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WTIP Holdings Changes

WisdomTree Inflation Plus Fund
1W: +1.3% 1M: +0.8% 3M: +6.7% YTD: +10.7% 1Y: +19.0%
$37.36
-0.13 (-0.35%)
 
Weekly Expected Move ±1.5%
$36 $37 $37 $38 $38
ETF NASDAQ · AUM $1.8M
Total Changes (90d)
48
New Holdings
24
Removed Holdings
0
51 changes · Page 1 of 2
Date Holding Name Ticker Change Type Old Value New Value
2026-09-30 91282CEJ6 91282CEJ6 shares 993000 1064000
2026-09-30 91282CKL4 91282CKL4 shares 1120000 1201000
2026-09-30 9128285W6 9128285W6 shares 603000 647000
2026-09-30 91282CNB3 91282CNB3 shares 1240000 1329000
2026-09-30 91282CDC2 91282CDC2 shares 939000 1007000
2026-09-30 912828ZZ6 912828ZZ6 shares 881000 944000
2026-09-30 912828Z37 912828Z37 shares 818000 877000
2026-09-30 BTCW BTCW shares 15824 16954
2026-09-30 91282CJH5 91282CJH5 shares 1096000 1175000
2026-09-30 91282CCM1 91282CCM1 shares 976000 1046000
2026-09-30 91282CBF7 91282CBF7 shares 940000 1008000
2026-09-30 912828Y38 912828Y38 shares 691000 741000
2026-09-30 91282CGW5 91282CGW5 shares 1042000 1117000
2026-09-30 912828V49 912828V49 shares 669000 717000
2026-09-30 HOZ6 HOZ6 shares 7 8
2026-09-30 91282CQP9 91282CQP9 shares 1306000 1400000
2026-09-30 91282CPH8 91282CPH8 shares 1305000 1399000
2026-09-30 NGZ26 NGZ26 shares -36 -39
2026-09-30 9128287D6 9128287D6 shares 720000 772000
2026-09-30 91282CFR7 91282CFR7 shares 1045000 1120000
2026-09-30 9128282L3 9128282L3 shares 759000 814000
2026-09-30 91282CLV1 91282CLV1 shares 1194000 1280000
2026-09-30 9128283R9 9128283R9 shares 784000 841000
2026-09-30 CLF7 CLF7 shares 16 17
2026-09-21 91282CGW5 91282CGW5 New — 1042000 shares
2026-09-21 9128287D6 9128287D6 New — 720000 shares
2026-09-21 BTCW BTCW New — 15824 shares
2026-09-21 HOZ6 HOZ6 New — 7 shares
2026-09-21 912828Y38 912828Y38 New — 691000 shares
2026-09-21 91282CKL4 91282CKL4 New — 1120000 shares
2026-09-21 91282CFR7 91282CFR7 New — 1045000 shares
2026-09-21 9128282L3 9128282L3 New — 759000 shares
2026-09-21 91282CJH5 91282CJH5 New — 1096000 shares
2026-09-21 91282CCM1 91282CCM1 New — 976000 shares
2026-09-21 912828ZZ6 912828ZZ6 New — 881000 shares
2026-09-21 9128283R9 9128283R9 New — 784000 shares
2026-09-21 91282CLV1 91282CLV1 New — 1194000 shares
2026-09-21 912828V49 912828V49 New — 669000 shares
2026-09-21 9128285W6 9128285W6 New — 603000 shares
2026-09-21 91282CBF7 91282CBF7 New — 940000 shares
2026-09-21 CLF7 CLF7 New — 16 shares
2026-09-21 91282CEJ6 91282CEJ6 New — 993000 shares
2026-09-21 91282CNB3 91282CNB3 New — 1240000 shares
2026-09-21 91282CQP9 91282CQP9 New — 1306000 shares
2026-09-21 91282CPH8 91282CPH8 New — 1305000 shares
2026-09-21 91282CDC2 91282CDC2 New — 939000 shares
2026-09-21 912828Z37 912828Z37 New — 818000 shares
2026-09-21 NGZ26 NGZ26 New — -36 shares
2026-03-14 Removed 2790090 shares —
2026-02-28 BTCW BTCW New — 615 shares

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms