UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-CSR CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number 811-21864 WisdomTree Trust (Exact name of registrant as specified in charter) 48 Wall Street, 11th Floor New York, NY 10005 (Address of principal executive offices) (Zip code) The Corporation Trust Company 1209 Orange Street Wilmington, DE 19801 (Name and address of agent for service) Registrant's telephone number, including area code: (866) 909-9473 ---------------- Date of fiscal year end: March 31 --------- Date of reporting period: September 30, 2007 ------------------ Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles. A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget ("OMB") control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. ss. 3507. Item 1. Report(s) to Stockholders. The Trust's semi-annual report transmitted to shareholders pursuant to Rule 30e-1 under the Investment Company Act of 1940 is as follows: [LOGO] WISDOMTREE Fundamental ETFs WisdomTree Trust Domestic Dividend Funds -------------------------------------------------------------------------------- Semi-Annual Report September 30, 2007 WisdomTree Total Dividend Fund WisdomTree High-Yielding Equity Fund WisdomTree LargeCap Dividend Fund WisdomTree Dividend Top 100(SM) Fund WisdomTree MidCap Dividend Fund WisdomTree SmallCap Dividend Fund Table of Contents Letter to Shareholders ................................. 1 Performance Summaries .................................. 3 Shareholder Expense Examples ........................... 9 Schedules of Investments WisdomTree Total Dividend Fund ........................ 11 WisdomTree High-Yielding Equity Fund .................. 21 WisdomTree LargeCap Dividend Fund ..................... 26 WisdomTree Dividend Top 100 Fund ...................... 30 WisdomTree MidCap Dividend Fund ....................... 32 WisdomTree SmallCap Dividend Fund ..................... 38 Statements of Assets and Liabilities ................... 47 Statements of Operations ............................... 48 Statements of Changes in Net Assets .................... 49 Financial Highlights ................................... 51 Notes to the Financial Statements ...................... 54 Frequency Distribution of Discounts & Premiums ......... 58 General Information .................................... 59 "WisdomTree", "WisdomTree Investments" and "Dividend Top 100" are service marks of WisdomTree Investments, Inc. and are licensed for use by the Trust. Letter to Shareholders Dear Shareholders: It is a pleasure to report to you on the progress of the WisdomTree Trust for the six-month period ended September 30, 2007. WisdomTree is committed to providing investors with viable alternatives to cap-weighted index funds. Two recent launches underscore our intention to serve investors in unique ways. In June, the company launched the first fundamentally weighted international real estate exchange traded fund (DRW). In July, WisdomTree listed the first fundamentally weighted emerging markets ETF (DEM), comprised of dividend-paying companies selected from 19 emerging market nations. When combined with WisdomTree's 14 developed market ETFs and 10 pure non-U.S. sector ETFs, our international offerings stood at 26 as of September 30, 2007, distinguishing WisdomTree's international line-up as one of the most comprehensive in the industry today. As of September 30, 2007, WisdomTree Trust assets totaled $4.4 billion, with approximately 71% of total assets under management invested in WisdomTree's international product set. The highest returns over this six-month period were generated outside the U.S. Equity markets in the Pacific region excluding Japan showed the greatest strength relative to other parts of the developed market, while Japanese equity markets continued to lag. WisdomTree's best-performing fund was its Pacific ex-Japan Total Dividend Fund (DND), which returned 24.40% for the six-month period ended September 30, 2007. The WisdomTree Japan High-Yielding Equity Fund (DNL), which lost 5.74% for the period, was WisdomTree's worst performing fund over this time frame. However, WisdomTree's broadest international ETF, the WisdomTree DEFA Fund (DWM), benefited from Japan's relative weakness. DWM, which is underweight Japanese stocks relative to the MSCI EAFE Index, returned 10.63% for the period, surpassing the MSCI EAFE Index by 1.91 percentage points for the six-month period ended September 30, 2007.* On the domestic front, WisdomTree's fundamentally-weighted ETFs ran into two head winds: weakness in the financial and real estate industries, coupled with the re-emergence of growth stocks. Buffeted by investor concerns over exposure to sub-prime housing loans, financial stocks have been the worst performing sector of the U.S. economy in 2007. The weakness in financials contributed to value stocks, measured by the Russell 3000 Value Index, underperforming growth stocks, measured by the Russell 3000 Growth Index, for first time since 1999. Specific performance information for WisdomTree's funds, relative to their underlying WisdomTree index and a comparable benchmark, is provided in the pages that follow. Thank you for your continued support. Best regards, /s/ Jonathan Steinberg Jonathan Steinberg President, WisdomTree Trust CEO, WisdomTree Asset Management, Inc. The sources and forecasts expressed are as of September 30, 2007 and may not actually come to pass. This information is subject to change at any time based on market and other conditions and should not be construed as a recommendation of any specific security. Mr. Steinberg is a registered representative of ALPS Distributors, Inc. * Performance Information for the MSCI EAFE Index assumed the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. WisdomTree Domestic Dividend Funds 1 Letter to Shareholders (concluded) Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI's express written consent. The MSCI EAFE Index is a market cap-weighted index composed of company's representative of the developed market structure of 21 developed countries in Europe, Australasia and Japan. The Russell 3000 Value Index measures the performance of those Russell 3000 Index companies with lower price-to-book ratios and lower forecasted growth values. The Russell 3000 Growth Index measures the performance of those Russell 3000 Index companies with higher price-to-book ratios and higher forecasted growth values. 2 WisdomTree Domestic Dividend Funds Performance Summary WisdomTree Total Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 28.4% Consumer Non-Cyclical 19.8% Industrials 11.5% Energy 8.4% Communications 8.1% Utilities 6.3% Consumer Cyclical 6.0% Basic Materials 5.5% Technology 5.4% Diversified 0.1% Other 0.5% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A Sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------- Company % of Net Assets ------------------------------------------------- General Electric Co. 4.3% ------------------------------------------------- Bank of America Corp. 3.4% ------------------------------------------------- Citigroup, Inc. 3.3% ------------------------------------------------- AT&T, Inc. 3.2% ------------------------------------------------- Exxon Mobil Corp. 3.1% ------------------------------------------------- Pfizer, Inc. 2.3% ------------------------------------------------- Altria Group, Inc. 2.2% ------------------------------------------------- Verizon Communications, Inc. 2.2% ------------------------------------------------- Chevron Corp. 2.1% ------------------------------------------------- JPMorgan Chase & Co. 1.7% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Total Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Dividend Index. The WisdomTree Total Dividend Fund (DTD) returned 5.66% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 10.99% of the Fund and returned 16.55% over the period. General Electric Co. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.28%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------- WisdomTree Russell Net Asset Value Market Price Dividend Index 3000 Index ---------------------------------------------------------------------------------------- Six Month* 5.66% 5.59% 6.37% 7.40% ---------------------------------------------------------------------------------------- One Year 13.86% 13.78% 14.33% 16.57% ---------------------------------------------------------------------------------------- Since Inception(1) 17.73% 17.51% 18.04% 18.39% ---------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree Domestic Dividend Funds 3 Performance Summary WisdomTree High-Yielding Equity Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 38.4% Consumer Non-Cyclical 19.1% Communications 11.6% Utilities 9.3% Industrials 8.6% Basic Materials 6.7% Energy 4.1% Consumer Cyclical 1.4% Technology 0.4% Other 0.4% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A Sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------- Company % of Net Assets ------------------------------------------------- General Electric Co. 8.1% ------------------------------------------------- Bank of America Corp. 6.2% ------------------------------------------------- Citigroup, Inc. 6.1% ------------------------------------------------- AT&T, Inc. 6.1% ------------------------------------------------- Pfizer, Inc. 4.1% ------------------------------------------------- Verizon Communications, Inc. 4.0% ------------------------------------------------- Altria Group, Inc. 4.0% ------------------------------------------------- Chevron Corp. 3.9% ------------------------------------------------- JPMorgan Chase & Co. 3.2% ------------------------------------------------- Wachovia Corp. 2.8% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree High-Yielding Equity Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree High-Yielding Equity Index. The WisdomTree High-Yielding Equity Fund (DHS) returned 3.43% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 8.17% of the Fund and returned 16.45% over the period. General Electric Co. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Average Annual Total Return ----------------------------------------------------------------------------------------- WisdomTree High-Yielding Russell 1000 Net Asset Value Market Price Equity Index Value Index ----------------------------------------------------------------------------------------- Six Month* 3.43% 3.36% 3.55% 4.67% ----------------------------------------------------------------------------------------- One Year 11.15% 10.97% 11.12% 14.49% ----------------------------------------------------------------------------------------- Since Inception(1) 16.88% 16.78% 16.94% 18.44% ----------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 4 WisdomTree Domestic Dividend Funds Performance Summary WisdomTree LargeCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 26.4% Consumer Non-Cyclical 21.5% Industrials 11.7% Energy 9.6% Communications 8.6% Technology 5.8% Utilities 5.6% Consumer Cyclical 5.3% Basic Materials 5.1% Other 0.4% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A Sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------- Company % of Net Assets ------------------------------------------------- General Electric Co. 5.2% ------------------------------------------------- Bank of America Corp. 4.0% ------------------------------------------------- Citigroup, Inc. 3.9% ------------------------------------------------- AT&T, Inc. 3.9% ------------------------------------------------- Exxon Mobil Corp. 3.9% ------------------------------------------------- Pfizer, Inc. 2.7% ------------------------------------------------- Verizon Communications, Inc. 2.6% ------------------------------------------------- Altria Group, Inc. 2.5% ------------------------------------------------- Chevron Corp. 2.5% ------------------------------------------------- JPMorgan Chase & Co. 2.0% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree LargeCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree LargeCap Dividend Index. The WisdomTree LargeCap Dividend Fund (DLN) returned 6.94% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Energy contributed most significantly to this performance; the sector comprised on average 8.71% of the Fund and returned 24.91% over the period. General Electric Co. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.28%. Performance as of 9/30/07 --------------------------------------------------------------------------------------- Average Annual Total Return --------------------------------------------------------------------------------------- WisdomTree LargeCap S&P 500 Net Asset Value Market Price Dividend Index Index --------------------------------------------------------------------------------------- Six Month* 6.94% 6.76% 7.40% 8.44% --------------------------------------------------------------------------------------- One Year 14.65% 14.50% 15.22% 16.49% --------------------------------------------------------------------------------------- Since Inception(1) 18.78% 18.52% 19.12% 18.92% --------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree Domestic Dividend Funds 5 Performance Summary WisdomTree Dividend Top 100 Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 29.1% Utilities 20.0% Consumer Non-Cyclical 18.9% Basic Materials 13.1% Consumer Cyclical 6.7% Communications 6.2% Industrials 3.7% Energy 1.1% Technology 0.9% Other 0.3% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A Sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------- Company % of Net Assets ------------------------------------------------- Southern Copper Corp. 6.8% ------------------------------------------------- AT&T, Inc. 2.4% ------------------------------------------------- Verizon Communications, Inc. 1.8% ------------------------------------------------- Bristol-Myers Squibb Co. 1.7% ------------------------------------------------- Southern Co. 1.6% ------------------------------------------------- Progress Energy, Inc. 1.5% ------------------------------------------------- Reynolds American, Inc. 1.4% ------------------------------------------------- Consolidated Edison, Inc. 1.4% ------------------------------------------------- DTE Energy Co. 1.4% ------------------------------------------------- Ameren Corp. 1.3% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Dividend Top 100 Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Dividend Top 100 Index. The WisdomTree Dividend Top 100 Fund (DTN) returned 3.12% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Materials contributed most significantly to this performance; the sector comprised on average 11.46% of the Fund and returned 31.15% over the period. Southern Copper Corp was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------------- WisdomTree Dow Jones Dividend Top 100 U.S. Select Net Asset Value Market Price Index Dividend Index ---------------------------------------------------------------------------------------------- Six Month* 3.12% 2.98% 4.03% (1.19)% ---------------------------------------------------------------------------------------------- One Year 14.34% 14.12% 15.84% 8.84% ---------------------------------------------------------------------------------------------- Since Inception(1) 18.71% 18.55% 19.36% 12.51% ---------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 6 WisdomTree Domestic Dividend Funds Performance Summary WisdomTree MidCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 40.4% Utilities 13.0% Industrials 11.5% Consumer Non-Cyclical 8.8% Basic Materials 8.4% Consumer Cyclical 6.9% Communications 4.8% Energy 3.0% Technology 2.0% Diversified 0.3% Other 0.9% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A Sector may comprise several industries. Top Ten Holdings* as of 9/30/07 -------------------------------------------------------------- Company % of Net Assets -------------------------------------------------------------- American Capital Strategies Ltd. 1.6% -------------------------------------------------------------- Windstream Corp. 1.6% -------------------------------------------------------------- Lyondell Chemical Co. 1.4% -------------------------------------------------------------- New York Community Bancorp, Inc. 1.2% -------------------------------------------------------------- Plum Creek Timber Co., Inc. 1.2% -------------------------------------------------------------- Allied Capital Corp. 1.2% -------------------------------------------------------------- HCP, Inc. 1.1% -------------------------------------------------------------- Citizens Communications Co. 1.0% -------------------------------------------------------------- iStar Financial, Inc. 1.0% -------------------------------------------------------------- Loews Corp. 0.9% -------------------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree MidCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree MidCap Dividend Index. The WisdomTree MidCap Dividend Fund (DON) returned -1.50% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 7.91% of the Fund and returned 11.99% over the period. Lyondell Petrochemical Co. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------- WisdomTree MidCap S&P MidCap Net Asset Value Market Price Dividend Index 400 Index ---------------------------------------------------------------------------------------- Six Month* (1.50)% (1.49)% (2.89)% 4.92% ---------------------------------------------------------------------------------------- One Year 8.91% 8.90% 7.04% 18.82% ---------------------------------------------------------------------------------------- Since Inception(1) 12.14% 12.51% 10.85% 16.31% ---------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree Domestic Dividend Funds 7 Performance Summary WisdomTree SmallCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 47.6% Consumer Non-Cyclical 10.6% Consumer Cyclical 10.6% Industrials 9.7% Utilities 6.5% Communications 6.3% Basic Materials 5.6% Energy 1.5% Technology 1.0% Other 0.6% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A Sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------- Company % of Net Assets ----------------------------------------------------------------------- Vector Group Ltd. 1.1% ----------------------------------------------------------------------- Lexington Corporate Properties Trust 1.0% ----------------------------------------------------------------------- Regal Entertainment Group Class A 1.0% ----------------------------------------------------------------------- Tupperware Brands Corp. 0.8% ----------------------------------------------------------------------- Olin Corp. 0.8% ----------------------------------------------------------------------- Deluxe Corp. 0.8% ----------------------------------------------------------------------- Pennsylvania Real Estate Investment Trust 0.8% ----------------------------------------------------------------------- Franklin Street Properties Corp. 0.7% ----------------------------------------------------------------------- National Retail Properties, Inc. 0.7% ----------------------------------------------------------------------- MCG Capital Corp. 0.7% ----------------------------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree SmallCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree SmallCap Dividend Index. The WisdomTree SmallCap Dividend Fund (DES) returned -4.04% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 10.61% of the Fund and returned 5.71% over the period. Vector Group Ltd. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------ Average Annual Total Return ------------------------------------------------------------------------------------------ WisdomTree SmallCap Russell 2000 Net Asset Value Market Price Dividend Index Index ------------------------------------------------------------------------------------------ Six Month* (4.04)% (3.81)% (4.86)% 1.19% ------------------------------------------------------------------------------------------ One Year 4.66% 4.59% 2.90% 12.38% ------------------------------------------------------------------------------------------ Since Inception(1) 9.30% 9.26% 8.11% 13.80% ------------------------------------------------------------------------------------------ * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 8 WisdomTree Domestic Dividend Funds Shareholder Expense Examples (unaudited) As a shareholder of a WisdomTree Fund, you incur two types of costs: (1) transaction costs, including brokerage commissions on purchases and sales of your Fund shares and (2) ongoing costs, including management fees and other Fund expenses. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds. The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from April 1, 2007 to September 30, 2007. Actual expenses The first line under each Fund in the table on the next page provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line for your Fund under the heading entitled "Expenses Paid During Period 4/01/07 to 9/30/07" to estimate the expenses you paid on your account during this period. Hypothetical example for comparison purposes The second line under each Fund in the table on the next page provides information about hypothetical account values and hypothetical expenses based on each Fund's actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund's actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds. Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher. WisdomTree Domestic Dividend Funds 9 Shareholder Expense Examples (unaudited) (concluded) ------------------------------------------------------------------------------------------------------------------- Annualized Expense Ratio Expenses Paid Based on the During the Beginning Ending Period Period+ Account Value Account Value 4/01/07 to 4/01/07 to 4/01/07 9/30/07 9/30/07 9/30/07 ------------------------------------------------------------------------------------------------------------------- WisdomTree Total Dividend Fund Actual $ 1,000.00 $ 1,056.60 0.28% $ 1.45 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.59 0.28% $ 1.42 ------------------------------------------------------------------------------------------------------------------- WisdomTree High-Yielding Equity Fund Actual $ 1,000.00 $ 1,034.33 0.38% $ 1.94 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- WisdomTree LargeCap Dividend Fund Actual $ 1,000.00 $ 1,069.45 0.28% $ 1.46 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.59 0.28% $ 1.42 ------------------------------------------------------------------------------------------------------------------- WisdomTree Dividend Top 100 Fund Actual $ 1,000.00 $ 1,031.23 0.38% $ 1.94 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- WisdomTree MidCap Dividend Fund Actual $ 1,000.00 $ 984.96 0.38% $ 1.89 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- WisdomTree SmallCap Dividend Fund Actual $ 1,000.00 $ 959.62 0.38% $ 1.87 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- + Expenses are calculated using each Fund's annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/366 (to reflect one-half year period). 10 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) WisdomTree Total Dividend Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- COMMON STOCKS - 99.5% Advertising - 0.1% Harte-Hanks, Inc. 792 $ 15,587 Omnicom Group, Inc. 1,354 65,113 ---------- Total Advertising 80,700 -------------------------------------------------------------------------- Aerospace/Defense - 1.8% Boeing Co. (The) 3,742 392,873 DRS Technologies, Inc. 452 24,914 General Dynamics Corp. 1,917 161,929 Goodrich Corp. 726 49,535 L-3 Communications Holdings, Inc. 363 37,077 Lockheed Martin Corp. 2,271 246,381 Northrop Grumman Corp. 2,103 164,034 Raytheon Co. 3,107 198,289 Rockwell Collins, Inc. 495 36,155 United Technologies Corp. 5,816 468,071 ---------- Total Aerospace/Defense 1,779,258 -------------------------------------------------------------------------- Agriculture - 2.7% Altria Group, Inc. 30,912 2,149,310 Loews Corp. 990 81,408 Reynolds American, Inc. 4,818 306,377 Universal Corp. 624 30,545 UST, Inc. 2,246 111,402 Vector Group Ltd. 1,922 43,072 ---------- Total Agriculture 2,722,114 -------------------------------------------------------------------------- Airlines - 0.0% Southwest Airlines Co. 1,379 20,409 -------------------------------------------------------------------------- Apparel - 0.3% Columbia Sportswear Co. 373 20,631 Liz Claiborne, Inc. 561 19,259 NIKE, Inc. Class B 1,848 108,403 Phillips-Van Heusen Corp. 464 24,351 Polo Ralph Lauren Corp. 363 28,223 VF Corp. 1,080 87,210 ---------- Total Apparel 288,077 -------------------------------------------------------------------------- Auto Manufacturers - 0.4% General Motors Corp. 6,920 253,964 Oshkosh Truck Corp. 396 24,540 Paccar, Inc. 1,024 87,296 ---------- Total Auto Manufacturers 365,800 -------------------------------------------------------------------------- Auto Parts & Equipment - 0.2% BorgWarner, Inc. 502 45,948 Johnson Controls, Inc. 1,205 142,323 ---------- Total Auto Parts & Equipment 188,271 -------------------------------------------------------------------------- Banks - 11.3% Alabama National BanCorp. 397 30,934 Associated Banc-Corp 1,419 42,045 BancorpSouth, Inc. 825 20,048 Bank of America Corp. 67,375 3,386,941 Bank of Hawaii Corp. 462 24,417 Bank of New York Mellon Corp. (The) 9,201 406,132 BB&T Corp. 7,382 298,159 BOK Financial Corp. 853 43,853 Boston Private Financial Holdings, Inc. 693 19,293 Capital One Financial Corp. 387 25,708 Capitol Bancorp Ltd. 311 7,722 Cathay General Bancorp 561 18,070 Central Pacific Financial Corp. 1,056 30,835 Chittenden Corp. 1,310 46,060 City National Corp. 330 22,938 Colonial BancGroup, Inc. (The) 1,386 29,965 Comerica, Inc. 2,214 113,534 Commerce Bancshares, Inc. 454 20,834 Cullen/Frost Bankers, Inc. 862 43,203 East West Bancorp, Inc. 528 18,987 Fifth Third Bancorp 8,005 271,209 First Citizens BancShares, Inc. Class A 99 17,266 First Commonwealth Financial Corp.(a) 829 9,169 First Community Bancorp 513 28,066 First Horizon National Corp. 1,785 47,588 First Midwest Bancorp, Inc. 561 19,164 FirstMerit Corp. 1,188 23,475 FNB Corp./PA 1,874 30,996 FNB United Corp. 1,635 26,127 Fremont General Corp.(a) 4,685 18,272 Frontier Financial Corp. 891 20,787 Fulton Financial Corp. 1,950 28,041 GB&T Bancshares, Inc. 1,104 14,628 Glacier Bancorp, Inc. 1,355 30,515 Heartland Financial USA, Inc. 1,037 21,310 International Bancshares Corp. 1,480 32,116 Irwin Financial Corp. 4,209 46,383 KeyCorp 5,396 174,453 M&T Bank Corp. 734 75,932 Marshall & Ilsley Corp. 2,103 92,048 MB Financial, Inc. 747 25,809 Mercantile Bank Corp. 827 17,747 National City Corp. 1,714 43,004 Northern Trust Corp. 1,254 83,103 Old National Bancorp 3,098 51,334 Park National Corp. 198 17,266 People's United Financial, Inc. 2,633 45,498 PNC Financial Services Group, Inc. (The) 3,628 247,067 Prosperity Bancshares, Inc. 627 20,791 Provident Bankshares Corp. 561 17,576 Regions Financial Corp. 7,792 229,708 South Financial Group, Inc. (The) 2,193 49,869 State Street Corp. 1,386 94,470 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 11 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- Sterling Financial Corp./WA 693 $ 18,649 SunTrust Banks, Inc. 3,700 279,979 Susquehanna Bancshares, Inc. 891 17,909 Synovus Financial Corp. 2,973 83,393 TCF Financial Corp. 1,572 41,155 Trustmark Corp. 660 18,506 U.S. Bancorp 24,905 810,160 UCBH Holdings, Inc. 1,155 20,189 UMB Financial Corp. 627 26,873 Umpqua Holdings Corp. 1,240 24,812 UnionBanCal Corp. 1,613 94,215 United Bankshares, Inc. 720 21,917 Valley National Bancorp 1,386 30,741 Wachovia Corp. 30,017 1,505,354 Webster Financial Corp. 878 36,981 Wells Fargo & Co. 38,738 1,379,849 WesBanco, Inc. 517 12,915 Westamerica Bancorp. 429 21,368 Whitney Holding Corp. 1,930 50,913 Wilmington Trust Corp. 627 24,390 Wintrust Financial Corp. 396 16,905 Zions Bancorp 767 52,670 ---------- Total Banks 11,210,308 ----------------------------------------------------------------------------- Beverages - 2.7% Anheuser-Busch Cos., Inc. 7,732 386,523 Brown-Forman Corp. Class A 264 20,592 Coca-Cola Co. (The) 22,409 1,287,845 Coca-Cola Enterprises, Inc. 1,851 44,831 Molson Coors Brewing Co. Class B 396 39,469 Pepsi Bottling Group, Inc. 1,122 41,705 PepsiAmericas, Inc. 1,511 49,017 PepsiCo, Inc. 11,479 840,952 ---------- Total Beverages 2,710,934 ----------------------------------------------------------------------------- Building Materials - 0.2% American Standard Cos., Inc. 1,122 39,966 Eagle Materials, Inc. 495 17,691 Florida Rock Industries, Inc. 429 26,808 Lennox International, Inc. 684 23,119 Martin Marietta Materials, Inc. 231 30,850 Masco Corp. 4,279 99,145 ---------- Total Building Materials 237,579 ----------------------------------------------------------------------------- Chemicals - 2.5% Air Products & Chemicals, Inc. 1,488 145,467 Airgas, Inc. 521 26,899 Albemarle Corp. 924 40,841 Ashland, Inc. 368 22,157 Cabot Corp. 627 22,277 Celanese Corp. Series A 1,089 42,449 Chemtura Corp. 2,280 20,269 Cytec Industries, Inc. 363 24,826 Dow Chemical Co. (The) 12,930 556,766 E.I. du Pont de Nemours & Co. 10,473 519,042 Eastman Chemical Co. 924 61,659 Ecolab, Inc. 891 42,055 FMC Corp. 608 31,628 International Flavors & Fragrances, Inc. 627 33,143 Lubrizol Corp. 528 34,352 Lyondell Chemical Co. 3,722 172,515 Monsanto Co. 1,800 154,332 PPG Industries, Inc. 1,620 122,391 Praxair, Inc. 1,950 163,332 Rohm & Haas Co. 1,941 108,055 RPM International, Inc. 1,386 33,195 Sherwin-Williams Co. (The) 631 41,463 Sigma-Aldrich Corp. 602 29,341 Valhi, Inc. 770 18,288 Valspar Corp. (The) 759 20,652 ---------- Total Chemicals 2,487,394 ----------------------------------------------------------------------------- Coal - 0.1% Arch Coal, Inc. 495 16,701 Consol Energy, Inc. 447 20,830 Foundation Coal Holdings, Inc. 356 13,955 Massey Energy Co. 579 12,634 Peabody Energy Corp. 735 35,185 ---------- Total Coal 99,305 ----------------------------------------------------------------------------- Commercial Services - 0.5% Advance America, Cash Advance Centers, Inc. 1,386 14,789 Deluxe Corp. 1,489 54,855 DeVry, Inc. 843 31,199 Equifax, Inc. 594 22,643 H&R Block, Inc. 2,511 53,183 Manpower, Inc. 561 36,100 McKesson Corp. 462 27,161 Moody's Corp. 369 18,598 Pharmaceutical Product Development, Inc. 399 14,141 R.R. Donnelley & Sons Co. 3,153 115,273 Robert Half International, Inc. 1,080 32,249 Service Corp. International 2,577 33,243 Sotheby's Class A 616 29,439 Weight Watchers International, Inc. 495 28,492 ---------- Total Commercial Services 511,365 ----------------------------------------------------------------------------- Computers - 1.4% Diebold, Inc. 747 33,929 Electronic Data Systems Corp. 1,254 27,387 Factset Research Systems, Inc. 354 24,267 Hewlett-Packard Co. 7,742 385,474 International Business Machines Corp. 7,430 875,254 ---------- Total Computers 1,346,311 ----------------------------------------------------------------------------- See Notes to Financial Statements. 12 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------ Cosmetics/Personal Care - 2.0% Avon Products, Inc. 3,348 $ 125,650 Colgate-Palmolive Co. 3,811 271,801 Estee Lauder Cos., Inc. (The) Class A 473 20,084 Procter & Gamble Co. 22,385 1,574,560 --------- Total Cosmetics/Personal Care 1,992,095 ------------------------------------------------------------------------ Distribution/Wholesale - 0.2% CDW Corp. 730 63,656 Fastenal Co. 528 23,976 Genuine Parts Co. 1,567 78,350 W.W. Grainger, Inc. 363 33,102 --------- Total Distribution/Wholesale 199,084 ------------------------------------------------------------------------ Diversified Financial Services - 7.9% Advanta Corp. Class A 669 16,304 Advanta Corp. Class B 842 23,088 American Express Co. 4,279 254,044 Ameriprise Financial, Inc. 792 49,983 BlackRock, Inc. 519 90,000 Charles Schwab Corp. (The) 4,744 102,470 Citigroup, Inc. 69,962 3,265,127 CME Group, Inc. 66 38,765 Cohen & Steers, Inc. 227 8,406 Countrywide Financial Corp. 597 11,349 Delta Financial Corp.(a) 722 3,545 Discover Financial Services 2,669 55,515 Eaton Vance Corp. 792 31,648 Federal National Mortgage Association 3,364 204,565 Federated Investors, Inc. Class B 768 30,490 First Marblehead Corp. (The) 375 14,224 Franklin Resources, Inc. 429 54,698 Freddie Mac 10,058 593,523 GAMCO Investors, Inc. Class A 456 24,989 Goldman Sachs Group, Inc. 1,041 225,626 Greenhill & Co., Inc. 249 15,201 IndyMac Bancorp, Inc.(a) 1,479 34,919 International Securities Exchange, Inc. 504 33,501 Janus Capital Group, Inc. 1,452 41,063 Jefferies Group, Inc. 759 21,123 JPMorgan Chase & Co. 36,656 1,679,578 Legg Mason, Inc. 432 36,413 Lehman Brothers Holdings, Inc. 1,155 71,298 Merrill Lynch & Co., Inc. 3,558 253,614 Morgan Stanley 5,338 336,294 National Financial Partners Corp. 390 20,662 Nuveen Investments, Inc. Class A 495 30,660 optionsXpress Holdings, Inc. 613 16,024 Raymond James Financial, Inc. 726 23,849 Student Loan Corp.(The) 132 23,802 T. Rowe Price Group, Inc. 1,254 69,835 Waddell & Reed Financial, Inc. Class A 957 25,868 --------- Total Diversified Financial Services 7,832,063 ------------------------------------------------------------------------ Electric - 5.7% Alliant Energy Corp. 1,386 53,112 Ameren Corp. 1,278 67,095 American Electric Power Co., Inc. 5,705 262,886 Avista Corp. 924 18,803 Black Hills Corp. 594 24,366 CenterPoint Energy, Inc. 5,174 82,939 Central Vermont Public Service Corp. 48 1,754 Consolidated Edison, Inc. 4,316 199,831 Constellation Energy Group, Inc. 1,620 138,980 Dominion Resources, Inc. 4,270 359,961 DPL, Inc. 1,554 40,808 DTE Energy Co. 3,041 147,306 Duke Energy Corp. 19,464 363,782 Edison International 2,841 157,533 Energy East Corp. 3,844 103,980 Entergy Corp. 1,657 179,437 Exelon Corp. 6,383 481,023 FirstEnergy Corp. 3,325 210,606 FPL Group, Inc. 4,013 244,311 Great Plains Energy, Inc. 2,064 59,464 Hawaiian Electric Industries, Inc. 1,734 37,645 IDACORP, Inc. 1,030 33,722 Integrys Energy Group, Inc. 1,220 62,501 ITC Holdings Corp. 593 29,383 MDU Resources Group, Inc. 1,348 37,528 Northeast Utilities 1,818 51,940 NorthWestern Corp. 563 15,297 NSTAR 1,488 51,797 OGE Energy Corp. 1,353 44,784 Ormat Technologies, Inc. 594 27,526 Pepco Holdings, Inc. 2,790 75,553 PG&E Corp. 3,887 185,799 Pinnacle West Capital Corp. 2,072 81,865 PNM Resources, Inc. 794 18,484 Portland General Electric Co. 653 18,153 PPL Corp. 4,018 186,033 Progress Energy, Inc. 5,574 261,142 Public Service Enterprise Group, Inc. 2,973 261,594 Puget Energy, Inc. 2,676 65,482 SCANA Corp. 2,163 83,795 Southern Co. 11,226 407,279 TECO Energy, Inc. 3,239 53,217 TXU Corp. 2,428 166,245 Westar Energy, Inc. 1,353 33,230 Wisconsin Energy Corp. 891 40,122 Xcel Energy, Inc. 6,377 137,361 --------- Total Electric 5,665,454 ------------------------------------------------------------------------ See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 13 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------- Electrical Components & Equipment - 0.4% Ametek, Inc. 663 $ 28,655 Emerson Electric Co. 6,873 365,781 Hubbell, Inc. Class B 429 24,504 --------- Total Electrical Components & Equipment 418,940 ------------------------------------------------------------------------- Electronics - 0.2% Amphenol Corp. Class A 792 31,490 Applera Corp. 381 13,198 AVX Corp. 2,146 34,551 Gentex Corp. 1,948 41,765 Jabil Circuit, Inc. 1,942 44,354 Tektronix, Inc. 1,328 36,839 --------- Total Electronics 202,197 ------------------------------------------------------------------------- Engineering & Construction - 0.1% Fluor Corp. 270 38,875 Granite Construction, Inc. 370 19,617 --------- Total Engineering & Construction 58,492 ------------------------------------------------------------------------- Entertainment - 0.1% International Game Technology 1,554 66,978 International Speedway Corp. Class A 429 19,674 Regal Entertainment Group Class A 1,353 29,698 --------- Total Entertainment 116,350 ------------------------------------------------------------------------- Environmental Control - 0.1% Republic Services, Inc. 1,701 55,640 Waste Management, Inc. 902 34,041 --------- Total Environmental Control 89,681 ------------------------------------------------------------------------- Food - 1.9% Campbell Soup Co. 3,006 111,222 ConAgra Foods, Inc. 5,013 130,990 Corn Products International, Inc. 825 37,843 Del Monte Foods Co. 1,785 18,743 Flowers Foods, Inc. 1,041 22,694 General Mills, Inc. 3,173 184,066 H.J. Heinz Co. Ltd. 3,772 174,266 Hormel Foods Corp. 946 33,848 J.M. Smucker Co. (The) 612 32,693 Kellogg Co. 3,510 196,560 Kraft Foods, Inc. Class A 5,590 192,911 Kroger Co. (The) 3,716 105,980 McCormick & Co., Inc. 891 32,049 Pilgrim's Pride Corp. 792 27,506 Safeway, Inc. 1,840 60,922 Sara Lee Corp. 6,280 104,813 Seaboard Corp. 10 19,600 SUPERVALU, Inc. 1,869 72,910 SYSCO Corp. 5,494 195,531 Tootsie Roll Industries, Inc. 743 19,712 Tyson Foods, Inc. Class A 1,327 23,687 Wm. Wrigley Jr. Co. 1,554 99,813 --------- Total Food 1,898,359 ------------------------------------------------------------------------- Forest Products & Paper - 0.7% International Paper Co. 4,712 169,019 Louisiana-Pacific Corp. 924 15,680 MeadWestvaco Corp. 2,016 59,532 Plum Creek Timber Co., Inc. 2,643 118,301 Schweitzer-Mauduit International, Inc. 475 11,068 Temple-Inland, Inc. 825 43,420 Weyerhaeuser Co. 3,122 225,721 --------- Total Forest Products & Paper 642,741 ------------------------------------------------------------------------- Gas - 0.6% AGL Resources, Inc. 1,056 41,839 Atmos Energy Corp. 1,254 35,513 Energen Corp. 522 29,817 New Jersey Resources Corp. 796 39,474 Nicor, Inc. 693 29,730 NiSource, Inc. 4,118 78,819 Northwest Natural Gas Co. 352 16,086 Piedmont Natural Gas Co., Inc. 990 24,839 Sempra Energy 2,247 130,595 South Jersey Industries, Inc. 701 24,395 Southern Union Co. 828 25,759 Southwest Gas Corp. 628 17,766 UGI Corp. 1,089 28,292 Vectren Corp. 2,011 54,880 WGL Holdings, Inc. 1,800 61,002 --------- Total Gas 638,806 ------------------------------------------------------------------------- Hand/Machine Tools - 0.2% Black & Decker Corp. (The) 429 35,736 Kennametal, Inc. 363 30,485 Lincoln Electric Holdings, Inc. 363 28,172 Snap-On, Inc. 528 26,157 Stanley Works (The) 627 35,194 --------- Total Hand/Machine Tools 155,744 ------------------------------------------------------------------------- Healthcare-Products - 2.1% Baxter International, Inc. 3,054 171,879 Beckman Coulter, Inc. 394 29,061 Becton Dickinson & Co. 1,122 92,060 C.R. Bard, Inc. 297 26,192 DENTSPLY International, Inc. 660 27,482 Hillenbrand Industries, Inc. 430 23,659 Johnson & Johnson 23,525 1,545,594 Medtronic, Inc. 3,380 190,666 Stryker Corp. 462 31,767 --------- Total Healthcare-Products 2,138,360 ------------------------------------------------------------------------- See Notes to Financial Statements. 14 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Healthcare-Services - 0.2% Aetna, Inc. 495 $ 26,864 Brookdale Senior Living, Inc. 1,316 52,390 Health Management Associates, Inc. Class A* 5,108 35,450 Manor Care, Inc. 429 27,628 Quest Diagnostics, Inc. 524 30,271 UnitedHealth Group, Inc. 466 22,568 --------- Total Healthcare-Services 195,171 ------------------------------------------------------------------------------ Holding Companies-Diversified - 0.1% Leucadia National Corp. 1,120 54,006 ------------------------------------------------------------------------------ Home Builders - 0.1% D.R. Horton, Inc. 1,280 16,397 MDC Holdings, Inc. 396 16,212 Orleans Homebuilders, Inc.(a) 1,290 7,547 Ryland Group, Inc. (The) 495 10,608 Thor Industries, Inc. 688 30,953 TOUSA, Inc.(a) 1,379 2,220 --------- Total Home Builders 83,937 ------------------------------------------------------------------------------ Home Furnishings - 0.1% Furniture Brands International, Inc. 1,385 14,044 Harman International Industries, Inc. 233 20,159 Whirlpool Corp. 462 41,164 --------- Total Home Furnishings 75,367 ------------------------------------------------------------------------------ Household Products/Wares - 0.6% Avery Dennison Corp. 1,469 83,762 Church & Dwight Co., Inc. 561 26,389 Clorox Co. (The) 957 58,367 Fortune Brands, Inc. 1,031 84,017 Kimberly-Clark Corp. 4,877 342,659 Scotts Miracle-Gro Co. (The) Class A 428 18,297 Tupperware Brands Corp. 884 27,837 --------- Total Household Products/Wares 641,328 ------------------------------------------------------------------------------ Housewares - 0.1% Newell Rubbermaid, Inc. 3,041 87,642 Toro Co. (The) 429 25,238 --------- Total Housewares 112,880 ------------------------------------------------------------------------------ Insurance - 3.5% Alfa Corp. 1,287 23,398 Allstate Corp. (The) 4,904 280,459 AMBAC Financial Group, Inc. 420 26,422 American Family Life Assurance Co., Inc. 2,965 169,124 American Financial Group, Inc. 783 22,331 American International Group, Inc. 7,039 476,187 American National Insurance Co. 231 30,388 AON Corp. 1,825 81,778 Arthur J. Gallagher & Co. 1,353 39,196 Assurant, Inc. 362 19,367 Chubb Corp. (The) 2,874 154,161 Cigna Corp. 454 24,194 Commerce Group, Inc. 726 21,395 Delphi Financial Group, Inc. Class A 438 17,704 Erie Indemnity Co. Class A 528 32,277 FBL Financial Group, Inc. Class A 687 27,130 Fidelity National Title Group, Inc. Class A 4,085 71,406 First American Corp. 616 22,558 Genworth Financial, Inc. Class A 1,707 52,456 Hanover Insurance Group, Inc. (The) 387 17,102 Harleysville Group, Inc. 886 28,334 Hartford Financial Services Group, Inc. (The) 2,272 210,274 HCC Insurance Holdings, Inc. 715 20,478 Hilb Rogal & Hobbs Co. 528 22,878 LandAmerica Financial Group, Inc. 330 12,863 Lincoln National Corp. 2,378 156,877 Loews Corp. 1,089 52,653 Marsh & McLennan Cos., Inc. 4,217 107,534 MBIA, Inc. 891 54,396 Mercury General Corp. 627 33,814 Metlife, Inc. 2,626 183,111 Nationwide Financial Services, Inc. Class A 391 21,044 Odyssey Re Holdings Corp. 660 24,493 Old Republic International Corp. 1,950 36,543 Phoenix Cos., Inc. (The) 1,488 20,996 Principal Financial Group, Inc. 1,141 71,986 Progressive Corp. (The) 1,020 19,798 Protective Life Corp. 462 19,607 Prudential Financial, Inc. 1,740 169,789 Reinsurance Group of America, Inc. 387 21,939 RLI Corp. 429 24,333 Safeco Corp. 792 48,486 Selective Insurance Group, Inc. 726 15,449 StanCorp Financial Group, Inc. 429 21,240 State Auto Financial Corp. 594 17,375 Torchmark Corp. 399 24,866 Transatlantic Holdings, Inc. 425 29,890 Travelers Cos., Inc. (The) 5,042 253,814 Unitrin, Inc. 858 42,548 UnumProvident Corp. 1,419 34,723 W.R. Berkley Corp. 821 24,326 Wesco Financial Corp. 66 26,268 Zenith National Insurance Corp. 528 23,702 --------- Total Insurance 3,485,460 ------------------------------------------------------------------------------ Internet - 0.0% United Online, Inc. 899 13,494 ------------------------------------------------------------------------------ Investment Companies - 0.3% Allied Capital Corp.(a) 1,368 40,206 American Capital Strategies Ltd.(a) 3,854 164,681 Apollo Investment Corp. 2,643 54,974 Ares Capital Corp. 1,391 22,632 Capital Southwest Corp. 136 16,695 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 15 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- MCG Capital Corp. 2,115 $ 30,435 --------- Total Investment Companies 329,623 ----------------------------------------------------------------------------- Iron/Steel - 0.2% Allegheny Technologies, Inc. 100 10,995 Carpenter Technology Corp. 160 20,802 Nucor Corp. 586 34,849 Reliance Steel & Aluminum Co. 484 27,365 Steel Dynamics, Inc. 620 28,954 United States Steel Corp. 481 50,958 --------- Total Iron/Steel 173,923 ----------------------------------------------------------------------------- Leisure Time - 0.1% Brunswick Corp. 622 14,219 Harley-Davidson, Inc. 1,478 68,298 Polaris Industries, Inc. 467 20,371 --------- Total Leisure Time 102,888 ----------------------------------------------------------------------------- Lodging - 0.3% Boyd Gaming Corp. 603 25,839 Harrah's Entertainment, Inc. 1,370 119,094 Hilton Hotels Corp. 792 36,820 Marriott International, Inc. Class A 792 34,428 Starwood Hotels & Resorts Worldwide, Inc. 1,048 63,666 Station Casinos, Inc. 426 37,266 --------- Total Lodging 317,113 ----------------------------------------------------------------------------- Machinery-Construction & Mining - 0.4% Caterpillar, Inc. 4,542 356,229 Joy Global, Inc. 362 18,411 --------- Total Machinery-Construction & Mining 374,640 ----------------------------------------------------------------------------- Machinery-Diversified - 0.4% Cummins, Inc. 396 50,644 Deere & Co. 1,521 225,747 Graco, Inc. 462 18,069 IDEX Corp. 693 25,218 Manitowoc Co., Inc. (The) 858 37,992 Rockwell Automation, Inc. 1,080 75,071 --------- Total Machinery-Diversified 432,741 ----------------------------------------------------------------------------- Media - 1.5% Belo Corp. Class A 1,221 21,197 CBS Corp. Class A 792 24,956 CBS Corp. Class B 6,802 214,263 Clear Channel Communications, Inc. 3,754 140,550 Dow Jones & Co., Inc. 627 37,432 E.W. Scripps Co. (The) Class A 693 29,106 Gannett Co., Inc. 1,714 74,902 Hearst-Argyle Television, Inc. 912 23,676 John Wiley & Sons, Inc. Class A 594 26,688 McGraw-Hill Cos., Inc. (The) 1,521 77,434 Meredith Corp. 429 24,582 New York Times Co. (The) Class A 1,221 24,127 News Corp. Class A 5,231 115,030 News Corp. Class B 1,950 45,611 Time Warner, Inc. 15,290 280,723 Tribune Co.* 1,949 53,247 Walt Disney Co. (The) 6,736 231,650 Washington Post Co. (The) Class B 31 24,887 --------- Total Media 1,470,061 ----------------------------------------------------------------------------- Metal Fabricate/Hardware - 0.1% Commercial Metals Co. 753 23,832 Precision Castparts Corp. 223 33,000 Timken Co. (The) 726 26,971 Worthington Industries, Inc. 1,150 27,094 --------- Total Metal Fabricate/Hardware 110,897 ----------------------------------------------------------------------------- Mining - 2.0% Alcoa, Inc. 5,705 223,180 Freeport-McMoRan Copper & Gold, Inc. Class B 1,287 134,993 Newmont Mining Corp. 1,161 51,932 Southern Copper Corp.