675 |
|  Alcon, Inc. | 3396 | 250447 |
|  BP PLC | 626002 | 5005057 |
|  Buzzi SpA | 1273 | 63188 |
|  Experian PLC | 16206 | 555214 |
|  Ferrovial SE | 13746 | 877750 |
|  GSK PLC | 103923 | 2828571 |
|  Haleon PLC | 128363 | 632740 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 13901 | 1123083 |
|  InterContinental Hotels Group PLC | 4786 | 624094 |
|  Nestle SA, Registered Shares | 76037 | 7420598 |
|  Novartis AG, Registered Shares | 52578 | 7908129 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  QIAGEN NV | 1838 | $73581 |
|  Reliance Worldwide Corp. Ltd. | 35403 | 73955 |
|  Roche Holding AG, Bearer Shares | 2371 | 965455 |
|  Roche Holding AG | 16914 | 6624150 |
|  Sanofi SA | 41037 | 3911235 |
|  Schneider Electric SE | 7976 | 2105417 |
|  Shell PLC | 161942 | 7651597 |
|  Swiss Re AG | 4718 | 776205 |
|  Tenaris SA | 23480 | 689868 |
|  Total United States |  | 50371956 |
|  TOTAL COMMON STOCKS<br> (Cost: $430,970,373) |  | 623489809 |
|  MUTUAL FUND – 0.1% |  |  |
|  United States – 0.1% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $516,270) | 516270 | 516270 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.9% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.9% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.9% |
|  United States – 0.9% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup> | 276014 | 276014 |
|  WisdomTree Treasury Money Market Digital Fund, 3.43%<sup>(c)(d)</sup> | 5300000 | 5300000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $5,576,014) | TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $5,576,014) | 5576014 |
|  TOTAL INVESTMENTS IN SECURITIES – 99.9%<br> (Cost: $437,062,657) | TOTAL INVESTMENTS IN SECURITIES – 99.9%<br> (Cost: $437,062,657) | 629582093 |
|  Other Assets less Liabilities – 0.1% |  | 938366 |
|  NET ASSETS – 100.0% |  | $630520459 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $90,406, which represents 0.0% of net assets.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $11,264,672 and the total market value of the collateral held by the Fund was $11,875,041. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $6,299,027.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<sup>(d)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

<u> ABBREVIATIONS:</u> <br> <u> CVA </u> <u> Certificaten van Aandelen (Certificate of Stock) </u>

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;37

**Schedule of Investments (concluded)**<br> WisdomTree International Equity Fund *(DWM)*<br> March 31, 2026<br>

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/ <br>Additions | Sales/ <br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Securities <br>Lending <br>Income |
|  WisdomTree Treasury Money Market Digital Fund | $— | $11400000 | $6100000 | $— | $— | $5300000 | $5076 |

---

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | &nbsp;&nbsp; Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks |  |  |  |  |
| &nbsp;&nbsp;&nbsp;&nbsp; Japan | $154710086 | $94968 | $&nbsp;&nbsp;&nbsp;&nbsp; —  | $154805054 |
| &nbsp;&nbsp;&nbsp;&nbsp; Australia | 43152931 |  | &nbsp;&nbsp;&nbsp;&nbsp; 90406<sup>\*</sup> | 43243337 |
| &nbsp;&nbsp;&nbsp;&nbsp; Other | 425441418 |  | &nbsp;&nbsp;&nbsp;&nbsp; —  | 425441418 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 516270 | &nbsp;&nbsp;&nbsp;&nbsp; —  | 516270 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 5576014 | &nbsp;&nbsp;&nbsp;&nbsp; —  | 5576014 |
|  Total Investments in Securities | $623304435 | $6187252 | $&nbsp;&nbsp;&nbsp;&nbsp; 90406  | $629582093 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

*See Notes to Financial Statements.*

38&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 99.3% |  |  |
|  Australia – 2.5% |  |  |
|  Aristocrat Leisure Ltd. | 82507 | $2561555 |
|  Brambles Ltd. | 413756 | 6404422 |
|  Cochlear Ltd. | 12585 | 1457552 |
|  Codan Ltd. | 24037 | 514632 |
|  CSL Ltd. | 116325 | 11216084 |
|  Eagers Automotive Ltd. | 48560 | 748322 |
|  HUB24 Ltd. | 14028 | 789663 |
|  JB Hi-Fi Ltd. | 24043 | 1192544 |
|  Netwealth Group Ltd. | 89556 | 1323651 |
|  Northern Star Resources Ltd. | 357477 | 4984861 |
|  Pro Medicus Ltd. | 5714 | 457490 |
|  Ramelius Resources Ltd. | 370582 | 931489 |
|  REA Group Ltd. | 19345 | 2072470 |
|  Sigma Healthcare Ltd. | 530379 | 962630 |
|  Technology One Ltd. | 45127 | 829557 |
|  Wesfarmers Ltd. | 295726 | 14767393 |
|  Whitehaven Coal Ltd. | 184294 | 1167562 |
|  WiseTech Global Ltd. | 11448 | 298105 |
|  Total Australia |  | 52679982 |
|  Austria – 1.7% |  |  |
|  ANDRITZ AG | 46489 | 3187095 |
|  BAWAG Group AG<sup>\*(a)</sup> | 52623 | 7851871 |
|  Erste Group Bank AG | 174223 | 18568423 |
|  Raiffeisen Bank International AG<sup>\*</sup> | 156682 | 6564034 |
|  Wienerberger AG | 48598 | 1275557 |
|  Total Austria |  | 37446980 |
|  Belgium – 0.3% |  |  |
|  Solvay SA | 51353 | 1565610 |
|  Syensqo SA | 30424 | 1734498 |
|  UCB SA | 10995 | 3274791 |
|  Total Belgium |  | 6574899 |
|  Chile – 0.2% |  |  |
|  Antofagasta PLC | 123471 | 5417059 |
|  China – 0.2% |  |  |
|  Prosus NV<sup>\*</sup> | 117482 | 5276440 |
|  Denmark – 2.2% |  |  |
|  Novo Nordisk AS, Class B | 1237144 | 44046096 |
|  Pandora AS | 24509 | 1714579 |
|  Royal Unibrew AS | 24727 | 1999771 |
|  Total Denmark |  | 47760446 |
|  Finland – 0.7% |  |  |
|  Kone OYJ, Class B | 161168 | 10172522 |
|  Konecranes OYJ | 58731 | 1890696 |
|  Valmet OYJ<sup>(b)</sup> | 102590 | 2880636 |
|  Total Finland |  | 14943854 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  France – 12.8% |  |  |
|  Accor SA | 86729 | $4059122 |
|  Air Liquide SA | 127950 | 26229673 |
|  Airbus SE | 88401 | 16380420 |
|  BioMerieux | 16600 | 1755814 |
|  Bureau Veritas SA | 174817 | 5176600 |
|  Cie Generale des Etablissements Michelin SCA | 385744 | 12973617 |
|  Dassault Aviation SA | 14770 | 5432143 |
|  Edenred SE | 192392 | 3781759 |
|  Eiffage SA | 45039 | 6805889 |
|  Hermes International SCA | 9594 | 17786216 |
|  Kering SA | 27762 | 8207960 |
|  Legrand SA | 44015 | 6679044 |
|  L'Oreal SA | 114285 | 46002114 |
|  LVMH Moet Hennessy Louis Vuitton SE | 138548 | 73926961 |
|  Nexans SA | 9063 | 1199830 |
|  Rexel SA | 144341 | 5534786 |
|  Safran SA | 45982 | 14802738 |
|  Technip Energies NV | 37634 | 1586178 |
|  Thales SA | 33261 | 9661309 |
|  Vallourec SACA | 245040 | 6140787 |
|  Total France |  | 274122960 |
|  Georgia – 0.3% |  |  |
|  Lion Finance Group PLC | 25640 | 3137703 |
|  TBC Bank Group PLC | 47805 | 2572049 |
|  Total Georgia |  | 5709752 |
|  Germany – 9.8% |  |  |
|  adidas AG | 20073 | 3160456 |
|  Continental AG | 74426 | 5110916 |
|  CTS Eventim AG & Co. KGaA | 29124 | 1666424 |
|  Daimler Truck Holding AG | 506962 | 24223520 |
|  Deutsche Lufthansa AG, Registered Shares | 576333 | 4778510 |
|  Deutsche Post AG, Registered Shares | 653916 | 33716525 |
|  Deutsche Telekom AG, Registered Shares | 1732574 | 63780874 |
|  Fielmann Group AG | 21506 | 1079135 |
|  GEA Group AG | 27763 | 1957698 |
|  Heidelberg Materials AG | 32456 | 6669541 |
|  HochTief AG | 17584 | 7755636 |
|  Hugo Boss AG | 20154 | 852923 |
|  Infineon Technologies AG | 151223 | 6621086 |
|  Knorr-Bremse AG | 45130 | 5051681 |
|  Krones AG | 7678 | 1019127 |
|  Nemetschek SE | 5535 | 406242 |
|  Rheinmetall AG | 2376 | 3954502 |
|  SAP SE | 143167 | 24232182 |
|  Schott Pharma AG & Co. KGaA | 14229 | 221656 |
|  Sixt SE | 13564 | 1004127 |
|  Traton SE<sup>(b)</sup> | 363593 | 12911478 |
|  Total Germany |  | 210174239 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;39

**Schedule of Investments (continued)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Hong Kong – 0.5% |  |  |
|  Bank of East Asia Ltd. | 2213200 | $3689514 |
|  Techtronic Industries Co. Ltd. | 538000 | 7006173 |
|  Total Hong Kong |  | 10695687 |
|  Ireland – 0.4% |  |  |
|  Bank of Ireland Group PLC | 475885 | 8463236 |
|  Israel – 1.6% |  |  |
|  Bank Leumi Le-Israel BM | 560059 | 12378945 |
|  Elbit Systems Ltd. | 2042 | 1705385 |
|  Israel Discount Bank Ltd., Class A | 546307 | 5446633 |
|  Mizrahi Tefahot Bank Ltd. | 131375 | 9478139 |
|  Newmed Energy LP | 560224 | 3191902 |
|  Strauss Group Ltd. | 29971 | 1311795 |
|  Total Israel |  | 33512799 |
|  Italy – 1.7% |  |  |
|  Brembo NV | 117369 | 1097412 |
|  Brunello Cucinelli SpA<sup>(b)</sup> | 9813 | 843241 |
|  DiaSorin SpA<sup>(b)</sup> | 8442 | 583418 |
|  Ferrari NV | 19069 | 6349705 |
|  Leonardo SpA | 61303 | 4099557 |
|  Maire SpA | 127967 | 1960999 |
|  Moncler SpA | 77576 | 4594289 |
|  PRADA SpA | 950700 | 4476907 |
|  Prysmian SpA | 32005 | 3642627 |
|  Recordati Industria Chimica & Farmaceutica SpA | 50492 | 2852994 |
|  Ryanair Holdings PLC | 194248 | 5342405 |
|  Technogym SpA<sup>(a)</sup> | 69976 | 1398061 |
|  Total Italy |  | 37241615 |
|  Japan – 19.2% |  |  |
|  Advantest Corp. | 33000 | 4217047 |
|  Ajinomoto Co., Inc. | 131100 | 3623400 |
|  Amada Co. Ltd. | 136000 | 1847357 |
|  Asics Corp. | 66600 | 1739830 |
|  Bandai Namco Holdings, Inc. | 133400 | 3242553 |
|  BayCurrent, Inc. | 30600 | 873049 |
|  BIPROGY, Inc. | 26300 | 763756 |
|  Bridgestone Corp. | 540200 | 11093302 |
|  Capcom Co. Ltd. | 74900 | 1576247 |
|  Chugai Pharmaceutical Co. Ltd. | 279400 | 15122971 |
|  CyberAgent, Inc. | 127300 | 1061434 |
|  Daiichi Sankyo Co. Ltd. | 383500 | 6667679 |
|  Daiwa House Industry Co. Ltd. | 236600 | 7314091 |
|  Disco Corp. | 10600 | 4080357 |
|  Ebara Corp. | 84000 | 2246125 |
|  Food & Life Cos. Ltd. | 24500 | 1427588 |
|  Fujikura Ltd. | 212400 | 5460532 |
|  GMO Payment Gateway, Inc. | 40300 | 2078202 |
|  Hachijuni Nagano Bank Ltd. | 328100 | 3974157 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Hitachi Ltd. | 550100 | $15435580 |
|  Hokuhoku Financial Group, Inc. | 78000 | 2861814 |
|  Horiba Ltd. | 14500 | 1628276 |
|  Hoya Corp. | 32900 | 5490571 |
|  Ibiden Co. Ltd. | 23300 | 1079688 |
|  Internet Initiative Japan, Inc. | 65800 | 1012292 |
|  Isuzu Motors Ltd. | 421300 | 5881622 |
|  Japan Steel Works Ltd. | 10400 | 547227 |
|  Kakaku.com, Inc. | 81891 | 1067327 |
|  Keyence Corp. | 16800 | 5793249 |
|  Kobe Bussan Co. Ltd. | 41000 | 890150 |
|  Koei Tecmo Holdings Co. Ltd. | 141700 | 1432676 |
|  Koito Manufacturing Co. Ltd. | 104800 | 1606683 |
|  Kokusai Electric Corp. | 33100 | 1042788 |
|  Konami Group Corp. | 14500 | 1762257 |
|  Kuraray Co. Ltd. | 154300 | 1599836 |
|  Lasertec Corp. | 20400 | 4276447 |
|  M3, Inc. | 102100 | 1030370 |
|  Maruwa Co. Ltd. | 1700 | 564209 |
|  Mazda Motor Corp. | 439300 | 2869022 |
|  MISUMI Group, Inc. | 72400 | 1194834 |
|  Mitsubishi Heavy Industries Ltd. | 242400 | 6434441 |
|  Mitsui Kinzoku Co. Ltd. | 12600 | 2220781 |
|  MonotaRO Co. Ltd. | 92000 | 985983 |
|  Murata Manufacturing Co. Ltd. | 483800 | 10366926 |
|  Nintendo Co. Ltd. | 157100 | 8665237 |
|  Nippon Steel Corp. | 2991500 | 10829121 |
|  Nitto Denko Corp. | 128600 | 2476777 |
|  Nomura Research Institute Ltd. | 94700 | 2578669 |
|  OBIC Business Consultants Co. Ltd. | 21300 | 835586 |
|  Obic Co. Ltd. | 98600 | 2387373 |
|  Olympus Corp. | 159100 | 1488594 |
|  Oracle Corp. | 32300 | 1747477 |
|  Organo Corp. | 14600 | 1249016 |
|  Pan Pacific International Holdings Corp. | 315700 | 1921307 |
|  Panasonic Holdings Corp. | 751500 | 12213233 |
|  Persol Holdings Co. Ltd. | 1307200 | 1898065 |
|  Recruit Holdings Co. Ltd. | 73300 | 3006825 |
|  Ryohin Keikaku Co. Ltd. | 66600 | 1395716 |
|  Sanrio Co. Ltd. | 168600 | 1037734 |
|  Sanwa Holdings Corp. | 79800 | 1774169 |
|  SCREEN Holdings Co. Ltd. | 62800 | 3529021 |
|  Sega Sammy Holdings, Inc. | 56800 | 865264 |
|  Seibu Holdings, Inc. | 37300 | 1024818 |
|  Shin-Etsu Chemical Co. Ltd. | 487300 | 19171605 |
|  Socionext, Inc. | 67500 | 792995 |
|  Sompo Holdings, Inc. | 375000 | 14171224 |
|  Subaru Corp. | 361000 | 5635449 |
|  SUMCO Corp. | 62300 | 649864 |
|  Sumitomo Forestry Co. Ltd. | 234000 | 2065095 |

---

*See Notes to Financial Statements.*

40&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  TIS, Inc. | 47500 | $1003504 |
|  Toei Animation Co. Ltd. | 58100 | 947699 |
|  Tokyo Electron Ltd. | 109000 | 25508014 |
|  TOTO Ltd. | 85000 | 2719530 |
|  Toyo Tire Corp. | 63700 | 1439046 |
|  Toyota Motor Corp. | 5643800 | 112173585 |
|  Trend Micro, Inc. | 41400 | 1363606 |
|  Yamato Holdings Co. Ltd. | 102400 | 1122866 |
|  Zensho Holdings Co. Ltd. | 16200 | 934588 |
|  ZOZO, Inc. | 330300 | 2294183 |
|  Total Japan |  | 410401581 |
|  Luxembourg – 0.1% |  |  |
|  Eurofins Scientific SE | 18067 | 1304380 |
|  Macau – 0.2% |  |  |
|  Sands China Ltd. | 2323200 | 4886300 |
|  Netherlands – 6.0% |  |  |
|  Arcadis NV | 16184 | 511306 |
|  ASM International NV | 2786 | 2044788 |
|  ASML Holding NV | 34231 | 44142314 |
|  Heineken Holding NV | 100078 | 7074259 |
|  ING Groep NV | 1857066 | 47298316 |
|  Koninklijke KPN NV | 1906177 | 10548814 |
|  Koninklijke Vopak NV | 50738 | 2741789 |
|  Universal Music Group NV | 478534 | 9171987 |
|  Wolters Kluwer NV | 56814 | 4230095 |
|  Total Netherlands |  | 127763668 |
|  Nigeria – 0.2% |  |  |
|  Airtel Africa PLC<sup>(a)</sup> | 750129 | 3408764 |
|  Norway – 0.7% |  |  |
|  Frontline PLC | 107018 | 3734278 |
|  Kongsberg Gruppen ASA | 151913 | 6436958 |
|  Mowi ASA | 171265 | 3860999 |
|  Total Norway |  | 14032235 |
|  Portugal – 0.6% |  |  |
|  Banco Comercial Portugues SA, Class R | 7888260 | 7561925 |
|  Jeronimo Martins SGPS SA | 206282 | 4886661 |
|  Total Portugal |  | 12448586 |
|  Singapore – 1.4% |  |  |
|  Singapore Exchange Ltd. | 316100 | 4782601 |
|  Singapore Technologies Engineering Ltd. | 686800 | 5754608 |
|  Singapore Telecommunications Ltd. | 5349900 | 20484832 |
|  Total Singapore |  | 31022041 |
|  Spain – 6.5% |  |  |
|  Amadeus IT Group SA | 96629 | 5419833 |
|  Banco Bilbao Vizcaya Argentaria SA | 2955264 | 62142248 |
|  Industria de Diseno Textil SA | 1231175 | 69849876 |
|  Laboratorios Farmaceuticos Rovi SA | 9486 | 882579 |
|  Total Spain |  | 138294536 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Sweden – 5.3% |  |  |
|  AAK AB<sup>(b)</sup> | 43954 | $1118431 |
|  AddTech AB, Class B | 34587 | 1153112 |
|  Assa Abloy AB, Class B | 183110 | 6466154 |
|  Atlas Copco AB, Class A | 744775 | 12755286 |
|  Atlas Copco AB, Class B | 222767 | 3387251 |
|  Axfood AB | 96796 | 3268786 |
|  Epiroc AB, Class B | 85797 | 1803077 |
|  Epiroc AB, Class A | 161551 | 3885195 |
|  EQT AB | 207501 | 6240550 |
|  Evolution AB<sup>(a)</sup> | 98797 | 6069125 |
|  Indutrade AB | 8929 | 200958 |
|  Lifco AB, Class B | 35288 | 1043869 |
|  Saab AB, Class B | 26885 | 1742427 |
|  Sandvik AB | 340141 | 12761201 |
|  Sectra AB, Class B | 11343 | 269339 |
|  SKF AB, Class B | 161231 | 3794567 |
|  Sweco AB, Class B | 49694 | 692234 |
|  Tele2 AB, Class B | 289723 | 5918393 |
|  Trelleborg AB, Class B | 45790 | 1676583 |
|  Volvo AB, Class B | 1257507 | 40327347 |
|  Total Sweden |  | 114573885 |
|  Switzerland – 5.4% |  |  |
|  ABB Ltd., Registered Shares | 313367 | 24662223 |
|  Accelleron Industries AG | 15907 | 1410458 |
|  Belimo Holding AG, Registered Shares | 1855 | 1467055 |
|  Bucher Industries AG, Registered Shares | 2692 | 1164171 |
|  Geberit AG, Registered Shares | 9089 | 6024269 |
|  Georg Fischer AG, Registered Shares | 14008 | 704279 |
|  Huber & Suhner AG, Registered Shares | 4369 | 954759 |
|  Logitech International SA, Registered Shares | 27558 | 2481609 |
|  Partners Group Holding AG | 13683 | 14409252 |
|  Schindler Holding AG, Participation Certificate | 7615 | 2467732 |
|  SFS Group AG | 14323 | 2103309 |
|  SGS SA, Registered Shares | 81207 | 8499171 |
|  Sika AG, Registered Shares | 37879 | 6123430 |
|  Sonova Holding AG, Registered Shares | 14544 | 3239843 |
|  Straumann Holding AG, Registered Shares | 19206 | 1959918 |
|  Sulzer AG, Registered Shares | 10053 | 2059267 |
|  UBS Group AG, Registered Shares | 859697 | 32877218 |
|  VAT Group AG<sup>(a)</sup> | 5147 | 3098897 |
|  Total Switzerland |  | 115706860 |
|  United Kingdom – 10.2% |  |  |
|  AstraZeneca PLC | 320258 | 62039395 |
|  Autotrader Group PLC<sup>(a)</sup> | 117599 | 728090 |
|  BAE Systems PLC | 591753 | 17167574 |
|  Bridgepoint Group PLC<sup>(a)</sup> | 408543 | 1238037 |
|  Centrica PLC | 1494419 | 4187715 |
|  Compass Group PLC | 350276 | 9630797 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;41

**Schedule of Investments (continued)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Hiscox Ltd. | 143946 | $2868203 |
|  Howden Joinery Group PLC | 208693 | 2176858 |
|  Imperial Brands PLC | 550104 | 22176143 |
|  Inchcape PLC | 137732 | 1362203 |
|  International Consolidated Airlines Group SA | 1006209 | 4641451 |
|  Intertek Group PLC | 62202 | 2992299 |
|  JD Sports Fashion PLC | 434843 | 405184 |
|  Lloyds Banking Group PLC | 27692373 | 33720640 |
|  Next PLC | 28292 | 4728870 |
|  RELX PLC | 390541 | 12751552 |
|  Rightmove PLC | 121834 | 689081 |
|  Rolls-Royce Holdings PLC | 864898 | 12910917 |
|  RS Group PLC | 201157 | 1485487 |
|  Sage Group PLC | 213540 | 2359203 |
|  Softcat PLC | 57007 | 913377 |
|  Spirax Group PLC | 16860 | 1484071 |
|  SSE PLC | 431557 | 14767987 |
|  Weir Group PLC | 36272 | 1338335 |
|  Total United Kingdom |  | 218763469 |
|  United States – 8.6% |  |  |
|  BP PLC | 10451136 | 83559694 |
|  Experian PLC | 132281 | 4531921 |
|  Ferrovial SE | 132060 | 8432680 |
|  GSK PLC | 1730844 | 47110031 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 147881 | 11947526 |
|  InterContinental Hotels Group PLC | 22163 | 2890055 |
|  Schneider Electric SE | 101691 | 26843270 |
|  Total United States |  | 185315177 |
|  TOTAL COMMON STOCKS<br> (Cost: $2,010,565,923) |  | 2127941430 |
|  EXCHANGE-TRADED FUND – 0.0% |  |  |
|  United States – 0.0% |  |  |
|  WisdomTree International Quality Dividend Growth Fund<sup>(b)(c)</sup><br> (Cost: $170,492) | 6017 | 241522 |
|  MUTUAL FUND – 0.1% |  |  |
|  United States – 0.1% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(d)</sup><br> (Cost: $1,258,442) | 1258442 | 1258442 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5% |
|  United States – 0.5% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(d)</sup> | 627072 | $627072 |
|  WisdomTree Treasury Money Market Digital Fund, 3.43%<sup>(c)(d)</sup> | 11100000 | 11100000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $11,727,072) | TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $11,727,072) | 11727072 |
|  TOTAL INVESTMENTS IN SECURITIES – 99.9% <br>(Cost: $2,023,721,929) | TOTAL INVESTMENTS IN SECURITIES – 99.9% <br>(Cost: $2,023,721,929) | 2141168466 |
|  Other Assets less Liabilities – 0.1% |  | 1170547 |
|  NET ASSETS – 100.0% |  | $2142339013 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(b)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $14,237,799. The Fund also had securities on loan having a total market value of $9,248 that were sold and pending settlement. The total market value of the collateral held by the Fund was $14,558,282. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $2,831,210.

<sup>(c)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

<sup>(d)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

---

| | |
|:---|:---|
| CURRENCY ABBREVIATIONS: | CURRENCY ABBREVIATIONS: |
|  AUD | Australian dollar |
|  CHF | Swiss franc |
|  DKK | Danish krone |
|  EUR | Euro |
|  GBP | British pound |
|  HKD | Hong Kong dollar |
|  ILS | Israel shekel |
|  JPY | Japanese yen |
|  NOK | Norwegian krone |
|  SEK | Swedish krona |
|  SGD | Singapore dollar |
|  USD | United States dollar |

---

*See Notes to Financial Statements.*

42&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/ <br>Additions | Sales/ <br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Dividend <br>Income | Securities <br>Lending <br>Income |
|  WisdomTree International Quality Dividend Growth Fund | $214687 | $— | $— | $— | $26835 | $241522 | $5515 | $— |
|  WisdomTree Treasury Money Market Digital Fund |  | 110800000 | 99700000 |  |  | 11100000 |  | 169126 |
|  Total | $214687 | $110800000 | $99700000 | $— | $26835 | $11341522 | $5515 | $169126 |

---

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Barclays Bank PLC | 4/3/2026 | 14765640384 | JPY | 92822229 | USD | $— | $(1235) |
|  Barclays Bank PLC | 4/3/2026 | 94055747 | USD | 14645363931 | JPY | 1990845 |  |
|  Barclays Bank PLC | 4/6/2026 | 7856175 | SGD | 6091031 | USD | 49 |  |
|  Barclays Bank PLC | 4/6/2026 | 6171975 | USD | 7787878 | SGD | 133847 |  |
|  Barclays Bank PLC | 4/7/2026 | 17422333 | AUD | 11931981 | USD |  | (235) |
|  Barclays Bank PLC | 4/7/2026 | 22533427 | CHF | 28057430 | USD | 308 |  |
|  Barclays Bank PLC | 4/7/2026 | 176036234 | EUR | 202874366 | USD | 1810 |  |
|  Barclays Bank PLC | 4/7/2026 | 57451888 | GBP | 75759736 | USD | 1100 |  |
|  Barclays Bank PLC | 4/7/2026 | 22340145 | ILS | 7077577 | USD |  | (387) |
|  Barclays Bank PLC | 4/7/2026 | 247484552 | SEK | 25986054 | USD | 26 |  |
|  Barclays Bank PLC | 4/7/2026 | 12090545 | USD | 16967829 | AUD | 470068 |  |
|  Barclays Bank PLC | 4/7/2026 | 28430287 | USD | 21781637 | CHF | 1308649 |  |
|  Barclays Bank PLC | 4/7/2026 | 205570370 | USD | 173818876 | EUR | 5249628 |  |
|  Barclays Bank PLC | 4/7/2026 | 76766510 | USD | 57093895 | GBP | 1477753 |  |
|  Barclays Bank PLC | 4/7/2026 | 7171631 | USD | 22479341 | ILS | 50344 |  |
|  Barclays Bank PLC | 4/7/2026 | 26331384 | USD | 237147554 | SEK | 1430697 |  |
|  Barclays Bank PLC | 4/8/2026 | 64143253 | DKK | 9890919 | USD | 68 |  |
|  Barclays Bank PLC | 4/8/2026 | 36376907 | HKD | 4641497 | USD |  | (109) |
|  Barclays Bank PLC | 4/8/2026 | 26274034 | NOK | 2697244 | USD | 20 |  |
|  Barclays Bank PLC | 4/8/2026 | 10022360 | USD | 63292677 | DKK | 262534 |  |
|  Barclays Bank PLC | 4/8/2026 | 4703179 | USD | 36737133 | HKD | 15829 |  |
|  Barclays Bank PLC | 4/8/2026 | 2733087 | USD | 26006266 | NOK | 63312 |  |
|  Barclays Bank PLC | 5/5/2026 | 10551191 | USD | 15411613 | AUD |  | (43) |
|  Barclays Bank PLC | 5/5/2026 | 9591423 | USD | 62107965 | DKK |  | (693) |
|  Barclays Bank PLC | 5/5/2026 | 6598384 | USD | 20809772 | ILS |  | (923) |
|  Barclays Bank PLC | 5/6/2026 | 25249753 | USD | 20214144 | CHF |  | (774) |
|  Barclays Bank PLC | 5/6/2026 | 181013189 | USD | 156849843 | EUR |  | (1214) |
|  Barclays Bank PLC | 5/6/2026 | 74646828 | USD | 56610282 | GBP |  | (1680) |
|  Barclays Bank PLC | 5/6/2026 | 4103068 | USD | 32109880 | HKD |  | (192) |
|  Barclays Bank PLC | 5/6/2026 | 2719751 | USD | 26497166 | NOK |  | (75) |
|  Barclays Bank PLC | 5/6/2026 | 22545061 | USD | 214395527 | SEK |  | (294) |
|  Barclays Bank PLC | 5/6/2026 | 6386937 | USD | 8220454 | SGD |  | (214) |
|  Barclays Bank PLC | 5/8/2026 | 83802373 | USD | 13291131779 | JPY | 936 |  |
|  Deutsche Bank AG | 4/3/2026 | 14765706195 | JPY | 92822229 | USD |  | (821) |
|  Deutsche Bank AG | 4/3/2026 | 94055747 | USD | 14645407291 | JPY | 1990572 |  |
|  Deutsche Bank AG | 4/6/2026 | 7856200 | SGD | 6091031 | USD | 68 |  |
|  Deutsche Bank AG | 4/6/2026 | 6171975 | USD | 7787989 | SGD | 133761 |  |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;43

**Schedule of Investments (continued)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Deutsche Bank AG | 4/7/2026 | 17422458 | AUD | 11931981 | USD | $— | $(150) |
|  Deutsche Bank AG | 4/7/2026 | 22533315 | CHF | 28057430 | USD | 168 |  |
|  Deutsche Bank AG | 4/7/2026 | 176036692 | EUR | 202874366 | USD | 2338 |  |
|  Deutsche Bank AG | 4/7/2026 | 57451757 | GBP | 75759736 | USD | 927 |  |
|  Deutsche Bank AG | 4/7/2026 | 22340123 | ILS | 7077577 | USD |  | (394) |
|  Deutsche Bank AG | 4/7/2026 | 247482767 | SEK | 25986054 | USD |  | (161) |
|  Deutsche Bank AG | 4/7/2026 | 12090545 | USD | 16967743 | AUD | 470127 |  |
|  Deutsche Bank AG | 4/7/2026 | 28430287 | USD | 21781594 | CHF | 1308702 |  |
|  Deutsche Bank AG | 4/7/2026 | 205570370 | USD | 173819023 | EUR | 5249459 |  |
|  Deutsche Bank AG | 4/7/2026 | 76766510 | USD | 57093853 | GBP | 1477809 |  |
|  Deutsche Bank AG | 4/7/2026 | 7171631 | USD | 22480775 | ILS | 49890 |  |
|  Deutsche Bank AG | 4/7/2026 | 26331384 | USD | 237149173 | SEK | 1430527 |  |
|  Deutsche Bank AG | 4/8/2026 | 64142975 | DKK | 9890919 | USD | 25 |  |
|  Deutsche Bank AG | 4/8/2026 | 36377802 | HKD | 4641497 | USD | 5 |  |
|  Deutsche Bank AG | 4/8/2026 | 26274088 | NOK | 2697244 | USD | 26 |  |
|  Deutsche Bank AG | 4/8/2026 | 10022360 | USD | 63293273 | DKK | 262442 |  |
|  Deutsche Bank AG | 4/8/2026 | 4703179 | USD | 36735440 | HKD | 16045 |  |
|  Deutsche Bank AG | 4/8/2026 | 2733087 | USD | 26006882 | NOK | 63248 |  |
|  Deutsche Bank AG | 5/5/2026 | 10551191 | USD | 15411480 | AUD | 48 |  |
|  Deutsche Bank AG | 5/5/2026 | 9591423 | USD | 62104797 | DKK |  | (203) |
|  Deutsche Bank AG | 5/5/2026 | 6598384 | USD | 20809658 | ILS |  | (887) |
|  Deutsche Bank AG | 5/6/2026 | 25249753 | USD | 20213988 | CHF |  | (579) |
|  Deutsche Bank AG | 5/6/2026 | 181013189 | USD | 156849979 | EUR |  | (1371) |
|  Deutsche Bank AG | 5/6/2026 | 74646828 | USD | 56609681 | GBP |  | (887) |
|  Deutsche Bank AG | 5/6/2026 | 4103068 | USD | 32108239 | HKD | 18 |  |
|  Deutsche Bank AG | 5/6/2026 | 2719751 | USD | 26496812 | NOK |  | (38) |
|  Deutsche Bank AG | 5/6/2026 | 22545061 | USD | 214397923 | SEK |  | (546) |
|  Deutsche Bank AG | 5/6/2026 | 6386937 | USD | 8220390 | SGD |  | (165) |
|  Deutsche Bank AG | 5/8/2026 | 83802373 | USD | 13291166055 | JPY | 720 |  |
|  Goldman Sachs | 4/1/2026 | 206920 | USD | 165527 | CHF | 925 |  |
|  Goldman Sachs | 4/3/2026 | 491884730 | JPY | 3083795 | USD | 8332 |  |
|  Goldman Sachs | 4/3/2026 | 490660001 | JPY | 3083795 | USD | 633 |  |
|  Goldman Sachs | 4/3/2026 | 14765742489 | JPY | 92822229 | USD |  | (593) |
|  Goldman Sachs | 4/3/2026 | 94055747 | USD | 14645363931 | JPY | 1990845 |  |
|  Goldman Sachs | 4/6/2026 | 259474 | SGD | 202360 | USD |  | (1184) |
|  Goldman Sachs | 4/6/2026 | 261113 | SGD | 202360 | USD | 87 |  |
|  Goldman Sachs | 4/6/2026 | 7856206 | SGD | 6091031 | USD | 73 |  |
|  Goldman Sachs | 4/6/2026 | 6171975 | USD | 7787872 | SGD | 133852 |  |
|  Goldman Sachs | 4/7/2026 | 563687 | AUD | 396411 | USD |  | (10368) |
|  Goldman Sachs | 4/7/2026 | 578285 | AUD | 396411 | USD |  | (370) |
|  Goldman Sachs | 4/7/2026 | 17422435 | AUD | 11931981 | USD |  | (165) |
|  Goldman Sachs | 4/7/2026 | 734250 | CHF | 932141 | USD |  | (17881) |
|  Goldman Sachs | 4/7/2026 | 745160 | CHF | 932141 | USD |  | (4297) |
|  Goldman Sachs | 4/7/2026 | 22533483 | CHF | 28057430 | USD | 378 |  |
|  Goldman Sachs | 4/7/2026 | 5876809 | EUR | 6740012 | USD | 32824 |  |
|  Goldman Sachs | 4/7/2026 | 5833988 | EUR | 6740012 | USD |  | (16526) |
|  Goldman Sachs | 4/7/2026 | 176036081 | EUR | 202874366 | USD | 1634 |  |
|  Goldman Sachs | 4/7/2026 | 1891923 | GBP | 2516935 | USD |  | (22088) |
|  Goldman Sachs | 4/7/2026 | 1906970 | GBP | 2516935 | USD |  | (2245) |
|  Goldman Sachs | 4/7/2026 | 57451844 | GBP | 75759736 | USD | 1042 |  |
|  Goldman Sachs | 4/7/2026 | 731216 | ILS | 235135 | USD |  | (3491) |

---

*See Notes to Financial Statements.*

44&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Goldman Sachs | 4/7/2026 | 743972 | ILS | 235135 | USD | $550 | $— |
|  Goldman Sachs | 4/7/2026 | 22341568 | ILS | 7077577 | USD | 64 |  |
|  Goldman Sachs | 4/7/2026 | 8075344 | SEK | 863324 | USD |  | (15406) |
|  Goldman Sachs | 4/7/2026 | 8238645 | SEK | 863324 | USD | 1740 |  |
|  Goldman Sachs | 4/7/2026 | 247487150 | SEK | 25986054 | USD | 299 |  |
|  Goldman Sachs | 4/7/2026 | 12090545 | USD | 16967781 | AUD | 470101 |  |
|  Goldman Sachs | 4/7/2026 | 28430287 | USD | 21781523 | CHF | 1308790 |  |
|  Goldman Sachs | 4/7/2026 | 205570370 | USD | 173818729 | EUR | 5249798 |  |
|  Goldman Sachs | 4/7/2026 | 76766510 | USD | 57093640 | GBP | 1478089 |  |
|  Goldman Sachs | 4/7/2026 | 7171631 | USD | 22480058 | ILS | 50117 |  |
|  Goldman Sachs | 4/7/2026 | 26331384 | USD | 237145447 | SEK | 1430918 |  |
|  Goldman Sachs | 4/8/2026 | 2140706 | DKK | 328602 | USD | 1498 |  |
|  Goldman Sachs | 4/8/2026 | 2124687 | DKK | 328602 | USD |  | (972) |
|  Goldman Sachs | 4/8/2026 | 64143243 | DKK | 9890919 | USD | 66 |  |
|  Goldman Sachs | 4/8/2026 | 1206804 | HKD | 154203 | USD |  | (225) |
|  Goldman Sachs | 4/8/2026 | 1207915 | HKD | 154203 | USD |  | (83) |
|  Goldman Sachs | 4/8/2026 | 36377552 | HKD | 4641497 | USD |  | (27) |
|  Goldman Sachs | 4/8/2026 | 858289 | NOK | 89609 | USD |  | (1498) |
|  Goldman Sachs | 4/8/2026 | 875816 | NOK | 89609 | USD | 301 |  |
|  Goldman Sachs | 4/8/2026 | 26274115 | NOK | 2697244 | USD | 28 |  |
|  Goldman Sachs | 4/8/2026 | 10022360 | USD | 63291574 | DKK | 262704 |  |
|  Goldman Sachs | 4/8/2026 | 4703179 | USD | 36732900 | HKD | 16370 |  |
|  Goldman Sachs | 4/8/2026 | 2733087 | USD | 26006676 | NOK | 63270 |  |
|  Goldman Sachs | 5/5/2026 | 10551191 | USD | 15411996 | AUD |  | (305) |
|  Goldman Sachs | 5/5/2026 | 9591423 | USD | 62108914 | DKK |  | (839) |
|  Goldman Sachs | 5/5/2026 | 6598384 | USD | 20810439 | ILS |  | (1134) |
|  Goldman Sachs | 5/6/2026 | 25249753 | USD | 20214624 | CHF |  | (1373) |
|  Goldman Sachs | 5/6/2026 | 181013189 | USD | 156849707 | EUR |  | (1057) |
|  Goldman Sachs | 5/6/2026 | 74646828 | USD | 56610798 | GBP |  | (2359) |
|  Goldman Sachs | 5/6/2026 | 4103068 | USD | 32109392 | HKD |  | (130) |
|  Goldman Sachs | 5/6/2026 | 2719751 | USD | 26497030 | NOK |  | (61) |
|  Goldman Sachs | 5/6/2026 | 22545061 | USD | 214400036 | SEK |  | (768) |
|  Goldman Sachs | 5/6/2026 | 6386937 | USD | 8220346 | SGD |  | (130) |
|  Goldman Sachs | 5/8/2026 | 83802373 | USD | 13291265863 | JPY | 91 |  |
|  HSBC Holdings PLC | 4/3/2026 | 14765844593 | JPY | 92822229 | USD | 49 |  |
|  HSBC Holdings PLC | 4/6/2026 | 7856029 | SGD | 6091031 | USD |  | (64) |
|  HSBC Holdings PLC | 4/7/2026 | 17422282 | AUD | 11931981 | USD |  | (270) |
|  HSBC Holdings PLC | 4/7/2026 | 22533146 | CHF | 28057430 | USD |  | (42) |
|  HSBC Holdings PLC | 4/7/2026 | 176037914 | EUR | 202874366 | USD | 3747 |  |
|  HSBC Holdings PLC | 4/7/2026 | 57451365 | GBP | 75759736 | USD | 410 |  |
|  HSBC Holdings PLC | 4/7/2026 | 22345807 | ILS | 7077577 | USD | 1407 |  |
|  HSBC Holdings PLC | 4/7/2026 | 247481719 | SEK | 25986054 | USD |  | (271) |
|  HSBC Holdings PLC | 4/8/2026 | 64143302 | DKK | 9890919 | USD | 75 |  |
|  HSBC Holdings PLC | 4/8/2026 | 36375746 | HKD | 4641497 | USD |  | (257) |
|  HSBC Holdings PLC | 4/8/2026 | 26274123 | NOK | 2697244 | USD | 29 |  |
|  HSBC Holdings PLC | 5/5/2026 | 10551191 | USD | 15411613 | AUD |  | (43) |
|  HSBC Holdings PLC | 5/5/2026 | 9591423 | USD | 62104368 | DKK |  | (137) |
|  HSBC Holdings PLC | 5/5/2026 | 6598384 | USD | 20814391 | ILS |  | (2388) |
|  HSBC Holdings PLC | 5/6/2026 | 25249753 | USD | 20214144 | CHF |  | (774) |
|  HSBC Holdings PLC | 5/6/2026 | 181013189 | USD | 156850659 | EUR |  | (2155) |
|  HSBC Holdings PLC | 5/6/2026 | 74646828 | USD | 56610712 | GBP |  | (2246) |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;45

**Schedule of Investments (continued)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  HSBC Holdings PLC | 5/6/2026 | 4103068 | USD | 32109059 | HKD | $— | $(87) |
|  HSBC Holdings PLC | 5/6/2026 | 2719751 | USD | 26496589 | NOK |  | (15) |
|  HSBC Holdings PLC | 5/6/2026 | 22545061 | USD | 214399472 | SEK |  | (709) |
|  HSBC Holdings PLC | 5/6/2026 | 6386937 | USD | 8220371 | SGD |  | (150) |
|  HSBC Holdings PLC | 5/8/2026 | 83802373 | USD | 13291341285 | JPY |  | (384) |
|  Royal Bank of Canada | 4/3/2026 | 94055747 | USD | 14645416697 | JPY | 1990513 |  |
|  Royal Bank of Canada | 4/6/2026 | 6171975 | USD | 7787934 | SGD | 133804 |  |
|  Royal Bank of Canada | 4/7/2026 | 12090545 | USD | 16967662 | AUD | 470182 |  |
|  Royal Bank of Canada | 4/7/2026 | 28430287 | USD | 21781296 | CHF | 1309073 |  |
|  Royal Bank of Canada | 4/7/2026 | 205570370 | USD | 173819023 | EUR | 5249459 |  |
|  Royal Bank of Canada | 4/7/2026 | 76766510 | USD | 57093810 | GBP | 1477865 |  |
|  Royal Bank of Canada | 4/7/2026 | 7171631 | USD | 22479700 | ILS | 50231 |  |
|  Royal Bank of Canada | 4/7/2026 | 26331384 | USD | 237143525 | SEK | 1431120 |  |
|  Royal Bank of Canada | 4/8/2026 | 10022360 | USD | 63292366 | DKK | 262581 |  |
|  Royal Bank of Canada | 4/8/2026 | 4703179 | USD | 36734904 | HKD | 16114 |  |
|  Royal Bank of Canada | 4/8/2026 | 2733087 | USD | 26006266 | NOK | 63312 |  |
|  UBS Group AG | 4/3/2026 | 14765083292 | JPY | 92822228 | USD |  | (4736) |
|  UBS Group AG | 4/3/2026 | 94055746 | USD | 14645777621 | JPY | 1988243 |  |
|  UBS Group AG | 4/6/2026 | 7856123 | SGD | 6091029 | USD | 11 |  |
|  UBS Group AG | 4/6/2026 | 6171973 | USD | 7788295 | SGD | 133522 |  |
|  UBS Group AG | 4/7/2026 | 17422315 | AUD | 11931979 | USD |  | (246) |
|  UBS Group AG | 4/7/2026 | 22533421 | CHF | 28057430 | USD | 301 |  |
|  UBS Group AG | 4/7/2026 | 176036230 | EUR | 202874362 | USD | 1810 |  |
|  UBS Group AG | 4/7/2026 | 57451754 | GBP | 75759732 | USD | 927 |  |
|  UBS Group AG | 4/7/2026 | 22340133 | ILS | 7077573 | USD |  | (387) |
|  UBS Group AG | 4/7/2026 | 247487141 | SEK | 25986053 | USD | 299 |  |
|  UBS Group AG | 4/7/2026 | 12090545 | USD | 16967948 | AUD | 469987 |  |
|  UBS Group AG | 4/7/2026 | 28430284 | USD | 21781777 | CHF | 1308472 |  |
|  UBS Group AG | 4/7/2026 | 205570370 | USD | 173819905 | EUR | 5248443 |  |
|  UBS Group AG | 4/7/2026 | 76766506 | USD | 57093794 | GBP | 1477882 |  |
|  UBS Group AG | 4/7/2026 | 7171627 | USD | 22480046 | ILS | 50117 |  |
|  UBS Group AG | 4/7/2026 | 26331381 | USD | 237150687 | SEK | 1430365 |  |
|  UBS Group AG | 4/8/2026 | 64143170 | DKK | 9890918 | USD | 56 |  |
|  UBS Group AG | 4/8/2026 | 36377640 | HKD | 4641497 | USD |  | (16) |
|  UBS Group AG | 4/8/2026 | 26274049 | NOK | 2697240 | USD | 26 |  |
|  UBS Group AG | 4/8/2026 | 10022358 | USD | 63292313 | DKK | 262588 |  |
|  UBS Group AG | 4/8/2026 | 4703175 | USD | 36735463 | HKD | 16039 |  |
|  UBS Group AG | 4/8/2026 | 2733086 | USD | 26007418 | NOK | 63192 |  |
|  UBS Group AG | 5/5/2026 | 10551191 | USD | 15411208 | AUD | 235 |  |
|  UBS Group AG | 5/5/2026 | 9591420 | USD | 62106005 | DKK |  | (393) |
|  UBS Group AG | 5/5/2026 | 6598383 | USD | 20809439 | ILS |  | (818) |
|  UBS Group AG | 5/6/2026 | 25249752 | USD | 20213941 | CHF |  | (522) |
|  UBS Group AG | 5/6/2026 | 181013187 | USD | 156849841 | EUR |  | (1214) |
|  UBS Group AG | 5/6/2026 | 74646825 | USD | 56609507 | GBP |  | (661) |
|  UBS Group AG | 5/6/2026 | 4103066 | USD | 32110205 | HKD |  | (236) |
|  UBS Group AG | 5/6/2026 | 2719749 | USD | 26496195 | NOK | 23 |  |
|  UBS Group AG | 5/6/2026 | 22545060 | USD | 214400590 | SEK |  | (827) |
|  UBS Group AG | 5/6/2026 | 6386934 | USD | 8220361 | SGD |  | (145) |
|  UBS Group AG | 5/8/2026 | 83802369 | USD | 13290728894 | JPY | 3473 |  |
|  |  |  |  |  |  | $62336149 | $(140038) |

---

*See Notes to Financial Statements.*

46&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (concluded)**<br> WisdomTree International Hedged Quality Dividend Growth Fund *(IHDG)*<br> March 31, 2026<br>

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted<br>Prices in<br>Active<br>Markets<br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $2127941430 | $— | $—  | $2127941430 |
| &nbsp;&nbsp;&nbsp; Exchange-Traded Fund | 241522 |  |  | 241522 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 1258442 |  | 1258442 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 11727072 |  | 11727072 |
|  Total Investments in Securities | $2128182952 | $12985514 | $—  | $2141168466 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $62336149 | $—  | $62336149 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(140038) | $—  | $(140038) |
|  Total – Net | $2128182952 | $75181625 | $—  | $2203364577 |

---

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;47

**Schedule of Investments** <br> WisdomTree International High Dividend Fund *(DTH)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 99.0% |  |  |
|  Australia – 8.6% |  |  |
|  Abacus Group | 362926 | $252297 |
|  Accent Group Ltd. | 245397 | 125214 |
|  Adairs Ltd. | 94015 | 84030 |
|  Amotiv Ltd. | 55265 | 254359 |
|  ANZ Group Holdings Ltd. | 106935 | 2634435 |
|  APA Group | 139605 | 951374 |
|  Aurizon Holdings Ltd. | 256930 | 698606 |
|  Australian Clinical Labs Ltd. | 84640 | 120577 |
|  Beach Energy Ltd.<sup>(a)</sup> | 653233 | 579382 |
|  Bendigo & Adelaide Bank Ltd. | 10077 | 68258 |
|  BHP Group Ltd. | 291594 | 10063526 |
|  Cedar Woods Properties Ltd. | 37551 | 181831 |
|  Centuria Capital Group | 249234 | 270560 |
|  Cromwell Property Group | 1023991 | 277026 |
|  Dalrymple Bay Infrastructure Ltd. | 142097 | 491477 |
|  Dexus | 137318 | 556771 |
|  Dicker Data Ltd. | 53765 | 314106 |
|  Elders Ltd. | 72740 | 358701 |
|  G8 Education Ltd. | 313024 | 51454 |
|  GPT Group | 204611 | 634826 |
|  GR Engineering Services Ltd. | 66971 | 177970 |
|  GrainCorp Ltd., Class A | 65888 | 299190 |
|  GWA Group Ltd. | 128902 | 184516 |
|  Inghams Group Ltd. | 154337 | 209297 |
|  IVE Group Ltd. | 97929 | 175057 |
|  Jumbo Interactive Ltd. | 29269 | 154557 |
|  Jupiter Mines Ltd. | 838838 | 149375 |
|  McMillan Shakespeare Ltd. | 28582 | 286981 |
|  Medibank Pvt Ltd. | 45015 | 134422 |
|  Metcash Ltd. | 162028 | 328480 |
|  Mirvac Group | 409824 | 496819 |
|  National Australia Bank Ltd. | 95698 | 2716125 |
|  Nine Entertainment Co. Holdings Ltd. | 500014 | 325337 |
|  Origin Energy Ltd. | 162057 | 1374091 |
|  Orora Ltd. | 314563 | 406112 |
|  QBE Insurance Group Ltd. | 20975 | 304985 |
|  Redox Ltd. | 183544 | 414841 |
|  Rio Tinto Ltd.<sup>(a)</sup> | 27280 | 3016170 |
|  Rio Tinto PLC | 102072 | 9346782 |
|  Scentre Group | 592609 | 1347515 |
|  Servcorp Ltd. | 44408 | 208343 |
|  SmartGroup Corp. Ltd. | 58607 | 329549 |
|  Stockland | 278591 | 822378 |
|  Suncorp Group Ltd. | 18381 | 203315 |
|  Super Retail Group Ltd. | 40153 | 352560 |
|  Telstra Group Ltd. | 1065243 | 3888688 |
|  Transurban Group | 231725 | 2223506 |
|  Treasury Wine Estates Ltd. | 148297 | 376820 |
|  Universal Store Holdings Ltd. | 31739 | 169339 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Ventia Services Group Pty. Ltd. | 152130 | $544934 |
|  Vicinity Ltd. | 485927 | 778779 |
|  Waypoint REIT Ltd. | 268375 | 431954 |
|  Westpac Banking Corp. | 105509 | 2852225 |
|  Total Australia |  | 53999822 |
|  Austria – 0.6% |  |  |
|  ANDRITZ AG | 10368 | 710788 |
|  BAWAG Group AG<sup>\*(b)</sup> | 1669 | 249031 |
|  CA Immobilien Anlagen AG | 16141 | 452295 |
|  Raiffeisen Bank International AG<sup>\*</sup> | 5201 | 217891 |
|  SBO AG | 6575 | 273862 |
|  Telekom Austria AG | 66505 | 698072 |
|  Verbund AG | 14804 | 1119803 |
|  Total Austria |  | 3721742 |
|  Belgium – 1.3% |  |  |
|  Ageas SA | 4242 | 308165 |
|  Bekaert SA | 9836 | 453322 |
|  Cofinimmo SA | 7926 | 741546 |
|  Colruyt Group NV | 24401 | 1020006 |
|  KBC Group NV | 18013 | 2168853 |
|  Melexis NV | 7109 | 430437 |
|  Montea NV | 5103 | 384531 |
|  Proximus SADP | 71476 | 576482 |
|  Retail Estates NV | 5562 | 422963 |
|  Solvay SA | 22117 | 674286 |
|  Warehouses De Pauw CVA | 28931 | 744021 |
|  Total Belgium |  | 7924612 |
|  China – 0.8% |  |  |
|  BOC Aviation Ltd.<sup>(b)</sup> | 78400 | 772480 |
|  BOC Hong Kong Holdings Ltd. | 773547 | 4222828 |
|  Total China |  | 4995308 |
|  Denmark – 0.2% |  |  |
|  Danske Bank AS | 24241 | 1167309 |
|  Tryg AS | 10430 | 247828 |
|  Total Denmark |  | 1415137 |
|  Finland – 1.7% |  |  |
|  Elisa OYJ | 16867 | 814680 |
|  Fortum OYJ<sup>(a)</sup> | 84759 | 2136786 |
|  Nordea Bank Abp | 367215 | 6209067 |
|  Outokumpu OYJ | 98153 | 524746 |
|  Terveystalo OYJ<sup>(b)</sup> | 34056 | 339420 |
|  Valmet OYJ<sup>(a)</sup> | 22248 | 624704 |
|  Total Finland |  | 10649403 |
|  France – 9.5% |  |  |
|  Amundi SA<sup>(b)</sup> | 3932 | 332309 |
|  AXA SA | 207211 | 9368490 |
|  BNP Paribas SA | 82525 | 7700958 |
|  Bouygues SA | 34771 | 1979520 |
|  Cie des Alpes | 16405 | 446083 |

---

*See Notes to Financial Statements.*

48&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International High Dividend Fund *(DTH)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Cie Generale des Etablissements <br>Michelin SCA | 57295 | $1926986 |
|  Covivio SA | 11013 | 650320 |
|  Credit Agricole SA | 183118 | 3361047 |
|  Edenred SE | 3912 | 76896 |
|  Eiffage SA | 8149 | 1231404 |
|  Engie SA | 285091 | 9102231 |
|  Etablissements Maurel & Prom SA | 71365 | 888049 |
|  Gaztransport & Technigaz SA | 5487 | 1284655 |
|  Interparfums SA | 14090 | 370796 |
|  IPSOS SA | 10019 | 388336 |
|  Kaufman & Broad SA | 8422 | 274618 |
|  Klepierre SA | 42945 | 1604181 |
|  Opmobility | 31867 | 550023 |
|  Orange SA | 230350 | 4691108 |
|  Publicis Groupe SA | 18295 | 1493272 |
|  Pullup Entertainment<sup>(a)</sup> | 4244 | 64254 |
|  Quadient SA | 13527 | 168015 |
|  Rexel SA | 26825 | 1028610 |
|  Rubis SCA | 21932 | 870806 |
|  Societe BIC SA | 8385 | 518806 |
|  Television Francaise 1 SA | 51549 | 411903 |
|  Valeo SE | 38989 | 464056 |
|  Vallourec SACA | 46297 | 1160219 |
|  Veolia Environnement SA | 59667 | 2245320 |
|  Vinci SA | 34797 | 5145949 |
|  Total France |  | 59799220 |
|  Germany – 5.1% |  |  |
|  Allianz SE, Registered Shares | 18248 | 7554406 |
|  BASF SE | 73299 | 4425447 |
|  Bayerische Motoren Werke AG | 46893 | 4214348 |
|  Daimler Truck Holding AG | 71371 | 3410230 |
|  Deutsche Lufthansa AG, Registered Shares | 107985 | 895328 |
|  Deutsche Post AG, Registered Shares | 88288 | 4552212 |
|  DWS Group GmbH & Co. KGaA<sup>(b)</sup> | 3684 | 230700 |
|  Freenet AG | 21354 | 650040 |
|  Indus Holding AG | 9572 | 292265 |
|  LEG Immobilien SE | 7619 | 492480 |
|  SAF-Holland SE | 19029 | 360012 |
|  Schaeffler AG | 94412 | 767453 |
|  Sirius Real Estate Ltd. | 339043 | 414011 |
|  Stroeer SE & Co. KGaA | 10809 | 379228 |
|  Traton SE<sup>(a)</sup> | 55374 | 1966375 |
|  Vonovia SE | 61165 | 1519426 |
|  Total Germany |  | 32123961 |
|  Hong Kong – 4.9% |  |  |
|  Cathay Pacific Airways Ltd. | 1115000 | 1595661 |
|  CK Asset Holdings Ltd. | 278000 | 1576475 |
|  CK Infrastructure Holdings Ltd. | 225000 | 1795075 |
|  CLP Holdings Ltd. | 198500 | 1860890 |
|  Crystal International Group Ltd.<sup>(b)</sup> | 550000 | 406877 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value |  |
|  Dream International Ltd.<sup>(a)</sup> | 271000 | $238156 |  |
|  Hang Lung Group Ltd. | 260000 | 494452 |  |
|  Hang Lung Properties Ltd. | 675000 | 751607 |  |
|  HKT Trust & HKT Ltd. | 919000 | 1432384 |  |
|  Hong Kong & China Gas Co. Ltd. | 1668000 | 1510523 |  |
|  Hongkong Land Holdings Ltd. | 159600 | 1240092 |  |
|  Hutchison Telecommunications Hong Kong Holdings Ltd. | 2204000 | 328905 |  |
|  Hysan Development Co. Ltd. | 235000 | 562007 |  |
|  Kerry Properties Ltd. | 245500 | 683875 |  |
|  Luk Fook Holdings International Ltd. | 146000 | 432775 |  |
|  Man Wah Holdings Ltd. | 830400 | 456496 |  |
|  MTR Corp. Ltd.<sup>(a)</sup> | 510500 | 2082318 |  |
|  PCCW Ltd. | 1180000 | 872937 |  |
|  Power Assets Holdings Ltd. | 221518 | 1724914 |  |
|  SmarTone Telecommunications Holdings Ltd. | 506000 | 329150 |  |
|  Sun Hung Kai Properties Ltd. | 188500 | 3106324 |  |
|  Swire Pacific Ltd., Class B | 462500 | 755083 |  |
|  Swire Properties Ltd. | 504000 | 1461820 |  |
|  United Laboratories International Holdings Ltd. | 294000 | 360366 |  |
|  VTech Holdings Ltd. | 67000 | 505051 |  |
|  WH Group Ltd.<sup>(b)</sup> | 2465500 | 3226452 |  |
|  Wharf Real Estate Investment Co. Ltd. | 319000 | 920357 |  |
|  Total Hong Kong |  | 30711022 |  |
|  Indonesia – 0.3% |  |  |  |
|  Bumitama Agri Ltd. | 543900 | 775705 |  |
|  First Pacific Co. Ltd. | 756000 | 528415 |  |
|  First Resources Ltd. | 353800 | 795272 |  |
|  Total Indonesia |  | 2099392 |  |
|  Ireland – 0.2% |  |  |  |
|  AIB Group PLC | 49431 | 513444 |  |
|  Bank of Ireland Group PLC | 15672 | 278714 |  |
|  Cairn Homes PLC | 165264 | 399876 |  |
|  Total Ireland |  | 1192034 |  |
|  Israel – 1.2% |  |  |  |
|  Amot Investments Ltd. | 75886 | 462166 |  |
|  AudioCodes Ltd. | 12431 | 103621 |  |
|  Bezeq The Israeli Telecommunication Corp. Ltd. | 354898 | 841864 |  |
|  Danya Cebus Ltd. | 8142 | 417737 |  |
|  Delek Group Ltd. | 2757 | 924907 |  |
|  Energean PLC | 49564 | 564711 |  |
|  G City Ltd.<sup>(a)</sup> | 67671 | 249681 |  |
|  Land Development Nimrodi Group Ltd. | 13425 | 146346 |  |
|  Mediterranean Towers Ltd. | 48971 | 259007 |  |
|  Mizrahi Tefahot Bank Ltd. | 4675 | 337281 |  |
|  Neto Malinda Trading Ltd. | 7907 | 385897 |  |
|  Newmed Energy LP | 120926 | 688981 |  |
|  Orion Retail Properties Ltd.<sup>\*</sup> | 0<sup>^</sup> | 0 | <sup>†</sup> |
|  Palram Industries 1990 Ltd.<sup>(a)</sup> | 9306 | 146921 |  |
|  Partner Communications Co. Ltd. | 37984 | 422125 |  |
|  Phoenix Financial Ltd. | 3561 | 187213 |  |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;49

**Schedule of Investments (continued)**<br> WisdomTree International High Dividend Fund *(DTH)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. | 4547 | $542328 |
|  Ratio Energies Finance LP | 255970 | 352643 |
|  Shufersal Ltd. | 40006 | 581940 |
|  Total Israel |  | 7615369 |
|  Italy – 7.8% |  |  |
|  A2A SpA | 302095 | 845123 |
|  ACEA SpA | 25769 | 662110 |
|  Arnoldo Mondadori Editore SpA | 110803 | 254313 |
|  Ascopiave SpA | 77744 | 303665 |
|  Banca Generali SpA | 2727 | 159930 |
|  Banca Mediolanum SpA | 14858 | 295823 |
|  Banca Monte dei Paschi di Siena SpA | 64008 | 547741 |
|  Banco BPM SpA | 108155 | 1477948 |
|  BPER Banca SpA | 70800 | 908346 |
|  Credito Emiliano SpA | 11598 | 194034 |
|  Enav SpA<sup>(b)</sup> | 104534 | 622696 |
|  Enel SpA | 840809 | 9082313 |
|  ERG SpA | 19672 | 497747 |
|  Esprinet SpA | 20682 | 117481 |
|  Fila SpA | 17855 | 189267 |
|  FinecoBank Banca Fineco SpA | 10162 | 221704 |
|  Generali | 38721 | 1539641 |
|  Hera SpA | 132675 | 607192 |
|  Infrastrutture Wireless Italiane SpA<sup>(a)(b)</sup> | 94273 | 744599 |
|  Intesa Sanpaolo SpA | 2008102 | 11941185 |
|  Iren SpA | 192529 | 540826 |
|  Italgas SpA | 133254 | 1539959 |
|  Pirelli & C SpA<sup>(b)</sup> | 130619 | 888547 |
|  Poste Italiane SpA<sup>(a)(b)</sup> | 55991 | 1299288 |
|  RAI Way SpA<sup>(b)</sup> | 75275 | 509116 |
|  Saipem SpA<sup>(a)</sup> | 302130 | 1362519 |
|  Snam SpA | 317392 | 2396791 |
|  Sogefi SpA | 44337 | 96857 |
|  Terna – Rete Elettrica Nazionale | 159837 | 1816595 |
|  UniCredit SpA | 96826 | 6789718 |
|  Unipol Assicurazioni SpA | 10372 | 237160 |
|  Total Italy |  | 48690234 |
|  Japan – 11.9% |  |  |
|  AGC, Inc. | 22300 | 770667 |
|  Aida Engineering Ltd. | 30500 | 205327 |
|  Aisan Industry Co. Ltd. | 24000 | 276975 |
|  AIT Corp. | 14600 | 201072 |
|  Alconix Corp. | 17200 | 284775 |
|  Amano Corp. | 16600 | 394210 |
|  Anest Iwata Corp. | 18900 | 188656 |
|  AOKI Holdings, Inc. | 37800 | 383013 |
|  Aoyama Trading Co. Ltd. | 67800 | 343070 |
|  ARE Holdings, Inc. | 23700 | 499802 |
|  Asahi Kogyosha Co. Ltd. | 13900 | 297938 |
|  Asanuma Corp. | 30200 | 186033 |
|  Asia Pile Holdings Corp. | 20100 | 174860 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Astellas Pharma, Inc. | 147400 | $2333903 |
|  Autobacs Seven Co. Ltd. | 32800 | 322866 |
|  Bando Chemical Industries Ltd. | 18900 | 239859 |
|  Bell System24 Holdings, Inc. | 29600 | 269412 |
|  Brother Industries Ltd. | 31400 | 566854 |
|  Central Glass Co. Ltd. | 9500 | 235873 |
|  Chubu Steel Plate Co. Ltd. | 8700 | 132723 |
|  Citizen Watch Co. Ltd. | 56100 | 587130 |
|  Cosel Co. Ltd. | 18800 | 133180 |
|  Cosmo Energy Holdings Co. Ltd. | 24300 | 676960 |
|  Daicel Corp. | 48700 | 375145 |
|  Daiichi Life Group, Inc. | 57000 | 509127 |
|  Daiki Aluminium Industry Co. Ltd. | 20800 | 183956 |
|  Daikoku Denki Co. Ltd. | 5700 | 86741 |
|  Daikyonishikawa Corp. | 39500 | 205582 |
|  Daito Trust Construction Co. Ltd. | 49500 | 1144390 |
|  Daitron Co. Ltd. | 9600 | 159970 |
|  Daiwa Securities Group, Inc. | 27100 | 248702 |
|  Dear Life Co. Ltd. | 19800 | 129063 |
|  Dip Corp. | 22600 | 295339 |
|  Eagle Industry Co. Ltd. | 19900 | 355746 |
|  EM Systems Co. Ltd.<sup>(a)</sup> | 30600 | 125985 |
|  en, Inc./Japan | 21000 | 146785 |
|  ES-Con Japan Ltd. | 43300 | 294491 |
|  Exedy Corp. | 16200 | 563115 |
|  Ferrotec Corp. | 14700 | 580275 |
|  Futaba Industrial Co. Ltd. | 39000 | 234848 |
|  Gecoss Corp. | 19600 | 214246 |
|  Godo Steel Ltd. | 4000 | 91395 |
|  G-Tekt Corp. | 19400 | 219864 |
|  Hagiwara Electric Holdings Co. Ltd. | 6400 | 148243 |
|  Hakuto Co. Ltd. | 8700 | 228041 |
|  Hanwa Co. Ltd. | 39500 | 385590 |
|  Hazama Ando Corp. | 45600 | 559502 |
|  Honda Motor Co. Ltd. | 373200 | 2949896 |
|  H-One Co. Ltd. | 16100 | 117899 |
|  Hoosiers Holdings Co. Ltd. | 17400 | 130153 |
|  HU Group Holdings, Inc. | 16100 | 322931 |
|  Iino Kaiun Kaisha Ltd. | 45400 | 499688 |
|  Inabata & Co. Ltd. | 17700 | 439468 |
|  INFRONEER Holdings, Inc. | 40500 | 549241 |
|  Inui Global Logistics Co. Ltd. | 13600 | 124553 |
|  Ishihara Sangyo Kaisha Ltd. | 19100 | 331480 |
|  Isuzu Motors Ltd. | 72300 | 1009355 |
|  Itfor, Inc. | 15700 | 163128 |
|  JALCO Holdings, Inc. | 63700 | 143344 |
|  Japan Tobacco, Inc. | 125200 | 4737595 |
|  JDC Corp. | 39000 | 140713 |
|  Joshin Corp. | 13900 | 246301 |
|  JSP Corp. | 14100 | 201631 |
|  Kawada Technologies, Inc. | 18900 | 180933 |
|  Kobe Steel Ltd. | 55500 | 659344 |

---

*See Notes to Financial Statements.*

50&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International High Dividend Fund *(DTH)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Kohsoku Corp. | 8600 | $169200 |
|  Komatsu Ltd. | 60900 | 2301790 |
|  KPP Group Holdings Co. Ltd. | 37600 | 207274 |
|  KU Holdings Co. Ltd. | 19700 | 145499 |
|  Kumagai Gumi Co. Ltd. | 41800 | 402524 |
|  Kureha Corp. | 15600 | 386838 |
|  Kuroda Group Co. Ltd. | 26400 | 157647 |
|  Kyoei Steel Ltd. | 21200 | 309292 |
|  Kyokuto Kaihatsu Kogyo Co. Ltd. | 18500 | 333742 |
|  LA Holdings Co. Ltd. | 3200 | 176403 |
|  Lixil Corp. | 45500 | 463752 |
|  Marubun Corp. | 21800 | 151555 |
|  Mazda Motor Corp. | 88000 | 574719 |
|  MEITEC Group Holdings, Inc. | 21500 | 441785 |
|  Mitsuboshi Belting Ltd. | 15500 | 382896 |
|  Mitsui Chemicals, Inc. | 46200 | 539712 |
|  Mitsui DM Sugar Co. Ltd. | 14800 | 316299 |
|  Miyaji Engineering Group, Inc. | 15400 | 166981 |
|  Morito Co. Ltd. | 15900 | 184196 |
|  Mugen Estate Co. Ltd. | 9400 | 128276 |
|  Nippon Air Conditioning Services Co. Ltd. | 18400 | 170827 |
|  Nippon Carbon Co. Ltd. | 5500 | 154535 |
|  Nippon Kayaku Co. Ltd. | 43600 | 481110 |
|  Nippon Seisen Co. Ltd. | 18900 | 149332 |
|  Nippon Shokubai Co. Ltd. | 39500 | 563612 |
|  Nippon Soda Co. Ltd. | 17300 | 380058 |
|  Nippon Steel Corp. | 439400 | 1590612 |
|  Nippon Yakin Kogyo Co. Ltd. | 6200 | 180634 |
|  Nishimatsu Construction Co. Ltd. | 8700 | 312749 |
|  Nitto Kogyo Corp. | 16600 | 440329 |
|  Nittoc Construction Co. Ltd. | 22500 | 174665 |
|  Noevir Holdings Co. Ltd. | 14800 | 420492 |
|  Nomura Holdings, Inc. | 52100 | 394295 |
|  Nomura Real Estate Holdings, Inc. | 94900 | 602781 |
|  NPR-RIKEN Corp. | 13700 | 320347 |
|  NS United Kaiun Kaisha Ltd. | 8300 | 380332 |
|  NSK Ltd. | 89000 | 608382 |
|  Okamura Corp. | 25900 | 401304 |
|  Okumura Corp. | 9800 | 389314 |
|  Ono Pharmaceutical Co. Ltd. | 54100 | 853718 |
|  Onward Holdings Co. Ltd. | 72500 | 323103 |
|  Open Up Group, Inc. | 30000 | 335659 |
|  PCA Corp. | 9800 | 100101 |
|  PHC Holdings Corp. | 47500 | 325146 |
|  Pigeon Corp. | 30900 | 317177 |
|  Press Kogyo Co. Ltd. | 45300 | 230643 |
|  PS Construction Co. Ltd. | 19100 | 323556 |
|  Quick Co. Ltd. | 27800 | 146261 |
|  Raiznext Corp. | 21900 | 310556 |
|  Restar Corp. | 14300 | 236311 |
|  Roland Corp. | 9400 | 226004 |
|  RYODEN Corp. | 9300 | 191448 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Ryoyo Ryosan Holdings, Inc. | 20000 | $376139 |
|  Sakai Chemical Industry Co. Ltd. | 7300 | 158766 |
|  San-Ai Obbli Co. Ltd. | 27400 | 415073 |
|  Sangetsu Corp. | 20700 | 402055 |
|  Sanki Engineering Co. Ltd. | 15900 | 670620 |
|  Sankyo Co. Ltd. | 40200 | 490213 |
|  Sanshin Electronics Co. Ltd. | 8000 | 136275 |
|  Sanyo Chemical Industries Ltd. | 8700 | 271790 |
|  Scroll Corp. | 18400 | 153825 |
|  Seika Corp. | 15800 | 251863 |
|  Seikitokyu Kogyo Co. Ltd. | 15200 | 143315 |
|  Seino Holdings Co. Ltd. | 31300 | 477399 |
|  Shinagawa Refra Co. Ltd. | 19700 | 252116 |
|  Shinsho Corp. | 14100 | 203138 |
|  Sinko Industries Ltd. | 30500 | 229867 |
|  SoftBank Corp. | 2986200 | 3962454 |
|  Sojitz Corp. | 23380 | 900135 |
|  Solasto Corp. | 40200 | 281746 |
|  Stella Chemifa Corp. | 5200 | 157219 |
|  Subaru Corp. | 55500 | 866392 |
|  Sumida Corp. | 18400 | 125142 |
|  Sumiseki Holdings, Inc. | 29700 | 185193 |
|  Sumitomo Seika Chemicals Co. Ltd. | 28500 | 211748 |
|  Sun-Wa Technos Corp. | 7700 | 150767 |
|  Tachi-S Co. Ltd. | 18700 | 238378 |
|  Takachiho Koheki Co. Ltd. | 15400 | 195537 |
|  Takeda Pharmaceutical Co. Ltd. | 116600 | 4151250 |
|  Tanseisha Co. Ltd. | 21400 | 198275 |
|  TASUKI Holdings, Inc. | 27000 | 133057 |
|  Tauns Laboratories, Inc.<sup>(a)</sup> | 46000 | 143416 |
|  Teijin Ltd. | 42800 | 439057 |
|  THK Co. Ltd. | 21200 | 609388 |
|  Toa Corp. | 31400 | 600999 |
|  TOA Road Corp. | 21800 | 234183 |
|  Toagosei Co. Ltd. | 37300 | 400338 |
|  TOBISHIMA HOLDINGS, Inc. | 14000 | 183041 |
|  Toho Co. Ltd. | 16800 | 140660 |
|  Tokyo Tekko Co. Ltd. | 11100 | 138497 |
|  Tomen Devices Corp. | 2300 | 168282 |
|  Topy Industries Ltd. | 14600 | 266139 |
|  Tosoh Corp. | 41900 | 609313 |
|  Toyo Kanetsu KK | 9800 | 169586 |
|  Tsubakimoto Chain Co. | 26300 | 380225 |
|  UBE Corp. | 25200 | 385073 |
|  Unipres Corp. | 20400 | 166826 |
|  UT Group Co. Ltd. | 237500 | 289616 |
|  Valqua Ltd. | 6300 | 180181 |
|  Vital KSK Holdings, Inc. | 21300 | 196144 |
|  VT Holdings Co. Ltd. | 52300 | 160099 |
|  Wakita & Co. Ltd. | 22800 | 269576 |
|  Wellneo Sugar Co. Ltd. | 16000 | 287636 |
|  Yamada Consulting Group Co. Ltd. | 14300 | 147144 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;51

**Schedule of Investments (continued)**<br> WisdomTree International High Dividend Fund *(DTH)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Yokogawa Bridge Holdings Corp. | 17700 | $329768 |
|  Yondenko Corp. | 19700 | 228465 |
|  Yotai Refractories Co. Ltd. | 15000 | 170847 |
|  Zeon Corp. | 40800 | 450854 |
|  Zero Co. Ltd. | 7000 | 150041 |
|  Total Japan |  | 74399866 |
|  Luxembourg – 0.2% |  |  |
|  APERAM SA | 14710 | 575583 |
|  RTL Group SA | 20909 | 878130 |
|  Total Luxembourg |  | 1453713 |
|  Macau – 0.1% |  |  |
|  Wynn Macau Ltd. | 772800 | 538186 |
|  Netherlands – 1.7% |  |  |
|  Acomo NV | 11944 | 366066 |
|  ASR Nederland NV | 2773 | 189083 |
|  Brunel International NV<sup>(a)</sup> | 21112 | 160303 |
|  Eurocommercial Properties NV | 15119 | 454665 |
|  ForFarmers NV | 31886 | 230354 |
|  Havas NV<sup>\*</sup> | 24275 | 419265 |
|  ING Groep NV | 140736 | 3584458 |
|  Koninklijke KPN NV | 419659 | 2322400 |
|  Koninklijke Vopak NV | 13344 | 721086 |
|  NN Group NV | 4128 | 318956 |
|  PostNL NV<sup>(a)</sup> | 206943 | 257038 |
|  SBM Offshore NV | 21191 | 845291 |
|  Sligro Food Group NV | 16827 | 261351 |
|  Wereldhave NV | 18869 | 461993 |
|  Total Netherlands |  | 10592309 |
|  Norway – 5.2% |  |  |
|  Aker ASA, Class A | 12902 | 1417227 |
|  Austevoll Seafood ASA | 50041 | 531184 |
|  Bouvet ASA | 41305 | 214138 |
|  BW Offshore Ltd. | 72289 | 384415 |
|  DNB Bank ASA | 116397 | 3599113 |
|  DOF Group ASA | 61884 | 883063 |
|  Elmera Group ASA<sup>(b)</sup> | 54432 | 196696 |
|  Equinor ASA | 292728 | 12633557 |
|  Frontline PLC | 27455 | 958013 |
|  Hoegh Autoliners ASA | 69950 | 997444 |
|  Kid ASA<sup>(b)</sup> | 17672 | 228589 |
|  Klaveness Combination Carriers ASA<sup>(b)</sup> | 27268 | 263976 |
|  Leroy Seafood Group ASA | 100582 | 508024 |
|  Moreld AS<sup>\*</sup> | 71583 | 128014 |
|  Multiconsult ASA<sup>(b)</sup> | 11297 | 189038 |
|  Norwegian Air Shuttle ASA | 296074 | 432214 |
|  Odfjell Drilling Ltd. | 73822 | 769978 |
|  Odfjell SE, Class A | 26010 | 316682 |
|  Salmar ASA | 12388 | 718536 |
|  SpareBank 1 Sor-Norge ASA | 8060 | 174175 |
|  Stolt-Nielsen Ltd. | 15491 | 530364 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Telenor ASA | 190174 | $3324792 |
|  Veidekke ASA | 35264 | 682042 |
|  Wallenius Wilhelmsen ASA | 159218 | 1990848 |
|  Wilh Wilhelmsen Holding ASA, Class A | 8612 | 640974 |
|  Total Norway |  | 32713096 |
|  Portugal – 1.0% |  |  |
|  Altri SGPS SA<sup>(a)</sup> | 67470 | 380532 |
|  Banco Comercial Portugues SA, Class R | 205341 | 196846 |
|  Corticeira Amorim SGPS SA | 45616 | 341106 |
|  EDP SA | 327738 | 1708729 |
|  Galp Energia SGPS SA | 56844 | 1376064 |
|  NOS SGPS SA | 127903 | 801692 |
|  REN – Redes Energeticas Nacionais SGPS SA | 149850 | 644874 |
|  Sonae SGPS SA | 317173 | 699465 |
|  Total Portugal |  | 6149308 |
|  Singapore – 2.7% |  |  |
|  Aztech Global Ltd.<sup>(a)</sup> | 262400 | 162710 |
|  ComfortDelGro Corp. Ltd.<sup>(a)</sup> | 416800 | 465211 |
|  DBS Group Holdings Ltd. | 123130 | 5430452 |
|  Hafnia Ltd. | 132233 | 1012420 |
|  Keppel Infrastructure Trust | 1129436 | 446469 |
|  Keppel Ltd. | 142400 | 1299111 |
|  Netlink NBN Trust | 735800 | 550360 |
|  Oversea-Chinese Banking Corp. Ltd. | 154692 | 2634254 |
|  SBS Transit Ltd. | 120500 | 366128 |
|  Sembcorp Industries Ltd. | 160000 | 822230 |
|  Singapore Airlines Ltd. | 322500 | 1649808 |
|  StarHub Ltd. | 446900 | 353322 |
|  United Overseas Bank Ltd. | 43400 | 1232888 |
|  Venture Corp. Ltd. | 26100 | 311545 |
|  Total Singapore |  | 16736908 |
|  Spain – 8.0% |  |  |
|  Aena SME SA<sup>(b)</sup> | 146345 | 4303149 |
|  Banco Bilbao Vizcaya Argentaria SA | 426725 | 8973023 |
|  Banco de Sabadell SA | 114699 | 402151 |
|  Bankinter SA | 16037 | 247141 |
|  CaixaBank SA | 528744 | 6192708 |
|  Colonial SFL Socimi SA<sup>(a)</sup> | 88238 | 516981 |
|  Ebro Foods SA | 26213 | 567809 |
|  Elecnor SA | 22065 | 854222 |
|  Enagas SA | 45788 | 904254 |
|  Endesa SA | 113448 | 4716189 |
|  Faes Farma SA | 83100 | 445706 |
|  Iberdrola SA | 389787 | 8867727 |
|  Logista Integral SA | 21763 | 808930 |
|  Mapfre SA | 56612 | 248781 |
|  Metrovacesa SA<sup>\*(b)</sup> | 33311 | 426028 |
|  Naturgy Energy Group SA | 144415 | 4309629 |
|  Prosegur Cash SA<sup>(b)</sup> | 502970 | 363940 |
|  Prosegur Cia de Seguridad SA | 152698 | 454801 |
|  Repsol SA | 132398 | 3760332 |

---

*See Notes to Financial Statements.*

52&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International High Dividend Fund *(DTH)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Telefonica SA | 609331 | $2664360 |
|  Tubacex SA<sup>(a)</sup> | 54376 | 177305 |
|  Total Spain |  | 50205166 |
|  Sweden – 3.0% |  |  |
|  Atea ASA<sup>\*</sup> | 28619 | 415434 |
|  Betsson AB, Class B | 26688 | 280713 |
|  Bilia AB, Class A | 29809 | 389265 |
|  Billerud Aktiebolag | 48149 | 367957 |
|  BioGaia AB, Class B | 34727 | 435261 |
|  Bravida Holding AB<sup>(b)</sup> | 40097 | 414176 |
|  Duni AB<sup>(a)</sup> | 19643 | 197538 |
|  Elekta AB, Class B | 80839 | 468423 |
|  Evolution AB<sup>(b)</sup> | 16544 | 1016302 |
|  H & M Hennes & Mauritz AB, Class B<sup>(a)</sup> | 135289 | 2487429 |
|  Hexpol AB | 55922 | 420607 |
|  NCC AB, Class B | 20631 | 447867 |
|  Sagax AB, Class D | 40906 | 144494 |
|  SSAB AB, Class B | 86184 | 664593 |
|  Swedbank AB, Class A | 51366 | 1719524 |
|  Tele2 AB, Class B | 76198 | 1556555 |
|  Telia Co. AB | 385118 | 1950200 |
|  Volvo AB, Class B | 167285 | 5364710 |
|  Total Sweden |  | 18741048 |
|  Switzerland – 2.3% |  |  |
|  Allreal Holding AG, Registered Shares | 2140 | 599216 |
|  Banque Cantonale Vaudoise, Registered Shares | 1781 | 285918 |
|  Clariant AG, Registered Shares<sup>\*</sup> | 60156 | 578689 |
|  DKSH Holding AG | 8173 | 588908 |
|  EFG International AG<sup>\*</sup> | 7035 | 147257 |
|  Julius Baer Group Ltd. | 3478 | 251734 |
|  Kuehne & Nagel International AG, Registered Shares | 11183 | 2509234 |
|  Partners Group Holding AG | 443 | 466513 |
|  Sunrise Communications AG, Class A<sup>\*</sup> | 11758 | 692413 |
|  Swiss Life Holding AG, Registered Shares | 509 | 547798 |
|  Swisscom AG, Registered Shares | 3232 | 2682775 |
|  Vetropack Holding AG, Registered Shares<sup>(a)</sup> | 5942 | 167859 |
|  Zurich Insurance Group AG | 7240 | 5058224 |
|  Total Switzerland |  | 14576538 |
|  United Kingdom – 11.1% |  |  |
|  Admiral Group PLC | 5074 | 210769 |
|  Aviva PLC | 51125 | 404781 |
|  B&M European Value Retail PLC | 276706 | 614843 |
|  Big Yellow Group PLC | 30716 | 342269 |
|  British American Tobacco PLC | 201890 | 11637009 |
|  BT Group PLC | 734723 | 2039490 |
|  Bytes Technology Group PLC<sup>(a)</sup> | 66873 | 243744 |
|  Card Factory PLC | 156013 | 130641 |
|  CK Hutchison Holdings Ltd. | 270000 | 2052499 |
|  Derwent London PLC | 19118 | 396315 |
|  Domino's Pizza Group PLC | 148639 | 337529 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Drax Group PLC | 51462 | $600926 |
|  Dunelm Group PLC | 48656 | 503035 |
|  Grainger PLC | 151665 | 324001 |
|  Greggs PLC<sup>(a)</sup> | 18981 | 380960 |
|  Halfords Group PLC | 81054 | 137883 |
|  Hammerson PLC | 113999 | 442873 |
|  Hargreaves Services PLC | 17086 | 166732 |
|  Hilton Food Group PLC | 35217 | 237312 |
|  Hollywood Bowl Group PLC | 66898 | 207754 |
|  HSBC Holdings PLC | 1059557 | 17068648 |
|  Imperial Brands PLC | 111092 | 4478411 |
|  Inchcape PLC | 48812 | 482763 |
|  Investec PLC | 15583 | 117953 |
|  ITV PLC | 631419 | 624905 |
|  J Sainsbury PLC | 194733 | 870533 |
|  James Halstead PLC<sup>(a)</sup> | 180267 | 286450 |
|  Johnson Matthey PLC | 23271 | 582141 |
|  Kingfisher PLC | 172912 | 647118 |
|  Lloyds Banking Group PLC | 1440391 | 1753945 |
|  LondonMetric Property PLC | 339981 | 813724 |
|  Me Group International PLC | 138674 | 247971 |
|  MONY Group PLC | 168680 | 334102 |
|  Morgan Advanced Materials PLC | 110796 | 293674 |
|  National Grid PLC | 318047 | 5324389 |
|  NatWest Group PLC | 497537 | 3629554 |
|  Next 15 Group PLC | 34247 | 102065 |
|  Paratus Energy Services Ltd. | 75997 | 361224 |
|  Pennon Group PLC | 86284 | 602479 |
|  Pets at Home Group PLC | 138005 | 329761 |
|  PZ Cussons PLC | 189872 | 200307 |
|  RS Group PLC | 66061 | 487842 |
|  Safestore Holdings PLC | 42266 | 353646 |
|  Schroders PLC | 30346 | 229899 |
|  Severn Trent PLC | 27423 | 1117427 |
|  Subsea 7 SA | 44973 | 1386917 |
|  Telecom Plus PLC | 18554 | 316116 |
|  United Utilities Group PLC | 60538 | 1049783 |
|  Vodafone Group PLC | 1850375 | 2764620 |
|  WH Smith PLC | 42136 | 318941 |
|  Wickes Group PLC | 95404 | 262941 |
|  Workspace Group PLC | 71262 | 320918 |
|  Yu Group PLC<sup>(a)</sup> | 7329 | 160918 |
|  Total United Kingdom |  | 69333450 |
|  United States – 9.6% |  |  |
|  Acerinox SA | 39575 | 545356 |
|  Aegon Ltd. | 27335 | 196153 |
|  BP PLC | 1359288 | 10867880 |
|  GSK PLC | 229501 | 6246547 |
|  Nestle SA, Registered Shares | 149656 | 14605219 |
|  Sanofi SA | 84684 | 8071230 |
|  Shell PLC | 340302 | 16078928 |
|  Signify NV<sup>(b)</sup> | 22319 | 464430 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;53

**Schedule of Investments (concluded)**<br> WisdomTree International High Dividend Fund *(DTH)*<br> March 31, 2026<br>

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Swiss Re AG | 4986 | $| 820296 |
|  Tenaris SA | 89854 |  | 2640009 |
|  Total United States |  |  | 60536048 |
|  TOTAL COMMON STOCKS<br> (Cost: $501,001,829) |  |  | 620912892 |
|  EXCHANGE-TRADED FUND – 0.1% |  |  |  |
|  United States – 0.1% |  |  |  |
|  WisdomTree True Developed International Fund<sup>(c)</sup><br> (Cost: $502,604) | 7471 |  | 507926 |
|  MUTUAL FUND – 0.0% |  |  |  |
|  United States – 0.0% |  |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(d)</sup><br> (Cost: $198,741) | 198741 |  | 198741 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.2% |
|  United States – 2.2% |  |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(d)</sup> | 721551 |  | 721551 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  WisdomTree Treasury Money Market Digital Fund, 3.43%<sup>(c)(d)</sup> | 12900000 | $12900000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $13,621,551) | TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED<br> (Cost: $13,621,551) | &nbsp;&nbsp; 13621551 |
|  TOTAL INVESTMENTS IN SECURITIES – 101.3% <br> (Cost: $515,324,725) | TOTAL INVESTMENTS IN SECURITIES – 101.3% <br> (Cost: $515,324,725) | 635241110 |
|  Other Liabilities less Assets – (1.3)% |  | (8134597) |
|  NET ASSETS – 100.0% |  | $627106513 |

---

<sup>†&nbsp;&nbsp;&nbsp;&nbsp;</sup>Amount is less than $1.

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>Share amount represents a fractional share.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $18,576,068 and the total market value of the collateral held by the Fund was $19,323,595. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $5,702,044.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

<sup>(d)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<u> ABBREVIATIONS:</u> <br> <u> CVA </u> <u> Certificaten van Aandelen (Certificate of Stock) </u>

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/ <br>Additions | Sales/Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Dividend <br>Income | Securities <br>Lending <br>Income |
|  WisdomTree Treasury Money Market Digital Fund | $— | $25000000 | $12100000 | $— | $— | $12900000 | $— | $16256 |
|  WisdomTree True Developed International Fund | $55 | $6907511 | $6370214 | $(34743) | $5317 | $507926 | $44331 | $— |
|  Total | $55 | $31907511 | $18470214 | $(34743) | $5317 | $13407926 | $44331 | $16256 |

---

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted<br>Prices in<br>Active<br>Markets<br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks |  |  |  |  |
| &nbsp;&nbsp;&nbsp;&nbsp; Japan | $74251623 | $148243 | $— | $74399866 |
| &nbsp;&nbsp;&nbsp;&nbsp; Other | 546513026 |  |  | 546513026 |
| &nbsp;&nbsp;&nbsp; Exchange-Traded Fund | 507926 |  |  | 507926 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 198741 |  | 198741 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 13621551 |  | 13621551 |
|  Total Investments in Securities | $621272575 | $13968535 | $— | $635241110 |

---

*See Notes to Financial Statements.*

54&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  **COMMON STOCKS – 99.0%** |  |  |
|  **Australia – 6.2%** |  |  |
|  ALS Ltd. | 13552 | $193061 |
|  Ampol Ltd. | 4555 | 105072 |
|  APA Group | 59452 | 405151 |
|  ASX Ltd. | 6448 | 230969 |
|  Aurizon Holdings Ltd. | 59680 | 162273 |
|  Bank of Queensland Ltd. | 30202 | 138385 |
|  Bendigo & Adelaide Bank Ltd. | 30140 | 204158 |
|  BlueScope Steel Ltd. | 10838 | 190918 |
|  CAR Group Ltd. | 7302 | 114026 |
|  Challenger Ltd. | 20787 | 117883 |
|  Cleanaway Waste Management Ltd. | 41807 | 64998 |
|  Cochlear Ltd. | 905 | 104814 |
|  Codan Ltd. | 2249 | 48151 |
|  Computershare Ltd. | 15546 | 302281 |
|  Dexus | 36684 | 148739 |
|  Downer EDI Ltd. | 21328 | 111894 |
|  Dyno Nobel Ltd. | 42426 | 90660 |
|  Eagers Automotive Ltd. | 4708 | 72552 |
|  Evolution Mining Ltd. | 48519 | 419371 |
|  GPT Group | 75997 | 235788 |
|  Harvey Norman Holdings Ltd. | 42581 | 143777 |
|  Insurance Australia Group Ltd. | 83661 | 420578 |
|  JB Hi-Fi Ltd. | 4405 | 218490 |
|  Lottery Corp. Ltd. | 92244 | 339897 |
|  Medibank Pvt Ltd. | 125448 | 374608 |
|  Mirvac Group | 94988 | 115152 |
|  Netwealth Group Ltd. | 3962 | 58559 |
|  Orica Ltd. | 14929 | 205111 |
|  Origin Energy Ltd. | 85429 | 724358 |
|  Perseus Mining Ltd. | 27780 | 97987 |
|  Qantas Airways Ltd. | 62806 | 360043 |
|  Qube Holdings Ltd. | 43648 | 145287 |
|  Ramelius Resources Ltd. | 53846 | 135347 |
|  Scentre Group | 298893 | 679643 |
|  SEEK Ltd. | 5040 | 48154 |
|  SGH Ltd. | 5110 | 141429 |
|  Steadfast Group Ltd. | 28918 | 84175 |
|  Stockland | 128430 | 379115 |
|  Suncorp Group Ltd. | 70582 | 780717 |
|  Technology One Ltd. | 3251 | 59762 |
|  TPG Telecom Ltd. | 59906 | 164939 |
|  Treasury Wine Estates Ltd. | 61162 | 155411 |
|  Vicinity Ltd. | 225492 | 361388 |
|  Whitehaven Coal Ltd. | 16909 | 107124 |
|  Worley Ltd. | 17253 | 132464 |
|  Total Australia |  | 9894659 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  **Austria – 2.1%** |  |  |
|  ANDRITZ AG | 4163 | $285398 |
|  BAWAG Group AG<sup>\*(a)</sup> | 4706 | 702182 |
|  EVN AG | 5178 | 169437 |
|  Raiffeisen Bank International AG<sup>\*</sup> | 13555 | 567873 |
|  Strabag SE, Bearer Shares | 4776 | 471049 |
|  Telekom Austria AG | 23572 | 247424 |
|  UNIQA Insurance Group AG | 9012 | 155962 |
|  Vienna Insurance Group AG Wiener Versicherung Gruppe | 5945 | 420579 |
|  voestalpine AG | 4937 | 215136 |
|  Wienerberger AG | 3149 | 82652 |
|  Total Austria |  | 3317692 |
|  **Belgium – 2.0%** |  |  |
|  Ackermans & van Haaren NV | 621 | 187894 |
|  Ageas SA | 11632 | 845021 |
|  Cofinimmo SA | 3193 | 298733 |
|  Colruyt Group NV | 11206 | 468431 |
|  Elia Group SA<sup>\*</sup> | 1820 | 276385 |
|  Financiere de Tubize SA | 232 | 56670 |
|  Melexis NV | 2012 | 121823 |
|  Shurgard Self Storage Ltd. | 2604 | 74558 |
|  Solvay SA | 9059 | 276184 |
|  Syensqo SA | 2341 | 133462 |
|  Umicore SA | 6743 | 125707 |
|  Warehouses De Pauw CVA | 12905 | 331879 |
|  Total Belgium |  | 3196747 |
|  **Brazil – 0.1%** |  |  |
|  Yara International ASA | 3501 | 202708 |
|  **China – 0.2%** |  |  |
|  BOC Aviation Ltd.<sup>(a)</sup> | 29300 | 288695 |
|  **Denmark – 1.5%** |  |  |
|  AL Sydbank | 2154 | 170881 |
|  Alm Brand AS | 48386 | 117432 |
|  Carlsberg AS, Class B | 3425 | 424177 |
|  FLSmidth & Co. AS | 880 | 65565 |
|  H Lundbeck AS | 15902 | 97834 |
|  ISS AS | 3190 | 115394 |
|  Jyske Bank AS, Registered Shares | 1462 | 198265 |
|  Pandora AS | 1969 | 137746 |
|  Ringkjoebing Landbobank AS | 188 | 44613 |
|  Rockwool AS, Class B | 2851 | 77423 |
|  Royal Unibrew AS | 1504 | 121634 |
|  Tryg AS | 27592 | 655615 |
|  Vestas Wind Systems AS | 5751 | 168618 |
|  Total Denmark |  | 2395197 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;55

**Schedule of Investments (continued)**<br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  **Finland – 2.4%** |  |  |
|  Elisa OYJ | 7686 | $371235 |
|  Fortum OYJ<sup>(b)</sup> | 50067 | 1262196 |
|  Hiab OYJ, Class B | 1705 | 79444 |
|  Huhtamaki OYJ | 1032 | 33223 |
|  Kemira OYJ | 6887 | 149182 |
|  Konecranes OYJ | 7578 | 243955 |
|  Metso OYJ | 24540 | 416773 |
|  Neste OYJ | 9068 | 292026 |
|  Orion OYJ, Class B | 3425 | 275056 |
|  Valmet OYJ<sup>(b)</sup> | 8460 | 237549 |
|  Wartsila OYJ Abp | 12960 | 473510 |
|  Total Finland |  | 3834149 |
|  **France – 6.0%** |  |  |
|  Accor SA | 6998 | 327523 |
|  Aeroports de Paris SA | 2599 | 313232 |
|  Amundi SA<sup>(a)</sup> | 11550 | 976135 |
|  Ayvens SA<sup>(a)</sup> | 25088 | 289642 |
|  BioMerieux | 435 | 46011 |
|  Bouygues SA | 18554 | 1056283 |
|  Bureau Veritas SA | 12558 | 371862 |
|  Covivio SA | 5510 | 325367 |
|  Edenred SE | 12934 | 254237 |
|  Eiffage SA | 3774 | 570293 |
|  Elis SA | 5086 | 142283 |
|  Gaztransport & Technigaz SA | 2395 | 560734 |
|  Getlink SE | 21471 | 459401 |
|  Ipsen SA | 899 | 166147 |
|  JCDecaux SE | 7937 | 169000 |
|  Klepierre SA | 23338 | 871775 |
|  Nexans SA | 1328 | 175811 |
|  Rexel SA | 12201 | 467850 |
|  Rubis SCA | 9793 | 388829 |
|  SCOR SE | 8915 | 313908 |
|  Sopra Steria Group | 654 | 90198 |
|  SPIE SA | 5195 | 256426 |
|  Technip Energies NV | 5200 | 219167 |
|  Vallourec SACA | 20809 | 521481 |
|  Wendel SE | 2957 | 262173 |
|  Total France |  | 9595768 |
|  **Georgia – 0.3%** |  |  |
|  Lion Finance Group PLC | 2083 | 254908 |
|  TBC Bank Group PLC | 4027 | 216664 |
|  Total Georgia |  | 471572 |
|  **Germany – 3.8%** |  |  |
|  Aurubis AG | 773 | 133598 |
|  Bechtle AG | 2361 | 79325 |
|  Bilfinger SE | 1101 | 124320 |
|  Continental AG | 9209 | 632392 |
|  CTS Eventim AG & Co. KGaA | 1823 | 104309 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Deutsche Lufthansa AG, Registered Shares | 49429 | $409827 |
|  Deutsche Wohnen SE | 2799 | 61211 |
|  DWS Group GmbH & Co. KGaA<sup>(a)</sup> | 10440 | 653774 |
|  Fielmann Group AG | 2584 | 129661 |
|  Freenet AG | 7879 | 239846 |
|  Fresenius Medical Care AG | 8293 | 368544 |
|  GEA Group AG | 4324 | 304905 |
|  Hensoldt AG<sup>(b)</sup> | 682 | 59407 |
|  Hugo Boss AG | 2149 | 90946 |
|  KION Group AG | 2124 | 108806 |
|  Knorr-Bremse AG | 3465 | 387859 |
|  Krones AG | 662 | 87870 |
|  LEG Immobilien SE | 2810 | 181634 |
|  Nemetschek SE | 573 | 42055 |
|  RENK Group AG | 721 | 42069 |
|  Schaeffler AG | 36306 | 295123 |
|  Schott Pharma AG & Co. KGaA | 1529 | 23818 |
|  Scout24 SE<sup>(a)</sup> | 1153 | 87680 |
|  Sixt SE | 949 | 70253 |
|  Symrise AG | 2184 | 184301 |
|  thyssenkrupp AG | 6544 | 55841 |
|  Traton SE<sup>(b)</sup> | 30383 | 1078925 |
|  United Internet AG, Registered Shares | 2706 | 85803 |
|  Total Germany |  | 6124102 |
|  **Hong Kong – 6.5%** |  |  |
|  Bank of East Asia Ltd. | 119180 | 198679 |
|  Cathay Pacific Airways Ltd. | 586000 | 838616 |
|  CK Asset Holdings Ltd. | 161000 | 912995 |
|  CK Infrastructure Holdings Ltd. | 118000 | 941417 |
|  DFI Retail Group Holdings Ltd., Registered Shares | 47300 | 197714 |
|  Guotai Junan International Holdings Ltd.<sup>(b)</sup> | 130000 | 38468 |
|  Hang Lung Properties Ltd. | 278000 | 309551 |
|  HKT Trust & HKT Ltd. | 460000 | 716972 |
|  Hong Kong & China Gas Co. Ltd. | 863000 | 781523 |
|  Hongkong Land Holdings Ltd. | 80400 | 624708 |
|  Johnson Electric Holdings Ltd. | 22500 | 66867 |
|  Kerry Properties Ltd. | 86000 | 239565 |
|  PCCW Ltd. | 512000 | 378766 |
|  Power Assets Holdings Ltd. | 110500 | 860440 |
|  Swire Properties Ltd. | 260800 | 756434 |
|  United Laboratories International Holdings Ltd.<sup>(b)</sup> | 82000 | 100510 |
|  WH Group Ltd.<sup>(a)</sup> | 1421500 | 1860232 |
|  Wharf Real Estate Investment Co. Ltd. | 158000 | 455851 |
|  Total Hong Kong |  | 10279308 |
|  **Indonesia – 0.6%** |  |  |
|  First Pacific Co. Ltd. | 230000 | 160761 |
|  Jardine Matheson Holdings Ltd. | 10500 | 747075 |
|  Total Indonesia |  | 907836 |

---

*See Notes to Financial Statements.*

56&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  **Ireland – 2.1%** |  |  |
|  AIB Group PLC | 193536 | $2010274 |
|  Bank of Ireland Group PLC | 58997 | 1049215 |
|  Glanbia PLC | 7343 | 143407 |
|  Kerry Group PLC, Class A | 2454 | 193401 |
|  Total Ireland |  | 3396297 |
|  **Israel – 2.6%** |  |  |
|  Amot Investments Ltd. | 18552 | 112986 |
|  Azrieli Group Ltd. | 2906 | 385350 |
|  Bezeq The Israeli Telecommunication Corp. Ltd. | 139058 | 329864 |
|  Delek Group Ltd. | 1027 | 344512 |
|  First International Bank of Israel Ltd. | 4457 | 342021 |
|  Harel Insurance Investments & Financial Services Ltd. | 3870 | 213386 |
|  ICL Group Ltd. | 32642 | 167371 |
|  Israel Discount Bank Ltd., Class A | 37659 | 375457 |
|  Menora Mivtachim Holdings Ltd. | 2363 | 339539 |
|  Mizrahi Tefahot Bank Ltd. | 8991 | 648662 |
|  Newmed Energy LP<sup>(b)</sup> | 59796 | 340690 |
|  Phoenix Financial Ltd. | 8495 | 446610 |
|  Strauss Group Ltd. | 2592 | 113449 |
|  Total Israel |  | 4159897 |
|  **Italy – 6.6%** |  |  |
|  A2A SpA | 172292 | 481994 |
|  ACEA SpA | 10968 | 281812 |
|  Azimut Holding SpA | 8795 | 327822 |
|  Banca Generali SpA | 7671 | 449881 |
|  Banca Mediolanum SpA | 57275 | 1140346 |
|  Banca Popolare di Sondrio SpA | 34529 | 636947 |
|  Brembo NV | 10271 | 96035 |
|  Brunello Cucinelli SpA<sup>(b)</sup> | 729 | 62644 |
|  Coca-Cola HBC AG<sup>\*</sup> | 13033 | 729743 |
|  Credito Emiliano SpA | 26892 | 449902 |
|  De' Longhi SpA | 3991 | 137861 |
|  DiaSorin SpA<sup>(b)</sup> | 863 | 59641 |
|  ERG SpA | 6864 | 173675 |
|  FinecoBank Banca Fineco SpA | 32509 | 709246 |
|  Hera SpA | 61074 | 279508 |
|  Infrastrutture Wireless Italiane SpA<sup>(a)(b)</sup> | 44686 | 352945 |
|  Interpump Group SpA | 744 | 27774 |
|  Iren SpA | 90629 | 254583 |
|  Italgas SpA | 65714 | 759428 |
|  Lottomatica Group SpA | 4697 | 133998 |
|  Maire SpA | 6205 | 95087 |
|  Moncler SpA | 6679 | 395551 |
|  Pirelli & C SpA<sup>(a)</sup> | 54235 | 368938 |
|  PRADA SpA | 81200 | 382376 |
|  Recordati Industria Chimica & Farmaceutica SpA | 4559 | 257601 |
|  Reply SpA | 258 | 24004 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Saipem SpA | 135010 | $608856 |
|  SOL SpA | 1057 | 71733 |
|  Technogym SpA<sup>(a)</sup> | 4517 | 90246 |
|  Unipol Assicurazioni SpA | 28722 | 656740 |
|  Webuild SpA<sup>(b)</sup> | 22091 | 57575 |
|  Total Italy |  | 10554492 |
|  **Ivory Coast – 0.3%** |  |  |
|  Endeavour Mining PLC | 8562 | 503565 |
|  **Japan – 23.9%** |  |  |
|  77 Bank Ltd./The | 9900 | 190172 |
|  ABC-Mart, Inc. | 5134 | 81501 |
|  AGC, Inc. | 9100 | 314487 |
|  Air Water, Inc. | 12500 | 166926 |
|  Aisin Corp. | 25600 | 348864 |
|  Alsok Co. Ltd. | 12400 | 97429 |
|  Amada Co. Ltd. | 13100 | 177944 |
|  ANA Holdings, Inc. | 12500 | 220316 |
|  Asahi Intecc Co. Ltd. | 2200 | 46160 |
|  Asahi Kasei Corp. | 36520 | 346399 |
|  Asics Corp. | 7900 | 206376 |
|  Astellas Pharma, Inc. | 85000 | 1345873 |
|  Azbil Corp. | 12900 | 109791 |
|  BayCurrent, Inc. | 2000 | 57062 |
|  BIPROGY, Inc. | 2700 | 78408 |
|  Brother Industries Ltd. | 10800 | 194969 |
|  Canon Marketing Japan, Inc. | 8400 | 182161 |
|  Capcom Co. Ltd. | 5700 | 119955 |
|  Chiba Bank Ltd. | 23400 | 293585 |
|  Chubu Electric Power Co., Inc. | 20500 | 332711 |
|  Coca-Cola Bottlers Japan Holdings, Inc. | 5200 | 117669 |
|  COMSYS Holdings Corp. | 2400 | 75142 |
|  Cosmo Energy Holdings Co. Ltd. | 8600 | 239583 |
|  Cosmos Pharmaceutical Corp. | 600 | 25789 |
|  CyberAgent, Inc. | 7400 | 61702 |
|  Dai Nippon Printing Co. Ltd. | 5300 | 94197 |
|  Daifuku Co. Ltd. | 7000 | 238569 |
|  Daito Trust Construction Co. Ltd. | 25800 | 596470 |
|  Daiwa Securities Group, Inc. | 58400 | 535948 |
|  Ebara Corp. | 9100 | 243330 |
|  Eisai Co. Ltd. | 10500 | 321488 |
|  Electric Power Development Co. Ltd. | 8700 | 236845 |
|  ENEOS Holdings, Inc. | 79200 | 702191 |
|  Food & Life Cos. Ltd. | 700 | 40788 |
|  Fuji Electric Co. Ltd. | 2375 | 157945 |
|  Fukuoka Financial Group, Inc. | 6000 | 222252 |
|  Furukawa Electric Co. Ltd. | 1200 | 217122 |
|  GMO Payment Gateway, Inc. | 800 | 41255 |
|  Gunma Bank Ltd. | 18000 | 233358 |
|  Hachijuni Nagano Bank Ltd. | 21400 | 259210 |
|  Hankyu Hanshin Holdings, Inc. | 5000 | 143064 |
|  Haseko Corp. | 10700 | 194072 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;57

**Schedule of Investments (continued)**<br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Hirose Electric Co. Ltd. | 875 | $110936 |
|  Hitachi Construction Machinery Co. Ltd. | 8000 | 265057 |
|  Hokuhoku Financial Group, Inc. | 2600 | 95394 |
|  Horiba Ltd. | 800 | 89836 |
|  Hoshizaki Corp. | 2800 | 88916 |
|  Hulic Co. Ltd. | 28200 | 324294 |
|  Ibiden Co. Ltd. | 1600 | 74142 |
|  Idemitsu Kosan Co. Ltd. | 45630 | 442131 |
|  Iida Group Holdings Co. Ltd. | 11300 | 169901 |
|  Internet Initiative Japan, Inc. | 2700 | 41538 |
|  Isetan Mitsukoshi Holdings Ltd. | 8500 | 152459 |
|  Isuzu Motors Ltd. | 34400 | 480246 |
|  Iyogin Holdings, Inc. | 8900 | 158347 |
|  J Front Retailing Co. Ltd. | 6400 | 97112 |
|  Japan Airlines Co. Ltd. | 14200 | 228455 |
|  Japan Exchange Group, Inc. | 30100 | 341792 |
|  Japan Post Insurance Co. Ltd. | 25500 | 252451 |
|  Japan Steel Works Ltd. | 600 | 31571 |
|  JTEKT Corp. | 12100 | 124392 |
|  JX Advanced Metals Corp. | 10000 | 208184 |
|  Kajima Corp. | 12400 | 460411 |
|  Kakaku.com, Inc. | 4800 | 62561 |
|  Kamigumi Co. Ltd. | 5800 | 198765 |
|  Kandenko Co. Ltd. | 5500 | 202659 |
|  Kansai Electric Power Co., Inc. | 29695 | 482411 |
|  Kawasaki Heavy Industries Ltd. | 13500 | 245833 |
|  Keisei Electric Railway Co. Ltd. | 8500 | 62779 |
|  Kewpie Corp. | 2700 | 68412 |
|  Kikkoman Corp. | 2200 | 19844 |
|  Kirin Holdings Co. Ltd. | 26200 | 415834 |
|  Kobe Bussan Co. Ltd. | 1900 | 41251 |
|  Kobe Steel Ltd. | 21400 | 254233 |
|  Koei Tecmo Holdings Co. Ltd. | 5320 | 53789 |
|  Koito Manufacturing Co. Ltd. | 8400 | 128780 |
|  Kokusai Electric Corp. | 2800 | 88212 |
|  Kraftia Corp. | 1900 | 111631 |
|  Kuraray Co. Ltd. | 10700 | 110941 |
|  Kurita Water Industries Ltd. | 2300 | 105943 |
|  Kyoto Financial Group, Inc. | 5600 | 142948 |
|  Kyushu Electric Power Co., Inc. | 10800 | 122738 |
|  Kyushu Railway Co. | 5800 | 137189 |
|  Lasertec Corp. | 2100 | 440223 |
|  Lixil Corp. | 13800 | 140654 |
|  M3, Inc. | 6100 | 61560 |
|  Makita Corp. | 6300 | 201050 |
|  Marui Group Co. Ltd. | 8000 | 153473 |
|  Maruwa Co. Ltd. | 100 | 33189 |
|  MatsukiyoCocokara & Co. | 9000 | 142900 |
|  Mazda Motor Corp. | 24200 | 158048 |
|  McDonald's Holdings Co. Japan Ltd.<sup>(b)</sup> | 800 | 41536 |
|  Mebuki Financial Group, Inc. | 26500 | 198721 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Medipal Holdings Corp. | 3100 | $57249 |
|  Minebea Mitsumi, Inc. | 7500 | 119508 |
|  MISUMI Group, Inc. | 5500 | 90768 |
|  Mitsubishi Chemical Group Corp. | 41500 | 234512 |
|  Mitsubishi Gas Chemical Co., Inc. | 7900 | 178518 |
|  Mitsui Chemicals, Inc. | 17700 | 206773 |
|  Mitsui Kinzoku Co. Ltd. | 1100 | 193878 |
|  Modec, Inc. | 1300 | 119876 |
|  MonotaRO Co. Ltd. | 5800 | 62160 |
|  Nexon Co. Ltd. | 7300 | 134400 |
|  NGK Corp. | 6400 | 159990 |
|  NH Foods Ltd. | 2100 | 92797 |
|  NHK Spring Co. Ltd. | 5500 | 83802 |
|  Nikon Corp. | 8800 | 104434 |
|  Nippon Express Holdings, Inc. | 8000 | 178214 |
|  Nippon Paint Holdings Co. Ltd. | 35900 | 220288 |
|  Nippon Sanso Holdings Corp. | 4600 | 159984 |
|  Nissan Chemical Corp. | 6600 | 248708 |
|  Nisshin Seifun Group, Inc. | 4700 | 61907 |
|  Niterra Co. Ltd. | 8100 | 367960 |
|  Nitto Denko Corp. | 15900 | 306227 |
|  NOF Corp. | 4500 | 87714 |
|  Nomura Real Estate Holdings, Inc. | 36940 | 234634 |
|  NS Solutions Corp. | 4000 | 92074 |
|  Obayashi Corp. | 28800 | 679947 |
|  OBIC Business Consultants Co. Ltd. | 1000 | 39229 |
|  Obic Co. Ltd. | 7100 | 171910 |
|  Odakyu Electric Railway Co. Ltd. | 2300 | 23782 |
|  Oji Holdings Corp. | 36762 | 195791 |
|  Olympus Corp. | 13500 | 126311 |
|  Ono Pharmaceutical Co. Ltd. | 21100 | 332966 |
|  Open House Group Co. Ltd. | 4000 | 251556 |
|  Oracle Corp. | 1900 | 102793 |
|  Organo Corp. | 900 | 76994 |
|  Osaka Gas Co. Ltd. | 12300 | 493345 |
|  Otsuka Corp. | 14800 | 281041 |
|  Persol Holdings Co. Ltd. | 88300 | 128212 |
|  Resonac Holdings Corp. | 2900 | 178677 |
|  Rinnai Corp. | 4800 | 110398 |
|  Rohm Co. Ltd. | 8600 | 165037 |
|  Rohto Pharmaceutical Co. Ltd. | 4500 | 68098 |
|  Ryohin Keikaku Co. Ltd. | 6400 | 134123 |
|  Sankyo Co. Ltd. | 15000 | 182915 |
|  Sanrio Co. Ltd. | 14000 | 86170 |
|  Santen Pharmaceutical Co. Ltd. | 8600 | 96520 |
|  Sanwa Holdings Corp. | 7700 | 171192 |
|  Sapporo Holdings Ltd. | 2900 | 31198 |
|  SBI Holdings, Inc. | 24200 | 433376 |
|  SCREEN Holdings Co. Ltd. | 6200 | 348407 |
|  Secom Co. Ltd. | 8700 | 330085 |
|  Sega Sammy Holdings, Inc. | 4400 | 67027 |

---

*See Notes to Financial Statements.*

58&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Seibu Holdings, Inc. | 3600 | $98910 |
|  Sekisui Chemical Co. Ltd. | 13400 | 219543 |
|  SG Holdings Co. Ltd. | 17700 | 164495 |
|  Shimadzu Corp. | 5700 | 132172 |
|  Shimizu Corp. | 20100 | 350288 |
|  Shionogi & Co. Ltd. | 22600 | 492799 |
|  Shizuoka Financial Group, Inc. | 27600 | 444560 |
|  Skylark Holdings Co. Ltd.<sup>(b)</sup> | 1400 | 29964 |
|  Socionext, Inc. | 3100 | 36419 |
|  Sojitz Corp. | 9780 | 376532 |
|  Square Enix Holdings Co. Ltd. | 5500 | 86567 |
|  Subaru Corp. | 28600 | 446465 |
|  Sugi Holdings Co. Ltd. | 2600 | 56808 |
|  SUMCO Corp. | 3600 | 37552 |
|  Sumitomo Bakelite Co. Ltd. | 2400 | 72834 |
|  Sumitomo Chemical Co. Ltd. | 42700 | 134067 |
|  Sumitomo Forestry Co. Ltd. | 20000 | 176504 |
|  Sumitomo Rubber Industries Ltd. | 9600 | 121984 |
|  Sundrug Co. Ltd. | 3800 | 93394 |
|  Suntory Beverage & Food Ltd. | 9100 | 256658 |
|  T&D Holdings, Inc. | 13551 | 336965 |
|  Taisei Corp. | 5100 | 514680 |
|  Taiyo Holdings Co. Ltd. | 6000 | 187969 |
|  Takasago Thermal Engineering Co. Ltd. | 4100 | 110586 |
|  Takashimaya Co. Ltd. | 4200 | 49566 |
|  THK Co. Ltd. | 7200 | 206962 |
|  TIS, Inc. | 3700 | 78168 |
|  Tobu Railway Co. Ltd. | 2600 | 46586 |
|  Toei Animation Co. Ltd. | 1800 | 29361 |
|  Toho Co. Ltd. | 13000 | 136218 |
|  Tohoku Electric Power Co., Inc. | 19200 | 141203 |
|  Tokyo Gas Co. Ltd. | 7400 | 344998 |
|  Tokyo Metro Co. Ltd. | 15500 | 157689 |
|  Tokyo Ohka Kogyo Co. Ltd. | 2400 | 111213 |
|  Tokyo Tatemono Co. Ltd. | 7800 | 175866 |
|  Tokyu Corp. | 9400 | 109989 |
|  Tokyu Fudosan Holdings Corp. | 33600 | 279842 |
|  Toray Industries, Inc. | 31100 | 215133 |
|  Tosoh Corp. | 14400 | 209406 |
|  TOTO Ltd. | 4800 | 153573 |
|  Toyo Seikan Group Holdings Ltd. | 7200 | 160075 |
|  Toyo Suisan Kaisha Ltd. | 3100 | 214344 |
|  Toyo Tire Corp. | 6300 | 142323 |
|  Toyoda Gosei Co. Ltd. | 3500 | 88176 |
|  Trend Micro, Inc. | 3230 | 106388 |
|  Tsuruha Holdings, Inc. | 10940 | 170574 |
|  Unicharm Corp. | 34900 | 204126 |
|  USS Co. Ltd. | 18200 | 189447 |
|  West Japan Railway Co. | 13800 | 271333 |
|  Workman Co. Ltd. | 1400 | 54912 |
|  Yamada Holdings Co. Ltd. | 26600 | 87630 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Yamato Holdings Co. Ltd. | 7300 | $80048 |
|  Yamazaki Baking Co. Ltd. | 3300 | 73555 |
|  Yokogawa Electric Corp. | 4800 | 143134 |
|  Yokohama Financial Group, Inc. | 30800 | 266008 |
|  Yokohama Rubber Co. Ltd. | 4700 | 171970 |
|  Zensho Holdings Co. Ltd. | 1100 | 63460 |
|  ZOZO, Inc. | 23900 | 166004 |
|  Total Japan |  | 37956220 |
|  **Luxembourg – 0.6%** |  |  |
|  CVC Capital Partners PLC<sup>(a)(b)</sup> | 29564 | 379810 |
|  Eurofins Scientific SE | 1815 | 131037 |
|  RTL Group SA<sup>(b)</sup> | 9009 | 378357 |
|  Total Luxembourg |  | 889204 |
|  **Macau – 0.1%** |  |  |
|  Wynn Macau Ltd. | 290400 | 202238 |
|  **Netherlands – 3.6%** |  |  |
|  Akzo Nobel NV | 5266 | 298520 |
|  Arcadis NV | 1708 | 53962 |
|  ASR Nederland NV | 11519 | 785448 |
|  BE Semiconductor Industries NV | 1334 | 275052 |
|  CTP NV<sup>(a)</sup> | 13566 | 225083 |
|  Euronext NV<sup>(a)</sup> | 2871 | 458153 |
|  Heineken Holding NV | 9157 | 647285 |
|  Koninklijke KPN NV | 239549 | 1325668 |
|  Koninklijke Vopak NV | 5213 | 281701 |
|  NN Group NV | 13846 | 1069832 |
|  SBM Offshore NV | 6027 | 240412 |
|  Total Netherlands |  | 5661116 |
|  **Nigeria – 0.3%** |  |  |
|  Airtel Africa PLC<sup>(a)</sup> | 101683 | **462072** |
|  **Norway – 3.2%** |  |  |
|  Aker ASA, Class A | 5686 | 624582 |
|  Frontline PLC | 10331 | 360489 |
|  Gjensidige Forsikring ASA | 21998 | 569092 |
|  Mowi ASA | 14579 | 328669 |
|  Norsk Hydro ASA | 62705 | 659819 |
|  Orkla ASA | 36006 | 449846 |
|  Protector Forsikring ASA | 1519 | 72824 |
|  Salmar ASA | 4980 | 288853 |
|  SpareBank 1 Sor-Norge ASA | 22712 | 490802 |
|  Storebrand ASA | 18409 | 329402 |
|  TOMRA Systems ASA | 4269 | 50618 |
|  Wallenius Wilhelmsen ASA | 75935 | 949484 |
|  Total Norway |  | 5174480 |
|  **Portugal – 1.1%** |  |  |
|  Banco Comercial Portugues SA, Class R | 781783 | 749441 |
|  Galp Energia SGPS SA | 26696 | 646249 |
|  Jeronimo Martins SGPS SA | 18539 | 439175 |
|  Total Portugal |  | 1834865 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;59

**Schedule of Investments (continued)**<br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  **Singapore – 1.7%** |  |  |
|  City Developments Ltd. | 13100 | $83363 |
|  Keppel Ltd. | 67700 | 617625 |
|  SATS Ltd. | 14900 | 40653 |
|  Sembcorp Industries Ltd. | 64900 | 333517 |
|  Singapore Airlines Ltd. | 168800 | 863527 |
|  Singapore Exchange Ltd. | 34900 | 528038 |
|  UOL Group Ltd. | 24000 | 180816 |
|  Total Singapore |  | 2647539 |
|  **Spain – 3.3%** |  |  |
|  Acciona SA | 1989 | 510596 |
|  Bankinter SA | 44672 | 688426 |
|  CIE Automotive SA | 5422 | 167738 |
|  Colonial SFL Socimi SA<sup>(b)</sup> | 10510 | 61577 |
|  Corp. ACCIONA Energias Renovables SA | 5030 | 122171 |
|  Ebro Foods SA | 6780 | 146864 |
|  EDP Renovaveis SA | 5786 | 91266 |
|  Enagas SA | 17056 | 336834 |
|  Fluidra SA | 4280 | 97494 |
|  Fomento de Construcciones y Contratas SA | 18744 | 227199 |
|  Grifols SA<sup>(b)</sup> | 5001 | 51606 |
|  Indra Sistemas SA<sup>(b)</sup> | 2373 | 129162 |
|  Laboratorios Farmaceuticos Rovi SA | 1225 | 113974 |
|  Logista Integral SA | 10075 | 374487 |
|  Mapfre SA | 200746 | 882176 |
|  Merlin Properties Socimi SA | 23145 | 371214 |
|  Puig Brands SA, Class B | 4833 | 94053 |
|  Sacyr SA | 22188 | 107424 |
|  Unicaja Banco SA<sup>(a)</sup> | 196401 | 570712 |
|  Vidrala SA | 739 | 65308 |
|  Viscofan SA | 1304 | 90449 |
|  Total Spain |  | 5300730 |
|  **Sweden – 4.0%** |  |  |
|  AAK AB | 4530 | 115268 |
|  AddTech AB, Class B | 3347 | 111587 |
|  Alfa Laval AB | 6181 | 329480 |
|  Avanza Bank Holding AB | 6471 | 245017 |
|  Axfood AB | 8352 | 282046 |
|  Beijer Ref AB | 4304 | 58192 |
|  Essity AB, Class B | 19611 | 500041 |
|  Evolution AB<sup>(a)</sup> | 8749 | 537453 |
|  Getinge AB, Class B | 5031 | 99577 |
|  Indutrade AB | 824 | 18545 |
|  L E Lundbergforetagen AB, Class B | 1159 | 64725 |
|  Lagercrantz Group AB, Class B | 557 | 11630 |
|  Lifco AB, Class B | 3903 | 115456 |
|  Mycronic AB | 2640 | 60414 |
|  Nordnet AB publ | 8758 | 280403 |
|  Sagax AB, Class B | 6045 | 110414 |
|  Sectra AB, Class B | 894 | 21228 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Securitas AB, Class B | 16539 | $273965 |
|  Skanska AB, Class B | 10806 | 286534 |
|  SKF AB, Class B | 13439 | 316287 |
|  SSAB AB, Class B | 19857 | 153124 |
|  SSAB AB, Class A | 27244 | 210659 |
|  Sweco AB, Class B | 7678 | 106954 |
|  Tele2 AB, Class B | 39574 | 808408 |
|  Telia Co. AB | 206868 | 1047559 |
|  Trelleborg AB, Class B | 4076 | 149241 |
|  Total Sweden |  | 6314207 |
|  **Switzerland – 4.6%** |  |  |
|  Accelleron Industries AG | 2359 | 209170 |
|  Allreal Holding AG, Registered Shares | 393 | 110043 |
|  Avolta AG<sup>\*</sup> | 2863 | 168385 |
|  Bachem Holding AG<sup>(b)</sup> | 1091 | 88048 |
|  Banque Cantonale Vaudoise, Registered Shares | 3889 | 624331 |
|  Belimo Holding AG, Registered Shares | 194 | 153428 |
|  BKW AG | 983 | 191083 |
|  Bucher Industries AG, Registered Shares | 189 | 81734 |
|  Cembra Money Bank AG | 1650 | 202361 |
|  DKSH Holding AG | 2379 | 171419 |
|  EFG International AG<sup>\*</sup> | 13579 | 284237 |
|  Flughafen Zurich AG, Registered Shares | 842 | 259867 |
|  Galenica AG<sup>(a)</sup> | 1300 | 146979 |
|  Georg Fischer AG, Registered Shares | 2359 | 118603 |
|  Helvetia Baloise Holding AG, Registered Shares | 3722 | 951402 |
|  Huber & Suhner AG, Registered Shares | 386 | 84353 |
|  Julius Baer Group Ltd. | 8478 | 613628 |
|  Logitech International SA, Registered Shares | 3539 | 318688 |
|  PSP Swiss Property AG, Registered Shares | 1704 | 336114 |
|  SFS Group AG | 1203 | 176659 |
|  Sonova Holding AG, Registered Shares | 1129 | 251498 |
|  Straumann Holding AG, Registered Shares | 1682 | 171643 |
|  Sulzer AG, Registered Shares | 1306 | 267522 |
|  Sunrise Communications AG, Class A<sup>\*</sup> | 4043 | 238087 |
|  Swiss Prime Site AG, Registered Shares | 2482 | 416987 |
|  Swissquote Group Holding SA, Registered Shares | 250 | 120963 |
|  Temenos AG, Registered Shares | 1231 | 105475 |
|  VAT Group AG<sup>(a)</sup> | 484 | 291406 |
|  Vontobel Holding AG, Registered Shares | 2393 | 204591 |
|  Total Switzerland |  | 7358704 |
|  **United Kingdom – 7.4%** |  |  |
|  Admiral Group PLC | 28963 | 1203095 |
|  Allfunds Group PLC | 10259 | 100769 |
|  Autotrader Group PLC<sup>(a)</sup> | 14961 | 92628 |
|  B&M European Value Retail PLC | 123715 | 274896 |
|  Babcock International Group PLC | 4606 | 70336 |

---

*See Notes to Financial Statements.*

60&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Balfour Beatty PLC | 14258 | $142143 |
|  Beazley PLC | 14896 | 248685 |
|  Bridgepoint Group PLC<sup>(a)</sup> | 17050 | 51668 |
|  Bunzl PLC | 9214 | 274115 |
|  Centrica PLC | 134525 | 376971 |
|  Computacenter PLC | 2320 | 91475 |
|  Convatec Group PLC<sup>(a)</sup> | 43611 | 123876 |
|  Cranswick PLC | 1042 | 71865 |
|  Diploma PLC | 2604 | 204832 |
|  Drax Group PLC | 15813 | 184650 |
|  easyJet PLC | 19614 | 89777 |
|  Entain PLC | 14530 | 107491 |
|  Games Workshop Group PLC | 1440 | 336110 |
|  Halma PLC | 2753 | 138027 |
|  Hiscox Ltd. | 9697 | 193218 |
|  Howden Joinery Group PLC | 11333 | 118213 |
|  IMI PLC | 5499 | 183464 |
|  Inchcape PLC | 8835 | 87380 |
|  Informa PLC | 27592 | 271946 |
|  Intertek Group PLC | 4687 | 225473 |
|  Investec PLC | 35427 | 268159 |
|  ITV PLC | 231304 | 228918 |
|  J Sainsbury PLC | 93128 | 416319 |
|  JD Sports Fashion PLC | 50536 | 47089 |
|  JET2 PLC | 2511 | 36821 |
|  Johnson Matthey PLC | 8311 | 207906 |
|  Kingfisher PLC | 61881 | 231588 |
|  LondonMetric Property PLC | 156968 | 375693 |
|  Marks & Spencer Group PLC | 17161 | 76762 |
|  Melrose Industries PLC | 11516 | 76356 |
|  Pearson PLC | 13664 | 178313 |
|  QinetiQ Group PLC | 8948 | 53571 |
|  Renishaw PLC | 1441 | 67079 |
|  Rentokil Initial PLC | 51142 | 314949 |
|  Rightmove PLC | 9374 | 53018 |
|  Rotork PLC | 16945 | 69852 |
|  RS Group PLC | 18939 | 139859 |
|  Sage Group PLC | 15464 | 170847 |
|  Schroders PLC | 72657 | 550444 |
|  Serco Group PLC | 17079 | 64188 |
|  Severn Trent PLC | 10768 | 438772 |
|  Smith & Nephew PLC | 17321 | 270668 |
|  Smiths Group PLC | 10977 | 330038 |
|  Softcat PLC | 4053 | 64938 |
|  Spirax Group PLC | 1347 | 118567 |
|  St. James's Place PLC | 8699 | 134961 |
|  Subsea 7 SA | 19855 | 612306 |
|  United Utilities Group PLC | 26419 | 458129 |
|  Weir Group PLC | 6645 | 245182 |
|  Whitbread PLC | 4710 | 142606 |
|  Total United Kingdom |  | 11707001 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  **United States – 1.9%** |  |  |
|  Acerinox SA | 10631 | $146498 |
|  Aegon Ltd. | 81436 | 584377 |
|  Buzzi SpA | 3885 | 192839 |
|  InterContinental Hotels Group PLC | 3034 | 395634 |
|  QIAGEN NV | 1299 | 52003 |
|  Signify NV<sup>(a)</sup> | 7899 | 164368 |
|  Tenaris SA | 49331 | 1449399 |
|  Total United States |  | 2985118 |
|  **TOTAL COMMON STOCKS**<br> (Cost: $118,342,631) |  | 157616178 |
|  **MUTUAL FUND – 0.1%** |  |  |
|  **United States – 0.1%** |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $91,190) | 91190 | 91190 |
|  **INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.3%** | **INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.3%** | **INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 2.3%** |
|  **United States – 2.3%** |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup><br> (Cost: $3,587,545) | 3587545 | 3587545 |
|  **TOTAL INVESTMENTS IN SECURITIES – 101.4%** <br> (Cost: $122,021,366) | **TOTAL INVESTMENTS IN SECURITIES – 101.4%** <br> (Cost: $122,021,366) | **161294913** |
|  Other Liabilities less Assets – (1.4)% |  | (2202540) |
|  NET ASSETS – 100.0% |  | $159092373 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(b)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $4,089,457 and the total market value of the collateral held by the Fund was $4,217,691. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $630,146.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<u> ABBREVIATIONS:</u> <br> <u> CVA </u> <u> Certificaten van Aandelen (Certificate of Stock) </u>

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;61

**Schedule of Investments (concluded)**<br> WisdomTree International MidCap Dividend Fund *(DIM)*<br> March 31, 2026<br>

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | &nbsp;&nbsp; Total |
|  **Assets:** |  |  |  |  |
|  **Investments in Securities** |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $157616178 | $— | $—  | $157616178 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 91190 |  | 91190 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 3587545 |  | 3587545 |
|  Total Investments in Securities | $157616178 | $3678735 | $—  | $161294913 |

---

*See Notes to Financial Statements.*

62&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree International Multifactor Fund *(DWMF)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.7% |  |  |
|  Australia – 7.6% |  |  |
|  ASX Ltd. | 9476 | $339433 |
|  BHP Group Ltd. | 3546 | 122380 |
|  Brambles Ltd. | 7811 | 120904 |
|  Coles Group Ltd. | 7754 | 116623 |
|  Computershare Ltd. | 4892 | 95122 |
|  CSL Ltd. | 776 | 74822 |
|  Evolution Mining Ltd. | 6253 | 54047 |
|  Fortescue Ltd. | 8238 | 114593 |
|  Lottery Corp. Ltd. | 40519 | 149303 |
|  Origin Energy Ltd. | 23046 | 195409 |
|  QBE Insurance Group Ltd. | 21967 | 319410 |
|  Rio Tinto PLC | 2219 | 203195 |
|  Sigma Healthcare Ltd. | 71787 | 130292 |
|  Suncorp Group Ltd. | 35897 | 397062 |
|  Telstra Group Ltd. | 52982 | 193412 |
|  Transurban Group | 17201 | 165051 |
|  Total Australia |  | 2791058 |
|  Brazil – 0.6% |  |  |
|  Yara International ASA | 3700 | 214230 |
|  China – 1.4% |  |  |
|  BOC Hong Kong Holdings Ltd. | 65500 | 357567 |
|  SITC International Holdings Co. Ltd. | 14000 | 60856 |
|  Wilmar International Ltd. | 31500 | 94001 |
|  Total China |  | 512424 |
|  Denmark – 0.5% |  |  |
|  Tryg AS | 8452 | 200828 |
|  Finland – 2.1% |  |  |
|  Elisa OYJ | 2744 | 132536 |
|  Kone OYJ, Class B | 2196 | 138606 |
|  Sampo OYJ, Class A | 21713 | 230213 |
|  Wartsila OYJ Abp | 6890 | 251735 |
|  Total Finland |  | 753090 |
|  France – 7.6% |  |  |
|  BioMerieux | 1955 | 206784 |
|  Bouygues SA | 3734 | 212577 |
|  Carrefour SA | 10106 | 185200 |
|  Credit Agricole SA | 20469 | 375699 |
|  Danone SA | 1896 | 150823 |
|  Eiffage SA | 1192 | 180124 |
|  Engie SA | 7204 | 230006 |
|  Ipsen SA | 1082 | 199968 |
|  Klepierre SA | 6355 | 237387 |
|  Orange SA | 11123 | 226521 |
|  Sodexo SA | 3238 | 164529 |
|  Unibail-Rodamco-Westfield<sup>\*</sup> | 1960 | 214314 |
|  Vinci SA | 1319 | 195060 |
|  Total France |  | 2778992 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Germany – 7.1% |  |  |
|  Bayer AG, Registered Shares | 1940 | $88036 |
|  Continental AG | 1648 | 113170 |
|  Deutsche Lufthansa AG, Registered Shares | 9248 | 76677 |
|  Deutsche Post AG, Registered Shares | 2025 | 104411 |
|  Deutsche Telekom AG, Registered Shares | 4589 | 168934 |
|  E.ON SE | 9264 | 202379 |
|  Fresenius Medical Care AG | 4811 | 213802 |
|  GEA Group AG | 2351 | 165780 |
|  LEG Immobilien SE | 7022 | 453891 |
|  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares | 594 | 369169 |
|  Symrise AG | 2009 | 169534 |
|  Talanx AG | 2898 | 352606 |
|  Vonovia SE | 4891 | 121499 |
|  Total Germany |  | 2599888 |
|  Hong Kong – 3.5% |  |  |
|  CK Asset Holdings Ltd. | 21500 | 121922 |
|  CLP Holdings Ltd. | 20000 | 187495 |
|  Hong Kong & China Gas Co. Ltd. | 169000 | 153045 |
|  MTR Corp. Ltd.<sup>(a)</sup> | 36500 | 148883 |
|  Power Assets Holdings Ltd. | 20500 | 159629 |
|  Sun Hung Kai Properties Ltd. | 14500 | 238948 |
|  Swire Pacific Ltd., Class A | 12000 | 130634 |
|  Techtronic Industries Co. Ltd. | 3000 | 39068 |
|  WH Group Ltd.<sup>(b)</sup> | 75000 | 98148 |
|  Total Hong Kong |  | 1277772 |
|  Indonesia – 0.2% |  |  |
|  Jardine Matheson Holdings Ltd. | 1100 | 78265 |
|  Ireland – 1.5% |  |  |
|  AerCap Holdings NV | 1845 | 253097 |
|  AIB Group PLC | 27841 | 289187 |
|  Total Ireland |  | 542284 |
|  Israel – 1.6% |  |  |
|  Bank Leumi Le-Israel BM | 14912 | 329599 |
|  Teva Pharmaceutical Industries Ltd., ADR<sup>\*</sup> | 4372 | 131684 |
|  Wix.com Ltd.<sup>\*</sup> | 1269 | 114299 |
|  Total Israel |  | 575582 |
|  Italy – 2.9% |  |  |
|  Banca Mediolanum SpA | 5362 | 106758 |
|  Coca-Cola HBC AG<sup>\*</sup> | 3317 | 185725 |
|  Enel SpA | 10260 | 110827 |
|  Generali | 1381 | 54912 |
|  Poste Italiane SpA<sup>(a)(b)</sup> | 5565 | 129138 |
|  Ryanair Holdings PLC | 3477 | 95628 |
|  Snam SpA | 24016 | 181357 |
|  Terna – Rete Elettrica Nazionale | 18352 | 208576 |
|  Total Italy |  | 1072921 |
|  Ivory Coast – 0.4% |  |  |
|  Endeavour Mining PLC | 2198 | 129273 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;63

**Schedule of Investments (continued)**<br> WisdomTree International Multifactor Fund *(DWMF)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Japan – 22.3% |  |  |
|  AGC, Inc. | 5200 | $179707 |
|  ANA Holdings, Inc. | 10000 | 176252 |
|  Asahi Group Holdings Ltd. | 12600 | 125533 |
|  Asahi Kasei Corp. | 17000 | 161248 |
|  Astellas Pharma, Inc. | 15100 | 239090 |
|  Bridgestone Corp. | 7700 | 158124 |
|  Central Japan Railway Co. | 5600 | 143758 |
|  Dai Nippon Printing Co. Ltd. | 7500 | 133297 |
|  Daito Trust Construction Co. Ltd. | 8000 | 184952 |
|  Daiwa House Industry Co. Ltd. | 6300 | 194754 |
|  East Japan Railway Co. | 7000 | 159501 |
|  Fujitsu Ltd. | 6300 | 125612 |
|  Hulic Co. Ltd. | 14900 | 171347 |
|  Inpex Corp. | 4200 | 123500 |
|  Japan Airlines Co. Ltd. | 11100 | 178581 |
|  Kajima Corp. | 4800 | 178224 |
|  Kansai Electric Power Co., Inc. | 9300 | 151083 |
|  Kao Corp. | 3800 | 147567 |
|  KDDI Corp. | 10600 | 181464 |
|  Kioxia Holdings Corp.<sup>\*</sup> | 900 | 107939 |
|  Kirin Holdings Co. Ltd. | 13700 | 217440 |
|  Kyowa Kirin Co. Ltd. | 11400 | 184733 |
|  Lasertec Corp. | 500 | 104815 |
|  MatsukiyoCocokara & Co. | 6000 | 95267 |
|  Mitsui Fudosan Co. Ltd. | 10900 | 113426 |
|  MS&AD Insurance Group Holdings, Inc. | 13000 | 329474 |
|  NTT, Inc. | 208000 | 205529 |
|  Obayashi Corp. | 8300 | 195957 |
|  Osaka Gas Co. Ltd. | 4400 | 176481 |
|  Otsuka Corp. | 9900 | 187994 |
|  Otsuka Holdings Co. Ltd. | 2100 | 145333 |
|  Pan Pacific International Holdings Corp. | 29400 | 178924 |
|  Ryohin Keikaku Co. Ltd. | 3500 | 73348 |
|  SBI Holdings, Inc. | 15200 | 272203 |
|  Secom Co. Ltd. | 5200 | 197292 |
|  Seibu Holdings, Inc. | 4300 | 118143 |
|  SG Holdings Co. Ltd. | 16500 | 153342 |
|  Shionogi & Co. Ltd. | 7300 | 159178 |
|  SoftBank Corp. | 157500 | 208990 |
|  Sumitomo Realty & Development Co. Ltd. | 3700 | 102146 |
|  Suntory Beverage & Food Ltd. | 4700 | 132560 |
|  Suzuki Motor Corp. | 8800 | 103743 |
|  Taisei Corp. | 1600 | 161468 |
|  TIS, Inc. | 7700 | 162673 |
|  Toho Co. Ltd. | 11200 | 117357 |
|  Tokyo Gas Co. Ltd. | 3200 | 149189 |
|  Tokyu Corp. | 18000 | 210617 |
|  Trend Micro, Inc. | 4200 | 138337 |
|  Tsuruha Holdings, Inc. | 7700 | 120057 |
|  West Japan Railway Co. | 10000 | 196618 |
|  Total Japan |  | 8134167 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Mexico – 0.3% |  |  |
|  Fresnillo PLC | 2344 | $102128 |
|  Netherlands – 3.9% |  |  |
|  Euronext NV<sup>(b)</sup> | 2523 | 402620 |
|  Heineken Holding NV | 3206 | 226624 |
|  Koninklijke Ahold Delhaize NV | 5897 | 273751 |
|  Koninklijke KPN NV | 58654 | 324592 |
|  Wolters Kluwer NV | 2770 | 206241 |
|  Total Netherlands |  | 1433828 |
|  New Zealand – 0.5% |  |  |
|  Contact Energy Ltd. | 31561 | 166537 |
|  Norway – 2.3% |  |  |
|  DNB Bank ASA | 11807 | 365084 |
|  Equinor ASA | 3918 | 169093 |
|  Orkla ASA | 11161 | 139442 |
|  Telenor ASA | 9112 | 159304 |
|  Total Norway |  | 832923 |
|  Portugal – 0.3% |  |  |
|  Jeronimo Martins SGPS SA | 4513 | 106909 |
|  Russia – 0.0% |  |  |
|  Evraz PLC<sup>\*^</sup> | 17300 | 0 |
|  Singapore – 2.4% |  |  |
|  Sea Ltd., ADR<sup>\*</sup> | 5305 | 439307 |
|  Singapore Airlines Ltd. | 19900 | 101802 |
|  Singapore Exchange Ltd. | 13900 | 210307 |
|  Singapore Technologies Engineering Ltd. | 7400 | 62004 |
|  Singapore Telecommunications Ltd. | 21400 | 81941 |
|  Total Singapore |  | 895361 |
|  Spain – 5.1% |  |  |
|  ACS Actividades de Construccion y Servicios SA | 935 | 112902 |
|  Aena SME SA<sup>(b)</sup> | 7336 | 215709 |
|  Banco Bilbao Vizcaya Argentaria SA | 14097 | 296427 |
|  Endesa SA | 4100 | 170442 |
|  Iberdrola SA | 10054 | 228730 |
|  Mapfre SA | 81740 | 359206 |
|  Naturgy Energy Group SA | 7167 | 213877 |
|  Repsol SA | 8754 | 248629 |
|  Total Spain |  | 1845922 |
|  Sweden – 2.7% |  |  |
|  Essity AB, Class B | 3998 | 101941 |
|  H & M Hennes & Mauritz AB, Class B<sup>(a)</sup> | 5584 | 102667 |
|  L E Lundbergforetagen AB, Class B | 1965 | 109737 |
|  Securitas AB, Class B | 11097 | 183819 |
|  Swedish Orphan Biovitrum AB<sup>\*</sup> | 927 | 38165 |
|  Tele2 AB, Class B | 5753 | 117521 |
|  Telefonaktiebolaget LM Ericsson, Class B | 7350 | 82016 |
|  Telia Co. AB | 48919 | 247721 |
|  Total Sweden |  | 983587 |

