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N-Q1v084037_nq.txt

UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, DC 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANY

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

WisdomTree Trust-------------------------------------------------------------------------------- (Exact name of Registrant as specified in charter)

48 Wall Street, Suite 1100 New York, NY 10005--------------------------------------------------------------------------------(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: June 30, 2007 -------------

Form N-Q is to be used by management investment companies, other thansmall business investment companies registered on Form N-5 (ss.ss. 239.24 and274.5 of this chapter), to file reports with the Commission, not later than 60days after the close of the first and third fiscal quarters, pursuant to rule30b1-5 under the Investment Company Act of 1940 (17 CFR 270.30b1-5). TheCommission may use the information provided on Form N-Q in its regulatory,disclosure review, inspection, and policymaking roles.

A registrant is required to disclose the information specified by FormN-Q, and the Commission will make this information public. A registrant is notrequired to respond to the collection of information contained in Form N-Qunless the Form displays a currently valid Office of Management and Budget("OMB") control number. Please direct comments concerning the accuracy of theinformation collection burden estimate and any suggestions for reducing theburden to the Secretary, Securities and Exchange Commission, 450 Fifth Street,NW, Washington, DC 20549-0609. The OMB has reviewed this collection ofinformation under the clearance requirements of 44 U.S.C. ss. 3507.

Item 1. Schedule of Investments.

Schedule of Investments (unaudited)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

COMMON STOCKS--99.7%Advertising--0.1%Harte-Hanks, Inc. 744 $ 19,106Omnicom Group, Inc. 1,272 67,314 -------------Total Advertising 86,420 -------------Aerospace/Defense--1.6%Boeing Co. (The) 3,513 337,810DRS Technologies, Inc. 424 24,282General Dynamics Corp. 1,801 140,874Goodrich Corp. 682 40,620L-3 Communications Holdings, Inc. 341 33,210Lockheed Martin Corp. 2,133 200,779Northrop Grumman Corp. 1,975 153,793Raytheon Co. 2,919 157,305Rockwell Collins, Inc. 465 32,848United Technologies Corp. 5,461 387,349 -------------Total Aerospace/Defense 1,508,870 -------------Agriculture--2.8%Altria Group, Inc. 29,031 2,036,234Loews Corp. 930 71,861Reynolds American, Inc. 4,526 295,095Universal Corp. 466 28,389UST, Inc. 2,110 113,328Vector Group Ltd. 1,718 38,706 -------------Total Agriculture 2,583,613 -------------Airlines--0.0%Southwest Airlines Co. 1,295 19,308 -------------Apparel--0.3%Columbia Sportswear Co. 351 24,107Jones Apparel Group, Inc. 589 16,639Liz Claiborne, Inc. 527 19,657NIKE, Inc. Class B 1,736 101,191Phillips-Van Heusen Corp. 436 26,409Polo Ralph Lauren Corp. 341 33,456VF Corp. 1,014 92,862 -------------Total Apparel 314,321 -------------Auto Manufacturers--0.4%General Motors Corp. 6,500 245,701Oshkosh Truck Corp. 372 23,406Paccar, Inc. 962 83,732 -------------Total Auto Manufacturers 352,839 -------------Auto Parts & Equipment--0.2%BorgWarner, Inc. 472 40,611Johnson Controls, Inc. 1,130 130,820 -------------Total Auto Parts & Equipment 171,431 -------------Banks--11.6%Alabama National BanCorp. 373 23,066Associated Banc-Corp 1,333 43,589BancorpSouth, Inc. 775 18,957

See Notes to Schedule of Investments.

1

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Bank of America Corp. 63,271 $ 3,093,318Bank of Hawaii Corp. 434 22,412Bank of New York Co., Inc. (The) 6,101 252,825BB&T Corp. 6,933 282,034BOK Financial Corp. 801 42,789Boston Private Financial Holdings, Inc. 651 17,492Capital One Financial Corp. 363 28,474Cathay General Bancorp 527 17,676Central Pacific Financial Corp. 992 32,746Chittenden Corp. 1,230 42,989Citizens Banking Corp. 1,792 32,794City National Corp. 310 23,588Colonial BancGroup, Inc. (The) 1,302 32,511Comerica, Inc. 2,080 123,698Commerce Bancshares, Inc. 426 19,298Compass Bancshares, Inc. 1,209 83,397Cullen/Frost Bankers, Inc. 810 43,311East West Bancorp, Inc. 496 19,284Fifth Third Bancorp 7,518 298,991First Citizens BancShares, Inc. Class A 93 18,079First Community Bancorp 481 27,518First Horizon National Corp. 1,677 65,403First Midwest Bancorp, Inc. 527 18,714First Republic Bank 434 23,288FirstMerit Corp. 1,116 23,358FNB Corp./PA 1,760 29,462Frontier Financial Corp. 837 18,858Fulton Financial Corp. 1,832 26,417Glacier Bancorp, Inc. 1,273 25,906Greater Bay Bancorp 890 24,778Huntington Bancshares, Inc. 3,205 72,882International Bancshares Corp. 1,390 35,612KeyCorp 5,067 173,950M&T Bank Corp. 690 73,761Marshall & Ilsley Corp. 1,975 94,069MB Financial, Inc. 701 24,353Mellon Financial Corp. 2,888 127,072National City Corp. 8,622 287,285Northern Trust Corp. 1,178 75,675Old National Bancorp 2,910 48,335Pacific Capital Bancorp 558 15,055Park National Corp. 186 15,771People's United Financial, Inc. 2,473 43,846PNC Financial Services Group, Inc. (The) 3,408 243,945Prosperity Bancshares, Inc. 589 19,296Provident Bankshares Corp. 527 17,275South Financial Group, Inc. (The) 2,058 46,593State Street Corp. 1,302 89,057Sterling Financial Corp./WA 651 18,840SunTrust Banks, Inc. 3,476 298,032Susquehanna Bancshares, Inc. 837 18,724Synovus Financial Corp. 2,793 85,745TCF Financial Corp. 1,476 41,033Trustmark Corp. 620 16,033U.S. Bancorp 23,388 770,634UCBH Holdings, Inc. 1,085 19,823UMB Financial Corp. 589 21,716Umpqua Holdings Corp. 1,164 27,366UnionBanCal Corp. 1,515 90,446United Bankshares, Inc. 676 21,497United Community Banks, Inc. 939 24,311Valley National Bancorp 1,302 29,282Wachovia Corp. 28,190 1,444,737

