WisdomTree International ESG Fund(RESD) USD 28.234
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.71%USD 0.2USD0.22023-03-27
20222.84%USD 0.801USD0.161452022-12-23
USD0.1052022-09-26
USD0.472022-06-24
USD0.0652022-03-25
20212.59%USD 0.73USD0.210082021-12-27
USD0.12021-09-24
USD0.362021-06-24
USD0.062021-03-25
20201.89%USD 0.533USD0.15282020-12-21
USD0.1552020-09-22
USD0.2252020-06-23
20192.35%USD 0.663USD0.156562019-12-23
USD0.106162019-12-09
USD0.1152019-09-24
USD0.2152019-06-24
USD0.072019-03-26
20181.63%USD 0.46USD0.320072018-12-04
USD0.009872018-09-25
USD0.132018-06-25
20170.89%USD 0.251USD0.011672017-12-26
USD0.069782017-12-05
USD0.0652017-09-26
USD0.1052017-03-27
20160.18%USD 0.05USD0.049952016-12-23