WRND ISSUER
The issuer of the WRND ETF is committed to sustainable investing and adheres to stringent environmental, social, and governance (ESG) criteria in its investment approach. The ETF seeks to track an index comprised of equity securities from large capitalization companies listed on U.S. exchanges that meet these ESG criteria. The index methodology is governed by MSCI, an industry leader in ESG research and indexing, ensuring that the ETF aligns with responsible investment principles while providing investors exposure to the U.S. market's large-cap segment.
WRND DIVIDEND
While the WRND ETF primarily focuses on sustainable investing through its adherence to environmental, social, and governance (ESG) criteria, it also offers investors opportunities for dividend income. The fund's dividend distribution is influenced by the dividend policies and performance of the ESG-compliant companies within its portfolio. As a result, investors in WRND may benefit from both ESG-conscious investing and potential dividend returns..
WRND TRACKING
The WRND ETF, managed by Logan Capital Management, employs an investment strategy centered around innovative growth and forward-thinking companies. This ETF primarily focuses on large-cap U.S. equities traded on U.S. securities exchanges, with an emphasis on firms that harness innovative technologies and ideas to gain a competitive edge. By using a bottom-up approach that includes macroeconomic analysis, fundamental research, and technical analysis, the fund strives to identify companies with robust earnings growth potential, often driven by factors such as market dominance, pricing power, and technological innovation. WRND may also allocate up to 20% of its assets to foreign issuers, including emerging markets, and consistently seeks out investment opportunities that align with its philosophy of sustainable, long-term earnings growth.
WRND CORRELATION
Understanding the correlation of the WRND ETF, or any specific correlation data, requires access to detailed market analysis tools. As of my last knowledge update in September 2021, I don't have access to real-time data or specific correlation information for this ETF. However, you can utilize specialized tools like ETF Insider's web app to study correlations and gain deeper insights into how WRND interacts with various assets and sectors. ETF Insider's visualization tools can help you uncover valuable information about correlations and overlaps with other US ETFs, enhancing your investment decision-making process.
WRND SECTOR
The WisdomTree U.S. High Dividend Fund (WRND) is primarily involved in the dividend-focused sector of the ETF market. This ETF focuses on companies with a history of paying high dividends, making it an attractive option for income-seeking investors. By targeting dividend-paying stocks, WRND offers the potential for regular income generation within the portfolio, which can be especially valuable in income-oriented investment strategies.
WRND EXPOSURE
The exposure profile of the WRND ETF, or the WisdomTree U.S. Dividend ex-Financials Fund, is geared towards income-focused investors seeking to avoid exposure to the financial sector. This ETF tracks an index created by Zacks Investment Research, which aims to select domestic and international companies listed on major U.S. exchanges with strong income potential and risk-adjusted returns. By excluding financials, the ETF provides a unique opportunity for investors to access a diversified basket of income-generating assets across various market segments and industries while mitigating exposure to financial sector volatility.