See Notes to Schedule of Investments.

2

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Webster Financial Corp. 824 $ 35,160Wells Fargo & Co. 36,380 1,279,484Westamerica Bancorp 403 17,829Whitney Holding Corp. 1,811 54,511Wilmington Trust Corp. 589 24,449Wintrust Financial Corp. 372 16,312Zions Bancorp 721 55,452 -------------Total Banks 10,812,268 -------------Beverages--2.5%Anheuser-Busch Cos., Inc. 7,261 378,734Brown-Forman Corp. Class A 248 18,816Coca-Cola Co. (The) 21,044 1,100,811Coca-Cola Enterprises, Inc. 1,739 41,736Molson Coors Brewing Co. Class B 372 34,395Pepsi Bottling Group, Inc. 1,054 35,499PepsiAmericas, Inc. 1,419 34,851PepsiCo, Inc. 10,779 699,018 -------------Total Beverages 2,343,860 -------------Building Materials--0.3%American Standard Cos., Inc. 1,054 62,165Eagle Materials, Inc. 465 22,808Florida Rock Industries, Inc. 403 27,203Lennox International, Inc. 642 21,976Martin Marietta Materials, Inc. 217 35,158Masco Corp. 4,019 114,421 -------------Total Building Materials 283,731 -------------Chemicals--2.4%Air Products & Chemicals, Inc. 1,398 112,357Airgas, Inc. 489 23,423Albemarle Corp. 868 33,444Ashland, Inc. 346 22,127Cabot Corp. 589 28,084Celanese Corp. Series A 1,023 39,672Chemtura Corp. 2,142 23,798Cytec Industries, Inc. 341 21,746Dow Chemical Co. (The) 12,142 536,918E.I. du Pont de Nemours & Co. 9,836 500,062Eastman Chemical Co. 868 55,838Ecolab, Inc. 837 35,740FMC Corp. 286 25,566International Flavors & Fragrances, Inc. 589 30,710Lubrizol Corp. 496 32,017Lyondell Chemical Co. 3,496 129,772Monsanto Co. 1,689 114,075PPG Industries, Inc. 1,522 115,839Praxair, Inc. 1,832 131,886Rohm & Haas Co. 1,823 99,682RPM International, Inc. 1,302 30,089Sherwin-Williams Co. (The) 593 39,417Sigma-Aldrich Corp. 566 24,151Valhi, Inc. 724 11,801Valspar Corp. (The) 713 20,256Westlake Chemical Corp. 649 18,250 -------------Total Chemicals 2,256,720 -------------

See Notes to Schedule of Investments.

3

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Coal--0.1%Arch Coal, Inc. 465 $ 16,182Consol Energy, Inc. 419 19,320Foundation Coal Holdings, Inc. 334 13,574Massey Energy Co. 543 14,471Peabody Energy Corp. 691 33,430 -------------Total Coal 96,977 -------------Commercial Services--0.6%Advance America, Cash Advance Centers, Inc. 1,302 23,097Deluxe Corp. 1,399 56,813DeVry, Inc. 791 26,910Equifax, Inc. 558 24,786H&R Block, Inc. 2,359 55,130Manpower, Inc. 527 48,610McKesson Corp. 434 25,884Moody's Corp. 347 21,583Pharmaceutical Product Development, Inc. 375 14,351R.R. Donnelley & Sons Co. 2,960 128,791Robert Half International, Inc. 1,014 37,011Service Corp. International 2,421 30,940ServiceMaster Co. (The) 3,585 55,424Sotheby's Class A 578 26,600Weight Watchers International, Inc. 465 23,641 -------------Total Commercial Services 599,571 -------------Computers--1.2%Diebold, Inc. 701 36,592Electronic Data Systems Corp. 1,178 32,666Factset Research Systems, Inc. 332 22,692Hewlett-Packard Co. 7,271 324,432International Business Machines Corp. 6,977 734,330 -------------Total Computers 1,150,712 -------------Cosmetics/Personal Care--1.8%Avon Products, Inc. 3,143 115,505Colgate-Palmolive Co. 3,578 232,033Estee Lauder Cos., Inc. (The) Class A 445 20,252Procter & Gamble Co. 21,023 1,286,398 -------------Total Cosmetics/Personal Care 1,654,188 -------------Distribution/Wholesale--0.2%CDW Corp. 686 58,289Fastenal Co. 496 20,763Genuine Parts Co. 1,470 72,912W.W. Grainger, Inc. 341 31,730 -------------Total Distribution/Wholesale 183,694 -------------Diversified Financial Services--8.4%Advanta Corp. Class B 790 24,601AG Edwards, Inc. 589 49,800American Express Co. 4,019 245,882Ameriprise Financial, Inc. 744 47,296Bear, Stearns & Co., Inc. 310 43,400BlackRock, Inc. 487 76,259Charles Schwab Corp. (The) 4,456 91,437

See Notes to Schedule of Investments.

4

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Chicago Mercantile Exchange Holdings, Inc. Class A 62 $ 33,130CIT Group, Inc. 930 50,992Citigroup, Inc. 65,702 3,369,857Cohen & Steers, Inc. 213 9,255Eaton Vance Corp. 744 32,870Fannie Mae 2,228 145,555Federated Investors, Inc. Class B 722 27,674First Marblehead Corp. (The) 353 13,640Franklin Resources, Inc. 403 53,385Freddie Mac 6,639 402,987GAMCO Investors, Inc. Class A 428 23,989Goldman Sachs Group, Inc. 977 211,765Greenhill & Co., Inc. (a) 233 16,009International Securities Exchange, Inc. 474 30,976Janus Capital Group, Inc. 1,364 37,974Jefferies Group, Inc. 713 19,237JPMorgan Chase & Co. 34,424 1,667,843Legg Mason, Inc. 406 39,942Lehman Brothers Holdings, Inc. 1,085 80,854Merrill Lynch & Co., Inc. 3,252 271,802Morgan Stanley 5,014 420,574National Financial Partners Corp. 366 16,949Nuveen Investments, Inc. Class A 465 28,900optionsXpress Holdings, Inc. 575 14,755Raymond James Financial, Inc. 682 21,074Student Loan Corp. (The) 124 25,284T. Rowe Price Group, Inc. 1,178 61,126Thornburg Mortgage, Inc. (a) 4,015 105,113Waddell & Reed Financial, Inc. Class A 899 23,383 -------------Total Diversified Financial Services 7,835,569 -------------Electric--5.5%Alliant Energy Corp. 1,302 50,583Ameren Corp. 774 37,934American Electric Power Co., Inc. 5,359 241,369Avista Corp. 868 18,705Black Hills Corp. 558 22,181CenterPoint Energy, Inc. 4,860 84,564Central Vermont Public Service Corp. 46 1,733Consolidated Edison, Inc. 4,054 182,916Constellation Energy Group, Inc. 1,522 132,673Dominion Resources, Inc. 4,009 346,017DPL, Inc. 1,460 41,376DTE Energy Co. 2,857 137,765Duke Energy Corp. 16,650 304,695Edison International 2,669 149,784Energy East Corp. 3,609 94,159Entergy Corp. 1,557 167,144Exelon Corp. 5,994 435,165FirstEnergy Corp. 3,123 202,152FPL Group, Inc. 3,768 213,796Great Plains Energy, Inc. 1,937 56,405Hawaiian Electric Industries, Inc. 1,628 38,567IDACORP, Inc. 968 31,015Integrys Energy Group, Inc. 1,146 58,137ITC Holdings Corp. 557 22,631MDU Resources Group, Inc. 1,266 35,499Northeast Utilities 1,708 48,439NSTAR 1,398 45,365OGE Energy Corp. 1,271 46,582Ormat Technologies, Inc. 558 21,025

See Notes to Schedule of Investments.

5

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Pepco Holdings, Inc. 2,619 $ 73,856PG&E Corp. 3,651 165,390Pinnacle West Capital Corp. 1,946 77,548PNM Resources, Inc. 746 20,731Portland General Electric Co. 613 16,821PPL Corp. 3,774 176,585Progress Energy, Inc. 5,236 238,709Public Service Enterprise Group, Inc. 2,793 245,170Puget Energy, Inc. 2,514 60,789SCANA Corp. 2,030 77,729Southern Co. 10,543 361,519TECO Energy, Inc. 3,043 52,279TXU Corp. 1,118 75,241Westar Energy, Inc. 1,271 30,860Wisconsin Energy Corp. 837 37,021Xcel Energy, Inc. 5,988 122,574 -------------Total Electric 5,101,198 -------------Electrical Components & Equipment--0.4%Ametek, Inc. 623 24,721Emerson Electric Co. 6,454 302,047Hubbell, Inc. Class B 403 21,851 -------------Total Electrical Components & Equipment 348,619 -------------Electronics--0.2%Amphenol Corp. Class A 744 26,524Applera Corp. 357 10,903AVX Corp. 2,016 33,748Gentex Corp. 1,830 36,033Jabil Circuit, Inc. 1,824 40,255Tektronix, Inc. 1,248 42,107 -------------Total Electronics 189,570 -------------Engineering & Construction--0.1%Fluor Corp. 254 28,288Granite Construction, Inc. 348 22,335 -------------Total Engineering & Construction 50,623 -------------Entertainment--0.1%International Game Technology 1,460 57,962International Speedway Corp. Class A 403 21,242Regal Entertainment Group Class A 1,271 27,873 -------------Total Entertainment 107,077 -------------Environmental Control--0.1%Republic Services, Inc. 1,596 48,901 -------------Food--1.9%Campbell Soup Co. 2,824 109,599ConAgra Foods, Inc. 4,709 126,484Corn Products International, Inc. 775 35,224Del Monte Foods Co. 1,677 20,392Flowers Foods, Inc. 651 21,717General Mills, Inc. 2,981 174,150H.J. Heinz Co. Ltd. 3,541 168,091Hormel Foods Corp. 888 33,167J.M. Smucker Co. (The) 574 36,541Kellogg Co. 3,295 170,648

See Notes to Schedule of Investments.