---

*See Notes to Financial Statements.*

64&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Multifactor Fund *(DWMF)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Switzerland – 4.6% |  |  |
|  Avolta AG<sup>\*</sup> | 3306 | $194439 |
|  Chocoladefabriken Lindt & Spruengli AG | 13 | 181681 |
|  Geberit AG, Registered Shares | 285 | 188901 |
|  Schindler Holding AG, Participation Certificate | 630 | 204159 |
|  Swiss Prime Site AG, Registered Shares | 1265 | 212526 |
|  Swisscom AG, Registered Shares | 290 | 240719 |
|  Zurich Insurance Group AG | 649 | 453424 |
|  Total Switzerland |  | 1675849 |
|  United Kingdom – 12.9% |  |  |
|  Admiral Group PLC | 11228 | 466400 |
|  Associated British Foods PLC | 3918 | 96952 |
|  AstraZeneca PLC | 878 | 170083 |
|  Autotrader Group PLC<sup>(b)</sup> | 27200 | 168403 |
|  British American Tobacco PLC | 3055 | 176091 |
|  BT Group PLC | 64664 | 179498 |
|  Bunzl PLC | 4727 | 140628 |
|  Centrica PLC | 81883 | 229456 |
|  CK Hutchison Holdings Ltd. | 7000 | 53213 |
|  Coca-Cola Europacific Partners PLC | 2371 | 214979 |
|  Compass Group PLC | 6690 | 183941 |
|  Imperial Brands PLC | 4762 | 191969 |
|  Informa PLC | 16366 | 161303 |
|  Intertek Group PLC | 3529 | 169767 |
|  J Sainsbury PLC | 36595 | 163594 |
|  Kingfisher PLC | 33879 | 126791 |
|  Next PLC | 1090 | 182188 |
|  Pearson PLC | 15033 | 196178 |
|  Reckitt Benckiser Group PLC | 3198 | 214571 |
|  Sage Group PLC | 18960 | 209471 |
|  Smith & Nephew PLC | 9966 | 155735 |
|  Smiths Group PLC | 5932 | 178354 |
|  Tesco PLC | 25612 | 159787 |
|  Unilever PLC | 2268 | 125584 |
|  United Utilities Group PLC | 12694 | 220125 |
|  Vodafone Group PLC | 125768 | 187908 |
|  Total United Kingdom |  | 4722969 |
|  United States – 4.4% |  |  |
|  GSK PLC | 7418 | 201903 |
|  Haleon PLC | 35060 | 172821 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 2200 | 177741 |
|  Monday.com Ltd.<sup>\*</sup> | 1368 | 94543 |
|  Novartis AG, Registered Shares | 1494 | 224709 |
|  QIAGEN NV | 3452 | 138195 |
|  Roche Holding AG | 470 | 184069 |
|  Sanofi SA | 1979 | 188618 |
|  Shell PLC | 5130 | 242387 |
|  Total United States |  | 1624986 |
|  TOTAL COMMON STOCKS<br> (Cost: $33,114,650) |  | 36051773 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  PREFERRED STOCKS – 0.4% |  |  |
|  Germany – 0.4% |  |  |
|  Henkel AG & Co. KGaA, 3.01%<br> (Cost: $151,924) | 1788 | $136587 |
|  MUTUAL FUND – 0.0% |  |  |
|  United States – 0.0% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $13,930) | 13930 | 13930 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.5% |
|  United States – 0.5% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup><br> (Cost: $184,958) | 184958 | 184958 |
|  TOTAL INVESTMENTS IN SECURITIES – 99.6% <br> (Cost: $33,465,462) |  | 36387248 |
|  Other Assets less Liabilities – 0.4% |  | 136680 |
|  NET ASSETS – 100.0% |  | $36523928 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $0, which represents 0.0% of net assets.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $329,180 and the total market value of the collateral held by the Fund was $341,412. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $156,454.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

---

| | |
|:---|:---|
| CURRENCY ABBREVIATIONS: | CURRENCY ABBREVIATIONS: |
|  AUD | Australian dollar |
|  CHF | Swiss franc |
|  DKK | Danish krone |
|  EUR | Euro |
|  GBP | British pound |
|  HKD | Hong Kong dollar |
|  ILS | Israel shekel |
|  JPY | Japanese yen |
|  NOK | Norwegian krone |
|  NZD | New Zealand dollar |
|  SEK | Swedish krona |
|  SGD | Singapore dollar |
|  USD | United States dollar |

---

<u> OTHER ABBREVIATIONS:</u> <br> <u> ADR </u>   <u> American Depositary Receipt </u>

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;65

**Schedule of Investments (continued)**<br> WisdomTree International Multifactor Fund *(DWMF)*<br> March 31, 2026<br>

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Barclays Bank PLC | 4/3/2026 | 261503 | USD | 41255210 | JPY | $2161 | $— |
|  Barclays Bank PLC | 4/6/2026 | 60422 | USD | 77048 | SGD | 685 |  |
|  Barclays Bank PLC | 4/7/2026 | 54347 | USD | 42198 | CHF | 1803 |  |
|  Barclays Bank PLC | 4/7/2026 | 185155 | USD | 159505 | EUR | 1331 |  |
|  Barclays Bank PLC | 4/7/2026 | 95562 | USD | 71345 | GBP | 1481 |  |
|  Barclays Bank PLC | 4/7/2026 | 5799 | USD | 9790 | NZD | 213 |  |
|  Barclays Bank PLC | 4/7/2026 | 39339 | USD | 361470 | SEK | 1384 |  |
|  Barclays Bank PLC | 4/8/2026 | 1768101 | NOK | 181397 | USD | 114 |  |
|  Barclays Bank PLC | 4/8/2026 | 5173 | USD | 33286 | DKK | 40 |  |
|  Barclays Bank PLC | 4/8/2026 | 15690 | USD | 151091 | NOK | 179 |  |
|  Barclays Bank PLC | 5/6/2026 | 674373 | USD | 6574033 | NOK |  | (425 |
|  Citibank NA | 4/2/2026 | 1547 | USD | 1168 | GBP | 6 |  |
|  Citibank NA | 4/3/2026 | 3008623 | USD | 468556116 | JPY | 63147 |  |
|  Citibank NA | 4/7/2026 | 117045 | NZD | 67044 | USD |  | (266 |
|  Citibank NA | 5/5/2026 | 170577 | USD | 297505 | NZD | 673 |  |
|  Deutsche Bank AG | 5/5/2026 | 170576 | USD | 539058 | ILS |  | (373 |
|  Goldman Sachs | 4/2/2026 | 133 | CHF | 125 | GBP | 0^ |  |
|  Goldman Sachs | 5/5/2026 | 1742735 | USD | 2532305 | AUD | 9046 |  |
|  HSBC Holdings PLC | 4/3/2026 | 480621385 | JPY | 3014593 | USD | 6729 |  |
|  HSBC Holdings PLC | 4/6/2026 | 695171 | USD | 878514 | SGD | 14038 |  |
|  HSBC Holdings PLC | 4/7/2026 | 1860604 | EUR | 2140174 | USD | 4113 |  |
|  HSBC Holdings PLC | 4/7/2026 | 4381174 | SEK | 460269 | USD |  | (242 |
|  HSBC Holdings PLC | 4/7/2026 | 66713 | USD | 111545 | NZD | 3072 |  |
|  HSBC Holdings PLC | 5/6/2026 | 9211688 | USD | 7997256 | EUR |  | (17639 |
|  HSBC Holdings PLC | 5/6/2026 | 987167 | USD | 9382551 | SEK | 519 |  |
|  HSBC Holdings PLC | 5/8/2026 | 8303818 | USD | 1319940199 | JPY |  | (18489 |
|  JPMorgan Chase Bank NA | 4/1/2026 | 7889 | USD | 11536 | AUD |  | (12 |
|  JPMorgan Chase Bank NA | 4/2/2026 | 2526 | GBP | 2891 | EUR |  | (0 |
|  JPMorgan Chase Bank NA | 4/2/2026 | 2827 | USD | 4955 | NZD |  | (0 |
|  JPMorgan Chase Bank NA | 4/2/2026 | 4170 | USD | 5380 | SGD |  | (0 |
|  JPMorgan Chase Bank NA | 4/7/2026 | 35317 | NOK | 11448 | ILS | 0^ |  |
|  JPMorgan Chase Bank NA | 4/7/2026 | 60074 | NOK | 58749 | SEK | 0^ |  |
|  Morgan Stanley & Co. International | 4/6/2026 | 453494 | SGD | 352082 | USD |  | (477 |
|  Morgan Stanley & Co. International | 4/7/2026 | 654340 | CHF | 818865 | USD |  | (4106 |
|  Morgan Stanley & Co. International | 4/7/2026 | 833956 | GBP | 1104162 | USD |  | (4438 |
|  Morgan Stanley & Co. International | 4/7/2026 | 625270 | USD | 479886 | CHF | 27734 |  |
|  Morgan Stanley & Co. International | 4/7/2026 | 1099455 | USD | 817685 | GBP | 21188 |  |
|  Morgan Stanley & Co. International | 4/7/2026 | 452601 | USD | 4090767 | SEK | 23067 |  |
|  Morgan Stanley & Co. International | 4/8/2026 | 59518 | USD | 376313 | DKK | 1490 |  |
|  Morgan Stanley & Co. International | 4/8/2026 | 180517 | USD | 1717135 | NOK | 4238 |  |
|  Morgan Stanley & Co. International | 5/6/2026 | 1513109 | USD | 1205236 | CHF | 7586 |  |
|  Morgan Stanley & Co. International | 5/6/2026 | 3802111 | USD | 2871771 | GBP | 15283 |  |
|  Morgan Stanley & Co. International | 5/6/2026 | 277641 | USD | 356850 | SGD | 375 |  |
|  UBS Group AG | 4/2/2026 | 26386 | AUD | 172158 | SEK |  | (0 |
|  UBS Group AG | 4/2/2026 | 79652 | HKD | 8164 | CHF |  | (0 |
|  UBS Group AG | 4/2/2026 | 2915466 | JPY | 14726 | CHF |  | (0 |
|  UBS Group AG | 4/3/2026 | 40516443 | JPY | 255533 | USD |  | (835 |

---

*See Notes to Financial Statements.*

66&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (concluded)**<br> WisdomTree International Multifactor Fund *(DWMF)*<br> March 31, 2026<br>

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  UBS Group AG | 4/6/2026 | 482067 | SGD | 378953 | USD | $— | $(5195) |
|  UBS Group AG | 4/6/2026 | 31240 | SGD | 24558 | USD |  | (337) |
|  UBS Group AG | 4/7/2026 | 56400 | CHF | 72456 | USD |  | (2229) |
|  UBS Group AG | 4/7/2026 | 151302 | EUR | 175216 | USD |  | (845) |
|  UBS Group AG | 4/7/2026 | 67811 | GBP | 90855 | USD |  | (1433) |
|  UBS Group AG | 4/7/2026 | 9246 | NZD | 5468 | USD |  | (193) |
|  UBS Group AG | 4/7/2026 | 291754 | SEK | 31671 | USD |  | (1037) |
|  UBS Group AG | 4/7/2026 | 211704 | USD | 164791 | CHF | 6513 |  |
|  UBS Group AG | 4/7/2026 | 2130235 | USD | 1803611 | EUR | 51631 |  |
|  UBS Group AG | 4/8/2026 | 399845 | DKK | 61558 | USD | 99 |  |
|  UBS Group AG | 4/8/2026 | 20209 | DKK | 3133 | USD |  | (17) |
|  UBS Group AG | 4/8/2026 | 142883 | NOK | 14810 | USD |  | (142) |
|  UBS Group AG | 5/5/2026 | 169299 | USD | 1097958 | DKK |  | (272) |
|  |  |  |  |  |  | $269938 | $(59002) |

---

^ Amount represents less than $1.

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted<br>Prices in<br>Active<br>Markets<br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks |  |  |  |  |
| &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Russia | $— | $— | $0\* | $0 |
| &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Other | 36051773 |  |  | 36051773 |
| &nbsp;&nbsp;&nbsp; Preferred Stocks | 136587 |  |  | 136587 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 13930 |  | 13930 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 184958 |  | 184958 |
|  Total Investments in Securities | $36188360 | $198888 | $0 | $36387248 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $269938 | $— | $269938 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(59002) | $— | $(59002) |
|  Total – Net | $36188360 | $409824 | $0 | $36598184 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;67

**Schedule of Investments** <br> WisdomTree International Quality Dividend Growth Fund *(IQDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 99.2% |  |  |
|  Australia – 2.5% |  |  |
|  Aristocrat Leisure Ltd. | 26339 | $817734 |
|  Brambles Ltd. | 146819 | 2272573 |
|  Cochlear Ltd. | 2985 | 345713 |
|  Codan Ltd. | 10504 | 224890 |
|  CSL Ltd. | 36548 | 3523967 |
|  Eagers Automotive Ltd. | 13118 | 202152 |
|  JB Hi-Fi Ltd. | 7262 | 360199 |
|  Netwealth Group Ltd. | 28770 | 425225 |
|  Northern Star Resources Ltd. | 108055 | 1506780 |
|  Pro Medicus Ltd. | 1379 | 110409 |
|  Ramelius Resources Ltd. | 132786 | 333769 |
|  REA Group Ltd. | 5565 | 596190 |
|  Sigma Healthcare Ltd. | 143437 | 260336 |
|  Technology One Ltd. | 19513 | 358702 |
|  Wesfarmers Ltd. | 97034 | 4845496 |
|  Whitehaven Coal Ltd. | 44465 | 281700 |
|  WiseTech Global Ltd. | 5486 | 142855 |
|  Total Australia |  | 16608690 |
|  Austria – 1.7% |  |  |
|  ANDRITZ AG | 14443 | 990153 |
|  BAWAG Group AG<sup>\*(a)</sup> | 15136 | 2258441 |
|  Erste Group Bank AG | 54060 | 5761633 |
|  Raiffeisen Bank International AG<sup>\*</sup> | 49312 | 2065876 |
|  Wienerberger AG | 20231 | 531005 |
|  Total Austria |  | 11607108 |
|  Belgium – 0.3% |  |  |
|  Solvay SA | 21427 | 653249 |
|  Syensqo SA | 8074 | 460306 |
|  UCB SA | 3226 | 960844 |
|  Total Belgium |  | 2074399 |
|  Chile – 0.3% |  |  |
|  Antofagasta PLC | 43610 | 1913307 |
|  China – 0.2% |  |  |
|  Prosus NV<sup>\*</sup> | 35895 | 1612143 |
|  Denmark – 2.2% |  |  |
|  Novo Nordisk AS, Class B | 380807 | 13557889 |
|  Pandora AS | 8469 | 592467 |
|  Royal Unibrew AS | 5062 | 409384 |
|  Total Denmark |  | 14559740 |
|  Finland – 0.7% |  |  |
|  Kone OYJ, Class B | 51312 | 3238686 |
|  Konecranes OYJ | 15477 | 498243 |
|  Valmet OYJ | 29836 | 837768 |
|  Total Finland |  | 4574697 |
|  France – 12.7% |  |  |
|  Accor SA | 26655 | 1247517 |
|  Air Liquide SA | 40281 | 8257581 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Airbus SE | 28592 | $5298005 |
|  BioMerieux | 6443 | 681489 |
|  Bureau Veritas SA | 53638 | 1588304 |
|  Cie Generale des Etablissements Michelin SCA | 113797 | 3827302 |
|  Dassault Aviation SA | 4794 | 1763148 |
|  Edenred SE | 64658 | 1270952 |
|  Eiffage SA | 14305 | 2161643 |
|  Hermes International SCA | 2995 | 5552399 |
|  Kering SA | 8427 | 2491480 |
|  Legrand SA | 12284 | 1864032 |
|  L'Oreal SA | 35886 | 14444869 |
|  LVMH Moet Hennessy Louis Vuitton SE | 43171 | 23035344 |
|  Nexans SA | 2909 | 385116 |
|  Rexel SA | 45079 | 1728564 |
|  Safran SA | 14248 | 4586782 |
|  Technip Energies NV | 9638 | 406217 |
|  Thales SA | 10375 | 3013622 |
|  Vallourec SACA | 72272 | 1811161 |
|  Total France |  | 85415527 |
|  Georgia – 0.3% |  |  |
|  Lion Finance Group PLC | 8171 | 999928 |
|  TBC Bank Group PLC | 18223 | 980451 |
|  Total Georgia |  | 1980379 |
|  Germany – 9.9% |  |  |
|  adidas AG | 6727 | 1059153 |
|  Continental AG | 23330 | 1602097 |
|  CTS Eventim AG & Co. KGaA | 6121 | 350233 |
|  Daimler Truck Holding AG | 158831 | 7589220 |
|  Deutsche Lufthansa AG, Registered Shares | 180574 | 1497181 |
|  Deutsche Post AG, Registered Shares | 205539 | 10597785 |
|  Deutsche Telekom AG, Registered Shares | 542963 | 19987980 |
|  Fielmann Group AG | 6379 | 320087 |
|  GEA Group AG | 8696 | 613195 |
|  Heidelberg Materials AG | 9909 | 2036248 |
|  HochTief AG | 6011 | 2651224 |
|  Hugo Boss AG | 6643 | 281134 |
|  Infineon Technologies AG | 46201 | 2022846 |
|  Knorr-Bremse AG | 18541 | 2075409 |
|  Krones AG | 1552 | 206002 |
|  Nemetschek SE | 3262 | 239415 |
|  Rheinmetall AG | 756 | 1258251 |
|  SAP SE | 45054 | 7625757 |
|  Schott Pharma AG & Co. KGaA | 1014 | 15796 |
|  Sixt SE | 3362 | 248885 |
|  Traton SE<sup>(b)</sup> | 114403 | 4062542 |
|  Total Germany |  | 66340440 |
|  Hong Kong – 0.5% |  |  |
|  Bank of East Asia Ltd. | 738000 | 1230282 |
|  Techtronic Industries Co. Ltd. | 164500 | 2142222 |
|  Total Hong Kong |  | 3372504 |

---

*See Notes to Financial Statements.*

68&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International Quality Dividend Growth Fund *(IQDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Ireland – 0.4% |  |  |
|  Bank of Ireland Group PLC | 145455 | $2586801 |
|  Israel – 1.6% |  |  |
|  Bank Leumi Le-Israel BM | 173013 | 3824094 |
|  Elbit Systems Ltd. | 588 | 491071 |
|  Israel Discount Bank Ltd., Class A | 169649 | 1691386 |
|  Mizrahi Tefahot Bank Ltd. | 42229 | 3046640 |
|  Newmed Energy LP<sup>(b)</sup> | 203857 | 1161484 |
|  Strauss Group Ltd. | 7471 | 326997 |
|  Total Israel |  | 10541672 |
|  Italy – 1.7% |  |  |
|  Brembo NV | 31967 | 298895 |
|  Brunello Cucinelli SpA<sup>(b)</sup> | 2360 | 202797 |
|  DiaSorin SpA<sup>(b)</sup> | 1535 | 106082 |
|  Ferrari NV | 6142 | 2045198 |
|  Leonardo SpA | 18948 | 1267122 |
|  Maire SpA | 37139 | 569128 |
|  Moncler SpA | 23614 | 1398494 |
|  PRADA SpA | 289900 | 1365158 |
|  Prysmian SpA | 11424 | 1300215 |
|  Recordati Industria Chimica & Farmaceutica SpA | 16013 | 904797 |
|  Reply SpA | 622 | 57871 |
|  Ryanair Holdings PLC | 58455 | 1607688 |
|  Technogym SpA<sup>(a)</sup> | 28379 | 566988 |
|  Total Italy |  | 11690433 |
|  Japan – 19.2% |  |  |
|  Advantest Corp. | 11300 | 1444019 |
|  Ajinomoto Co., Inc. | 41300 | 1141468 |
|  Amada Co. Ltd. | 47700 | 647933 |
|  Asics Corp. | 23700 | 619129 |
|  Bandai Namco Holdings, Inc. | 40700 | 989295 |
|  BayCurrent, Inc. | 8200 | 233954 |
|  BIPROGY, Inc. | 9400 | 272978 |
|  Bridgestone Corp. | 170600 | 3503364 |
|  Capcom Co. Ltd. | 25800 | 542953 |
|  Chugai Pharmaceutical Co. Ltd. | 86400 | 4676538 |
|  CyberAgent, Inc. | 51200 | 426908 |
|  Daiichi Sankyo Co. Ltd. | 109400 | 1902071 |
|  Daiwa House Industry Co. Ltd. | 75500 | 2333956 |
|  Disco Corp. | 3900 | 1501263 |
|  Ebara Corp. | 26900 | 719295 |
|  Food & Life Cos. Ltd. | 10600 | 617650 |
|  Fujikura Ltd. | 74400 | 1912729 |
|  GMO Payment Gateway, Inc. | 12900 | 665231 |
|  Hachijuni Nagano Bank Ltd. | 104900 | 1270616 |
|  Hitachi Ltd. | 173200 | 4859921 |
|  Hokuhoku Financial Group, Inc. | 23600 | 865882 |
|  Horiba Ltd. | 4200 | 471639 |
|  Hoya Corp. | 11200 | 1869131 |
|  Internet Initiative Japan, Inc. | 14200 | 218458 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Isuzu Motors Ltd. | 140800 | $1965660 |
|  Kakaku.com, Inc. | 23800 | 310197 |
|  Keyence Corp. | 5600 | 1931083 |
|  Kobe Bussan Co. Ltd. | 11800 | 256190 |
|  Koei Tecmo Holdings Co. Ltd. | 41100 | 415547 |
|  Koito Manufacturing Co. Ltd. | 39900 | 611705 |
|  Kokusai Electric Corp. | 10900 | 343396 |
|  Konami Group Corp. | 5000 | 607675 |
|  Kuraray Co. Ltd. | 50700 | 525675 |
|  Lasertec Corp. | 6500 | 1362593 |
|  M3, Inc. | 29200 | 294680 |
|  Mazda Motor Corp. | 144900 | 946327 |
|  MISUMI Group, Inc. | 25900 | 427434 |
|  Mitsubishi Heavy Industries Ltd. | 77500 | 2057216 |
|  Mitsui Kinzoku Co. Ltd. | 4100 | 722635 |
|  MonotaRO Co. Ltd. | 27200 | 291508 |
|  Murata Manufacturing Co. Ltd. | 153400 | 3287074 |
|  Nintendo Co. Ltd. | 51200 | 2824062 |
|  Nippon Steel Corp. | 949900 | 3438603 |
|  Nitto Denko Corp. | 42400 | 816604 |
|  Nomura Research Institute Ltd. | 31500 | 857741 |
|  Obic Co. Ltd. | 27600 | 668271 |
|  Olympus Corp. | 39600 | 370511 |
|  Oracle Corp. | 11200 | 605936 |
|  Organo Corp. | 3900 | 333641 |
|  Pan Pacific International Holdings Corp. | 122600 | 746127 |
|  Panasonic Holdings Corp. | 238400 | 3874431 |
|  Persol Holdings Co. Ltd. | 372700 | 541163 |
|  Recruit Holdings Co. Ltd. | 21200 | 869641 |
|  Ryohin Keikaku Co. Ltd. | 20700 | 433803 |
|  Sanrio Co. Ltd. | 36500 | 224658 |
|  Sanwa Holdings Corp. | 26000 | 578050 |
|  SCREEN Holdings Co. Ltd. | 21000 | 1180087 |
|  Sega Sammy Holdings, Inc. | 14600 | 222409 |
|  Seibu Holdings, Inc. | 12300 | 337943 |
|  Shin-Etsu Chemical Co. Ltd. | 153000 | 6019404 |
|  Socionext, Inc. | 18000 | 211465 |
|  Sompo Holdings, Inc. | 119200 | 4504560 |
|  Subaru Corp. | 115600 | 1804592 |
|  Sumitomo Forestry Co. Ltd. | 85300 | 752789 |
|  TIS, Inc. | 14400 | 304220 |
|  Toei Animation Co. Ltd. | 16500 | 269140 |
|  Tokyo Electron Ltd. | 34100 | 7980030 |
|  TOTO Ltd. | 20900 | 668684 |
|  Toyo Tire Corp. | 21400 | 483447 |
|  Toyota Motor Corp. | 1763700 | 35054494 |
|  Trend Micro, Inc. | 15200 | 500647 |
|  Yamato Holdings Co. Ltd. | 33200 | 364054 |
|  Zensho Holdings Co. Ltd. | 6300 | 363451 |
|  ZOZO, Inc. | 107600 | 747363 |
|  Total Japan |  | 129014997 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;69

**Schedule of Investments (continued)**<br> WisdomTree International Quality Dividend Growth Fund *(IQDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Luxembourg – 0.1% |  |  |
|  Eurofins Scientific SE | 6318 | $456140 |
|  Macau – 0.2% |  |  |
|  Sands China Ltd. | 748000 | 1573240 |
|  Netherlands – 5.9% |  |  |
|  ASM International NV | 1098 | 805879 |
|  ASML Holding NV | 10708 | 13808416 |
|  Heineken Holding NV | 31815 | 2248922 |
|  ING Groep NV | 582625 | 14839096 |
|  Koninklijke KPN NV | 650529 | 3600038 |
|  Koninklijke Vopak NV | 13149 | 710548 |
|  Universal Music Group NV | 141583 | 2713699 |
|  Wolters Kluwer NV | 17891 | 1332077 |
|  Total Netherlands |  | 40058675 |
|  Nigeria – 0.1% |  |  |
|  Airtel Africa PLC<sup>(a)</sup> | 230326 | 1046656 |
|  Norway – 0.7% |  |  |
|  Frontline PLC | 33956 | 1184858 |
|  Kongsberg Gruppen ASA | 52923 | 2242489 |
|  Mowi ASA | 58005 | 1307665 |
|  Total Norway |  | 4735012 |
|  Portugal – 0.6% |  |  |
|  Banco Comercial Portugues SA, Class R | 2501441 | 2397957 |
|  Jeronimo Martins SGPS SA | 69062 | 1636026 |
|  Total Portugal |  | 4033983 |
|  Singapore – 1.4% |  |  |
|  Singapore Exchange Ltd. | 93200 | 1410118 |
|  Singapore Technologies Engineering Ltd. | 201300 | 1686667 |
|  Singapore Telecommunications Ltd. | 1652900 | 6328974 |
|  Total Singapore |  | 9425759 |
|  Spain – 6.5% |  |  |
|  Amadeus IT Group SA | 29983 | 1681719 |
|  Banco Bilbao Vizcaya Argentaria SA | 927663 | 19506570 |
|  Industria de Diseno Textil SA | 390838 | 22173928 |
|  Laboratorios Farmaceuticos Rovi SA | 4249 | 395328 |
|  Total Spain |  | 43757545 |
|  Sweden – 5.4% |  |  |
|  AAK AB | 12386 | 315168 |
|  AddTech AB, Class B | 9445 | 314891 |
|  Assa Abloy AB, Class B | 56426 | 1992569 |
|  Atlas Copco AB, Class B | 71805 | 1091820 |
|  Atlas Copco AB, Class A | 235546 | 4034046 |
|  Axfood AB | 32142 | 1085430 |
|  Epiroc AB, Class A | 54379 | 1307779 |
|  Epiroc AB, Class B | 19256 | 404677 |
|  EQT AB | 63049 | 1896186 |
|  Evolution AB<sup>(a)</sup> | 29370 | 1804207 |
|  Indutrade AB | 17262 | 388503 |
|  Lifco AB, Class B | 9283 | 274604 |
|  Saab AB, Class B | 8353 | 541361 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Sandvik AB | 112134 | $4206974 |
|  Sectra AB, Class B | 11506 | 273209 |
|  SKF AB, Class B | 41873 | 985480 |
|  Sweco AB, Class B | 16484 | 229621 |
|  Tele2 AB, Class B | 90511 | 1848937 |
|  Trelleborg AB, Class B | 14377 | 526408 |
|  Volvo AB, Class B | 390330 | 12517603 |
|  Total Sweden |  | 36039473 |
|  Switzerland – 5.4% |  |  |
|  ABB Ltd., Registered Shares | 95639 | 7526862 |
|  Accelleron Industries AG | 5519 | 489364 |
|  Belimo Holding AG, Registered Shares | 529 | 418368 |
|  Bucher Industries AG, Registered Shares | 565 | 244338 |
|  Geberit AG, Registered Shares | 2831 | 1876412 |
|  Georg Fischer AG, Registered Shares | 4387 | 220565 |
|  Huber & Suhner AG, Registered Shares | 1919 | 419359 |
|  Logitech International SA, Registered Shares | 9894 | 890959 |
|  Partners Group Holding AG | 4140 | 4359739 |
|  Schindler Holding AG, Participation Certificate | 1869 | 605672 |
|  SFS Group AG | 6357 | 933515 |
|  SGS SA, Registered Shares | 24436 | 2557486 |
|  Sika AG, Registered Shares | 10757 | 1738951 |
|  Sonova Holding AG, Registered Shares | 3889 | 866319 |
|  Straumann Holding AG, Registered Shares | 5452 | 556361 |
|  Sulzer AG, Registered Shares | 3418 | 700146 |
|  UBS Group AG, Registered Shares | 281175 | 10752919 |
|  VAT Group AG<sup>(a)</sup> | 1722 | 1036779 |
|  Total Switzerland |  | 36194114 |
|  United Kingdom – 10.1% |  |  |
|  AstraZeneca PLC | 99688 | 19311253 |
|  BAE Systems PLC | 178688 | 5183986 |
|  Bridgepoint Group PLC<sup>(a)</sup> | 149508 | 453065 |
|  Centrica PLC | 412300 | 1155362 |
|  Compass Group PLC | 96615 | 2656418 |
|  Hiscox Ltd. | 35932 | 715965 |
|  Howden Joinery Group PLC | 70520 | 735588 |
|  Imperial Brands PLC | 180397 | 7272279 |
|  Inchcape PLC | 35358 | 349699 |
|  International Consolidated Airlines Group SA | 300270 | 1385088 |
|  Intertek Group PLC | 17531 | 843349 |
|  Lloyds Banking Group PLC | 8635203 | 10514974 |
|  Next PLC | 9244 | 1545090 |
|  RELX PLC | 133003 | 4342680 |
|  Rightmove PLC | 50071 | 283196 |
|  Rolls-Royce Holdings PLC | 269021 | 4015858 |
|  RS Group PLC | 58044 | 428638 |
|  Sage Group PLC | 75507 | 834206 |
|  Softcat PLC | 24513 | 392752 |
|  Spirax Group PLC | 5729 | 504285 |
|  SSE PLC | 133619 | 4572475 |
|  Weir Group PLC | 11083 | 408932 |
|  Total United Kingdom |  | 67905138 |

---

*See Notes to Financial Statements.*

70&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (concluded)**<br> WisdomTree International Quality Dividend Growth Fund *(IQDG)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  United States – 8.6% |  |  |
|  BP PLC | 3268050 | $26128954 |
|  Experian PLC | 41263 | 1413662 |
|  Ferrovial SE | 37523 | 2396028 |
|  GSK PLC | 551868 | 15020717 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 46627 | 3767065 |
|  InterContinental Hotels Group PLC | 6649 | 867030 |
|  Schneider Electric SE | 31704 | 8368873 |
|  Total United States |  | 57962329 |
|  TOTAL COMMON STOCKS<br>(Cost: $630,977,537) |  | 667080901 |
|  MUTUAL FUND – 0.0% |  |  |
|  United States – 0.0% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $68,200) | 68200 | 68200 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% |
|  United States – 0.7% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup><br> (Cost: $4,820,316) | 4820316 | $4820316 |
|  TOTAL INVESTMENTS IN SECURITIES – 99.9%<br> (Cost: $635,866,053) | TOTAL INVESTMENTS IN SECURITIES – 99.9%<br> (Cost: $635,866,053) | 671969417 |
|  Other Assets less Liabilities – 0.1% |  | 940135 |
|  NET ASSETS – 100.0% |  | $672909552 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(b)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $4,933,263 and the total market value of the collateral held by the Fund was $5,022,360. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $202,044.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/<br>Additions | Sales/<br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/<br>Depreciation | Value at <br> 3/31/2026 | Securities <br>Lending <br>Income |
|  WisdomTree Treasury Money Market Digital Fund | $— | $22000000 | $22000000 | $— | $— | $—<sup>^</sup> | $16079 |

---

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>As of March 31, 2026, the Fund did not hold a position in this affiliate.

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $667080901 | $— | $—  | $667080901 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 68200 |  | 68200 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 4820316 |  | 4820316 |
|  Total Investments in Securities | $667080901 | $4888516 | $—  | $671969417 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;71

**Schedule of Investments** <br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.7% |  |  |
|  Australia – 9.0% |  |  |
|  Abacus Group | 1353861 | $941168 |
|  Accent Group Ltd. | 932874 | 476000 |
|  Acrow Ltd. | 685757 | 389830 |
|  Adairs Ltd. | 302302 | 270196 |
|  Amotiv Ltd. | 159616 | 734637 |
|  AMP Ltd. | 1057031 | 948388 |
|  Ansell Ltd. | 67859 | 1312035 |
|  ARB Corp. Ltd. | 34570 | 494139 |
|  Aspen Group Ltd. | 154606 | 483916 |
|  AUB Group Ltd. | 64528 | 1073944 |
|  Aussie Broadband Ltd. | 155869 | 510287 |
|  Austin Engineering Ltd. | 2271020 | 256645 |
|  Australian Clinical Labs Ltd. | 380558 | 542140 |
|  Australian Ethical Investment Ltd. | 134318 | 416735 |
|  Autosports Group Ltd. | 230168 | 364153 |
|  Beach Energy Ltd.<sup>(a)</sup> | 3642422 | 3230630 |
|  Beacon Lighting Group Ltd. | 211983 | 231574 |
|  Bega Cheese Ltd. | 199707 | 816573 |
|  Bisalloy Steel Group Ltd. | 148864 | 469002 |
|  Bravura Solutions Ltd. | 286080 | 399710 |
|  Breville Group Ltd.<sup>(a)</sup> | 52381 | 944967 |
|  Cash Converters International Ltd. | 2032121 | 396663 |
|  Cedar Woods Properties Ltd. | 171235 | 829162 |
|  Centuria Capital Group | 880822 | 956191 |
|  Civmec Australia Ltd. | 619698 | 606937 |
|  Cobram Estate Olives Ltd. | 215319 | 505829 |
|  Collins Foods Ltd. | 103380 | 619544 |
|  Corporate Travel Management Ltd.<sup>\*^</sup> | 81192 | 598082 |
|  Cromwell Property Group | 3588214 | 970739 |
|  Dalrymple Bay Infrastructure Ltd. | 546575 | 1890464 |
|  Data#3 Ltd. | 130278 | 593362 |
|  Dicker Data Ltd. | 182608 | 1066832 |
|  Duratec Ltd. | 307674 | 537351 |
|  Elders Ltd. | 173354 | 854857 |
|  EQT Holdings Ltd. | 47837 | 676568 |
|  EVT Ltd. | 123088 | 1112799 |
|  Fiducian Group Ltd. | 71962 | 472167 |
|  Fleetwood Ltd. | 310355 | 348602 |
|  G8 Education Ltd. | 1482882 | 243750 |
|  GR Engineering Services Ltd. | 382088 | 1015365 |
|  GrainCorp Ltd., Class A | 237382 | 1077925 |
|  GWA Group Ltd. | 542462 | 776502 |
|  Hansen Technologies Ltd. | 159259 | 536656 |
|  Helia Group Ltd. | 363335 | 1308941 |
|  Iluka Resources Ltd. | 119657 | 540890 |
|  Imdex Ltd. | 229205 | 602813 |
|  Ingenia Communities Group | 223030 | 607958 |
|  Inghams Group Ltd.<sup>(a)</sup> | 661077 | 896488 |
|  Integral Diagnostics Ltd. | 356619 | 576426 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  IPD Group Ltd. | 130702 | $391193 |
|  IRESS Ltd. | 137004 | 654023 |
|  IVE Group Ltd. | 482732 | 862927 |
|  Jumbo Interactive Ltd. | 123282 | 651000 |
|  Jupiter Mines Ltd. | 3845308 | 684749 |
|  Kelsian Group Ltd. | 252107 | 673406 |
|  Kogan.com Ltd. | 206466 | 490688 |
|  Lovisa Holdings Ltd. | 72675 | 1053241 |
|  Lycopodium Ltd. | 81216 | 724235 |
|  Maas Group Holdings Ltd. | 174024 | 516089 |
|  Macmahon Holdings Ltd. | 2581088 | 1263968 |
|  Mader Group Ltd. | 92021 | 496008 |
|  Magellan Financial Group Ltd. | 197269 | 1325425 |
|  McMillan Shakespeare Ltd. | 129326 | 1298515 |
|  Metcash Ltd. | 984860 | 1996611 |
|  Monadelphous Group Ltd. | 83972 | 1567789 |
|  MotorCycle Holdings Ltd. | 236449 | 353038 |
|  MyState Ltd. | 248928 | 750160 |
|  nib holdings Ltd. | 409278 | 1782800 |
|  Nick Scali Ltd. | 68022 | 730504 |
|  Nine Entertainment Co. Holdings Ltd. | 1970556 | 1282152 |
|  NRW Holdings Ltd. | 362138 | 1307109 |
|  Objective Corp. Ltd. | 45097 | 362613 |
|  oOh!media Ltd. | 612795 | 396620 |
|  Orora Ltd. | 1315601 | 1698489 |
|  Perenti Ltd. | 759926 | 1014923 |
|  Perpetual Ltd. | 121969 | 1324890 |
|  Peter Warren Automotive Holdings Ltd. | 369402 | 344085 |
|  Pinnacle Investment Management Group Ltd. | 156807 | 1517521 |
|  Praemium Ltd. | 883496 | 390294 |
|  Premier Investments Ltd. | 101538 | 870683 |
|  Propel Funeral Partners Ltd.<sup>(a)</sup> | 184731 | 512415 |
|  Redox Ltd. | 482688 | 1090957 |
|  Regal Partners Ltd. | 442882 | 785625 |
|  Regis Healthcare Ltd. | 218769 | 922983 |
|  Regis Resources Ltd. | 185314 | 844028 |
|  Ricegrowers Ltd. | 83096 | 795067 |
|  Ridley Corp. Ltd. | 365976 | 684294 |
|  Servcorp Ltd. | 153601 | 720629 |
|  Service Stream Ltd. | 628440 | 830708 |
|  Shape Australia Pty Ltd.<sup>(a)</sup> | 169572 | 738650 |
|  Shaver Shop Group Ltd. | 427289 | 378982 |
|  SmartGroup Corp. Ltd. | 210327 | 1182675 |
|  Southern Cross Electrical Engineering Ltd. | 371818 | 710496 |
|  SRG Global Ltd. | 678206 | 1142678 |
|  Super Retail Group Ltd. | 181935 | 1597466 |
|  Supply Network Ltd.<sup>(a)</sup> | 27026 | 579922 |
|  Tabcorp Holdings Ltd. | 1504530 | 968626 |
|  Tasmea Ltd. | 240673 | 745063 |
|  Universal Store Holdings Ltd. | 125656 | 670421 |
|  Ventia Services Group Pty. Ltd. | 912862 | 3269897 |

---

*See Notes to Financial Statements.*

72&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Vulcan Steel Ltd. | 91219 | $329248 |
|  Waypoint REIT Ltd. | 1120846 | 1804019 |
|  Westgold Resources Ltd. | 201243 | 811827 |
|  Total Australia |  | 87418956 |
|  Austria – 0.7% |  |  |
|  CA Immobilien Anlagen AG | 86139 | 2413744 |
|  Kontron AG | 36930 | 802932 |
|  Palfinger AG | 24203 | 943965 |
|  Porr AG | 25735 | 1061537 |
|  SBO AG | 27965 | 1164799 |
|  Total Austria |  | 6386977 |
|  Belgium – 1.7% |  |  |
|  Barco NV | 84319 | 919547 |
|  Bekaert SA | 51773 | 2386114 |
|  Deceuninck NV | 221709 | 509884 |
|  EVS Broadcast Equipment SA | 13450 | 516053 |
|  Fagron | 36716 | 913770 |
|  Ion Beam Applications<sup>(a)</sup> | 28198 | 421717 |
|  Kinepolis Group NV<sup>(a)</sup> | 12742 | 382449 |
|  Montea NV | 24283 | 1829818 |
|  Proximus SADP | 494923 | 3991751 |
|  Retail Estates NV | 23610 | 1795427 |
|  Tessenderlo Group SA | 41784 | 942650 |
|  VGP NV | 17918 | 1694964 |
|  Total Belgium |  | 16304144 |
|  Brazil – 0.1% |  |  |
|  Pluxee NV<sup>(a)</sup> | 78162 | 946512 |
|  China – 0.3% |  |  |
|  Health & Happiness H&H International Holdings Ltd. | 377000 | 575103 |
|  KLN Logistics Group Ltd. | 1391000 | 1169191 |
|  Morimatsu International Holdings Co. Ltd.<sup>(a)</sup> | 570000 | 479835 |
|  VSTECS Holdings Ltd.<sup>(a)</sup> | 868000 | 942154 |
|  Total China |  | 3166283 |
|  Denmark – 0.4% |  |  |
|  Cementir Holding NV | 71549 | 1262962 |
|  Chemometec AS | 7467 | 346328 |
|  D/S Norden AS | 26195 | 1186679 |
|  Matas AS<sup>(a)</sup> | 26208 | 425929 |
|  Per Aarsleff Holding AS | 8858 | 1014817 |
|  Total Denmark |  | 4236715 |
|  Finland – 1.5% |  |  |
|  Aktia Bank OYJ | 99475 | 1437273 |
|  F-Secure OYJ | 287814 | 533907 |
|  Harvia OYJ | 12402 | 472271 |
|  Kalmar OYJ, Class B<sup>\*</sup> | 46948 | 2345493 |
|  Marimekko OYJ | 42348 | 495740 |
|  Nokian Renkaat OYJ<sup>(a)</sup> | 112155 | 1174655 |
|  Oma Saastopankki OYJ | 45551 | 635055 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Outokumpu OYJ | 545218 | $2914848 |
|  Pihlajalinna OYJ | 26395 | 392319 |
|  Puuilo OYJ | 92968 | 1348612 |
|  Raisio OYJ, Class V | 226035 | 692764 |
|  Sanoma OYJ | 57763 | 595663 |
|  Talenom OYJ<sup>(a)</sup> | 68431 | 100135 |
|  Terveystalo OYJ<sup>(b)</sup> | 129371 | 1289380 |
|  Total Finland |  | 14428115 |
|  France – 3.2% |  |  |
|  ABC arbitrage | 108573 | 658014 |
|  Bonduelle SCA<sup>(a)</sup> | 47792 | 464206 |
|  Catana Group<sup>(a)</sup> | 60065 | 161252 |
|  Cie des Alpes | 58500 | 1590727 |
|  Derichebourg SA | 114391 | 1074840 |
|  Etablissements Maurel & Prom SA | 282616 | 3516805 |
|  Exosens SAS | 7648 | 539296 |
|  GL Events SACA | 28082 | 946415 |
|  Interparfums SA | 68450 | 1801347 |
|  IPSOS SA | 43195 | 1674238 |
|  Kaufman & Broad SA | 36042 | 1175231 |
|  Lectra | 24209 | 465823 |
|  LISI SA | 14940 | 902007 |
|  Louis Hachette Group | 261147 | 469243 |
|  Mersen SA | 24960 | 638448 |
|  Opmobility | 191984 | 3313635 |
|  Planisware SA | 33438 | 554022 |
|  Pullup Entertainment<sup>(a)</sup> | 23617 | 357559 |
|  Quadient SA | 50736 | 630177 |
|  Societe BIC SA | 46266 | 2862622 |
|  Television Francaise 1 SA | 274626 | 2194401 |
|  Valeo SE | 201006 | 2392419 |
|  Vicat SACA | 43095 | 3093447 |
|  Total France |  | 31476174 |
|  Germany – 2.5% |  |  |
|  AIXTRON SE | 44502 | 1676699 |
|  Alzchem Group AG | 4227 | 827959 |
|  Borussia Dortmund GmbH & Co. KGaA<sup>(a)</sup> | 117476 | 410805 |
|  Cancom SE | 35365 | 984053 |
|  Dermapharm Holding SE<sup>(a)</sup> | 31838 | 1551722 |
|  Deutz AG | 80964 | 787340 |
|  Eckert & Ziegler SE | 26894 | 453034 |
|  Elmos Semiconductor SE | 9583 | 1587772 |
|  Friedrich Vorwerk Group SE | 3808 | 307130 |
|  Indus Holding AG | 34273 | 1046468 |
|  MLP SE | 123969 | 997003 |
|  Mutares SE & Co. KGaA<sup>(a)</sup> | 32188 | 1056980 |
|  Nagarro SE<sup>(a)</sup> | 10771 | 586761 |
|  PNE AG | 23155 | 225172 |
|  ProCredit Holding AG | 89725 | 754682 |
|  ProSiebenSat.1 Media SE | 80257 | 359901 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;73

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  SAF-Holland SE | 73553 | $1391558 |
|  Salzgitter AG | 14531 | 611105 |
|  Sirius Real Estate Ltd. | 1651820 | 2017063 |
|  Softwareone Holding AG | 167735 | 1452848 |
|  Stroeer SE & Co. KGaA | 59969 | 2103981 |
|  SUSS MicroTec SE | 10735 | 606817 |
|  TAG Immobilien AG | 90512 | 1401630 |
|  Vossloh AG | 8425 | 660095 |
|  Wacker Neuson SE | 47913 | 998113 |
|  Total Germany |  | 24856691 |
|  Hong Kong – 3.3% |  |  |
|  Cafe de Coral Holdings Ltd.<sup>(a)</sup> | 1112000 | 604209 |
|  Crystal International Group Ltd.<sup>(b)</sup> | 2819500 | 2085801 |
|  Dah Sing Banking Group Ltd. | 2568800 | 3980883 |
|  Dah Sing Financial Holdings Ltd. | 590629 | 3034430 |
|  Dream International Ltd. | 1192000 | 1047535 |
|  Hang Lung Group Ltd. | 1528000 | 2905854 |
|  Hutchison Telecommunications Hong Kong Holdings Ltd. | 7850000 | 1171462 |
|  Hysan Development Co. Ltd. | 1264000 | 3022882 |
|  Luk Fook Holdings International Ltd. | 546000 | 1618459 |
|  Man Wah Holdings Ltd.<sup>(a)</sup> | 4600400 | 2528982 |
|  Nissin Foods Co. Ltd.<sup>(a)</sup> | 651000 | 598672 |
|  Pacific Basin Shipping Ltd. | 3756000 | 1370139 |
|  SmarTone Telecommunications Holdings Ltd. | 1667000 | 1084373 |
|  SUNeVision Holdings Ltd.<sup>(a)</sup> | 1114000 | 767276 |
|  Swire Pacific Ltd., Class B | 1820000 | 2971353 |
|  Vitasoy International Holdings Ltd. | 438000 | 348045 |
|  VTech Holdings Ltd.<sup>(a)</sup> | 381300 | 2874267 |
|  Total Hong Kong |  | 32014622 |
|  Indonesia – 0.7% |  |  |
|  Bumitama Agri Ltd. | 2023900 | 2886467 |
|  First Resources Ltd. | 1805300 | 4057955 |
|  Total Indonesia |  | 6944422 |
|  Ireland – 0.5% |  |  |
|  C&C Group PLC<sup>(a)</sup> | 400586 | 591643 |
|  Cairn Homes PLC | 603625 | 1460543 |
|  COSMO Pharmaceuticals NV<sup>(a)</sup> | 11841 | 1221603 |
|  Greencore Group PLC | 160122 | 512045 |
|  Origin Enterprises PLC | 141410 | 730753 |
|  Uniphar PLC | 125155 | 547973 |
|  Total Ireland |  | 5064560 |
|  Israel – 6.5% |  |  |
|  Ackerstein Group Ltd. | 184760 | 471453 |
|  Altshuler Shaham Finance Ltd.<sup>(a)</sup> | 283087 | 600422 |
|  Aryt Industries Ltd. | 33074 | 476706 |
|  Ashdod Refinery Ltd.<sup>\*†</sup> | 1 | 16 |
|  Ashot - Ashkelon Industries Ltd. | 18774 | 603503 |
|  Ashtrom Group Ltd. | 24204 | 525158 |
|  Atreyu Capital Markets Ltd.<sup>(a)</sup> | 27268 | 624552 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  AudioCodes Ltd.<sup>(a)</sup> | 44581 | $371614 |
|  Aura Investments Ltd.<sup>(a)</sup> | 71597 | 430829 |
|  Automatic Bank Services Ltd. | 87947 | 684636 |
|  Ayalon Holdings Ltd. | 51597 | 2196243 |
|  Azorim-Investment Development & Construction Co. Ltd.<sup>\*(a)</sup> | 70034 | 416988 |
|  Carasso Real Estate Ltd.<sup>(a)</sup> | 47876 | 503399 |
|  Danya Cebus Ltd. | 24203 | 1241769 |
|  Delta Galil Ltd.<sup>(a)</sup> | 14818 | 764482 |
|  Delta Israel Brands Ltd. | 21488 | 676659 |
|  Elco Ltd. | 8107 | 338915 |
|  Electra Consumer Products 1970 Ltd. | 13479 | 318032 |
|  Energean PLC | 333187 | 3796187 |
|  Energix-Renewable Energies Ltd. | 274327 | 1642052 |
|  FIBI Holdings Ltd. | 46946 | 4485703 |
|  G City Ltd. | 201689 | 744157 |
|  Gav-Yam Lands Corp. Ltd.<sup>(a)</sup> | 119557 | 1357062 |
|  Hilan Ltd. | 9800 | 602122 |
|  IDI Insurance Co. Ltd. | 23175 | 1532523 |
|  Inrom Construction Industries Ltd.<sup>(a)</sup> | 77768 | 605888 |
|  Israel Canada TR Ltd.<sup>(a)</sup> | 98909 | 548502 |
|  Isramco Negev 2 LP<sup>(a)</sup> | 1499360 | 1006696 |
|  Land Development Nimrodi Group Ltd.<sup>(a)</sup> | 46742 | 509536 |
|  Lapidoth Capital Ltd.<sup>(a)</sup> | 42314 | 1192431 |
|  Libra Insurance Co. Ltd. | 84240 | 494368 |
|  Matrix IT Ltd. | 67700 | 1868370 |
|  Max Stock Ltd. | 101989 | 859518 |
|  Maytronics Ltd.<sup>\*†</sup> | 0 | 1<sup>‡</sup> |
|  Mediterranean Towers Ltd. | 227252 | 1201935 |
|  Mega Or Holdings Ltd. | 16901 | 2679538 |
|  Meitav Investment House Ltd. | 33018 | 1151316 |
|  Meitav Trade Investments Ltd. | 68483 | 488436 |
|  Mivne Real Estate KD Ltd.<sup>\*</sup> | 222528 | 918302 |
|  More Provident Funds & Pension Ltd.<sup>(a)</sup> | 141354 | 593620 |
|  Neto Malinda Trading Ltd.<sup>(a)</sup> | 30403 | 1483801 |
|  One Software Technologies Ltd. | 50675 | 946896 |
|  Palram Industries 1990 Ltd.<sup>(a)</sup> | 52887 | 834970 |
|  Partner Communications Co. Ltd. | 148141 | 1646324 |
|  Paz Retail & Energy Ltd.<sup>†</sup> | 1 | 140 |
|  PCB Technologies Ltd. | 152181 | 809704 |
|  Plus500 Ltd. | 102804 | 5514888 |
|  Prashkovsky Investments & Construction Ltd.<sup>\*(a)</sup> | 9118 | 423052 |
|  Rami Levy Chain Stores Hashikma Marketing 2006 Ltd. | 15272 | 1821515 |
|  Ratio Energies Finance LP | 996014 | 1372181 |
|  Retailors Ltd.<sup>(a)</sup> | 39594 | 430111 |
|  Shufersal Ltd. | 225745 | 3283759 |
|  Sisram Medical Ltd.<sup>(b)</sup> | 726400 | 302968 |
|  Tamar Petroleum Ltd.<sup>(b)</sup> | 58867 | 656253 |
|  Tel Aviv Stock Exchange Ltd. | 24591 | 1079434 |
|  Tiv Taam Holdings 1 Ltd. | 135814 | 557020 |

---

*See Notes to Financial Statements.*

74&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Wesure Global Tech Ltd. | 147254 | $889354 |
|  YD More Investments Ltd. | 79419 | 886625 |
|  YH Dimri Construction & Development Ltd.<sup>(a)</sup> | 6618 | 885334 |
|  Total Israel |  | 63347968 |
|  Italy – 2.8% |  |  |
|  Alerion Cleanpower SpA | 56143 | 1319634 |
|  Arnoldo Mondadori Editore SpA | 418309 | 960095 |
|  Ascopiave SpA | 263351 | 1028638 |
|  Banco di Desio e della Brianza SpA | 153344 | 1519473 |
|  BasicNet SpA | 56874 | 416772 |
|  Carel Industries SpA<sup>(b)</sup> | 32949 | 837103 |
|  Datalogic SpA | 86260 | 504895 |
|  Digital Value SpA<sup>(a)</sup> | 13466 | 449950 |
|  El.En. SpA<sup>(a)</sup> | 42967 | 608436 |
|  Enav SpA<sup>(b)</sup> | 612348 | 3647679 |
|  Equita Group SpA | 105552 | 690785 |
|  Esprinet SpA<sup>(a)</sup> | 104114 | 591403 |
|  Ferretti SpA<sup>(a)</sup> | 267357 | 1229114 |
|  Fiera Milano SpA | 107108 | 882380 |
|  Fila SpA | 57827 | 612980 |
|  FNM SpA | 857466 | 459407 |
|  Garofalo Health Care SpA<sup>(a)</sup> | 78383 | 416342 |
|  Gas Plus SpA | 73689 | 619803 |
|  GPI SpA<sup>(a)</sup> | 34097 | 646657 |
|  Immobiliare Grande Distribuzione SIIQ SpA | 134228 | 611670 |
|  IMMSI SpA<sup>(a)</sup> | 792746 | 430212 |
|  Industrie De Nora SpA | 41444 | 266455 |
|  Moltiply Group SpA | 7606 | 276931 |
|  Orsero SpA | 30704 | 529242 |
|  OVS SpA<sup>(b)</sup> | 210838 | 1081513 |
|  RAI Way SpA<sup>(b)</sup> | 381230 | 2578416 |
|  Revo Insurance SpA | 14903 | 406100 |
|  Sanlorenzo SpA<sup>(a)</sup> | 24596 | 872857 |
|  Sesa SpA | 6413 | 584844 |
|  Sogefi SpA | 275177 | 601144 |
|  Tinexta SpA | 33821 | 582970 |
|  Wiit SpA<sup>(a)</sup> | 19622 | 591211 |
|  Total Italy |  | 26855111 |
|  Japan – 27.1% |  |  |
|  ADEKA Corp. | 76601 | 1738196 |
|  Ai Holdings Corp. | 32800 | 556666 |
|  Aica Kogyo Co. Ltd. | 52600 | 1196882 |
|  Aichi Financial Group, Inc. | 60500 | 522135 |
|  Aichi Steel Corp. | 24100 | 425526 |
|  Aisan Industry Co. Ltd. | 26000 | 300057 |
|  Alfresa Holdings Corp. | 85400 | 1357038 |
|  Alinco, Inc. | 3700 | 23885 |
|  Alps Alpine Co. Ltd. | 109000 | 1426476 |
|  Amano Corp. | 49900 | 1185003 |
|  and ST HD Co. Ltd. | 18500 | 342929 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Anritsu Corp. | 58600 | $1008528 |
|  Anycolor, Inc. | 11000 | 200446 |
|  AOKI Holdings, Inc. | 95900 | 971719 |
|  Aoyama Trading Co. Ltd. | 135900 | 687658 |
|  Aozora Bank Ltd. | 77600 | 1216509 |
|  Arcs Co. Ltd. | 25600 | 608259 |
|  ARE Holdings, Inc. | 36800 | 776064 |
|  Ariake Japan Co. Ltd. | 8200 | 288642 |
|  Artience Co. Ltd. | 20600 | 484279 |
|  As One Corp. | 21700 | 300627 |
|  Asahi Kogyosha Co. Ltd. | 13500 | 289365 |
|  Asanuma Corp. | 105900 | 652348 |
|  Autobacs Seven Co. Ltd. | 3 | 30 |
|  Bando Chemical Industries Ltd. | 36300 | 460681 |
|  Bank of Nagoya Ltd. | 27900 | 987347 |
|  Bic Camera, Inc. | 63600 | 689810 |
|  Bunka Shutter Co. Ltd. | 36900 | 440694 |
|  C Uyemura & Co. Ltd. | 6000 | 743730 |
|  Calbee, Inc. | 36200 | 700153 |
|  Casio Computer Co. Ltd. | 129700 | 1142182 |
|  Central Glass Co. Ltd. | 12200 | 302910 |
|  Chori Co. Ltd. | 21500 | 566928 |
|  Chugin Financial Group, Inc. | 141900 | 2468912 |
|  Chugoku Electric Power Co., Inc. | 200300 | 1256140 |
|  Chugoku Marine Paints Ltd. | 34500 | 706958 |
|  Citizen Watch Co. Ltd. | 157100 | 1644173 |
|  CKD Corp. | 16900 | 453599 |
|  Computer Engineering & Consulting Ltd. | 13500 | 163521 |
|  Create Restaurants Holdings, Inc.<sup>(a)</sup> | 85600 | 410540 |
|  Create SD Holdings Co. Ltd. | 21800 | 452882 |
|  Daicel Corp. | 182700 | 1407372 |
|  Dai-Dan Co. Ltd. | 88200 | 1454200 |
|  Daido Steel Co. Ltd. | 101255 | 1153590 |
|  Daiei Kankyo Co. Ltd. | 15900 | 388280 |
|  Daihen Corp. | 4800 | 337017 |
|  Daiichikosho Co. Ltd. | 39400 | 417676 |
|  Dainichiseika Color & Chemicals Manufacturing Co. Ltd. | 48800 | 330671 |
|  Daio Paper Corp. | 36300 | 233421 |
|  Daishi Hokuetsu Financial Group, Inc. | 230640 | 2709574 |
|  Daiwabo Holdings Co. Ltd. | 41200 | 793752 |
|  DCM Holdings Co. Ltd. | 52900 | 532026 |
|  Dentsu Soken, Inc. | 46200 | 572091 |
|  Dexerials Corp. | 60600 | 805448 |
|  DIC Corp. | 36300 | 834200 |
|  Dip Corp.<sup>(a)</sup> | 20400 | 266589 |
|  DMG Mori Co. Ltd. | 65800 | 978583 |
|  Dowa Holdings Co. Ltd. | 21100 | 1158517 |
|  DTS Corp. | 97600 | 630053 |
|  Eagle Industry Co. Ltd. | 26600 | 475520 |
|  EDION Corp. | 37600 | 510503 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;75

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Eiken Chemical Co. Ltd. | 9700 | $186269 |
|  Elecom Co. Ltd. | 41700 | 418075 |
|  EM Systems Co. Ltd.<sup>(a)</sup> | 70100 | 288613 |
|  ES-Con Japan Ltd. | 84700 | 576060 |
|  Exedy Corp. | 65400 | 2273317 |
|  EXEO Group, Inc. | 144800 | 2428806 |
|  Ezaki Glico Co. Ltd.<sup>(a)</sup> | 13500 | 498963 |
|  Feed One Co. Ltd. | 27700 | 205456 |
|  Ferrotec Corp. | 24600 | 971073 |
|  First Bank of Toyama Ltd. | 27000 | 396455 |
|  FP Corp. | 19000 | 281136 |
|  France Bed Holdings Co. Ltd. | 29400 | 238948 |
|  Fuji Oil Co. Ltd. | 12200 | 275380 |
|  Fuji Seal International, Inc. | 33900 | 549764 |
|  Fujimi, Inc. | 31323 | 528252 |
|  Funai Soken Holdings, Inc. | 58000 | 415978 |
|  Furuno Electric Co. Ltd. | 9300 | 356006 |
|  Furyu Corp. | 21000 | 162229 |
|  Futaba Industrial Co. Ltd. | 38000 | 228826 |
|  Future Corp. | 29200 | 291835 |
|  Glory Ltd. | 22877 | 571601 |
|  GMO Financial Holdings, Inc. | 117200 | 655654 |
|  Goldwin, Inc. | 38200 | 531136 |
|  GS Yuasa Corp. | 32700 | 1084656 |
|  Gunze Ltd. | 13600 | 316299 |
|  H2O Retailing Corp. | 31800 | 476730 |
|  Hakuhodo DY Holdings, Inc. | 165000 | 1065152 |
|  Hakuto Co. Ltd. | 25300 | 663153 |
|  Hanwa Co. Ltd. | 113000 | 1103080 |
|  Happinet Corp. | 15500 | 261792 |
|  Hazama Ando Corp. | 204800 | 2512852 |
|  Heiwa Real Estate Co. Ltd. | 34100 | 517427 |
|  Heiwado Co. Ltd. | 17500 | 326262 |
|  Hirogin Holdings, Inc. | 145700 | 1574318 |
|  Hokkaido Electric Power Co., Inc. | 63400 | 420833 |
|  Hokkaido Gas Co. Ltd. | 80300 | 439634 |
|  Hokuetsu Corp. | 47500 | 272896 |
|  Hokuriku Electric Power Co. | 46100 | 309333 |
|  House Foods Group, Inc. | 20200 | 387138 |
|  HU Group Holdings, Inc. | 23300 | 467347 |
|  Hyakugo Bank Ltd. | 79700 | 753465 |
|  Hyakujushi Bank Ltd. | 49600 | 651294 |
|  Ichigo, Inc. | 145200 | 425314 |
|  Iino Kaiun Kaisha Ltd. | 77600 | 854093 |
|  Inaba Denki Sangyo Co. Ltd. | 82000 | 1340122 |
|  Inabata & Co. Ltd. | 36400 | 903765 |
|  INFRONEER Holdings, Inc. | 150300 | 2038294 |
|  Ishihara Sangyo Kaisha Ltd. | 39500 | 685521 |
|  Ito En Ltd. | 14600 | 273159 |
|  Itochu Enex Co. Ltd. | 81001 | 1013722 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Itoham Yonekyu Holdings, Inc. | 20500 | $739644 |
|  IwaiCosmo Holdings, Inc. | 13800 | 300999 |
|  Iwatani Corp. | 110100 | 1387582 |
|  Izumi Co. Ltd. | 62100 | 404788 |
|  JAC Recruitment Co. Ltd.<sup>(a)</sup> | 94300 | 503242 |
|  Japan Airport Terminal Co. Ltd. | 28900 | 936811 |
|  Japan Elevator Service Holdings Co. Ltd. | 28300 | 288621 |
|  Japan Investment Adviser Co. Ltd.<sup>(a)</sup> | 25400 | 299519 |
|  Japan Lifeline Co. Ltd. | 35900 | 308926 |
|  Japan Securities Finance Co. Ltd. | 36300 | 471405 |
|  Japan Transcity Corp. | 36300 | 280881 |
|  Jeol Ltd. | 12200 | 438568 |
|  JMDC, Inc.<sup>\*</sup> | 9800 | 199585 |
|  Juroku Financial Group, Inc. | 131000 | 1462417 |
|  Justsystems Corp. | 12200 | 267635 |
|  Kaga Electronics Co. Ltd. | 30100 | 698152 |
|  Kamei Corp. | 15800 | 325256 |
|  Kanamoto Co. Ltd. | 12200 | 333201 |
|  Kaneka Corp. | 33200 | 1000654 |
|  Kanematsu Corp. | 122900 | 1703790 |
|  Kansai Paint Co. Ltd. | 87400 | 1287459 |
|  Katitas Co. Ltd. | 41200 | 807995 |
|  Kato Sangyo Co. Ltd. | 12400 | 522220 |
|  Keihan Holdings Co. Ltd. | 17700 | 359363 |
|  Keikyu Corp. | 84600 | 810956 |
|  Keio Corp. | 232500 | 1127206 |
|  KH Neochem Co. Ltd. | 12000 | 204488 |
|  Ki-Star Real Estate Co. Ltd. | 5600 | 115281 |
|  Kitz Corp. | 57900 | 643819 |
|  Kiyo Bank Ltd. | 70300 | 1690223 |
|  Koatsu Gas Kogyo Co. Ltd. | 25300 | 174932 |
|  Kojima Co. Ltd. | 20100 | 162604 |
|  Kokuyo Co. Ltd. | 182800 | 985757 |
|  Konica Minolta, Inc. | 86800 | 280004 |
|  Konoike Transport Co. Ltd. | 43900 | 798859 |
|  Kotobuki Spirits Co. Ltd. | 22300 | 256585 |
|  K's Holdings Corp. | 67300 | 707942 |
|  Kumagai Gumi Co. Ltd. | 80800 | 778085 |
|  Kurabo Industries Ltd. | 11995 | 634094 |
|  Kureha Corp. | 23500 | 582736 |
|  Kurimoto Ltd. | 46400 | 443905 |
|  Kusuri no Aoki Holdings Co. Ltd.<sup>(a)</sup> | 16000 | 389113 |
|  KYB Corp. | 39700 | 1034361 |
|  Kyokuto Kaihatsu Kogyo Co. Ltd. | 35300 | 636816 |
|  Kyorin Pharmaceutical Co. Ltd. | 90 | 931 |
|  Kyushu Financial Group, Inc. | 199700 | 1414683 |
|  LA Holdings Co. Ltd. | 7400 | 407933 |
|  LEC, Inc. | 12200 | 85812 |
|  Leopalace21 Corp. | 84600 | 337677 |
|  Life Corp. | 53300 | 850977 |

