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WisdomTree International Multifactor Fund Holdings

DWMF was created on 2018-08-10 by WisdomTree. The fund's investment portfolio concentrates primarily on total market equity. The ETF currently has 37.65m in AUM and 201 holdings. DWMF is an actively managed portfolio of equities from developed market economies, excluding US and Canada selected by a proprietary methodology using various style factors.

Last Updated: 1 day, 21 hours ago

Last reported holdings - WisdomTree International Multifactor Fund

Ticker Name Est. Value
ADM.L
Admiral Group PLC $349174
BCVN.SW
Banque Cantonale Vaudoise Registered Shares $329322
9202.T
ANA Holdings Inc $324022
ACA.PA
Credit Agricole SA $317123
3626.T
TIS Inc $316053
PSON.L
Pearson PLC $315184
S68.SI
Singapore Exchange Ltd $313427
ENX.PA
Euronext NV $309463
O39.SI
Oversea-Chinese Banking Corp Ltd $308061
DNB.OL
DNB Bank ASA $307495
TRYG.CO
Tryg AS $305662
2388.HK
BOC Hong Kong Holdings Ltd $303232
DB1.DE
Deutsche Boerse AG $300697
4716.T
Oracle Corp Japan $296661
9602.T
Toho Co Ltd $295250
CS.PA
AXA SA $294657
CHKP
Check Point Software Technologies Ltd $293626
1878.T
Daito Trust Construction Co Ltd $291276
NDA FI.HE
Nordea Bank Abp $287591
4689.T
LY Corp $281815
HNR1.DE
Hannover Rueck SE Registered Shares $281566
9766.T
Konami Group Corp $278538
SCMN.SW
Swisscom AG $277435
PRU.L
Prudential PLC $276752
DTE.DE
Deutsche Telekom AG $276411
NOVN.SW
Novartis AG Registered Shares $275772
MUV2.DE
Munchener Ruckversicherungs-Gesellschaft AG $271733
WTB.L
Whitbread PLC $269593
4578.T
Otsuka Holdings Co Ltd $267845
LI.PA
Klepierre $267046
LISP.SW
Chocoladefabriken Lindt & Spruengli AG Ordinary Shares - Non Voting $266499
CPG.L
Compass Group PLC $265712
2269.T
Meiji Holdings Co Ltd $265656
NWG.L
NatWest Group PLC $263495
BKW.SW
BKW AG $262879
MPL.AX
Medibank Pvt Ltd $259321
G13.SI
Genting Singapore Ltd $254542
ASX.AX
ASX Ltd $254273
SAB.MC
Banco de Sabadell SA $253329
BBVA.MC
Banco Bilbao Vizcaya Argentaria SA $251708
2503.T
Kirin Holdings Co Ltd $250994
NXT.L
Next PLC $249665
CABK.MC
CaixaBank SA $249412
BAMI.MI
Banco BPM SpA $243597
WISE.L
Wise PLC Class A $242590
TLC.AX
The Lottery Corp Ltd $239374
SAN.MC
Banco Santander SA $237667
SCHP.SW
Schindler Holding AG Non Voting $237637
SUN.AX
Suncorp Group Ltd $237274
ENGI.PA
Engie SA $235836
ML.PA
Michelin $235603
EN.PA
Bouygues $234780
WIX
Wix.com Ltd $234113
4452.T
Kao Corp $233307
CBK.DE
Commerzbank AG $231929
C6L.SI
Singapore Airlines Ltd $231716
UNI.MI
Unipol Assicurazioni SpA $230968
GIVN.SW
Givaudan SA $228712
A5G.IR
AIB Group PLC $227798
EMSN.SW
Ems-Chemie Holding AG $224346
SPSN.SW
Swiss Prime Site AG $223139
IAG.AX
Insurance Australia Group Ltd $223001
QGEN