6

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Kraft Foods, Inc. Class A 5,249 $ 185,027Kroger Co. (The) 3,490 98,174McCormick & Co., Inc. 837 31,957Pilgrim's Pride Corp. 744 28,398Safeway, Inc. 1,728 58,804Sara Lee Corp. 5,897 102,608Seaboard Corp. 10 23,450SUPERVALU, Inc. 1,755 81,292SYSCO Corp. 5,159 170,195Tootsie Roll Industries, Inc. 697 19,314Tyson Foods, Inc. Class A 1,247 28,731Wm. Wrigley Jr. Co. 1,460 80,753 -------------Total Food 1,804,716 -------------Forest Products & Paper--0.7%International Paper Co. 4,426 172,835Louisiana-Pacific Corp. 868 16,423MeadWestvaco Corp. 1,894 66,896Plum Creek Timber Co., Inc. 2,483 103,442Schweitzer-Mauduit International, Inc. 83 2,573Temple-Inland, Inc. 775 47,686Weyerhaeuser Co. 2,932 231,422 -------------Total Forest Products & Paper 641,277 -------------Gas--0.8%AGL Resources, Inc. 992 40,156Atmos Energy Corp. 1,178 35,411Energen Corp. 490 26,921KeySpan Corp. 2,483 104,236New Jersey Resources Corp. 748 38,163Nicor, Inc. 651 27,941NiSource, Inc. 3,868 80,106Northwest Natural Gas Co. 330 15,243Piedmont Natural Gas Co., Inc. 930 22,925Sempra Energy 2,111 125,034South Jersey Industries, Inc. 659 23,315Southern Union Co. 778 25,355Southwest Gas Corp. 590 19,948UGI Corp. 1,023 27,907Vectren Corp. 1,889 50,871WGL Holdings, Inc. 1,689 55,129 -------------Total Gas 718,661 -------------Hand/Machine Tools--0.2%Black & Decker Corp. (The) 403 35,589Kennametal, Inc. 341 27,972Lincoln Electric Holdings, Inc. 341 25,316Snap-On, Inc. 496 25,053Stanley Works (The) 589 35,752 -------------Total Hand/Machine Tools 149,682 -------------Healthcare-Products--2.1%Baxter International, Inc. 2,867 161,527Beckman Coulter, Inc. 370 23,932Becton Dickinson & Co. 1,054 78,523Biomet, Inc. 558 25,512C.R. Bard, Inc. 279 23,054DENTSPLY International, Inc. 620 23,721Hillenbrand Industries, Inc. 404 26,260

See Notes to Schedule of Investments.

7

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Johnson & Johnson 22,092 $ 1,361,308Medtronic, Inc. 3,173 164,552Stryker Corp. 434 27,381 -------------Total Healthcare-Products 1,915,770 -------------Healthcare-Services--0.2%Aetna, Inc. 465 22,971Brookdale Senior Living, Inc. 1,236 56,325Manor Care, Inc. 403 26,312Quest Diagnostics, Inc. 492 25,412UnitedHealth Group, Inc. 438 22,399 -------------Total Healthcare-Services 153,419 -------------Holding Companies-Diversified--0.0%Leucadia National Corp. 1,052 37,083 -------------Home Builders--0.2%Beazer Homes USA, Inc. 441 10,879Centex Corp. 434 17,403KB Home 434 17,087Lennar Corp. Class A 690 25,226MDC Holdings, Inc. 372 17,990Pulte Homes, Inc. 707 15,872Ryland Group, Inc. (The) 465 17,377Standard-Pacific Corp. 775 13,586Thor Industries, Inc. 646 29,161 -------------Total Home Builders 164,581 -------------Home Furnishings--0.1%Harman International Industries, Inc. 219 25,579Whirlpool Corp. 434 48,261 -------------Total Home Furnishings 73,840 -------------Household Products/Wares--0.7%Avery Dennison Corp. 1,378 91,609Church & Dwight Co., Inc. 527 25,538Clorox Co. (The) 899 55,828Fortune Brands, Inc. 969 79,817Kimberly-Clark Corp. 4,581 306,423Scotts Miracle-Gro Co. (The) Class A 402 17,262Tupperware Brands Corp. 830 23,854 -------------Total Household Products/Wares 600,331 -------------Housewares--0.1%Newell Rubbermaid, Inc. 2,857 84,081Toro Co. (The) 403 23,733 -------------Total Housewares 107,814 -------------Insurance--3.8%21st Century Insurance Group 993 21,707Alfa Corp. 1,209 18,824Allstate Corp. (The) 4,605 283,253AMBAC Financial Group, Inc. 394 34,353American Family Life Assurance Co., Inc. 2,785 143,149American Financial Group, Inc. 735 25,100American International Group, Inc. 6,610 462,897American National Insurance Co. 217 33,114

See Notes to Schedule of Investments.

8

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

AON Corp. 1,715 $ 73,076Arthur J. Gallagher & Co. 1,271 35,435Assurant, Inc. 340 20,033Chubb Corp. (The) 2,700 146,178Cigna Corp. 426 22,246Commerce Group, Inc. 682 23,679Delphi Financial Group, Inc. Class A 412 17,230Erie Indemnity Co. Class A 496 26,804FBL Financial Group, Inc. Class A 645 25,361Fidelity National Title Group, Inc. Class A 3,837 90,937First American Corp. 578 28,611Genworth Financial, Inc. Class A 1,603 55,143Hanover Insurance Group, Inc. (The) 363 17,711Harleysville Group, Inc. 832 27,756Hartford Financial Services Group, Inc. (The) 2,134 210,220HCC Insurance Holdings, Inc. 671 22,418Hilb Rogal & Hobbs Co. 496 21,259LandAmerica Financial Group, Inc. 310 29,912Lincoln National Corp. 2,234 158,502Loews Corp. 1,023 52,153Marsh & McLennan Cos., Inc. 3,961 122,316MBIA, Inc. 837 52,078Mercury General Corp. 589 32,460Metlife, Inc. 2,466 159,008MGIC Investment Corp. 403 22,915Nationwide Financial Services, Inc. Class A 367 23,202Odyssey Re Holdings Corp. 620 26,592Ohio Casualty Corp. 651 28,195Old Republic International Corp. 1,832 38,948Phoenix Cos., Inc. (The) 1,398 20,984PMI Group, Inc. (The) 467 20,861Principal Financial Group, Inc. 1,071 62,429Progressive Corp. (The) 958 22,925Protective Life Corp. 434 20,750Prudential Financial, Inc. 1,634 158,874Radian Group, Inc. 499 26,946Reinsurance Group of America, Inc. 363 21,867RLI Corp. 403 22,548Safeco Corp. 744 46,321Selective Insurance Group, Inc. 682 18,332Stancorp Financial Group, Inc. 403 21,149State Auto Financial Corp. 558 17,103Torchmark Corp. 375 25,125Transatlantic Holdings, Inc. 399 28,381Travelers Cos., Inc. (The) 4,736 253,375Unitrin, Inc. 806 39,639UnumProvident Corp. 1,333 34,805W.R. Berkley Corp. 771 25,088Wesco Financial Corp. 62 23,870Zenith National Insurance Corp. 496 23,357 -------------Total Insurance 3,567,504 -------------Internet--0.0%United Online, Inc. 845 13,934 -------------

See Notes to Schedule of Investments.

9

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Investment Companies--0.3%Allied Capital Corp. (a) 627 $ 19,412American Capital Strategies Ltd. 3,620 153,922Apollo Investment Corp. 2,483 53,434Ares Capital Corp. 1,307 22,023MCG Capital Corp. 1,987 31,832 -------------Total Investment Companies 280,623 -------------Iron/Steel--0.2%Allegheny Technologies, Inc. 94 9,859Carpenter Technology Corp. 150 19,547Chaparral Steel Co. 350 25,155Nucor Corp. 550 32,257Reliance Steel & Aluminum Co. 454 25,542Steel Dynamics, Inc. 582 24,392United States Steel Corp. 451 49,045 -------------Total Iron/Steel 185,797 -------------Leisure Time--0.1%Brunswick Corp. 584 19,056Harley-Davidson, Inc. 1,388 82,739Polaris Industries, Inc. 439 23,776 -------------Total Leisure Time 125,571 -------------Lodging--0.3%Boyd Gaming Corp. 567 27,891Harrah's Entertainment, Inc. 1,285 109,558Hilton Hotels Corp. 744 24,902Marriott International, Inc. Class A 744 32,171Starwood Hotels & Resorts Worldwide, Inc. 984 65,997Station Casinos, Inc. 400 34,720 -------------Total Lodging 295,239 -------------Machinery-Construction & Mining--0.4%Caterpillar, Inc. 4,266 334,028Joy Global, Inc. 340 19,832 -------------Total Machinery-Construction & Mining 353,860 -------------Machinery-Diversified--0.4%Cummins, Inc. 372 37,650Deere & Co. 1,429 172,537Graco, Inc. 434 17,482IDEX Corp. 651 25,090Manitowoc Co., Inc. (The) 403 32,393Rockwell Automation, Inc. 1,014 70,412 -------------Total Machinery-Diversified 355,564 -------------Media--1.6%Belo Corp. Class A 1,147 23,617CBS Corp. Class A 744 24,798CBS Corp. Class B 6,387 212,815Citadel Broadcasting Corp. 2,751 17,744Clear Channel Communications, Inc. 3,526 133,353Dow Jones & Co., Inc. 589 33,838E.W. Scripps Co. (The) Class A 651 29,744Gannett Co., Inc. 1,610 88,470

See Notes to Schedule of Investments.

10

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Hearst-Argyle Television, Inc. 856 $ 20,630John Wiley & Sons, Inc. Class A 558 26,946McGraw-Hill Cos., Inc. (The) 1,429 97,286Meredith Corp. 403 24,825New York Times Co. (The) Class A (a) 1,147 29,134News Corp. Class A 4,912 104,184News Corp. Class B 1,832 42,026Time Warner, Inc. 14,361 302,154Tribune Co. 1,831 53,831Walt Disney Co. (The) 6,325 215,935Washington Post Co. (The) Class B 29 22,507 -------------Total Media 1,503,837 -------------Metal Fabricate/Hardware--0.1%Commercial Metals Co. 707 23,875Precision Castparts Corp. 209 25,365Timken Co. (The) 682 24,627Worthington Industries, Inc. 1,080 23,382 -------------Total Metal Fabricate/Hardware 97,249 -------------Mining--1.7%Alcoa, Inc. 5,359 217,200Freeport-McMoRan Copper & Gold, Inc. Class B 1,209 100,129Newmont Mining Corp. 1,091 42,614Royal Gold, Inc. 379 9,009Southern Copper Corp. (a) 12,087 1,139,321Vulcan Materials Co. 527 60,363 -------------Total Mining 1,568,636 -------------Miscellaneous Manufacturing--6.0%3M Co. 7,440 645,718Acuity Brands, Inc. 349 21,038Brink's Co. (The) 372 23,023Carlisle Cos., Inc. 496 23,069Crane Co. 496 22,543Danaher Corp. 303 22,877Donaldson Co., Inc. 620 22,041Dover Corp. 868 44,398Eastman Kodak Co. 1,553 43,220Eaton Corp. 1,011 94,023General Electric Co. 97,769 3,742,597Harsco Corp. 496 25,792Honeywell International, Inc. 5,738 322,935Illinois Tool Works, Inc. 3,374 182,837ITT Industries, Inc. 434 29,634Lancaster Colony Corp. 505 21,154Leggett & Platt, Inc. 1,577 34,773Pall Corp. 682 31,365Parker Hannifin Corp. 434 42,493Pentair, Inc. 589 22,718Roper Industries, Inc. 434 24,781SPX Corp. 372 32,665Teleflex, Inc. 341 27,887Textron, Inc. 651 71,682Trinity Industries, Inc. 558 24,295 -------------Total Miscellaneous Manufacturing 5,599,558 -------------

See Notes to Schedule of Investments.

11

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Office Furnishings--0.1%Herman Miller, Inc. 852 $ 26,923HNI Corp. 675 27,675Steelcase, Inc. Class A 1,988 36,778 -------------Total Office Furnishings 91,376 -------------Office/Business Equipment--0.1%Pitney Bowes, Inc. 2,111 98,837 -------------Oil & Gas--7.3%Alon USA Energy, Inc. 675 29,707Apache Corp. 952 77,674Berry Petroleum Co. Class A 662 24,944Cabot Oil & Gas Corp. 514 18,956Chesapeake Energy Corp. 744 25,742Chevron Corp. 21,260 1,790,942Cimarex Energy Co. 640 25,222ConocoPhillips 11,923 935,956Crosstex Energy, Inc. 685 19,680Devon Energy Corp. 992 77,664Diamond Offshore Drilling, Inc. 236 23,968ENSCO International, Inc. 434 26,478EOG Resources, Inc. 496 36,238Exxon Mobil Corp. 31,745 2,662,771Helmerich & Payne, Inc. 738 26,140Hess Corp. 713 42,038Holly Corp. 197 14,615Marathon Oil Corp. 3,974 238,281Murphy Oil Corp. 527 31,325Noble Energy, Inc. 465 29,011Occidental Petroleum Corp. 4,830 279,560Patterson-UTI Energy, Inc. 713 18,688Penn Virginia Corp. 360 14,472Pioneer Natural Resources Co. 415 20,215Pogo Producing Co. 465 23,617Range Resources Corp. 604 22,596St. Mary Land & Exploration Co. 279 10,217Sunoco, Inc. 527 41,991Tesoro Corp. 306 17,488Valero Energy Corp. 1,107 81,763W&T Offshore, Inc. 320 8,957Western Refining, Inc. 237 13,699XTO Energy, Inc. 806 48,441 -------------Total Oil & Gas 6,759,056 -------------Oil & Gas Services--0.2%Baker Hughes, Inc. 806 67,810CARBO Ceramics, Inc. 307 13,450RPC, Inc. 610 10,394Smith International, Inc. 557 32,662Tidewater, Inc. 421 29,840 -------------Total Oil & Gas Services 154,156 -------------Packaging & Containers--0.2%Ball Corp. 527 28,021Bemis Co. 775 25,715Greif, Inc. Class A 436 25,990

See Notes to Schedule of Investments.

12

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Packaging Corp. of America 1,429 $ 36,167Sealed Air Corp. 744 23,079Sonoco Products Co. 837 35,832 -------------Total Packaging & Containers 174,804 -------------Pharmaceuticals--7.2%Abbott Laboratories 13,161 704,772Allergan, Inc. 372 21,442AmerisourceBergen Corp. 465 23,004Bristol-Myers Squibb Co. 29,171 920,637Cardinal Health, Inc. 735 51,920Eli Lilly & Co. 11,217 626,806Merck & Co., Inc. 27,373 1,363,175Omnicare, Inc. 434 15,650Pfizer, Inc. 88,612 2,265,809Schering-Plough Corp. 4,748 144,529Wyeth 9,591 549,948 -------------Total Pharmaceuticals 6,687,692 -------------Pipelines--0.3%El Paso Corp. 1,874 32,289Equitable Resources, Inc. 837 41,482National Fuel Gas Co. 930 40,278ONEOK, Inc. 1,240 62,509Questar Corp. 682 36,044Williams Cos., Inc. (The) 1,654 52,299 -------------Total Pipelines 264,901 -------------Real Estate--0.1%Forest City Enterprises, Inc. Class A 434 26,682Forest City Enterprises, Inc. Class B 434 26,912Jones Lang LaSalle, Inc. 248 28,148St. Joe Co. (The) 434 20,112 -------------Total Real Estate 101,854 -------------REITS--4.3%Alexandria Real Estate Equities, Inc. 217 21,010AMB Property Corp. 899 47,845American Financial Realty Trust 3,744 38,638Apartment Investment & Management Co. Class A 1,522 76,739Archstone-Smith Trust 2,359 139,439AvalonBay Communities, Inc. 651 77,391BioMed Realty Trust, Inc. 682 17,132Boston Properties, Inc. 1,023 104,479Brandywine Realty Trust 1,491 42,613BRE Properties, Inc. Class A 589 34,922Camden Property Trust 589 39,445CBL & Associates Properties, Inc. 837 30,174Colonial Properties Trust 744 27,119Corporate Office Properties Trust 465 19,070Cousins Properties, Inc. 682 19,785Crescent Real Estate Equities Co. 2,266 50,849Developers Diversified Realty Corp. 1,460 76,957DiamondRock Hospitality Co. 1,271 24,251Digital Realty Trust, Inc. 595 22,420Duke Realty Corp. 2,080 74,194EastGroup Properties, Inc. 434 19,018Entertainment Properties Trust 527 28,342Equity Lifestyle Properties, Inc. 434 22,650

See Notes to Schedule of Investments.

13

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Equity One, Inc. 1,147 $ 29,306Equity Residential 3,434 156,692Essex Property Trust, Inc. 217 25,237Extra Space Storage, Inc. 1,845 30,443Federal Realty Investment Trust 496 38,321FelCor Lodging Trust, Inc. 930 24,208Feldman Mall Properties, Inc. 377 4,298First Industrial Realty Trust, Inc. 899 34,845Franklin Street Properties Corp. 2,488 41,152General Growth Properties, Inc. 2,483 131,475Glimcher Realty Trust 775 19,375Health Care Property Investors, Inc. 3,037 87,860Health Care REIT, Inc. 1,427 57,594Healthcare Realty Trust, Inc. 1,023 28,419Highland Hospitality Corp. 1,858 35,674Highwoods Properties, Inc. 837 31,388Home Properties, Inc. 496 25,757Hospitality Properties Trust 1,491 61,862Host Hotels & Resorts, Inc. 5,434 125,634HRPT Properties Trust 4,674 48,610Inland Real Estate Corp. 2,248 38,171iStar Financial, Inc. 2,824 125,188Kilroy Realty Corp. 279 19,764Kimco Realty Corp. 2,406 91,596LaSalle Hotel Properties 465 20,190Lexington Corporate Properties Trust 1,613 33,550Liberty Property Trust 1,429 62,776Macerich Co. (The) 806 66,431Mack-Cali Realty Corp. 992 43,142Maguire Properties, Inc. 620 21,285Mid-America Apartment Communities, Inc. 341 17,896National Retail Properties, Inc. 992 21,685Nationwide Health Properties, Inc. 1,491 40,555Omega Healthcare Investors, Inc. 1,687 26,705Pennsylvania Real Estate Investment Trust 589 26,110Post Properties, Inc. 527 27,473Potlatch Corp. 747 32,158ProLogis 2,297 130,699PS Business Parks, Inc. 341 21,609Public Storage, Inc. 1,169 89,803Rayonier, Inc. 1,429 64,505Realty Income Corp. 1,584 39,901Regency Centers Corp. 744 52,452Senior Housing Properties Trust 1,553 31,604Simon Property Group, Inc. 2,160 200,965SL Green Realty Corp. 408 50,547Sovran Self Storage, Inc. 519 24,995Spirit Finance Corp. 1,739 25,320Strategic Hotels & Resorts, Inc. 961 21,613Sunstone Hotel Investors, Inc. 744 21,122Tanger Factory Outlet Centers, Inc. 750 28,088Taubman Centers, Inc. 496 24,607UDR, Inc. 1,832 48,182U-Store-It Trust 1,964 32,190Ventas, Inc. 1,522 55,173Vornado Realty Trust 1,297 142,461Washington Real Estate Investment Trust 589 20,026Weingarten Realty Investors 1,271 52,238 -------------Total REITS 3,985,407 -------------

See Notes to Schedule of Investments.

14

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Retail--4.2%Abercrombie & Fitch Co. Class A 341 $ 24,886Advance Auto Parts, Inc. 527 21,359American Eagle Outfitters, Inc. 785 20,143Applebees International, Inc. 854 20,581Barnes & Noble, Inc. 527 20,274bebe stores, inc 931 14,905Best Buy Co., Inc. 1,133 52,877Brinker International, Inc. 796 23,299Cash America International, Inc. 444 17,605Costco Wholesale Corp. 2,030 118,796CVS Corp. 3,655 133,225Darden Restaurants, Inc. 558 24,546Dillard's, Inc. Class A 624 22,420Dollar General Corp. 1,302 28,540Family Dollar Stores, Inc. 806 27,662Foot Locker, Inc. 806 17,571Gap, Inc. (The) 4,550 86,905Home Depot, Inc. (The) 19,086 751,034J.C. Penney Co., Inc. 754 54,575Limited Brands, Inc. 2,928 80,374Longs Drug Stores Corp. 650 34,138Lowe's Cos., Inc. 3,277 100,571Macy's, Inc. 2,185 86,919McDonald's Corp. 9,762 495,519Men's Wearhouse, Inc. (The) 256 13,074MSC Industrial Direct Co. Class A 366 20,130Nordstrom, Inc. 693 35,426OfficeMax, Inc. 376 14,777PetSmart, Inc. 462 14,992RadioShack Corp. 1,099 36,421Ross Stores, Inc. 531 16,355Staples, Inc. 1,956 46,416Target Corp. 2,279 144,944Tiffany & Co. 737 39,105TJX Cos., Inc. 1,367 37,593United Auto Group, Inc. 829 17,649Wal-Mart Stores, Inc. 22,503 1,082,618Wendy's International, Inc. 372 13,671Williams-Sonoma, Inc. 646 20,401World Fuel Services Corp. 313 13,165Yum! Brands, Inc. 1,612 52,745 -------------Total Retail 3,898,206 -------------Savings & Loans--1.4%BankUnited Financial Corp. Class A 1,188 23,843Capitol Federal Financial 1,429 52,759Downey Financial Corp. 279 18,408First Niagara Financial Group, Inc. 3,940 51,614Flagstar Bancorp, Inc. 2,775 33,439Hudson City Bancorp, Inc. 4,116 50,298Kearny Financial Corp. 1,367 18,427MAF Bancorp, Inc. 808 43,842New York Community Bancorp, Inc. 7,240 123,225NewAlliance Bancshares, Inc. 1,367 20,122Northwest Bancorp, Inc. 775 20,259Provident Financial Services, Inc. 1,872 29,503Sovereign Bancorp, Inc. 2,714 57,374

See Notes to Schedule of Investments.

15

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Washington Federal, Inc. 1,936 $ 47,064Washington Mutual, Inc. 17,440 743,641 -------------Total Savings & Loans 1,333,818 -------------Semiconductors--1.8%Analog Devices, Inc. 2,748 103,435Applied Materials, Inc. 5,677 112,802Intel Corp. 45,555 1,082,388Intersil Corp. Class A 1,389 43,698KLA -Tencor Corp. 792 43,520Microchip Technology, Inc. 2,469 91,452National Semiconductor Corp. 1,579 44,638Texas Instruments, Inc. 3,018 113,567Xilinx, Inc. 2,038 54,557 -------------Total Semiconductors 1,690,057 -------------Software--2.1%Automatic Data Processing, Inc. 3,409 165,234CA, Inc. 890 22,989Fair Isaac Corp. 369 14,804Fidelity National Information Services, Inc. 487 26,434First Data Corp. 2,356 76,971Global Payments, Inc. 434 17,208IMS Health, Inc. 713 22,909Mastercard, Inc. Class A 160 26,539Microsoft Corp. 48,550 1,430,768MoneyGram International, Inc. 558 15,596Paychex, Inc. 2,653 103,785SEI Investments Co. 672 19,515Total System Services, Inc. 1,054 31,104 -------------Total Software 1,973,856 -------------Telecommunications--6.4%ALLTEL Corp. 1,090 73,630AT&T, Inc. 69,817 2,897,405CenturyTel, Inc. 496 24,329Citizens Communications Co. 8,181 124,924Consolidated Communications Holdings, Inc. 1,160 26,216Embarq Corp. 1,959 124,142FairPoint Communications, Inc. 1,278 22,685Harris Corp. 869 47,404Iowa Telecommunications Services, Inc. 1,085 24,662QUALCOMM, Inc. 7,929 344,039Sprint Nextel Corp. 5,620 116,390Telephone & Data Systems, Inc. 496 31,035Telephone & Data Systems, Inc. Special Shares 496 28,545Verizon Communications, Inc. 45,575 1,876,322Virgin Media, Inc. 816 19,886Windstream Corp. 11,298 166,758 -------------Total Telecommunications 5,948,372 -------------Textiles--0.0%Cintas Corp. 1,028 40,534 -------------

See Notes to Schedule of Investments.

16

Schedule of Investments (unaudited)(continued)WisdomTree Total Dividend FundJune 30, 2007================================================================================Investments Shares Value--------------------------------------------------------------------------------

Toys/Games/Hobbies--0.1%Hasbro, Inc. 1,240 $ 38,948Mattel, Inc. 3,759 95,066 -------------Total Toys/Games/Hobbies 134,014 -------------Transportation--1.1%Alexander & Baldwin, Inc. 378 20,076Burlington Northern Santa Fe Corp. 1,569 133,585C.H. Robinson Worldwide, Inc. 694 36,449Con-way, Inc. 341 17,132CSX Corp. 1,569 70,731Expeditors International Washington, Inc. 494 20,402FedEx Corp. 279 30,961Florida East Coast Industries, Inc. 192 15,932JB Hunt Transport Services, Inc. 680 19,938Laidlaw International, Inc. 775 26,776Landstar System, Inc. 191 9,216Norfolk Southern Corp. 1,913 100,566Overseas Shipholding Group, Inc. 366 29,792Ryder System, Inc. 341 18,346Union Pacific Corp. 1,160 133,574United Parcel Service, Inc. Class B 4,404 321,491 -------------Total Transportation 1,004,967 -------------Trucking & Leasing--0.0%GATX Corp. 401 19,749 -------------Water--0.0%Aqua America, Inc. (a) 972 21,860 -------------TOTAL COMMON STOCKS(Cost: $86,160,442) 92,798,142 =============

SHORT-TERM INVESTMENT--0.7%MONEY MARKET FUND(b)--0.7%Columbia Cash Reserves Fund, 4.96%(Cost: $650,387) 650,387 650,387 =============

INVESTMENTS OF CASH COLLATERAL FORSECURITIES LOANED--1.4%MONEY MARKET FUNDS(c)--1.4%UBS Enhanced Yield Portfolio, 5.27% 258,117 258,117UBS Private Money Market Fund LLC, 5.25% 1,048,483 1,048,483 -------------TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED(Cost: $1,306,600)(d) 1,306,600 =============TOTAL INVESTMENTS IN SECURITIES--101.8%(Cost: $88,117,429)(e) 94,755,129

Liabilities in Excess of Other Assets--(1.8)% (1,699,213) -------------

NET ASSETS--100.0% $ 93,055,916 =============

See Notes to Schedule of Investments.

17

Schedule of Investments (unaudited)(concluded)WisdomTree Total Dividend FundJune 30, 2007================================================================================

(a) Security, or portion thereof, was on loan at June 30, 2007.

(b) Rate shown represents annualized 7-day yield as of June 30, 2007.

(c) Interest rates shown reflect yields as of June 30, 2007.

(d) At June 30, 2007, the total market value of the Fund's securities on loan was $1,268,562 and the total market value of the collateral held by the Fund was $1,306,600.

(e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Note 3.

See Notes to Schedule of Investments.

18

WisdomTree Total Dividend Fund

Sector Breakdown*% of the Fund's Net Assets as of 6/30/07+

Financial 30.1%Consumer Non-Cyclical 19.7%Industrial 11.0%Communications 8.1%Energy 7.8%Consumer Cyclical 6.5%Utilities