---

*See Notes to Financial Statements.*

76&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Lintec Corp. | 45030 | $1268052 |
|  Lion Corp. | 66300 | 693672 |
|  Mabuchi Motor Co. Ltd. | 108000 | 1062757 |
|  Macnica Holdings, Inc. | 97000 | 1408753 |
|  Marubun Corp. | 5300 | 36846 |
|  Maruzen Showa Unyu Co. Ltd. | 7700 | 397850 |
|  Matsui Securities Co. Ltd. | 221440 | 1312577 |
|  Max Co. Ltd. | 97200 | 980615 |
|  MCJ Co. Ltd. | 43100 | 620668 |
|  Megmilk Snow Brand Co. Ltd. | 21900 | 446012 |
|  Meidensha Corp. | 20200 | 952291 |
|  Meiko Electronics Co. Ltd. | 4400 | 667647 |
|  MEITEC Group Holdings, Inc. | 79500 | 1633575 |
|  Mirait One Corp. | 35600 | 798869 |
|  Mitsubishi Logistics Corp. | 166700 | 1384189 |
|  Mitsubishi Materials Corp. | 64700 | 1958203 |
|  Mitsuboshi Belting Ltd. | 31100 | 768263 |
|  Mitsui DM Sugar Co. Ltd. | 18400 | 393237 |
|  Mitsui E&S Co. Ltd. | 12400 | 434690 |
|  Mitsui-Soko Holdings Co. Ltd. | 14800 | 371558 |
|  Miura Co. Ltd. | 39300 | 767275 |
|  Mizuno Corp. | 18500 | 391885 |
|  Monex Group, Inc. | 111600 | 469998 |
|  Morinaga & Co. Ltd. | 31600 | 536400 |
|  Morinaga Milk Industry Co. Ltd. | 30300 | 907343 |
|  Musashino Bank Ltd. | 71700 | 938784 |
|  Nabtesco Corp. | 36100 | 871810 |
|  Nagase & Co. Ltd. | 188000 | 1364888 |
|  Nagoya Railroad Co. Ltd. | 49200 | 533781 |
|  Nakanishi, Inc. | 27000 | 458571 |
|  NANKAI Co. Ltd. | 24000 | 462832 |
|  Nanto Bank Ltd. | 65000 | 575680 |
|  Nichias Corp. | 97800 | 1774465 |
|  Nichicon Corp. | 16200 | 174637 |
|  Nichirei Corp. | 88100 | 1090659 |
|  Nifco, Inc. | 41000 | 1131630 |
|  Nihon Kohden Corp. | 34600 | 316444 |
|  Nihon M&A Center Holdings, Inc. | 235500 | 932733 |
|  Nihon Nohyaku Co. Ltd. | 22200 | 139544 |
|  Nikkon Holdings Co. Ltd. | 33500 | 895565 |
|  Nippn Corp. | 36400 | 620738 |
|  Nippon Denko Co. Ltd. | 17500 | 45210 |
|  Nippon Densetsu Kogyo Co. Ltd. | 22300 | 667921 |
|  Nippon Electric Glass Co. Ltd. | 39600 | 1471839 |
|  Nippon Gas Co. Ltd. | 94900 | 1750481 |
|  Nippon Kayaku Co. Ltd. | 114099 | 1259041 |
|  Nippon Shinyaku Co. Ltd. | 28200 | 906321 |
|  Nippon Shokubai Co. Ltd. | 145800 | 2080370 |
|  Nippon Soda Co. Ltd. | 37300 | 819432 |
|  Nishimatsu Construction Co. Ltd. | 24400 | 877136 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Nishi-Nippon Financial Holdings, Inc. | 82900 | $1931155 |
|  Nishi-Nippon Railroad Co. Ltd. | 12200 | 230749 |
|  Nissei ASB Machine Co. Ltd. | 7500 | 349331 |
|  Nisshin Oillio Group Ltd. | 52800 | 633573 |
|  Nisshinbo Holdings, Inc. | 51500 | 465989 |
|  Nissui Corp. | 143400 | 1210999 |
|  Nitto Kogyo Corp. | 40600 | 1076950 |
|  Noevir Holdings Co. Ltd. | 19500 | 554026 |
|  Nohmi Bosai Ltd. | 35100 | 904582 |
|  Nojima Corp. | 61000 | 416022 |
|  Nomura Co. Ltd. | 68300 | 549096 |
|  Nomura Micro Science Co. Ltd. | 7300 | 139035 |
|  Noritake Co. Ltd. | 32600 | 638312 |
|  North Pacific Bank Ltd. | 144500 | 849252 |
|  NPR-RIKEN Corp. | 21200 | 495719 |
|  NS United Kaiun Kaisha Ltd. | 13400 | 614030 |
|  NSD Co. Ltd. | 42400 | 730387 |
|  NSK Ltd. | 359800 | 2459504 |
|  NTN Corp. | 177100 | 355447 |
|  Ogaki Kyoritsu Bank Ltd. | 24900 | 951612 |
|  Ohsho Food Service Corp. | 18400 | 357383 |
|  Okamura Corp. | 60700 | 940509 |
|  Okasan Securities Group, Inc. | 144000 | 743127 |
|  Okinawa Cellular Telephone Co. | 60500 | 1306289 |
|  OKUMA Corp. | 25700 | 567019 |
|  Okumura Corp. | 24900 | 989176 |
|  Onward Holdings Co. Ltd. | 210900 | 939896 |
|  Open Up Group, Inc. | 36300 | 406147 |
|  Osaka Soda Co. Ltd. | 20400 | 218887 |
|  OSG Corp.<sup>(a)</sup> | 36200 | 575687 |
|  PAL GROUP Holdings Co. Ltd. | 53400 | 486370 |
|  PALTAC Corp. | 14600 | 441607 |
|  Park24 Co. Ltd. | 28400 | 336948 |
|  Penta-Ocean Construction Co. Ltd. | 86900 | 888719 |
|  Pigeon Corp. | 56100 | 575846 |
|  Pola Orbis Holdings, Inc.<sup>(a)</sup> | 130000 | 1068420 |
|  Prima Meat Packers Ltd. | 27500 | 471903 |
|  PS Construction Co. Ltd. | 36900 | 625090 |
|  Raito Kogyo Co. Ltd. | 28700 | 690936 |
|  Raiznext Corp. | 30200 | 428256 |
|  Relo Group, Inc. | 52300 | 621328 |
|  Rengo Co. Ltd. | 92700 | 732731 |
|  Resorttrust, Inc. | 90600 | 988348 |
|  Riken Vitamin Co. Ltd. | 27400 | 494643 |
|  Rorze Corp.<sup>(a)</sup> | 20900 | 337626 |
|  Round One Corp. | 48000 | 246683 |
|  Ryobi Ltd. | 8500 | 129084 |
|  Ryoyo Ryosan Holdings, Inc. | 38500 | 724068 |
|  Saizeriya Co. Ltd.<sup>(a)</sup> | 12000 | 479728 |
|  Sakai Moving Service Co. Ltd. | 20300 | 348860 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;77

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Sakata INX Corp. | 44100 | $628416 |
|  San ju San Financial Group, Inc. | 50800 | 459496 |
|  San-A Co. Ltd. | 22200 | 425608 |
|  San-Ai Obbli Co. Ltd. | 55900 | 846810 |
|  Sangetsu Corp. | 46900 | 910937 |
|  San-In Godo Bank Ltd. | 91800 | 997688 |
|  Sanki Engineering Co. Ltd. | 52900 | 2231184 |
|  Sankyu, Inc. | 38200 | 2094529 |
|  Sanyo Denki Co. Ltd. | 6600 | 180879 |
|  Scroll Corp. | 79100 | 661280 |
|  Seika Corp. | 23500 | 374606 |
|  Seiko Group Corp. | 24400 | 838947 |
|  Seino Holdings Co. Ltd. | 138300 | 2109403 |
|  Seiren Co. Ltd. | 24400 | 473154 |
|  Senko Group Holdings Co. Ltd. | 84900 | 958187 |
|  Senshu Ikeda Holdings, Inc. | 88700 | 478932 |
|  Seria Co. Ltd. | 16300 | 385241 |
|  Seven Bank Ltd. | 665900 | 1120507 |
|  Shibaura Mechatronics Corp. | 20500 | 508989 |
|  Shiga Bank Ltd. | 56500 | 661635 |
|  Shikoku Electric Power Co., Inc. | 87000 | 955912 |
|  Shin Nippon Air Technologies Co. Ltd. | 24100 | 493846 |
|  Shinagawa Refra Co. Ltd. | 20200 | 258515 |
|  Shin-Etsu Polymer Co. Ltd. | 48200 | 581708 |
|  Ship Healthcare Holdings, Inc. | 16800 | 253283 |
|  SHO-BOND Holdings Co. Ltd. | 125700 | 1109327 |
|  Sinfonia Technology Co. Ltd. | 5100 | 332434 |
|  SKY Perfect JSAT Corp. | 108100 | 1965763 |
|  Sotetsu Holdings, Inc. | 35900 | 660502 |
|  Starts Corp., Inc. | 36400 | 1086806 |
|  Sumitomo Heavy Industries Ltd. | 68300 | 2021223 |
|  Sun Frontier Fudousan Co. Ltd. | 35500 | 587538 |
|  Sun-Wa Technos Corp. | 2600 | 50908 |
|  Suruga Bank Ltd. | 82200 | 1028727 |
|  Suzuken Co. Ltd. | 16200 | 604356 |
|  SWCC Corp. | 6400 | 484355 |
|  Systena Corp. | 211500 | 549057 |
|  Tachi-S Co. Ltd. | 36400 | 464009 |
|  Taiheiyo Cement Corp. | 41400 | 911065 |
|  Taikisha Ltd. | 27900 | 576975 |
|  Taiyo Yuden Co. Ltd. | 48000 | 1114539 |
|  Takara Holdings, Inc. | 38200 | 370979 |
|  Takara Standard Co. Ltd. | 57800 | 995487 |
|  Takasago International Corp. | 68000 | 506506 |
|  Takeuchi Manufacturing Co. Ltd.<sup>(a)</sup> | 29300 | 1138186 |
|  Takuma Co. Ltd. | 37200 | 631107 |
|  Tamron Co. Ltd. | 90600 | 563794 |
|  Tanseisha Co. Ltd. | 33500 | 310384 |
|  Tayca Corp. | 12200 | 130136 |
|  Teijin Ltd. | 107200 | 1099695 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Teikoku Corp. | 12200 | $213648 |
|  TKC Corp. | 23000 | 534917 |
|  Toa Corp. | 106000 | 2028852 |
|  TOA Road Corp. | 55000 | 590829 |
|  Toagosei Co. Ltd. | 67800 | 727692 |
|  Tocalo Co. Ltd. | 52100 | 818719 |
|  Toda Corp. | 133100 | 1211445 |
|  Toenec Corp. | 63000 | 786856 |
|  Toho Gas Co. Ltd. | 83200 | 658425 |
|  Toho Holdings Co. Ltd. | 12200 | 365179 |
|  Tokai Carbon Co. Ltd.<sup>(a)</sup> | 83100 | 502549 |
|  TOKAI Holdings Corp. | 81900 | 599231 |
|  Tokai Rika Co. Ltd. | 41222 | 762046 |
|  Tokai Tokyo Financial Holdings, Inc. | 155700 | 696828 |
|  Tokuyama Corp. | 46800 | 1099619 |
|  Tokyo Kiraboshi Financial Group, Inc. | 18000 | 1245710 |
|  Tokyo Seimitsu Co. Ltd. | 13800 | 1145880 |
|  Tokyu Construction Co. Ltd. | 40900 | 360950 |
|  Tomoku Co. Ltd. | 12100 | 256694 |
|  TOMONY Holdings, Inc. | 119300 | 610410 |
|  Tomy Co. Ltd. | 25900 | 423608 |
|  Topy Industries Ltd. | 10000 | 182287 |
|  Toridoll Holdings Corp. | 14500 | 397112 |
|  Tosei Corp. | 49400 | 486889 |
|  Totech Corp. | 32700 | 748180 |
|  Totetsu Kogyo Co. Ltd. | 22800 | 769602 |
|  Toyota Boshoku Corp. | 110000 | 1667044 |
|  Transcosmos, Inc. | 14900 | 364328 |
|  Trial Holdings, Inc.<sup>(a)</sup> | 17700 | 467283 |
|  Tsubakimoto Chain Co. | 77300 | 1117544 |
|  Tsumura & Co. | 41001 | 965427 |
|  UACJ Corp. | 58800 | 852672 |
|  UBE Corp. | 84200 | 1286631 |
|  Uchida Yoko Co. Ltd. | 23700 | 293922 |
|  Ulvac, Inc. | 13200 | 676387 |
|  Umios Corp. | 71700 | 656427 |
|  U-Next Holdings Co. Ltd.<sup>(a)</sup> | 24100 | 250104 |
|  UT Group Co. Ltd. | 589800 | 719223 |
|  Valor Holdings Co. Ltd. | 36400 | 837413 |
|  Wacoal Holdings Corp. | 13200 | 328320 |
|  Wakita & Co. Ltd. | 38400 | 454022 |
|  Wellneo Sugar Co. Ltd. | 34900 | 627406 |
|  Xebio Holdings Co. Ltd. | 34100 | 212629 |
|  Yahagi Construction Co. Ltd. | 21900 | 286604 |
|  YAMABIKO Corp. | 25800 | 565982 |
|  Yamagata Bank Ltd. | 7000 | 103973 |
|  Yamaguchi Financial Group, Inc. | 108900 | 1647293 |
|  Yamanashi Chuo Bank Ltd. | 12000 | 391477 |
|  Yamazen Corp. | 45400 | 410081 |
|  Yellow Hat Ltd. | 24100 | 234047 |

---

*See Notes to Financial Statements.*

78&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Yokogawa Bridge Holdings Corp. | 36300 | $676304 |
|  Yokorei Co. Ltd. | 9000 | 87177 |
|  Yonex Co. Ltd. | 12000 | 222893 |
|  Yuasa Co. Ltd. | 14300 | 530329 |
|  Yurtec Corp. | 45500 | 731592 |
|  Zeon Corp. | 131800 | 1456436 |
|  Total Japan |  | 264560983 |
|  Jersey – 0.1% |  |  |
|  JTC PLC<sup>(b)</sup> | 46163 | 791376 |
|  Luxembourg – 0.4% |  |  |
|  APERAM SA | 87704 | 3431744 |
|  Malaysia – 0.1% |  |  |
|  Frencken Group Ltd. | 401800 | 635331 |
|  Netherlands – 1.8% |  |  |
|  Acomo NV | 45927 | 1407594 |
|  AMG Critical Materials NV | 15602 | 611565 |
|  Brunel International NV<sup>(a)</sup> | 94382 | 716642 |
|  Corbion NV | 54023 | 1167722 |
|  Eurocommercial Properties NV | 71664 | 2155110 |
|  ForFarmers NV | 153339 | 1107766 |
|  Havas NV<sup>\*</sup> | 111306 | 1922419 |
|  Kendrion NV | 38027 | 740468 |
|  Koninklijke BAM Groep NV | 168965 | 1677181 |
|  Koninklijke Heijmans NV | 23077 | 2036741 |
|  PostNL NV | 842579 | 1046543 |
|  Sligro Food Group NV | 35882 | 557307 |
|  Wereldhave NV | 102601 | 2512108 |
|  Total Netherlands |  | 17659166 |
|  Norway – 6.5% |  |  |
|  AF Gruppen ASA | 54815 | 956637 |
|  Austevoll Seafood ASA | 257271 | 2730927 |
|  Borregaard ASA | 54938 | 985855 |
|  Bouvet ASA | 150101 | 778169 |
|  BW Offshore Ltd. | 240230 | 1277485 |
|  Deep Value Driller AS | 293347 | 636929 |
|  DOF Group ASA | 405655 | 5788557 |
|  Elmera Group ASA<sup>(b)</sup> | 286646 | 1035827 |
|  Elopak ASA | 220753 | 821511 |
|  Europris ASA<sup>(b)</sup> | 143541 | 1345381 |
|  Hoegh Autoliners ASA | 496798 | 7084036 |
|  Kid ASA<sup>(b)</sup> | 61878 | 800397 |
|  Kitron ASA | 82389 | 790823 |
|  Klaveness Combination Carriers ASA<sup>(b)</sup> | 126228 | 1221986 |
|  Leroy Seafood Group ASA | 572309 | 2890642 |
|  Moreld AS<sup>\*</sup> | 336028 | 600928 |
|  Multiconsult ASA<sup>(b)</sup> | 44982 | 752705 |
|  NORBIT ASA | 46957 | 918802 |
|  Norconsult Norge AS | 337921 | 1425790 |
|  Norwegian Air Shuttle ASA | 1638612 | 2392073 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Odfjell Drilling Ltd. | 474652 | $4950713 |
|  Odfjell SE, Class A | 132893 | 1618026 |
|  Pareto Bank ASA | 99160 | 869347 |
|  Pexip Holding ASA | 148659 | 929410 |
|  Reach Subsea ASA | 703120 | 506717 |
|  SpareBank 1 Nord Norge | 202361 | 3234552 |
|  SpareBank 1 Oestlandet | 69315 | 1411070 |
|  SpareBank 1 SMN | 178434 | 3785399 |
|  Sparebanken Norge | 147298 | 3017046 |
|  Stolt-Nielsen Ltd. | 85480 | 2926571 |
|  Veidekke ASA | 135221 | 2615313 |
|  Wilh Wilhelmsen Holding ASA, Class A | 32583 | 2425089 |
|  Total Norway |  | 63524713 |
|  Peru – 0.1% |  |  |
|  Hochschild Mining PLC | 129807 | 1021923 |
|  Portugal – 1.9% |  |  |
|  Altri SGPS SA<sup>(a)</sup> | 266203 | 1501390 |
|  Corticeira Amorim SGPS SA | 188291 | 1407998 |
|  CTT-Correios de Portugal SA | 97385 | 676608 |
|  Martifer SGPS SA<sup>(a)</sup> | 27004 | 76229 |
|  Mota-Engil SGPS SA<sup>(a)</sup> | 179923 | 917957 |
|  NOS SGPS SA | 861805 | 5401766 |
|  REN – Redes Energeticas Nacionais SGPS SA | 843027 | 3627938 |
|  Semapa-Sociedade de Investimento & Gestao | 60700 | 1552635 |
|  Sonae SGPS SA | 1664508 | 3670757 |
|  Total Portugal |  | 18833278 |
|  Singapore – 4.7% |  |  |
|  APAC Realty Ltd. | 1110100 | 486150 |
|  Aspial Lifestyle Ltd. | 3598900 | 836856 |
|  Aztech Global Ltd.<sup>(a)</sup> | 1770100 | 1097609 |
|  Banyan Tree Holdings Ltd. | 1093700 | 495923 |
|  Centurion Corp. Ltd. | 931000 | 1060784 |
|  China Aviation Oil Singapore Corp. Ltd. | 833300 | 1330541 |
|  CNMC Goldmine Holdings Ltd. | 398500 | 454052 |
|  ComfortDelGro Corp. Ltd.<sup>(a)</sup> | 2238100 | 2498054 |
|  CSE Global Ltd. | 1366478 | 1260403 |
|  Delfi Ltd. | 921900 | 675267 |
|  Far East Orchard Ltd. | 415400 | 373495 |
|  Food Empire Holdings Ltd. | 560300 | 1307215 |
|  Geo Energy Resources Ltd.<sup>(a)</sup> | 1482900 | 591942 |
|  GuocoLand Ltd. | 701700 | 1283581 |
|  Hafnia Ltd. | 993311 | 7605124 |
|  Ho Bee Land Ltd. | 347200 | 567835 |
|  Hong Leong Asia Ltd. | 517000 | 1126047 |
|  iFAST Corp. Ltd.<sup>(a)</sup> | 84200 | 586068 |
|  Keppel Infrastructure Trust | 7593841 | 3001867 |
|  KSH Holdings Ltd. | 1542800 | 400603 |
|  LHN Ltd.<sup>(a)</sup> | 674600 | 303273 |
|  Netlink NBN Trust | 3921900 | 2933483 |
|  OUE Ltd. | 469300 | 403769 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;79

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Pan-United Corp. Ltd. | 741800 | $891206 |
|  Propnex Ltd.<sup>(a)</sup> | 743100 | 961886 |
|  Q&M Dental Group Singapore Ltd. | 1453400 | 597064 |
|  Sheng Siong Group Ltd. | 1359100 | 2970710 |
|  SIA Engineering Co. Ltd.<sup>(a)</sup> | 831300 | 2087674 |
|  StarHub Ltd.<sup>(a)</sup> | 1841000 | 1455505 |
|  Tuan Sing Holdings Ltd. | 1847100 | 422350 |
|  UMS Integration Ltd. | 1123447 | 1341013 |
|  Venture Corp. Ltd. | 277100 | 3307631 |
|  Wee Hur Holdings Ltd. | 930900 | 465396 |
|  Wing Tai Holdings Ltd. | 602300 | 760957 |
|  Total Singapore |  | 45941333 |
|  South Africa – 0.2% |  |  |
|  Pan African Resources PLC | 1228775 | 2258816 |
|  Spain – 2.0% |  |  |
|  Alantra Partners SA | 37742 | 394856 |
|  Almirall SA | 85974 | 1204560 |
|  ATALAYA MINING COPPER SA | 60866 | 569071 |
|  Befesa SA<sup>(b)</sup> | 22544 | 755359 |
|  Construcciones y Auxiliar de Ferrocarriles SA | 26358 | 1767516 |
|  Elecnor SA | 162923 | 6307387 |
|  Faes Farma SA | 356260 | 1910797 |
|  Gestamp Automocion SA<sup>(b)</sup> | 380610 | 1289304 |
|  Global Dominion Access SA<sup>(b)</sup> | 152536 | 540437 |
|  Grupo Empresarial San Jose SA | 73699 | 670836 |
|  Linea Directa Aseguradora SA Cia de Seguros y Reaseguros | 623639 | 846460 |
|  Melia Hotels International SA | 110974 | 1223661 |
|  Pharma Mar SA<sup>\*</sup> | 7341 | 739255 |
|  Prosegur Cash SA<sup>(a)(b)</sup> | 1203561 | 870874 |
|  Tubacex SA<sup>(a)</sup> | 199695 | 651151 |
|  Total Spain |  | 19741524 |
|  Sweden – 7.1% |  |  |
|  AcadeMedia AB<sup>(b)</sup> | 95370 | 1005133 |
|  AddLife AB, Class B | 25112 | 367734 |
|  Addnode Group AB | 43508 | 302347 |
|  Alimak Group AB<sup>(b)</sup> | 71608 | 804310 |
|  Alleima AB | 158543 | 1230731 |
|  Alligo AB, Class B | 37470 | 497961 |
|  Ambea AB<sup>(b)</sup> | 56991 | 793282 |
|  AQ Group AB | 40139 | 782871 |
|  Arjo AB, Class B | 224139 | 587744 |
|  Atea ASA<sup>\*</sup> | 114099 | 1656265 |
|  Attendo AB<sup>(b)</sup> | 79938 | 849204 |
|  Bahnhof AB, Class B | 93396 | 508831 |
|  Beijer Alma AB | 31603 | 792874 |
|  Bergman & Beving AB | 14638 | 414881 |
|  Betsson AB, Class B | 121196 | 1274776 |
|  Bilia AB, Class A | 104489 | 1364486 |
|  Billerud Aktiebolag | 213355 | 1630468 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  BioGaia AB, Class B | 134620 | $1687299 |
|  Bravida Holding AB<sup>(b)</sup> | 153129 | 1581723 |
|  Bufab AB | 68742 | 754511 |
|  Bulten AB | 78653 | 355853 |
|  Catena AB | 26765 | 1233979 |
|  Clas Ohlson AB, Class B | 38576 | 1507202 |
|  Cloetta AB, Class B | 283732 | 1580053 |
|  Coor Service Management Holding AB<sup>(b)</sup> | 111851 | 695088 |
|  Corem Property Group AB, Class B | 1312588 | 459656 |
|  Dios Fastigheter AB | 117297 | 772643 |
|  Duni AB<sup>(a)</sup> | 77284 | 777201 |
|  Electrolux Professional AB, Class B | 104983 | 555428 |
|  Elekta AB, Class B | 376685 | 2182707 |
|  Engcon AB<sup>(a)</sup> | 50845 | 345327 |
|  Eolus AB, Class B | 84644 | 326092 |
|  Fagerhult Group AB | 164301 | 470848 |
|  FastPartner AB, Class A | 120550 | 540980 |
|  Granges AB | 68976 | 1070888 |
|  Heba Fastighets AB, Class B | 150176 | 438251 |
|  Hemnet Group AB | 26202 | 293204 |
|  Hexpol AB | 313954 | 2361349 |
|  Hufvudstaden AB, Class A | 92064 | 1154877 |
|  Humana AB | 87574 | 441260 |
|  Husqvarna AB, Class B | 225604 | 876957 |
|  Intea Fastigheter AB<sup>\*</sup> | 61605 | 453004 |
|  INVISIO AB | 12397 | 337701 |
|  Inwido AB | 41860 | 649019 |
|  Lindab International AB | 52405 | 838920 |
|  Logistea AB, Class B | 254743 | 349240 |
|  Loomis AB | 48614 | 2185174 |
|  MIPS AB | 18795 | 453388 |
|  Morrow Bank AB<sup>\*</sup> | 403363 | 535630 |
|  Munters Group AB<sup>(b)</sup> | 74222 | 1291800 |
|  NCC AB, Class B | 107773 | 2339583 |
|  New Wave Group AB, Class B | 82008 | 828581 |
|  Nolato AB, Class B | 163534 | 819537 |
|  Note AB | 31685 | 560776 |
|  NP3 Fastigheter AB | 32523 | 836440 |
|  Nyab AB | 704828 | 452067 |
|  OEM International AB, Class B | 51460 | 696847 |
|  Paradox Interactive AB | 49596 | 644013 |
|  Peab AB, Class B | 184653 | 1864702 |
|  Platzer Fastigheter Holding AB, Class B | 79903 | 566167 |
|  Proact IT Group AB | 31625 | 326998 |
|  Ratos AB, Class B | 192698 | 651750 |
|  RaySearch Laboratories AB | 20062 | 403083 |
|  Rejlers AB | 23567 | 389392 |
|  Rusta AB | 87648 | 857964 |
|  Rvrc Holding AB | 97190 | 668253 |
|  Scandi Standard AB | 83960 | 1302641 |
|  Scandic Hotels Group AB<sup>(b)</sup> | 132897 | 1186499 |

---

*See Notes to Financial Statements.*

80&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  SkiStar AB | 40081 | $685390 |
|  Svedbergs Group AB | 119161 | 854344 |
|  Synsam AB | 131568 | 948823 |
|  Systemair AB | 98550 | 733468 |
|  Thule Group AB<sup>(b)</sup> | 79123 | 1687736 |
|  Troax Group AB<sup>(a)</sup> | 48700 | 492304 |
|  Truecaller AB, Class B | 103207 | 117873 |
|  VBG Group AB, Class B | 17379 | 635961 |
|  Wallenstam AB, Class B | 180027 | 771416 |
|  Wihlborgs Fastigheter AB | 209091 | 1888705 |
|  Zinzino AB, Class B<sup>(a)</sup> | 38150 | 559059 |
|  Total Sweden |  | 69191522 |
|  Switzerland – 0.9% |  |  |
|  Clariant AG, Registered Shares<sup>\*</sup> | 372439 | 3582793 |
|  Comet Holding AG, Registered Shares | 2288 | 703869 |
|  Implenia AG, Registered Shares<sup>\*</sup> | 7911 | 611378 |
|  Inficon Holding AG, Registered Shares | 11558 | 1429737 |
|  International Workplace Group PLC | 175345 | 404417 |
|  Landis & Gyr Group AG<sup>\*</sup> | 13544 | 851188 |
|  Vetropack Holding AG, Registered Shares<sup>(a)</sup> | 20420 | 576858 |
|  Zehnder Group AG | 7313 | 603387 |
|  Total Switzerland |  | 8763627 |
|  United Kingdom – 12.4% |  |  |
|  Advanced Medical Solutions Group PLC | 130089 | 329373 |
|  AG Barr PLC | 92434 | 794740 |
|  AJ Bell PLC | 285084 | 1766166 |
|  Alfa Financial Software Holdings PLC<sup>(b)</sup> | 264359 | 505485 |
|  Alumasc Group PLC | 91865 | 254399 |
|  Avon Technologies PLC | 20422 | 446507 |
|  Baltic Classifieds Group PLC | 166472 | 401734 |
|  Big Yellow Group PLC | 155041 | 1727623 |
|  Bloomsbury Publishing PLC<sup>(a)</sup> | 76139 | 565277 |
|  Bodycote PLC | 134943 | 1086380 |
|  BRCK Group PLC | 769470 | 515467 |
|  Brooks Macdonald Group PLC<sup>(a)</sup> | 21745 | 385680 |
|  BTG Consulting PLC | 507626 | 803287 |
|  Bytes Technology Group PLC<sup>(a)</sup> | 252489 | 920293 |
|  Card Factory PLC | 588159 | 492509 |
|  Cerillion PLC | 22002 | 372830 |
|  Chemring Group PLC | 110444 | 739864 |
|  Chesnara PLC | 352756 | 1397863 |
|  City of London Investment Group PLC | 151353 | 782389 |
|  Clarkson PLC | 24865 | 1511594 |
|  CMC Markets PLC<sup>(b)</sup> | 339837 | 1539371 |
|  Coats Group PLC | 1254550 | 1326808 |
|  Cohort PLC<sup>(a)</sup> | 35145 | 562637 |
|  Costain Group PLC | 218146 | 521832 |
|  Craneware PLC | 22824 | 400303 |
|  Currys PLC | 349792 | 573359 |
|  CVS Group PLC | 27529 | 405862 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Derwent London PLC | 98666 | $2045342 |
|  DiscoverIE Group PLC | 74647 | 529591 |
|  Domino's Pizza Group PLC | 562398 | 1277094 |
|  Dr. Martens PLC | 707223 | 587081 |
|  Dunelm Group PLC | 370767 | 3833213 |
|  Elementis PLC | 397598 | 784371 |
|  Elixirr International PLC | 47868 | 378741 |
|  Essentra PLC | 223602 | 266557 |
|  Eurocell PLC | 174529 | 241659 |
|  Everplay Group PLC | 94634 | 279538 |
|  Ferrari Group PLC | 108098 | 1042488 |
|  Fevertree Drinks PLC<sup>(a)</sup> | 62586 | 628895 |
|  Fintel PLC<sup>(a)</sup> | 137086 | 341665 |
|  Firstgroup PLC | 480092 | 1052207 |
|  Focusrite PLC | 149474 | 310450 |
|  Fonix PLC | 143182 | 272836 |
|  Foresight Group Holdings Ltd. | 196503 | 912132 |
|  Forterra PLC<sup>(b)</sup> | 210812 | 430340 |
|  Franchise Brands PLC<sup>(a)</sup> | 143954 | 231595 |
|  FRP Advisory Group PLC | 340713 | 491981 |
|  Fuller Smith & Turner PLC, Class A | 33894 | 290524 |
|  FW Thorpe PLC | 109080 | 345225 |
|  Galliford Try Holdings PLC | 153711 | 971940 |
|  Gamma Communications PLC | 58424 | 547010 |
|  GB Group PLC | 118813 | 314924 |
|  Genuit Group PLC | 216076 | 816351 |
|  Genus PLC | 22144 | 692070 |
|  Grainger PLC | 651446 | 1391679 |
|  Greggs PLC<sup>(a)</sup> | 86846 | 1743052 |
|  Halfords Group PLC | 396681 | 674803 |
|  Hammerson PLC | 553513 | 2150336 |
|  Hargreaves Services PLC | 74390 | 725926 |
|  Harworth Group PLC | 132528 | 256030 |
|  Helical PLC | 160921 | 372210 |
|  Henry Boot PLC | 149194 | 358070 |
|  Hill & Smith PLC | 54415 | 1510485 |
|  Hilton Food Group PLC | 109828 | 740082 |
|  Hollywood Bowl Group PLC | 216384 | 671988 |
|  Hunting PLC | 139668 | 913533 |
|  IntegraFin Holdings PLC | 197442 | 796722 |
|  J D Wetherspoon PLC | 88164 | 648741 |
|  James Halstead PLC<sup>(a)</sup> | 623709 | 991094 |
|  Johnson Service Group PLC | 370452 | 623345 |
|  Jupiter Fund Management PLC | 516004 | 1133637 |
|  Kainos Group PLC | 80555 | 775463 |
|  Keller Group PLC | 61201 | 1551164 |
|  Keystone Law Group PLC | 66327 | 393594 |
|  Kier Group PLC | 344619 | 866179 |
|  Knights Group Holdings PLC | 195353 | 416043 |
|  Lancashire Holdings Ltd. | 185304 | 1427064 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;81

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  LSL Property Services PLC | 138985 | $408713 |
|  Luceco PLC<sup>(b)</sup> | 200312 | 456982 |
|  Macfarlane Group PLC | 277375 | 240679 |
|  Man Group PLC | 1421319 | 4715720 |
|  Me Group International PLC | 338691 | 605632 |
|  Michelmersh Brick Holdings PLC | 344944 | 327512 |
|  Midwich Group PLC | 261021 | 540407 |
|  Mitie Group PLC | 883210 | 1968323 |
|  MONY Group PLC | 720582 | 1427247 |
|  Moonpig Group PLC | 181236 | 500696 |
|  Morgan Advanced Materials PLC | 304441 | 806947 |
|  Morgan Sindall Group PLC | 38662 | 2108170 |
|  Mortgage Advice Bureau Holdings Ltd. | 57952 | 424902 |
|  Next 15 Group PLC | 131540 | 392023 |
|  Nichols PLC | 36904 | 455507 |
|  Ninety One PLC | 673642 | 2020065 |
|  NIOX Group PLC | 402944 | 313504 |
|  Norcros PLC | 143893 | 527509 |
|  On the Beach Group PLC<sup>(b)</sup> | 144513 | 299575 |
|  OSB Group PLC | 400302 | 2744965 |
|  Oxford Instruments PLC | 20376 | 644876 |
|  Paratus Energy Services Ltd. | 249974 | 1188159 |
|  PayPoint PLC<sup>(a)</sup> | 93435 | 682598 |
|  Pennon Group PLC | 535237 | 3737299 |
|  Personal Group Holdings PLC | 103412 | 481384 |
|  Petronor E&P ASA<sup>\*</sup> | 381097 | 528163 |
|  Pets at Home Group PLC | 580198 | 1386373 |
|  Polar Capital Holdings PLC | 190785 | 1532171 |
|  PPHE Hotel Group Ltd.<sup>(a)</sup> | 38249 | 802988 |
|  Premier Foods PLC | 273695 | 666983 |
|  Premier Miton Group PLC<sup>(a)</sup> | 603978 | 344471 |
|  Property Franchise Group PLC | 92064 | 522040 |
|  PZ Cussons PLC | 613448 | 647163 |
|  Ramsdens Holdings PLC | 96366 | 444772 |
|  Rank Group PLC | 320354 | 377248 |
|  Renew Holdings PLC | 56416 | 632364 |
|  Restore PLC<sup>(a)</sup> | 93326 | 297211 |
|  S4 Capital PLC<sup>(a)</sup> | 1630895 | 597884 |
|  Sabre Insurance Group PLC<sup>(b)</sup> | 530599 | 1094332 |
|  Safestore Holdings PLC | 187564 | 1569376 |
|  Savills PLC | 100387 | 1090813 |
|  Secure Trust Bank PLC | 38115 | 640843 |
|  Senior PLC | 227541 | 858166 |
|  Smiths News PLC | 951142 | 802733 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Spire Healthcare Group PLC<sup>(b)</sup> | 164349 | $316421 |
|  SSP Group PLC | 422407 | 974242 |
|  Supreme PLC<sup>(a)</sup> | 214860 | 368336 |
|  Tatton Asset Management PLC | 54341 | 417058 |
|  Telecom Plus PLC | 80803 | 1376689 |
|  TP ICAP Group PLC | 876882 | 3139473 |
|  Travis Perkins PLC | 111379 | 829846 |
|  Tristel PLC | 88667 | 420930 |
|  Vertu Motors PLC | 434253 | 331564 |
|  Victorian Plumbing Group PLC | 458228 | 389147 |
|  Volex PLC | 97118 | 580155 |
|  Volution Group PLC | 94098 | 707296 |
|  Warpaint London PLC<sup>(a)</sup> | 189944 | 463386 |
|  WH Smith PLC | 151666 | 1148011 |
|  Wickes Group PLC | 318443 | 877655 |
|  Wilmington PLC | 108155 | 328035 |
|  Workspace Group PLC | 279494 | 1258662 |
|  XPS Pensions Group PLC | 202075 | 772781 |
|  YouGov PLC | 96570 | 215216 |
|  Young & Co.'s Brewery PLC, Class A | 44309 | 441733 |
|  Yu Group PLC | 23838 | 523395 |
|  Zotefoams PLC | 82572 | 369129 |
|  Total United Kingdom |  | 121281340 |
|  United States – 0.2% |  |  |
|  Reliance Worldwide Corp. Ltd. | 403557 | 843008 |
|  Sims Ltd. | 91598 | 1122965 |
|  Total United States |  | 1965973 |
|  TOTAL COMMON STOCKS<br> (Cost: $824,107,739) |  | 963049899 |
|  EXCHANGE-TRADED FUNDS – 0.3% |  |  |
|  United States – 0.3% |  |  |
|  WisdomTree Europe SmallCap Dividend Fund<sup>(c)</sup> | 25874 | 1856020 |
|  WisdomTree Japan SmallCap Dividend Fund<sup>(c)</sup> | 14702 | 1500486 |
|  TOTAL EXCHANGE-TRADED FUNDS<br> (Cost: $3,282,962) | TOTAL EXCHANGE-TRADED FUNDS<br> (Cost: $3,282,962) | 3356506 |
|  MUTUAL FUND – 0.0% |  |  |
|  United States – 0.0% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(d)</sup><br> (Cost: $259,485) | 259485 | 259485 |

---

*See Notes to Financial Statements.*

82&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.3% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.3% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 3.3% |
|  United States – 3.3% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(d)</sup> | 1688378 | $1688378 |
|  WisdomTree Treasury Money Market Digital Fund, 3.43%<sup>(c)(d)</sup> | 30700000 | 30700000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED |  |  |
|  (Cost: $32,388,378) |  | 32388378 |
|  TOTAL INVESTMENTS IN SECURITIES – 102.3% <br> (Cost: $860,038,564) | TOTAL INVESTMENTS IN SECURITIES – 102.3% <br> (Cost: $860,038,564) | 999054268 |
|  Other Liabilities less Assets – (2.3)% |  | (22831507) |
|  NET ASSETS – 100.0% |  | $976222761 |

---

<sup>†&nbsp;&nbsp;&nbsp;&nbsp;</sup>Share amount represents a fractional share.

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>This security is being fair valued using significant unobservable inputs (i.e., Level 3 on the fair value hierarchy) by WisdomTree Asset Management, Inc., as valuation designee, in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust. The aggregate value of Level 3 fair valued securities is $598,082, which represents 0.1% of net assets.

<sup>‡&nbsp;&nbsp;&nbsp;&nbsp;</sup>Amount is less than $1.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $41,707,827 and the total market value of the collateral held by the Fund was $44,751,451. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $12,363,073.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

<sup>(d)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

---

| | |
|:---|:---|
| CURRENCY ABBREVIATIONS: | CURRENCY ABBREVIATIONS: |
|  AUD | Australian dollar |
|  EUR | Euro |
|  GBP | British pound |
|  HKD | Hong Kong dollar |
|  JPY | Japanese yen |
|  SEK | Swedish krona |
|  USD | United States dollar |

---

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/ <br>Additions | Sales/ <br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Dividend <br>Income | Securities <br>Lending <br>Income |
|  WisdomTree Europe SmallCap Dividend Fund | $115828 | $11390822 | $9669117 | $2045 | $16442 | $1856020 | $137721 | $— |
|  WisdomTree Japan SmallCap Dividend Fund | 103051 | 9117258 | 7941124 | 158510 | 62791 | 1500486 | 79600 |  |
|  WisdomTree Treasury Money Market Digital Fund |  | 115900000 | 85200000 |  |  | 30700000 |  | 446154 |
|  Total | $218879 | $136408080 | $102810241 | $160555 | $79233 | $34056506 | $217321 | $446154 |

---

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement <br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized <br>Appreciation | Unrealized <br>Depreciation |
|  Bank of Montreal | 4/2/2026 | 600000 | SEK | 63145 | USD | $— | $(162) |
|  Royal Bank of Canada | 4/2/2026 | 180000 | EUR | 301453 | AUD | 931 |  |
|  Standard Chartered Bank | 4/2/2026 | 143912 | EUR | 1300000 | HKD | 4 |  |
|  Standard Chartered Bank | 4/2/2026 | 165993 | GBP | 35000000 | JPY |  | (1107) |
|  |  |  |  |  |  | $935 | $(1269) |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;83

**Schedule of Investments (concluded)**<br> WisdomTree International SmallCap Dividend Fund *(DLS)*<br> March 31, 2026<br>

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted<br>Prices in<br>Active<br>Markets<br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Australia | $86820874 | $— | $598082<br> <sup>\*</sup> | $87418956 |
| &nbsp;&nbsp;&nbsp; Other | 875630943 |  |  | 875630943 |
| &nbsp;&nbsp;&nbsp; Exchange-Traded Funds | 3356506 |  |  | 3356506 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 259485 |  | 259485 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 32388378 |  | 32388378 |
|  Total Investments in Securities | $965808323 | $32647863 | $598082 | $999054268 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $935 | $— | $935 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(1269) | $— | $(1269) |
|  Total – Net | $965808323 | $32647529 | $598082 | $999053934 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Fair valuations using significant unobservable inputs were determined by a valuation committee of WisdomTree Asset Management, Inc. in accordance with valuation procedures approved by the Board of Trustees of WisdomTree Trust.

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

84&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree Japan Hedged Equity Fund *(DXJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.8% |  |  |
|  Japan – 98.8% |  |  |
|  Air Freight & Logistics – 0.2% |  |  |
|  Mitsui-Soko Holdings Co. Ltd. | 71600 | $1797538 |
|  Nippon Express Holdings, Inc. | 383900 | 8552025 |
|  Total Air Freight & Logistics |  | 10349563 |
|  Automobile Components – 5.2% |  |  |
|  Aisan Industry Co. Ltd. | 155700 | 1796877 |
|  Aisin Corp. | 1274500 | 17368257 |
|  Bridgestone Corp. | 2134270 | 43828399 |
|  Daikyonishikawa Corp. | 589400 | 3067592 |
|  Denso Corp. | 3998500 | 48947632 |
|  Eagle Industry Co. Ltd. | 113600 | 2030790 |
|  Exedy Corp. | 209000 | 7264881 |
|  Fujikura Composites, Inc. | 183900 | 2750004 |
|  FuKoKu Co. Ltd. | 56400 | 632812 |
|  Futaba Industrial Co. Ltd. | 241200 | 1452446 |
|  GS Yuasa Corp. | 114584 | 3800740 |
|  G-Tekt Corp. | 206000 | 2334641 |
|  Ichikoh Industries Ltd. | 377900 | 1163939 |
|  JTEKT Corp. | 616678 | 6339662 |
|  Koito Manufacturing Co. Ltd. | 435700 | 6679693 |
|  KYB Corp. | 135100 | 3519954 |
|  Musashi Seimitsu Industry Co. Ltd. | 66200 | 1091058 |
|  NHK Spring Co. Ltd. | 297500 | 4532906 |
|  Nifco, Inc. | 124990 | 3449815 |
|  Niterra Co. Ltd. | 309064 | 14039886 |
|  NPR-RIKEN Corp. | 103300 | 2415463 |
|  Press Kogyo Co. Ltd. | 391300 | 1992287 |
|  Sanoh Industrial Co. Ltd. | 377700 | 1595414 |
|  Seiren Co. Ltd. | 132910 | 2577329 |
|  Shoei Co. Ltd. | 151500 | 1567471 |
|  Sumitomo Electric Industries Ltd. | 1388383 | 73132501 |
|  Sumitomo Rubber Industries Ltd. | 478391 | 6078744 |
|  Tachi-S Co. Ltd. | 209600 | 2671876 |
|  Tokai Rika Co. Ltd. | 172714 | 3192859 |
|  Topre Corp. | 134400 | 1998808 |
|  Toyo Tire Corp. | 354600 | 8010764 |
|  Toyoda Gosei Co. Ltd. | 242100 | 6099295 |
|  Toyota Boshoku Corp. | 337136 | 5109277 |
|  Unipres Corp. | 197800 | 1617561 |
|  Yokohama Rubber Co. Ltd. | 168800 | 6176283 |
|  Total Automobile Components |  | 300327916 |
|  Automobiles – 7.7% |  |  |
|  Honda Motor Co. Ltd. | 11172241 | 88309090 |
|  Isuzu Motors Ltd. | 1642000 | 22923389 |
|  Mazda Motor Corp. | 1547700 | 10107865 |
|  Subaru Corp. | 1359467 | 21222178 |
|  Suzuki Motor Corp. | 2677744 | 31567722 |
|  Toyota Motor Corp. | 13783250 | 273949566 |
|  Total Automobiles |  | 448079810 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Banks – 10.9% |  |  |
|  Ehime Bank Ltd. | 256100 | $2482282 |
|  Mitsubishi UFJ Financial Group, Inc. | 16836322 | 275155178 |
|  Mizuho Financial Group, Inc. | 3650264 | 139664070 |
|  Sumitomo Mitsui Financial Group, Inc. | 5691000 | 179075655 |
|  Sumitomo Mitsui Trust Holdings, Inc. | 1326200 | 40863866 |
|  Total Banks |  | 637241051 |
|  Beverages – 0.6% |  |  |
|  Kirin Holdings Co. Ltd. | 1432845 | 22741427 |
|  Sapporo Holdings Ltd. | 265700 | 2858417 |
|  Suntory Beverage & Food Ltd. | 353800 | 9978632 |
|  Takara Holdings, Inc. | 215600 | 2093796 |
|  Total Beverages |  | 37672272 |
|  Biotechnology – 0.0% |  |  |
|  Takara Bio, Inc.<sup>\*</sup> | 181900 | 1312598 |
|  Broadline Retail – 0.1% |  |  |
|  Ryohin Keikaku Co. Ltd. | 358100 | 7504591 |
|  Building Products – 1.3% |  |  |
|  AGC, Inc. | 458300 | 15838415 |
|  Central Glass Co. Ltd. | 60700 | 1507103 |
|  Daikin Industries Ltd. | 246549 | 28956993 |
|  Lixil Corp. | 748300 | 7626931 |
|  Nitto Boseki Co. Ltd. | 34100 | 4016808 |
|  Okabe Co. Ltd. | 129100 | 763612 |
|  Sanwa Holdings Corp. | 323431 | 7190744 |
|  TOTO Ltd. | 235100 | 7521900 |
|  Total Building Products |  | 73422506 |
|  Capital Markets – 1.2% |  |  |
|  Monex Group, Inc. | 580100 | 2443064 |
|  Nomura Holdings, Inc. | 5952100 | 45045750 |
|  SBI Holdings, Inc. | 1118300 | 20026631 |
|  Sparx Group Co. Ltd. | 160900 | 1896332 |
|  Total Capital Markets |  | 69411777 |
|  Chemicals – 6.5% |  |  |
|  ADEKA Corp. | 270000 | 6126721 |
|  Aica Kogyo Co. Ltd. | 171700 | 3906933 |
|  Arakawa Chemical Industries Ltd. | 236100 | 1869923 |
|  Artience Co. Ltd. | 83000 | 1951223 |
|  Asahi Kasei Corp. | 2193160 | 20802555 |
|  Asahi Yukizai Corp. | 40700 | 1422415 |
|  C Uyemura & Co. Ltd. | 26200 | 3247621 |
|  Chugoku Marine Paints Ltd. | 147900 | 3030700 |
|  Daicel Corp. | 666542 | 5134498 |
|  DIC Corp. | 138053 | 3172555 |
|  Fujimi, Inc. | 148000 | 2495971 |
|  Fuso Chemical Co. Ltd. | 194100 | 3325895 |
|  Harima Chemicals Group, Inc. | 252700 | 1443864 |
|  Hodogaya Chemical Co. Ltd. | 129500 | 2023616 |
|  Ise Chemicals Corp.<sup>(a)</sup> | 73100 | 2403124 |
|  Ishihara Sangyo Kaisha Ltd. | 193600 | 3359919 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;85

**Schedule of Investments (continued)**<br> WisdomTree Japan Hedged Equity Fund *(DXJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  JCU Corp. | 56100 | $1875995 |
|  JSP Corp. | 101900 | 1457178 |
|  Kaneka Corp. | 159000 | 4792287 |
|  Kansai Paint Co. Ltd. | 299100 | 4405939 |
|  Kanto Denka Kogyo Co. Ltd. | 139800 | 1183673 |
|  KH Neochem Co. Ltd. | 109000 | 1857433 |
|  Kuraray Co. Ltd. | 544837 | 5649058 |
|  Kureha Corp. | 119300 | 2958316 |
|  Lintec Corp. | 179347 | 5050440 |
|  Mitsubishi Chemical Group Corp. | 2801763 | 15832453 |
|  Mitsubishi Gas Chemical Co., Inc. | 401382 | 9070138 |
|  Mitsui Chemicals, Inc. | 792530 | 9258388 |
|  Moriroku Co. Ltd. | 60300 | 906641 |
|  Nihon Nohyaku Co. Ltd. | 274300 | 1724181 |
|  Nippon Kayaku Co. Ltd. | 385100 | 4249438 |
|  Nippon Paint Holdings Co. Ltd. | 1689200 | 10365183 |
|  Nippon Sanso Holdings Corp. | 238053 | 8279259 |
|  Nippon Shokubai Co. Ltd. | 599800 | 8558338 |
|  Nippon Soda Co. Ltd. | 154300 | 3389770 |
|  Nissan Chemical Corp. | 321253 | 12105800 |
|  Nitto Denko Corp. | 751270 | 14469114 |
|  NOF Corp. | 232300 | 4528017 |
|  Osaka Soda Co. Ltd. | 136400 | 1463541 |
|  PILLAR Corp. | 65500 | 2882016 |
|  Resonac Holdings Corp. | 157300 | 9691713 |
|  Riken Technos Corp. | 158700 | 1657926 |
|  Sakata INX Corp. | 212300 | 3025232 |
|  Sanyo Chemical Industries Ltd. | 67400 | 2105588 |
|  Shin-Etsu Chemical Co. Ltd. | 1945095 | 76524920 |
|  Shin-Etsu Polymer Co. Ltd. | 229600 | 2770960 |
|  Stella Chemifa Corp. | 53400 | 1614520 |
|  Sumitomo Bakelite Co. Ltd. | 137300 | 4166726 |
|  Sumitomo Chemical Co. Ltd. | 2092000 | 6568320 |
|  Sumitomo Seika Chemicals Co. Ltd. | 229600 | 1705872 |
|  Taiyo Holdings Co. Ltd. | 337404 | 10570253 |
|  Takasago International Corp. | 242500 | 1806289 |
|  Tayca Corp. | 169200 | 1804842 |
|  Teijin Ltd. | 482200 | 4946574 |
|  Tokai Carbon Co. Ltd. | 264500 | 1599569 |
|  Tokuyama Corp. | 163700 | 3846317 |
|  Tokyo Ohka Kogyo Co. Ltd. | 143300 | 6640314 |
|  Toray Industries, Inc. | 1592418 | 11015501 |
|  Tosoh Corp. | 688307 | 10009418 |
|  Toyobo Co. Ltd. | 180051 | 1490522 |
|  UBE Corp. | 318200 | 4862306 |
|  Valqua Ltd. | 59300 | 1695990 |
|  Zacros Corp. | 239500 | 1925454 |
|  Zeon Corp. | 444000 | 4906355 |
|  Total Chemicals |  | 378981610 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Commercial Services & Supplies – 0.2% | Commercial Services & Supplies – 0.2% |  |  |
|  Dai Nippon Printing Co. Ltd. | 436800 | $| 7763228 |
|  Pilot Corp. | 76700 |  | 2259201 |
|  Total Commercial Services & Supplies | Total Commercial Services & Supplies |  | 10022429 |
|  Construction & Engineering – 1.3% |  |  |  |
|  CTI Engineering Co. Ltd. | 54800 |  | 1041989 |
|  Kajima Corp. | 653200 |  | 24253268 |
|  Mitsubishi Kakoki Kaisha Ltd. | 81400 |  | 1490977 |
|  Obayashi Corp. | 1163200 |  | 27462312 |
|  Penta-Ocean Construction Co. Ltd. | 413200 |  | 4225762 |
|  Taikisha Ltd. | 147900 |  | 3058589 |
|  Toa Corp. | 379300 |  | 7259844 |
|  Toda Corp. | 561200 |  | 5107911 |
|  Total Construction & Engineering |  |  | 73900652 |
|  Construction Materials – 0.1% |  |  |  |
|  Taiheiyo Cement Corp. | 159100 |  | 3501220 |
|  Containers & Packaging – 0.3% |  |  |  |
|  Fuji Seal International, Inc. | 130200 |  | 2111484 |
|  Rengo Co. Ltd. | 548400 |  | 4334735 |
|  Toyo Seikan Group Holdings Ltd. | 383800 |  | 8532910 |
|  Total Containers & Packaging |  |  | 14979129 |
|  Distributors – 0.0% |  |  |  |
|  Central Automotive Products Ltd. | 132000 |  | 1565680 |
|  Diversified Consumer Services – 0.0% | Diversified Consumer Services – 0.0% |  |  |
|  Aucnet, Inc. | 245300 |  | 1831771 |
|  Diversified Telecommunication Services – 2.5% | Diversified Telecommunication Services – 2.5% | Diversified Telecommunication Services – 2.5% | Diversified Telecommunication Services – 2.5% |
|  NTT, Inc. | 145690600 |  | 143959786 |
|  Electrical Equipment – 2.3% |  |  |  |
|  Daihen Corp. | 32900 |  | 2309969 |
|  Fuji Electric Co. Ltd. | 114373 |  | 7606175 |
|  Fujikura Ltd. | 1116500 |  | 28703784 |
|  Furukawa Electric Co. Ltd. | 70181 |  | 12698222 |
|  Mabuchi Motor Co. Ltd. | 425900 |  | 4191002 |
|  Mitsubishi Electric Corp. | 2071514 |  | 64948845 |
|  NIDEC Corp.<sup>\*</sup> | 839000 |  | 10368181 |
|  Sanyo Denki Co. Ltd. | 68400 |  | 1874562 |
|  Sinfonia Technology Co. Ltd. | 31000 |  | 2020680 |
|  Toyo Tanso Co. Ltd.<sup>(a)</sup> | 58800 |  | 1870187 |
|  Total Electrical Equipment |  |  | 136591607 |
|  Electronic Equipment, Instruments & Components – 3.5% | Electronic Equipment, Instruments & Components – 3.5% | Electronic Equipment, Instruments & Components – 3.5% | Electronic Equipment, Instruments & Components – 3.5% |
|  Ai Holdings Corp. | 135900 |  | 2306430 |
|  Alps Alpine Co. Ltd. | 371200 |  | 4857869 |
|  Amano Corp. | 156233 |  | 3710153 |
|  Anritsu Corp. | 264000 |  | 4543541 |
|  Azbil Corp. | 755100 |  | 6426585 |
|  Citizen Watch Co. Ltd. | 634100 |  | 6636347 |
|  Dexerials Corp. | 257000 |  | 3415843 |
|  ESPEC Corp. | 78600 |  | 1468840 |

---

*See Notes to Financial Statements.*

86&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Japan Hedged Equity Fund *(DXJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Furuno Electric Co. Ltd.<sup>(a)</sup> | 45100 | $1726438 |
|  Hagiwara Electric Holdings Co. Ltd. | 68900 | 1595930 |
|  Hakuto Co. Ltd. | 86019 | 2254694 |
|  Hioki EE Corp.<sup>(a)</sup> | 36600 | 1615010 |
|  Hirose Electric Co. Ltd. | 45260 | 5738225 |
|  Horiba Ltd. | 52900 | 5940402 |
|  Ibiden Co. Ltd. | 71100 | 3294671 |
|  Iriso Electronics Co. Ltd. | 94600 | 1899849 |
|  Japan Aviation Electronics Industry Ltd. | 118100 | 1666569 |
|  Jeol Ltd. | 65400 | 2351013 |
|  Kaga Electronics Co. Ltd. | 116500 | 2702150 |
|  Keyence Corp. | 64940 | 22393667 |
|  Kuroda Group Co. Ltd. | 497700 | 2971997 |
|  Kyosan Electric Manufacturing Co. Ltd. | 516100 | 1978886 |
|  Macnica Holdings, Inc. | 305900 | 4442655 |
|  Marubun Corp. | 235100 | 1634425 |
|  Maxell Ltd. | 92300 | 1194000 |
|  Meiko Electronics Co. Ltd. | 21100 | 3201672 |
|  Murata Manufacturing Co. Ltd. | 1914004 | 41013512 |
|  Nichicon Corp. | 181200 | 1953347 |
|  Nippon Electric Glass Co. Ltd. | 165860 | 6164625 |
|  Optex Group Co. Ltd. | 120100 | 1965053 |
|  Osaki Electric Co. Ltd. | 167400 | 1757232 |
|  Restar Corp. | 98300 | 1624431 |
|  Rigaku Holdings Corp.<sup>(a)</sup> | 294300 | 3703492 |
|  Riken Keiki Co. Ltd. | 52800 | 969112 |
|  Ryoyo Ryosan Holdings, Inc. | 191600 | 3603414 |
|  Sanshin Electronics Co. Ltd. | 139754 | 2380623 |
|  Shimadzu Corp. | 214000 | 4962260 |
|  Siix Corp. | 250600 | 1850871 |
|  Sun-Wa Technos Corp. | 127600 | 2498422 |
|  Taiyo Yuden Co. Ltd. | 165800 | 3849803 |
|  TDK Corp. | 1266720 | 15653853 |
|  Tomen Devices Corp. | 27700 | 2026702 |
|  Yokogawa Electric Corp. | 281038 | 8380441 |
|  Total Electronic Equipment, Instruments & <br>Components | Total Electronic Equipment, Instruments & <br>Components | 206325054 |
|  Energy Equipment & Services – 0.1% | Energy Equipment & Services – 0.1% |  |
|  Modec, Inc. | 74700 | 6888233 |
|  Entertainment – 1.2% |  |  |
|  Anycolor, Inc. | 48300 | 880142 |
|  Capcom Co. Ltd. | 253000 | 5324307 |
|  Koei Tecmo Holdings Co. Ltd. | 554444 | 5605778 |
|  Konami Group Corp. | 86200 | 10476315 |
|  Nexon Co. Ltd. | 375200 | 6907793 |
|  Nintendo Co. Ltd. | 633300 | 34931218 |
|  Square Enix Holdings Co. Ltd. | 300600 | 4731299 |
|  Toei Animation Co. Ltd. | 166100 | 2709344 |
|  Total Entertainment |  | 71566196 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Food Products – 1.3% |  |  |
|  Ajinomoto Co., Inc. | 750626 | $20746134 |
|  Ariake Japan Co. Ltd. | 46200 | 1626249 |
|  Calbee, Inc. | 153900 | 2976619 |
|  Ezaki Glico Co. Ltd.<sup>(a)</sup> | 72300 | 2672223 |
|  Fuji Oil Co. Ltd. | 96100 | 2169182 |
|  House Foods Group, Inc. | 118100 | 2263416 |
|  Kikkoman Corp. | 809300 | 7299928 |
|  Nichirei Corp. | 304300 | 3767169 |
|  Nisshin Oillio Group Ltd. | 243600 | 2923078 |
|  Nisshin Seifun Group, Inc. | 425600 | 5605914 |
|  Nissui Corp. | 478300 | 4039198 |
|  Riken Vitamin Co. Ltd. | 101900 | 1839568 |
|  Sakata Seed Corp. | 76500 | 2072506 |
|  Toyo Suisan Kaisha Ltd. | 161200 | 11145892 |
|  Umios Corp. | 378300 | 3463410 |
|  Total Food Products |  | 74610486 |
|  Ground Transportation – 0.1% |  |  |
|  Nishi-Nippon Railroad Co. Ltd. | 110400 | 2088086 |
|  Zero Co. Ltd. | 75800 | 1624728 |
|  Total Ground Transportation |  | 3712814 |
|  Health Care Equipment & Supplies – 1.1% | Health Care Equipment & Supplies – 1.1% |  |
|  Asahi Intecc Co. Ltd. | 184300 | 3866952 |
|  Eiken Chemical Co. Ltd. | 86100 | 1653376 |
|  Hoya Corp. | 177257 | 29581830 |
|  Nakanishi, Inc. | 193700 | 3289820 |
|  Nihon Kohden Corp. | 222000 | 2030360 |
|  Nipro Corp. | 246300 | 2402776 |
|  Olympus Corp. | 595700 | 5573571 |
|  PHC Holdings Corp. | 327600 | 2242482 |
|  Shofu, Inc. | 131600 | 1386395 |
|  Terumo Corp. | 775824 | 10279948 |
|  Total Health Care Equipment & Supplies | Total Health Care Equipment & Supplies | 62307510 |
|  Health Care Technology – 0.1% | Health Care Technology – 0.1% |  |
|  M3, Inc. | 326100 | 3290927 |
|  Hotels, Restaurants & Leisure – 0.2% | Hotels, Restaurants & Leisure – 0.2% |  |
|  Food & Life Cos. Ltd. | 46400 | 2703677 |
|  Round One Corp. | 226100 | 1161980 |
|  Saizeriya Co. Ltd.<sup>(a)</sup> | 51800 | 2070828 |
|  Zensho Holdings Co. Ltd. | 59700 | 3444130 |
|  Total Hotels, Restaurants & Leisure | Total Hotels, Restaurants & Leisure | 9380615 |
|  Household Durables – 1.8% |  |  |
|  Casio Computer Co. Ltd. | 465357 | 4098090 |
|  JVCKenwood Corp. | 192800 | 1322781 |
|  Nikon Corp. | 481200 | 5710639 |
|  Noritz Corp. | 122500 | 1777170 |
|  Panasonic Holdings Corp. | 2972400 | 48306872 |
|  Rinnai Corp. | 202200 | 4650511 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;87

**Schedule of Investments (continued)**<br> WisdomTree Japan Hedged Equity Fund *(DXJ)*<br> March 31, 2026<br>

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Sony Group Corp. | 1473400 | $| 29719911 |
|  Sumitomo Forestry Co. Ltd. | 908500 |  | 8017688 |
|  Tamron Co. Ltd. | 436800 |  | 2718160 |
|  Zojirushi Corp. | 163800 |  | 1715323 |
|  Total Household Durables |  |  | 108037145 |
|  Household Products – 0.2% |  |  |  |
|  Lion Corp. | 300000 |  | 3138789 |
|  Pigeon Corp. | 219900 |  | 2257192 |
|  Unicharm Corp. | 1444100 |  | 8446383 |
|  Total Household Products |  |  | 13842364 |
|  Independent Power & Renewable Electricity Producers – 0.1% | Independent Power & Renewable Electricity Producers – 0.1% | Independent Power & Renewable Electricity Producers – 0.1% | Independent Power & Renewable Electricity Producers – 0.1% |
|  Electric Power Development Co. Ltd. | 313800 |  | 8542761 |
|  Industrial Conglomerates – 1.3% |  |  |  |
|  Hitachi Ltd. | 2199125 |  | 61706544 |
|  Nisshinbo Holdings, Inc. | 313200 |  | 2833939 |
|  Sekisui Chemical Co. Ltd. | 651600 |  | 10675689 |
|  Total Industrial Conglomerates |  |  | 75216172 |
|  Insurance – 6.2% |  |  |  |
|  Daiichi Life Group, Inc. | 6709300 |  | 59927810 |
|  MS&AD Insurance Group Holdings, Inc. | 2457800 |  | 62290839 |
|  Sompo Holdings, Inc. | 1379000 |  | 52112314 |
|  Tokio Marine Holdings, Inc. | 4100500 |  | 188361644 |
|  Total Insurance |  |  | 362692607 |
|  IT Services – 0.6% |  |  |  |
|  Fujitsu Ltd. | 1112120 |  | 22173893 |
|  NEC Corp. | 570800 |  | 13799087 |
|  Total IT Services |  |  | 35972980 |
|  Leisure Products – 0.5% |  |  |  |
|  Bandai Namco Holdings, Inc. | 778700 |  | 18927858 |
|  GLOBERIDE, Inc. | 122800 |  | 1617110 |
|  Mizuno Corp. | 114200 |  | 2419096 |
|  Roland Corp.<sup>(a)</sup> | 93200 |  | 2240807 |
|  Sega Sammy Holdings, Inc. | 204400 |  | 3113731 |
|  Tomy Co. Ltd. | 171600 |  | 2806607 |
|  Yonex Co. Ltd. | 56700 |  | 1053168 |
|  Total Leisure Products |  |  | 32178377 |
|  Life Sciences Tools & Services – 0.0% | Life Sciences Tools & Services – 0.0% |  |  |
|  Shin Nippon Biomedical Laboratories Ltd. | 140400 |  | 1247882 |
|  Machinery – 6.3% |  |  |  |
|  Amada Co. Ltd. | 609693 |  | 8281769 |
|  Anest Iwata Corp. | 150900 |  | 1506249 |
|  Bando Chemical Industries Ltd. | 154900 |  | 1965825 |
|  CKD Corp. | 99400 |  | 2667911 |
|  Daifuku Co. Ltd. | 381500 |  | 13002030 |
|  DMG Mori Co. Ltd. | 236100 |  | 3511299 |
|  Ebara Corp.<sup>(a)</sup> | 473055 |  | 12649293 |
|  FANUC Corp. | 949400 |  | 31640699 |
|  Furukawa Co. Ltd. | 94200 |  | 2519461 |
|  Glory Ltd. | 118200 |  | 2953328 |
|  Harmonic Drive Systems, Inc. | 56300 |  | 1226221 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Hitachi Construction Machinery Co. Ltd. | 409600 | $13570945 |
|  Hoshizaki Corp. | 145038 | 4605770 |
|  Hosokawa Micron Corp. | 37500 | 1357722 |
|  IHI Corp. | 545200 | 10753898 |
|  Japan Steel Works Ltd. | 41800 | 2199433 |
|  Kanadevia Corp. | 299500 | 1895760 |
|  Kawasaki Heavy Industries Ltd. | 665500 | 12118634 |
|  Kitz Corp. | 271200 | 3015606 |
|  Komatsu Ltd. | 1671106 | 63161483 |
|  Kurita Water Industries Ltd. | 119500 | 5504406 |
|  Makita Corp. | 295500 | 9430219 |
|  Max Co. Ltd. | 354400 | 3575410 |
|  Meidensha Corp. | 89700 | 4228738 |
|  Minebea Mitsumi, Inc. | 377500 | 6015227 |
|  MISUMI Group, Inc. | 261500 | 4315597 |
|  Mitsubishi Heavy Industries Ltd. | 1443690 | 38322351 |
|  Mitsubishi Logisnext Co. Ltd.<sup>\*</sup> | 158300 | 1520412 |
|  Mitsuboshi Belting Ltd. | 142100 | 3510296 |
|  Mitsui E&S Co. Ltd. | 74900 | 2625667 |
|  Miura Co. Ltd. | 168300 | 3285812 |
|  Morita Holdings Corp. | 92400 | 1552487 |
|  Nabtesco Corp. | 144800 | 3496899 |
|  NGK Corp. | 411775 | 10293728 |
|  Nippon Thompson Co. Ltd. | 277200 | 1486276 |
|  Nissei ASB Machine Co. Ltd. | 45800 | 2133245 |
|  Nomura Micro Science Co. Ltd. | 72800 | 1386536 |
|  Noritake Co. Ltd. | 155200 | 3038833 |
|  NSK Ltd. | 1140200 | 7794126 |
|  NTN Corp. | 1118300 | 2244473 |
|  Oiles Corp. | 105800 | 1586102 |
|  Okamoto Machine Tool Works Ltd. | 64800 | 1535584 |
|  OKUMA Corp. | 99600 | 2197473 |
|  Organo Corp. | 53100 | 4542655 |
|  OSG Corp.<sup>(a)</sup> | 197524 | 3141214 |
|  Ryobi Ltd. | 120600 | 1831476 |
|  Shibaura Machine Co. Ltd. | 71100 | 1680407 |
|  Shinmaywa Industries Ltd. | 162900 | 2354058 |
|  Sumitomo Heavy Industries Ltd. | 225837 | 6683265 |
|  Takeuchi Manufacturing Co. Ltd. | 103200 | 4008901 |
|  THK Co. Ltd. | 372900 | 10718912 |
|  Tocalo Co. Ltd. | 222100 | 3490163 |
|  Tsubakimoto Chain Co. | 291000 | 4207053 |
|  Tsugami Corp. | 146300 | 2938139 |
|  Union Tool Co.<sup>(a)</sup> | 29500 | 2393897 |
|  YAMABIKO Corp. | 138900 | 3047087 |
|  Yushin Co. | 314300 | 1305879 |
|  Total Machinery |  | 368026339 |
|  Marine Transportation – 0.1% |  |  |
|  Iino Kaiun Kaisha Ltd. | 319600 | 3517629 |
|  NS United Kaiun Kaisha Ltd. | 74800 | 3427569 |
|  Total Marine Transportation |  | 6945198 |

---

*See Notes to Financial Statements.*

88&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Japan Hedged Equity Fund *(DXJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Media – 0.1% |  |  |
|  Hakuhodo DY Holdings, Inc. | 612200 | $3952036 |
|  Metals & Mining – 1.8% |  |  |
|  Aichi Steel Corp. | 128800 | 2274180 |
|  ARE Holdings, Inc. | 167800 | 3538683 |
|  Daido Steel Co. Ltd. | 425400 | 4846549 |
|  Daiki Aluminium Industry Co. Ltd. | 180700 | 1598120 |
|  Dowa Holdings Co. Ltd. | 95100 | 5221563 |
|  Kobe Steel Ltd. | 1032600 | 12267358 |
|  Kyoei Steel Ltd. | 163400 | 2383880 |
|  Mitsubishi Materials Corp. | 243400 | 7366717 |
|  Mitsui Kinzoku Co. Ltd. | 61300 | 10804274 |
|  Nippon Light Metal Holdings Co. Ltd. | 186200 | 3249049 |
|  Nippon Steel Corp. | 11766900 | 42595749 |
|  Nippon Yakin Kogyo Co. Ltd. | 72510 | 2112539 |
|  Topy Industries Ltd. | 122900 | 2240304 |
|  UACJ Corp. | 249000 | 3610805 |
|  Total Metals & Mining |  | 104109770 |
|  Oil, Gas & Consumable Fuels – 2.0% |  |  |
|  ENEOS Holdings, Inc. | 3927100 | 34817868 |
|  Idemitsu Kosan Co. Ltd. | 2251400 | 21814904 |
|  Inpex Corp. | 2139300 | 62905559 |
|  Total Oil, Gas & Consumable Fuels |  | 119538331 |
|  Paper & Forest Products – 0.2% |  |  |
|  Hokuetsu Corp. | 379500 | 2180294 |
|  Nippon Paper Industries Co. Ltd. | 170000 | 1356025 |
|  Oji Holdings Corp. | 1870700 | 9963191 |
|  Total Paper & Forest Products |  | 13499510 |
|  Passenger Airlines – 0.3% |  |  |
|  ANA Holdings, Inc. | 571600 | 10074589 |
|  Japan Airlines Co. Ltd. | 628900 | 10117981 |
|  Total Passenger Airlines |  | 20192570 |
|  Personal Care Products – 0.4% |  |  |
|  Kao Corp. | 519480 | 20173156 |
|  Milbon Co. Ltd.<sup>(a)</sup> | 122800 | 2082560 |
|  Rohto Pharmaceutical Co. Ltd. | 195700 | 2961517 |
|  Total Personal Care Products |  | 25217233 |
|  Pharmaceuticals – 6.3% |  |  |
|  Astellas Pharma, Inc. | 3991400 | 63199048 |
|  Chugai Pharmaceutical Co. Ltd. | 1106800 | 59907315 |
|  Daiichi Sankyo Co. Ltd. | 1506700 | 26196066 |
|  Eisai Co. Ltd. | 480200 | 14702711 |
|  Nippon Shinyaku Co. Ltd. | 138400 | 4448043 |
|  Ono Pharmaceutical Co. Ltd. | 1065200 | 16809256 |
|  Otsuka Holdings Co. Ltd. | 408700 | 28284537 |
|  Santen Pharmaceutical Co. Ltd. | 400000 | 4489283 |
|  Shionogi & Co. Ltd. | 1118131 | 24381146 |
|  Takeda Pharmaceutical Co. Ltd. | 3456163 | 123048005 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Towa Pharmaceutical Co. Ltd. | 105100 | $| 2645833 |
|  ZERIA Pharmaceutical Co. Ltd. | 79900 |  | 1102398 |
|  Total Pharmaceuticals |  |  | 369213641 |
|  Professional Services – 0.5% |  |  |  |
|  en, Inc./Japan | 67700 |  | 473206 |
|  Open Up Group, Inc. | 245800 |  | 2750167 |
|  Persol Holdings Co. Ltd. | 4893200 |  | 7104967 |
|  Recruit Holdings Co. Ltd. | 333400 |  | 13676337 |
|  Transcosmos, Inc. | 110600 |  | 2704343 |
|  Weathernews, Inc. | 124600 |  | 1466942 |
|  Total Professional Services |  |  | 28175962 |
|  Semiconductors & Semiconductor Equipment – 3.9% | Semiconductors & Semiconductor Equipment – 3.9% | Semiconductors & Semiconductor Equipment – 3.9% | Semiconductors & Semiconductor Equipment – 3.9% |
|  Advantest Corp. | 150900 |  | 19283406 |
|  Disco Corp. | 56300 |  | 21672085 |
|  Ferrotec Corp. | 95500 |  | 3769816 |
|  Kokusai Electric Corp. | 155500 |  | 4898900 |
|  Lasertec Corp. | 110700 |  | 23206015 |
|  Micronics Japan Co. Ltd. | 42400 |  | 2462606 |
|  Mitsui High-Tec, Inc.<sup>(a)</sup> | 445500 |  | 1649378 |
|  Optorun Co. Ltd. | 156100 |  | 2523661 |
|  Rohm Co. Ltd. | 454300 |  | 8718197 |
|  Rorze Corp.<sup>(a)</sup> | 108400 |  | 1751135 |
|  SCREEN Holdings Co. Ltd. | 333340 |  | 18731910 |
|  Shibaura Mechatronics Corp. | 100300 |  | 2490320 |
|  Socionext, Inc. | 183900 |  | 2160469 |
|  SUMCO Corp.<sup>(a)</sup> | 196900 |  | 2053904 |
|  Tokyo Electron Ltd. | 436059 |  | 102045864 |
|  Tokyo Seimitsu Co. Ltd. | 58900 |  | 4890747 |
|  Ulvac, Inc. | 79800 |  | 4089067 |
|  YAC Holdings Co. Ltd. | 284600 |  | 1781769 |
|  Yamaichi Electronics Co. Ltd. | 60000 |  | 2783330 |
|  Total Semiconductors & Semiconductor Equipment |  |  | 230962579 |
|  Software – 0.1% |  |  |  |
|  Trend Micro, Inc. | 170708 |  | 5622666 |
|  Specialty Retail – 1.2% |  |  |  |
|  ABC-Mart, Inc. | 362100 |  | 5748215 |
|  Fast Retailing Co. Ltd. | 141600 |  | 54854535 |
|  JINS Holdings, Inc. | 27400 |  | 880093 |
|  Sanrio Co. Ltd. | 779000 |  | 4794750 |
|  VT Holdings Co. Ltd. | 588600 |  | 1801799 |
|  Total Specialty Retail |  |  | 68079392 |
|  Technology Hardware, Storage & Peripherals – 1.7% | Technology Hardware, Storage & Peripherals – 1.7% | Technology Hardware, Storage & Peripherals – 1.7% | Technology Hardware, Storage & Peripherals – 1.7% |
|  Brother Industries Ltd. | 519600 |  | 9380169 |
|  Canon, Inc. | 2310197 |  | 63269397 |
|  FUJIFILM Holdings Corp. | 1144485 |  | 21340843 |
|  Konica Minolta, Inc. | 303700 |  | 979690 |
|  MCJ Co. Ltd. | 221600 |  | 3191185 |
|  Wacom Co. Ltd. | 439900 |  | 2046175 |
|  Total Technology Hardware, Storage & Peripherals | Total Technology Hardware, Storage & Peripherals |  | 100207459 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;89

**Schedule of Investments (continued)**<br> WisdomTree Japan Hedged Equity Fund *(DXJ)*<br> March 31, 2026<br>

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Textiles, Apparel & Luxury Goods – 0.3% | Textiles, Apparel & Luxury Goods – 0.3% |  |  |
|  Asics Corp. | 350868 | $| 9165928 |
|  Kurabo Industries Ltd. | 51547 |  | 2724937 |
|  Morito Co. Ltd. | 163000 |  | 1888296 |
|  Seiko Group Corp. | 118600 |  | 4077830 |
|  Wacoal Holdings Corp. | 39200 |  | 975010 |
|  Total Textiles, Apparel & Luxury Goods |  |  | 18832001 |
|  Tobacco – 2.5% |  |  |  |
|  Japan Tobacco, Inc. | 3824631 |  | 144724864 |
|  Trading Companies & Distributors – 12.3% | Trading Companies & Distributors – 12.3% | Trading Companies & Distributors – 12.3% | Trading Companies & Distributors – 12.3% |
|  Alconix Corp. | 179400 |  | 2970266 |
|  Chori Co. Ltd. | 72800 |  | 1919643 |
|  Daiichi Jitsugyo Co. Ltd. | 97000 |  | 1972437 |
|  Hanwa Co. Ltd. | 405500 |  | 3958398 |
|  Inabata & Co. Ltd. | 108086 |  | 2683636 |
|  ITOCHU Corp. | 8724870 |  | 108286227 |
|  Japan Pulp & Paper Co. Ltd. | 310800 |  | 2020034 |
|  KPP Group Holdings Co. Ltd. | 316300 |  | 1743636 |
|  Marubeni Corp. | 2028278 |  | 71625280 |
|  Meiwa Corp. | 391700 |  | 1942619 |
|  Mitsubishi Corp. | 5512000 |  | 184218392 |
|  Mitsui & Co. Ltd. | 3891800 |  | 145774318 |
|  Nagase & Co. Ltd. | 672800 |  | 4884556 |
|  Sanyo Trading Co. Ltd. | 131500 |  | 1296071 |
|  Sojitz Corp. | 439604 |  | 16924851 |
|  Sumitomo Corp. | 2577477 |  | 93643957 |
|  Toyota Tsusho Corp. | 1906430 |  | 71300889 |
|  Total Trading Companies & Distributors |  |  | 717165210 |
|  Transportation Infrastructure – 0.1% |  |  |  |
|  Mitsubishi Logistics Corp. | 645200 |  | 5357403 |
|  TOTAL COMMON STOCKS <br> (Cost: $4,757,586,536) | TOTAL COMMON STOCKS <br> (Cost: $4,757,586,536) |  | 5776290255 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  MUTUAL FUND – 0.0% |  |  |
|  United States – 0.0% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(b)</sup><br> (Cost: $315,894) | 315894 | $315894 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.1% |
|  United States – 0.1% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(b)</sup> | 347281 | 347281 |
|  WisdomTree Treasury Money Market Digital Fund 3.43%<sup>(b)(c)</sup> | 5700000 | 5700000 |
|  TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED <br> (Cost: $6,047,281) | TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED <br> (Cost: $6,047,281) | 6047281 |
|  TOTAL INVESTMENTS IN SECURITIES – 98.9% <br> (Cost: $4,763,949,711) | TOTAL INVESTMENTS IN SECURITIES – 98.9% <br> (Cost: $4,763,949,711) | 5782653430 |
|  Other Assets less Liabilities – 1.1% |  | 64686415 |
|  NET ASSETS – 100.0% |  | $5847339845 |

---

<sup>\*</sup> Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $18,534,191. The Fund also had securities on loan having a total market value of $6,660 that were sold and pending settlement. The total market value of the collateral held by the Fund was $20,514,960. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $14,467,679.