Qiagen NV $222204
KGF.L
Kingfisher PLC $222053
3407.T
Asahi Kasei Corp $221727
QBE.AX
QBE Insurance Group Ltd $221205
KNEBV.HE
KONE Oyj Class B $220862
RIO.L
Rio Tinto PLC Ordinary Shares $218438
SGSN.SW
SGS AG $215807
ORA.PA
Orange SA $214723
SN.L
Smith & Nephew PLC $213926
2587.T
Suntory Beverage & Food Ltd $213630
66.HK
MTR Corp Ltd $213134
HIK.L
Hikma Pharmaceuticals PLC $211883
4684.T
OBIC Co Ltd $211165
G1A.DE
GEA Group AG $211150
ANNSD
Aena SME SA $210224
TEVA
Teva Pharmaceutical Industries Ltd ADR $209291
SMIN.L
Smiths Group PLC $203445
DG.PA
Vinci SA $201517
BIM.PA
BioMerieux SA $200552
EOAN.DE
E.ON SE $198931
FGR.PA
Eiffage SA Bearer and / or registered shares $198914
GSK.L
GSK PLC $198850
9005.T
Tokyu Corp $198389
SECU B.ST
Securitas AB Class B $194291
IMB.L
Imperial Brands PLC $194083
SY1.DE
Symrise AG $193944
KPN.AS
Koninklijke KPN NV $193688
SGE.L
Sage Group (The) PLC $193176
DIA.MI
Diasorin SpA $188774
S63.SI
Singapore Technologies Engineering Ltd $188239
IBE.MC
Iberdrola SA $187945
4768.T
Otsuka Corp $187711
FRE.DE
Fresenius SE & Co KGaA $187418
9021.T
West Japan Railway Co $187145
9735.T
SECOM Co Ltd $186801
WES.AX
Wesfarmers Ltd $186308
BVI.PA
Bureau Veritas SA $185730
J36.SI
Jardine Matheson Holdings Ltd $185333
EVO.ST
Evolution AB $185237
16.HK
Sun Hung Kai Properties Ltd $184223
9020.T
East Japan Railway Co $183496
URW.PA
Unibail-Rodamco-Westfield Act. SIIC ET STES FONC.EUROP. $182777
SW.PA
Sodexo $181630
JD.L
JD Sports Fashion PLC $181304
9143.T
SG Holdings Co Ltd Ordinary Shares $181083
WKL.AS
Wolters Kluwer NV $179960
IPN.PA
Ipsen SA $179325
9201.T
Japan Airlines Co Ltd $178317
4528.T
Ono Pharmaceutical Co Ltd $176911
3003.T
Hulic Co Ltd $175009
BN.PA
Danone SA $174967
AER
AerCap Holdings NV $172560
TSCO.L
Tesco PLC $171354
1925.T
Daiwa House Industry Co Ltd $169348
1113.HK
CK Asset Holdings Ltd $169347
ORK.OL
Orkla ASA $167960
AD.AS
Koninklijke Ahold Delhaize NV $167579
9022.T
Central Japan Railway Co $167040
19.HK
Swire Pacific Ltd Class A $166264
EQNR.OL
Equinor ASA $165992
CCH.L
Coca-Cola HBC AG $165530
AKRBP.OL
Aker BP ASA $163960
PNDORA.CO
Pandora AS $161715
CON.DE
Continental AG $161637
TCL.AX
Transurban Group $160445
BXB.AX
Brambles Ltd $158913
ULVR.L
Unilever PLC $157033
SHL.AX
Sonic Healthcare Ltd $156604
ORNBV.HE
Orion Oyj Class B $156403
ELE.MC
Endesa SA $156394
CCEP
Coca-Cola Europacific Partners PLC $154142
ERIC B.ST
Telefonaktiebolaget L M Ericsson Class B $153871
SSE.L
SSE PLC $153382
4204.T
Sekisui Chemical Co Ltd $152811
7832.T
BANDAI NAMCO Holdings Inc $151738
TEF.MC
Telefonica SA $151166
FME.DE
Fresenius Medical Care AG $150975
DEMANT.CO
Demant AS $150147
EVK.DE
Evonik Industries AG $150075
4507.T
Shionogi & Co Ltd $149911
ENEL.MI
Enel SpA $148502
TEL.OL
