WisdomTree International Al Enhanced Value Fund(AIVI) USD 40.01
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.91%USD 0.365USD0.3652023-03-27
20223.90%USD 1.562USD0.251852022-12-23
USD0.362022-09-26
USD0.7652022-06-24
USD0.1852022-03-25
20215.79%USD 2.315USD0.333252021-12-27
USD1.0552021-09-24
USD0.522021-06-24
USD0.407062021-03-25
20203.54%USD 1.417USD0.3332020-12-21
USD0.4452020-09-22
USD0.432020-06-23
USD0.20852020-03-24
20194.60%USD 1.839USD0.399472019-12-23
USD0.4752019-09-24
USD0.6152019-06-24
USD0.352019-03-26
20183.99%USD 1.595USD0.290992018-12-24
USD0.42018-09-25
USD0.704572018-06-25
USD0.199142018-03-20
20173.96%USD 1.585USD0.360052017-12-26
USD0.312017-09-26
USD0.7052017-06-26
USD0.212017-03-27
20163.72%USD 1.489USD0.320722016-12-23
USD0.242016-09-26
USD0.742016-06-20
USD0.1882016-03-21
20154.02%USD 1.61USD0.283772015-12-21
USD0.319472015-09-21
USD0.816712015-06-22
USD0.192015-03-23
20145.50%USD 2.2USD0.542022014-12-19
USD0.303812014-09-22
USD0.876452014-06-23
USD0.477612014-03-24
20134.36%USD 1.746USD0.323912013-12-24
USD0.31232013-09-23
USD0.956472013-06-24
USD0.153252013-03-22
20124.77%USD 1.909USD0.281312012-12-24
USD0.255062012-09-24
USD1.093222012-06-25
USD0.279112012-03-26
20114.69%USD 1.876USD0.248022011-12-21
USD0.278852011-09-26
USD1.036162011-06-22
USD0.313042011-03-21
20104.15%USD 1.66USD0.237882010-12-22
USD0.284522010-09-20
USD1.041722010-06-28
USD0.095732010-03-29
20093.93%USD 1.574USD0.172022009-12-21
USD0.222772009-09-21
USD1.015662009-06-22
USD0.163282009-03-23
20089.72%USD 3.889USD3.888832008-12-22
20074.48%USD 1.792USD1.792442007-12-17
20060.55%USD 0.221USD0.220862006-12-21