WisdomTree International Equity ETF One Year Return

DWM ETF  USD 73.91  -0.37  -0.50%   
WisdomTree International's current One Year Return is shown along with the formula used to calculate it. The formula and value reflect publicly disclosed financial statements. One Year Return shows the total return over the last 12 months. It is a useful snapshot of recent performance, but it can be heavily influenced by the start and end points.

One Year Return

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Total return over the last 12 months

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26.30 %

This metric is best used with longer-period returns and a benchmark. In volatile sectors or thematic funds, a strong or weak one-year number can fade quickly. The cleanest comparison is usually against funds in the same ETF category or with a similar mandate and payout profile rather than against the full market. The latest One Year Return figure for WisdomTree International tracks the most recent filing period. All inputs trace back to official financial reporting documents.

Competition

How Key Fund Metrics Interact

One Year Return Peer Comparison

Analyzing WisdomTree International's One Year Return relative to peer ETFs adds category context to the fund's reported metrics. For funds, the goal is usually to compare portfolio structure, cost profile, leverage, and distribution characteristics alongside the reported ratio. Outlier readings on One Year Return among peer funds often deserve review, but they rarely tell the whole story by themselves.
WisdomTree International does not have enough peer data for a relative ranking in one year return against similar ETFs.

Fund Metrics Relationships

Fund Asset Allocation for WisdomTree International

The fund invests 99.97% of asset under management in tradable equity instruments, with the rest of investments concentrated in various types of exotic instruments.
Asset allocation in WisdomTree International's refers to the strategic distribution of its portfolio across different asset categories. This diversification helps balance risk and reward in line with investor goals and time horizons. Asset class weights within WisdomTree International's portfolio are calibrated to investor risk tolerance and return targets.
How a mutual fund allocates its assets depends on its investment mandate and target asset classes. The fund manager adjusts the portfolio composition as market conditions evolve to maintain alignment with its mandate. Asset allocation is widely considered the most important factor in determining a fund's long-term return profile.

Important Fund Metrics

Financial Profile and Methodology

WisdomTree International can be interpreted through its benchmark linkage and allocation profile. Long-run behavior is linked to exposure design, fees, and implementation structure.

WisdomTree International Equity analytics rely on fund disclosures and market reference feeds, with quality checks and normalization applied. Accounting-line values follow GAAP or IFRS structures as published in issuer filings.

Editorial review and methodology oversight provided by: Gabriel Shpitalnik, Member of Macroaxis Editorial Board