Stock Taper
EXCHANGE TRADED FUND

WDRN

WisdomTree Trust - WisdomTree Physical AI, Humanoids, and Drones Fund
$25.90 ▼ 1.07%
−$0.28 TODAY

FUND FACTS

Manager WisdomTree
Assets $17.92M
Expense ratio 0.45%
Inception May 14, 2026
Asset class Thematic
Holdings 29
Volume 5.78K
Avg volume 25.01K

ABOUT THIS FUND

WDRN tracks an index of global equities with business exposure to physical artificial intelligence. To be eligible, stocks must first undergo listing, size, and liquidity screens. Qualified securities must then be involved in one of these physical AI categories: humanoid robotics, drones/autonomous mobility, next-gen factories or smart manufacturing, next-gen logistics and supply chain robotics, and emerging applications. A thematic score is initially assigned to each category based on the technological maturity, market relevance, and growth potential. A relevancy score is then assigned to each company based on the nature, significance, and revenue exposure to physical AI activities. The 25 securities that best represent each category based on their scores are selected for inclusion. The constituents are initially equally weighted, then adjusted based on the thematic and relevancy scores with 10% single stock capping. The index is reconstituted and rebalanced quarterly.

PRICE

$25.90 ▼ DOWN 1.07% (−$0.28)
$25.65$25.80$25.959:30 AM10:33 AM11:37 AM12:41 PM1:44 PM2:48 PM3:51 PM25.90

HOLDINGS

TOP 20 OF 29 · 44.44% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
01 NVDA NVIDIA Corporation 5.30% 4.43K $947.58K
02 TSLA Tesla, Inc. 5.21% 2.6K $932.44K
03 IOT Samsara Inc. 3.10% 14.22K $562.36K
04 DE Deere & Company 2.54% 672 $459.64K
05 AUR Aurora Innovation, Inc. 2.53% 72.55K $457.77K
06 ISRG Intuitive Surgical, Inc. 2.28% 1.05K $412.21K
07 NOVT Novanta Inc. 2.27% 3.05K $405.17K
08 ONDS Ondas Holdings Inc. 2.23% 55.33K $398.37K
09 TER Teradyne, Inc. 2.15% 1.13K $384.13K
10 MOG-A Moog Inc. 1.86% 923 $332K
11 NXPI NXP Semiconductors N.V. 1.80% 1.47K $322.12K
12 ROK Rockwell Automation, Inc. 1.66% 714 $296.25K
13 RCAT Red Cat Holdings, Inc. 1.57% 39.53K $280.49K
16 RRX Regal Rexnord Corporation 1.48% 1.77K $264.53K
17 SYM Symbotic Inc. 1.47% 6.12K $263.79K
18 AVAV AeroVironment, Inc. 1.38% 1.57K $250.8K
19 AVEX Aevex Corp. 1.30% 14.55K $235.68K
20 AMPX Amprius Technologies, Inc. 1.29% 24.64K $234.08K

SECTOR HOLDINGS

TECHNOLOGY IS 46.96% OF THE FUND
Industrials 46.96%
Technology 36.93%
Consumer Cyclical 13.99%
Healthcare 2.11%
Cash & Others 0.01%

BY REGION

UNITED STATES IS 50.03% OF THE FUND
United States 50.03%
Japan 16.76%
South Korea 10.26%
Germany 5.61%
Australia 2.78%
Israel 2.51%
Italy 2.47%
Switzerland 1.98%
Netherlands 1.86%
Puerto Rico 1.76%
Canada 1.24%
Taiwan 1.24%
France 0.75%
Ireland 0.60%
Other 0.15%