WisdomTree U.S. ESG Fund(RESP) USD 43.5608
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.14USD0.142023-03-27
20221.44%USD 0.628USD0.182582022-12-23
USD0.162022-09-26
USD0.142022-06-24
USD0.1452022-03-25
20211.28%USD 0.559USD0.142762021-12-27
USD0.192021-09-24
USD0.1252021-06-24
USD0.101732021-03-25
20201.24%USD 0.541USD0.142772020-12-21
USD0.122020-09-22
USD0.112020-06-23
USD0.168682020-03-24
20191.51%USD 0.657USD0.337412019-12-23
USD0.182019-09-24
USD0.142019-06-24
20181.83%USD 0.799USD0.37572018-12-24
USD0.157212018-09-25
USD0.162018-06-25
USD0.106232018-03-20
20171.17%USD 0.509USD0.150762017-12-26
USD0.12672017-09-26
USD0.11672017-06-26
USD0.1152017-03-27
20161.16%USD 0.507USD0.14832016-12-23
USD0.142016-09-26
USD0.11332016-06-20
USD0.1052016-03-21
20151.20%USD 0.522USD0.1472015-12-21
USD0.14872015-09-21
USD0.11672015-06-22
USD0.10922015-03-23
20140.89%USD 0.388USD0.11792014-12-19
USD0.09692014-09-22
USD0.08812014-06-23
USD0.08532014-03-24
20130.81%USD 0.354USD0.10772013-12-24
USD0.08842013-09-23
USD0.08592013-06-24
USD0.07192013-03-22
20120.78%USD 0.339USD0.12682012-12-24
USD0.0792012-09-24
USD0.0752012-06-25
USD0.05782012-03-26
20110.73%USD 0.317USD0.11232011-12-21
USD0.07022011-09-26
USD0.08092011-06-22
USD0.05392011-03-21
20100.60%USD 0.262USD0.08312010-12-22
USD0.05712010-09-20
USD0.06082010-06-28
USD0.0612010-03-29
20090.53%USD 0.232USD0.06852009-12-21
USD0.05022009-09-21
USD0.05032009-06-22
USD0.06262009-03-23
20080.64%USD 0.28USD0.07492008-12-22
USD0.07262008-09-22
USD0.05622008-06-23
USD0.07652008-03-24
20070.63%USD 0.274USD0.082007-12-17
USD0.06572007-09-24
USD0.09842007-06-25
USD0.02942007-03-26