<sup>(b)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<sup>(c)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

<u> CURRENCY ABBREVIATIONS:</u> <br> <u> JPY </u>   <u> Japanese yen </u> <br> <u> USD </u>   <u> United States dollar </u>

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/<br>Additions | Sales/<br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/<br>Depreciation | Value at <br>3/31/2026 | Securities <br>Lending <br>Income |
|  WisdomTree Treasury Money Market Digital Fund | $— | $211900000 | $206200000 | $— | $— | $5700000 | $371793 |

---

*See Notes to Financial Statements.*

90&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (concluded)**<br> WisdomTree Japan Hedged Equity Fund *(DXJ)*<br> March 31, 2026<br>

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement <br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized <br>Appreciation | Unrealized <br>Depreciation |
|  Barclays Bank PLC | 4/3/2026 | 15928408620 | JPY | 100964863 | USD | $— | $(834379) |
|  Barclays Bank PLC | 4/3/2026 | 203170700975 | JPY | 1277205515 | USD |  | (16991) |
|  Barclays Bank PLC | 4/3/2026 | 1314225965 | USD | 204637336474 | JPY | 27817756 |  |
|  Barclays Bank PLC | 5/8/2026 | 1184345368 | USD | 187838241275 | JPY | 13235 |  |
|  Citibank NA | 4/3/2026 | 3970946081 | JPY | 25241216 | USD |  | (278725) |
|  Citibank NA | 4/3/2026 | 2677605472 | JPY | 16827477 | USD | 4709 |  |
|  Deutsche Bank AG | 4/3/2026 | 203171606514 | JPY | 1277205515 | USD |  | (11299) |
|  Deutsche Bank AG | 4/3/2026 | 1314225965 | USD | 204637942332 | JPY | 27813947 |  |
|  Deutsche Bank AG | 5/8/2026 | 1184345368 | USD | 187838725672 | JPY | 10181 |  |
|  Goldman Sachs | 4/3/2026 | 4026132971 | JPY | 25241216 | USD | 68195 |  |
|  Goldman Sachs | 4/3/2026 | 2674769537 | JPY | 16827477 | USD |  | (13119) |
|  Goldman Sachs | 4/3/2026 | 203172105901 | JPY | 1277205515 | USD |  | (8160) |
|  Goldman Sachs | 4/3/2026 | 1314225965 | USD | 204637336474 | JPY | 27817756 |  |
|  Goldman Sachs | 5/8/2026 | 1184345368 | USD | 187840136228 | JPY | 1287 |  |
|  HSBC Holdings PLC | 4/3/2026 | 1347034565 | JPY | 8413739 | USD | 54101 |  |
|  HSBC Holdings PLC | 4/3/2026 | 203173510827 | JPY | 1277205515 | USD | 672 |  |
|  HSBC Holdings PLC | 5/8/2026 | 1184345368 | USD | 187841202139 | JPY |  | (5433) |
|  JPMorgan Chase Bank NA | 4/1/2026 | 6291487 | USD | 1000000000 | JPY | 5737 |  |
|  JPMorgan Chase Bank NA | 4/3/2026 | 50482432 | USD | 7860616457 | JPY | 1068372 |  |
|  Morgan Stanley & Co. International | 4/3/2026 | 6692182805 | JPY | 42068693 | USD | 262 |  |
|  Royal Bank of Canada | 4/3/2026 | 1314225965 | USD | 204638073755 | JPY | 27813121 |  |
|  UBS Group AG | 4/3/2026 | 203163037583 | JPY | 1277205514 | USD |  | (65165) |
|  UBS Group AG | 4/3/2026 | 1314225963 | USD | 204643118757 | JPY | 27781405 |  |
|  UBS Group AG | 5/8/2026 | 1184345367 | USD | 187832556259 | JPY | 49079 |  |
|  |  |  |  |  |  | $140319815 | $(1233271) |

---

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks |  |  |  |  |
| &nbsp;&nbsp;&nbsp;&nbsp; Electronic Equipment, Instruments & Components | $204729124 | $1595930 | $— | $206325054 |
| &nbsp;&nbsp;&nbsp;&nbsp; Other | 5569965201 |  |  | 5569965201 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 315894 |  | 315894 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 6047281 |  | 6047281 |
|  Total Investments in Securities | $5774694325 | $7959105 | $— | $5782653430 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $140319815 | $— | $140319815 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(1233271) | $— | $(1233271) |
|  Total – Net | $5774694325 | $147045649 | $— | $5921739974 |

---

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;91

**Schedule of Investments** <br> WisdomTree Japan Opportunities Fund *(OPPJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.7% |  |  |
|  Japan – 98.7% |  |  |
|  Automobile Components – 0.5% |  |  |
|  Futaba Industrial Co. Ltd. | 111300 | $670221 |
|  Tachi-S Co. Ltd. | 49200 | 627177 |
|  Total Automobile Components |  | 1297398 |
|  Automobiles – 1.3% |  |  |
|  Suzuki Motor Corp. | 263500 | 3106382 |
|  Banks – 4.2% |  |  |
|  77 Bank Ltd./The | 56500 | 1085323 |
|  First Bank of Toyama Ltd. | 84200 | 1236352 |
|  Hachijuni Nagano Bank Ltd. | 75900 | 919349 |
|  Hirogin Holdings, Inc. | 78000 | 842806 |
|  Iyogin Holdings, Inc. | 40900 | 727685 |
|  Mitsubishi UFJ Financial Group, Inc. | 253100 | 4136401 |
|  North Pacific Bank Ltd. | 125600 | 738173 |
|  Towa Bank Ltd. | 118800 | 739280 |
|  Total Banks |  | 10425369 |
|  Beverages – 0.3% |  |  |
|  Coca-Cola Bottlers Japan Holdings, Inc. | 38100 | 862153 |
|  Broadline Retail – 1.1% |  |  |
|  Isetan Mitsukoshi Holdings Ltd. | 40200 | 721043 |
|  Rakuten Group, Inc.<sup>\*</sup> | 446000 | 2027171 |
|  Total Broadline Retail |  | 2748214 |
|  Building Products – 1.3% |  |  |
|  AGC, Inc. | 59300 | 2049352 |
|  Sanwa Holdings Corp. | 23900 | 531361 |
|  Toli Corp. | 181700 | 752658 |
|  Total Building Products |  | 3333371 |
|  Capital Markets – 1.3% |  |  |
|  Okasan Securities Group, Inc. | 143900 | 742610 |
|  SBI Holdings, Inc. | 137200 | 2456992 |
|  Total Capital Markets |  | 3199602 |
|  Chemicals – 8.2% |  |  |
|  Asahi Kasei Corp. | 215900 | 2047854 |
|  Kaneka Corp. | 75100 | 2263527 |
|  Mitsubishi Gas Chemical Co., Inc. | 80300 | 1814561 |
|  Nippon Kayaku Co. Ltd. | 199000 | 2195892 |
|  Riken Technos Corp. | 88400 | 923507 |
|  Shin-Etsu Chemical Co. Ltd. | 61800 | 2431367 |
|  Sumitomo Bakelite Co. Ltd. | 68400 | 2075776 |
|  Sumitomo Chemical Co. Ltd. | 771300 | 2421676 |
|  Tokyo Ohka Kogyo Co. Ltd. | 42700 | 1978656 |
|  Toray Industries, Inc. | 306300 | 2118821 |
|  Total Chemicals |  | 20271637 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Commercial Services & Supplies – 0.3% |  |  |  |
|  TRE Holdings Corp. | 69400 | $ | 684447 |
|  Construction & Engineering – 0.3% |  |  |  |
|  Yurtec Corp. | 41200 |  | 662453 |
|  Consumer Staples Distribution & Retail – 0.8% | Consumer Staples Distribution & Retail – 0.8% |  |  |
|  H2O Retailing Corp. | 47400 |  | 710598 |
|  Life Corp. | 39000 |  | 622666 |
|  Yamatane Corp. | 39400 |  | 534695 |
|  Total Consumer Staples Distribution & Retail | Total Consumer Staples Distribution & Retail |  | 1867959 |
|  Diversified Consumer Services – 0.2% |  |  |  |
|  Waseda Academy Co. Ltd. | 40300 |  | 514738 |
|  Electrical Equipment – 0.5% |  |  |  |
|  Endo Lighting Corp. | 48100 |  | 758582 |
|  Mirai Industry Co. Ltd. | 29200 |  | 582752 |
|  Total Electrical Equipment |  |  | 1341334 |
|  Electronic Equipment, Instruments & Components – 2.6% | Electronic Equipment, Instruments & Components – 2.6% | Electronic Equipment, Instruments & Components – 2.6% | Electronic Equipment, Instruments & Components – 2.6% |
|  ESPEC Corp. | 106100 |  | 1982747 |
|  Maxell Ltd. | 49500 |  | 640336 |
|  Rigaku Holdings Corp.<sup>(a)</sup> | 311000 |  | 3913646 |
|  Total Electronic Equipment, Instruments & Components | Total Electronic Equipment, Instruments & Components |  | 6536729 |
|  Food Products – 1.7% |  |  |  |
|  Kenko Mayonnaise Co. Ltd. | 55700 |  | 772707 |
|  Megmilk Snow Brand Co. Ltd. | 34100 |  | 694475 |
|  Mitsui DM Sugar Co. Ltd. | 31400 |  | 671067 |
|  Nisshin Oillio Group Ltd. | 58600 |  | 703170 |
|  Nisshin Seifun Group, Inc. | 52000 |  | 684933 |
|  Showa Sangyo Co. Ltd. | 34300 |  | 702860 |
|  Total Food Products |  |  | 4229212 |
|  Ground Transportation – 1.6% |  |  |  |
|  Keio Corp. | 135200 |  | 655477 |
|  Nagoya Railroad Co. Ltd. | 59400 |  | 644443 |
|  Nishi-Nippon Railroad Co. Ltd. | 45300 |  | 856796 |
|  Odakyu Electric Railway Co. Ltd. | 54400 |  | 562499 |
|  Tobu Railway Co. Ltd. | 37600 |  | 673699 |
|  Tokyu Corp. | 53000 |  | 620149 |
|  Total Ground Transportation |  |  | 4013063 |
|  Health Care Providers & Services – 0.5% | Health Care Providers & Services – 0.5% |  |  |
|  Suzuken Co. Ltd. | 16000 |  | 596895 |
|  Toho Holdings Co. Ltd. | 21000 |  | 628587 |
|  Total Health Care Providers & Services |  |  | 1225482 |
|  Household Durables – 2.0% |  |  |  |
|  LEC, Inc. | 96400 |  | 678054 |
|  Panasonic Holdings Corp. | 271100 |  | 4405865 |
|  Total Household Durables |  |  | 5083919 |

---

*See Notes to Financial Statements.*

92&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Japan Opportunities Fund *(OPPJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Industrial Conglomerates – 1.5% |  |  |
|  Hitachi Ltd. | 109200 | $3064107 |
|  Keihan Holdings Co. Ltd. | 30100 | 611120 |
|  Total Industrial Conglomerates |  | 3675227 |
|  Insurance – 1.8% |  |  |
|  MS&AD Insurance Group Holdings, Inc. | 30000 | 760325 |
|  Sompo Holdings, Inc. | 96300 | 3639170 |
|  Total Insurance |  | 4399495 |
|  IT Services – 1.4% |  |  |
|  Ad-sol Nissin Corp. | 62300 | 553725 |
|  Fujitsu Ltd. | 150700 | 3004717 |
|  Total IT Services |  | 3558442 |
|  Leisure Products – 0.2% |  |  |
|  Daikoku Denki Co. Ltd. | 40900 | 622408 |
|  Machinery – 8.5% |  |  |
|  Aida Engineering Ltd. | 112900 | 760047 |
|  Bando Chemical Industries Ltd. | 50300 | 638354 |
|  Daihatsu Infinearth Mfg Co. Ltd. | 35300 | 454868 |
|  Hirata Corp. | 60500 | 895958 |
|  Kawasaki Heavy Industries Ltd. | 267500 | 4871126 |
|  Komatsu Ltd. | 52200 | 1972963 |
|  Mitsubishi Heavy Industries Ltd. | 172600 | 4581619 |
|  Oiles Corp. | 46500 | 697105 |
|  Rheon Automatic Machinery Co. Ltd. | 76600 | 695751 |
|  Ryobi Ltd. | 41700 | 633272 |
|  Tadano Ltd. | 90100 | 743613 |
|  Takeuchi Manufacturing Co. Ltd.<sup>(a)</sup> | 14000 | 543843 |
|  Tsubakimoto Chain Co. | 51400 | 743101 |
|  Tsugami Corp. | 138100 | 2773459 |
|  Total Machinery |  | 21005079 |
|  Metals & Mining – 2.6% |  |  |
|  JFE Holdings, Inc. | 186300 | 2126015 |
|  Kobe Steel Ltd. | 52800 | 627268 |
|  Mitsubishi Steel Manufacturing Co. Ltd. | 57800 | 647066 |
|  Nippon Yakin Kogyo Co. Ltd. | 76900 | 2240439 |
|  Topy Industries Ltd. | 43400 | 791124 |
|  Total Metals & Mining |  | 6431912 |
|  Pharmaceuticals – 0.5% |  |  |
|  Daiichi Sankyo Co. Ltd. | 30000 | 521591 |
|  Sawai Group Holdings Co. Ltd. | 50300 | 698743 |
|  Total Pharmaceuticals |  | 1220334 |
|  Real Estate Management & Development – 0.5% | Real Estate Management & Development – 0.5% |  |
|  Cosmos Initia Co. Ltd. | 88500 | 625269 |
|  Mugen Estate Co. Ltd. | 38400 | 524020 |
|  Total Real Estate Management & Development | Total Real Estate Management & Development | 1149289 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Semiconductors & Semiconductor Equipment – 4.6% | Semiconductors & Semiconductor Equipment – 4.6% |  |
|  Ferrotec Corp. | 61800 | $2439525 |
|  Kioxia Holdings Corp.<sup>\*</sup> | 36400 | 4365529 |
|  Tokyo Electron Ltd. | 19900 | 4656967 |
|  Total Semiconductors & Semiconductor Equipment | Total Semiconductors & Semiconductor Equipment | 11462021 |
|  Specialty Retail – 1.4% |  |  |
|  Fast Retailing Co. Ltd. | 8900 | 3447778 |
|  Technology Hardware, Storage & Peripherals – 0.9% | Technology Hardware, Storage & Peripherals – 0.9% |  |
|  FUJIFILM Holdings Corp. | 123600 | 2304729 |
|  Textiles, Apparel & Luxury Goods – 0.3% | Textiles, Apparel & Luxury Goods – 0.3% |  |
|  Kurabo Industries Ltd. | 12900 | 681935 |
|  Trading Companies & Distributors – 43.5% | Trading Companies & Distributors – 43.5% |  |
|  Hanwa Co. Ltd. | 471400 | 4601698 |
|  ITOCHU Corp. | 1182700 | 14678743 |
|  Marubeni Corp. | 709400 | 25051287 |
|  Mitsubishi Corp. | 662500 | 22141634 |
|  Mitsui & Co. Ltd. | 591600 | 22159434 |
|  Shimojima Co. Ltd. | 74900 | 659595 |
|  Sumitomo Corp. | 513100 | 18641762 |
|  Total Trading Companies & Distributors |  | 107934153 |
|  Wireless Telecommunication Services – 2.3% | Wireless Telecommunication Services – 2.3% |  |
|  SoftBank Corp. | 4351600 | 5774233 |
|  TOTAL COMMON STOCKS <br> (Cost: $223,907,833) | TOTAL COMMON STOCKS <br> (Cost: $223,907,833) | 245070497 |
|  MUTUAL FUND – 0.2% |  |  |
|  United States – 0.2% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(b)</sup><br> (Cost: $450,498) | 450498 | 450498 |
|  TOTAL INVESTMENTS IN SECURITIES – 98.9% <br> (Cost: $224,358,331) | TOTAL INVESTMENTS IN SECURITIES – 98.9% <br> (Cost: $224,358,331) | 245520995 |
|  Other Assets less Liabilities – 1.1% |  | 2630974 |
|  NET ASSETS – 100.0% |  | $248151969 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $3,996,413 and the total market value of the collateral held by the Fund was $4,185,913, which was entirely composed of non-cash U.S. Government securities.

<sup>(b)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<u> CURRENCY ABBREVIATIONS:</u> <br> <u> JPY </u>   <u> Japanese yen </u> <br> USD United States dollar

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;93

**Schedule of Investments (concluded)**<br> WisdomTree Japan Opportunities Fund *(OPPJ)*<br> March 31, 2026<br>

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Barclays Bank PLC | 4/3/2026 | 46415064 | USD | 7227261766 | JPY | $982451 | $— |
|  Barclays Bank PLC | 4/3/2026 | 28301868 | USD | 4464956469 | JPY | 233888 |  |
|  Barclays Bank PLC | 4/3/2026 | 5660374 | USD | 899142485 | JPY | 8110 |  |
|  Citibank NA | 4/3/2026 | 5660374 | USD | 890489584 | JPY | 62505 |  |
|  Deutsche Bank AG | 4/3/2026 | 46415064 | USD | 7227283163 | JPY | 982317 |  |
|  Goldman Sachs | 4/3/2026 | 46415064 | USD | 7227261766 | JPY | 982451 |  |
|  JPMorgan Chase Bank NA | 4/3/2026 | 42319770555 | JPY | 266037560 | USD |  | (3506) |
|  Royal Bank of Canada | 4/3/2026 | 46415064 | USD | 7227287805 | JPY | 982288 |  |
|  UBS Group AG | 4/3/2026 | 897489656 | JPY | 5660374 | USD |  | (18500) |
|  UBS Group AG | 4/3/2026 | 46415062 | USD | 7227465681 | JPY | 981167 |  |
|  |  |  |  |  |  | $5215177 | $(22006) |

---

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted<br>Prices in<br>Active<br>Markets<br>(Level 1) | Other<br>Significant<br>Observable<br>Inputs<br>(Level 2) | Significant <br>Unobservable<br>Inputs<br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $245070497 | $— | $— | $245070497 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 450498 |  | 450498 |
|  Total Investments in Securities | $245070497 | $450498 | $— | $245520995 |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $5215177 | $— | $5215177 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(22006) | $— | $(22006) |
|  Total – Net | $245070497 | $5643669 | $— | $250714166 |

---

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

94&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments** <br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 98.2% |  |  |
|  Japan – 98.2% |  |  |
|  Air Freight & Logistics – 0.8% |  |  |
|  AIT Corp. | 18800 | $258915 |
|  Hamakyorex Co. Ltd. | 22300 | 247684 |
|  Konoike Transport Co. Ltd. | 41700 | 758825 |
|  Mitsui-Soko Holdings Co. Ltd. | 10300 | 258584 |
|  SBS Holdings, Inc. | 8200 | 218028 |
|  Senko Group Holdings Co. Ltd. | 85056 | 959948 |
|  Shibusawa Logistics Corp. | 37600 | 311738 |
|  Total Air Freight & Logistics |  | 3013722 |
|  Automobile Components – 3.3% |  |  |
|  Ahresty Corp. | 23700 | 117092 |
|  Aisan Industry Co. Ltd. | 39300 | 453547 |
|  Daido Metal Co. Ltd. | 37000 | 199082 |
|  Daikyonishikawa Corp. | 74500 | 387743 |
|  Eagle Industry Co. Ltd. | 31200 | 557752 |
|  Exedy Corp. | 63925 | 2222046 |
|  Fujikura Composites, Inc. | 22000 | 328984 |
|  FuKoKu Co. Ltd. | 20100 | 225523 |
|  Futaba Industrial Co. Ltd. | 61400 | 369736 |
|  GS Yuasa Corp. | 33600 | 1114509 |
|  G-Tekt Corp. | 37400 | 423862 |
|  H-One Co. Ltd. | 36900 | 270215 |
|  KYB Corp. | 34100 | 888456 |
|  Musashi Seimitsu Industry Co. Ltd. | 16400 | 270292 |
|  NPR-RIKEN Corp. | 29500 | 689798 |
|  Press Kogyo Co. Ltd. | 90600 | 461286 |
|  Sanoh Industrial Co. Ltd. | 29400 | 124186 |
|  Seiren Co. Ltd. | 37711 | 731274 |
|  Shoei Co. Ltd. | 34200 | 353845 |
|  T RAD Co. Ltd. | 6500 | 316645 |
|  Tachi-S Co. Ltd. | 48500 | 618254 |
|  Tokai Rika Co. Ltd. | 41558 | 768258 |
|  Topre Corp. | 29300 | 435752 |
|  Unipres Corp. | 41900 | 342648 |
|  Yutaka Giken Co. Ltd.<sup>\*</sup> | 7400 | 139544 |
|  Total Automobile Components |  | 12810329 |
|  Banks – 10.2% |  |  |
|  Aichi Financial Group, Inc. | 106000 | 914815 |
|  Akita Bank Ltd. | 17100 | 525608 |
|  Aozora Bank Ltd. | 80400 | 1260404 |
|  Awa Bank Ltd. | 17375 | 621433 |
|  Bank of Iwate Ltd. | 61600 | 616813 |
|  Bank of Nagoya Ltd. | 32800 | 1160752 |
|  Bank of Saga Ltd. | 10000 | 293544 |
|  Bank of the Ryukyus Ltd. | 22408 | 311703 |
|  CCI Group, Inc. | 88400 | 516764 |
|  Chugin Financial Group, Inc. | 141100 | 2454993 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Daishi Hokuetsu Financial Group, Inc. | 223630 | $2627220 |
|  Ehime Bank Ltd. | 29599 | 286892 |
|  FIDEA Holdings Co. Ltd. | 15580 | 181664 |
|  First Bank of Toyama Ltd. | 49100 | 720960 |
|  Fukui Bank Ltd. | 15548 | 312250 |
|  Hyakugo Bank Ltd. | 101400 | 958612 |
|  Hyakujushi Bank Ltd. | 63200 | 829875 |
|  Juroku Financial Group, Inc. | 107000 | 1194494 |
|  Keiyo Bank Ltd. | 57742 | 729170 |
|  Kita-Nippon Bank Ltd. | 8300 | 234251 |
|  Kiyo Bank Ltd. | 64890 | 1560150 |
|  Kyushu Financial Group, Inc. | 197100 | 1396264 |
|  Miyazaki Bank Ltd. | 53000 | 592665 |
|  Musashino Bank Ltd. | 55200 | 722746 |
|  Nanto Bank Ltd. | 107000 | 947659 |
|  Nishi-Nippon Financial Holdings, Inc. | 80400 | 1872917 |
|  North Pacific Bank Ltd. | 201615 | 1184927 |
|  Ogaki Kyoritsu Bank Ltd. | 26742 | 1022009 |
|  Oita Bank Ltd. | 51500 | 602436 |
|  Okinawa Financial Group, Inc. | 16880 | 555982 |
|  Procrea Holdings, Inc. | 18562 | 362863 |
|  San ju San Financial Group, Inc. | 88800 | 803213 |
|  San-In Godo Bank Ltd. | 94500 | 1027032 |
|  Senshu Ikeda Holdings, Inc. | 112140 | 605495 |
|  Seven Bank Ltd. | 726500 | 1222478 |
|  Shiga Bank Ltd. | 71000 | 831435 |
|  Shikoku Bank Ltd. | 38100 | 537648 |
|  Suruga Bank Ltd. | 100100 | 1252744 |
|  Tochigi Bank Ltd. | 51500 | 278396 |
|  Toho Bank Ltd. | 102600 | 416617 |
|  Tokyo Kiraboshi Financial Group, Inc. | 16300 | 1128060 |
|  TOMONY Holdings, Inc. | 147700 | 755722 |
|  Towa Bank Ltd. | 40700 | 253272 |
|  Yamagata Bank Ltd. | 21000 | 311918 |
|  Yamaguchi Financial Group, Inc. | 127700 | 1931674 |
|  Yamanashi Chuo Bank Ltd. | 24000 | 782953 |
|  Total Banks |  | 39711492 |
|  Beverages – 0.2% |  |  |
|  Ito En Ltd. | 20000 | 374190 |
|  Takara Holdings, Inc. | 55911 | 542979 |
|  Total Beverages |  | 917169 |
|  Biotechnology – 0.1% |  |  |
|  Takara Bio, Inc.<sup>\*</sup> | 45000 | 324722 |
|  Broadline Retail – 0.6% |  |  |
|  Aeon Kyushu Co. Ltd. | 10500 | 184207 |
|  Belluna Co. Ltd. | 49784 | 272249 |
|  Izumi Co. Ltd. | 75200 | 490178 |
|  Kintetsu Department Store Co. Ltd. | 12500 | 139544 |
|  Matsuya Co. Ltd.<sup>(a)</sup> | 12200 | 138725 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;95

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Mr. Max Holdings Ltd. | 35600 | $166039 |
|  Seria Co. Ltd. | 28100 | 664127 |
|  Treasure Factory Co. Ltd.<sup>(a)</sup> | 10500 | 109825 |
|  Total Broadline Retail |  | 2164894 |
|  Building Products – 1.4% |  |  |
|  Bunka Shutter Co. Ltd. | 35800 | 427557 |
|  Central Glass Co. Ltd. | 13686 | 339806 |
|  Kondotec, Inc. | 15500 | 146046 |
|  Nichias Corp. | 99300 | 1801681 |
|  Nitto Boseki Co. Ltd. | 6100 | 718549 |
|  Sanko Metal Industrial Co. Ltd. | 10600 | 87351 |
|  Shin Nippon Air Technologies Co. Ltd. | 28600 | 586058 |
|  Sinko Industries Ltd. | 29200 | 220069 |
|  Takara Standard Co. Ltd. | 54631 | 940907 |
|  Total Building Products |  | 5268024 |
|  Capital Markets – 1.9% |  |  |
|  GMO Financial Holdings, Inc. | 148700 | 831875 |
|  Ichiyoshi Securities Co. Ltd. | 35588 | 323243 |
|  IwaiCosmo Holdings, Inc. | 29600 | 645622 |
|  M&A Capital Partners Co. Ltd. | 9600 | 175840 |
|  Matsui Securities Co. Ltd. | 200100 | 1186085 |
|  Monex Group, Inc. | 140300 | 590867 |
|  Nihon M&A Center Holdings, Inc. | 242800 | 961646 |
|  Okasan Securities Group, Inc. | 166500 | 859240 |
|  SBI Global Asset Management Co. Ltd. | 44044 | 161403 |
|  Sparx Group Co. Ltd. | 18900 | 222751 |
|  Strike Group Co. Ltd. | 41700 | 354905 |
|  Tokai Tokyo Financial Holdings, Inc. | 218500 | 977887 |
|  Traders Holdings Co. Ltd. | 23200 | 147725 |
|  Total Capital Markets |  | 7439089 |
|  Chemicals – 9.7% |  |  |
|  ADEKA Corp. | 74925 | 1700165 |
|  Aica Kogyo Co. Ltd. | 59115 | 1345127 |
|  Arakawa Chemical Industries Ltd. | 26000 | 205921 |
|  Artience Co. Ltd. | 28302 | 665343 |
|  Asahi Yukizai Corp. | 9500 | 332013 |
|  C Uyemura & Co. Ltd. | 6800 | 842894 |
|  Carlit Co. Ltd. | 16200 | 253351 |
|  Chugoku Marine Paints Ltd. | 38300 | 784826 |
|  Dai Nippon Toryo Co. Ltd. | 26400 | 202949 |
|  Daicel Corp. | 187800 | 1446659 |
|  Dainichiseika Color & Chemicals Manufacturing Co. Ltd. | 66968 | 453778 |
|  DIC Corp. | 37400 | 859478 |
|  DKS Co. Ltd. | 5500 | 256521 |
|  Fujimi, Inc. | 34500 | 581831 |
|  Fuso Chemical Co. Ltd. | 28200 | 483206 |
|  Harima Chemicals Group, Inc. | 32300 | 184554 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Hodogaya Chemical Co. Ltd. | 12400 | $193767 |
|  Hokko Chemical Industry Co. Ltd. | 15500 | 166312 |
|  Ise Chemicals Corp. | 17000 | 558866 |
|  Ishihara Sangyo Kaisha Ltd. | 47000 | 815683 |
|  JCU Corp. | 12300 | 411314 |
|  JSP Corp. | 21223 | 303491 |
|  Kaneka Corp. | 36900 | 1112172 |
|  Kanto Denka Kogyo Co. Ltd. | 23900 | 202359 |
|  KeePer Technical Laboratory Co. Ltd. | 7700 | 144523 |
|  KH Neochem Co. Ltd. | 21200 | 361262 |
|  Koatsu Gas Kogyo Co. Ltd. | 30500 | 210887 |
|  Konishi Co. Ltd. | 38100 | 328097 |
|  Kureha Corp. | 31592 | 783396 |
|  Kuriyama Holdings Corp. | 17400 | 203979 |
|  Lintec Corp. | 46765 | 1316910 |
|  MEC Co. Ltd. | 5000 | 198315 |
|  Moriroku Co. Ltd. | 12200 | 183433 |
|  Nicca Chemical Co. Ltd.<sup>(a)</sup> | 16200 | 163436 |
|  Nihon Nohyaku Co. Ltd. | 52500 | 330002 |
|  Nippon Carbide Industries Co., Inc. | 12600 | 206634 |
|  Nippon Chemical Industrial Co. Ltd. | 7800 | 138261 |
|  Nippon Kayaku Co. Ltd. | 122500 | 1351743 |
|  Nippon Shokubai Co. Ltd. | 147400 | 2103199 |
|  Nippon Soda Co. Ltd. | 39836 | 875145 |
|  Okura Industrial Co. Ltd.<sup>(a)</sup> | 10400 | 305940 |
|  Osaka Organic Chemical Industry Ltd. | 9500 | 205717 |
|  Osaka Soda Co. Ltd. | 28800 | 309018 |
|  PILLAR Corp. | 10800 | 475203 |
|  Rasa Industries Ltd. | 34000 | 351562 |
|  Riken Technos Corp. | 52900 | 552642 |
|  Sakai Chemical Industry Co. Ltd. | 15200 | 330580 |
|  Sakata INX Corp. | 49200 | 701090 |
|  Sanyo Chemical Industries Ltd. | 17935 | 560293 |
|  Shin-Etsu Polymer Co. Ltd. | 56800 | 685499 |
|  Soken Chemical & Engineering Co. Ltd. | 14500 | 301229 |
|  Stella Chemifa Corp. | 10000 | 302345 |
|  Sumitomo Seika Chemicals Co. Ltd. | 42500 | 315765 |
|  T Hasegawa Co. Ltd. | 21700 | 385332 |
|  Takasago International Corp. | 85600 | 637601 |
|  Tayca Corp. | 22100 | 235739 |
|  Teijin Ltd. | 121700 | 1248441 |
|  Toagosei Co. Ltd. | 79700 | 855414 |
|  Tokai Carbon Co. Ltd. | 98300 | 594471 |
|  Tokuyama Corp. | 48500 | 1139563 |
|  Toyobo Co. Ltd. | 52753 | 436707 |
|  UBE Corp. | 79393 | 1213177 |
|  Valqua Ltd. | 7937 | 226999 |
|  Zacros Corp. | 40700 | 327207 |
|  Zeon Corp. | 143400 | 1584620 |
|  Total Chemicals |  | 37543956 |

---

*See Notes to Financial Statements.*

96&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Commercial Services & Supplies – 1.3% | Commercial Services & Supplies – 1.3% |  |
|  CTS Co. Ltd. | 28800 | $163289 |
|  Daiei Kankyo Co. Ltd. | 16600 | 405374 |
|  grems, Inc. | 8600 | 148280 |
|  Itoki Corp. | 21900 | 416415 |
|  Japan Elevator Service Holdings Co. Ltd. | 24700 | 251906 |
|  Kokuyo Co. Ltd. | 158700 | 855797 |
|  Matsuda Sangyo Co. Ltd. | 4900 | 191577 |
|  Nippon Air Conditioning Services Co. Ltd. | 26700 | 247884 |
|  Nippon Kanzai Holdings Co. Ltd. | 8500 | 153715 |
|  Nippon Parking Development Co. Ltd. | 108100 | 180744 |
|  Okamura Corp. | 61676 | 955631 |
|  Park24 Co. Ltd. | 18000 | 213558 |
|  Pilot Corp. | 14300 | 421207 |
|  Sato Corp. | 8038 | 112772 |
|  TRE Holdings Corp. | 15000 | 147935 |
|  Total Commercial Services & Supplies |  | 4866084 |
|  Construction & Engineering – 7.2% |  |  |
|  Asahi Kogyosha Co. Ltd. | 20300 | 435118 |
|  Asanuma Corp. | 78400 | 482947 |
|  CTI Engineering Co. Ltd. | 7300 | 138805 |
|  Dai-Dan Co. Ltd. | 85700 | 1412981 |
|  Daiho Corp. | 59600 | 288466 |
|  Hazama Ando Corp. | 187000 | 2294450 |
|  INFRONEER Holdings, Inc. | 145300 | 1970487 |
|  JDC Corp. | 46400 | 167412 |
|  Kawada Technologies, Inc. | 38400 | 367611 |
|  Kumagai Gumi Co. Ltd. | 90500 | 871494 |
|  Mirait One Corp. | 33300 | 747256 |
|  Mitsubishi Kakoki Kaisha Ltd. | 12800 | 234453 |
|  Miyaji Engineering Group, Inc. | 14500 | 157222 |
|  Nippon Densetsu Kogyo Co. Ltd. | 25300 | 757775 |
|  Nippon Rietec Co. Ltd. | 15500 | 245619 |
|  Nishimatsu Construction Co. Ltd. | 24007 | 863009 |
|  Nittoc Construction Co. Ltd. | 22300 | 173113 |
|  Okumura Corp. | 22870 | 908532 |
|  Oriental Shiraishi Corp. | 63700 | 149350 |
|  Penta-Ocean Construction Co. Ltd. | 85993 | 879443 |
|  PS Construction Co. Ltd. | 43800 | 741976 |
|  Raito Kogyo Co. Ltd. | 30900 | 743900 |
|  Raiznext Corp. | 36400 | 516176 |
|  Sanki Engineering Co. Ltd. | 44900 | 1893765 |
|  Seikitokyu Kogyo Co. Ltd. | 22000 | 207430 |
|  SHO-BOND Holdings Co. Ltd. | 83400 | 736021 |
|  Taihei Dengyo Kaisha Ltd. | 21300 | 387334 |
|  Taikisha Ltd. | 25930 | 536235 |
|  Takamatsu Construction Group Co. Ltd. | 10600 | 238532 |
|  Techno Ryowa Ltd. | 6100 | 222006 |
|  Toa Corp. | 102300 | 1958033 |
|  TOA Road Corp. | 59600 | 640244 |
|  Toda Corp. | 156949 | 1428513 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Toenec Corp. | 70200 | $876783 |
|  Tokyo Energy & Systems, Inc. | 18500 | 201989 |
|  Tokyu Construction Co. Ltd. | 70000 | 617764 |
|  Totetsu Kogyo Co. Ltd. | 25879 | 873532 |
|  Yahagi Construction Co. Ltd. | 28500 | 372978 |
|  Yokogawa Bridge Holdings Corp. | 12600 | 234750 |
|  Yondenko Corp. | 28900 | 335159 |
|  Yurtec Corp. | 41000 | 659237 |
|  Total Construction & Engineering |  | 27967900 |
|  Construction Materials – 0.5% |  |  |
|  Asia Pile Holdings Corp. | 40200 | 349719 |
|  Maeda Kosen Co. Ltd. | 17200 | 208662 |
|  Shinagawa Refra Co. Ltd. | 40000 | 511912 |
|  Sumitomo Osaka Cement Co. Ltd. | 17440 | 416898 |
|  Vertex Corp. | 30100 | 373861 |
|  Yotai Refractories Co. Ltd. | 21900 | 249436 |
|  Total Construction Materials |  | 2110488 |
|  Consumer Finance – 0.1% |  |  |
|  Aiful Corp. | 116900 | 332866 |
|  Consumer Staples Distribution & Retail – 2.7% | Consumer Staples Distribution & Retail – 2.7% |  |
|  Aeon Hokkaido Corp.<sup>(a)</sup> | 33600 | 187547 |
|  Ain Holdings, Inc. | 7400 | 261691 |
|  Arcs Co. Ltd. | 23194 | 551093 |
|  Axial Retailing, Inc. | 62200 | 485980 |
|  Belc Co. Ltd. | 6500 | 307656 |
|  Cawachi Ltd. | 13600 | 255689 |
|  Create SD Holdings Co. Ltd. | 28100 | 583761 |
|  Eco's Co. Ltd.<sup>(a)</sup> | 9400 | 152087 |
|  Fuji Co. Ltd.<sup>(a)</sup> | 21100 | 276797 |
|  G-7 Holdings, Inc. | 32700 | 275635 |
|  H2O Retailing Corp. | 44100 | 661126 |
|  Halows Co. Ltd. | 6400 | 172179 |
|  Heiwado Co. Ltd. | 29763 | 554888 |
|  JM Holdings Co. Ltd. | 24700 | 240184 |
|  Kato Sangyo Co. Ltd. | 14116 | 594489 |
|  Kusuri no Aoki Holdings Co. Ltd.<sup>(a)</sup> | 10500 | 255355 |
|  Lacto Japan Co. Ltd. | 7600 | 171262 |
|  Life Corp. | 55300 | 882909 |
|  Okuwa Co. Ltd. | 24900 | 128655 |
|  Qol Holdings Co. Ltd. | 13700 | 160518 |
|  Retail Partners Co. Ltd. | 31000 | 244937 |
|  San-A Co. Ltd. | 31600 | 605821 |
|  Shoei Foods Corp. | 6500 | 174052 |
|  Toho Co. Ltd. | 26400 | 221037 |
|  Trial Holdings, Inc.<sup>(a)</sup> | 15800 | 417122 |
|  United Super Markets Holdings, Inc.<sup>(a)</sup> | 45826 | 258094 |
|  Valor Holdings Co. Ltd. | 33491 | 770489 |
|  Yamatane Corp. | 14000 | 189993 |
|  Yokorei Co. Ltd. | 31400 | 304151 |
|  Total Consumer Staples Distribution & Retail |  | 10345197 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;97

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Containers & Packaging – 1.0% |  |  |
|  FP Corp. | 36100 | $534159 |
|  Fuji Seal International, Inc. | 33610 | 545061 |
|  Hokkan Holdings Ltd. | 17700 | 246770 |
|  Kohsoku Corp. | 22400 | 440707 |
|  Nihon Yamamura Glass Co. Ltd. | 15000 | 264850 |
|  Pack Corp. | 36500 | 301700 |
|  Rengo Co. Ltd. | 140600 | 1111349 |
|  Tomoku Co. Ltd. | 17600 | 373374 |
|  Total Containers & Packaging |  | 3817970 |
|  Distributors – 0.5% |  |  |
|  Central Automotive Products Ltd. | 31500 | 373628 |
|  GSI Creos Corp. | 16000 | 242781 |
|  Happinet Corp. | 23400 | 395221 |
|  PALTAC Corp. | 25000 | 756176 |
|  Yamae Group Holdings Co. Ltd. | 12400 | 222840 |
|  Total Distributors |  | 1990646 |
|  Diversified Consumer Services – 0.3% |  |  |
|  Aucnet, Inc. | 60000 | 448048 |
|  JP-Holdings, Inc. | 36800 | 155675 |
|  Nagase Brothers, Inc. | 14700 | 217234 |
|  San Holdings, Inc. | 17300 | 144846 |
|  Waseda Academy Co. Ltd. | 13600 | 173708 |
|  Total Diversified Consumer Services |  | 1139511 |
|  Diversified Telecommunication Services – 0.2% | Diversified Telecommunication Services – 0.2% |  |
|  Asahi Net, Inc. | 56900 | 231406 |
|  U-Next Holdings Co. Ltd.<sup>(a)</sup> | 21500 | 223122 |
|  Vision, Inc. | 27900 | 198872 |
|  Total Diversified Telecommunication Services |  | 653400 |
|  Electric Utilities – 1.0% |  |  |
|  Chugoku Electric Power Co., Inc. | 223700 | 1402888 |
|  Hokkaido Electric Power Co., Inc. | 78700 | 522391 |
|  Hokuriku Electric Power Co. | 90100 | 604574 |
|  Okinawa Electric Power Co., Inc. | 31800 | 210681 |
|  Shikoku Electric Power Co., Inc. | 106100 | 1165773 |
|  Total Electric Utilities |  | 3906307 |
|  Electrical Equipment – 1.1% |  |  |
|  Cosel Co. Ltd. | 17200 | 121846 |
|  Daihen Corp. | 5700 | 400207 |
|  Mabuchi Motor Co. Ltd. | 107400 | 1056853 |
|  Mirai Industry Co. Ltd. | 10200 | 203564 |
|  Nitto Kogyo Corp. | 37100 | 984110 |
|  Sanyo Denki Co. Ltd. | 7100 | 194582 |
|  Sinfonia Technology Co. Ltd. | 6300 | 410654 |
|  SWCC Corp. | 8100 | 613011 |
|  Toyo Tanso Co. Ltd. | 7000 | 222641 |
|  Total Electrical Equipment |  | 4207468 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Electronic Equipment, Instruments & Components – 7.1% | Electronic Equipment, Instruments & Components – 7.1% | Electronic Equipment, Instruments & Components – 7.1% |
|  A&D HOLON Holdings Co. Ltd. | 16800 | $264107 |
|  Ai Holdings Corp. | 23000 | 390345 |
|  Alps Alpine Co. Ltd. | 107200 | 1402919 |
|  Amano Corp. | 48635 | 1154963 |
|  Anritsu Corp. | 69300 | 1192680 |
|  Chino Corp. | 23000 | 209919 |
|  Citizen Watch Co. Ltd. | 164000 | 1716387 |
|  Daitron Co. Ltd. | 22400 | 373263 |
|  Daiwabo Holdings Co. Ltd. | 51195 | 986314 |
|  Dexerials Corp. | 72800 | 967601 |
|  Enplas Corp. | 2600 | 190559 |
|  ESPEC Corp. | 18500 | 345719 |
|  FTGroup Co. Ltd. | 23800 | 189843 |
|  Furuno Electric Co. Ltd. | 13700 | 524439 |
|  Hagiwara Electric Holdings Co. Ltd. | 5100 | 118131 |
|  Hakuto Co. Ltd. | 14834 | 388823 |
|  Hioki EE Corp. | 7700 | 339770 |
|  Hochiki Corp. | 47700 | 617051 |
|  Hokuriku Electric Industry Co. Ltd. | 10300 | 172087 |
|  Iriso Electronics Co. Ltd. | 15800 | 317311 |
|  Japan Aviation Electronics Industry Ltd. | 21900 | 309042 |
|  Jeol Ltd. | 17600 | 632688 |
|  Kaga Electronics Co. Ltd. | 29700 | 688874 |
|  Koa Corp. | 22400 | 203598 |
|  Kohoku Kogyo Co. Ltd. | 5900 | 139072 |
|  Kuroda Group Co. Ltd. | 83900 | 501006 |
|  Kyosan Electric Manufacturing Co. Ltd. | 68100 | 261116 |
|  Macnica Holdings, Inc. | 96600 | 1402944 |
|  Marubun Corp. | 37200 | 258616 |
|  Maxell Ltd. | 21700 | 280713 |
|  Meiko Electronics Co. Ltd. | 5100 | 773864 |
|  Nagano Keiki Co. Ltd. | 10700 | 182671 |
|  Nichicon Corp. | 26000 | 280282 |
|  Nippon Signal Co. Ltd. | 63800 | 641649 |
|  Nohmi Bosai Ltd. | 38491 | 991974 |
|  Oki Electric Industry Co. Ltd. | 39000 | 630756 |
|  Optex Group Co. Ltd. | 16500 | 269970 |
|  Osaki Electric Co. Ltd. | 32900 | 345358 |
|  Restar Corp. | 24000 | 396606 |
|  Rigaku Holdings Corp.<sup>(a)</sup> | 76600 | 963940 |
|  Riken Keiki Co. Ltd. | 11000 | 201898 |
|  RYODEN Corp. | 16761 | 345039 |
|  Ryoyo Ryosan Holdings, Inc. | 41400 | 778608 |
|  Sanshin Electronics Co. Ltd. | 23000 | 391791 |
|  Santec Holdings Corp. | 6000 | 620026 |
|  Satori Electric Co. Ltd. | 10800 | 130594 |
|  Siix Corp. | 30000 | 221573 |
|  Sumida Corp. | 20000 | 136024 |
|  Sun-Wa Technos Corp. | 16100 | 315240 |
|  Suzuki Co. Ltd. | 17400 | 293008 |

---

*See Notes to Financial Statements.*

98&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Tachibana Eletech Co. Ltd. | 9700 | $174257 |
|  Takachiho Koheki Co. Ltd. | 21000 | 266642 |
|  Tokyo Electron Device Ltd. | 15100 | 280663 |
|  Tomen Devices Corp. | 5600 | 409730 |
|  Tsuzuki Denki Co. Ltd. | 12300 | 267896 |
|  V Technology Co. Ltd. | 5700 | 147435 |
|  Yashima Denki Co. Ltd. | 13500 | 242438 |
|  Yokowo Co. Ltd. | 17700 | 328433 |
|  Total Electronic Equipment, Instruments & Components | Total Electronic Equipment, Instruments & Components | 27568265 |
|  Energy Equipment & Services – 0.1% |  |  |
|  Toyo Kanetsu KK | 28200 | 487992 |
|  Entertainment – 0.2% |  |  |
|  Anycolor, Inc. | 15400 | 280625 |
|  Daiichikosho Co. Ltd. | 57800 | 612733 |
|  Total Entertainment |  | 893358 |
|  Financial Services – 0.4% |  |  |
|  GMO Financial Gate, Inc. | 2500 | 81715 |
|  Japan Investment Adviser Co. Ltd.<sup>(a)</sup> | 45100 | 531822 |
|  Japan Securities Finance Co. Ltd. | 60000 | 779181 |
|  J-Lease Co. Ltd. | 13900 | 107118 |
|  Total Financial Services |  | 1499836 |
|  Food Products – 4.5% |  |  |
|  Ariake Japan Co. Ltd. | 13028 | 458588 |
|  Calbee, Inc. | 44300 | 856818 |
|  Chubu Shiryo Co. Ltd. | 28800 | 317707 |
|  Ezaki Glico Co. Ltd.<sup>(a)</sup> | 15400 | 569187 |
|  Feed One Co. Ltd. | 37900 | 281111 |
|  Fuji Oil Co. Ltd. | 20500 | 462729 |
|  Fujicco Co. Ltd. | 25500 | 254054 |
|  Fujiya Co. Ltd.<sup>(a)</sup> | 8900 | 138292 |
|  Hokuto Corp. | 13991 | 167357 |
|  House Foods Group, Inc. | 29000 | 555792 |
|  Itoham Yonekyu Holdings, Inc. | 23700 | 855101 |
|  J-Oil Mills, Inc. | 20600 | 261304 |
|  Kakiyasu Honten Co. Ltd.<sup>(a)</sup> | 10100 | 180935 |
|  Kameda Seika Co. Ltd. | 24000 | 218593 |
|  Kanro, Inc.<sup>(a)</sup> | 21800 | 161832 |
|  Kenko Mayonnaise Co. Ltd. | 11000 | 152599 |
|  Kotobuki Spirits Co. Ltd. | 45200 | 520074 |
|  Kyokuyo Co. Ltd. | 7200 | 224477 |
|  Marudai Food Co. Ltd. | 21600 | 309561 |
|  Megmilk Snow Brand Co. Ltd. | 26300 | 535621 |
|  Mitsui DM Sugar Co. Ltd. | 21198 | 453034 |
|  Miyoshi Oil & Fat Co. Ltd.<sup>(a)</sup> | 13900 | 195451 |
|  Morinaga & Co. Ltd. | 49674 | 843200 |
|  Morinaga Milk Industry Co. Ltd. | 35800 | 1072042 |
|  Nichimo Co. Ltd. | 12300 | 193210 |
|  Nippn Corp. | 37483 | 639207 |
|  Nisshin Oillio Group Ltd. | 63000 | 755968 |
|  Nissui Corp. | 142800 | 1205932 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Prima Meat Packers Ltd. | 31600 | $| 542259 |
|  Riken Vitamin Co. Ltd. | 30800 |  | 556022 |
|  S Foods, Inc. | 21600 |  | 405823 |
|  S&B Foods, Inc. | 10000 |  | 295116 |
|  Sakata Seed Corp. | 15500 |  | 419920 |
|  Shimadaya Corp. | 10300 |  | 116603 |
|  Showa Sangyo Co. Ltd. | 16200 |  | 331963 |
|  Starzen Co. Ltd. | 46500 |  | 370328 |
|  Umios Corp. | 76696 |  | 702167 |
|  Warabeya Nichiyo Holdings Co. Ltd. | 8700 |  | 163347 |
|  Wellneo Sugar Co. Ltd. | 30600 |  | 550104 |
|  Total Food Products |  |  | 17293428 |
|  Gas Utilities – 0.7% |  |  |  |
|  Hokkaido Gas Co. Ltd. | 74600 |  | 408427 |
|  Nippon Gas Co. Ltd. | 93300 |  | 1720968 |
|  Saibu Gas Holdings Co. Ltd. | 33700 |  | 539107 |
|  Total Gas Utilities |  |  | 2668502 |
|  Ground Transportation – 1.6% |  |  |  |
|  Keikyu Corp. | 88400 |  | 847382 |
|  Maruzen Showa Unyu Co. Ltd. | 10000 |  | 516689 |
|  Nagoya Railroad Co. Ltd. | 60300 |  | 654207 |
|  NANKAI Co. Ltd. | 24900 |  | 480189 |
|  Nishi-Nippon Railroad Co. Ltd. | 17400 |  | 329100 |
|  Sakai Moving Service Co. Ltd. | 30200 |  | 518994 |
|  Seino Holdings Co. Ltd. | 129400 |  | 1973657 |
|  Sotetsu Holdings, Inc. | 28100 |  | 516995 |
|  Zero Co. Ltd. | 15300 |  | 327946 |
|  Total Ground Transportation |  |  | 6165159 |
|  Health Care Equipment & Supplies – 1.0% | Health Care Equipment & Supplies – 1.0% | Health Care Equipment & Supplies – 1.0% | Health Care Equipment & Supplies – 1.0% |
|  Eiken Chemical Co. Ltd. | 17470 |  | 335476 |
|  Japan Lifeline Co. Ltd. | 43800 |  | 376907 |
|  Mizuho Medy Co. Ltd. | 16200 |  | 184107 |
|  Nagaileben Co. Ltd.<sup>(a)</sup> | 22026 |  | 230658 |
|  Nakanishi, Inc. | 38200 |  | 648793 |
|  Nihon Kohden Corp. | 48500 |  | 443570 |
|  Nipro Corp. | 33400 |  | 325833 |
|  PHC Holdings Corp. | 86000 |  | 588686 |
|  Rion Co. Ltd. | 10800 |  | 184107 |
|  Shofu, Inc. | 18800 |  | 198056 |
|  Tauns Laboratories, Inc.<sup>(a)</sup> | 92500 |  | 288390 |
|  Total Health Care Equipment & Supplies |  |  | 3804583 |
|  Health Care Providers & Services – 1.5% | Health Care Providers & Services – 1.5% | Health Care Providers & Services – 1.5% | Health Care Providers & Services – 1.5% |
|  Alfresa Holdings Corp. | 91600 |  | 1455558 |
|  As One Corp. | 33200 |  | 459946 |
|  Charm Care Corp. KK | 18300 |  | 148158 |
|  Elan Corp. | 23500 |  | 106355 |
|  Falco Holdings Co. Ltd. | 13200 |  | 216557 |
|  France Bed Holdings Co. Ltd. | 23300 |  | 189370 |
|  HU Group Holdings, Inc. | 29000 |  | 581677 |
|  Ship Healthcare Holdings, Inc. | 37414 |  | 564067 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;99

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Solasto Corp. | 69700 | $488500 |
|  Suzuken Co. Ltd. | 18500 | 690160 |
|  Toho Holdings Co. Ltd. | 17200 | 514843 |
|  Tokai Corp. | 10100 | 156112 |
|  Vital KSK Holdings, Inc. | 39500 | 363741 |
|  Total Health Care Providers & Services |  | 5935044 |
|  Health Care Technology – 0.1% |  |  |
|  EM Systems Co. Ltd.<sup>(a)</sup> | 65100 | 268027 |
|  JMDC, Inc.<sup>\*</sup> | 6100 | 124232 |
|  Total Health Care Technology |  | 392259 |
|  Hotels, Restaurants & Leisure – 1.6% |  |  |
|  Create Restaurants Holdings, Inc.<sup>(a)</sup> | 60300 | 289200 |
|  Curves Holdings Co. Ltd. | 52800 | 245929 |
|  Doutor Nichires Holdings Co. Ltd. | 17100 | 315365 |
|  Fuji Kyuko Co. Ltd. | 12200 | 186501 |
|  Hiday Hidaka Corp.<sup>(a)</sup> | 13498 | 250717 |
|  HIS Co. Ltd. | 14100 | 92351 |
|  Ichibanya Co. Ltd.<sup>(a)</sup> | 16980 | 98087 |
|  Kisoji Co. Ltd. | 10200 | 161569 |
|  KOMEDA Holdings Co. Ltd. | 17400 | 323632 |
|  Koshidaka Holdings Co. Ltd. | 37500 | 253866 |
|  Kura Sushi, Inc.<sup>(a)</sup> | 5800 | 131975 |
|  Kyoritsu Maintenance Co. Ltd. | 18800 | 287572 |
|  Monogatari Corp. | 7100 | 208640 |
|  MOS Food Services, Inc. | 7200 | 191891 |
|  Ohsho Food Service Corp. | 24900 | 483632 |
|  Resorttrust, Inc. | 91216 | 995068 |
|  Round One Corp. | 63900 | 328397 |
|  Royal Holdings Co. Ltd.<sup>(a)</sup> | 23600 | 216285 |
|  Saizeriya Co. Ltd.<sup>(a)</sup> | 6500 | 259853 |
|  St. Marc Holdings Co. Ltd. | 12900 | 240826 |
|  Tokyotokeiba Co. Ltd. | 9642 | 344249 |
|  Toridoll Holdings Corp. | 8600 | 235528 |
|  Yoshinoya Holdings Co. Ltd. | 8400 | 173977 |
|  Total Hotels, Restaurants & Leisure |  | 6315110 |
|  Household Durables – 1.8% |  |  |
|  &Do Holdings Co. Ltd. | 23200 | 158954 |
|  Casio Computer Co. Ltd. | 124700 | 1098150 |
|  Cleanup Corp. | 49200 | 284827 |
|  ES-Con Japan Ltd. | 82900 | 563818 |
|  Eslead Corp. | 10400 | 399422 |
|  Foster Electric Co. Ltd. | 18600 | 337417 |
|  Fuji Corp. Ltd. | 29100 | 146881 |
|  Global Ltd.<sup>(a)</sup> | 26200 | 162546 |
|  Hoosiers Holdings Co. Ltd. | 39800 | 297706 |
|  JVCKenwood Corp. | 40300 | 276494 |
|  Ki-Star Real Estate Co. Ltd. | 26600 | 547583 |
|  LEC, Inc. | 20800 | 146302 |
|  Noritz Corp. | 31100 | 451184 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Sangetsu Corp. | 45200 | $| 877918 |
|  Tamron Co. Ltd. | 98628 |  | 613751 |
|  TASUKI Holdings, Inc. | 59600 |  | 293711 |
|  Zojirushi Corp. | 32700 |  | 342436 |
|  Total Household Durables |  |  | 6999100 |
|  Household Products – 0.4% |  |  |  |
|  Earth Corp. | 10200 |  | 304224 |
|  Pigeon Corp. | 75100 |  | 770874 |
|  ST Corp. | 25000 |  | 230844 |
|  Transaction Co. Ltd. | 26300 |  | 189120 |
|  Total Household Products |  |  | 1495062 |
|  Independent Power and Renewable Electricity Producers – 0.0% | Independent Power and Renewable Electricity Producers – 0.0% | Independent Power and Renewable Electricity Producers – 0.0% | Independent Power and Renewable Electricity Producers – 0.0% |
|  eRex Co. Ltd. | 25700 |  | 156213 |
|  Industrial Conglomerates – 0.5% |  |  |  |
|  Keihan Holdings Co. Ltd. | 16200 |  | 328908 |
|  Mie Kotsu Group Holdings, Inc. | 42000 |  | 144409 |
|  Mitsui Matsushima Holdings Co. Ltd. | 15700 |  | 129871 |
|  Nisshinbo Holdings, Inc. | 63900 |  | 578189 |
|  TOKAI Holdings Corp. | 80400 |  | 588256 |
|  Total Industrial Conglomerates |  |  | 1769633 |
|  Insurance – 0.1% |  |  |  |
|  FP Partner, Inc.<sup>(a)</sup> | 16900 |  | 249851 |
|  Zenhoren Co. Ltd. | 32600 |  | 196719 |
|  Total Insurance |  |  | 446570 |
|  Interactive Media & Services – 0.2% |  |  |  |
|  Kamakura Shinsho Ltd.<sup>(a)</sup> | 44500 |  | 129229 |
|  LIFULL Co. Ltd. | 105800 |  | 127021 |
|  MTI Ltd. | 30900 |  | 120034 |
|  Sharingtechnology, Inc. | 22000 |  | 166497 |
|  ZIGExN Co. Ltd. | 37600 |  | 96665 |
|  Total Interactive Media & Services |  |  | 639446 |
|  IT Services – 1.7% |  |  |  |
|  Avant Group Corp. | 14300 |  | 115144 |
|  Base Co. Ltd. | 14900 |  | 296895 |
|  Business Brain Showa-Ota, Inc. | 24000 |  | 140600 |
|  Business Engineering Corp. | 33000 |  | 245182 |
|  Change Holdings, Inc. | 26000 |  | 151989 |
|  Comture Corp. | 18900 |  | 171905 |
|  Dentsu Soken, Inc. | 48900 |  | 605525 |
|  Digital Information Technologies Corp.<sup>(a)</sup> | 22400 |  | 128974 |
|  Double Standard, Inc. | 13700 |  | 117633 |
|  DTS Corp. | 100328 |  | 647664 |
|  Future Corp. | 31000 |  | 309825 |
|  ID Holdings Corp. | 33400 |  | 196298 |
|  Ines Corp. | 12400 |  | 150820 |
|  Itfor, Inc. | 21600 |  | 224431 |
|  Japan Business Systems, Inc. | 21000 |  | 193117 |
|  JBCC Holdings, Inc. | 52800 |  | 396274 |

---

*See Notes to Financial Statements.*

100&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Mitsubishi Research Institute, Inc. | 7200 | $211126 |
|  NCD Co. Ltd. | 8800 | 145920 |
|  NSD Co. Ltd. | 36800 | 633920 |
|  Ryoyu Systems Co. Ltd. | 9200 | 168166 |
|  Simplex Holdings, Inc. | 67500 | 339855 |
|  Softcreate Holdings Corp. | 13800 | 164032 |
|  Startia Holdings, Inc. | 13000 | 217851 |
|  TDC Soft, Inc. | 21300 | 122104 |
|  TechMatrix Corp. | 14000 | 156553 |
|  Uchida Yoko Co. Ltd. | 33700 | 417940 |
|  Total IT Services |  | 6669743 |
|  Leisure Products – 0.6% |  |  |
|  Daikoku Denki Co. Ltd. | 13000 | 197831 |
|  GLOBERIDE, Inc. | 14300 | 188312 |
|  Mamiya-Op Co. Ltd. | 16200 | 140524 |
|  Mizuno Corp. | 25369 | 537391 |
|  Roland Corp.<sup>(a)</sup> | 22900 | 550585 |
|  Tomy Co. Ltd. | 29900 | 489030 |
|  Yonex Co. Ltd. | 14300 | 265614 |
|  Total Leisure Products |  | 2369287 |
|  Life Sciences Tools & Services – 0.0% |  |  |
|  Shin Nippon Biomedical Laboratories Ltd. | 21900 | 194648 |
|  Machinery – 5.4% |  |  |
|  Aida Engineering Ltd. | 23000 | 154837 |
|  Anest Iwata Corp. | 30900 | 308437 |
|  Bando Chemical Industries Ltd. | 23600 | 299506 |
|  CKD Corp. | 20900 | 560959 |
|  Daihatsu Infinearth Mfg Co. Ltd. | 9600 | 123703 |
|  DMG Mori Co. Ltd. | 62500 | 929505 |
|  Furukawa Co. Ltd. | 13300 | 355720 |
|  Galilei Co. Ltd. | 16900 | 372864 |
|  Glory Ltd. | 23900 | 597162 |
|  Harmonic Drive Systems, Inc. | 7600 | 165529 |
|  Hosokawa Micron Corp. | 5500 | 199133 |
|  Kanadevia Corp. | 48200 | 305094 |
|  Kitz Corp. | 46789 | 520270 |
|  Kyokuto Kaihatsu Kogyo Co. Ltd. | 29380 | 530018 |
|  Max Co. Ltd. | 80800 | 815161 |
|  Meidensha Corp. | 21000 | 990006 |
|  METAWATER Co. Ltd. | 13800 | 294927 |
|  Mitsubishi Logisnext Co. Ltd.<sup>\*</sup> | 14300 | 137346 |
|  Mitsuboshi Belting Ltd. | 15146 | 374152 |
|  Miura Co. Ltd. | 39000 | 761418 |
|  Morita Holdings Corp. | 15405 | 258832 |
|  Nabtesco Corp. | 34300 | 828340 |
|  Nachi-Fujikoshi Corp. | 7300 | 203963 |
|  Nikkiso Co. Ltd. | 15000 | 234113 |
|  Nissei ASB Machine Co. Ltd. | 8400 | 391250 |
|  Nomura Micro Science Co. Ltd. | 9900 | 188554 |
|  Noritake Co. Ltd. | 22000 | 430762 |
|  NSK Ltd. | 329600 | 2253064 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  NTN Corp. | 223100 | $447771 |
|  Obara Group, Inc. | 8179 | 265796 |
|  Oiles Corp. | 15500 | 232368 |
|  OKUMA Corp. | 24540 | 541426 |
|  OSG Corp.<sup>(a)</sup> | 34200 | 543881 |
|  Ryobi Ltd. | 9900 | 150345 |
|  Shibaura Machine Co. Ltd. | 9561 | 225969 |
|  Shinmaywa Industries Ltd. | 25685 | 371172 |
|  Shinwa Co. Ltd. | 6600 | 127777 |
|  Takeuchi Manufacturing Co. Ltd. | 25200 | 978918 |
|  Takuma Co. Ltd. | 37300 | 632803 |
|  Teikoku Corp. | 13200 | 231160 |
|  Tocalo Co. Ltd. | 39700 | 623861 |
|  Tsubakimoto Chain Co. | 61335 | 886734 |
|  Tsugami Corp. | 22100 | 443834 |
|  Union Tool Co. | 2900 | 235332 |
|  YAMABIKO Corp. | 20400 | 447520 |
|  Total Machinery |  | 20971292 |
|  Marine Transportation – 0.4% |  |  |
|  Iino Kaiun Kaisha Ltd. | 52800 | 581135 |
|  Japan Transcity Corp. | 24600 | 190349 |
|  NS United Kaiun Kaisha Ltd. | 13700 | 627777 |
|  Total Marine Transportation |  | 1399261 |
|  Media – 0.7% |  |  |
|  Intage Holdings, Inc. | 20800 | 219911 |
|  SKY Perfect JSAT Corp. | 110000 | 2000314 |
|  ValueCommerce Co. Ltd.<sup>(a)</sup> | 48000 | 128229 |
|  Vector, Inc. | 29600 | 227922 |
|  Zenrin Co. Ltd. | 41680 | 259370 |
|  Total Media |  | 2835746 |
|  Metals & Mining – 3.2% |  |  |
|  Aichi Steel Corp. | 34500 | 609155 |
|  Araya Industrial Co. Ltd. | 14200 | 218681 |
|  ARE Holdings, Inc. | 45800 | 965862 |
|  Chubu Steel Plate Co. Ltd. | 24000 | 366132 |
|  Daido Steel Co. Ltd. | 104600 | 1191700 |
|  Daiki Aluminium Industry Co. Ltd. | 42300 | 374103 |
|  Dowa Holdings Co. Ltd. | 26300 | 1444029 |
|  Godo Steel Ltd. | 18500 | 422701 |
|  Kurimoto Ltd. | 55600 | 531920 |
|  Kyoei Steel Ltd. | 30014 | 437881 |
|  Mitsubishi Materials Corp. | 64400 | 1949123 |
|  Mitsubishi Steel Manufacturing Co. Ltd. | 14300 | 160087 |
|  Mory Industries, Inc. | 29300 | 173859 |
|  Nippon Denko Co. Ltd. | 95800 | 247494 |
|  Nippon Light Metal Holdings Co. Ltd. | 33600 | 586295 |
|  Nippon Yakin Kogyo Co. Ltd. | 13900 | 404969 |
|  OSAKA Titanium Technologies Co. Ltd. | 9300 | 145267 |
|  Toho Titanium Co. Ltd. | 16500 | 243004 |
|  Tokyo Rope Manufacturing Co. Ltd. | 21500 | 253800 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;101

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Tokyo Tekko Co. Ltd. | 30600 | $381803 |
|  Topy Industries Ltd. | 24100 | 439311 |
|  UACJ Corp. | 68500 | 993334 |
|  Total Metals & Mining |  | 12540510 |
|  Oil, Gas & Consumable Fuels – 1.0% |  |  |
|  Itochu Enex Co. Ltd. | 93281 | 1167405 |
|  Iwatani Corp. | 111200 | 1401446 |
|  Sala Corp. | 52200 | 337959 |
|  San-Ai Obbli Co. Ltd. | 54716 | 828874 |
|  Total Oil, Gas & Consumable Fuels |  | 3735684 |
|  Paper & Forest Products – 0.4% |  |  |
|  Chuetsu Pulp & Paper Co. Ltd. | 20000 | 231190 |
|  Daio Paper Corp. | 36200 | 232778 |
|  Hokuetsu Corp. | 78800 | 452720 |
|  Nippon Paper Industries Co. Ltd. | 29800 | 237703 |
|  Tokushu Tokai Paper Co. Ltd. | 33200 | 334316 |
|  Total Paper & Forest Products |  | 1488707 |
|  Personal Care Products – 0.6% |  |  |
|  Milbon Co. Ltd. | 23300 | 395143 |
|  MTG Co. Ltd. | 5600 | 214369 |
|  Noevir Holdings Co. Ltd. | 21900 | 622214 |
|  Pola Orbis Holdings, Inc.<sup>(a)</sup> | 139000 | 1142388 |
|  Shinnihonseiyaku Co. Ltd. | 12500 | 162251 |
|  Total Personal Care Products |  | 2536365 |
|  Pharmaceuticals – 1.3% |  |  |
|  ASKA Pharmaceutical Holdings Co. Ltd. | 13900 | 206198 |
|  Daito Pharmaceutical Co. Ltd. | 21200 | 192691 |
|  Fuji Pharma Co. Ltd. | 15800 | 235177 |
|  Fuso Pharmaceutical Industries Ltd. | 12900 | 191607 |
|  JCR Pharmaceuticals Co. Ltd. | 70900 | 253135 |
|  Kyorin Pharmaceutical Co. Ltd. | 25185 | 260414 |
|  Mochida Pharmaceutical Co. Ltd. | 18322 | 398480 |
|  Nippon Shinyaku Co. Ltd. | 40300 | 1295203 |
|  Towa Pharmaceutical Co. Ltd. | 23200 | 584047 |
|  Tsumura & Co. | 46100 | 1085490 |
|  ZERIA Pharmaceutical Co. Ltd. | 15100 | 208338 |
|  Total Pharmaceuticals |  | 4910780 |
|  Professional Services – 1.8% |  |  |
|  Altech Corp. | 660 | 10670 |
|  Bell System24 Holdings, Inc. | 46600 | 424142 |
|  Copro-Holdings Co. Ltd. | 15500 | 82133 |
|  Dip Corp.<sup>(a)</sup> | 32800 | 428633 |
|  en, Inc./Japan | 26400 | 184530 |
|  Funai Soken Holdings, Inc. | 68820 | 493580 |
|  Insource Co. Ltd. | 17800 | 78209 |
|  JAC Recruitment Co. Ltd. | 82300 | 439202 |
|  MEITEC Group Holdings, Inc. | 65700 | 1350011 |
|  Nomura Co. Ltd. | 70200 | 564371 |
|  Open Up Group, Inc. | 55600 | 622088 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Quick Co. Ltd. | 23100 | $121533 |
|  SMS Co. Ltd. | 16200 | 167305 |
|  Space Co. Ltd. | 18000 | 169942 |
|  Tanseisha Co. Ltd. | 41400 | 383579 |
|  TKC Corp. | 16400 | 381419 |
|  Transcosmos, Inc. | 15600 | 381445 |
|  UT Group Co. Ltd. | 585000 | 713370 |
|  Weathernews, Inc.<sup>(a)</sup> | 11000 | 129505 |
|  Total Professional Services |  | 7125667 |
|  Real Estate Management & Development – 2.7% | Real Estate Management & Development – 2.7% |  |
|  Airport Facilities Co. Ltd. | 43800 | 264303 |
|  Aoyama Zaisan Networks Co. Ltd.<sup>(a)</sup> | 17100 | 138442 |
|  Arealink Co. Ltd. | 32400 | 217100 |
|  AZOOM Co. Ltd. | 5200 | 144472 |
|  B-Lot Co. Ltd. | 18800 | 163905 |
|  Cosmos Initia Co. Ltd. | 23600 | 166738 |
|  Dear Life Co. Ltd. | 43800 | 285503 |
|  FaithNetwork Co. Ltd. | 32800 | 159371 |
|  Global Link Management KK | 12600 | 156896 |
|  Good Com Asset Co. Ltd.<sup>(a)</sup> | 21100 | 207565 |
|  Heiwa Real Estate Co. Ltd. | 40636 | 616603 |
|  Ichigo, Inc. | 204400 | 598720 |
|  JALCO Holdings, Inc. | 111000 | 249783 |
|  Japan Property Management Center Co. Ltd. | 30800 | 253617 |
|  JINUSHI Co. Ltd. | 12500 | 255359 |
|  JSB Co. Ltd.<sup>(a)</sup> | 10100 | 316478 |
|  Kasumigaseki Capital Co. Ltd. | 4900 | 193117 |
|  Katitas Co. Ltd. | 43500 | 853102 |
|  Keihanshin Building Co. Ltd. | 23500 | 285829 |
|  LA Holdings Co. Ltd. | 10300 | 567798 |
|  Leopalace21 Corp. | 110800 | 442253 |
|  Loadstar Capital KK | 9800 | 173282 |
|  Mugen Estate Co. Ltd. | 29700 | 405297 |
|  Relo Group, Inc. | 56300 | 668848 |
|  Star Mica Holdings Co. Ltd. | 23500 | 231470 |
|  Starts Corp., Inc. | 33800 | 1009177 |
|  Sun Frontier Fudousan Co. Ltd. | 36700 | 607399 |
|  Tosei Corp. | 56300 | 554896 |
|  Urbanet Corp. Co. Ltd. | 44400 | 148474 |
|  Total Real Estate Management & Development | Total Real Estate Management & Development | 10335797 |
|  Semiconductors & Semiconductor Equipment – 2.0% | Semiconductors & Semiconductor Equipment – 2.0% |  |
|  Ferrotec Corp. | 28600 | 1128971 |
|  Japan Electronic Materials Corp. | 6500 | 212867 |
|  Japan Material Co. Ltd. | 31700 | 313433 |
|  Micronics Japan Co. Ltd. | 9500 | 551763 |
|  Mitsui High-Tec, Inc.<sup>(a)</sup> | 76400 | 282856 |
|  Optorun Co. Ltd. | 28500 | 460758 |
|  Rorze Corp.<sup>(a)</sup> | 30300 | 489478 |
|  Shibaura Mechatronics Corp. | 27800 | 690238 |
|  Tera Probe, Inc. | 4600 | 219750 |

---

*See Notes to Financial Statements.*

102&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Tokyo Seimitsu Co. Ltd. | 15600 | $1295342 |
|  Towa Corp. | 13800 | 192484 |
|  Tri Chemical Laboratories, Inc. | 8100 | 133854 |
|  Ulvac, Inc. | 18600 | 953091 |
|  YAC Holdings Co. Ltd. | 29300 | 183436 |
|  Yamaichi Electronics Co. Ltd. | 14100 | 654083 |
|  Total Semiconductors & Semiconductor Equipment | Total Semiconductors & Semiconductor Equipment | 7762404 |
|  Software – 1.1% |  |  |
|  Celsys, Inc. | 15000 | 124363 |
|  Computer Engineering & Consulting Ltd. | 16800 | 203492 |
|  Cresco Ltd. | 32600 | 291390 |
|  Cybozu, Inc.<sup>(a)</sup> | 16600 | 215678 |
|  Digital Arts, Inc. | 2800 | 90816 |
|  Focus Systems Corp. | 15200 | 149908 |
|  Fukui Computer Holdings, Inc. | 6500 | 126658 |
|  I'll, Inc. | 10060 | 150435 |
|  Intelligent Wave, Inc. | 21800 | 130452 |
|  Japan System Techniques Co. Ltd. | 11000 | 136143 |
|  Justsystems Corp. | 7100 | 155755 |
|  Miroku Jyoho Service Co. Ltd. | 14200 | 154237 |
|  NCS&A Co. Ltd. | 13800 | 131676 |
|  NSW, Inc. | 10500 | 161701 |
|  PCA Corp. | 18400 | 187944 |
|  Plus Alpha Consulting Co. Ltd. | 13800 | 175829 |
|  Pro-Ship, Inc. | 17400 | 150058 |
|  Soliton Systems KK | 17500 | 181941 |
|  SRA Holdings | 9400 | 272387 |
|  System Research Co. Ltd. | 13900 | 146785 |
|  Systena Corp. | 236200 | 613179 |
|  WingArc1<sup>st</sup>, Inc. | 17100 | 278927 |
|  Total Software |  | 4229754 |
|  Specialty Retail – 3.4% |  |  |
|  Alpen Co. Ltd. | 10600 | 137122 |
|  and ST HD Co. Ltd. | 30700 | 569076 |
|  AOKI Holdings, Inc. | 98800 | 1001104 |
|  Aoyama Trading Co. Ltd. | 166500 | 842495 |
|  ARCLANDS Corp. | 22036 | 247384 |
|  Asahi Co. Ltd. | 22100 | 184896 |
|  Autobacs Seven Co. Ltd. | 61000 | 600453 |
|  Bic Camera, Inc. | 76200 | 826470 |
|  DCM Holdings Co. Ltd. | 73445 | 738651 |
|  EDION Corp. | 41439 | 562626 |
|  Geo Holdings Corp. | 15300 | 162915 |
|  Hard Off Corp. Co. Ltd. | 16300 | 200100 |
|  Honeys Holdings Co. Ltd. | 10100 | 92436 |
|  Japan Eyewear Holdings Co. Ltd.<sup>(a)</sup> | 17700 | 222849 |
|  JINS Holdings, Inc. | 6700 | 215205 |
|  Joshin Corp. | 30300 | 536902 |
|  Joyful Honda Co. Ltd. | 30300 | 403391 |
|  Kohnan Shoji Co. Ltd. | 18300 | 469894 |
|  Kojima Co. Ltd. | 25100 | 203053 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  Komehyo Holdings Co. Ltd. | 8800 | $| 235364 |
|  K's Holdings Corp. | 75000 |  | 788940 |
|  KU Holdings Co. Ltd. | 33900 |  | 250377 |
|  Nafco Co. Ltd. | 17700 |  | 235421 |
|  Nextage Co. Ltd. | 17100 |  | 335895 |
|  Nishimatsuya Chain Co. Ltd. | 18600 |  | 244586 |
|  Nissan Tokyo Sales Holdings Co. Ltd. | 70200 |  | 224160 |
|  Nojima Corp. | 85000 |  | 579703 |
|  Scroll Corp. | 52200 |  | 436395 |
|  Syuppin Co. Ltd. | 18400 |  | 127224 |
|  United Arrows Ltd. | 16100 |  | 244197 |
|  VT Holdings Co. Ltd. | 55000 |  | 168364 |
|  World Co. Ltd. | 42000 |  | 388874 |
|  Xebio Holdings Co. Ltd. | 31100 |  | 193923 |
|  Yellow Hat Ltd. | 56100 |  | 544814 |
|  Total Specialty Retail |  |  | 13215259 |
|  Technology Hardware, Storage & Peripherals – 0.6% | Technology Hardware, Storage & Peripherals – 0.6% |  |  |
|  Elecom Co. Ltd. | 61100 |  | 612575 |
|  Konica Minolta, Inc. | 83600 |  | 269681 |
|  MCJ Co. Ltd. | 54000 |  | 777635 |
|  Mimaki Engineering Co. Ltd. | 17300 |  | 170184 |
|  Toshiba TEC Corp. | 6300 |  | 105376 |
|  Wacom Co. Ltd. | 92400 |  | 429794 |
|  Total Technology Hardware, Storage & Peripherals | Total Technology Hardware, Storage & Peripherals |  | 2365245 |
|  Textiles, Apparel & Luxury Goods – 1.6% | Textiles, Apparel & Luxury Goods – 1.6% | Textiles, Apparel & Luxury Goods – 1.6% | Textiles, Apparel & Luxury Goods – 1.6% |
|  Daidoh Ltd. | 51600 |  | 227041 |
|  Fujibo Holdings, Inc. | 19800 |  | 448671 |
|  Goldwin, Inc. | 56500 |  | 785580 |
|  Gunze Ltd. | 21866 |  | 508544 |
|  Hagihara Industries, Inc. | 14900 |  | 162121 |
|  Japan Wool Textile Co. Ltd. | 33425 |  | 377552 |
|  Kurabo Industries Ltd. | 15576 |  | 823397 |
|  Matsuoka Corp. | 10200 |  | 135025 |
|  Morito Co. Ltd. | 26400 |  | 305834 |
|  Onward Holdings Co. Ltd. | 227733 |  | 1014914 |
|  Seiko Group Corp. | 32000 |  | 1100258 |
|  Wacoal Holdings Corp. | 15000 |  | 373091 |
|  Total Textiles, Apparel & Luxury Goods |  |  | 6262028 |
|  Trading Companies & Distributors – 3.5% | Trading Companies & Distributors – 3.5% | Trading Companies & Distributors – 3.5% | Trading Companies & Distributors – 3.5% |
|  Alconix Corp. | 24500 |  | 405638 |
|  Chori Co. Ltd. | 13700 |  | 361252 |
|  Daiichi Jitsugyo Co. Ltd. | 20500 |  | 416855 |
|  Gecoss Corp. | 24400 |  | 266715 |
|  Hanwa Co. Ltd. | 117110 |  | 1143201 |
|  Inaba Denki Sangyo Co. Ltd. | 88276 |  | 1442690 |
|  Inabata & Co. Ltd. | 29441 |  | 730982 |
|  Japan Pulp & Paper Co. Ltd. | 69900 |  | 454313 |
|  Kamei Corp. | 20300 |  | 417892 |
|  Kanaden Corp. | 14300 |  | 184177 |
|  Kanamoto Co. Ltd. | 16928 |  | 462331 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;103

**Schedule of Investments (continued)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Kanematsu Corp. | 132200 | $1832718 |
|  KPP Group Holdings Co. Ltd. | 37700 | 207825 |
|  Meiwa Corp. | 45200 | 224168 |
|  Nagase & Co. Ltd. | 176400 | 1280671 |
|  Nishio Holdings Co. Ltd. | 8300 | 225121 |
|  Sanyo Trading Co. Ltd. | 15000 | 147841 |
|  Seika Corp. | 24800 | 395329 |
|  Senshu Electric Co. Ltd. | 6600 | 243937 |
|  Shinsho Corp. | 15900 | 229070 |
|  Tomoe Engineering Co. Ltd. | 14900 | 169333 |
|  Totech Corp. | 32600 | 745892 |
|  Trusco Nakayama Corp. | 20500 | 291605 |
|  Tsubakimoto Kogyo Co. Ltd. | 8700 | 148035 |
|  Wakita & Co. Ltd. | 39000 | 461116 |
|  Yamazen Corp. | 36006 | 325229 |
|  Yuasa Co. Ltd. | 8900 | 330065 |
|  Total Trading Companies & Distributors |  | 13544001 |
|  Wireless Telecommunication Services – 0.3% | Wireless Telecommunication Services – 0.3% |  |
|  Okinawa Cellular Telephone Co. | 54500 | 1176740 |
|  TOTAL COMMON STOCKS <br> (Cost: $333,560,588) |  | 380729712 |
|  EXCHANGE-TRADED FUND – 0.3% | EXCHANGE-TRADED FUND – 0.3% |  |
|  United States – 0.3% |  |  |
|  WisdomTree Japan Hedged Equity Fund <sup>(a)</sup> <sup>(b)</sup><br> (Cost: $1,040,074) | 6593 | 1045518 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  MUTUAL FUND – 0.1% |  |  |
|  United States – 0.1% |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $435,837) | 435837 | $435837 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.6% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.6% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.6% |
|  United States – 0.6% |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup><br> (Cost: $2,435,845) | 2435845 | 2435845 |
|  TOTAL INVESTMENTS IN SECURITIES – 99.2% <br> (Cost: $337,472,344) | TOTAL INVESTMENTS IN SECURITIES – 99.2% <br> (Cost: $337,472,344) | 384646912 |
|  Other Assets less Liabilities – 0.8% |  | 3026366 |
|  NET ASSETS – 100.0% |  | $387673278 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $9,041,195 and the total market value of the collateral held by the Fund was $10,359,757. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $7,923,912.

<sup>(b)</sup>Affiliated holding. See "Investment in Affiliates" supplementary table included in this Schedule of Investments for additional information.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

<u> CURRENCY ABBREVIATIONS:</u> <br> <u> JPY </u>   <u> Japanese yen </u> <br> USD United States dollar

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/<br>Additions | Sales/<br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Dividend <br>Income | Securities <br>Lending <br>Income |
|  WisdomTree Japan Hedged Equity Fund | $417142 | $4791037 | $4295956 | $147489 | $(14194) | $1045518  | $24412 | $— |
|  WisdomTree Treasury Money Market Digital Fund |  | 5800000 | 5800000 |  |  | —<sup>^</sup> |  | 2583 |
|  Total | $417142 | $10591037 | $10095956 | $147489 | $(14194) | $1045518  | $24412 | $2583 |

---

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>As of March 31, 2026, the Fund did not hold a position in this affiliate.

FINANCIAL DERIVATIVE INSTRUMENTS

FOREIGN CURRENCY CONTRACTS (OTC – OVER THE COUNTER)

---

| | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|
| Counterparty | Settlement<br>Date | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Purchased | Amount and Description of <br>Currency to be Sold | Amount and Description of <br>Currency to be Sold | Unrealized<br>Appreciation | Unrealized<br>Depreciation |
|  Citibank NA | 4/1/2026 | 259240 | JPY | 1634 | USD | $— | $(4) |

---

*See Notes to Financial Statements.*

104&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (concluded)**<br> WisdomTree Japan SmallCap Dividend Fund *(DFJ)*<br> March 31, 2026<br>

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks |  |  |  |  |
| &nbsp;&nbsp;&nbsp;&nbsp; Electronic Equipment, Instruments & Components | $27319540 | $248725 | $—  | $27568265 |
| &nbsp;&nbsp;&nbsp;&nbsp; Consumer Finance |  | 332866 |  | 332866 |
| &nbsp;&nbsp;&nbsp;&nbsp; Other | 352828581 |  |  | 352828581 |
| &nbsp;&nbsp;&nbsp; Exchange-Traded Fund | 1045518 |  |  | 1045518 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 435837 |  | 435837 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 2435845 |  | 2435845 |
|  Total Investments in Securities | $381193639 | $3453273 | $—  | $384646912 |
|  Liabilities: |  |  |  |  |
|  Financial Derivative Instruments |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts<sup>1</sup> | $— | $(4) | $—  | $(4) |
|  Total – Net | $381193639 | $3453269 | $—  | $384646908 |

---

<sup>1</sup>Amount shown represents the unrealized appreciation (depreciation) on the financial instrument.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;105

**Schedule of Investments** <br> WisdomTree True Developed International Fund *(DOL)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  COMMON STOCKS – 99.0% |  |  |
|  Australia – 6.4% |  |  |
|  ANZ Group Holdings Ltd. | 114591 | $&nbsp;&nbsp;&nbsp; 2823047 |
|  Aristocrat Leisure Ltd. | 16090 | 499538 |
|  BHP Group Ltd. | 223865 | 7726055 |
|  Brambles Ltd. | 71833 | 1111884 |
|  Coles Group Ltd. | 84630 | 1272870 |
|  Commonwealth Bank of Australia | 45341 | 5207765 |
|  CSL Ltd. | 12514 | 1206603 |
|  Goodman Group | 34289 | 599795 |
|  Macquarie Group Ltd. | 6406 | 885962 |
|  National Australia Bank Ltd. | 99004 | 2809957 |
|  Northern Star Resources Ltd. | 49104 | 684734 |
|  REA Group Ltd. | 4092 | 438384 |
|  Rio Tinto Ltd.<sup>(a)</sup> | 22707 | 2510564 |
|  Rio Tinto PLC | 75707 | 6932526 |
|  Sigma Healthcare Ltd. | 196401 | 356465 |
|  Telstra Group Ltd. | 832561 | 3039278 |
|  Transurban Group | 180567 | 1732622 |
|  Wesfarmers Ltd. | 49141 | 2453908 |
|  Westpac Banking Corp. | 111009 | 3000907 |
|  WiseTech Global Ltd. | 6396 | 166551 |
|  Woolworths Group Ltd. | 59270 | 1478029 |
|  Total Australia |  | 46937444 |
|  Austria – 0.2% |  |  |
|  Erste Group Bank AG | 7535 | 803069 |
|  Verbund AG | 11604 | 877749 |
|  Total Austria |  | 1680818 |
|  Belgium – 0.8% |  |  |
|  Anheuser-Busch InBev SA | 42230 | 2905820 |
|  KBC Group NV | 19609 | 2361019 |
|  UCB SA | 2599 | 774096 |
|  Total Belgium |  | 6040935 |
|  Chile – 0.1% |  |  |
|  Antofagasta PLC | 19588 | 859387 |
|  China – 0.7% |  |  |
|  BOC Hong Kong Holdings Ltd. | 726634 | 3966727 |
|  Prosus NV<sup>\*</sup> | 16944 | 761002 |
|  Total China |  | 4727729 |
|  Denmark – 0.8% |  |  |
|  Danske Bank AS | 35358 | 1702640 |
|  Novo Nordisk AS, Class B | 121380 | 4321498 |
|  Total Denmark |  | 6024138 |
|  Finland – 1.1% |  |  |
|  Kone OYJ, Class B | 27615 | 1742990 |
|  Nordea Bank Abp | 328312 | 5551274 |
|  Sampo OYJ, Class A | 80309 | 851480 |
|  Total Finland |  | 8145744 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  France – 9.2% |  |  |
|  Air Liquide SA | 12829 | $&nbsp;&nbsp;&nbsp; 2629937 |
|  Airbus SE | 9677 | 1793117 |
|  AXA SA | 175508 | 7935124 |
|  BNP Paribas SA | 71158 | 6640227 |
|  Cie de Saint-Gobain SA | 16033 | 1294234 |
|  Cie Generale des Etablissements Michelin SCA | 45652 | 1535401 |
|  Credit Agricole SA | 175868 | 3227977 |
|  Danone SA | 33870 | 2694287 |
|  Dassault Aviation SA | 2277 | 837440 |
|  Dassault Systemes SE | 14247 | 283494 |
|  Engie SA | 218946 | 6990389 |
|  EssilorLuxottica SA | 8176 | 1869005 |
|  Hermes International SCA | 1032 | 1913214 |
|  Kering SA | 3565 | 1054008 |
|  Legrand SA | 7982 | 1211226 |
|  L'Oreal SA | 11537 | 4643885 |
|  LVMH Moet Hennessy Louis Vuitton SE | 13559 | 7234862 |
|  Orange SA | 181763 | 3701628 |
|  Publicis Groupe SA | 14550 | 1187598 |
|  Safran SA | 5329 | 1715536 |
|  Thales SA | 4241 | 1231881 |
|  Veolia Environnement SA | 48922 | 1840976 |
|  Vinci SA | 26668 | 3943793 |
|  Total France |  | 67409239 |
|  Germany – 7.1% |  |  |
|  adidas AG | 3239 | 509974 |
|  Allianz SE, Registered Shares | 16128 | 6676757 |
|  BASF SE | 58359 | 3523440 |
|  Bayer AG, Registered Shares | 12261 | 556397 |
|  Bayerische Motoren Werke AG | 36097 | 3244095 |
|  Beiersdorf AG | 5327 | 470030 |
|  Commerzbank AG | 15013 | 532605 |
|  Daimler Truck Holding AG | 54959 | 2626036 |
|  Deutsche Bank AG, Registered Shares | 22944 | 663942 |
|  Deutsche Boerse AG | 1595 | 461461 |
|  Deutsche Post AG, Registered Shares | 67914 | 3501710 |
|  Deutsche Telekom AG, Registered Shares | 172865 | 6363642 |
|  E.ON SE | 112793 | 2464043 |
|  Fresenius SE & Co. KGaA | 17417 | 889408 |
|  Hannover Rueck SE | 1856 | 572686 |
|  Heidelberg Materials AG | 6211 | 1276328 |
|  Henkel AG & Co. KGaA | 11976 | 852762 |
|  HochTief AG | 3321 | 1464767 |
|  Infineon Technologies AG | 21916 | 959561 |
|  MTU Aero Engines AG | 872 | 311463 |
|  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares | 3666 | 2278407 |
|  Rheinmetall AG | 461 | 767267 |
|  RWE AG | 26925 | 1789406 |
|  SAP SE | 14256 | 2412944 |

---

*See Notes to Financial Statements.*

106&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree True Developed International Fund *(DOL)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Siemens AG, Registered Shares | 19107 | $&nbsp;&nbsp;&nbsp; 4528502 |
|  Siemens Healthineers AG<sup>(b)</sup> | 29150 | 1219194 |
|  Vonovia SE | 48213 | 1197680 |
|  Total Germany |  | 52114507 |
|  Hong Kong – 1.4% |  |  |
|  AIA Group Ltd. | 187004 | 2023837 |
|  CLP Holdings Ltd. | 154500 | 1448401 |
|  Hong Kong Exchanges & Clearing Ltd. | 35724 | 1770662 |
|  MTR Corp. Ltd.<sup>(a)</sup> | 401438 | 1637457 |
|  Sun Hung Kai Properties Ltd. | 137942 | 2273170 |
|  Techtronic Industries Co. Ltd. | 76500 | 996231 |
|  Total Hong Kong |  | 10149758 |
|  Israel – 0.2% |  |  |
|  Bank Hapoalim BM | 27818 | 645959 |
|  Elbit Systems Ltd. | 811 | 677310 |
|  Total Israel |  | 1323269 |
|  Italy – 5.1% |  |  |
|  Banca Monte dei Paschi di Siena SpA | 135437 | 1158987 |
|  Banco BPM SpA | 133488 | 1824125 |
|  BPER Banca SpA | 117649 | 1509407 |
|  Enel SpA | 641138 | 6925492 |
|  Ferrari NV | 2595 | 864098 |
|  Generali | 51127 | 2032933 |
|  Intesa Sanpaolo SpA | 1654815 | 9840363 |
|  Leonardo SpA | 10431 | 697559 |
|  Poste Italiane SpA<sup>(a)(b)</sup> | 76417 | 1773280 |
|  Prysmian SpA | 5798 | 659895 |
|  Ryanair Holdings PLC | 38818 | 1067612 |
|  Snam SpA | 246218 | 1859320 |
|  Terna – Rete Elettrica Nazionale | 115539 | 1313135 |
|  UniCredit SpA | 84543 | 5928399 |
|  Total Italy |  | 37454605 |
|  Japan – 16.0% |  |  |
|  Advantest Corp. | 5200 | 664504 |
|  Aeon Co. Ltd. | 43635 | 516878 |
|  Ajinomoto Co., Inc. | 26800 | 740710 |
|  Bandai Namco Holdings, Inc. | 26900 | 653858 |
|  Bridgestone Corp. | 64410 | 1322695 |
|  Canon, Inc. | 61936 | 1696242 |
|  Central Japan Railway Co. | 22400 | 575031 |
|  Chugai Pharmaceutical Co. Ltd. | 31200 | 1688750 |
|  Daiichi Sankyo Co. Ltd. | 44000 | 765001 |
|  Daikin Industries Ltd. | 8000 | 939594 |
|  Daiwa House Industry Co. Ltd. | 28700 | 887212 |
|  Denso Corp. | 113600 | 1390634 |
|  Disco Corp. | 2100 | 808373 |
|  East Japan Railway Co. | 33900 | 772440 |
|  FANUC Corp. | 30500 | 1016475 |
|  Fast Retailing Co. Ltd. | 4200 | 1627041 |
|  FUJIFILM Holdings Corp. | 39900 | 744003 |
|  Fujikura Ltd. | 40200 | 1033491 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Fujitsu Ltd. | 36300 | $&nbsp;&nbsp;&nbsp; 723764 |
|  Hitachi Ltd. | 60600 | 1700411 |
|  Honda Motor Co. Ltd. | 288200 | 2278028 |
|  Hoya Corp. | 5900 | 984631 |
|  IHI Corp. | 28000 | 552291 |
|  Inpex Corp. | 66700 | 1961296 |
|  ITOCHU Corp. | 229500 | 2848374 |
|  Japan Tobacco, Inc. | 99609 | 3769226 |
|  Kao Corp. | 20600 | 799967 |
|  KDDI Corp. | 170460 | 2918146 |
|  Keyence Corp. | 2200 | 758640 |
|  Komatsu Ltd. | 47367 | 1790293 |
|  Konami Group Corp. | 3700 | 449679 |
|  LY Corp. | 232500 | 559292 |
|  Marubeni Corp. | 62100 | 2192959 |
|  Mitsubishi Corp. | 140815 | 4706225 |
|  Mitsubishi Electric Corp. | 59681 | 1871198 |
|  Mitsubishi Estate Co. Ltd. | 34800 | 945193 |
|  Mitsubishi Heavy Industries Ltd. | 43600 | 1157350 |
|  Mitsubishi UFJ Financial Group, Inc. | 359000 | 5867119 |
|  Mitsui & Co. Ltd. | 101900 | 3816846 |
|  Mitsui Fudosan Co. Ltd. | 117300 | 1220631 |
|  Mizuho Financial Group, Inc. | 57414 | 2196738 |
|  MS&AD Insurance Group Holdings, Inc. | 18400 | 466332 |
|  Murata Manufacturing Co. Ltd. | 58830 | 1260616 |
|  NEC Corp. | 23800 | 575365 |
|  NIDEC Corp.<sup>\*</sup> | 34700 | 428815 |
|  Nintendo Co. Ltd. | 18400 | 1014897 |
|  Nippon Steel Corp. | 354100 | 1281829 |
|  Nomura Research Institute Ltd. | 19100 | 520091 |
|  NTT, Inc. | 3616700 | 3573733 |
|  Oriental Land Co. Ltd. | 21400 | 363191 |
|  Otsuka Holdings Co. Ltd. | 14600 | 1010409 |
|  Pan Pacific International Holdings Corp. | 88400 | 537990 |
|  Panasonic Holdings Corp. | 90500 | 1470789 |
|  Recruit Holdings Co. Ltd. | 10700 | 438923 |
|  Shin-Etsu Chemical Co. Ltd. | 53900 | 2120561 |
|  SoftBank Corp. | 2265300 | 3005876 |
|  Sony Group Corp. | 44600 | 899625 |
|  Sumitomo Corp. | 69110 | 2510879 |
|  Sumitomo Electric Industries Ltd. | 41900 | 2207065 |
|  Sumitomo Mitsui Financial Group, Inc. | 103282 | 3249920 |
|  Sumitomo Realty & Development Co. Ltd. | 32700 | 902749 |
|  Suzuki Motor Corp. | 80868 | 953347 |
|  Takeda Pharmaceutical Co. Ltd. | 91000 | 3239827 |
|  TDK Corp. | 49100 | 606767 |
|  Terumo Corp. | 34500 | 457138 |
|  Tokio Marine Holdings, Inc. | 76100 | 3495750 |
|  Tokyo Electron Ltd. | 11650 | 2726315 |
|  Toyota Motor Corp. | 585165 | 11630472 |
|  Toyota Tsusho Corp. | 56100 | 2098152 |
|  Total Japan |  | 116958652 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;107

**Schedule of Investments (continued)**<br> WisdomTree True Developed International Fund *(DOL)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Luxembourg – 0.1% |  |  |
|  ArcelorMittal SA | 20476 | $&nbsp;&nbsp;&nbsp; 1034293 |
|  Macau – 0.2% |  |  |
|  Galaxy Entertainment Group Ltd. | 209000 | 933012 |
|  Sands China Ltd. | 344400 | 724363 |
|  Total Macau |  | 1657375 |
|  Mexico – 0.1% |  |  |
|  Fresnillo PLC | 23389 | 1019055 |
|  Netherlands – 2.3% |  |  |
|  ASM International NV | 757 | 555601 |
|  ASML Holding NV | 5170 | 6666932 |
|  Heineken NV | 20316 | 1551957 |
|  ING Groep NV | 137823 | 3510266 |
|  Koninklijke Ahold Delhaize NV | 39316 | 1825133 |
|  Koninklijke Philips NV | 46971 | 1263160 |
|  Universal Music Group NV | 53273 | 1021075 |
|  Wolters Kluwer NV | 6920 | 515230 |
|  Total Netherlands |  | 16909354 |
|  Norway – 2.4% |  |  |
|  DNB Bank ASA | 113939 | 3523109 |
|  Equinor ASA | 227583 | 9822029 |
|  Kongsberg Gruppen ASA | 30121 | 1276307 |
|  Telenor ASA | 150923 | 2638571 |
|  Total Norway |  | 17260016 |
|  Poland – 0.6% |  |  |
|  ORLEN SA | 76044 | 2740240 |
|  Powszechna Kasa Oszczednosci Bank Polski SA | 59105 | 1377090 |
|  Total Poland |  | 4117330 |
|  Portugal – 0.2% |  |  |
|  EDP SA | 257135 | 1340626 |
|  Singapore – 1.9% |  |  |
|  DBS Group Holdings Ltd. | 112387 | 4956649 |
|  Oversea-Chinese Banking Corp. Ltd. | 172212 | 2932603 |
|  Singapore Technologies Engineering Ltd. | 139600 | 1169690 |
|  Singapore Telecommunications Ltd. | 842300 | 3225177 |
|  United Overseas Bank Ltd. | 60786 | 1726781 |
|  Total Singapore |  | 14010900 |
|  South Africa – 0.1% |  |  |
|  Anglo American PLC | 16474 | 690614 |
|  South Korea – 2.8% |  |  |
|  Celltrion, Inc.<sup>\*</sup> | 3418 | 440068 |
|  Hanwha Aerospace Co. Ltd. | 586 | 477860 |
|  HD Hyundai Heavy Industries Co. Ltd. | 1062 | 322417 |
|  HD Korea Shipbuilding & Offshore Engineering Co. Ltd. | 2468 | 554299 |
|  KB Financial Group, Inc. | 6818 | 631655 |

---

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  NAVER Corp. | 2575 | $&nbsp;&nbsp;&nbsp; 338760 |
|  Samsung Electronics Co. Ltd. | 132565 | 14471235 |
|  SK hynix, Inc. | 6067 | 3196598 |
|  Total South Korea |  | 20432892 |
|  Spain – 7.0% |  |  |
|  ACS Actividades de Construccion y Servicios SA | 15288 | 1846034 |
|  Aena SME SA<sup>(b)</sup> | 113245 | 3329872 |
|  Amadeus IT Group SA | 13303 | 746153 |
|  Banco Bilbao Vizcaya Argentaria SA | 364377 | 7661991 |
|  Banco de Sabadell SA | 292088 | 1024103 |
|  Banco Santander SA | 492944 | 5390035 |
|  CaixaBank SA | 474976 | 5562972 |
|  Cellnex Telecom SA<sup>\*(b)</sup> | 9958 | 318163 |
|  Endesa SA | 88360 | 3673246 |
|  Iberdrola SA | 291944 | 6641780 |
|  Industria de Diseno Textil SA | 121131 | 6872285 |
|  Naturgy Energy Group SA | 109885 | 3279185 |
|  Repsol SA | 102589 | 2913705 |
|  Telefonica SA | 464162 | 2029594 |
|  Total Spain |  | 51289118 |
|  Sweden – 2.8% |  |  |
|  Assa Abloy AB, Class B | 29168 | 1030008 |
|  Atlas Copco AB, Class A | 79776 | 1366273 |
|  Atlas Copco AB, Class B | 51383 | 781297 |
|  Epiroc AB, Class A | 44237 | 1063870 |
|  H & M Hennes & Mauritz AB, Class B<sup>(a)</sup> | 105072 | 1931858 |
|  Hexagon AB, Class B | 60996 | 576521 |
|  Saab AB, Class B | 8490 | 550240 |
|  Sandvik AB | 51798 | 1943326 |
|  Skandinaviska Enskilda Banken AB, Class A<sup>(a)</sup> | 61937 | 1120246 |
|  Swedbank AB, Class A | 65476 | 2191869 |
|  Telefonaktiebolaget LM Ericsson, Class B | 193151 | 2155303 |
|  Volvo AB, Class A | 34839 | 1113970 |
|  Volvo AB, Class B | 137713 | 4416357 |
|  Total Sweden |  | 20241138 |
|  Switzerland – 3.3% |  |  |
|  ABB Ltd., Registered Shares | 49709 | 3912136 |
|  Cie Financiere Richemont SA, Class A, Registered Shares | 12721 | 2193385 |
|  Geberit AG, Registered Shares | 1143 | 757591 |
|  Givaudan SA, Registered Shares | 266 | 888487 |
|  Kuehne & Nagel International AG, Registered Shares | 8919 | 2001239 |
|  Partners Group Holding AG | 572 | 602360 |
|  Sandoz Group AG | 10534 | 809370 |
|  Schindler Holding AG, Registered Shares | 3027 | 937991 |
|  Schindler Holding AG, Participation Certificate | 2245 | 727519 |
|  SGS SA, Registered Shares | 10184 | 1065863 |
|  Sika AG, Registered Shares | 4639 | 749930 |

---

*See Notes to Financial Statements.*

108&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Schedule of Investments (continued)**<br> WisdomTree True Developed International Fund *(DOL)*<br> March 31, 2026<br>

---

| | | |
|:---|:---|:---|
| Investments | Shares | Value |
|  Swiss Life Holding AG, Registered Shares | 525 | $&nbsp;&nbsp;&nbsp; 565018 |
|  Swisscom AG, Registered Shares | 2427 | 2014572 |
|  UBS Group AG, Registered Shares | 58091 | 2221562 |
|  Zurich Insurance Group AG | 6935 | 4845136 |
|  Total Switzerland |  | 24292159 |
|  Taiwan – 6.0% |  |  |
|  ASE Technology Holding Co. Ltd. | 170000 | 1746794 |
|  Chunghwa Telecom Co. Ltd. | 237000 | 985956 |
|  CTBC Financial Holding Co. Ltd. | 527000 | 845640 |
|  Delta Electronics, Inc. | 29000 | 1251798 |
|  Fubon Financial Holding Co. Ltd. | 167000 | 449234 |
|  Hon Hai Precision Industry Co. Ltd. | 584000 | 3425086 |
|  MediaTek, Inc. | 77000 | 3588677 |
|  Quanta Computer, Inc. | 221000 | 1925195 |
|  Taiwan Semiconductor Manufacturing Co. Ltd. | 526000 | 28957147 |
|  Wiwynn Corp. | 6000 | 619331 |
|  Total Taiwan |  | 43794858 |
|  United Kingdom – 9.7% |  |  |
|  Associated British Foods PLC | 31156 | 770967 |
|  AstraZeneca PLC | 32002 | 6199329 |
|  Aviva PLC | 80070 | 633952 |
|  BAE Systems PLC | 93704 | 2718483 |
|  Barclays PLC | 198000 | 1016864 |
|  British American Tobacco PLC | 154336 | 8895980 |
|  BT Group PLC | 616273 | 1710689 |
|  CK Hutchison Holdings Ltd. | 218000 | 1657203 |
|  Coca-Cola Europacific Partners PLC | 16641 | 1507585 |
|  Compass Group PLC | 42309 | 1163281 |
|  HSBC Holdings PLC | 851933 | 13723985 |
|  Imperial Brands PLC | 85422 | 3443586 |
|  International Consolidated Airlines Group SA | 197529 | 911164 |
|  Lloyds Banking Group PLC | 1760987 | 2144331 |
|  London Stock Exchange Group PLC | 3760 | 439505 |
|  National Grid PLC | 246143 | 4120652 |
|  NatWest Group PLC | 479587 | 3498608 |
|  Next PLC | 4486 | 749813 |
|  Reckitt Benckiser Group PLC | 27675 | 1856866 |
|  RELX PLC | 43898 | 1433313 |
|  Rolls-Royce Holdings PLC | 141749 | 2115983 |
|  SSE PLC | 53794 | 1840844 |
|  Tesco PLC | 268676 | 1676207 |
|  Unilever PLC | 86589 | 4794622 |
|  Vodafone Group PLC | 1507434 | 2252236 |
|  Total United Kingdom |  | 71276048 |

---

---

| | | | |
|:---|:---|:---|:---|
| Investments | Shares | Value | Value |
|  United States – 10.4% |  |  |  |
|  Alcon, Inc. | 6191 | &nbsp;&nbsp;&nbsp; $ | &nbsp;&nbsp;&nbsp; 456572 |
|  BP PLC | 1038605 |  | 8303931 |
|  Experian PLC | 18985 |  | 650423 |
|  Ferrovial SE | 22436 |  | 1432649 |
|  GSK PLC | 175177 |  | 4767959 |
|  Haleon PLC | 247879 |  | 1221869 |
|  Holcim AG, Registered Shares<sup>\*</sup> | 25201 |  | 2036026 |
|  Nestle SA, Registered Shares | 113765 |  | 11102547 |
|  Novartis AG, Registered Shares | 77386 |  | 11639440 |
|  Roche Holding AG | 25554 |  | 10007895 |
|  Roche Holding AG, Bearer Shares | 4509 |  | 1836034 |
|  Sanofi SA | 65336 |  | 6227172 |
|  Schneider Electric SE | 10855 |  | 2865383 |
|  Shell PLC | 261064 |  | 12335012 |
|  Swiss Re AG | 7599 |  | 1250187 |
|  Total United States |  |  | 76133099 |
|  TOTAL COMMON STOCKS<br> (Cost: $507,826,504) |  |  | 725325100 |
|  MUTUAL FUND – 0.0% |  |  |  |
|  United States – 0.0% |  |  |  |
|  Dreyfus Treasury Obligations Cash Management, Institutional Shares, 3.54%<sup>(c)</sup><br> (Cost: $263,714) | 263714 |  | 263714 |
|  INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% | INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED – 0.7% |
|  United States – 0.7% |  |  |  |
|  Dreyfus Institutional Preferred Government Money Market Fund, Institutional Shares, 3.60%<sup>(c)</sup><br> (Cost: $4,969,371) | 4969371 |  | 4969371 |
|  TOTAL INVESTMENTS IN SECURITIES – 99.7% <br> (Cost: $513,059,589) | TOTAL INVESTMENTS IN SECURITIES – 99.7% <br> (Cost: $513,059,589) |  | 730558185 |
|  Other Assets less Liabilities – 0.3% |  |  | 2450132 |
|  NET ASSETS – 100.0% |  |  | $733008317 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Non-income producing security.

<sup>(a)</sup>Security, or portion thereof, was on loan at March 31, 2026 (See Note 2). At March 31, 2026, the total market value of the Fund's securities on loan identified in the Schedule of Investments was $8,959,117 and the total market value of the collateral held by the Fund was $9,316,483. The total market value of the collateral includes non-cash U.S. Government securities collateral having a value of $4,347,112.

<sup>(b)</sup>This security is exempt from registration under rule 144A of the Securities Act of 1933. This security may be sold in transactions that are exempt from registration, normally to qualified institutional buyers.

<sup>(c)</sup>Rate shown represents annualized 7-day yield as of March 31, 2026.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;109

**Schedule of Investments (concluded)**<br> WisdomTree True Developed International Fund *(DOL)*<br> March 31, 2026<br>

INVESTMENT IN AFFILIATES

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Investments in affiliates during the fiscal year ended March 31, 2026 were as follows:

---

| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Affiliate | Value at <br>3/31/2025 | Purchases/ <br>Additions | Sales/ <br>Reductions | Realized <br>Gain/(Loss) | Change in <br>Unrealized <br>Appreciation/ <br>Depreciation | Value at <br>3/31/2026 | Dividend <br>Income | Securities <br>Lending <br>Income |
|  WisdomTree International MidCap Dividend Fund | $— | $699382 | $706054 | $6672 | $— | $—<sup>^</sup> | $3748 | $— |
|  WisdomTree Treasury Money Market Digital Fund |  | 14100000 | 14100000 |  |  | —<sup>^</sup> |  | 2760 |
|  Total | $— | $14799382 | $14806054 | $6672 | $— | $— | $3748 | $2760 |

---

<sup>^&nbsp;&nbsp;&nbsp;&nbsp;</sup>As of March 31, 2026, the Fund did not hold a position in this affiliate.

FAIR VALUATION SUMMARY

The following is a summary of the fair valuations according to the inputs used in valuing the Fund's investments (See Note 2 — Fair Value Measurement):

---

| | | | | |
|:---|:---|:---|:---|:---|
| | Quoted <br>Prices in <br>Active <br>Markets <br>(Level 1) | Other <br>Significant <br>Observable <br>Inputs <br>(Level 2) | Significant <br>Unobservable <br>Inputs <br>(Level 3) | Total |
|  Assets: |  |  |  |  |
|  Investments in Securities |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Common Stocks | $725325100 | $— | $— | $725325100 |
| &nbsp;&nbsp;&nbsp; Mutual Fund |  | 263714 |  | 263714 |
| &nbsp;&nbsp;&nbsp; Investment of Cash Collateral for Securities Loaned |  | 4969371 |  | 4969371 |
|  Total Investments in Securities | $725325100 | $5233085 | $— | $730558185 |

---

*See Notes to Financial Statements.*

110&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Assets and Liabilities** <br> WisdomTree Trust<br> March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>Europe <br>Defense Fund | WisdomTree <br>Europe Hedged <br>Equity Fund | WisdomTree <br>European <br>Opportunities <br>Fund | WisdomTree <br>Europe Quality <br>Dividend <br>Growth Fund |
| ASSETS: |  |  |  |  |
|  Investments in securities, at cost | $89457136 | $1291855097 | $247255317 | $58210610 |
|  Investments in affiliates, at cost (Note 3) |  | 11100000 | 7300000 |  |
|  Foreign currency, at cost | 7169 | 171055 | 626048 | 45121 |
|  Investments in securities, at value<sup>1,2</sup> (Note 2) | 84907648 | 1688663023 | 267672936 | 65775012 |
|  Investments in affiliates, at value (Note 3) |  | 11100000 | 7300000 |  |
|  Foreign currency, at value | 7154 | 171928 | 626839 | 45121 |
|  Unrealized appreciation on foreign currency contracts | 4 | 48033584 | 4573028 |  |
|  Receivables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment securities sold<sup>3</sup> |  | 525700 |  | 1760954 |
| &nbsp;&nbsp;&nbsp; Capital shares sold |  |  | 157425 |  |
| &nbsp;&nbsp;&nbsp; Dividends | 34108 | 848368 | 985395 | 46517 |
| &nbsp;&nbsp;&nbsp; Securities lending income | 2414 | 19462 | 7590 | 397 |
| &nbsp;&nbsp;&nbsp; Foreign tax reclaims | 1723 | 10866511 | 558567 | 616374 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) |  | 1326715 | 75862 | 36013 |
|  Total Assets | 84953051 | 1761555291 | 281957642 | 68280388 |
|  LIABILITIES: |  |  |  |  |
|  Unrealized depreciation on foreign currency contracts |  | 185005 | 107906 |  |
|  Payables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Cash collateral received for securities loaned (Note 2) | 1779292 | 11730814 | 7646549 | 122358 |
| &nbsp;&nbsp;&nbsp; Investment securities purchased |  | 51225949 | 4203305 |  |
| &nbsp;&nbsp;&nbsp; Capital shares redeemed |  | 525700 |  | 1779915 |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 31666 | 854999 | 129375 | 34617 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 310 | 6502 | 984 | 262 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) |  | 398015 | 22759 | 10804 |
|  Total Liabilities | 1811268 | 64926984 | 12110878 | 1947956 |
|  NET ASSETS | $83141783 | $1696628307 | $269846764 | $66332432 |
|  NET ASSETS: |  |  |  |  |
|  Paid-in capital | $88943125 | $3424140061 | $267290520 | $72560144 |
|  Total distributable earnings (loss) | (5801342) | (1727511754) | 2556244 | (6227712) |
|  NET ASSETS | $83141783 | $1696628307 | $269846764 | $66332432 |
|  Outstanding beneficial interest shares of $0.001 par value <br>(unlimited number of shares authorized) | 2750000 | 32850000 | 5100000 | 1850000 |
|  Net asset value per share | $30.23 | $51.65 | $52.91 | $35.86 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan of:* | $*1310398* | $*20904461* | $*7379534* | $*404327* |
|  <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* |
|  <sup>3</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan, which were sold and pending settlement, of:* | $— | $*27796* | $— | $*2668* |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;111

**Statements of Assets and Liabilities (continued)** <br> WisdomTree Trust<br> March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>Europe SmallCap <br>Dividend Fund | WisdomTree <br>International AI <br>Enhanced Value <br>Fund | WisdomTree <br>International <br>Equity Fund | WisdomTree <br>International <br>Hedged Quality <br>Dividend Growth <br>Fund |
| ASSETS: |  |  |  |  |
|  Investments in securities, at cost | $137854410 | $52132421 | $431762657 | $2012451437 |
|  Investments in affiliates, at cost (Note 3) | 5400000 |  | 5300000 | 11270492 |
|  Foreign currency, at cost | 61396 | 257583 | 384764 | 2194853 |
|  Investments in securities, at value<sup>1,2</sup> (Note 2) | 153620439 | 58945755 | 624282093 | 2129826944 |
|  Investments in affiliates, at value (Note 3) | 5400000 |  | 5300000 | 11341522 |
|  Foreign currency, at value | 61228 | 257280 | 384313 | 2191123 |
|  Unrealized appreciation on foreign currency contracts |  |  |  | 62336149 |
|  Receivables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment securities sold<sup>3</sup> |  |  |  | 13357341 |
| &nbsp;&nbsp;&nbsp; Dividends | 493379 | 301248 | 2527969 | 4577626 |
| &nbsp;&nbsp;&nbsp; Securities lending income | 17733 | 2918 | 8453 | 10620 |
| &nbsp;&nbsp;&nbsp; Foreign tax reclaims | 1158420 | 527556 | 3525628 | 10354545 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 655424 | 92990 | 477907 | 1020075 |
|  Total Assets | 161406623 | 60127747 | 636506363 | 2235015945 |
|  LIABILITIES: |  |  |  |  |
|  Unrealized depreciation on foreign currency contracts |  |  |  | 140038 |
|  Payables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Cash collateral received for securities loaned (Note 2) | 5720253 | 1294117 | 5576014 | 11727072 |
| &nbsp;&nbsp;&nbsp; Investment securities purchased |  |  |  | 65145300 |
| &nbsp;&nbsp;&nbsp; Capital shares redeemed |  |  |  | 14256790 |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 77890 | 29303 | 264095 | 1093409 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 594 | 223 | 2423 | 8300 |
| &nbsp;&nbsp;&nbsp; Cash due to custodian |  | 110052 |  |  |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 196627 | 27897 | 143372 | 306023 |
|  Total Liabilities | 5995364 | 1461592 | 5985904 | 92676932 |
|  NET ASSETS | $155411259 | $58666155 | $630520459 | $2142339013 |
|  NET ASSETS: |  |  |  |  |
|  Paid-in capital | $447898670 | $114342799 | $611682717 | $2289522099 |
|  Total distributable earnings (loss) | (292487411) | (55676644) | 18837742 | (147183086) |
|  NET ASSETS | $155411259 | $58666155 | $630520459 | $2142339013 |
|  Outstanding beneficial interest shares of $0.001 par value <br>(unlimited number of shares authorized) | 2200000 | 1100000 | 9200000 | 45150000 |
|  Net asset value per share | $70.64 | $53.33 | $68.53 | $47.45 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan of:* | $*6375528* | $*1348621* | $*11264672* | $*14237799* |
|  <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* |
|  <sup>3</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan, which were sold and pending settlement, of:* | $— | $— | $— | $*9248* |

---

*See Notes to Financial Statements.*

112&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Assets and Liabilities (continued)**<br> WisdomTree Trust<br> March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>International <br>High <br>Dividend Fund | WisdomTree <br>International <br>MidCap <br>Dividend Fund | WisdomTree <br>International <br>Multifactor Fund | WisdomTree <br>International <br>Quality Dividend <br>Growth Fund |
| ASSETS: |  |  |  |  |
|  Investments in securities, at cost | $501922121 | $122021366 | $33465462 | $635866053 |
|  Investments in affiliates, at cost (Note 3) | 13402604 |  |  |  |
|  Foreign currency, at cost | 588605 | 150808 | 56138 | 852270 |
|  Investments in securities, at value<sup>1,2</sup> (Note 2) | 621833184 | 161294913 | 36387248 | 671969417 |
|  Investments in affiliates, at value (Note 3) | 13407926 |  |  |  |
|  Foreign currency, at value | 588008 | 150613 | 56177 | 850626 |
|  Unrealized appreciation on foreign currency contracts |  |  | 269938 |  |
|  Receivables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Capital shares sold |  | 25000 |  |  |
| &nbsp;&nbsp;&nbsp; Dividends | 3060134 | 763480 | 114388 | 1466205 |
| &nbsp;&nbsp;&nbsp; Securities lending income | 15391 | 1262 | 29 | 1577 |
| &nbsp;&nbsp;&nbsp; Foreign tax reclaims | 1966782 | 484496 | 185195 | 3384614 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 239024 | 58248 | 22205 | 440601 |
|  Total Assets | 641110449 | 162778012 | 37035180 | 678113040 |
|  LIABILITIES: |  |  |  |  |
|  Unrealized depreciation on foreign currency contracts |  |  | 59002 |  |
|  Payables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Cash collateral received for securities loaned (Note 2) | 13621551 | 3587545 | 184958 | 4820316 |
| &nbsp;&nbsp;&nbsp; Investment securities purchased |  |  | 248449 |  |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 308331 | 80013 | 12042 | 248241 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 2347 | 607 | 139 | 2601 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 71707 | 17474 | 6662 | 132330 |
|  Total Liabilities | 14003936 | 3685639 | 511252 | 5203488 |
|  NET ASSETS | $627106513 | $159092373 | $36523928 | $672909552 |
|  NET ASSETS: |  |  |  |  |
|  Paid-in capital | $603980876 | $157322053 | $36957203 | $717137586 |
|  Total distributable earnings (loss) | 23125637 | 1770320 | (433275) | (44228034) |
|  NET ASSETS | $627106513 | $159092373 | $36523928 | $672909552 |
|  Outstanding beneficial interest shares of $0.001 par value <br>(unlimited number of shares authorized) | 11750000 | 1950000 | 1100000 | 17050000 |
|  Net asset value per share | $53.37 | $81.59 | $33.20 | $39.47 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan of:* | $*18576068* | $*4089457* | $*329180* | $*4933263* |
|  <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;113

**Statements of Assets and Liabilities (continued)**<br> WisdomTree Trust<br> March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>International <br>SmallCap <br>Dividend Fund | WisdomTree <br>Japan Hedged <br>Equity Fund | WisdomTree <br>Japan <br>Opportunities <br>Fund | WisdomTree <br>Japan SmallCap <br>Dividend Fund |
| ASSETS: |  |  |  |  |
|  Investments in securities, at cost | $826055602 | $4758249711 | $224358331 | $336432270 |
|  Investments in affiliates, at cost (Note 3) | 33982962 | 5700000 |  | 1040074 |
|  Foreign currency, at cost | 976811 | 8310958 | 11785 | 4063 |
|  Investments in securities, at value<sup>1,2</sup> (Note 2) | 964997762 | 5776953430 | 245520995 | 383601394 |
|  Investments in affiliates, at value (Note 3) | 34056506 | 5700000 |  | 1045518 |
|  Cash | 432960 |  |  |  |
|  Foreign currency, at value | 974709 | 8344219 | 11818 | 4063 |
|  Unrealized appreciation on foreign currency contracts | 935 | 140319815 | 5215177 |  |
|  Receivables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment securities sold<sup>3</sup> |  | 22342346 |  |  |
| &nbsp;&nbsp;&nbsp; Capital shares sold |  | 91 |  |  |
| &nbsp;&nbsp;&nbsp; Dividends | 5510811 | 55647551 | 2485043 | 4974582 |
| &nbsp;&nbsp;&nbsp; Securities lending income | 94080 | 15696 | 197 | 15245 |
| &nbsp;&nbsp;&nbsp; Foreign tax reclaims | 3892380 | 11410274 | 216229 | 674481 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 787789 |  |  |  |
|  Total Assets | 1010747932 | 6020733422 | 253449459 | 390315283 |
|  LIABILITIES: |  |  |  |  |
|  Unrealized depreciation on foreign currency contracts | 1269 | 1233271 | 22006 | 4 |
|  Payables: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Cash collateral received for securities loaned (Note 2) | 32388378 | 6047281 |  | 2435845 |
| &nbsp;&nbsp;&nbsp; Investment securities purchased | 1403499 | 140183360 | 5154202 |  |
| &nbsp;&nbsp;&nbsp; Capital shares redeemed |  | 23406035 |  |  |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 491916 | 2500699 | 120369 | 204603 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 3772 | 22931 | 913 | 1553 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 236337 |  |  |  |
|  Total Liabilities | 34525171 | 173393577 | 5297490 | 2642005 |
|  NET ASSETS | $976222761 | $5847339845 | $248151969 | $387673278 |
|  NET ASSETS: |  |  |  |  |
|  Paid-in capital | $1156408748 | $5699747646 | $231643921 | $452361360 |
|  Total distributable earnings (loss) | (180185987) | 147592199 | 16508048 | (64688082) |
|  NET ASSETS | $976222761 | $5847339845 | $248151969 | $387673278 |
|  Outstanding beneficial interest shares of $0.001 par value <br>(unlimited number of shares authorized) | 12150000 | 37950000 | 4700000 | 3900000 |
|  Net asset value per share | $80.35 | $154.08 | $52.80 | $99.40 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan of:* | $*41707827* | $*18534191* | $*3996413* | $*9041195* |
|  <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* |
|  <sup>3</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan, which were sold and pending settlement, of:* | $— | $*6660* | $— | $— |

---

*See Notes to Financial Statements.*

114&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Assets and Liabilities (concluded)**<br> WisdomTree Trust<br> March 31, 2026<br>

---

| | |
|:---|:---|
| | WisdomTree <br>True Developed <br>International <br>Fund |
| ASSETS: |  |
|  Investments in securities, at cost | $513059589 |
|  Foreign currency, at cost | 1418609 |
|  Investments in securities, at value<sup>1,2</sup> (Note 2) | 730558185 |
|  Foreign currency, at value | 1416544 |
|  Receivables: |  |
| &nbsp;&nbsp;&nbsp; Capital shares sold | 233 |
| &nbsp;&nbsp;&nbsp; Dividends | 2695381 |
| &nbsp;&nbsp;&nbsp; Securities lending income | 3516 |
| &nbsp;&nbsp;&nbsp; Foreign tax reclaims | 3466799 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 210525 |
|  Total Assets | 738351183 |
|  LIABILITIES: |  |
|  Payables: |  |
| &nbsp;&nbsp;&nbsp; Cash collateral received for securities loaned (Note 2) | 4969371 |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 307517 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 2820 |
| &nbsp;&nbsp;&nbsp; Other (Note 6) | 63158 |
|  Total Liabilities | 5342866 |
|  NET ASSETS | $733008317 |
|  NET ASSETS: |  |
|  Paid-in capital | $634250231 |
|  Total distributable earnings (loss) | 98758086 |
|  NET ASSETS | $733008317 |
|  Outstanding beneficial interest shares of $0.001 par value <br>(unlimited number of shares authorized) | 11000000 |
|  Net asset value per share | $66.64 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes market value of securities out on loan of:* | $*8959117* |
|  <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* | <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Investments in securities include investment of cash collateral for securities loaned (see Schedule of Investments for additional information)* |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;115

**Statements of Operations** <br> WisdomTree Trust<br> For the Year Ended March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>Europe <br>Defense Fund1 | WisdomTree <br>Europe Hedged <br>Equity Fund | WisdomTree <br>European <br>Opportunities <br>Fund | WisdomTree <br>Europe <br>Quality Dividend <br>Growth Fund |
|  INVESTMENT INCOME: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Dividends | $106891 | $51029121 | $7457596 | $2181326 |
| &nbsp;&nbsp;&nbsp; Other income (Note 6) |  | 999887 | 33319 | 6047 |
| &nbsp;&nbsp;&nbsp; Securities lending income, net (Note 2)<sup>2</sup> | 4375 | 181371 | 11506 | 2844 |
| &nbsp;&nbsp;&nbsp; Less: Foreign withholding taxes on dividends | (5452) | (6789170) | (986069) | (222047) |
|  Total investment income | 105814 | 45421209 | 6516352 | 1968170 |
|  EXPENSES: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 110451 | 10191708 | 944735 | 445612 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 1080 | 77317 | 7166 | 3381 |
| &nbsp;&nbsp;&nbsp; Other fees (Note 6) |  | 300388 | 9996 | 1814 |
|  Total expenses | 111531 | 10569413 | 961897 | 450807 |
| &nbsp;&nbsp;&nbsp; Expense waivers — contractual (Note 3) |  | (8914) | (337) |  |
|  Net expenses | 111531 | 10560499 | 961560 | 450807 |
|  Net investment income (loss) | (5717) | 34860710 | 5554792 | 1517363 |
|  NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: |  |  |  |  |
|  Net realized gain (loss) from: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | (1224013) | 82302273 | 6793145 | (1312323) |
| &nbsp;&nbsp;&nbsp; In-kind redemptions | 108229 | 107045657 | 14634101 | 8692632 |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | (142) | (189305219) | (10131420) | 5353 |
| &nbsp;&nbsp;&nbsp; Foreign currency related transactions | (446) | 1629099 | 225465 | 5633 |
|  Net realized gain (loss) | (1116372) | 1671810 | 11521291 | 7391295 |
|  Net increase (decrease) in net unrealized appreciation/depreciation: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | (4549488) | 47865281 | 11965511 | 1422234 |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | 4 | 108972385 | 7094578 |  |
| &nbsp;&nbsp;&nbsp; Translation of assets and liabilities denominated in foreign currencies | (475) | 549403 | 4616 | 40198 |
|  Net increase (decrease) in unrealized appreciation/depreciation | (4549959) | 157387069 | 19064705 | 1462432 |
|  Net realized and unrealized gain (loss) on investments | (5666331) | 159058879 | 30585996 | 8853727 |
|  NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS | $(5672048) | $193919589 | $36140788 | $10371090 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*For the period July 17, 2025 (commencement of operations) through March 31, 2026.* | <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*For the period July 17, 2025 (commencement of operations) through March 31, 2026.* | <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*For the period July 17, 2025 (commencement of operations) through March 31, 2026.* | <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*For the period July 17, 2025 (commencement of operations) through March 31, 2026.* | <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*For the period July 17, 2025 (commencement of operations) through March 31, 2026.* |
|  <sup>2</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes securities lending income from affiliate of:* | $*—* | $*162700* | $*6717* | $*—* |

---

*See Notes to Financial Statements.*

116&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Operations (continued)**<br> WisdomTree Trust<br> For the Year Ended March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>Europe SmallCap <br>Dividend Fund | WisdomTree <br>International AI <br>Enhanced <br>Value Fund | WisdomTree <br>International <br>Equity Fund | WisdomTree <br>International <br>Hedged Quality <br>Dividend<br>Growth Fund |
|  INVESTMENT INCOME: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Dividends | $8654030 | $2520923 | $22875885 | $67635359 |
| &nbsp;&nbsp;&nbsp; Dividends from affiliates (Note 3) | 17399 |  |  | 5515 |
| &nbsp;&nbsp;&nbsp; Other income (Note 6) | 125796 | 20185 | 178815 | 785359 |
| &nbsp;&nbsp;&nbsp; Securities lending income, net (Note 2)<sup>1</sup> | 109039 | 8436 | 70592 | 152013 |
| &nbsp;&nbsp;&nbsp; Less: Foreign withholding taxes on dividends | (906523) | (231960) | (2336984) | (6268684) |
|  Total investment income | 7999741 | 2317584 | 20788308 | 62309562 |
|  EXPENSES: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 968317 | 324927 | 2887482 | 13836761 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 7346 | 2465 | 26468 | 104967 |
| &nbsp;&nbsp;&nbsp; Other fees (Note 6) | 37739 | 6055 | 53645 | 235608 |
|  Total expenses | 1013402 | 333447 | 2967595 | 14177336 |
| &nbsp;&nbsp;&nbsp; Expense waivers (Note 3) | (782) |  |  | (869) |
| &nbsp;&nbsp;&nbsp; Expense waivers — contractual (Note 3) | (357) | (29) | (256) | (8857) |
|  Net expenses | 1012263 | 333418 | 2967339 | 14167610 |
|  Net investment income | 6987478 | 1984166 | 17820969 | 48141952 |
|  NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: |  |  |  |  |
|  Net realized gain (loss) from: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 10492524 | 5343949 | 29867361 | 8251942 |
| &nbsp;&nbsp;&nbsp; Investment transactions in affiliates (Note 3) | 116272 |  |  |  |
| &nbsp;&nbsp;&nbsp; In-kind redemptions | 4738501 | 492254 |  | 389279602 |
| &nbsp;&nbsp;&nbsp; Futures contracts | 201671 |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | (21709) | 8224 | (126791) | (200004504) |
| &nbsp;&nbsp;&nbsp; Foreign currency related transactions | 67196 | (5971) | 189403 | 1183006 |
|  Net realized gain | 15594455 | 5838456 | 29929973 | 198710046 |
|  Net increase (decrease) in net unrealized appreciation/depreciation: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 9634718 | 5317741 | 68266107 | (120268768) |
| &nbsp;&nbsp;&nbsp; Investment transactions in affiliates (Note 3) | (12563) |  |  | 26835 |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts |  |  | (577) | 141748110 |
| &nbsp;&nbsp;&nbsp; Translation of assets and liabilities denominated in foreign currencies | 75930 | 29894 | 192149 | 569934 |
|  Net increase in unrealized appreciation/depreciation | 9698085 | 5347635 | 68457679 | 22076111 |
|  Net realized and unrealized gain on investments | 25292540 | 11186091 | 98387652 | 220786157 |
|  NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS | $32280018 | $13170257 | $116208621 | $268928109 |
|  1&nbsp;&nbsp;&nbsp;&nbsp;*Includes securities lending income from affiliate of:* | $*6922* | $*526* | $*5076* | $*169126* |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;117

**Statements of Operations (continued)**<br> WisdomTree Trust<br> For the Year Ended March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>International <br>High Dividend <br>Fund | WisdomTree <br>International <br>MidCap<br> Dividend Fund | WisdomTree <br>International <br>Multifactor<br> Fund | WisdomTree <br>International <br>Quality Dividend <br>Growth Fund |
|  INVESTMENT INCOME: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Dividends | $24592277 | $6547598 | $1366989 | $20655420 |
| &nbsp;&nbsp;&nbsp; Dividends from affiliates (Note 3) | 44331 |  |  |  |
| &nbsp;&nbsp;&nbsp; Other income (Note 6) | 152527 | 20155 | 14410 | 291078 |
| &nbsp;&nbsp;&nbsp; Securities lending income, net (Note 2)<sup>1</sup> | 104756 | 12098 | 1029 | 39927 |
| &nbsp;&nbsp;&nbsp; Less: Foreign withholding taxes on dividends | (2356879) | (708812) | (130393) | (1919817) |
|  Total investment income | 22537012 | 5871039 | 1252035 | 19066608 |
|  EXPENSES: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 2838624 | 899877 | 142701 | 3130085 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 21535 | 6827 | 1652 | 32791 |
| &nbsp;&nbsp;&nbsp; Other fees (Note 6) | 45758 | 6046 | 4323 | 93064 |
|  Total expenses | 2905917 | 912750 | 148676 | 3255940 |
| &nbsp;&nbsp;&nbsp; Expense waivers (Note 3) | (1216) |  |  |  |
| &nbsp;&nbsp;&nbsp; Expense waivers — contractual (Note 3) | (825) |  |  | (962) |
|  Net expenses | 2903876 | 912750 | 148676 | 3254978 |
|  Net investment income | 19633136 | 4958289 | 1103359 | 15811630 |
|  NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: |  |  |  |  |
|  Net realized gain (loss) from: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 1177440 | 8495733 | 525450 | 3583517 |
| &nbsp;&nbsp;&nbsp; Investment transactions in affiliates (Note 3) | (34743) |  |  |  |
| &nbsp;&nbsp;&nbsp; In-kind redemptions | 27468754 | 3351568 | 4645876 | 89128845 |
| &nbsp;&nbsp;&nbsp; Futures contracts |  |  | (12919) |  |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | (20568) | (60209) | (988307) | 97106 |
| &nbsp;&nbsp;&nbsp; Foreign currency related transactions | 130396 | 103617 | 11202 | (16538) |
|  Net realized gain | 28721279 | 11890709 | 4181302 | 92792930 |
|  Net increase (decrease) in net unrealized appreciation/depreciation: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 75558653 | 19302955 | 182032 | (8543642) |
| &nbsp;&nbsp;&nbsp; Investment transactions in affiliates (Note 3) | 5317 |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts |  | (58) | 799717 |  |
| &nbsp;&nbsp;&nbsp; Translation of assets and liabilities denominated in foreign currencies | 77129 | 23387 | 11539 | 200225 |
|  Net increase (decrease) in unrealized appreciation/depreciation | 75641099 | 19326284 | 993288 | (8343417) |
|  Net realized and unrealized gain on investments | 104362378 | 31216993 | 5174590 | 84449513 |
|  NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS | $123995514 | $36175282 | $6277949 | $100261143 |
|  <sup>1</sup>*&nbsp;&nbsp;&nbsp;&nbsp;Includes securities lending income from affiliate of:* | $*16256* | $*—* | $*—* | $*16079* |