Telenor ASA $148338
BATS.L
British American Tobacco PLC $147648
TLS.AX
Telstra Group Ltd $147576
2.HK
CLP Holdings Ltd $143904
RKT.L
Reckitt Benckiser Group PLC $139217
4307.T
Nomura Research Institute Ltd $138279
FPH.NZ
Fisher & Paykel Healthcare Corp Ltd $137632
HLN.L
Haleon PLC $136284
HEN3.DE
Henkel AG & Co KGaA Participating Preferred $134574
SRG.MI
Snam SpA $134445
CPU.AX
Computershare Ltd $133313
RWE.DE
RWE AG Class A $132957
LEG.DE
LEG Immobilien SE $131644
TRN.MI
Terna SpA $131221
ERF.PA
Eurofins Scientific SE $129515
TEL2 B.ST
Tele2 AB Class B $127887
COL.AX
Coles Group Ltd $126333
ESSITY B.ST
Essity AB Class B $126004
LHA.DE
Deutsche Lufthansa AG $125455
QAN.AX
Qantas Airways Ltd $125096
SBRY.L
Sainsbury (J) PLC $123833
CNA.L
Centrica PLC $123360
GMAB.CO
Genmab AS $121895
ABF.L
Associated British Foods PLC $120510
1802.T
Obayashi Corp $118637
ORG.AX
Origin Energy Ltd $115997
6465.T
Hoshizaki Corp $110654
3.HK
Hong Kong and China Gas Co Ltd $109248
6.HK
Power Assets Holdings Ltd $107723
TELIA.ST
Telia Company AB $107714
VOD.L
Vodafone Group PLC $107053
F34.SI
Wilmar International Ltd $105213
RHM.DE
Rheinmetall AG $103800
AUTO.L
Auto Trader Group PLC $101478
KRZ.IR
Kerry Group PLC Class A $101265
3064.T
MonotaRO Co Ltd $98598
1997.HK
Wharf Real Estate Investment Co Ltd $98242
CA.PA
Carrefour $96563
4704.T
Trend Micro Inc $92674
VWS.CO
Vestas Wind Systems AS $90567
669.HK
Techtronic Industries Co Ltd $90242
MAERSK B.CO
A P Moller Maersk AS Class B $90081
1308.HK
SITC International Holdings Co Ltd $83631
BT.A.L
BT Group PLC $79606
9532.T
Osaka Gas Co Ltd $76967
NST.AX
Northern Star Resources Ltd $74450
288.HK
WH Group Ltd Shs Unitary 144A/Reg S $70043
2502.T
Asahi Group Holdings Ltd $69517
MKS.L
Marks & Spencer Group PLC $69244
CARL B.CO
Carlsberg AS Class B $66090
Z74.SI
Singapore Telecommunications Ltd $64462
9433.T
KDDI Corp $59465
WPP.L
WPP PLC $52436
REA.AX
REA Group Ltd $49144
SPOT
Spotify Technology SA $44953
JMT.LS
Jeronimo Martins SGPS SA $41105
9531.T
Tokyo Gas Co Ltd $40668
EVR.L
EVRAZ PLC $0

Recent Changes - WisdomTree International Multifactor Fund

Date Ticker Name Change (Shares)
2025-06-20
AENA.MC
Aena SME SA -788
2025-06-20
ANNSD
Aena SME SA 7,880
2025-06-13
CA.PA
Carrefour 7,350
2025-06-13
REL.L
RELX PLC -4,127
2025-06-13
PME.AX
Pro Medicus Ltd -1,119
2025-06-13
1308.HK
SITC International Holdings Co Ltd 29,000
2025-06-13
TLX.DE
Talanx AG -2,814
2025-06-13
ERF.PA
Eurofins Scientific SE 1,956
2025-06-13
4704.T
Trend Micro Inc 1,500
2025-06-13
CSL.AX
CSL Ltd -1,453
2025-06-13
IPN.PA
Ipsen SA 1,635
2025-06-13
BARC.L
Barclays PLC -49,541
2025-06-13
7550.T
Zensho Holdings Co Ltd -1,200
2025-06-13
NN.AS
NN Group NV -5,131
2025-06-13
HO.PA
Thales -894
2025-06-13
FDJ.PA
FDJ United Ordinary Shares -5,832
2025-06-13
CS.PA
AXA SA 6,560
2025-06-13
SCHP.SW
Schindler Holding AG Non Voting 708
2025-06-13
WES.AX
Wesfarmers Ltd 3,713
2025-06-13
3.HK
Hong Kong and China Gas Co Ltd 139,000
2025-06-13
EBS.VI
Erste Group Bank AG. -4,242
2025-06-13
SHEL.L
Shell PLC -6,589
2025-06-13
BHP.AX
BHP Group Ltd -7,672
2025-06-13
BIM.PA
BioMerieux SA 1,569
2025-06-13
LEG.DE
LEG Immobilien SE 1,651
2025-06-13
RED.MC
Redeia Corporacion SA -10,324
2025-06-13
2702.T
McDonald's Holdings Co (Japan) Ltd -12,200
2025-06-13
INPST.AS
Inpost SA Ordinary Shares -4,703
2025-06-13
ORI.AX
Orica Ltd -16,962
2025-06-13
EXO.AS
EXOR NV -3,318
2025-06-13
SHB A.ST
Svenska Handelsbanken AB Class A -19,855
2025-06-13
4507.T
Shionogi & Co Ltd 9,400
2025-06-13
SGH.AX
SGH Ltd -4,089
2025-06-13
Z74.SI
Singapore Telecommunications Ltd 23,100
2025-06-13
DIA.MI
Diasorin SpA 1,969
2025-06-13
ML.PA
Michelin 6,944
2025-06-13
ADM.L
Admiral Group PLC 8,416
2025-06-13
PRU.L
Prudential PLC 24,460
2025-06-13
SPSN.SW
Swiss Prime Site AG 1,658
2025-06-13
9143.T
SG Holdings Co Ltd Ordinary Shares 18,200
2025-06-13
ORNBV.HE
Orion Oyj Class B 2,348
2025-06-13
LHA.DE
Deutsche Lufthansa AG 16,082
2025-06-13
CARL B.CO
Carlsberg AS Class B 499
2025-06-13
PST.MI
Poste Italiane SpA -16,586
2025-06-13
D05.SI
DBS Group Holdings Ltd -8,100
2025-06-13
SHL.DE
Siemens Healthineers AG Registered Shares -4,343
2025-06-13
6586.T
Makita Corp -1,400
2025-06-13
1.HK
CK Hutchison Holdings Ltd -25,500
2025-06-13
8630.T
Sompo Holdings Inc -4,500
2025-06-13
4684.T
OBIC Co Ltd 6,100
2025-06-13
BAMI.MI
Banco BPM SpA 22,577
2025-06-13
9433.T
KDDI Corp 3,800
2025-06-13
SAN.PA
Sanofi SA -2,980
2025-06-13
WISE.L
Wise PLC Class A 18,525
2025-06-13
ALL.AX
Aristocrat Leisure Ltd -4,273
2025-06-13
PUM.DE
Puma SE -3,061
2025-06-13
LDO.MI
Leonardo SpA Az nom Post raggruppamento -1,169
2025-06-13
HM B.ST
Hennes & Mauritz AB Class B -6,928
2025-06-13
SAN.MC
Banco Santander SA 30,779
2025-06-13
JD.L
JD Sports Fashion PLC 157,689
2025-06-13
GET.PA
Getlink SE Act. Provenant Regroupement -15,093
2025-06-13
7733.T
Olympus Corp -5,700
2025-06-13
BNZL.L
Bunzl PLC -4,610
2025-06-13
RR.L
Rolls-Royce Holdings PLC -17,334
2025-06-13
U96.SI
Sembcorp Industries Ltd -28,400
2025-06-13
SWED A.ST
Swedbank AB Class A -9,773
2025-06-13
LSEG.L
London Stock Exchange Group PLC -1,961
2025-06-13
ZURN.SW
Zurich Insurance Group AG -710
2025-06-13
VWS.CO
Vestas Wind Systems AS 5,670
2025-06-13
3064.T
MonotaRO Co Ltd 5,600
2025-06-13
PNDORA.CO
Pandora AS 1,022
2025-06-13
WKL.AS
Wolters Kluwer NV 1,196
2025-06-13
EMSN.SW
Ems-Chemie Holding AG 313
2025-06-13
UNI.MI
Unipol Assicurazioni SpA 13,020
2025-06-13
DB1.DE
Deutsche Boerse AG 1,029
2025-06-13
BCVN.SW
Banque Cantonale Vaudoise Registered Shares 3,034
2025-06-13
O39.SI
Oversea-Chinese Banking Corp Ltd 26,300
2025-06-13
NDA FI.HE
Nordea Bank Abp 21,212
2025-06-13
CBK.DE
Commerzbank AG 7,585
2025-06-13
KNEBV.HE
KONE Oyj Class B 3,692
2025-06-13
66.HK
MTR Corp Ltd 63,500
2025-06-13
9735.T
SECOM Co Ltd 5,700
2025-06-13
4528.T
Ono Pharmaceutical Co Ltd 17,900
2025-06-13
CON.DE
Continental AG 1,978
2025-06-13
FPH.NZ
Fisher & Paykel Healthcare Corp Ltd 6,851
2025-06-13
1802.T
Obayashi Corp 8,700
2025-06-13
669.HK
Techtronic Industries Co Ltd 9,000
2025-06-13
1997.HK
Wharf Real Estate Investment Co Ltd 35,000
2025-06-13
9531.T
Tokyo Gas Co Ltd 1,300
2025-06-13
ROG.SW
Roche Holding AG -1,274
2025-06-13
DANSKE.CO
Danske Bank AS -7,491
2025-06-13
HSBA.L
HSBC Holdings PLC -24,990
2025-06-13
9503.T
Kansai Electric Power Co Inc -24,030
2025-06-13
AZN.L
AstraZeneca PLC -1,693
2025-06-13
RIO.AX
Rio Tinto Ltd -1,762
2025-06-13
1605.T
Inpex Corp -8,600
2025-06-13
AM.PA
Dassault Aviation SA -574
2025-06-13
INF.L
Informa PLC -15,884
2025-06-13
DCC.L
DCC PLC -2,193
2025-06-13
6448.T
Brother Industries Ltd -3,600
2025-06-13
EVD.DE
CTS Eventim AG & Co. KGaA -1,080
2025-06-13
RIO.L
Rio Tinto PLC Ordinary Shares 4,105
2025-06-13
TCL.AX
Transurban Group 19,387
2025-03-24
HL.L
Hargreaves Lansdown PLC -14,381
2025-03-13
WKL.AS
Wolters Kluwer NV -1,182
2025-03-13
SGO.PA
Compagnie de Saint-Gobain SA -1,682
2025-03-13
HEI.DE
Heidelberg Materials AG -1,055
2025-03-13
U11.SI
United Overseas Bank Ltd -7,800
2025-03-13
STAN.L
Standard Chartered PLC -12,406
2025-03-13
BAMI.MI
Banco BPM SpA -16,147
2025-03-13
G.MI
Generali -6,571
2025-03-13
SCHP.SW
Schindler Holding AG Non Voting -849
2025-03-13
3064.T
MonotaRO Co Ltd -15,900
2025-03-13
DB1.DE
Deutsche Boerse AG -923
2025-03-13
IPN.PA
Ipsen SA -1,835
2025-03-13
4528.T
Ono Pharmaceutical Co Ltd -36,000
2025-03-13
8113.T
Unicharm Corp -32,100
2025-03-13
ALV.DE
Allianz SE -660
2025-03-13
6586.T
Makita Corp 1,000
2025-03-13
O39.SI
Oversea-Chinese Banking Corp Ltd -17,600
2025-03-13
ML.PA
Michelin -5,661
2025-03-13
HOLN.SW
Holcim Ltd -1,766
2025-03-13
4151.T
Kyowa Kirin Co Ltd -22,600
2025-03-13
9020.T
East Japan Railway Co 4,800
2025-03-13
JMT.LS
Jeronimo Martins SGPS SA 1,791
2025-03-13
CS.PA
AXA SA -7,136
2025-03-13
ISP.MI
Intesa Sanpaolo -42,672
2025-03-13
UNI.MI
Unipol Assicurazioni SpA -10,252
2025-03-13
7832.T
BANDAI NAMCO Holdings Inc 1,500
2025-03-13
INPST.AS
Inpost SA Ordinary Shares 3,497
2025-03-13
6448.T
Brother Industries Ltd 2,700
2025-03-13
7733.T
Olympus Corp 4,100
2025-03-13
GALP.LS
Galp Energia SGPS SA -2,101
2025-03-13
PUM.DE
Puma SE 2,246
2025-03-13
6465.T
Hoshizaki Corp 1,100
2025-03-13
9532.T
Osaka Gas Co Ltd 3,000
2025-03-13
RHM.DE
Rheinmetall AG 58
2025-03-13
2502.T
Asahi Group Holdings Ltd 5,100
2025-03-13
EVD.DE
CTS Eventim AG & Co. KGaA 779
2025-03-13
4204.T
Sekisui Chemical Co Ltd 5,000
2025-03-13
1605.T
Inpex Corp 6,100
2025-03-13
GMAB.CO
Genmab AS 286
2025-03-13
MAERSK B.CO
A P Moller Maersk AS Class B 26
2025-03-13
LDO.MI
Leonardo SpA Az nom Post raggruppamento 830
2025-03-13
8630.T
Sompo Holdings Inc 3,200
2025-03-13
9021.T
West Japan Railway Co 4,500
2025-03-13
9433.T
KDDI Corp -10,600
2025-03-13
SGH.AX
SGH Ltd 3,008
2025-03-13
7550.T
Zensho Holdings Co Ltd 800
2025-03-13
FMG.AX
Fortescue Ltd -2,620
2025-03-13
IHG.L
InterContinental Hotels Group PLC -1,035
2025-03-13
EDP.LS
EDP SA -19,313
2025-03-13
1038.HK
CK Infrastructure Holdings Ltd -9,500
2025-03-13
EDV.AX
Endeavour Group Ltd Ordinary Shares -22,620
2025-03-13
G24.DE
Scout24 SE -998
2025-03-13
CA.PA
Carrefour -7,379
2025-03-13
669.HK
Techtronic Industries Co Ltd -7,500
2025-03-13
4307.T
Nomura Research Institute Ltd 1,800
2025-03-13
9201.T
Japan Airlines Co Ltd 6,800
2025-03-13
FPH.NZ
Fisher & Paykel Healthcare Corp Ltd -6,052
2025-03-13
MOWI.OL
Mowi ASA -4,087
2025-03-13
ITX.MC
Industria De Diseno Textil SA Share From Split -2,583
2025-03-13
PNDORA.CO
Pandora AS -971
2025-03-13
SK.PA
SEB SA -1,315
2025-03-13
9005.T
Tokyu Corp 8,900
2025-03-13
3003.T
Hulic Co Ltd 12,800
2025-03-13
9022.T
Central Japan Railway Co 5,000
2025-03-13
TEMN.SW
Temenos AG -1,550
2025-03-13
1928.HK
Sands China Ltd Shs Unitary 144A/Reg S -31,200
2025-03-13
AM.PA
Dassault Aviation SA 417
2025-03-13
BARC.L
Barclays PLC 36,187
2025-03-13
EQNR.OL
Equinor ASA 5,351
2025-03-13
NWG.L
NatWest Group PLC 25,374
2025-03-13
SHEL.L
Shell PLC 4,849
2025-03-13
SAB.MC
Banco de Sabadell SA 48,813
2025-03-13
RWE.DE
RWE AG Class A 3,656
2025-03-13
SUN.AX
Suncorp Group Ltd 15,334
2025-03-13
GET.PA
Getlink SE Act. Provenant Regroupement 10,889
2025-03-13
SWED A.ST
Swedbank AB Class A 6,997
2025-03-13
NN.AS
NN Group NV 3,789
2025-03-13
BKW.SW
BKW AG 1,414
2025-03-13
D05.SI
DBS Group Holdings Ltd 6,000
2025-03-13
DG.PA
Vinci SA 1,368
2025-03-13
1925.T
Daiwa House Industry Co Ltd 3,800
2025-03-13
COV.PA
Covivio SA -2,123
2025-03-13
ACA.PA
Credit Agricole SA 14,790
2025-03-13
APA.AX
APA Group -26,740
2025-03-13
4768.T
Otsuka Corp 4,900
2025-03-13
ALFA.ST
Alfa Laval AB -2,853
2025-03-13
VOLV B.ST
Volvo AB Class B -4,602
2025-03-13
ROCK B.CO
Rockwool AS Class B -346
2025-03-13
RHC.AX
Ramsay Health Care Ltd -6,390
2025-03-13
AKRBP.OL
Aker BP ASA 5,862
2025-03-13
ENX.PA
Euronext NV 1,833
2025-03-13
BPE.MI
BPER Banca SpA -18,691
2025-03-13
KOG.OL
Kongsberg Gruppen ASA -890
2024-11-22
ITX.MC
Industria De Diseno Textil SA Share From Split 2,701
2024-11-22
HEN3.DE
Henkel AG & Co KGaA Participating Preferred -1,571
2024-11-22
SGSN.SW
SGS AG 672
2024-11-22
JDEP.AS
JDE Peets NV Ordinary Shares 5,377