---

*See Notes to Financial Statements.*

118&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Operations (continued)** <br> WisdomTree Trust<br> For the Year Ended March 31, 2026<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree <br>International <br>SmallCap <br>Dividend Fund | WisdomTree <br>Japan Hedged <br>Equity Fund | WisdomTree <br>Japan <br>Opportunities <br>Fund | WisdomTree <br>Japan SmallCap <br>Dividend Fund |
|  INVESTMENT INCOME: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Dividends | $45162182 | $132215827 | $4401999 | $11584445 |
| &nbsp;&nbsp;&nbsp; Dividends from affiliates (Note 3) | 217321 |  |  | 24412 |
| &nbsp;&nbsp;&nbsp; Other income (Note 6) | 333770 |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities lending income, net (Note 2)<sup>1</sup> | 1509332 | 427370 | 44098 | 200308 |
| &nbsp;&nbsp;&nbsp; Less: Foreign withholding taxes on dividends | (4367860) | (13248179) | (531488) | (1311830) |
|  Total investment income | 42854745 | 119395018 | 3914609 | 10497335 |
|  EXPENSES: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 5800428 | 21105299 | 663818 | 1867793 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 44003 | 193465 | 5036 | 14170 |
| &nbsp;&nbsp;&nbsp; Other fees (Note 6) | 100131 |  |  |  |
|  Total expenses | 5944562 | 21298764 | 668854 | 1881963 |
| &nbsp;&nbsp;&nbsp; Expense waivers (Note 3) | (8182) |  |  | (1399) |
| &nbsp;&nbsp;&nbsp; Expense waivers — contractual (Note 3) | (23269) | (18181) |  | (129) |
|  Net expenses | 5913111 | 21280583 | 668854 | 1880435 |
|  Net investment income | 36941634 | 98114435 | 3245755 | 8616900 |
|  NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: |  |  |  |  |
|  Net realized gain (loss) from: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 87675814 | (10419381) | 672135 | 12834141 |
| &nbsp;&nbsp;&nbsp; Investment transactions in affiliates (Note 3) | 160555 |  |  | 147489 |
| &nbsp;&nbsp;&nbsp; In-kind redemptions | 24831009 | 213187662 | 13316438 | 10034368 |
| &nbsp;&nbsp;&nbsp; Futures contracts | 694001 |  | 12333 |  |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | (47260) | 301289894 | 4905165 | (9549) |
| &nbsp;&nbsp;&nbsp; Foreign currency related transactions | 267019 | (5813960) | (47168) | (68834) |
|  Net realized gain | 113581138 | 498244215 | 18858903 | 22937615 |
|  Net increase (decrease) in net unrealized appreciation/depreciation: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 81219700 | 766695736 | 15828929 | 42339089 |
| &nbsp;&nbsp;&nbsp; Investment transactions in affiliates (Note 3) | 79233 |  |  | (14194) |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | (200) | 156229254 | 5531289 | (4) |
| &nbsp;&nbsp;&nbsp; Translation of assets and liabilities denominated in foreign currencies | 55093 | (502576) | (3388) | (1998) |
|  Net increase in unrealized appreciation/depreciation | 81353826 | 922422414 | 21356830 | 42322893 |
|  Net realized and unrealized gain on investments | 194934964 | 1420666629 | 40215733 | 65260508 |
|  NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS | $231876598 | $1518781064 | $43461488 | $73877408 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes securities lending income from affiliate of:* | $*446154* | $*371793* | $*—* | $*2583* |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;119

**Statements of Operations (concluded)**<br> WisdomTree Trust<br> For the Year Ended March 31, 2026<br>

---

| | |
|:---|:---|
| | WisdomTree <br>True Developed <br>International <br>Fund |
|  INVESTMENT INCOME: |  |
| &nbsp;&nbsp;&nbsp; Dividends | $24560380 |
| &nbsp;&nbsp;&nbsp; Dividends from affiliates (Note 3) | 3748 |
| &nbsp;&nbsp;&nbsp; Other income (Note 6) | 194627 |
| &nbsp;&nbsp;&nbsp; Securities lending income, net (Note 2)<sup>1</sup> | 43227 |
| &nbsp;&nbsp;&nbsp; Less: Foreign withholding taxes on dividends | (2511326) |
|  Total investment income | 22290656 |
|  EXPENSES: |  |
| &nbsp;&nbsp;&nbsp; Advisory fees (Note 3) | 3193793 |
| &nbsp;&nbsp;&nbsp; Service fees (Note 2) | 29276 |
| &nbsp;&nbsp;&nbsp; Other fees (Note 6) | 58388 |
|  Total expenses | 3281457 |
| &nbsp;&nbsp;&nbsp; Expense waivers (Note 3) | (79) |
| &nbsp;&nbsp;&nbsp; Expense waivers — contractual (Note 3) | (190) |
|  Net expenses | 3281188 |
|  Net investment income | 19009468 |
|  NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: |  |
|  Net realized gain (loss) from: |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 1247114 |
| &nbsp;&nbsp;&nbsp; Investment transactions in affiliates (Note 3) | 6672 |
| &nbsp;&nbsp;&nbsp; In-kind redemptions | 44702532 |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | (254363) |
| &nbsp;&nbsp;&nbsp; Foreign currency related transactions | 265070 |
|  Net realized gain | 45967025 |
|  Net increase (decrease) in net unrealized appreciation/depreciation: |  |
| &nbsp;&nbsp;&nbsp; Investment transactions | 77786302 |
| &nbsp;&nbsp;&nbsp; Foreign currency contracts | (259) |
| &nbsp;&nbsp;&nbsp; Translation of assets and liabilities denominated in foreign currencies | 158413 |
|  Net increase in unrealized appreciation/depreciation | 77944456 |
|  Net realized and unrealized gain on investments | 123911481 |
|  NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS | $142920949 |
|  <sup>1</sup>&nbsp;&nbsp;&nbsp;&nbsp;*Includes securities lending income from affiliate of:* | $*2760* |

---

*See Notes to Financial Statements.*

120&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Changes in Net Assets** <br> WisdomTree Trust<br>

---

| | | | |
|:---|:---|:---|:---|
| | WisdomTree Europe <br>Defense Fund | WisdomTree Europe Hedged <br>Equity Fund | WisdomTree Europe Hedged <br>Equity Fund |
| | For the Period<br>July 17, 2025<sup>\*</sup> <br>through<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income (loss) | $(5717) | $34860710 | $50418416 |
| &nbsp;&nbsp;&nbsp; Net realized gain (loss) on investments, foreign currency contracts and foreign currency related transactions | (1116372) | 1671810 | 142411401 |
| &nbsp;&nbsp;&nbsp; Net increase (decrease) in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | (4549959) | 157387069 | (199413252) |
|  Net increase (decrease) in net assets resulting from operations | (5672048) | 193919589 | (6583435) |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (21515) | (30853750) | (53344485) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 89618509 | 107203609 | 250360125 |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (783283) | (244419582) | (419648461) |
|  Net increase (decrease) in net assets resulting from capital share transactions | 88835226 | (137215973) | (169288336) |
|  Net Increase (Decrease) in Net Assets | 83141663 | 25849866 | (229216256) |
|  NET ASSETS: |  |  |  |
|  Beginning of period | $120 | $1670778441 | $1899994697 |
|  End of period | $83141783 | $1696628307 | $1670778441 |
|  SHARES CREATED AND REDEEMED: |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of period | 4 | 35450000 | 39450000 |
| &nbsp;&nbsp;&nbsp; Shares created | 2775000 | 2250000 | 5250000 |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (25004) | (4850000) | (9250000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of period | 2750000 | 32850000 | 35450000 |

---

<sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>*Commencement of operations. The commencement of operations date is considered to be the date that the Fund began trading in the secondary market.*

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;121

**Statements of Changes in Net Assets (continued)**<br> WisdomTree Trust<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree European <br>Opportunities Fund | WisdomTree European <br>Opportunities Fund | WisdomTree Europe Quality <br>Dividend Growth Fund | WisdomTree Europe Quality <br>Dividend Growth Fund |
| | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $5554792 | $2007390 | $1517363 | $1485045 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, foreign currency contracts and foreign currency related transactions | 11521291 | 2145763 | 7391295 | 3169719 |
| &nbsp;&nbsp;&nbsp; Net increase (decrease) in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 19064705 | 1852428 | 1462432 | (3872367) |
|  Net increase in net assets resulting from operations | 36140788 | 6005581 | 10371090 | 782397 |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (4196458) | (1826376) | (1849027) | (1488120) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 221623904 | 37147912 | 22844399 | 1602141 |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (63410368) | (5717516) | (29658612) | (9368006) |
|  Net increase (decrease) in net assets resulting from capital share transactions | 158213536 | 31430396 | (6814213) | (7765865) |
|  Net Increase (Decrease) in Net Assets | 190157866 | 35609601 | 1707850 | (8471588) |
|  NET ASSETS: |  |  |  |  |
|  Beginning of year | $79688898 | $44079297 | $64624582 | $73096170 |
|  End of year | $269846764 | $79688898 | $66332432 | $64624582 |
|  SHARES CREATED AND REDEEMED: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 1900000 | 1150000 | 2000000 | 2250000 |
| &nbsp;&nbsp;&nbsp; Shares created | 4500000 | 900000 | 650000 | 50000 |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (1300000) | (150000) | (800000) | (300000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 5100000 | 1900000 | 1850000 | 2000000 |

---

*See Notes to Financial Statements.*

122&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Changes in Net Assets (continued)**<br> WisdomTree Trust<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree Europe <br>SmallCap Dividend Fund | WisdomTree Europe <br>SmallCap Dividend Fund | WisdomTree International AI <br>Enhanced Value Fund | WisdomTree International AI <br>Enhanced Value Fund |
| | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $6987478 | $7566227 | $1984166 | $2868582 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, futures contracts, foreign currency contracts and foreign currency related transactions | 15594455 | 7191539 | 5838456 | 3489454 |
| &nbsp;&nbsp;&nbsp; Net increase (decrease) in net unrealized appreciation/depreciation on investments, futures contracts, written options, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 9698085 | (5479808) | 5347635 | 160908 |
|  Net increase in net assets resulting from operations | 32280018 | 9277958 | 13170257 | 6518944 |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (7178750) | (7727206) | (2648261) | (3145102) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 10170251 |  | 2491575 | 2176034 |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (24764592) | (44797830) | (4720059) | (29206315) |
|  Net decrease in net assets resulting from capital share transactions | (14594341) | (44797830) | (2228484) | (27030281) |
|  Net Increase (Decrease) in Net Assets | 10506927 | (43247078) | 8293512 | (23656439) |
|  NET ASSETS: |  |  |  |  |
|  Beginning of year | $144904332 | $188151410 | $50372643 | $74029082 |
|  End of year | $155411259 | $144904332 | $58666155 | $50372643 |
|  SHARES CREATED AND REDEEMED: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 2400000 | 3150000 | 1150000 | 1800000 |
| &nbsp;&nbsp;&nbsp; Shares created | 150000 |  | 50000 | 50000 |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (350000) | (750000) | (100000) | (700000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 2200000 | 2400000 | 1100000 | 1150000 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;123

**Statements of Changes in Net Assets (continued)**<br> WisdomTree Trust<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree International <br>Equity Fund | WisdomTree International <br>Equity Fund | WisdomTree International Hedged <br>Quality Dividend Growth Fund | WisdomTree International Hedged <br>Quality Dividend Growth Fund |
| | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $17820969 | $19943841 | $48141952 | $46377369 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, foreign currency contracts and foreign currency related transactions | 29929973 | 26572269 | 198710046 | 169034915 |
| &nbsp;&nbsp;&nbsp; Net increase (decrease) in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 68457679 | (1509447) | 22076111 | (334220149) |
|  Net increase (decrease) in net assets resulting from operations | 116208621 | 45006663 | 268928109 | (118807865) |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (18466686) | (19101802) | (50011860) | (50859826) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 13150361 | 2739819 | 466439686 | 1053136948 |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed |  | (82911459) | (1378308476) | (429490280) |
|  Net increase (decrease) in net assets resulting from capital share transactions | 13150361 | (80171640) | (911868790) | 623646668 |
|  Net Increase (Decrease) in Net Assets | 110892296 | (54266779) | (692952541) | 453978977 |
|  NET ASSETS: |  |  |  |  |
|  Beginning of year | $519628163 | $573894942 | $2835291554 | $2381312577 |
|  End of year | $630520459 | $519628163 | $2142339013 | $2835291554 |
|  SHARES CREATED AND REDEEMED: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 9000000 | 10450000 | 65650000 | 52000000 |
| &nbsp;&nbsp;&nbsp; Shares created | 200000 | 50000 | 9950000 | 23300000 |
| &nbsp;&nbsp;&nbsp; Shares redeemed |  | (1500000) | (30450000) | (9650000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 9200000 | 9000000 | 45150000 | 65650000 |

---

*See Notes to Financial Statements.*

124&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Changes in Net Assets (continued)**<br> WisdomTree Trust<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree International <br>High Dividend Fund | WisdomTree International <br>High Dividend Fund | WisdomTree International <br>MidCap Dividend Fund | WisdomTree International <br>MidCap Dividend Fund |
| | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $19633136 | $16883509 | $4958289 | $4710918 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, foreign currency contracts and foreign currency related transactions | 28721279 | 7862356 | 11890709 | 2413539 |
| &nbsp;&nbsp;&nbsp; Net increase in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 75641099 | 10844228 | 19326284 | 4093924 |
|  Net increase in net assets resulting from operations | 123995514 | 35590093 | 36175282 | 11218381 |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (18813950) | (16308470) | (4900740) | (4757821) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 217134455 | 33351948 | 3755708 |  |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (63462582) | (25432543) | (11336703) | (6450011) |
|  Net increase (decrease) in net assets resulting from capital share transactions | 153671873 | 7919405 | (7580995) | (6450011) |
|  Net Increase in Net Assets | 258853437 | 27201028 | 23693547 | 10549 |
|  NET ASSETS: |  |  |  |  |
|  Beginning of year | $368253076 | $341052048 | $135398826 | $135388277 |
|  End of year | $627106513 | $368253076 | $159092373 | $135398826 |
|  SHARES CREATED AND REDEEMED: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 8750000 | 8600000 | 2050000 | 2150000 |
| &nbsp;&nbsp;&nbsp; Shares created | 4300000 | 800000 | 50000 |  |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (1300000) | (650000) | (150000) | (100000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 11750000 | 8750000 | 1950000 | 2050000 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;125

**Statements of Changes in Net Assets (continued)**<br> WisdomTree Trust<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree International <br>Multifactor Fund | WisdomTree International <br>Multifactor Fund | WisdomTree International <br>Quality Dividend Growth Fund | WisdomTree International <br>Quality Dividend Growth Fund |
| | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $1103359 | $1094069 | $15811630 | $16887032 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, futures contracts, foreign currency contracts and foreign currency related transactions | 4181302 | 4168601 | 92792930 | 51527162 |
| &nbsp;&nbsp;&nbsp; Net increase (decrease) in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 993288 | (1260367) | (8343417) | (109880044) |
|  Net increase (decrease) in net assets resulting from operations | 6277949 | 4002303 | 100261143 | (41465850) |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (1129748) | (1118075) | (17134259) | (18334695) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 18883143 | 5684755 | 168743068 | 119488548 |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (19353916) | (19163476) | (325505202) | (291323830) |
|  Net decrease in net assets resulting from capital share transactions | (470773) | (13478721) | (156762134) | (171835282) |
|  Net Increase (Decrease) in Net Assets | 4677428 | (10594493) | (73635250) | (231635827) |
|  NET ASSETS: |  |  |  |  |
|  Beginning of year | $31846500 | $42440993 | $746544802 | $978180629 |
|  End of year | $36523928 | $31846500 | $672909552 | $746544802 |
|  SHARES CREATED AND REDEEMED: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 1100000 | 1600000 | 21050000 | 25750000 |
| &nbsp;&nbsp;&nbsp; Shares created | 600000 | 200000 | 4200000 | 3200000 |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (600000) | (700000) | (8200000) | (7900000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 1100000 | 1100000 | 17050000 | 21050000 |

---

*See Notes to Financial Statements.*

126&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Changes in Net Assets (continued)**<br> WisdomTree Trust<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree International <br>SmallCap Dividend Fund | WisdomTree International <br>SmallCap Dividend Fund | WisdomTree Japan <br>Hedged Equity Fund | WisdomTree Japan <br>Hedged Equity Fund |
| | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $36941634 | $40706682 | $98114435 | $85366203 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, futures contracts, foreign currency contracts and foreign currency related transactions | 113581138 | 54066036 | 498244215 | 487494735 |
| &nbsp;&nbsp;&nbsp; Net increase (decrease) in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 81353826 | (49004175) | 922422414 | (548316502) |
|  Net increase in net assets resulting from operations | 231876598 | 45768543 | 1518781064 | 24544436 |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (38907075) | (40687926) | (58413147) | (129533264) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares |  |  | 1745006954 | 953865179 |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (112554262) | (208535526) | (760381295) | (2137780386) |
|  Net increase (decrease) in net assets resulting from capital share transactions | (112554262) | (208535526) | 984625659 | (1183915207) |
|  Net Increase (Decrease) in Net Assets | 80415261 | (203454909) | 2444993576 | (1288904035) |
|  NET ASSETS: |  |  |  |  |
|  Beginning of year | $895807500 | $1099262409 | $3402346269 | $4691250304 |
|  End of year | $976222761 | $895807500 | $5847339845 | $3402346269 |
|  SHARES CREATED AND REDEEMED: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 13600000 | 16800000 | 31200000 | 43150000 |
| &nbsp;&nbsp;&nbsp; Shares created |  |  | 12550000 | 8700000 |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (1450000) | (3200000) | (5800000) | (20650000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 12150000 | 13600000 | 37950000 | 31200000 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;127

**Statements of Changes in Net Assets (continued)**<br> WisdomTree Trust<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| | WisdomTree Japan <br>Opportunities Fund | WisdomTree Japan <br>Opportunities Fund | WisdomTree Japan SmallCap <br>Dividend Fund | WisdomTree Japan SmallCap <br>Dividend Fund |
| | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $3245755 | $2081424 | $8616900 | $6604546 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, futures contracts, foreign currency contracts and foreign currency related transactions | 18858903 | 5196189 | 22937615 | 3214795 |
| &nbsp;&nbsp;&nbsp; Net increase (decrease) in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 21356830 | (3092163) | 42322893 | (3823141) |
|  Net increase in net assets resulting from operations | 43461488 | 4185450 | 73877408 | 5996200 |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (2168006) | (2407390) | (8701064) | (4002170) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 176625122 | 23973071 | 104673521 | 31370432 |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (46278040) | (16780771) | (34793576) | (30767046) |
|  Net increase in net assets resulting from capital share transactions | 130347082 | 7192300 | 69879945 | 603386 |
|  Net Increase in Net Assets | 171640564 | 8970360 | 135056289 | 2597416 |
|  NET ASSETS: |  |  |  |  |
|  Beginning of year | $76511405 | $67541045 | $252616989 | $250019573 |
|  End of year | $248151969 | $76511405 | $387673278 | $252616989 |
|  SHARES CREATED AND REDEEMED: |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 2200000 | 2000000 | 3200000 | 3200000 |
| &nbsp;&nbsp;&nbsp; Shares created | 3600000 | 700000 | 1050000 | 400000 |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (1100000) | (500000) | (350000) | (400000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 4700000 | 2200000 | 3900000 | 3200000 |

---

*See Notes to Financial Statements.*

128&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Statements of Changes in Net Assets (concluded)**<br> WisdomTree Trust<br>

---

| | | |
|:---|:---|:---|
| | WisdomTree True Developed <br>International Fund | WisdomTree True Developed <br>International Fund |
| | For the<br>Year Ended<br>March 31, 2026 | For the<br>Year Ended<br>March 31, 2025 |
|  INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS: |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | $19009468 | $18431765 |
| &nbsp;&nbsp;&nbsp; Net realized gain on investments, foreign currency contracts and foreign currency related transactions | 45967025 | 14267184 |
| &nbsp;&nbsp;&nbsp; Net increase in net unrealized appreciation/depreciation on investments, foreign currency contracts and translation of assets and liabilities denominated in foreign currencies | 77944456 | 14147752 |
|  Net increase in net assets resulting from operations | 142920949 | 46846701 |
|  DISTRIBUTIONS TO SHAREHOLDERS: |  |  |
| &nbsp;&nbsp;&nbsp; Distributable earnings | (19375505) | (17724987) |
|  CAPITAL SHARE TRANSACTIONS: |  |  |
| &nbsp;&nbsp;&nbsp; Net proceeds from sale of shares | 160857370 |  |
| &nbsp;&nbsp;&nbsp; Cost of shares redeemed | (84951782) | (12983357) |
|  Net increase (decrease) in net assets resulting from capital share transactions | 75905588 | (12983357) |
|  Net Increase in Net Assets | 199451032 | 16138357 |
|  NET ASSETS: |  |  |
|  Beginning of year | $533557285 | $517418928 |
|  End of year | $733008317 | $533557285 |
|  SHARES CREATED AND REDEEMED: |  |  |
| &nbsp;&nbsp;&nbsp; Shares outstanding, beginning of year | 9750000 | 10000000 |
| &nbsp;&nbsp;&nbsp; Shares created | 2600000 |  |
| &nbsp;&nbsp;&nbsp; Shares redeemed | (1350000) | (250000) |
| &nbsp;&nbsp;&nbsp; Shares outstanding, end of year | 11000000 | 9750000 |

---

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;129

**Financial Highlights** <br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | |
|:---|:---|
| WisdomTree Europe Defense Fund | For the Period <br>July 17, 2025<sup>\*</sup> <br>through <br>March 31, 2026 |
|  Net asset value, beginning of period | $29.57 |
|  Investment Operations: |  |
| &nbsp;&nbsp;&nbsp; Net investment loss<sup>1</sup> | (0.01) |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain<sup>7</sup> | 0.69 |
|  Total from investment operations | 0.68 |
|  Dividends to shareholders: |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (0.02) |
|  Net asset value, end of period | $30.23 |
|  TOTAL RETURN2 | 2.31% |
|  RATIOS/SUPPLEMENTAL DATA: |  |
|  Net assets, end of period (000's omitted) | $83142 |
|  Ratio to average net assets of: |  |
| &nbsp;&nbsp;&nbsp; Expenses | 0.45%<sup>3,4</sup> |
| &nbsp;&nbsp;&nbsp; Net investment loss | (0.02)%<sup>3</sup> |
|  Portfolio turnover rate<sup>5</sup> | 39% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree Europe Hedged Equity Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024<sup>6</sup> | For the <br>Year Ended <br>March 31, 2023<sup>6</sup> | For the <br>Year Ended <br>March 31, 2022<sup>6</sup> |
|  Net asset value, beginning of year | $47.13 | $48.16 | $41.01 | $37.02 | $36.36 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 1.00 | 1.37 | 1.40 | 1.06 | 0.69 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 4.39 | (0.97)<sup>7</sup> | 7.17 | 3.88 | 0.81 |
|  Total from investment operations | 5.39 | 0.40 | 8.57 | 4.94 | 1.50 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (0.87) | (1.43) | (1.42) | (0.95) | (0.84) |
|  Net asset value, end of year | $51.65 | $47.13 | $48.16 | $41.01 | $37.02  |
|  TOTAL RETURN8 | 11.59% | 0.98% | 21.64% | 13.94% | 4.04% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $1696628 | $1670778 | $1899995 | $1402596 | $1865747 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>4,9</sup> | 0.60%<sup>11</sup> | 0.60% | 0.64% | 0.79% | 0.59% |
| &nbsp;&nbsp;&nbsp; Net investment income | 1.98% | 3.01% | 3.35% | 2.95% | 1.79% |
|  Portfolio turnover rate<sup>10</sup> | 33% | 35% | 30% | 38% | 34% |

---

<sup>\*</sup> Commencement of operations. The commencement of operations date is considered to be the date that the Fund began trading in the secondary market.

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized.

<sup>3&nbsp;&nbsp;&nbsp;&nbsp;</sup>Annualized.

<sup>4</sup> Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>5</sup> Portfolio turnover rate is not annualized for fiscal periods less than one year and excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

<sup>6</sup> Per share amounts were adjusted to reflect a 2:1 share split effective August 10, 2023.

<sup>7</sup> The amount of net realized and unrealized gain (loss) per share does not correspond with the amounts reported within the Statements of Changes in Net Assets due to the timing of capital share transactions of Fund shares and fluctuating market values during the fiscal year.

<sup>8</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period.

<sup>9</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.58%.

<sup>10</sup> Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

<sup>11</sup> The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

*See Notes to Financial Statements.*

130&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Financial Highlights (continued)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree European Opportunities Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $41.94 | $38.33 | $33.77 | $34.73 | $33.96  |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 1.69 | 1.60 | 1.32 | 1.73 | 0.75 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 10.85 | 3.52 | 4.48 | (1.06) | 0.91 |
|  Total from investment operations | 12.54 | 5.12 | 5.80 | 0.67 | 1.66 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (1.57) | (1.51) | (1.24) | (1.63) | (0.89) |
|  Net asset value, end of year | $52.91 | $41.94 | $38.33 | $33.77 | $34.73 |
|  TOTAL RETURN2 | 30.47% | 13.80% | 17.76% | 2.53% | 4.86% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $269847 | $79689 | $44079 | $48967 | $60772 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3,4</sup> | 0.59%<sup>6</sup> | 0.81% | 0.59% | 0.59% | 0.63% |
| &nbsp;&nbsp;&nbsp; Net investment income | 3.41% | 4.10% | 3.85% | 5.34% | 2.08% |
|  Portfolio turnover rate<sup>5</sup> | 130%<sup>7</sup> | 37% | 32% | 44% | 57% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree Europe Quality Dividend <br>Growth Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $32.31 | $32.49 | $30.10 | $31.45 | $31.24 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 0.70 | 0.71 | 0.64 | 0.72 | 1.08 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 3.71 | (0.17) | 2.39 | (1.35) | 0.21 |
|  Total from investment operations | 4.41 | 0.54 | 3.03 | (0.63) | 1.29 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (0.86) | (0.72) | (0.64) | (0.72) | (1.08) |
|  Net asset value, end of year | $35.86 | $32.31 | $32.49 | $30.10 | $31.45 |
|  TOTAL RETURN2 | 13.73% | 1.68% | 10.22% | (1.64)% | 4.02% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $66332 | $64625 | $73096 | $69241 | $72346 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3,4</sup> | 0.59% | 0.63% | 0.59% | 0.59% | 0.59% |
| &nbsp;&nbsp;&nbsp; Net investment income | 1.97% | 2.21% | 2.10% | 2.63% | 3.26% |
|  Portfolio turnover rate<sup>5</sup> | 35% | 35% | 35% | 43% | 53% |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period.

<sup>3</sup> Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>4</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.58%.

<sup>5</sup> Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

<sup>6</sup> The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

<sup>7</sup> The increase in the portfolio turnover rate was primarily a result of the change in investment objective and strategy on June 2, 2025.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;131

**Financial Highlights (continued)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree Europe SmallCap Dividend Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $60.38 | $59.73 | $58.32 | $68.00 | $69.71 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 2.92 | 2.75 | 2.59 | 3.42 | 2.03 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 10.28 | 0.71 | 1.48 | (9.57) | (1.79) |
|  Total from investment operations | 13.20 | 3.46 | 4.07 | (6.15) | 0.24 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (2.94) | (2.81) | (2.66) | (3.53) | (1.95) |
|  Net asset value, end of year | $70.64 | $60.38 | $59.73 | $58.32 | $68.00 |
|  TOTAL RETURN2 | 22.02% | 5.95% | 7.40% | (8.50)% | 0.18% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $155411 | $144904 | $188151 | $250797 | $295806 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3,4,5</sup> | 0.61% | 0.67% | 0.61% | 0.65% | 0.73% |
| &nbsp;&nbsp;&nbsp; Net investment income | 4.19% | 4.54% | 4.57% | 6.00% | 2.77% |
|  Portfolio turnover rate<sup>6</sup> | 55% | 54% | 41% | 46% | 68% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International AI Enhanced <br>Value Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022<sup>7</sup> |
|  Net asset value, beginning of year | $43.80 | $41.13 | $38.89 | $40.53 | $42.46 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 1.78 | 1.74 | 1.54 | 1.56 | 2.14 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 10.14 | 2.80 | 2.58 | (1.46) | (1.98) |
|  Total from investment operations | 11.92 | 4.54 | 4.12 | 0.10 | 0.16 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (2.39) | (1.87) | (1.88) | (1.74) | (2.09) |
|  Net asset value, end of year | $53.33 | $43.80 | $41.13 | $38.89 | $40.53 |
|  TOTAL RETURN2 | 27.77% | 11.48% | 10.93% | 0.80% | 0.30% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $58666 | $50373 | $74029 | $77785 | $121582 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>4</sup> | 0.60%<sup>3,5</sup> | 0.65%<sup>5</sup> | 0.59%<sup>5</sup> | 0.59%<sup>5</sup> | 0.58%<sup>3,4,8</sup> |
| &nbsp;&nbsp;&nbsp; Net investment income | 3.54% | 4.23% | 3.92% | 4.25% | 5.03% |
|  Portfolio turnover rate<sup>6</sup> | 99% | 130% | 138% | 148% | 99%<sup>9,10</sup> |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

<sup>3</sup> The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

<sup>4</sup> Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>5</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.58%.

<sup>6</sup> Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

<sup>7</sup> The information reflects the investment objective and strategy of the WisdomTree International Dividend ex-Financials Fund through January 17, 2022 and the investment objective and strategy of the WisdomTree International AI Enhanced Value Fund thereafter.

<sup>8</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been unchanged.

<sup>9</sup> The increase in the portfolio turnover rate was primarily a result of the change in investment objective and strategy on January 18, 2022.

<sup>10</sup> On January 7, 2022, Voya Investment Management Co., LLC replaced Mellon Investments Corporation as sub-advisor to the Fund.

*See Notes to Financial Statements.*

132&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Financial Highlights (continued)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International Equity Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $57.74 | $54.92 | $49.80 | $53.09 | $52.63 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 1.96 | 2.05 | 1.93 | 2.11 | 1.94 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 10.87 | 2.71 | 5.24 | (3.19) | 0.50 |
|  Total from investment operations | 12.83 | 4.76 | 7.17 | (1.08) | 2.44 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (2.04) | (1.94) | (2.05) | (2.21) | (1.98) |
|  Net asset value, end of year | $68.53 | $57.74 | $54.92 | $49.80 | $53.09 |
|  TOTAL RETURN2 | 22.47% | 8.89% | 14.83% | (1.55)% | 4.62% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $630520 | $519628 | $573895 | $570153 | $634428 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3</sup> | 0.49%<sup>4,5</sup> | 0.52% | 0.49% | 0.49% | 0.49%<sup>4,5</sup> |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.96% | 3.70% | 3.80% | 4.49% | 3.58% |
|  Portfolio turnover rate<sup>6</sup> | 29% | 27% | 22% | 24% | 31% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International Hedged Quality <br>Dividend Growth Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $43.19 | $45.79 | $39.17 | $43.04 | $41.17 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 0.94 | 0.76 | 0.73 | 1.29 | 1.25 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 4.25 | (2.52) | 6.66 | (0.45)<sup>7</sup> | 2.03 |
| &nbsp;&nbsp;&nbsp; Net increase from payment by sub-adviser |  |  |  |  | 0.00<br><sup>8</sup> |
|  Total from investment operations | 5.19 | (1.76) | 7.39 | 0.84 | 3.28 |
|  Dividends and distributions to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (0.93) | (0.84) | (0.77) | (1.33) | (1.41) |
| &nbsp;&nbsp;&nbsp; Capital gains |  |  |  | (3.38) |  |
|  Total dividends and distributions to shareholders | (0.93) | (0.84) | (0.77) | (4.71) | (1.41) |
|  Net asset value, end of year | $47.45 | $43.19 | $45.79 | $39.17 | $43.04 |
|  TOTAL RETURN2 | 12.15% | (3.90)% | 19.09% | 3.00% | 7.93%<sup>9</sup> |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $2142339 | $2835292 | $2381313 | $1396586 | $1177093 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>4,5</sup> | 0.59%<sup>10</sup> | 0.60%<sup>10</sup> | 0.59%<sup>10</sup> | 0.59%<sup>10</sup> | 0.58% |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.02% | 1.69% | 1.79% | 3.35% | 2.85% |
|  Portfolio turnover rate<sup>6</sup> | 63% | 52% | 57% | 86% | 61% |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup>Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

<sup>3</sup>Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.48%.

<sup>4</sup>Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>5</sup>The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

<sup>6</sup>Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

<sup>7</sup>The amount of net realized and unrealized gain (loss) per share does not correspond with the amounts reported within the Statements of Changes in Net Assets due to the timing of capital share transactions of Fund shares and fluctuating market values during the fiscal year.

<sup>8</sup>Amount represents less than $0.005.

<sup>9</sup>Includes a voluntary reimbursement from the sub-advisor for investment losses on certain equity transactions during the period. Excluding the voluntary reimbursement, total return would have been unchanged.

<sup>10</sup>Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.58%.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;133

**Financial Highlights (continued)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International High Dividend Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $42.09  | $39.66 | $37.56 | $39.93 | $39.29 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 1.97 | 2.05 | 1.99 | 2.11 | 1.90 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 11.22 | 2.37 | 2.14 | (2.37) | 0.63 |
|  Total from investment operations | 13.19 | 4.42 | 4.13 | (0.26) | 2.53 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (1.91) | (1.99) | (2.03) | (2.11) | (1.89) |
|  Net asset value, end of year | $53.37  | $42.09 | $39.66 | $37.56 | $39.93 |
|  TOTAL RETURN2 | 31.95% | 11.59% | 11.45% | 0.01% | 6.61% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $627107  | $368253 | $341052 | $413187 | $201634 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3,4</sup> | 0.59%<sup>5</sup> | 0.61%<sup>5</sup> | 0.59%<sup>5</sup> | 0.58%<sup>6</sup> | 0.59%<sup>5</sup> |
| &nbsp;&nbsp;&nbsp; Net investment income | 4.01% | 5.14% | 5.29% | 5.89% | 4.80% |
|  Portfolio turnover rate<sup>7</sup> | 28% | 46% | 39% | 36% | 40% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International MidCap <br>Dividend Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $66.05  | $62.97 | $58.26 | $64.69 | $67.16 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 2.48 | 2.25 | 2.04 | 2.31 | 2.54 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 15.51 | 3.09 | 5.15 | (6.20) | (2.53) |
|  Total from investment operations | 17.99 | 5.34 | 7.19 | (3.89) | 0.01 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (2.45) | (2.26) | (2.48) | (2.54) | (2.48) |
|  Net asset value, end of year | $81.59  | $66.05 | $62.97 | $58.26 | $64.69 |
|  TOTAL RETURN2 | 27.59% | 8.74% | 12.80% | (5.68)% | (0.13)% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $159092  | $135399 | $135388 | $128175 | $135853 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3,5</sup> | 0.59% | 0.62% | 0.59% | 0.59% | 0.59% |
| &nbsp;&nbsp;&nbsp; Net investment income | 3.20% | 3.54% | 3.48% | 4.10% | 3.75% |
|  Portfolio turnover rate<sup>7</sup> | 33% | 34% | 36% | 39% | 44% |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

<sup>3</sup> Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>4</sup> The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

<sup>5</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.58%.

<sup>6</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been unchanged.

<sup>7</sup> Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

*See Notes to Financial Statements.*

134&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Financial Highlights (continued)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International Multifactor Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $28.95  | $26.53 | $25.00 | $25.30 | $25.43 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 0.94 | 0.90 | 0.86 | 0.95 | 0.79 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 4.28 | 2.41 | 1.59 | (0.33) | 0.00<br><sup>2</sup> |
|  Total from investment operations | 5.22 | 3.31 | 2.45 | 0.62 | 0.79 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (0.97) | (0.89) | (0.92) | (0.92) | (0.92) |
|  Net asset value, end of year | $33.20  | $28.95 | $26.53 | $25.00 | $25.30 |
|  TOTAL RETURN3 | 18.21% | 12.75% | 10.07% | 2.76% | 3.03% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $36524  | $31847 | $42441 | $39996 | $32886 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>4</sup> | 0.40%<sup>5</sup> | 0.42%<sup>5</sup> | 0.38%<sup>6</sup> | 0.39%<sup>5</sup> | 0.39%<sup>5</sup> |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.94% | 3.28% | 3.41% | 3.98% | 3.01% |
|  Portfolio turnover rate<sup>7</sup> | 117% | 99% | 121% | 118% | 105% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International Quality Dividend <br>Growth Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $35.47  | $37.99 | $33.72 | $36.82 | $36.95 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 0.84 | 0.69 | 0.67 | 1.06 | 1.22 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 4.08 | (2.46) | 4.27 | (3.03) | (0.27) |
|  Total from investment operations | 4.92 | (1.77) | 4.94 | (1.97) | 0.95 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (0.92) | (0.75) | (0.67) | (1.13) | (1.08) |
|  Net asset value, end of year | $39.47  | $35.47 | $37.99 | $33.72 | $36.82 |
|  TOTAL RETURN3 | 13.88% | (4.70)% | 14.81% | (4.85)% | 2.46% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $672910  | $746545 | $978181 | $665916 | $373740 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>4</sup> | 0.44%<sup>8,9</sup> | 0.44%<sup>8</sup> | 0.43%<sup>8</sup> | 0.43%<sup>8</sup> | 0.42% |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.12% | 1.87% | 1.94% | 3.38% | 3.16% |
|  Portfolio turnover rate<sup>7</sup> | 58% | 48% | 49% | 48% | 63% |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup> Amount represents less than $0.005.

<sup>3</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

<sup>4</sup> Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>5</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.38%.

<sup>6</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been unchanged.

<sup>7</sup> Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

<sup>8</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.42%.

<sup>9</sup> The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;135

**Financial Highlights (continued)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree International SmallCap <br>Dividend Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $65.87 | $65.43 | $60.75 | $69.29 | $72.16 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 2.87 | 2.71 | 2.48 | 2.91 | 2.27 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 14.63 | 0.43 | 4.77 | (8.19) | (2.72) |
|  Total from investment operations | 17.50 | 3.14 | 7.25 | (5.28) | (0.45) |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (3.02) | (2.70) | (2.57) | (3.26) | (2.42) |
|  Net asset value, end of year | $80.35 | $65.87 | $65.43 | $60.75 | $69.29 |
|  TOTAL RETURN2 | 26.86% | 4.94% | 12.36% | (7.23)% | (0.79)% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $976223 | $895808 | $1099262 | $1193793 | $1330363 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses, net of expense waivers<sup>3,4,5</sup> | 0.59% | 0.61% | 0.59% | 0.60% | 0.61% |
| &nbsp;&nbsp;&nbsp; Net investment income | 3.69% | 4.14% | 4.08% | 4.87% | 3.08% |
|  Portfolio turnover rate<sup>6</sup> | 45% | 41% | 36% | 51% | 55% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree Japan Hedged Equity Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $109.05 | $108.72 | $70.52 | $64.64 | $61.01 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 2.97 | 2.22 | 2.36 | 1.91 | 1.52 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain | 43.92 | 1.65 | 38.55 | 6.54 | 3.76 |
|  Total from investment operations | 46.89 | 3.87 | 40.91 | 8.45 | 5.28 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (1.86) | (3.54) | (2.71) | (2.57) | (1.65) |
|  Net asset value, end of year | $154.08 | $109.05 | $108.72 | $70.52 | $64.64 |
|  TOTAL RETURN2 | 43.52% | 3.55% | 58.99% | 13.48% | 8.79% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $5847340 | $3402346 | $4691250 | $1530182 | $1919844 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>4</sup> | 0.48%<sup>3</sup> | 0.48% | 0.48% | 0.48% | 0.48% |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.23% | 2.04% | 2.67% | 2.93% | 2.45% |
|  Portfolio turnover rate<sup>6</sup> | 28% | 36% | 32% | 37% | 22% |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

<sup>3</sup> The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

<sup>4</sup> Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>5</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.58%.

<sup>6</sup> Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

*See Notes to Financial Statements.*

136&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Financial Highlights (continued)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree Japan Opportunities Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $34.78 | $33.77 | $24.12 | $21.33 | $22.38 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 1.25 | 0.95 | 0.79 | 0.56 | 0.49 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 17.65 | 1.20 | 9.67 | 3.06 | (0.90) |
|  Total from investment operations | 18.90 | 2.15 | 10.46 | 3.62 | (0.41) |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (0.88) | (1.14) | (0.81) | (0.83) | (0.64) |
|  Net asset value, end of year | $52.80 | $34.78 | $33.77 | $24.12 | $21.33 |
|  TOTAL RETURN2 | 55.23% | 6.42% | 43.87% | 17.36% | (1.80)% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $248152 | $76511 | $67541 | $24125 | $25603 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3</sup> | 0.58% | 0.58% | 0.58% | 0.58% | 0.58% |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.84% | 2.80% | 2.75% | 2.52% | 2.26% |
|  Portfolio turnover rate<sup>4</sup> | 146%<sup>8</sup> | 45% | 46% | 46% | 41% |

---

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree Japan SmallCap Dividend Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $78.94 | $78.13 | $66.36 | $66.61 | $76.06 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 2.48 | 2.09 | 1.66 | 1.58 | 1.71 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 20.54 | (0.03) | 11.76 | 0.61<br><sup>5</sup> | (9.68) |
|  Total from investment operations | 23.02 | 2.06 | 13.42 | 2.19 | (7.97) |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (2.56) | (1.25) | (1.65) | (2.44) | (1.48) |
|  Net asset value, end of year | $99.40 | $78.94 | $78.13 | $66.36 | $66.61 |
|  TOTAL RETURN6 | 29.52% | 2.74% | 20.44% | 3.62% | (10.62)% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $387673 | $252617 | $250020 | $182497 | $213148 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3,7</sup> | 0.58% | 0.58% | 0.58% | 0.58% | 0.58% |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.68% | 2.74% | 2.35% | 2.56% | 2.34% |
|  Portfolio turnover rate<sup>4</sup> | 31% | 29% | 28% | 26% | 36% |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup>Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period.

<sup>3</sup>Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>4</sup>Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

<sup>5</sup>The amount of net realized and unrealized gain per share does not correspond with the amounts reported within the Statements of Changes in Net Assets due to the timing of capital share transactions of Fund shares and fluctuating market values during the fiscal year.

<sup>6</sup>Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

<sup>7</sup>The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

<sup>8</sup> The increase in the portfolio turnover rate was primarily a result of the change in investment objective and strategy on July 1, 2025.

*See Notes to Financial Statements.*

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;137

**Financial Highlights (concluded)**<br> WisdomTree Trust<br>*Selected data for a share of beneficial interest outstanding throughout the period is presented below:*<br>

---

| | | | | | |
|:---|:---|:---|:---|:---|:---|
| WisdomTree True Developed <br>International Fund | For the <br>Year Ended <br>March 31, 2026 | For the <br>Year Ended <br>March 31, 2025 | For the <br>Year Ended <br>March 31, 2024 | For the <br>Year Ended <br>March 31, 2023 | For the <br>Year Ended <br>March 31, 2022 |
|  Net asset value, beginning of year | $54.72  | $51.74 | $46.62 | $48.95 | $47.34 |
|  Investment Operations: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income<sup>1</sup> | 1.79 | 1.86 | 1.83 | 1.94 | 1.79 |
| &nbsp;&nbsp;&nbsp; Net realized and unrealized gain (loss) | 11.97 | 2.91 | 5.14 | (2.23) | 1.63 |
|  Total from investment operations | 13.76 | 4.77 | 6.97 | (0.29) | 3.42 |
|  Dividends to shareholders: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Net investment income | (1.84) | (1.79) | (1.85) | (2.04) | (1.81) |
|  Net asset value, end of year | $66.64  | $54.72 | $51.74 | $46.62 | $48.95 |
|  TOTAL RETURN2 | 25.48% | 9.47% | 15.35% | (0.05)% | 7.27% |
|  RATIOS/SUPPLEMENTAL DATA: |  |  |  |  |  |
|  Net assets, end of year (000's omitted) | $733008  | $533557 | $517419 | $491834 | $381807 |
|  Ratio to average net assets of: |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Expenses<sup>3,4,5</sup> | 0.49% | 0.51% | 0.49% | 0.49% | 0.49% |
| &nbsp;&nbsp;&nbsp; Net investment income | 2.86% | 3.58% | 3.83% | 4.43% | 3.63% |
|  Portfolio turnover rate<sup>6</sup> | 22% | 23% | 24% | 23% | 30% |

---

<sup>1</sup> Based on average shares outstanding.

<sup>2</sup> Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. For the periods in which the investment advisor waived advisory fees, the total return would have been lower if certain expenses had not been waived (Notes 2 and 3).

<sup>3</sup> The expense ratio includes investment advisory fee waivers. Without these investment advisory fee waivers, the expense ratio would have been unchanged.

<sup>4</sup> Does not include expenses of the underlying investment companies in which the Fund invests.

<sup>5</sup> Included in the expense ratio are "Other fees" described in Note 6. Without these expenses, the expense ratio would have been 0.48%.

<sup>6</sup> Portfolio turnover rate excludes the value of the portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. Short-term securities with maturities less than or equal to 365 days are excluded from the portfolio turnover calculation.

*See Notes to Financial Statements.*

138&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements** <br>

1. ORGANIZATION

WisdomTree Trust (the "Trust") is registered under the Investment Company Act of 1940, as amended (the "1940 Act"), as an open-end management investment company. The Trust was established as a Delaware statutory trust on December 15, 2005 and is authorized to have multiple series of portfolios (each a "Fund", collectively, the "Funds"). These notes relate only to the Funds listed below. In accordance with Accounting Standards Codification Topic 946, *Financial Services*-Investment *Companies*, each Fund listed below qualifies as an investment company and is applying the accounting and reporting guidance for investment companies.

---

| | |
|:---|:---|
| Fund | Commencement <br>of Operations |
|  WisdomTree Europe Defense Fund ("Europe Defense Fund") | July 15, 2025 |
|  WisdomTree Europe Hedged Equity Fund ("Europe Hedged Equity Fund" and also referred to herein as "Currency Hedged Equity Fund") | December 31, 2009 |
|  WisdomTree European Opportunities Fund ("European Opportunities Fund" and also referred to herein as "Currency Hedged Equity Fund") *(formerly, WisdomTree Europe Hedged SmallCap Equity Fund)* | March 4, 2015 |
|  WisdomTree Europe Quality Dividend Growth Fund ("Europe Quality Dividend Growth Fund") | May 7, 2014 |
|  WisdomTree Europe SmallCap Dividend Fund ("Europe SmallCap Dividend Fund") | June 16, 2006 |
|  WisdomTree International AI Enhanced Value Fund ("International AI Enhanced Value Fund") | June 16, 2006 |
|  WisdomTree International Equity Fund ("International Equity Fund") | June 16, 2006 |
|  WisdomTree International Hedged Quality Dividend Growth Fund ("International Hedged Quality Dividend Growth Fund" and also referred to herein as "Currency Hedged Equity Fund") | May 7, 2014 |
|  WisdomTree International High Dividend Fund ("International High Dividend Fund") | June 16, 2006 |
|  WisdomTree International MidCap Dividend Fund ("International MidCap Dividend Fund") | June 16, 2006 |
|  WisdomTree International Multifactor Fund ("International Multifactor Fund" and also referred to herein as "Currency Hedged Equity Fund") | August 10, 2018 |
|  WisdomTree International Quality Dividend Growth Fund ("International Quality Dividend Growth Fund") | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; April 7, 2016 |
|  WisdomTree International SmallCap Dividend Fund ("International SmallCap Dividend Fund") | June 16, 2006 |
|  WisdomTree Japan Hedged Equity Fund ("Japan Hedged Equity Fund" and also referred to herein as "Currency Hedged Equity Fund") | June 16, 2006 |
|  WisdomTree Japan Opportunities Fund ("Japan Opportunities Fund" and also referred to herein as "Currency Hedged Equity Fund") *(formerly, WisdomTree Japan Hedged SmallCap Equity Fund)* | June 28, 2013 |
|  WisdomTree Japan SmallCap Dividend Fund ("Japan SmallCap Dividend Fund") | June 16, 2006 |
|  WisdomTree True Developed International Fund ("True Developed International Fund") *(formerly, WisdomTree International LargeCap Dividend Fund)* | June 16, 2006 |

---

Each Fund, except for the International AI Enhanced Value Fund and International Multifactor Fund, seeks to track the price and yield performance, before fees and expenses, of a particular index ("Index") developed by WisdomTree, Inc. ("WisdomTree") or an Index developed by a third party. The International AI Enhanced Value Fund is actively managed using a model-based approach seeking income and capital appreciation. The International Multifactor Fund is actively managed using a model-based approach seeking capital appreciation. WisdomTree is the parent company of WisdomTree Asset Management, Inc. ("WTAM"), the investment adviser to each Fund and the Trust. "WisdomTree" is a registered trademark of WisdomTree and has been licensed for use by the Trust. Each Fund described herein is considered to be non-diversified as defined under the 1940 Act.

In the normal course of business, the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds' maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and believe such exposure to be remote.

2. SIGNIFICANT ACCOUNTING POLICIES

The Financial Accounting Standards Board ("FASB") Accounting Standards Codification (the "Codification") is the exclusive reference of authoritative U.S. generally accepted accounting principles ("GAAP") recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission ("SEC") under authority of federal laws are also sources of authoritative GAAP for SEC registrants.

The following is a summary of significant accounting policies followed by the Funds:

**Use of Estimates** — The preparation of financial statements in conformity with GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates.

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;139

**Notes to Financial Statements (continued)**<br>

**Investment Valuation** — The net asset value ("NAV") of each Fund's shares is calculated each day a Fund is open for business as of the regularly scheduled close of regular trading on the New York Stock Exchange, normally 4:00 p.m. Eastern time (the "NAV Calculation Time"). NAV per share is calculated by dividing a Fund's net assets by the number of Fund shares outstanding. Each Fund issues and redeems shares at NAV only in large blocks of shares known as creation units, which only certain institutions (*e.g.,* broker-dealers) may purchase or redeem. Shares of each Fund are listed on a national securities exchange and trade at market prices. Most investors will buy and sell shares in the secondary market through brokers. Because Fund shares trade at market prices rather than NAV, shares may trade at a price greater than NAV or less than NAV. In calculating each Fund's NAV, investments are valued under policies approved by the Board of Trustees of the Trust (the "Board" or "Board of Trustees"). Equity securities (including preferred stock) traded on any recognized U.S. or non-U.S. exchange are valued at the last sale price or official closing price on the exchange on which they are principally traded. Unlisted equity securities (including preferred stock) are valued at the last sale price or, if no sale price is available, at the mean between the highest bid and lowest ask price. Each Fund may invest in money market funds which are valued at their NAV per share and exchange-traded funds ("ETFs" or "ETF") or exchange-traded notes ("ETNs" or "ETN") which are valued at their last sale or official closing price on the exchange on which they are principally traded or at their NAV per share in instances where the ETF or ETN has not traded on its principal exchange. Foreign currency contracts that settle within two business days after the trade date ("Spot Contracts") and foreign currency contracts having a settlement period greater than two business days after the trade date ("Forward Contracts") are valued on the measurement date using an interpolated foreign exchange rate between the closest preceding and subsequent settlement period, using spot and forward rates provided by an independent pricing service provider.

Pursuant to Board-approved valuation procedures established by the Trust and WTAM, the Board has appointed WTAM as the Funds' valuation designee (the "Valuation Designee") to perform all fair valuations of the Funds' portfolio investments, subject to the Board's oversight. As the Valuation Designee, WTAM has established procedures for its fair valuation of a Fund's portfolio investments. These procedures address, among other things, determining when market quotations are not readily available or reliable and the methodologies to be used for determining the fair value of investments, as well as the use and oversight of third-party pricing services for fair valuation. The Valuation Designee is comprised of senior representatives of WTAM and reports to the Board of Trustees on a quarterly basis. In the event that a financial instrument cannot be valued based upon a price from the exchange or system on which it is principally traded, independent pricing service provider or broker-dealer quotation, or such prices are deemed to not reflect current market value, the Valuation Designee may value the financial instrument in good faith under the policies and procedures approved by the Board of Trustees based on current facts and circumstances. Securities that may be valued using "fair value" pricing may include, but are not limited to, securities for which there are no current market quotations, securities whose issuer is in default or bankruptcy, securities subject to corporate actions (such as mergers or reorganizations), securities subject to non-U.S. investment limits or currency controls, and securities affected by "significant events". An example of a significant event is an event occurring after the close of the market in which a security trades but before a Fund's next NAV Calculation Time that may materially affect the value of a Fund's investment (e.g., government action, natural disaster, or significant market fluctuation). When fair value pricing is employed, the prices of securities used by a Fund to calculate its NAV may differ from quoted or published prices for the same securities.

**Fair Value Measurement** — In accordance with Codification Topic 820 ("ASC 820"), *Fair Value Measurement*, fair value is defined as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The Valuation Designee will perform other procedures (consistent with GAAP) to value an investment when a market quote is not available. ASC 820 established a three-tier hierarchy of inputs to be used when determining fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk — for example, the risk inherent in a particular valuation technique used to measure fair value (such as a pricing model) and/or the risk inherent in the inputs to the valuation technique. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability. Observable inputs are based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity's own assumptions about the assumptions market participants would use in pricing the asset or liability. Unobservable inputs are based on the best information available in the circumstances. The three-tier hierarchy of inputs is summarized in the three broad levels listed below:

Level 1 – quoted prices in active markets for identical securities

Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)

Level 3 – significant unobservable inputs (including each Fund's assumptions in determining the fair value of investments)

The inputs or methodology used for valuation are not necessarily an indication of the risk associated with investing in those investments.

140&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

Investments that use Level 2 or Level 3 inputs may include, but are not limited to: (i) an unlisted security related to corporate actions; (ii) a restricted security (e.g., one that may not be publicly sold without registration under the Securities Act of 1933, as amended); (iii) a security whose trading has been suspended (either due to events affecting the issuer of the security specifically or events affecting the primary trading exchange more broadly) or which has been de-listed from its primary trading exchange; (iv) a security that is thinly traded; (v) a security in default or bankruptcy proceedings for which there is no current market quotation or market activity; (vi) a security affected by currency controls or restrictions; and (vii) a security affected by a significant event (e.g., an event that occurs after the close of the markets in which the security is traded but before the time as of which a Fund's NAV is computed and that may materially affect the value of the Fund's investments).

The valuation techniques and significant inputs used in determining the fair market value measurements for Level 2 and Level 3 positions are as follows:

Financial instruments are generally valued by independent pricing service providers that use broker-dealer quotations, reported trades or valuation estimates from their internal pricing models. Depending on the type of financial instrument, the independent pricing service providers' internal pricing models may use inputs that are observable such as issuer details (e.g., credit rating, debt ranking, coupon rate, maturity date, etc.), interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar assets. Financial instruments that use similar valuation techniques and observable inputs as described above and have an appropriate level of market activity are categorized as Level 2 of the fair value hierarchy, otherwise a Level 3 fair value classification is appropriate. Over-the-counter financial derivative instruments derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These instruments are normally valued on the basis of broker-dealer quotations or prices obtained from independent pricing service providers. Depending on the product and the terms of the transaction, the value of the financial derivative instruments can be estimated by an independent pricing service provider using a series of techniques including simulation pricing models. The pricing models may use inputs that are observed from actively quoted markets such as issuer details, indices, credit risks/spreads, interest rates, yield curves, default and exchange rates. Derivative contracts that use similar valuation techniques and observable inputs as described above and have an appropriate level of market activity are categorized as Level 2 of the fair value hierarchy, otherwise a Level 3 fair value classification is appropriate.

Determination of a fair value by the Valuation Designee may include significant unobservable inputs and therefore such financial instruments would be reflected as a Level 3 of the fair value hierarchy. The Valuation Designee may employ a market-based valuation approach which may use, among other potential considerations, related or comparable securities, recent transactions, market multiples, and other relevant information to determine fair value. The Valuation Designee may also use an income-based valuation approach in which anticipated future cash flows of the financial instrument are discounted to calculate fair value.

The summary of fair valuations according to the inputs used in valuing each Fund's assets as of the measurement date is included in a "Fair Valuation Summary" supplementary table in each applicable Fund's Schedule of Investments.

During the fiscal year or period ended March 31, 2026, there were no significant transfers into or out of Level 3 of the fair value hierarchy.

**Derivatives and Hedging Disclosure** — Codification Topic 815 ("ASC 815"), *Derivatives and Hedging*, requires qualitative disclosures about objectives and strategies for using derivatives, quantitative disclosures about fair value amounts as well as gains and losses on derivative instruments, and disclosures about credit-risk-related contingent features in derivative agreements. The Funds have invested in derivatives, specifically foreign currency contracts and equity futures contracts during the fiscal year ended March 31, 2026 and open positions in such derivatives as of year are detailed in each Fund's Schedule of Investments. All of the derivative instruments disclosed and described herein are subject to risk. The Funds' derivative agreements may also contain credit-risk related contingent features which may include, but are not limited to, a threshold in the Funds' derivative agreements on unrealized depreciation (*i.e.*, the Funds' obligation to the counterparty) above a specified dollar amount. If an event occurred at March 31, 2026 that triggered a contingent feature, the counterparty to the agreement may require a Fund to post collateral (or additional collateral) or terminate the derivative positions and demand payment. Any collateral posted with respect to the derivative positions would be used to offset or reduce the payment due to a counterparty. The maximum exposure to derivatives agreements with credit-risk related contingent features would be the total value of derivatives in net liability positions for each Fund, as disclosed in *Note 2 — Master Netting Arrangements* under the column entitled "*Liabilities: Net Amount*". Information with respect to the amounts and types of collateral received and/or posted for derivative instruments as of year, if any, is reflected as a footnote within each Fund's Schedule of Investments. At March 31, 2026, the Funds did not receive or post collateral with any counterparty for derivatives and no event occurred that triggered a credit-risk-related contingent feature.

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;141

**Notes to Financial Statements (continued)**<br>

As of March 31, 2026, the effects of such derivative instruments on each Fund's financial position as reflected in the Statements of Assets and Liabilities are presented in the summary below:

---

| | | | | |
|:---|:---|:---|:---|:---|
| Fund | Asset Derivatives | Asset Derivatives | Liability Derivatives | Liability Derivatives |
| Fund | Balance Sheet Location | Value | Balance Sheet Location | Value |
|  Europe Defense Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | $&nbsp;&nbsp;&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 4 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | $&nbsp;&nbsp; &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; — |
|  Europe Hedged Equity Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | 48033584 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 185005 |
|  European Opportunities Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | 4573028 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 107906 |
|  International Hedged Quality Dividend Growth Fund | International Hedged Quality Dividend Growth Fund |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | 62336149 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 140038 |
|  International Multifactor Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | 269938 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 59002 |
|  International SmallCap Dividend Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | 935 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 1269 |
|  Japan Hedged Equity Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | 140319815 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 1233271 |
|  Japan Opportunities Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts | 5215177 | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 22006 |
|  Japan SmallCap Dividend Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | Unrealized appreciation on<br>foreign currency contracts |  | &nbsp;&nbsp;&nbsp; Unrealized depreciation on<br>foreign currency contracts | &nbsp;&nbsp; 4 |

---

For the fiscal year or period ended March 31, 2026, the effects of derivative instruments on each applicable Fund's financial performance as reflected in the Statements of Operations are presented in the summary below:

---

| | | |
|:---|:---|:---|
| Fund | Amount of <br>Realized Gain <br>or (Loss) on <br>Derivatives <br>Recognized<sup>1</sup> | Change in <br>Unrealized <br>Appreciation or <br>(Depreciation) <br>on Derivatives <br>Recognized<sup>2</sup> |
|  Europe Defense Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | $(142) | $4 |
|  Europe Hedged Equity Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (189305219) | 108972385 |
|  European Opportunities Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (10131420) | 7094578 |
|  Europe Quality Dividend Growth Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 5353 |  |
|  Europe SmallCap Dividend Fund |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk | 201671 |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (21709) |  |
|  International AI Enhanced Value Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 8224 |  |
|  International Equity Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (126791) | (577) |
|  International Hedged Quality Dividend Growth Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (200004504) | 141748110 |

---

142&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

---

| | | |
|:---|:---|:---|
| Fund | Amount of <br>Realized Gain <br>or (Loss) on <br>Derivatives <br>Recognized<sup>1</sup> | Change in <br>Unrealized <br>Appreciation or <br>(Depreciation) <br>on Derivatives <br>Recognized<sup>2</sup> |
|  International High Dividend Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | $(20568) | $— |
|  International MidCap Dividend Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (60209) | (58) |
|  International Multifactor Fund |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk | (12919) |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (988307) | 799717 |
|  International Quality Dividend Growth Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 97106 |  |
|  International SmallCap Dividend Fund |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk | 694001 |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (47260) | (200) |
|  Japan Hedged Equity Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 301289894 | 156229254 |
|  Japan Opportunities Fund |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk | 12333 |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 4905165 | 5531289 |
|  Japan SmallCap Dividend Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (9549) | (4) |
|  True Developed International Fund |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | (254363) | (259) |
|  <sup>1</sup>Realized gains (losses) on derivatives are located on the Statements of Operations as follows: |  |  |

---

---

| | |
|:---|:---|
| Equity risk | Net realized gain (loss) from futures contracts |
| Foreign currency risk | Net realized gain (loss) from foreign currency contracts |
|  <sup>2</sup>Change in unrealized appreciation (depreciation) is located on the Statements of Operations as follows: | <sup>2</sup>Change in unrealized appreciation (depreciation) is located on the Statements of Operations as follows: |

---

<u> Foreign currency risk </u> <u> Net increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts </u>

During the fiscal year or period ended March 31, 2026, the volume of derivative activity (based on the average of month-end notional balances, except where footnoted) for each Fund was as follows:

---

| | | | | |
|:---|:---|:---|:---|:---|
| Fund | Average Notional | Average Notional | Average Notional | Average Notional |
| Fund | Foreign<br>currency<br>contracts<br>(to deliver USD) | Foreign<br>currency<br>contracts<br>(to receive USD) | Futures<br>contracts<br>(long) | Futures<br>contracts<br>(short) |
|  Europe Defense Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk<sup>1</sup> | $89129 | $43728 | $&nbsp;&nbsp;&nbsp;&nbsp; — | $&nbsp;&nbsp;&nbsp;&nbsp; — |
|  Europe Hedged Equity Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 710078919 | &nbsp;&nbsp; 2439335926 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  European Opportunities Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 46202051 | &nbsp;&nbsp; 131053213 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Europe Quality Dividend Growth Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk |  | &nbsp;&nbsp; 11042 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Europe SmallCap Dividend Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk<sup>1</sup> |  | &nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; 120680 | &nbsp;&nbsp;&nbsp;&nbsp; — |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 2482 | &nbsp;&nbsp; 98452 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International AI Enhanced Value Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk |  | &nbsp;&nbsp; 5172 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International Equity Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | 26589 | &nbsp;&nbsp; 92787 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |

---

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;143

**Notes to Financial Statements (continued)**<br>

---

| | | | | |
|:---|:---|:---|:---|:---|
| Fund | Average Notional | Average Notional | Average Notional | Average Notional |
| Fund | Foreign<br>currency<br>contracts<br>(to deliver USD) | Foreign<br>currency<br>contracts<br>(to receive USD) | Futures<br>contracts<br>(long) | Futures<br>contracts<br>(short) |
|  International Hedged Quality Dividend Growth Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | $&nbsp;&nbsp; 1057790129 | $3437238205 | $&nbsp;&nbsp;&nbsp;&nbsp; — | $&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; — |
|  International High Dividend Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; 103857 | &nbsp;&nbsp; 27243 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International MidCap Dividend Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; — | &nbsp;&nbsp; 8086 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International Multifactor Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk<sup>1</sup> | &nbsp;&nbsp; — | &nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; 85014 | &nbsp;&nbsp;&nbsp;&nbsp; — |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; 7816907 | &nbsp;&nbsp; 20590004 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International Quality Dividend Growth Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; — | &nbsp;&nbsp; 30134 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International SmallCap Dividend Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk | &nbsp;&nbsp; — | &nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; 764880 | &nbsp;&nbsp;&nbsp;&nbsp; — |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; 6315 | &nbsp;&nbsp; 484776 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Japan Hedged Equity Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; 1782485187 | &nbsp;&nbsp; 6091214582 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Japan Opportunities Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Equity risk<sup>1</sup> | &nbsp;&nbsp; — | &nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; 100092 | &nbsp;&nbsp;&nbsp;&nbsp; — |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; 49115762 | &nbsp;&nbsp; 124487259 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Japan SmallCap Dividend Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; 83060 | &nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  True Developed International Fund |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Foreign currency risk | &nbsp;&nbsp; 11805 | &nbsp;&nbsp; 34113 | &nbsp;&nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  <sup>1</sup>The volume of derivative activity for the period is based on intra-month balances. |  |  |  |  |

---

**Investment Transactions and Investment Income** — Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. Dividend income (less foreign taxes withheld, if any) is recognized on the ex-dividend date or as soon as practicable (with respect to foreign dividends) after the existence of a dividend declaration has been determined. Non-cash dividend income is recognized on the ex-dividend date, or, with respect to foreign dividends, as soon as practicable after the existence of a dividend declaration has been determined, at the fair value of securities to be received. Upon notification from real estate investment trust ("REIT") issuers or as estimated by management, all or a portion of the dividend income received from a REIT may be redesignated as a reduction of cost of the related investment and/or as a realized gain. On each measurement date, the Funds evaluate the collectability of receivable balances. Generally, the Funds will write-off dividend receivable balances that are canceled by the issuer as of the date that the dividend receivable cancellation notification was publicly made available or when it becomes probable that dividends will not be collected and the amount of uncollectable dividends can be reasonably estimated. Income earned from securities lending activities (*i.e.,* securities lending income), net of fees payable to the securities borrower and/or securities lending agent, is accrued daily.

**Foreign Taxes** — The Funds may be subject to foreign taxes (a portion of which may be reclaimable or refundable) on foreign income or capital gains on investment transactions. All foreign taxes are recorded in accordance with the applicable foreign tax regulations and tax rates that exist in the foreign jurisdictions in which the Funds invest. These foreign taxes, if any, are accrued and applied to foreign income as the foreign income is earned and are reflected on the Statements of Operations as follows: foreign taxes withheld on dividends are presented as a reduction to investment income in "*Less: Foreign withholding taxes on dividends*", foreign taxes on capital gains from investment transactions, if any, are included in "*Net realized gain (loss) from investment transactions*", and deferred foreign taxes on net unrealized appreciation on investments, if any, are included in "*Net increase (decrease) in unrealized appreciation/depreciation on investment transactions*". Foreign taxes payable or deferred as of March 31, 2026, if any, are disclosed in the Statements of Assets and Liabilities in "*Payables: Foreign capital gains tax*".

In certain foreign jurisdictions, when the Funds incur subsequent capital losses on investment transactions that occurred during the tax year in the applicable foreign jurisdiction, the Funds may be entitled to a refund on any foreign taxes paid on previous capital gain investment transactions that occurred during the tax year of the applicable foreign jurisdiction. Foreign capital gain

144&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

tax refunds on investment transactions are included in "*Net realized gain (loss) from investment transactions*" on the Statements of Operations and foreign capital gain tax refunds that remain unpaid as of March 31, 2026, if any, are disclosed in the Statements of Assets and Liabilities in "*Receivables: Foreign capital gains tax refund*".

The Funds file foreign tax reclaims in certain foreign jurisdictions to recover a portion of amounts previously withheld on dividend income if the tax reclaim is "more likely than not" to be sustained assuming examination by tax authorities. This determination is based on, among other things, a jurisdiction's legal obligation to pay reclaims as well as payment history and market convention. Foreign tax reclaims recorded relating to current fiscal year investment income are included in the Statements of Operations as a reduction to the balance shown for "*Foreign withholding taxes on dividends*" and foreign tax reclaims recorded, but not yet received as of March 31, 2026, if any, are shown on the Statements of Assets and Liabilities in "*Receivables: Foreign tax reclaims*".

**Foreign Currency Translation** — The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies, as well as investment securities and other assets and liabilities denominated in foreign currencies, are translated into U.S. dollars using exchange rates prevailing on the respective dates of such transactions that are deemed appropriate by WTAM. Realized and unrealized foreign exchange gains and losses on investments are included as a component of "net realized gain (loss) from investment transactions" and "net increase (decrease) in unrealized appreciation/depreciation from investment transactions", respectively, on the Statements of Operations. Realized and unrealized foreign exchange gains or losses from foreign currency contracts are included in "net realized gain (loss) from foreign currency contracts" and "net increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts", respectively, on the Statements of Operations. Realized and unrealized foreign exchange gains or losses arising from sales of foreign currencies, currency gains or losses recognized between the trade and settlement dates on investment transactions, and the difference between the amounts of dividends and foreign withholding taxes recorded on the Funds' books and the U.S. dollar equivalent of the amounts actually received or paid are included in "net realized gain (loss) from foreign currency related transactions" and/or "net increase (decrease) in unrealized appreciation/depreciation from translation of assets and liabilities denominated in foreign currencies" in the Statements of Operations. Certain foreign exchange gains and losses included in realized and unrealized gains or losses are included in, or are a reduction of, ordinary income in accordance with U.S. Federal income tax regulations.

**Expenses** — Under the investment advisory agreement for each Fund, except for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of trustees who are not interested persons of the Funds ("Independent Trustees"); (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust's Chief Compliance Officer ("CCO"); (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM.

Under the investment advisory agreement for Funds that commenced operations on or after March 26, 2013, WTAM has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other fees, charges, taxes, levies or expenses (such as stamp taxes) incurred in connection with the execution of portfolio transactions or in connection with creation and redemption transactions (including without limitation any fees, charges, taxes, levies or expenses related to the purchase or sale of an amount of any currency, or the patriation or repatriation of any security or other asset, related to the execution of portfolio transactions or any creation or redemption transactions); (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust's CCO; (vi) extraordinary expenses (in each case as determined by a majority of the Independent Trustees); (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; (viii) interest and taxes of any kind or nature (including, but not limited to, income, excise, transfer and withholding taxes); (ix) fees and expenses related to the provision of securities lending services; and (x) the advisory fee payable to WTAM.

Acquired fund fees and expenses ("AFFEs") (which are fees and expenses incurred indirectly by a Fund through its investments in certain underlying investment companies) are not operating expenses of the Funds and are not paid by WTAM.

Pursuant to a separate contractual arrangement, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees. WTAM receives a fee, as shown on the Statements of Operations under "Service fees", of up to 0.0044% per annum of each Fund's average daily net assets for providing such services and paying such expenses. WTAM provides CCO services to the Trust.

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;145

**Notes to Financial Statements (continued)**<br>

**Foreign Currency Contracts** — The Funds may enter into foreign currency contracts to facilitate local securities settlements or to protect against currency exposure. The Funds, other than the Currency Hedged Equity Funds, do not expect to engage in currency transactions for the purpose of hedging against currency exposures of the Fund's assets that are denominated in one or more foreign currencies. The Funds may not enter into such contracts for speculative purposes. During the fiscal year ended March 31, 2026, the Funds, except for the Currency Hedged Equity Funds, utilized foreign currency contracts primarily to facilitate foreign security settlements. The Currency Hedged Equity Funds utilized foreign currency contracts primarily to offset applicable international currency exposure from certain positions in international equities. A foreign currency contract involves an obligation to purchase or sell a specific currency at a future date, which may be any fixed number of days from the date of the contract agreed upon by the parties, at a price set at the time of the contract. These contracts are principally traded in the inter-bank market conducted directly between currency traders (usually large, commercial banks) and their customers. A foreign currency contract generally does not require an initial margin deposit and no commissions are charged at any stage for trades.

Risks may arise upon entering into foreign currency contracts from the potential inability of counterparties to meet the terms of their contracts and from unanticipated movements in the value of foreign currencies relative to the U.S. dollar or each other.

Fluctuations in the value of open foreign currency contracts are recorded for book purposes as unrealized gains or losses on foreign currency contracts by the Funds and are included in "net increase (decrease) in unrealized appreciation/depreciation from foreign currency contracts" on the Statements of Operations. Realized gains and losses on foreign currency contracts include net gains or losses recognized by the Funds on contracts which have settled and are included in "net realized gain (loss) from foreign currency contracts" on the Statements of Operations.

**Futures Contracts** — The Europe SmallCap Dividend Fund, International Multifactor Fund, International SmallCap Dividend Fund and Japan Opportunities Fund each utilized equity futures contracts on a temporary basis during the fiscal year to obtain market exposure consistent with their investment objective during the Funds' periodic portfolio rebalance. When a Fund purchases a listed futures contract, it agrees to purchase a specified reference asset (*e.g.,* commodity, currency, equity or U.S. Treasury security, collectively herein, "Reference Asset") at a specified future date. When a Fund sells a listed futures contract, it agrees to sell a specified Reference Asset at a future date. The price at which the purchase and sale will take place is fixed when the Fund enters into the contract. A Fund may also cash settle upon the expiration date of a futures contract in which no physical delivery (or receipt) of the specified Reference Asset comprising the futures contract is made. Instead, settlement in cash would occur upon the expiration of the contract, with the cash settlement being the difference between the contract price and the actual price of the specified Reference Asset at the expiration date. The exchange clearing corporation is the ultimate counterparty for all exchange-listed contracts, so credit risk is limited to the creditworthiness of the exchange clearing corporation.

Upon entering into a futures contract, a Fund is required to deliver to a broker an amount of cash and/or U.S. government securities equal to a certain percentage of the contract amount. This amount is known as the "initial margin". Cash deposited as initial margin, if any, is shown as "*Deposits at broker for futures contracts*" in the Statements of Assets and Liabilities, and U.S. government securities deposited, if any, are designated in the Schedule of Investments. Subsequent payments, known as "variation margin", generally are made or received by the Fund each day or at other agreed-upon time periods depending on the fluctuations in the value of the underlying futures contracts, except that in the case of certain futures contracts, variation margin payments may be made or received when the futures contract expires. Variation margin is recorded for financial statement purposes on a daily basis as an unrealized gain or loss on futures until the financial futures contract is closed, at which time the unrealized net gain or loss is reclassified to realized gain or loss on futures. The current one-day variation margin on open futures contracts, and the current accumulated variation margin on certain futures contracts that are received or paid when the futures contract expires, is shown on the Statements of Assets and Liabilities as either a receivable or a payable for "*Net variation margin on futures contracts*". Deposits at broker utilized for futures contract margin requirements generally are restricted from withdrawal. The Funds have adopted a derivatives risk management program pursuant to Rule 18f-4 under the 1940 Act to assess and manage the Funds' derivatives risk. Rule 18f-4 limits the amount of derivatives a fund can enter into and replaces the asset segregation framework previously used by the Funds to comply with Section 18 of the 1940 Act.

As of March 31, 2026, there were no open futures contracts in the Funds.

**Securities Lending** — Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds' securities lending agent. It is the Funds' policy that, at origination, all loans are secured by collateral of at least 102% of the value of U.S. securities loaned and 105% of the value of foreign securities loaned. Collateral in the form of cash and/or securities issued or guaranteed by the U.S. government or its agencies, equivalent to at least 100% of the market value of securities, is maintained at all times. The cash collateral can be invested in certain money market mutual funds which also have exposure to the fluctuations of the market. The values of the investments of cash collateral for securities on loan along with the obligations to return such

146&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

collateral are included on the Statements of Assets and Liabilities. The total value of securities received as collateral for securities on loan is included in a footnote following each Schedule of Investments, but is not included within the Statements of Assets and Liabilities because the receiving Fund does not have the right to sell or repledge the securities received as collateral. As compensation for lending its securities, each Fund retains all or a portion of the interest received on investment of cash collateral or receives a fee from the borrower (net of any fee rebates paid to the borrower). The lending agent receives a portion of the income earned by the Funds in connection with the lending program. The net securities lending income earned by the Funds is disclosed on the Statements of Operations. The gross securities lending income earned by the Funds from the investment of securities lending cash collateral in a money market fund affiliated with WisdomTree Trust is included in "*Securities lending income, net*" and disclosed in a footnote below the Statement of Operations. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any dividends or interest received on loaned securities. Dividends received while a security is out on loan are not considered Qualified Dividend Income ("QDI") under the specific criteria issued by the Internal Revenue Service and are subject to taxation at the shareholder's ordinary income tax rate instead of the lower long-term capital gains tax rate. Lending portfolio securities could result in a loss or delay in recovering each Fund's securities if the borrower defaults. In the event of a borrower default with respect to the failure to return to each Fund some or all of the securities loaned, the securities lending agent shall indemnify each Fund against the failure of the borrower if the value of the collateral received is insufficient to cover the market value of the securities loaned.

**Master Netting Arrangements** — Codification Topic 210 ("ASC 210"), *Balance Sheet*, requires disclosures generally intended to (i) help investors and other financial statement users to better assess the effect or potential effect of offsetting arrangements on a company's financial position, (ii) improve transparency in the reporting of how companies mitigate credit risk, and (iii) facilitate comparisons between those entities that prepare their financial statements on the basis of GAAP and those entities that prepare their financial statements on the basis of international financial reporting standards. ASC 210 requires entities to disclose (i) gross and net information about both instruments and transactions eligible for offset in the financial statements, and (ii) instruments and transactions subject to an agreement similar to a master netting agreement. ASC 210 is limited in scope to the following financial instruments, to the extent they are offset in the financial statements or subject to an enforceable master netting arrangement or similar agreement: (i) recognized derivative instruments accounted for under ASC 815 (Derivatives and Hedging); (ii) repurchase agreements and reverse repurchase agreements; and (iii) securities borrowing and securities lending transactions.

In order to better define its contractual rights and to secure rights that will help a Fund mitigate its counterparty risk, a Fund enters into an International Swaps and Derivatives Association, Inc. Master Agreement ("ISDA Master Agreement") with its counterparties. An ISDA Master Agreement is a bilateral agreement between a Fund and a counterparty that governs over-the-counter ("OTC") derivatives, such as foreign currency contracts, and typically contains, among other things, collateral posting terms, netting and rights of set-off provisions in the event of a default and/or termination event. Under an ISDA Master Agreement, a Fund may, under certain circumstances, offset with the counterparty certain derivative financial instruments' payables and receivables to create a single net payment. The provisions of the ISDA Master Agreement typically permit a single net payment in the event of a default (close-out netting) or similar event, including the bankruptcy or insolvency of the counterparty.

Collateral requirements generally differ by type of derivative. Collateral terms are contract-specific for OTC derivatives (e.g., foreign currency contracts, options and certain swaps). To the extent amounts due to a Fund from its derivatives counterparties are not fully collateralized, contractually or otherwise, the Fund bears the risk of loss from a counterparty's non-performance.

The Funds' securities lending activities are governed by a Securities Lending Authorization Agreement ("Lending Agreement") between the Funds and the lending agent. The Lending Agreement authorizes the lending agent to lend qualifying U.S. and foreign securities held by a Fund to approved borrowers (each a "Borrower"). To mitigate borrower risk, a Fund typically receives from a Borrower collateral in the form of U.S. dollar cash and/or securities issued or guaranteed by the U.S. government or its agencies in excess of the market value of the securities loaned. Under the provisions of the Lending Agreement, a Fund shall have, as to the collateral, all of the rights and remedies of a secured party under applicable law. A Fund is exposed to risk of loss if a Borrower defaults on its obligation to return borrowed securities and the value of the collateral a Fund received is insufficient to cover the market value of the securities loaned. Also, the lending agent is permitted to invest the cash collateral it receives from a Borrower into a money market fund which is subject to market fluctuation. Therefore, a Fund is exposed to risk of loss if the value of invested cash collateral is insufficient to satisfy the Fund's obligation to return the full amount owed to such Borrower. However, in the event of a borrower default with respect to the failure to return to each Fund some or all of the securities loaned, the securities lending agent shall indemnify each Fund against the failure of the borrower if the value of the collateral received is insufficient to cover the market value of the securities loaned.

Each Fund's futures contracts and options contracts are all exchange traded and are not subject to master netting arrangements. Therefore, all futures contracts and options contracts are excluded from the netting table.

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;147

**Notes to Financial Statements (continued)**<br>

For financial reporting purposes, the Funds elect to not offset assets and liabilities subject to an ISDA Master Agreement or Lending Agreement, if any, in the Statements of Assets and Liabilities. Therefore, all qualifying transactions are presented on a gross basis in the Statements of Assets and Liabilities. As of March 31, 2026, the impact of netting of assets and liabilities and the offsetting of collateral pledged or received based on contractual netting/set-off provisions in the ISDA Master Agreement and the Lending Agreement are detailed in the following table:

---

| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Fund | Assets | Assets | Assets | Assets | Liabilities | Liabilities | Liabilities | Liabilities |
| Fund | Gross Amounts<br>in the<br>Statements<br>of Assets and<br>Liabilities | Gross Amounts Not Offset in<br>the Statements of Assets and<br>Liabilities | Gross Amounts Not Offset in<br>the Statements of Assets and<br>Liabilities | Net Amount | Gross Amounts<br>in the<br>Statements<br>of Assets and<br>Liabilities | Gross Amounts Not Offset in<br>the Statements of Assets and<br>Liabilities | Gross Amounts Not Offset in<br>the Statements of Assets and<br>Liabilities | Net Amount |
| Fund | Gross Amounts<br>in the<br>Statements<br>of Assets and<br>Liabilities | Financial<br>Instruments | Collateral<br>Received | Net Amount | Gross Amounts<br>in the<br>Statements<br>of Assets and<br>Liabilities | Financial<br>Instruments | Collateral<br>Posted | Net Amount |
|  Europe Defense Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | $1310398 | $— | $(1310398)<sup>1</sup> | $— | $— | $— | $&nbsp;&nbsp;&nbsp; — | $— |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 4 |  |  | 4 |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  Europe Hedged Equity Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 20932257 |  | (20932257)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 48033584 | (40778) |  | 47992806 | 185005 | (40778) | &nbsp;&nbsp;&nbsp; — | 144227 |
|  European Opportunities Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 7379534 |  | (7379534)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 4573028 | (106097) |  | 4466931 | 107906 | (106097) | &nbsp;&nbsp;&nbsp; — | 1809 |
|  Europe Quality Dividend Growth Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 406995 |  | (406995)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  Europe SmallCap Dividend Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 6375528 |  | (6375528)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  International AI Enhanced Value Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 1348621 |  | (1348621)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  International Equity Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 11264672 |  | (11264672)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  International Hedged Quality Dividend Growth Fund | International Hedged Quality Dividend Growth Fund |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 14247047 |  | (14247047)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 62336149 | (135763) |  | 62200386 | 140038 | (135763) | &nbsp;&nbsp;&nbsp; — | 4275 |
|  International High Dividend Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 18576068 |  | (18576068)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  International MidCap Dividend Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 4089457 |  | (4089457)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  International Multifactor Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 329180 |  | (329180)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 269938 | (50718) |  | 219220 | 59002 | (50718) | &nbsp;&nbsp;&nbsp; — | 8284 |
|  International Quality Dividend Growth Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 4933263 |  | (4933263)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  International SmallCap Dividend Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 41707827 |  | (41707827)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 935 | (4) |  | 931 | 1269 | (4) | &nbsp;&nbsp;&nbsp; — | 1265 |
|  Japan Hedged Equity Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 18540851 |  | (18540851)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 140319815 | (959255) |  | 139360560 | 1233271 | (959255) | &nbsp;&nbsp;&nbsp; — | 274016 |
|  Japan Opportunities Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 3996413 |  | (3996413)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts | 5215177 | (18500) |  | 5196677 | 22006 | (18500) | &nbsp;&nbsp;&nbsp; — | 3506 |
|  Japan SmallCap Dividend Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 9041195 |  | (9041195)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
| &nbsp;&nbsp;&nbsp; Foreign Currency Contracts |  |  |  |  | 4 |  | &nbsp;&nbsp;&nbsp; — | 4 |
|  True Developed International Fund |  |  |  |  |  |  |  |  |
| &nbsp;&nbsp;&nbsp; Securities Lending | 8959117 |  | (8959117)<sup>1</sup> |  |  |  | &nbsp;&nbsp;&nbsp; — |  |
|  <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. | <sup>1</sup>The amount of collateral presented has been limited such that the net amount by counterparty cannot be less than zero. |

---

148&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

**Short**-Term **Investments** — Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments include short-term obligations issued by the U.S. government, its agencies, non-U.S. government agencies, negotiable certificates of deposit ("CDs"), fixed time deposits and bankers' acceptances of U.S. and foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker's acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions.

**Restricted Securities** — Each Fund may invest in securities that are subject to legal or contractual restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are registered. Disposal of these securities may involve time-consuming negotiations and expense, and prompt sale at an acceptable price may be difficult. Information regarding restricted securities, if any, is included at the end of each Fund's Schedule of Investments.

**Tax Information and Dividends and Distributions to Shareholders** — It is each Fund's policy to comply with all requirements of the Internal Revenue Code of 1986, as amended (the "Code"). A portion of the Code, known as subchapter M ("Subchapter M"), addresses the ways by which investment companies and investment trusts may pass income through to shareholders in order to avoid double taxation. Each Fund intends to qualify for and to elect treatment as a separate Regulated Investment Company ("RIC") under Subchapter M of the Code so that it will not be subject to federal income tax on income and gains that are timely distributed to Fund shareholders. Accordingly, no provision for U.S. federal income taxes is required. In order to qualify for the special tax treatment accorded to RICs and their shareholders, each Fund must, among other things, distribute with respect to each taxable year an amount equal to or greater than the sum of 90% of its investment company taxable income and 90% of its net tax-exempt interest income. There can be no guarantee that a Fund will pay dividends. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. Each Fund may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains is determined in accordance with the requirements of the Code and the U.S. Treasury regulations (i.e., tax basis) which may differ to amounts determined under GAAP (i.e., book basis). These book/tax differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their Federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions that exceed earnings and profit for tax purposes are reported for tax purposes as a return of capital.

3. ADVISORY FEES AND OTHER TRANSACTIONS WITH AFFILIATES

WTAM has overall responsibility for the general management and administration of the Trust. WTAM provides an investment program for each Fund. WTAM has arranged for Mellon Investments Corporation ("Mellon") to provide sub-advisory services to the Funds, except for the International AI Enhanced Value Fund. Sub-Advisory services for the International AI Enhanced Value Fund are provided by Voya Investment Management Co., LLC ("Voya IM"). Mellon and Voya IM are compensated by WTAM at no additional cost to the Funds. WTAM also arranges for transfer agency, custody, fund accounting, fund administration, securities lending and all other non-distribution related services necessary for the Funds to operate, which are generally under separate agreements entered into between the Trust on behalf of the Funds and the applicable service provider. Under the investment advisory agreement for each Fund, WTAM agrees to pay all expenses of the Funds, except for certain expenses described in Note 2.

Pursuant to a separate contractual arrangement, as also described in Note 2, WTAM arranges for the provision of CCO services with respect to each Fund, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees in exchange for a fee, accrued daily and paid monthly in arrears, of up to 0.0044% per annum of each Fund's average daily net assets.

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;149

**Notes to Financial Statements (continued)**<br>

WTAM expects to receive annual advisory fees from each Fund, based on a percentage of the Fund's average daily net assets as shown in the following table:

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| | |
|:---|:---|
| Fund | Advisory Fee<br>Rate |
|  Europe Defense Fund | 0.45% |
|  Europe Hedged Equity Fund | 0.58% |
|  European Opportunities Fund | 0.58% |
|  Europe Quality Dividend Growth Fund | 0.58% |
|  Europe SmallCap Dividend Fund | 0.58% |
|  International AI Enhanced Value Fund | 0.58% |
|  International Equity Fund | 0.48% |
|  International Hedged Quality Dividend Growth Fund | 0.58% |
|  International High Dividend Fund | 0.58% |
|  International MidCap Dividend Fund | 0.58% |
|  International Multifactor Fund | 0.38% |
|  International Quality Dividend Growth Fund | 0.42% |
|  International SmallCap Dividend Fund | 0.58% |
|  Japan Hedged Equity Fund | 0.48% |
|  Japan Opportunities Fund | 0.58% |
|  Japan SmallCap Dividend Fund | 0.58% |
|  True Developed International Fund | 0.48% |

---

Affiliated holdings are investments in entities in which the Fund owns 5% or more of the outstanding voting securities or are investments in entities which are under common ownership or control. Transactions in shares of affiliated ETFs for the fiscal year ended March 31, 2026, as applicable, are included in an "Investment in Affiliates" supplementary table in each applicable Fund's Schedule of Investments. For these transactions, WTAM voluntarily waives a portion of its advisory fees, that it would otherwise charge, for each Fund's investment in affiliated funds. The waivers may be reduced to offset the incremental costs related to these investments (e.g., fund accounting, safekeeping, transaction fees, etc.) that are paid by WTAM out of its advisory fee. The dollar amount of advisory fees waived during the period for the Funds, if any, are included in the Statements of Operations in "*Expense waivers*".

As of March 11, 2025 (the "Effective Date"), WTAM has contractually agreed to waive a portion of its advisory fee associated with investments of cash collateral from securities lending in the WisdomTree Treasury Money Market Digital Fund (the "Digital Money Fund"), a series of WisdomTree Digital Trust, which is managed by WisdomTree Digital Management, Inc., a registered investment adviser and affiliate of WTAM. WTAM has agreed to reduce its advisory fee to be paid by a Fund for that portion of the Fund's assets invested in the Digital Money Fund by the amount necessary to reduce the net expense ratio of the Digital Money Fund, currently 0.25% of net assets per annum, to an effective rate of 0.09% of net assets per annum. The initial term of this agreement is one year from the Effective Date. Thereafter, the agreement will automatically be renewed for one-year terms unless earlier terminated by the Board of the Trust or WTAM. The dollar amount of contractual fee waivers are included in "*Expense waivers — contractual*" on the Statements of Operations. Additionally, securities lending income from affiliate is shown on the Schedule of Investments in the Investment in Affiliates table.

150&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

During the fiscal year ended March 31, 2026, certain Funds engaged in purchase and sale transactions with funds that have a common investment adviser, WTAM. These interfund purchase and sale transactions were effected in accordance with Rule 17a-7 under the 1940 Act. For the fiscal year ended March 31, 2026, the cost of purchases, proceeds from sales and the net realized gain or loss recognized upon the disposal of securities resulting from interfund transactions are shown in the following table:

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| | | | |
|:---|:---|:---|:---|
| Fund | Purchases | Sales | Net Realized<br>Gain/(Loss) |
|  Europe Hedged Equity Fund | $&nbsp;&nbsp;&nbsp; 3828184 | $&nbsp;&nbsp;&nbsp; 4497229 | $276037 |
|  Europe Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 3467567 | &nbsp;&nbsp;&nbsp; 6380788 | (210236) |
|  Europe SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 3930659 | &nbsp;&nbsp;&nbsp; 1720966 | 439516 |
|  International Equity Fund | &nbsp;&nbsp;&nbsp; 24298564 | &nbsp;&nbsp;&nbsp; 14769191 | 1389369 |
|  International Hedged Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 39046349 | &nbsp;&nbsp;&nbsp; 73445761 | (500050) |
|  International High Dividend Fund | &nbsp;&nbsp;&nbsp; 20501338 | &nbsp;&nbsp;&nbsp; 9147674 | (92714) |
|  International MidCap Dividend Fund | &nbsp;&nbsp;&nbsp; 8725938 | &nbsp;&nbsp;&nbsp; 7690063 | 1280463 |
|  International Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 12691290 | &nbsp;&nbsp;&nbsp; 27895315 | (782067) |
|  International SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 17021750 | &nbsp;&nbsp;&nbsp; 16758960 | 5121658 |
|  Japan Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 6546926 | &nbsp;&nbsp;&nbsp; 22185192 | (177286) |
|  Japan SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 10701907 | &nbsp;&nbsp;&nbsp; 6912506 | 1729394 |
|  True Developed International Fund | &nbsp;&nbsp;&nbsp; 8541556 | &nbsp;&nbsp;&nbsp; 25184685 | (52013) |

---

WTAM and/or WisdomTree (collectively herein, "WT") may from time to time own shares of a Fund. As of and for the fiscal year ended March 31, 2026, WT held shares of and received distributions from the following Funds, which were purchased through an unaffiliated broker in ordinary brokerage transactions in the secondary market in which the Funds' shares trade:

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| | | | |
|:---|:---|:---|:---|
| Fund | At March 31, 2026 | At March 31, 2026 | For the Fiscal Year <br>Ended <br>March 31, 2026 |
| Fund | Fund Shares<br>held by WT | Market Value of<br>Fund Shares<br>Held by WT | Dividends and<br>Distributions paid to<br>WT on Fund Shares<br>held by WT |
|  Europe Defense Fund | &nbsp;&nbsp;&nbsp; 56 | $&nbsp;&nbsp;&nbsp; 1733 | $&nbsp;&nbsp;&nbsp;&nbsp; 1 |
|  Europe Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 28 | &nbsp;&nbsp;&nbsp; 1464 | &nbsp;&nbsp;&nbsp; 388 |
|  European Opportunities Fund | &nbsp;&nbsp;&nbsp; 1 | &nbsp;&nbsp;&nbsp; 54 | &nbsp;&nbsp;&nbsp; 2 |
|  Europe SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 1 | &nbsp;&nbsp;&nbsp; 72 | &nbsp;&nbsp;&nbsp; 3 |
|  International AI Enhanced Value Fund | &nbsp;&nbsp;&nbsp; 1 | &nbsp;&nbsp;&nbsp; 54 | &nbsp;&nbsp;&nbsp; 2 |
|  International Equity Fund | &nbsp;&nbsp;&nbsp; 1 | &nbsp;&nbsp;&nbsp; 70 | &nbsp;&nbsp;&nbsp; 2 |
|  International Hedged Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 1 | &nbsp;&nbsp;&nbsp; 48 | &nbsp;&nbsp;&nbsp; 94 |
|  International Multifactor Fund | &nbsp;&nbsp;&nbsp; 55 | &nbsp;&nbsp;&nbsp; 1853 | &nbsp;&nbsp;&nbsp; 54 |
|  International Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 621 | &nbsp;&nbsp;&nbsp; 24927 | &nbsp;&nbsp;&nbsp; 459 |
|  International SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 78 | &nbsp;&nbsp;&nbsp; 6357 | &nbsp;&nbsp;&nbsp; 237 |
|  Japan Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 49 | &nbsp;&nbsp;&nbsp; 7770 | &nbsp;&nbsp;&nbsp; 342 |
|  Japan Opportunities Fund | &nbsp;&nbsp;&nbsp; 28 | &nbsp;&nbsp;&nbsp; 1522 | &nbsp;&nbsp;&nbsp; 10 |
|  Japan SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 1 | &nbsp;&nbsp;&nbsp; 102 | &nbsp;&nbsp;&nbsp; 18 |
|  True Developed International Fund | &nbsp;&nbsp;&nbsp; 1 | &nbsp;&nbsp;&nbsp; 68 | &nbsp;&nbsp;&nbsp; 2 |

---

4. CAPITAL SHARE TRANSACTIONS

As of March 31, 2026, there were an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in creation units or multiples thereof to an authorized participant ("AP"). Except when aggregated in creation units ("Creation Unit Aggregations"), shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of creation units of a Fund generally consists of the in-kind contribution of a basket of securities ("Deposit Securities") and/or

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;151

**Notes to Financial Statements (continued)**<br>

an amount of cash ("Cash Component"). Creation Unit Aggregations may be created in advance of receipt by a Fund of all or a portion of the applicable Deposit Securities from APs. In these circumstances, the initial deposit received from the AP will have a value greater than the NAV of the applicable Fund's shares on the date the order is placed in proper form since, in addition to available Deposit Securities, U.S. cash must be deposited by the AP in an amount equal to the sum of (i) the Cash Component, plus (ii) generally between 102% and 110%, as directed by the Trust or WTAM, which the Trust or WTAM may change from time to time, of the market value of the undelivered Deposit Securities (the "Additional Cash Deposit") with the Fund pending delivery of any missing Deposit Securities. The Fund will return any unused portion of the Additional Cash Deposit once all of the missing Deposit Securities have been properly received from the AP or purchased by the Fund. Amounts due to be returned to an AP as of March 31, 2026, if any, is shown in the Statements of Assets and Liabilities in "*Payables: Deposit due to authorized participant*". In certain cases where an AP does not have a basket security readily available or may not transact is such basket security, an AP may request to settle an in-kind creation order with cash in lieu of the basket security. Amounts due from an AP as of March 31, 2026 with respect to such activity, if any, is shown in the Statements of Assets and Liabilities in "*Receivables: Deposit due from authorized participant*".

5. INVESTMENT PORTFOLIO TRANSACTIONS

Purchases and sales of investments (excluding purchases and sales resulting from in-kind capital share transactions and short-term investments) and the cost of purchases and the proceeds from sales resulting from in-kind capital share transactions (excluding short-term investments) for the fiscal year or period ended March 31, 2026 are shown in the following table. Realized gains and losses on sales resulting from in-kind capital share redemptions, as shown on the Statements of Operations, are not recognized by the Funds for tax purposes.

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| | | | | |
|:---|:---|:---|:---|:---|
| Fund | Non-U.S. Government Securities | Non-U.S. Government Securities | In-kind Capital Share Transactions | In-kind Capital Share Transactions |
| Fund | Purchases | Sales | Purchases | Sales |
|  Europe Defense Fund<sup>1</sup> | $13737283 | $13033388 | $88889800 | $844169 |
|  Europe Hedged Equity Fund | 572240795 | 655363770 | 109114271 | 242628582 |
|  European Opportunities Fund | 216857942 | 215400859 | 215936068 | 62958954 |
|  Europe Quality Dividend Growth Fund | 26009773 | 26615844 | 22391110 | 28866535 |
|  Europe SmallCap Dividend Fund | 89582716 | 90042698 | 10055695 | 24487224 |
|  International AI Enhanced Value Fund | 54401863 | 54998613 | 2453210 | 4629002 |
|  International Equity Fund | 174397573 | 174682081 | 12097863 |  |
|  International Hedged Quality Dividend Growth Fund | 1514506131 | 1612998382 | 454514264 | 1344275716 |
|  International High Dividend Fund | 153807936 | 138175070 | 199451533 | 62424688 |
|  International MidCap Dividend Fund | 50144518 | 50396376 | 3745676 | 11254106 |
|  International Multifactor Fund | 43391802 | 43336616 | 18528899 | 19296700 |
|  International Quality Dividend Growth Fund | 430097350 | 435661245 | 165049126 | 317310564 |
|  International SmallCap Dividend Fund | 446211265 | 448883415 |  | 111139897 |
|  Japan Hedged Equity Fund | 1709189240 | 1231351902 | 1714876080 | 754780686 |
|  Japan Opportunities Fund | 181779554 | 170359429 | 175248464 | 46876596 |
|  Japan SmallCap Dividend Fund | 101678734 | 99107512 | 100365096 | 34868217 |
|  True Developed International Fund | 166311664 | 144065233 | 134729950 | 83766589 |
|  <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. |

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152&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

6. FEDERAL INCOME TAXES AND OTHER MATTERS

At March 31, 2026, the cost of investments (including securities on loan and derivatives) for Federal income tax purposes was as follows:

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| | | | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|:---|:---|
| Fund | Investments in Long Securities | Investments in Long Securities | Investments in Long Securities | Investments in Long Securities | Investments in Financial Derivatives<sup>1</sup> | Investments in Financial Derivatives<sup>1</sup> | Investments in Financial Derivatives<sup>1</sup> | Total Net<br>Unrealized<br>Appreciation/<br>(Depreciation) |
| Fund | Tax Cost | Gross<br>Unrealized<br>Appreciation | Gross<br>Unrealized<br>Depreciation | Net Unrealized<br>Appreciation/<br>(Depreciation) | Gross<br>Unrealized<br>Appreciation | Gross<br>Unrealized<br>Depreciation | Net Unrealized<br>Appreciation/<br>(Depreciation) | Total Net<br>Unrealized<br>Appreciation/<br>(Depreciation) |
|  Europe Defense Fund | $89460031 | $3338337 | $(7890720) | $(4552383) | $4 | $— | $4 | $(4552379) |
|  Europe Hedged Equity Fund | 1316244214 | 465875669 | (82356860) | 383518809 |  |  |  | 383518809 |
|  European Opportunities Fund | 255272138 | 28253367 | (8552569) | 19700798 | 26 | (1135) | (1109) | 19699689 |
|  Europe Quality Dividend Growth Fund | 58320842 | 12178246 | (4724076) | 7454170 |  |  |  | 7454170 |
|  Europe SmallCap Dividend Fund | 143580072 | 28050476 | (12610109) | 15440367 |  |  |  | 15440367 |
|  International AI Enhanced Value Fund | 52713615 | 8021069 | (1788929) | 6232140 |  |  |  | 6232140 |
|  International Equity Fund | 438331673 | 212507282 | (21256862) | 191250420 |  |  |  | 191250420 |
|  International Hedged Quality Dividend Growth Fund | 2032489754 | 285409943 | (176731231) | 108678712 | 758799 | (10799) | 748000 | 109426712 |
|  International High Dividend Fund | 515795485 | 136717512 | (17271887) | 119445625 |  |  |  | 119445625 |
|  International MidCap Dividend Fund | 122382792 | 43737600 | (4825479) | 38912121 |  |  |  | 38912121 |
|  International Multifactor Fund | 33498415 | 4416759 | (1527926) | 2888833 | 21833 | (6022) | 15811 | 2904644 |
|  International Quality Dividend Growth Fund | 637250712 | 94712138 | (59993433) | 34718705 |  |  |  | 34718705 |
|  International SmallCap Dividend Fund | 861945877 | 207439616 | (70331225) | 137108391 | 935 | (1269) | (334) | 137108057 |
|  Japan Hedged Equity Fund | 4809923460 | 1169726407 | (196996437) | 972729970 | 74604 | (101614) | (27010) | 972702960 |
|  Japan Opportunities Fund | 224995195 | 30900817 | (10375017) | 20525800 |  | (3506) | (3506) | 20522294 |
|  Japan SmallCap Dividend Fund | 338301269 | 67339580 | (20993937) | 46345643 |  | (4) | (4) | 46345639 |
|  True Developed International Fund | 514501501 | 232136655 | (16079971) | 216056684 |  |  |  | 216056684 |
|  <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. | <sup>1</sup>Certain financial derivatives may be considered section 1256 contracts under the Code. Each section 1256 contract held at the close of a taxable year shall be treated as sold for its fair market value on the last business day of such taxable year (and any realized gain and loss shall be taken into account for the taxable year). As such, the unrealized appreciation/(depreciation) for financial derivatives on a tax basis may not correspond to the unrealized appreciation/(depreciation) on a GAAP basis. The unrealized appreciation/(depreciation) for financial derivatives on a GAAP basis is located in the respective financial derivatives tables in each Fund's Schedule of Investments. |

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At March 31, 2026, the components of total distributable earnings (loss) on a tax-basis were as follows:

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| | | | | | | |
|:---|:---|:---|:---|:---|:---|:---|
| Fund | Undistributed <br>Ordinary <br>Income | Undistributed <br>Capital and <br>Other Losses | Net Unrealized <br>Appreciation/ <br>(Depreciation) | Currency and <br>Other Unrealized <br>Appreciation/ <br>(Depreciation) | Other <br>Temporary <br>Differences<sup>1</sup> | Total <br>Distributable <br>Earnings (Loss) |
|  Europe Defense Fund | $— | $(1248488) | $(4552383) | $(471) | $— | $(5801342) |
|  Europe Hedged Equity Fund |  | (2111996355) | 383518809 | 126020 | 839772 | (1727511754) |
|  European Opportunities Fund | 1587117 | (18785618) | 19700798 | 3656 | 50291 | 2556244 |
|  Europe Quality Dividend Growth Fund |  | (13759294) | 7454170 | 53042 | 24370 | (6227712) |
|  Europe SmallCap Dividend Fund | 552329 | (309042841) | 15440367 | 97124 | 465610 | (292487411) |
|  International AI Enhanced Value Fund | 841633 | (62838029) | 6232140 | 22174 | 65438 | (55676644) |
|  International Equity Fund | 2432839 | (175398134) | 191250420 | 234163 | 318454 | 18837742 |
|  International Hedged Quality Dividend Growth Fund | 2741689 | (260497811) | 108678712 | 1243237 | 651087 | (147183086) |
|  International High Dividend Fund | 2812268 | (99368300) | 119445625 | 77501 | 158543 | 23125637 |
|  International MidCap Dividend Fund | 887477 | (38089746) | 38912121 | 22131 | 38337 | 1770320 |
|  International Multifactor Fund | 132124 | (3493894) | 2888833 | 25446 | 14216 | (433275) |
|  International Quality Dividend Growth Fund | 1169205 | (80566385) | 34718705 | 174488 | 275953 | (44228034) |
|  International SmallCap Dividend Fund | 5453607 | (323394474) | 137108391 | 93660 | 552829 | (180185987) |
|  Japan Hedged Equity Fund | 49278026 | (873767793) | 972729970 | (648004) |  | 147592199 |
|  Japan Opportunities Fund | 1865271 | (5883545) | 20525800 | 522 |  | 16508048 |
|  Japan SmallCap Dividend Fund | 4612081 | (115629371) | 46345643 | (16435) |  | (64688082) |
|  True Developed International Fund | 2253295 | (119894942) | 216056684 | 210037 | 133012 | 98758086 |
|  <sup>1</sup>The treatment of certain income/expense items have been recognized for GAAP but disallowed for tax purposes. | <sup>1</sup>The treatment of certain income/expense items have been recognized for GAAP but disallowed for tax purposes. | <sup>1</sup>The treatment of certain income/expense items have been recognized for GAAP but disallowed for tax purposes. | <sup>1</sup>The treatment of certain income/expense items have been recognized for GAAP but disallowed for tax purposes. | <sup>1</sup>The treatment of certain income/expense items have been recognized for GAAP but disallowed for tax purposes. | <sup>1</sup>The treatment of certain income/expense items have been recognized for GAAP but disallowed for tax purposes. | <sup>1</sup>The treatment of certain income/expense items have been recognized for GAAP but disallowed for tax purposes. |

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WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;153

**Notes to Financial Statements (continued)**<br>

The tax character of distributions paid during the fiscal years or periods ended March 31, 2026 and March 31, 2025, was as follows:

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| | | |
|:---|:---|:---|
| Fund | Year Ended <br>March 31, 2026 | Year Ended<br>March 31, 2025 |
| Fund | Distributions<br>Paid from<br>Ordinary Income<sup>\*</sup> | Distributions<br>Paid from<br>Ordinary Income<sup>\*</sup> |
|  Europe Defense Fund<sup>1</sup> | $&nbsp;&nbsp;&nbsp; 21515 | $&nbsp;&nbsp;&nbsp; — |
|  Europe Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 30853750  | &nbsp;&nbsp;&nbsp; 53344485 |
|  European Opportunities Fund | &nbsp;&nbsp;&nbsp; 4196458  | &nbsp;&nbsp;&nbsp; 1826376 |
|  Europe Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 1849027  | &nbsp;&nbsp;&nbsp; 1488120 |
|  Europe SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 7178750  | &nbsp;&nbsp;&nbsp; 7727206 |
|  International AI Enhanced Value Fund | &nbsp;&nbsp;&nbsp; 2648261  | &nbsp;&nbsp;&nbsp; 3145102 |
|  International Equity Fund | &nbsp;&nbsp;&nbsp; 18466686  | &nbsp;&nbsp;&nbsp; 19101802 |
|  International Hedged Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 50011860  | &nbsp;&nbsp;&nbsp; 50859826  |
|  International High Dividend Fund | &nbsp;&nbsp;&nbsp; 18813950  | &nbsp;&nbsp;&nbsp; 16308470  |
|  International MidCap Dividend Fund | &nbsp;&nbsp;&nbsp; 4900740  | &nbsp;&nbsp;&nbsp; 4757821 |
|  International Multifactor Fund | &nbsp;&nbsp;&nbsp; 1129748  | &nbsp;&nbsp;&nbsp; 1118075 |
|  International Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 17134259  | &nbsp;&nbsp;&nbsp; 18334695 |
|  International SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 38907075  | &nbsp;&nbsp;&nbsp; 40687926 |
|  Japan Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 58413147  | &nbsp;&nbsp;&nbsp; 129533264 |
|  Japan Opportunities Fund | &nbsp;&nbsp;&nbsp; 2168006  | &nbsp;&nbsp;&nbsp; 2407390 |
|  Japan SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 8701064  | &nbsp;&nbsp;&nbsp; 4002170  |
|  True Developed International Fund | &nbsp;&nbsp;&nbsp; 19375505  | &nbsp;&nbsp;&nbsp; 17724987  |
|  <sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Includes short-term capital gains, if any.<br> <sup>1&nbsp;&nbsp;&nbsp;&nbsp;</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Includes short-term capital gains, if any.<br> <sup>1&nbsp;&nbsp;&nbsp;&nbsp;</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>\*&nbsp;&nbsp;&nbsp;&nbsp;</sup>Includes short-term capital gains, if any.<br> <sup>1&nbsp;&nbsp;&nbsp;&nbsp;</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. |

---

At March 31, 2026, for Federal tax purposes, the Funds have capital loss carryforwards available to offset future capital gains as indicated in the following table. The loss carryforward amounts do not have an expiration date and, therefore, can be carried forward indefinitely until utilized. To the extent that these loss carryforwards are utilized, capital gains so offset will not be distributed to shareholders.

---

| | | | |
|:---|:---|:---|:---|
| Fund | Short-Term | Long-Term | Capital Loss<br>Available Total |
|  Europe Defense Fund | $&nbsp;&nbsp;&nbsp; 33155 | $&nbsp;&nbsp;&nbsp; 11 | $&nbsp;&nbsp;&nbsp; 33166 |
|  Europe Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 942472302 | &nbsp;&nbsp;&nbsp; 1169524053  | &nbsp;&nbsp;&nbsp; 2111996355  |
|  European Opportunities Fund | &nbsp;&nbsp;&nbsp; 11419626 | &nbsp;&nbsp;&nbsp; 7365992 | &nbsp;&nbsp;&nbsp; 18785618 |
|  Europe Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 9761106 | &nbsp;&nbsp;&nbsp; 3938130 | &nbsp;&nbsp;&nbsp; 13699236 |
|  Europe SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 101597136 | &nbsp;&nbsp;&nbsp; 207445705 | &nbsp;&nbsp;&nbsp; 309042841 |
|  International AI Enhanced Value Fund | &nbsp;&nbsp;&nbsp; 18111698 | &nbsp;&nbsp;&nbsp; 44726331 | &nbsp;&nbsp;&nbsp; 62838029 |
|  International Equity Fund | &nbsp;&nbsp;&nbsp; 36554723 | &nbsp;&nbsp;&nbsp; 138843411 | &nbsp;&nbsp;&nbsp; 175398134 |
|  International Hedged Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 212835973 | &nbsp;&nbsp;&nbsp; 47661838 | &nbsp;&nbsp;&nbsp; 260497811 |
|  International High Dividend Fund | &nbsp;&nbsp;&nbsp; 15923233 | &nbsp;&nbsp;&nbsp; 83445067 | &nbsp;&nbsp;&nbsp; 99368300 |
|  International MidCap Dividend Fund | &nbsp;&nbsp;&nbsp; 6414506 | &nbsp;&nbsp;&nbsp; 31675240 | &nbsp;&nbsp;&nbsp; 38089746 |
|  International Multifactor Fund | &nbsp;&nbsp;&nbsp; 3493894 | &nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp; 3493894 |
|  International Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 64986143 | &nbsp;&nbsp;&nbsp; 15580242 | &nbsp;&nbsp;&nbsp; 80566385 |
|  International SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 197000410 | &nbsp;&nbsp;&nbsp; 126394064 | &nbsp;&nbsp;&nbsp; 323394474 |
|  Japan Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 608166705 | &nbsp;&nbsp;&nbsp; 265601088 | &nbsp;&nbsp;&nbsp; 873767793 |
|  Japan Opportunities Fund | &nbsp;&nbsp;&nbsp; 5883545 | &nbsp;&nbsp;&nbsp; — | &nbsp;&nbsp;&nbsp; 5883545 |
|  Japan SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 62533863 | &nbsp;&nbsp;&nbsp; 53095508 | &nbsp;&nbsp;&nbsp; 115629371 |
|  True Developed International Fund | &nbsp;&nbsp;&nbsp; 21260703 | &nbsp;&nbsp;&nbsp; 98634239 | &nbsp;&nbsp;&nbsp; 119894942 |

---

154&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (continued)**<br>

During the fiscal year or period ended March 31, 2026, the following Funds incurred and will elect to defer late year ordinary losses as follows:

---

| | | | |
|:---|:---|:---|:---|
| Fund | Short-Term<br>Post-October<br>Capital Losses | Long-Term<br>Post-October<br>Capital Losses | Late Year<br>Ordinary Losses |
|  Europe Defense Fund<sup>1</sup> | $&nbsp;&nbsp;&nbsp; 1187949 | $(32) | $&nbsp;&nbsp;&nbsp;&nbsp; 27405 |
|  Europe Hedged Equity Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  European Opportunities Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Europe Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; 60058 |
|  Europe SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International AI Enhanced Value Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International Equity Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International Hedged Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International High Dividend Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International MidCap Dividend Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International Multifactor Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  International SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Japan Hedged Equity Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Japan Opportunities Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  Japan SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  True Developed International Fund | &nbsp;&nbsp;&nbsp; — |  | &nbsp;&nbsp;&nbsp;&nbsp; — |
|  <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. |

---

During the fiscal year or period ended March 31, 2026, the amount of capital loss carryforwards used to offset realized gains are shown in the following table:

---

| | |
|:---|:---|
| Fund | Utilized<br>Capital Loss<br>Carryforward |
|  Europe Defense Fund<sup>1</sup> | $&nbsp;&nbsp;&nbsp; — |
|  Europe Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 9734483 |
|  European Opportunities Fund | &nbsp;&nbsp;&nbsp; 4540971 |
|  Europe Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; — |
|  Europe SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 10225480 |
|  International AI Enhanced Value Fund | &nbsp;&nbsp;&nbsp; 4817271 |
|  International Equity Fund | &nbsp;&nbsp;&nbsp; 29454351 |
|  International Hedged Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; — |
|  International High Dividend Fund | &nbsp;&nbsp;&nbsp; 838406 |
|  International MidCap Dividend Fund | &nbsp;&nbsp;&nbsp; 8314371 |
|  International Multifactor Fund | &nbsp;&nbsp;&nbsp; 325098 |
|  International Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp; 2671717 |
|  International SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 85891358 |
|  Japan Hedged Equity Fund | &nbsp;&nbsp;&nbsp; 497224026 |
|  Japan Opportunities Fund | &nbsp;&nbsp;&nbsp; 11907819 |
|  Japan SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp; 12279837 |
|  True Developed International Fund | &nbsp;&nbsp;&nbsp; 1448182 |
|  <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. | <sup>1</sup>For the period July 17, 2025 (commencement of operations) through March 31, 2026. |

---

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;155

**Notes to Financial Statements (continued)**<br>

At March 31, 2026, the effect of permanent "book/tax" reclassifications resulted in increases (decreases) to the components of net assets as shown in the following table. The differences are primarily due to redemptions-in-kind and net operating losses.

---

| | | |
|:---|:---|:---|
| Fund | Total<br>Distributable<br>Earnings (Loss) | Paid-in<br>Capital |
|  Europe Defense Fund | $(107779) | $&nbsp;&nbsp;&nbsp; 107779 |
|  Europe Hedged Equity Fund | (103302568) | &nbsp;&nbsp;&nbsp; 103302568 |
|  European Opportunities Fund | (14540818) | &nbsp;&nbsp;&nbsp; 14540818 |
|  Europe Quality Dividend Growth Fund | (8677233) | &nbsp;&nbsp;&nbsp; 8677233 |
|  Europe SmallCap Dividend Fund | (4603679) | &nbsp;&nbsp;&nbsp; 4603679 |
|  International AI Enhanced Value Fund | (459481) | &nbsp;&nbsp;&nbsp; 459481 |
|  International Equity Fund |  | &nbsp;&nbsp;&nbsp; — |
|  International Hedged Quality Dividend Growth Fund | (382540392) | &nbsp;&nbsp;&nbsp; 382540392 |
|  International High Dividend Fund | (27450663) | &nbsp;&nbsp;&nbsp; 27450663 |
|  International MidCap Dividend Fund | (3311010) | &nbsp;&nbsp;&nbsp; 3311010 |
|  International Multifactor Fund | (4615216) | &nbsp;&nbsp;&nbsp; 4615216 |
|  International Quality Dividend Growth Fund | (88948893) | &nbsp;&nbsp;&nbsp; 88948893 |
|  International SmallCap Dividend Fund | (24361938) | &nbsp;&nbsp;&nbsp; 24361938 |
|  Japan Hedged Equity Fund | (205769500) | &nbsp;&nbsp;&nbsp; 205769500 |
|  Japan Opportunities Fund | (13257378) | &nbsp;&nbsp;&nbsp; 13257378 |
|  Japan SmallCap Dividend Fund | (9982332) | &nbsp;&nbsp;&nbsp; 9982332 |
|  True Developed International Fund | (44635683) | &nbsp;&nbsp;&nbsp; 44635683 |

---

GAAP provides guidance on tax provisions that prescribe a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. As of and during the fiscal year or period ended March 31, 2026, the Funds did not have any liabilities for unrecognized tax benefits relating to uncertain income tax positions they have taken or expect to take in the future. If applicable, the Funds will recognize interest accrued related to unrecognized tax benefits in interest expense and penalties in "*Other*" expenses on the Statements of Operations. The Funds file tax returns with the Internal Revenue Service, the State of New York, and various other states. Specific to U.S. federal and state taxes, generally, each of the tax years in the four-year period ended March 31, 2026, remains subject to examination by taxing authorities. Specific to U.S. federal and state taxes, generally, each of the tax years in the four-year period ended March 31, 2026, remains subject to examination by taxing authorities. Specific to foreign countries in which the Funds invest, all open tax years remain subject to examination by taxing authorities in the respective jurisdictions. The open tax years vary by each jurisdiction in which each Fund invests.

As a result of several European Court of Justice ("ECJ") court cases in certain countries across the European Union ("EU"), certain Funds have filed additional tax reclaims for previously withheld taxes on dividends earned in those countries ("ECJ tax reclaims"). These additional filings are subject to various administrative proceedings by the local jurisdictions' tax authorities within the EU, as well as a number of related judicial proceedings. Income recognized, if any, for ECJ tax reclaims is reflected as "*Other income*" in the Statements of Operations and the cost to file these additional ECJ tax reclaims is reflected as "*Other fees*" in the Statements of Operations. When the ECJ tax reclaim is not "more likely than not" to be sustained assuming examination by tax authorities due to the uncertainty that exists as to the ultimate resolution of these proceedings, the likelihood of receipt of these ECJ tax reclaims, and the potential timing of payment, no amounts are reflected in the financial statements. For U.S. income tax purposes, ECJ tax reclaims received by the Funds, if any, reduce the amounts of foreign taxes Fund shareholders can use as tax credits in their individual income tax returns. In the event that ECJ tax reclaims received by a Fund during the fiscal year exceed foreign withholding taxes paid, and a Fund previously passed foreign tax credits on to its shareholders, a Fund must either amend historic tax reporting to shareholders or enter into a closing agreement with the Internal Revenue Service in order to pay the associated tax liability on behalf of the respective Fund's shareholders. During the fiscal year or period ended March 31, 2026, the ECJ tax reclaims received by the Funds, if any, did not exceed the foreign withholding taxes of the respective Funds.

The Funds adopted FASB Accounting Standards Update 2023-09, Income Taxes (Topic 740) — Improvements to Income Tax Disclosures, which enhances income tax disclosures, including disclosure of income taxes paid disaggregated by jurisdiction. Adoption of the new standard impacted financial statement disclosures only and did not affect any Fund's financial position or the results of its operations. During the fiscal year or period ended March 31, 2026, there were no significant taxes paid in foreign jurisdictions.

156&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Notes to Financial Statements (concluded)**<br>

7. OPERATING SEGMENTS

Each Fund in the Trust operates in one segment. The segment derives its revenues from each Fund's investments made in accordance with the defined investment strategy of each Fund, as prescribed in the Trust's prospectus. The accounting policies are the same as those described in Note 2 - Significant Accounting Policies. The Chief Operating Decision Maker ("CODM") is the President of the Trust. The CODM monitors the operating results of each Fund. The financial information the CODM leverages to assess the segment's performance and to make decisions for each Fund's single segment, is consistent with that presented within each Fund's financial statements.

8. SUBSEQUENT EVENTS

WTAM has evaluated all subsequent transactions and events through the date on which these financial statements were issued and has determined that no additional items require disclosure in these financial statements.

9. ADDITIONAL INFORMATION

The value of a Fund's investments may be adversely affected by recent and current events occurring outside of the United States, including those affecting foreign markets (including extreme volatility, depressed valuations, and decreased liquidity), significant geopolitical events (including armed conflicts, terror attacks, and disruptions to foreign economic and trade relationships), and public health emergencies (including pandemics such as the COVID-19 pandemic), among other events. For example, ongoing armed conflicts between Russia and Ukraine in Europe and among Israel, Hamas and other militant groups in the Middle East, and related sanctions and trading restrictions have caused significant market disruptions and volatility within the markets in Russia, Europe, the Middle East and the United States. Similarly, the policy agenda of the new U.S. administration has introduced heightened risks, including economic policy and market risks with the imposition of significant tariffs and other trade-related initiatives that have disrupted, and could continue to disrupt, markets globally. Trade disputes and retaliatory actions, such as embargoes and other trade limitations, may reduce the profitability of companies in which the Funds invest, lead to a significant reduction in international trade, and adversely affect the growth of the global economy. Trade disputes may also increase currency exchange rate volatility, which can adversely affect the prices of certain of Fund investments and the ability of certain Funds to hedge their currency risk, and negatively affect investor confidence in the markets generally and investment growth and could contribute to volatility or overall declines in the U.S. and global investment markets. While the aggregate effect of these policies is unknown, initially they appear to be escalating tensions between the United States and certain subject countries, as well as globally, and increasing volatility in the markets generally. The extent and duration of these conflicts, policy initiatives, and tensions are impossible to predict, and they could continue to result in significant market disruptions, including with respect to certain industries or sectors, such as the oil and natural gas markets, and may negatively affect global supply chains, inflation and global growth. These conflicts, policy initiatives, and tensions could adversely affect the value of certain Fund investments, as well as a Fund's performance and liquidity, even if the Fund does not have direct investment exposure to a country involved in a particular conflict or industry directly affected by trade restrictions.

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;157

**Report of Independent Registered Public Accounting Firm** <br>

To the Shareholders of WisdomTree Europe Defense Fund, WisdomTree Europe Hedged Equity Fund, WisdomTree European Opportunities Fund (formerly, WisdomTree Europe Hedged SmallCap Equity Fund), WisdomTree Europe Quality Dividend Growth Fund, WisdomTree Europe SmallCap Dividend Fund, WisdomTree International AI Enhanced Value Fund, WisdomTree International Equity Fund, WisdomTree International Hedged Quality Dividend Growth Fund, WisdomTree International High Dividend Fund, WisdomTree International MidCap Dividend Fund, WisdomTree International Multifactor Fund, WisdomTree International Quality Dividend Growth Fund, WisdomTree International SmallCap Dividend Fund, WisdomTree Japan Hedged Equity Fund, WisdomTree Japan Opportunities Fund (formerly, WisdomTree Japan Hedged SmallCap Equity Fund), WisdomTree Japan SmallCap Dividend Fund, and WisdomTree True Developed International Fund (formerly, WisdomTree International LargeCap Dividend Fund), and the Board of Trustees of WisdomTree Trust

**Opinion on the Financial Statements**

We have audited the accompanying statements of assets and liabilities of WisdomTree Europe Defense Fund, WisdomTree Europe Hedged Equity Fund, WisdomTree European Opportunities Fund, WisdomTree Europe Quality Dividend Growth Fund, WisdomTree Europe SmallCap Dividend Fund, WisdomTree International AI Enhanced Value Fund, WisdomTree International Equity Fund, WisdomTree International Hedged Quality Dividend Growth Fund, WisdomTree International High Dividend Fund, WisdomTree International MidCap Dividend Fund, WisdomTree International Multifactor Fund, WisdomTree International Quality Dividend Growth Fund, WisdomTree International SmallCap Dividend Fund, WisdomTree Japan Hedged Equity Fund, WisdomTree Japan Opportunities Fund, WisdomTree Japan SmallCap Dividend Fund, WisdomTree True Developed International Fund (collectively referred to as the "Funds"), (seventeen of the funds constituting WisdomTree Trust (the "Trust")), including the schedules of investments, as of March 31, 2026, and the related statements of operations and changes in net assets, and the financial highlights for each of the periods indicated in the table below and the related notes (collectively referred to as the "financial statements"). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds (seventeen of the funds constituting WisdomTree Trust) at March 31, 2026, and the results of their operations, changes in net assets and financial highlights for each of the periods indicated in the table below, in conformity with U.S. generally accepted accounting principles.

---

| | | | |
|:---|:---|:---|:---|
| **Individual fund constituting the WisdomTree Trust** | Statement of <br>operations | Statements of changes <br>in net assets | Financial highlights |
|  WisdomTree Europe Hedged Equity Fund<br> WisdomTree European Opportunities Fund<br> WisdomTree Europe Quality Dividend Growth Fund<br> WisdomTree Europe SmallCap Dividend Fund<br> WisdomTree International AI Enhanced Value Fund<br> WisdomTree International Equity Fund<br> WisdomTree International Hedged Quality Dividend Growth Fund<br> WisdomTree International High Dividend Fund<br> WisdomTree International MidCap Dividend Fund<br> WisdomTree International Multifactor Fund<br> WisdomTree International Quality Dividend Growth Fund<br> WisdomTree International SmallCap Dividend Fund<br> WisdomTree Japan Hedged Equity Fund<br> WisdomTree Japan Opportunities Fund<br> WisdomTree Japan SmallCap Dividend Fund<br> WisdomTree True Developed International Fund | For the year ended March 31, 2026 | For each of the two years in the period ended March 31, 2026 | For each of the five years in the period ended March 31, 2026 |
|  WisdomTree Europe Defense Fund | For the period July 17, 2025 (commencement of operations) through March 31, 2026 | For the period July 17, 2025 (commencement of operations) through March 31, 2026 | For the period July 17, 2025 (commencement of operations) through March 31, 2026 |

---

**Basis for Opinion**

These financial statements are the responsibility of the Trust's management. Our responsibility is to express an opinion on each of the Funds' financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) ("PCAOB") and are required to be independent with respect to the Trust in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

158&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Report of Independent Registered Public Accounting Firm (concluded)**<br>

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Trust is not required to have, nor were we engaged to perform, an audit of the Trust's internal control over financial reporting. As part of our audits, we are required to obtain an understanding of internal control over financial reporting, but not for the purpose of expressing an opinion on the effectiveness of the Trust's internal control over financial reporting. Accordingly, we express no such opinion.

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our procedures included confirmation of securities owned as of March 31, 2026, by correspondence with the custodian, brokers and others; when replies were not received from brokers, we performed other auditing procedures. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

![](ternst_sig.jpg)

We have served as the auditor of one or more WisdomTree investment companies since 2006.

New York, New York

May 27, 2026

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;159

**Supplemental Information (unaudited)** <br>

**Federal Income Tax Information**

The following Federal tax information related to the Funds' fiscal year or period ended March 31, 2026, is provided for information purposes only and should not be used for reporting to federal or state revenue agencies. Federal tax information for the calendar year will be reported to you on Form 1099-DIV in January 2027.

Certain dividends paid by the Funds may be subject to a maximum tax rate of 15%, as provided by the Jobs and Growth Tax Relief Reconciliation Act of 2003. Of the distributions paid during the fiscal year ended March 31, 2026, the following represents the maximum amount of ordinary income distributions that may be considered qualified dividend income:

---

| | |
|:---|:---|
| Fund | Qualified Dividend<br>Income |
|  Europe Defense Fund | $&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 24584 |
|  Europe Hedged Equity Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 33995175 |
|  European Opportunities Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 4695982 |
|  Europe Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1986439 |
|  Europe SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 7647880 |
|  International AI Enhanced Value Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1970509 |
|  International Equity Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 19864082 |
|  International Hedged Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 54084780 |
|  International High Dividend Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 20363588 |
|  International MidCap Dividend Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 5359704 |
|  International Multifactor Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 1132116 |
|  International Quality Dividend Growth Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 18247419 |
|  International SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 38983882 |
|  Japan Hedged Equity Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 69743863 |
|  Japan Opportunities Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 2684962 |
|  Japan SmallCap Dividend Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 9946107 |
|  True Developed International Fund | &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 20800109 |

---

The Funds designate the following amount of ordinary income distributions paid during the fiscal year or period ended March 31, 2026 from qualified short-term gains and qualified interest income:

---

| | | |
|:---|:---|:---|
| Fund | Gross Foreign Income | Foreign Taxes Paid |
|  Europe Defense Fund | $&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 18073 | $&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 3069 |
|  Europe Hedged Equity Fund | 38393037 | 3141425 |
|  European Opportunities Fund | 6019989 | 499524 |
|  Europe Quality Dividend Growth Fund | 1687162 | 137412 |
|  Europe SmallCap Dividend Fund | 7297558 | 469130 |
|  International AI Enhanced Value Fund | 2092915 | 69185 |
|  International Equity Fund | 19211077 | 1445309 |
|  International Hedged Quality Dividend Growth Fund | 52172128 | 4072920 |
|  International High Dividend Fund | 21042643 | 1549638 |
|  International MidCap Dividend Fund | 5416165 | 458964 |
|  International Multifactor Fund | 1160134 | 67837 |
|  International Quality Dividend Growth Fund | 16871404 | 1113160 |
|  International SmallCap Dividend Fund | 38275405 | 2743367 |
|  Japan Hedged Equity Fund | 110962459 | 11330716 |
|  Japan Opportunities Fund | 3735224 | 516956 |
|  Japan SmallCap Dividend Fund | 9884481 | 1245043 |
|  True Developed International Fund | 20435942 | 1424604 |

---

160&nbsp;&nbsp;&nbsp;&nbsp;WisdomTree Trust

**Additional Information (unaudited)** <br>

**Item 8 of Form N-CSR: Changes in and Disagreements with Accountants for Open-End Management Investment Companies.**

Not applicable.

**Item 9 of Form N-CSR: Proxy Disclosures for Open-End Management Investment Companies.**

Not applicable.

**Item 10 of Form N-CSR: Remuneration Paid to Directors, Officers, and Others of Open-End Management Investment Companies.**

---

| | |
|:---|:---|
| Name of Trustee | Board <br>Compensation |
|  Interested Trustee |  |
| &nbsp;&nbsp;&nbsp; Jonathan Steinberg | $&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 0 |
|  Independent Trustees |  |
| &nbsp;&nbsp;&nbsp; David G. Chrencik | 418325 |
| &nbsp;&nbsp;&nbsp; Phillip G. Goff | 380296 |
| &nbsp;&nbsp;&nbsp; Joel Goldberg | 437340 |
| &nbsp;&nbsp;&nbsp; Toni Massaro | 399311 |
| &nbsp;&nbsp;&nbsp; Melinda A. Raso Kirstein | 418325 |
| &nbsp;&nbsp;&nbsp; Victor Ugolyn | 570444 |

---

**Item 11 of Form N-CSR: Statement Regarding Basis for Approval of Investment Advisory and Sub-Advisory Contracts.**

Not applicable.

WisdomTree Trust&nbsp;&nbsp;&nbsp;&nbsp;161

The WisdomTree Funds are exchange traded funds ("ETFs") registered with the United States Securities and Exchange Commission as separate series ("Funds") of WisdomTree Trust ("Trust"). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree, Inc., serves as the investment adviser to the Trust. None of the WisdomTree entities are affiliated with Foreside Fund Services, LLC, the Funds' distributor. WisdomTree, Inc., its affiliates and their independent providers are not liable for any informational errors, incompleteness, delays, or for any actions taken in reliance on information contained herein.

There are risks associated with investing including possible loss of principal. 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 their investments in one country or region may be significantly impacted by 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 investments in developed markets and are subject to additional risks, such as risks of adverse governmental regulation and intervention or political developments. Investments in currency involve additional special risks, such as credit risk and interest rate fluctuations. Derivative investments can be volatile and these investments may be less liquid than other securities, and more sensitive to 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 such issuers. Dividends are not guaranteed, and a company currently paying dividends may cease paying dividends at any time. Due to the investment strategy of certain Funds they may make higher capital gain distributions than other ETFs. Please read the Fund's prospectus for specific details regarding the Fund's risk profile.

Indexes are unmanaged and you cannot invest directly in an index.

Transactions in Fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the Funds only by authorized participants in large creation unit sizes of shares.

This report is intended for the Funds' shareholders. It may not be distributed to prospective investors unless it is preceded or accompanied by the current prospectus.

------

**&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;**

WisdomTree Fund shares are distributed by Foreside Fund Services, LLC.

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&nbsp;&nbsp;&nbsp;&nbsp;(a) An open-end management investment company registered on Form N-1A [17 CFR 239.15A and 17 CFR 274.11A] must
 file the information required by Item 13 of Form N-1A.

**Item 8. Changes in and Disagreements with Accountants for Open-End Management Investment Companies.**

Not applicable.

**Item 9. Proxy Disclosures for Open-End Management Investment Companies.**

Not applicable.

**Item 10. Remuneration Paid to Directors, Officers, and Others of Open-End Management Investment Companies.** 

---

| | |
|:---|:---|
| **Name of Trustee** | **Board Compensation** |
| **Interested Trustee** | |
| &nbsp;&nbsp;Jonathan Steinberg | $0 |
| **Independent Trustee** |  |
| &nbsp;&nbsp;David G. Chrencik | 418325 |
| &nbsp;&nbsp;Phillip Goff | 380296 |
| &nbsp;&nbsp;Joel Goldberg | 437340 |
| &nbsp;&nbsp;Toni Massaro | 399311 |
| &nbsp;&nbsp;Melinda Raso Kirstein | 418325 |
| &nbsp;&nbsp;Victor Ugolyn | 570444 |

---

**Item 11. Statement Regarding Basis for Approval of Investment Advisory and Sub-Advisory Contracts.**

Not applicable.

**Item 12. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.**

Not applicable.

**Item 13. Portfolio Managers of Closed-End Management Investment Companies.**

Not applicable.

**Item 14. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.**

Not applicable.

**Item 15. Submission of Matters to a Vote of Security Holders.**

There have been no material changes to the procedures by which shareholders may recommend nominees to the Registrant's Board, where those changes were implemented after the Registrant last provided disclosure in response to the requirements of Item 407(c)(2)(iv) of Regulation S-K (17 CFR 229.407) (as required by Item 22(b)(15) of Schedule 14A (17 CFR 240.14a-101)), or this Item.

**Item 16. Controls and Procedures.**

&nbsp;&nbsp;&nbsp;&nbsp;(a) The Registrant's principal executive and principal financial officers, or persons performing similar
 functions, have concluded that the Registrant's disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment
 Company Act of 1940, as amended (the "1940 Act") (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the
 filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures
 required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act
 of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)).

&nbsp;&nbsp;&nbsp;&nbsp;(b) There were no changes in the Registrant's internal control over financial reporting (as defined in Rule
 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d))) that occurred during the period covered by the Shareholder Reports that has materially
 affected, or are reasonably likely to materially affect, the Registrant's internal control over financial reporting.

**Item 17. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.**

Not applicable.

**Item 18. Recovery of Erroneously Awarded Compensation.**

Not Applicable.

**Item 19. Exhibits.**

(a)(1) The Registrant's Code of Ethics is attached hereto.

(a)(2) Not applicable.

(a)(3) [Certifications pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto.](ex99_a3.htm)

(a)(4) There were no written solicitations to purchase securities under Rule 23c-1 under the Act sent or given during the period covered by the report by or on behalf of the Registrant to 10 or more persons.

(a)(5) There was no change in the Registrant's independent public accountant during the period covered by the report.

&nbsp;&nbsp;&nbsp;&nbsp;(b) [Certifications pursuant to Rule 30a-2(b) under the 1940 Act and Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto.](ex99_b.htm)

**SIGNATURES**

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

---

| | |
|:---|:---|
| (Registrant) | WisdomTree Trust |
| By (Signature and Title) | <u>/s/ Jonathan L. Steinberg</u> |
|  | Jonathan L. Steinberg, President |
|  | (principal executive officer) |
| Date: June 5, 2026 |  |

---

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

---

| | |
|:---|:---|
| By (Signature and Title) | <u>/s/ Jonathan L. Steinberg</u> |
|  | Jonathan L. Steinberg, President |
|  | (principal executive officer) |
| Date: June 5, 2026 |  |

---

---

| | |
|:---|:---|
| By (Signature and Title) | <u>/s/ David Castano</u> |
|  | David Castano, Treasurer |
|  | (principal financial officer) |
| Date: June 5, 2026 |  |

---

## Ex-99.A3

**Exhibit 99(a)(3)**

**Certification Pursuant to Rule 30a-2(a) under the 1940 Act and**<br> **Section 302 of the Sarbanes-Oxley Act**

I, Jonathan L. Steinberg, certify that:

1. I have reviewed this report on Form N-CSR of WisdomTree Trust;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to
state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not
misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report,
fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the
financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this
report;

4. The Registrant's other certifying officer(s) and I are responsible for establishing and maintaining
disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial
reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to
be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries,
is made known to us by others within those entities, particularly during the period in which this report is being prepared;

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(b) Designed such internal control over financial reporting, or caused such internal control over financial
reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the
preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(c) Evaluated the effectiveness of the Registrant's disclosure controls and procedures and presented
in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to
the filing date of this report based on such evaluation; and

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(d) Disclosed in this report any change in the Registrant's internal control over financial reporting
that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the
Registrant's internal control over financial reporting; and

5. The Registrant's other certifying officer(s) and I have disclosed to the Registrant's auditors
and the audit committee of the Registrant's board of directors (or persons performing the equivalent functions):

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(a) All significant deficiencies and material weaknesses in the design or operation of internal control over
financial reporting which are reasonably likely to adversely affect the Registrant's ability to record, process, summarize, and
report financial information; and

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(b) Any fraud, whether or not material, that involves management or other employees who have a significant
role in the Registrant's internal control over financial reporting.

---

| | |
|:---|:---|
| Date: June 5, 2026 | <u>/s/ Jonathan L. Steinberg</u> |
|  | Jonathan L. Steinberg, President |
|  | (principal executive officer) |

---

**Certification Pursuant to Rule 30a-2(a) under the 1940 Act and**<br> **Section 302 of the Sarbanes-Oxley Act**

I, David Castano, certify that:

1. I have reviewed this report on Form N-CSR of WisdomTree Trust;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to
state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not
misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report,
fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the
financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this
report;

4. The Registrant's other certifying officer(s) and I are responsible for establishing and maintaining
disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial
reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to
be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries,
is made known to us by others within those entities, particularly during the period in which this report is being prepared;

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(b) Designed such internal control over financial reporting, or caused such internal control over financial
reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the
preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(c) Evaluated the effectiveness of the Registrant's disclosure controls and procedures and presented
in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to
the filing date of this report based on such evaluation; and

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(d) Disclosed in this report any change in the Registrant's internal control over financial reporting
that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the
Registrant's internal control over financial reporting; and

5. The Registrant's other certifying officer(s) and I have disclosed to the Registrant's auditors
and the audit committee of the Registrant's board of directors (or persons performing the equivalent functions):

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(a) All significant deficiencies and material weaknesses in the design or operation of internal control over
financial reporting which are reasonably likely to adversely affect the Registrant's ability to record, process, summarize, and
report financial information; and

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(b) Any fraud, whether or not material, that involves management or other employees who have a significant
role in the Registrant's internal control over financial reporting.

---

| | |
|:---|:---|
| Date: June 5, 2026 | <u>/s/ David Castano</u> |
|  | David Castano, Treasurer |
|  | (principal financial officer) |

---

## Ex-99.B

**Exhibit 99(b)**

**Certification Pursuant to Rule 30a-2(b) under the 1940 Act<br> and Section 906 of the Sarbanes-Oxley Act**

I, Jonathan L. Steinberg, President of WisdomTree Trust (the "Registrant"), certify that:

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;1. The Form N-CSR of the Registrant (the "Report") fully complies with the requirements of Section
13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;2. The information contained in the Report fairly presents, in all material respects, the financial condition
and results of operations of the Registrant.

---

| | | |
|:---|:---|:---|
| Date: | June 5, 2026 | <u>/s/ Jonathan L. Steinberg</u> |
| | | Jonathan L. Steinberg, President |
| | | (principal executive officer) |

---

I, David Castano, Treasurer of the WisdomTree Trust (the "Registrant"), certify that:

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;1. The Form N-CSR of the Registrant (the "Report") fully complies with the requirements of Section
13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;2. The information contained in the Report fairly presents, in all material respects, the financial condition
and results of operations of the Registrant.

---

| | | |
|:---|:---|:---|
| Date: | June 5, 2026 | <u>/s/ David Castano</u> |
| | | David Castano, Treasurer |
| | | (principal financial officer) |

---