(a) 12,761 1,580,194 Vulcan Materials Co. 561 50,013 --------- Total Mining 2,040,312 ----------------------------------------------------------------------------- Miscellaneous Manufacturing - 6.4% 3M Co. 8,170 764,549 Acuity Brands, Inc. 371 18,728 Brink's Co. (The) 396 22,128 Carlisle Cos., Inc. 528 25,661 Crane Co. 528 25,328 Danaher Corp. 323 26,715 Donaldson Co., Inc. 660 27,562 Dover Corp. 924 47,078 Eastman Kodak Co. 1,653 44,234 Eaton Corp. 1,077 106,666 General Electric Co. 104,112 4,310,236 Harsco Corp. 528 31,295 Honeywell International, Inc. 6,111 363,421 Illinois Tool Works, Inc. 3,592 214,227 ITT Industries, Inc. 462 31,384 Lancaster Colony Corp. 537 20,497 Leggett & Platt, Inc. 1,679 32,170 Pall Corp. 726 28,241 Parker Hannifin Corp. 462 51,665 Pentair, Inc. 627 20,804 Roper Industries, Inc. 462 30,261 SPX Corp. 396 36,654 Teleflex, Inc. 363 28,285 Textron, Inc. 1,386 86,223 Trinity Industries, Inc. 594 22,299 --------- Total Miscellaneous Manufacturing 6,416,311 ----------------------------------------------------------------------------- Office Furnishings - 0.1% Herman Miller, Inc. 908 24,643 See Notes to Financial Statements. 16 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------- HNI Corp. 719 $ 25,884 Steelcase, Inc. Class A 2,116 38,046 --------- Total Office Furnishings 88,573 ---------------------------------------------------------------------- Office/Business Equipment - 0.1% Pitney Bowes, Inc. 2,247 102,059 ---------------------------------------------------------------------- Oil & Gas - 7.9% Alon USA Energy, Inc. 719 24,288 Apache Corp. 1,014 91,321 Berry Petroleum Co. Class A 704 27,871 Cabot Oil & Gas Corp. 548 19,268 Chesapeake Energy Corp. 792 27,926 Chevron Corp. 22,639 2,118,558 Cimarex Energy Co. 682 25,405 ConocoPhillips 12,697 1,114,416 Crosstex Energy, Inc. 729 27,636 Devon Energy Corp. 1,056 87,859 Diamond Offshore Drilling, Inc. 252 28,549 ENSCO International, Inc. 462 25,918 EOG Resources, Inc. 528 38,190 Exxon Mobil Corp. 33,803 3,128,807 Helmerich & Payne, Inc. 786 25,804 Hess Corp. 759 50,496 Holly Corp. 209 12,504 Marathon Oil Corp. 4,233 241,366 Murphy Oil Corp. 561 39,208 Noble Energy, Inc. 495 34,670 Occidental Petroleum Corp. 5,142 329,499 Patterson-UTI Energy, Inc. 759 17,131 Penn Virginia Corp. 384 16,888 Pioneer Natural Resources Co. 441 19,836 Pogo Producing Co. 495 26,289 Range Resources Corp. 644 26,185 St. Mary Land & Exploration Co. 297 10,594 Sunoco, Inc. 561 39,708 Tesoro Corp. 326 15,003 Valero Energy Corp. 1,179 79,205 W&T Offshore, Inc. 340 8,289 Western Refining, Inc. 253 10,267 XTO Energy, Inc. 858 53,059 --------- Total Oil & Gas 7,842,013 ---------------------------------------------------------------------- Oil & Gas Services - 0.2% Baker Hughes, Inc. 858 77,537 CARBO Ceramics, Inc. 327 16,589 RPC, Inc. 650 9,237 Smith International, Inc. 593 42,340 Tidewater, Inc. 449 28,215 --------- Total Oil & Gas Services 173,918 ---------------------------------------------------------------------- Packaging & Containers - 0.2% Ball Corp. 561 30,154 Bemis Co. 825 24,016 Greif, Inc. Class A 334 20,267 Packaging Corp. of America 1,521 44,215 Sealed Air Corp. 792 20,244 Sonoco Products Co. 891 26,890 --------- Total Packaging & Containers 165,786 ---------------------------------------------------------------------- Pharmaceuticals - 6.9% Abbott Laboratories 14,015 751,484 Allergan, Inc. 396 25,530 AmerisourceBergen Corp. 495 22,438 Bristol-Myers Squibb Co. 32,431 934,661 Cardinal Health, Inc. 783 48,961 Eli Lilly & Co. 11,944 679,972 Merck & Co., Inc. 28,904 1,494,049 Omnicare, Inc. 462 15,306 Pfizer, Inc. 94,359 2,305,191 Schering-Plough Corp. 5,057 159,953 Wyeth 10,212 454,945 --------- Total Pharmaceuticals 6,892,490 ---------------------------------------------------------------------- Pipelines - 0.3% El Paso Corp. 1,997 33,889 Equitable Resources, Inc. 891 46,216 National Fuel Gas Co. 990 46,342 ONEOK, Inc. 1,320 62,568 Questar Corp. 726 38,137 Williams Cos., Inc. (The) 1,760 59,946 --------- Total Pipelines 287,098 ---------------------------------------------------------------------- Real Estate - 0.1% Forest City Enterprises, Inc. Class A 462 25,484 Forest City Enterprises, Inc. Class B 462 25,419 Jones Lang LaSalle, Inc. 264 27,129 --------- Total Real Estate 78,032 ---------------------------------------------------------------------- REITS - 4.1% Alexandria Real Estate Equities, Inc. 231 22,236 AMB Property Corp. 957 57,238 American Land Lease, Inc. 302 6,786 Archstone-Smith Trust 2,511 151,011 AvalonBay Communities, Inc. 693 81,816 BioMed Realty Trust, Inc. 726 17,497 Boston Properties, Inc. 1,089 113,147 BRE Properties, Inc. Class A 627 35,068 BRT Realty Trust 3,436 59,580 Camden Property Trust 627 40,285 Cedar Shopping Centers, Inc. 4,028 54,861 Corporate Office Properties Trust 495 20,607 Cousins Properties, Inc. 726 21,315 Developers Diversified Realty Corp. 1,554 86,822 DiamondRock Hospitality Co. 1,353 23,556 Digital Realty Trust, Inc. 633 24,934 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 17 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- Duke Realty Corp. 2,214 $ 74,855 EastGroup Properties, Inc. 462 20,910 Education Realty Trust, Inc. 3,009 40,622 Entertainment Properties Trust 785 39,878 Equity Lifestyle Properties, Inc. 462 23,932 Equity One, Inc. 1,221 33,211 Equity Residential 3,656 154,867 Essex Property Trust, Inc. 231 27,159 Extra Space Storage, Inc. 1,965 30,241 Federal Realty Investment Trust 528 46,781 FelCor Lodging Trust, Inc. 990 19,731 Feldman Mall Properties, Inc. 4,848 36,651 First Industrial Realty Trust, Inc. 957 37,199 First Potomac Realty Trust 507 11,053 Franklin Street Properties Corp.(a) 2,648 45,678 General Growth Properties, Inc. 2,643 141,718 Gladstone Commercial Corp. 497 9,294 Glimcher Realty Trust 825 19,388 HCP, Inc. 3,233 107,239 Health Care REIT, Inc. 1,519 67,201 Highwoods Properties, Inc. 891 32,673 Home Properties, Inc. 528 27,551 Hospitality Properties Trust 1,915 77,845 Host Hotels & Resorts, Inc. 5,787 129,860 HRPT Properties Trust 8,551 84,569 Investors Real Estate Trust 1,473 15,908 Kilroy Realty Corp. 297 18,007 Kimco Realty Corp. 2,562 115,828 LaSalle Hotel Properties 495 20,830 Lexington Corporate Properties Trust 2,465 49,325 LTC Properties, Inc. 989 23,410 Macerich Co. (The) 858 75,144 Mack-Cali Realty Corp. 1,056 43,402 Mid-America Apartment Communities, Inc. 363 18,096 Mission West Properties, Inc. 1,891 22,976 National Health Investors, Inc. 451 13,940 National Retail Properties, Inc. 1,763 42,982 Nationwide Health Properties, Inc. 1,587 47,816 Omega Healthcare Investors, Inc. 1,798 27,923 Parkway Properties, Inc. 517 22,820 Pennsylvania Real Estate Investment Trust 1,308 50,934 PMC Commercial Trust 159 2,081 Post Properties, Inc. 936 36,223 Potlatch Corp. 795 35,799 ProLogis 2,445 162,225 PS Business Parks, Inc. 363 20,637 Public Storage, Inc. 1,245 97,919 Ramco-Gershenson Properties Trust 321 10,028 Rayonier, Inc. 1,521 73,069 Realty Income Corp. 1,686 47,124 Regency Centers Corp. 792 60,786 Senior Housing Properties Trust 1,906 42,046 Simon Property Group, Inc. 2,300 229,999 SL Green Realty Corp. 434 50,678 Strategic Hotels & Resorts, Inc. 1,023 21,064 Sunstone Hotel Investors, Inc. 792 20,307 Tanger Factory Outlet Centers, Inc. 798 32,391 Taubman Centers, Inc. 528 28,908 UDR, Inc. 1,950 47,424 Universal Health Realty Income Trust 209 7,426 Urstadt Biddle Properties, Inc. Class A 535 8,276 Ventas, Inc. 1,620 67,068 Vornado Realty Trust 1,381 151,011 Washington Real Estate Investment Trust 627 20,804 Weingarten Realty Investors 1,353 56,095 --------- Total REITS 4,095,594 -------------------------------------------------------------------------- Retail - 3.8% Abercrombie & Fitch Co. Class A 363 29,294 Advance Auto Parts, Inc. 561 18,827 American Eagle Outfitters, Inc. 835 21,969 Applebees International, Inc. 910 22,641 Barnes & Noble, Inc. 561 19,781 Best Buy Co., Inc. 1,207 55,546 Brinker International, Inc. 848 23,269 Costco Wholesale Corp. 2,163 132,743 CVS Corp. 3,891 154,200 Darden Restaurants, Inc. 594 24,865 Family Dollar Stores, Inc. 858 22,788 Gap, Inc. (The) 4,844 89,323 Home Depot, Inc. (The) 21,913 710,858 J.C. Penney Co., Inc. 802 50,823 Limited Brands, Inc. 3,119 71,394 Longs Drug Stores Corp. 692 34,372 Lowe's Cos., Inc. 3,489 97,762 Macy's, Inc. 2,328 75,241 McDonald's Corp. 10,395 566,216 Men's Wearhouse, Inc. (The) 272 13,741 MSC Industrial Direct Co. Class A 390 19,730 Nordstrom, Inc. 737 34,558 OfficeMax, Inc. 400 13,708 Penske Auto Group, Inc. 883 17,872 PetSmart, Inc. 492 15,695 RadioShack Corp. 1,172 24,214 Ross Stores, Inc. 565 14,487 Staples, Inc. 2,082 44,742 Target Corp. 2,428 154,348 Tiffany & Co. 785 41,095 TJX Cos., Inc. 1,455 42,297 Wal-Mart Stores, Inc. 23,962 1,045,940 Wendy's International, Inc. 396 13,824 See Notes to Financial Statements. 18 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Williams-Sonoma, Inc. 688 $ 22,443 World Fuel Services Corp. 333 13,590 Yum! Brands, Inc. 1,716 58,052 --------- Total Retail 3,812,248 ------------------------------------------------------------------------------ Savings & Loans - 1.4% Capitol Federal Financial 1,521 52,018 Downey Financial Corp.(a) 297 17,167 First Niagara Financial Group, Inc. 4,194 59,345 Flagstar Bancorp, Inc. 2,956 28,762 Hudson City Bancorp, Inc. 4,382 67,395 Kearny Financial Corp. 1,455 18,609 Legacy Bancorp, Inc. 261 3,633 New York Community Bancorp, Inc. 7,709 146,856 NewAlliance Bancshares, Inc. 1,455 21,359 Northwest Bancorp, Inc. 825 23,480 PFF Bancorp, Inc. 1,270 19,482 Provident Financial Services, Inc. 1,995 32,658 United Community Financial Corp. 3,536 25,530 Washington Federal, Inc. 2,063 54,174 Washington Mutual, Inc. 22,216 784,448 --------- Total Savings & Loans 1,354,916 ------------------------------------------------------------------------------ Semiconductors - 2.0% Analog Devices, Inc. 2,926 105,804 Applied Materials, Inc. 6,046 125,152 Intel Corp. 50,264 1,299,827 Intersil Corp. Class A 1,479 49,443 KLA -Tencor Corp. 844 47,078 Microchip Technology, Inc. 2,629 95,485 National Semiconductor Corp. 1,681 45,589 Texas Instruments, Inc. 3,215 117,637 Xilinx, Inc. 2,170 56,724 --------- Total Semiconductors 1,942,739 ------------------------------------------------------------------------------ Software - 2.0% Automatic Data Processing, Inc. 3,629 166,680 CA, Inc. 948 24,383 Fair Isaac Corp. 393 14,191 Fidelity National Information Services, Inc. 519 23,028 Global Payments, Inc. 462 20,430 IMS Health, Inc. 759 23,256 Mastercard, Inc. Class A 170 25,155 Microsoft Corp. 51,698 1,523,023 MoneyGram International, Inc. 594 13,418 Paychex, Inc. 2,825 115,825 SEI Investments Co. 716 19,532 Total System Services, Inc. 1,122 31,169 --------- Total Software 2,000,090 ------------------------------------------------------------------------------ Telecommunications - 6.5% ALLTEL Corp. 1,160 80,829 AT&T, Inc. 74,346 3,145,578 CenturyTel, Inc. 528 24,404 Citizens Communications Co. 8,712 124,756 Consolidated Communications Holdings, Inc. 1,237 24,258 Embarq Corp. 2,085 115,926 FairPoint Communications, Inc. 1,360 25,650 Harris Corp. 925 53,456 Iowa Telecommunications Services, Inc. 1,155 22,927 QUALCOMM, Inc. 8,441 356,717 Sprint Nextel Corp. 5,985 113,715 Telephone & Data Systems, Inc. 528 35,244 Telephone & Data Systems, Inc. Special Shares 528 32,736 Verizon Communications, Inc. 48,531 2,148,953 Virgin Media, Inc. 868 21,066 Windstream Corp. 12,029 169,849 --------- Total Telecommunications 6,496,064 ------------------------------------------------------------------------------ Textiles - 0.0% Cintas Corp. 1,094 40,587 ------------------------------------------------------------------------------ Toys/Games/Hobbies - 0.1% Hasbro, Inc. 1,320 36,802 Mattel, Inc. 4,004 93,933 --------- Total Toys/Games/Hobbies 130,735 ------------------------------------------------------------------------------ Transportation - 1.0% Alexander & Baldwin, Inc. 402 20,152 Burlington Northern Santa Fe Corp. 1,671 135,635 C.H. Robinson Worldwide, Inc. 738 40,066 Con-way, Inc. 363 16,698 CSX Corp. 1,671 71,402 Expeditors International Washington, Inc. 526 24,880 FedEx Corp. 297 31,111 JB Hunt Transport Services, Inc. 724 19,041 Landstar System, Inc. 203 8,520 Norfolk Southern Corp. 2,037 105,741 Overseas Shipholding Group, Inc. 390 29,964 Ryder System, Inc. 363 17,787 Union Pacific Corp. 1,237 139,855 United Parcel Service, Inc. Class B 4,688 352,068 --------- Total Transportation 1,012,920 ------------------------------------------------------------------------------ Trucking & Leasing - 0.0% GATX Corp. 427 18,254 ------------------------------------------------------------------------------ Water - 0.0% Aqua America, Inc. 1,034 23,451 ------------------------------------------------------------------------------ See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 19 Schedule of Investments (unaudited) (concluded) WisdomTree Total Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $92,153,903) $99,083,910 ============================================================================= SHORT-TERM INVESTMENT - 0.9% MONEY MARKET FUND - 0.9% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $852,197) 852,197 852,197 ============================================================================= INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 1.7% MONEY MARKET FUNDS(c) - 1.7% UBS Enhanced Yield Portfolio, 5.38% 1,001,886 1,001,886 UBS Private Money Market Fund LLC, 5.21% 720,564 720,564 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $1,722,450)(d) 1,722,450 ============================================================================= TOTAL INVESTMENTS IN SECURITIES - 102.1% (Cost: $94,728,550)(e) 101,658,557 Liabilities in Excess of Other Assets - (2.1)% (2,075,709) ----------- NET ASSETS - 100.0% $99,582,848 ============================================================================= * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $1,675,276 and the total market value of the collateral held by the Fund was $1,722,450. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 20 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) WisdomTree High-Yielding Equity Fund September 30, 2007 Investments Shares Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.6% Agriculture - 5.1% Altria Group, Inc. 122,530 $8,519,510 Loews Corp. 4,373 359,592 Reynolds American, Inc.(a) 20,194 1,284,136 Universal Corp. 1,610 78,810 UST, Inc. 9,290 460,784 Vector Group Ltd. 7,724 173,095 ---------- Total Agriculture 10,875,927 -------------------------------------------------------------------------------- Apparel - 0.2% Cherokee, Inc. 988 37,900 VF Corp. 4,552 367,574 ---------- Total Apparel 405,474 -------------------------------------------------------------------------------- Auto Manufacturers - 0.4% General Motors Corp.(a) 24,880 913,096 -------------------------------------------------------------------------------- Auto Parts & Equipment - 0.1% American Axle & Manufacturing Holdings, Inc. 3,157 79,714 Cooper Tire & Rubber Co. 3,185 77,714 Modine Manufacturing Co. 2,573 68,493 Superior Industries International, Inc. 2,940 63,769 ---------- Total Auto Parts & Equipment 289,690 -------------------------------------------------------------------------------- Banks - 18.4% Associated Banc-Corp 6,275 185,928 BancorpSouth, Inc. 1,178 28,625 Bank of America Corp. 266,468 13,395,345 Bank of Hawaii Corp. 2,284 120,709 BB&T Corp. 29,933 1,208,994 Cadence Financial Corp. 3,621 63,730 Chemical Financial Corp. 2,442 59,219 Chittenden Corp. 1,682 59,139 Citizens Republic Bancorp, Inc. 6,881 110,853 City Holding Co. 657 23,921 Colonial BancGroup, Inc. (The) 5,899 127,536 Comerica, Inc. 9,010 462,033 Community Banks, Inc. 725 21,598 Corus Bankshares, Inc. 7,841 102,090 Fifth Third Bancorp 31,817 1,077,960 First Bancorp 2,528 51,521 First Busey Corp.(a) 2,612 57,229 First Charter Corp. 1,456 43,928 First Commonwealth Financial Corp.(a) 1,767 19,543 First Community Bancshares, Inc. 1,114 40,360 First Financial Bankshares, Inc. 730 29,331 First Merchants Corp. 3,274 70,588 First Midwest Bancorp, Inc. 2,325 79,422 FirstMerit Corp. 5,043 99,650 FNB Corp./PA 4,147 68,591 Fremont General Corp. 12,789 49,877 Fulton Financial Corp. 8,430 121,223 Huntington Bancshares, Inc. 19,801 336,221 Independent Bank Corp./MI 1,567 17,315 KeyCorp 21,774 703,953 Lakeland Bancorp, Inc. 2,234 30,338 MainSource Financial Group, Inc. 2,487 43,846 National City Corp. 39,182 983,076 National Penn Bancshares, Inc. 2,107 34,471 NBT Bancorp, Inc. 2,921 63,503 Old National Bancorp 4,468 74,035 Park National Corp.(a) 222 19,358 PNC Financial Services Group, Inc. (The) 12,807 872,157 Provident Bankshares Corp. 1,671 52,352 Regions Financial Corp. 38,931 1,147,686 Royal Bancshares of Pennsylvania, Inc. Class A 2,499 54,778 S&T Bancorp, Inc. 2,536 81,380 State Bancorp, Inc. 598 9,747 Sterling Bancorp 3,175 44,450 SunTrust Banks, Inc. 15,050 1,138,834 Susquehanna Bancshares, Inc. 2,899 58,270 TCF Financial Corp. 6,642 173,888 TrustCo Bank Corp. 1,424 15,564 Trustmark Corp. 241 6,758 U.S. Bancorp 99,960 3,251,699 UnionBanCal Corp. 7,330 428,145 United Bankshares, Inc. 2,053 62,493 Valley National Bancorp 5,267 116,822 Wachovia Corp. 120,130 6,024,520 Washington Trust Bancorp, Inc. 642 17,315 Wells Fargo & Co. 156,286 5,566,907 WesBanco, Inc.(a) 2,016 50,360 Westamerica Bancorp. 1,283 63,906 Whitney Holding Corp. 2,278 60,094 Wilmington Trust Corp. 2,994 116,467 ---------- Total Banks 39,499,651 -------------------------------------------------------------------------------- Beverages - 2.4% Coca-Cola Co. (The) 89,003 5,115,002 -------------------------------------------------------------------------------- Building Materials - 0.2% LSI Industries, Inc. 1,583 32,483 Masco Corp. 17,851 413,608 ---------- Total Building Materials 446,091 -------------------------------------------------------------------------------- Chemicals - 2.9% Dow Chemical Co. (The) 51,527 2,218,752 E.I. du Pont de Nemours & Co. 40,930 2,028,491 Eastman Chemical Co. 3,702 247,034 Ferro Corp. 1,679 33,546 Kronos Worldwide, Inc. 2,162 40,819 Lyondell Chemical Co. 13,545 627,811 NL Industries, Inc. 3,000 33,990 Olin Corp. 5,650 126,447 PPG Industries, Inc. 6,927 523,335 Quaker Chemical Corp. 438 10,302 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 21 Schedule of Investments (unaudited) (continued) WisdomTree High-Yielding Equity Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- RPM International, Inc. 5,440 $ 130,288 Sensient Technologies Corp. 1,963 56,672 UAP Holding Corp. 2,381 74,668 ---------- Total Chemicals 6,152,155 ----------------------------------------------------------------------------- Commercial Services - 0.3% Advance America, Cash Advance Centers, Inc. 4,148 44,259 Coinmach Service Corp. Class A 2,895 34,711 Deluxe Corp. 2,897 106,725 Diamond Management & Technology Consultants, Inc. 3,160 29,072 Landauer, Inc. 585 29,812 Pre-Paid Legal Services, Inc. 721 39,987 R.R. Donnelley & Sons Co. 9,357 342,092 ---------- Total Commercial Services 626,658 ----------------------------------------------------------------------------- Distribution/Wholesale - 0.2% Genuine Parts Co. 7,795 389,750 ----------------------------------------------------------------------------- Diversified Financial Services - 10.1% Citigroup, Inc. 279,597 13,048,791 Freddie Mac 29,565 1,744,631 JPMorgan Chase & Co. 148,355 6,797,626 Student Loan Corp. 517 93,225 ---------- Total Diversified Financial Services 21,684,273 ----------------------------------------------------------------------------- Electric - 8.7% ALLETE, Inc. 1,317 58,949 Alliant Energy Corp. 4,341 166,347 Ameren Corp. 13,463 706,808 American Electric Power Co., Inc. 21,331 982,932 Black Hills Corp. 1,735 71,170 CenterPoint Energy, Inc. 15,731 252,168 Central Vermont Public Service Corp. 1,262 46,113 CH Energy Group, Inc. 128 6,118 Cleco Corp. 4,144 104,719 Consolidated Edison, Inc. 17,297 800,851 Dominion Resources, Inc. 17,456 1,471,541 DPL, Inc. 5,830 153,096 DTE Energy Co. 11,025 534,051 Duke Energy Corp. 77,926 1,456,437 Empire District Electric Co. (The) 1,918 43,328 Energy East Corp. 9,899 267,768 FirstEnergy Corp. 13,475 853,507 FPL Group, Inc. 16,038 976,393 Great Plains Energy, Inc. 6,303 181,589 Hawaiian Electric Industries, Inc. 5,705 123,856 IDACORP, Inc. 938 30,710 Integrys Energy Group, Inc. 5,054 258,916 ITC Holdings Corp. 1,738 86,118 MGE Energy, Inc. 1,089 36,416 Northeast Utilities 5,780 165,135 NSTAR 5,684 197,860 OGE Energy Corp. 4,369 144,614 Otter Tail Corp. 1,157 41,247 Pepco Holdings, Inc. 11,072 299,830 PG&E Corp. 13,984 668,435 Pinnacle West Capital Corp. 6,647 262,623 PNM Resources, Inc. 4,760 110,813 Portland General Electric Co. 4,405 122,459 PPL Corp. 16,519 764,830 Progress Energy, Inc. 17,972 841,988 Public Service Enterprise Group, Inc. 12,282 1,080,693 Puget Energy, Inc. 6,783 165,980 SCANA Corp. 6,559 254,096 Southern Co. 44,355 1,609,199 TECO Energy, Inc. 13,314 218,749 TXU Corp. 21,128 1,446,634 UIL Holdings Corp. 1,260 39,690 Westar Energy, Inc. 4,531 111,281 Xcel Energy, Inc. 23,917 515,172 ---------- Total Electric 18,731,229 ----------------------------------------------------------------------------- Electrical Components & Equipment - 0.0% Hubbell, Inc. Class A 180 10,730 ----------------------------------------------------------------------------- Entertainment - 0.1% Regal Entertainment Group Class A(a) 6,943 152,399 ----------------------------------------------------------------------------- Environmental Control - 0.0% American Ecology Corp. 187 3,963 ----------------------------------------------------------------------------- Food - 0.9% ConAgra Foods, Inc. 20,515 536,057 H.J. Heinz Co. Ltd. 14,704 679,325 Kraft Foods, Inc. Class A 19,888 686,335 Lance, Inc. 1,263 29,074 Nash Finch Co. 662 26,367 Weis Markets, Inc. 984 42,007 ---------- Total Food 1,999,165 ----------------------------------------------------------------------------- Forest Products & Paper - 1.2% Bowater, Inc.(a) 3,055 45,581 International Paper Co.(a) 20,172 723,570 Louisiana-Pacific Corp. 2,656 45,072 MeadWestvaco Corp. 8,283 244,597 Plum Creek Timber Co., Inc. 11,870 531,301 Weyerhaeuser Co. 12,962 937,152 ---------- Total Forest Products & Paper 2,527,273 ----------------------------------------------------------------------------- Gas - 0.5% AGL Resources, Inc. 4,505 178,488 Atmos Energy Corp. 4,301 121,804 Laclede Group, Inc. (The) 483 15,591 New Jersey Resources Corp. 1,218 60,401 Nicor, Inc. 2,350 100,815 NiSource, Inc. 13,966 267,310 Northwest Natural Gas Co. 1,314 60,050 Piedmont Natural Gas Co., Inc.(a) 4,057 101,790 South Jersey Industries, Inc. 1,230 42,804 Vectren Corp. 4,432 120,949 See Notes to Financial Statements. 22 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree High-Yielding Equity Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- WGL Holdings, Inc. 3,053 $ 103,466 ---------- Total Gas 1,173,468 ----------------------------------------------------------------------------- Healthcare-Services - 0.1% Brookdale Senior Living, Inc. 5,127 204,106 ----------------------------------------------------------------------------- Home Furnishings - 0.0% Bassett Furniture Industries, Inc. 1,574 16,338 La-Z-Boy, Inc.(a) 4,665 34,428 ---------- Total Home Furnishings 50,766 ----------------------------------------------------------------------------- Household Products/Wares - 0.7% Ennis, Inc. 1,121 24,707 Kimberly-Clark Corp. 19,339 1,358,758 Standard Register Co. (The) 2,045 25,992 Tupperware Brands Corp. 3,773 118,812 WD-40 Co. 520 17,753 ---------- Total Household Products/Wares 1,546,022 ----------------------------------------------------------------------------- Housewares - 0.2% Newell Rubbermaid, Inc. 11,793 339,874 ----------------------------------------------------------------------------- Insurance - 0.7% American National Insurance Co. 1,188 156,281 Arthur J. Gallagher & Co. 5,756 166,751 Baldwin & Lyons, Inc. Class B 738 20,155 Cincinnati Financial Corp. 8,242 356,962 Commerce Group, Inc. 3,930 115,817 Fidelity National Title Group, Inc. Class A 17,865 312,281 Mercury General Corp. 3,051 164,540 Unitrin, Inc. 3,833 190,078 Zenith National Insurance Corp. 2,290 102,798 ---------- Total Insurance 1,585,663 ----------------------------------------------------------------------------- Internet - 0.0% United Online, Inc. 5,506 82,645 ----------------------------------------------------------------------------- Investment Companies - 0.8% Allied Capital Corp.(a) 15,259 448,462 American Capital Strategies Ltd.(a) 16,186 691,627 Apollo Investment Corp.(a) 9,761 203,029 Ares Capital Corp. 5,755 93,634 Gladstone Capital Corp.(a) 1,377 26,879 Gladstone Investment Corp. 2,195 28,184 Hercules Technology Growth Capital, Inc. 1,969 26,129 MCG Capital Corp. 7,775 111,882 Medallion Financial Corp. 3,600 39,204 MVC Capital, Inc. 1,405 26,035 NGP Capital Resources Co. 1,515 24,588 Patriot Capital Funding, Inc. 2,218 29,655 Prospect Energy Corp.(a) 1,529 26,024 Technology Investment Capital Corp. 2,676 35,778 ---------- Total Investment Companies 1,811,110 ----------------------------------------------------------------------------- Leisure Time - 0.0% Polaris Industries, Inc. 1,838 80,174 ----------------------------------------------------------------------------- Machinery-Diversified - 0.0% Briggs & Stratton Corp. 2,308 58,115 ----------------------------------------------------------------------------- Media - 0.6% Belo Corp. Class A 4,586 79,613 CBS Corp. Class B 28,224 889,056 Dow Jones & Co., Inc. 1,670 99,699 Entercom Communications Corp. 3,002 58,029 New York Times Co. (The) Class A 6,903 136,403 Sinclair Broadcast Group, Inc. Class A 2,890 34,796 World Wrestling Entertainment, Inc. 3,051 46,009 ---------- Total Media 1,343,605 ----------------------------------------------------------------------------- Metal Fabricate/Hardware - 0.1% Worthington Industries, Inc.(a) 4,661 109,813 ----------------------------------------------------------------------------- Mining - 2.5% Compass Minerals International, Inc. 1,570 53,443 Southern Copper Corp.(a) 42,447 5,256,212 ---------- Total Mining 5,309,655 ----------------------------------------------------------------------------- Miscellaneous Manufacturing - 8.2% General Electric Co. 419,858 17,382,121 Koppers Holdings, Inc. 895 34,556 Leggett & Platt, Inc. 7,754 148,567 Reddy Ice Holdings, Inc. 1,326 34,967 Standex International Corp. 762 15,758 ---------- Total Miscellaneous Manufacturing 17,615,969 ----------------------------------------------------------------------------- Office Furnishings - 0.0% Steelcase, Inc. Class A 3,365 60,503 ----------------------------------------------------------------------------- Office/Business Equipment - 0.2% Pitney Bowes, Inc. 8,916 404,965 ----------------------------------------------------------------------------- Oil & Gas - 3.9% Chevron Corp. 89,984 8,420,703 ----------------------------------------------------------------------------- Oil & Gas Services - 0.0% MarkWest Hydrocarbon, Inc. 421 24,473 ----------------------------------------------------------------------------- Packaging & Containers - 0.1% Packaging Corp. of America 6,558 190,641 ----------------------------------------------------------------------------- Pharmaceuticals - 9.6% Bristol-Myers Squibb Co. 127,634 3,678,412 Eli Lilly & Co. 48,241 2,746,360 Merck & Co., Inc. 106,675 5,514,031 Pfizer, Inc. 361,452 8,830,271 ---------- Total Pharmaceuticals 20,769,074 ----------------------------------------------------------------------------- Pipelines - 0.2% National Fuel Gas Co. 3,693 172,869 ONEOK, Inc. 4,929 233,635 ---------- Total Pipelines 406,504 ----------------------------------------------------------------------------- REITS - 6.9% Acadia Realty Trust 1,654 44,873 Agree Realty Corp. 594 18,616 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 23 Schedule of Investments (unaudited) (continued) WisdomTree High-Yielding Equity Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------------- Alexandria Real Estate Equities, Inc. 1,588 $ 152,861 AMB Property Corp. 4,509 269,683 American Campus Communities, Inc. 1,890 55,358 American Land Lease, Inc. 1,938 43,547 Archstone-Smith Trust 9,828 591,056 Ashford Hospitality Trust, Inc. 10,111 101,616 Associated Estates Realty Corp. 2,221 28,962 BioMed Realty Trust, Inc. 4,747 114,403 BRE Properties, Inc. Class A 2,637 147,487 Camden Property Trust 3,276 210,483 Capital Lease Funding, Inc. 4,358 44,670 Cedar Shopping Centers, Inc. 5,596 76,218 Colonial Properties Trust 6,656 228,301 Developers Diversified Realty Corp. 6,240 348,629 DiamondRock Hospitality Co. 7,000 121,870 Digital Realty Trust, Inc. 2,278 89,730 Duke Realty Corp. 10,131 342,529 EastGroup Properties, Inc. 1,222 55,308 Education Realty Trust, Inc. 5,206 70,281 Entertainment Properties Trust 2,966 150,673 Equity Inns, Inc. 5,101 115,181 Equity One, Inc. 5,777 157,134 Equity Residential 15,884 672,845 Extra Space Storage, Inc. 5,474 84,245 Federal Realty Investment Trust 2,203 195,186 FelCor Lodging Trust, Inc. 4,961 98,873 First Industrial Realty Trust, Inc. 3,656 142,109 Franklin Street Properties Corp.(a) 7,246 124,994 General Growth Properties, Inc. 12,188 653,520 Getty Realty Corp. 2,500 68,000 Glimcher Realty Trust 3,801 89,324 GMH Communities Trust 5,868 45,477 HCP, Inc. 14,763 489,689 Health Care REIT, Inc. 7,097 313,971 Hersha Hospitality Trust 3,856 38,174 Highwoods Properties, Inc. 4,576 167,802 Home Properties, Inc. 2,335 121,840 Hospitality Properties Trust 7,378 299,916 Host Hotels & Resorts, Inc. 26,812 601,660 HRPT Properties Trust 25,963 256,774 Inland Real Estate Corp.(a) 5,814 90,059 Investors Real Estate Trust 5,751 62,111 Kilroy Realty Corp. 1,385 83,973 Kimco Realty Corp. 11,661 527,194 Kite Realty Group Trust 2,414 45,383 LaSalle Hotel Properties 2,600 109,408 Lexington Corporate Properties Trust(a) 7,947 159,019 LTC Properties, Inc. 3,150 74,561 Macerich Co. (The) 3,900 341,562 Medical Properties Trust, Inc. 5,406 72,008 Mid-America Apartment Communities, Inc. 1,566 78,065 Mission West Properties, Inc. 1,944 23,620 National Health Investors, Inc. 2,967 91,710 National Retail Properties, Inc. 6,041 147,280 Nationwide Health Properties, Inc. 7,587 228,596 Omega Healthcare Investors, Inc. 6,971 108,260 One Liberty Properties, Inc. 2,522 49,053 Parkway Properties, Inc. 1,535 67,755 Pennsylvania Real Estate Investment Trust 3,731 145,285 Post Properties, Inc. 2,846 110,140 Potlatch Corp. 2,802 126,174 Ramco-Gershenson Properties Trust 1,877 58,637 Rayonier, Inc. 4,904 235,588 Realty Income Corp. 8,710 243,445 Regency Centers Corp. 3,612 277,221 Republic Property Trust 3,026 44,391 Saul Centers, Inc. 803 41,355 Senior Housing Properties Trust 9,159 202,048 Simon Property Group, Inc. 9,817 981,699 Sovran Self Storage, Inc. 1,712 78,478 Strategic Hotels & Resorts, Inc. 6,081 125,208 Sun Communities, Inc. 2,087 62,777 Sunstone Hotel Investors, Inc. 5,330 136,661 Tanger Factory Outlet Centers, Inc. 1,522 61,778 Universal Health Realty Income Trust 1,736 61,680 Urstadt Biddle Properties, Inc. Class A 3,087 47,756 Ventas, Inc. 6,381 264,173 Vornado Realty Trust 5,987 654,677 Washington Real Estate Investment Trust 3,673 121,870 Weingarten Realty Investors 5,597 232,052 Winthrop Realty Trust 7,650 51,485 ---------- Total REITS 14,768,063 --------------------------------------------------------------------------- Retail - 0.0% Asbury Automotive Group, Inc. 1,781 35,282 Kenneth Cole Productions, Inc. Class A 731 14,159 ---------- Total Retail 49,441 --------------------------------------------------------------------------- Savings & Loans - 1.7% Astoria Financial Corp. 2,713 71,976 Capitol Federal Financial 5,707 195,179 Dime Community Bancshares 150 2,246 First Defiance Financial Corp. 1,614 43,578 First Niagara Financial Group, Inc. 8,725 123,459 Flagstar Bancorp, Inc. 3,885 37,801 New York Community Bancorp, Inc. 25,425 484,346 Northwest Bancorp, Inc. 2,733 77,781 United Community Financial Corp./OH 5,607 40,483 Washington Federal, Inc. 4,296 112,813 Washington Mutual, Inc. 67,862 2,396,207 ---------- Total Savings & Loans 3,585,869 --------------------------------------------------------------------------- Semiconductors - 0.2% Microchip Technology, Inc. 9,641 350,161 --------------------------------------------------------------------------- See Notes to Financial Statements. 24 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree High-Yielding Equity Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Software - 0.0% Computer Programs & Systems, Inc. 43 $ 1,133 ------------------------------------------------------------------------------ Telecommunications - 11.0% Alaska Communications Systems Group, Inc. 3,858 55,748 AT&T, Inc. 308,310 13,044,595 Citizens Communications Co. 33,081 473,720 Consolidated Communications Holdings, Inc. 3,212 62,987 Embarq Corp. 8,231 457,644 FairPoint Communications, Inc. 4,433 83,606 Iowa Telecommunications Services, Inc. 4,150 82,378 SureWest Communications 783 19,583 USA Mobility, Inc. 4,152 70,044 Verizon Communications, Inc. 194,086 8,594,128 Windstream Corp. 47,564 671,604 ------------ Total Telecommunications 23,616,037 ------------------------------------------------------------------------------ Toys/Games/Hobbies - 0.2% Mattel, Inc. 15,986 375,032 ------------------------------------------------------------------------------ Trucking & Leasing - 0.0% TAL International Group, Inc. 1,212 30,385 ------------------------------------------------------------------------------ Water - 0.0% California Water Service Group 806 31,023 Middlesex Water Co. 1,681 31,771 ------------ Total Water 62,794 ------------------------------------------------------------------------------ TOTAL COMMON STOCKS (Cost: $208,470,522) 214,249,289 ============================================================================== SHORT-TERM INVESTMENT - 1.1% MONEY MARKET FUND - 1.1% United States - 1.1% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $2,474,714) 2,474,714 2,474,714 ============================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 5.0% MONEY MARKET FUNDS(c) - 5.0% UBS Enhanced Yield Portfolio, 5.38% 8,173,809 8,173,809 UBS Private Money Market Fund LLC, 5.21% 2,634,839 2,634,839 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $10,808,648)(d) 10,808,648 ============================================================================== TOTAL INVESTMENTS IN SECURITIES - 105.7% (Cost: $221,753,884)(e) 227,532,651 Liabilities in Excess of Other Assets - (5.7)% (12,351,409) ------------ NET ASSETS - 100.0% $215,181,242 ============================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $10,460,581 and the total market value of the collateral held by the Fund was $10,808,648. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 25 Schedule of Investments (unaudited) WisdomTree LargeCap Dividend Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- COMMON STOCKS - 99.6% Advertising - 0.1% Omnicom Group, Inc. 4,915 $ 236,362 -------------------------------------------------------------------------- Aerospace/Defense - 2.1% Boeing Co. (The) 15,860 1,665,141 General Dynamics Corp. 7,454 629,639 L-3 Communications Holdings, Inc. 695 70,987 Lockheed Martin Corp. 10,733 1,164,423 Northrop Grumman Corp. 11,138 868,764 Raytheon Co. 12,368 789,326 Rockwell Collins, Inc. 480 35,059 United Technologies Corp. 24,423 1,965,564 ---------- Total Aerospace/Defense 7,188,903 -------------------------------------------------------------------------- Agriculture - 3.1% Altria Group, Inc. 126,722 8,810,981 Reynolds American, Inc. 20,422 1,298,635 UST, Inc. 9,709 481,566 ---------- Total Agriculture 10,591,182 -------------------------------------------------------------------------- Airlines - 0.0% Southwest Airlines Co. 141 2,087 -------------------------------------------------------------------------- Apparel - 0.3% NIKE, Inc. Class B 11,362 666,495 VF Corp. 2,793 225,535 ---------- Total Apparel 892,030 -------------------------------------------------------------------------- Auto Manufacturers - 0.3% General Motors Corp. 21,190 777,673 Paccar, Inc. 4,510 384,478 ---------- Total Auto Manufacturers 1,162,151 -------------------------------------------------------------------------- Auto Parts & Equipment - 0.2% Johnson Controls, Inc. 5,380 635,432 -------------------------------------------------------------------------- Banks - 12.0% Bank of America Corp. 276,470 13,898,148 Bank of New York Mellon Corp. (The) 39,330 1,736,026 BB&T Corp. 34,967 1,412,317 Capital One Financial Corp. 254 16,873 Comerica, Inc. 10,436 535,158 Fifth Third Bancorp 37,351 1,265,452 KeyCorp(a) 22,742 735,249 M&T Bank Corp. 2,484 256,970 Marshall & Ilsley Corp. 10,804 472,891 National City Corp. 41,701 1,046,278 Northern Trust Corp. 5,975 395,963 PNC Financial Services Group, Inc. (The) 13,548 922,619 Regions Financial Corp. 44,566 1,313,806 State Street Corp. 6,332 431,589 SunTrust Banks, Inc. 18,821 1,424,185 Synovus Financial Corp. 14,391 403,668 U.S. Bancorp 102,114 3,321,768 UnionBanCal Corp. 7,401 432,292 Wachovia Corp. 121,989 6,117,748 Wells Fargo & Co. 154,130 5,490,111 Zions Bancorp 182 12,498 ---------- Total Banks 41,641,609 -------------------------------------------------------------------------- Beverages - 3.0% Anheuser-Busch Cos., Inc. 28,273 1,413,367 Coca-Cola Co. (The) 91,862 5,279,309 Coca-Cola Enterprises, Inc. 11,280 273,202 PepsiCo, Inc. 47,081 3,449,154 ---------- Total Beverages 10,415,032 -------------------------------------------------------------------------- Building Materials - 0.2% American Standard Cos., Inc. 4,654 165,775 Masco Corp. 20,297 470,282 ---------- Total Building Materials 636,057 -------------------------------------------------------------------------- Chemicals - 2.1% Air Products & Chemicals, Inc. 6,547 640,035 Dow Chemical Co. (The) 53,008 2,282,524 E.I. du Pont de Nemours & Co. 42,943 2,128,255 Ecolab, Inc. 629 29,689 Monsanto Co. 5,511 472,513 PPG Industries, Inc. 7,319 552,950 Praxair, Inc. 7,670 642,439 Rohm & Haas Co. 8,076 449,591 Sherwin-Williams Co. (The) 3,150 206,987 ---------- Total Chemicals 7,404,983 -------------------------------------------------------------------------- Coal - 0.0% Peabody Energy Corp. 2,601 124,510 -------------------------------------------------------------------------- Commercial Services - 0.1% McKesson Corp. 2,111 124,106 R.R. Donnelley & Sons Co. 9,475 346,406 ---------- Total Commercial Services 470,512 -------------------------------------------------------------------------- Computers - 1.5% Electronic Data Systems Corp. 5,537 120,928 Hewlett-Packard Co. 32,876 1,636,896 International Business Machines Corp. 29,110 3,429,158 ---------- Total Computers 5,186,982 -------------------------------------------------------------------------- Cosmetics/Personal Care - 2.3% Avon Products, Inc. 14,122 529,999 Colgate-Palmolive Co. 14,970 1,067,660 Procter & Gamble Co. 92,629 6,515,524 ---------- Total Cosmetics/Personal Care 8,113,183 -------------------------------------------------------------------------- Distribution/Wholesale - 0.1% Genuine Parts Co. 7,257 362,850 -------------------------------------------------------------------------- Diversified Financial Services - 8.9% American Express Co. 18,218 1,081,603 Ameriprise Financial, Inc. 3,297 208,074 BlackRock, Inc. 2,069 358,785 See Notes to Financial Statements. 26 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree LargeCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------------- Charles Schwab Corp. (The) 19,894 $ 429,710 Citigroup, Inc. 287,446 13,415,104 CME Group, Inc. 241 141,551 Countrywide Financial Corp.(a) 30,363 577,201 Fannie Mae 15,556 945,960 Franklin Resources, Inc. 1,665 212,288 Freddie Mac 39,772 2,346,946 Goldman Sachs Group, Inc. 4,513 978,148 JPMorgan Chase & Co. 150,907 6,914,558 Legg Mason, Inc. 1,841 155,178 Lehman Brothers Holdings, Inc. 5,107 315,255 Merrill Lynch & Co., Inc.(a) 14,932 1,064,353 Morgan Stanley 22,213 1,399,419 T. Rowe Price Group, Inc. 5,433 302,564 ---------- Total Diversified Financial Services 30,846,697 ------------------------------------------------------------------------------- Electric - 5.5% Ameren Corp. 17,860 937,650 American Electric Power Co., Inc. 21,995 1,013,530 Consolidated Edison, Inc. 18,131 839,465 Constellation Energy Group, Inc. 6,005 515,169 Dominion Resources, Inc. 17,894 1,508,464 DTE Energy Co. 11,507 557,399 Duke Energy Corp. 74,972 1,401,227 Edison International 11,402 632,241 Entergy Corp. 7,243 784,344 Exelon Corp. 26,161 1,971,493 FirstEnergy Corp. 14,226 901,075 FPL Group, Inc. 16,873 1,027,228 PG&E Corp. 14,829 708,826 PPL Corp. 17,085 791,036 Progress Energy, Inc. 19,052 892,586 Public Service Enterprise Group, Inc. 12,666 1,114,481 Southern Co.(a) 59,278 2,150,606 TXU Corp. 10,693 732,150 Xcel Energy, Inc. 23,701 510,520 ---------- Total Electric 18,989,490 ------------------------------------------------------------------------------- Electrical Components & Equipment - 0.4% Emerson Electric Co. 28,763 1,530,767 ------------------------------------------------------------------------------- Engineering & Construction - 0.1% Fluor Corp. 1,393 200,564 ------------------------------------------------------------------------------- Entertainment - 0.1% International Game Technology 6,482 279,374 ------------------------------------------------------------------------------- Environmental Control - 0.1% Waste Management, Inc. 6,541 246,857 ------------------------------------------------------------------------------- Food - 1.8% Campbell Soup Co. 12,552 464,424 ConAgra Foods, Inc. 21,148 552,597 General Mills, Inc. 14,711 853,385 H.J. Heinz Co. Ltd. 15,468 714,622 Hershey Co. (The) 6,400 297,024 Kellogg Co. 15,171 849,576 Kraft Foods, Inc. Class A 9,329 321,944 Kroger Co. (The)(a) 13,973 398,510 Safeway, Inc. 5,431 179,820 Sara Lee Corp. 26,843 448,010 SYSCO Corp. 19,388 690,019 Wm. Wrigley Jr. Co. 6,675 428,735 ---------- Total Food 6,198,666 ------------------------------------------------------------------------------- Forest Products & Paper - 0.5% International Paper Co. 20,361 730,349 Weyerhaeuser Co. 12,998 939,755 ---------- Total Forest Products & Paper 1,670,104 ------------------------------------------------------------------------------- Gas - 0.1% Sempra Energy 8,795 511,165 ------------------------------------------------------------------------------- Healthcare-Products - 2.4% Baxter International, Inc. 12,592 708,678 Becton Dickinson & Co. 4,975 408,199 C.R. Bard, Inc. 1,100 97,009 Johnson & Johnson 97,684 6,417,839 Medtronic, Inc. 14,369 810,555 Stryker Corp. 1,665 114,485 ---------- Total Healthcare-Products 8,556,765 ------------------------------------------------------------------------------- Healthcare-Services - 0.0% Aetna, Inc. 204 11,072 UnitedHealth Group, Inc. 194 9,395 ---------- Total Healthcare-Services 20,467 ------------------------------------------------------------------------------- Household Products/Wares - 0.6% Clorox Co. (The) 4,491 273,906 Fortune Brands, Inc. 4,454 362,956 Kimberly-Clark Corp. 20,020 1,406,606 ---------- Total Household Products/Wares 2,043,468 ------------------------------------------------------------------------------- Housewares - 0.1% Newell Rubbermaid, Inc. 12,101 348,751 ------------------------------------------------------------------------------- Insurance - 3.2% Allstate Corp. (The) 20,394 1,166,333 American Family Life Assurance Co., Inc. 12,259 699,253 American International Group, Inc. 36,125 2,443,857 AON Corp. 8,174 366,277 Chubb Corp. (The) 11,761 630,860 Cigna Corp. 146 7,780 Genworth Financial, Inc. Class A 7,849 241,200 Hartford Financial Services Group, Inc. (The) 10,962 1,014,533 Lincoln National Corp. 10,205 673,224 Loews Corp. 3,963 191,611 Marsh & McLennan Cos., Inc. 17,650 450,075 MBIA, Inc. 3,867 236,080 Metlife, Inc. 11,308 788,507 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 27 Schedule of Investments (unaudited) (continued) WisdomTree LargeCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Principal Financial Group, Inc. 5,819 $ 367,121 Progressive Corp. (The) 266 5,163 Prudential Financial, Inc. 8,187 798,887 Travelers Cos., Inc. (The) 20,498 1,031,869 ---------- Total Insurance 11,112,630 ------------------------------------------------------------------------------ Iron/Steel - 0.1% Allegheny Technologies, Inc. 365 40,132 Nucor Corp. 554 32,946 United States Steel Corp. 1,070 113,356 ---------- Total Iron/Steel 186,434 ------------------------------------------------------------------------------ Lodging - 0.3% Harrah's Entertainment, Inc. 5,665 492,457 Hilton Hotels Corp. 3,497 162,576 Marriott International, Inc. Class A 3,197 138,974 Starwood Hotels & Resorts Worldwide, Inc. 4,105 249,379 ---------- Total Lodging 1,043,386 ------------------------------------------------------------------------------ Machinery-Construction & Mining - 0.4% Caterpillar, Inc. 18,647 1,462,484 ------------------------------------------------------------------------------ Machinery-Diversified - 0.4% Deere & Co. 6,317 937,569 Rockwell Automation, Inc. 4,758 330,729 ---------- Total Machinery-Diversified 1,268,298 ------------------------------------------------------------------------------ Media - 1.2% CBS Corp. Class B 31,119 980,249 Clear Channel Communications, Inc. 15,605 584,251 News Corp. Class A 18,781 412,994 News Corp. Class B 7,392 172,899 Time Warner, Inc. 64,221 1,179,097 Walt Disney Co. (The) 28,727 987,922 ---------- Total Media 4,317,412 ------------------------------------------------------------------------------ Metal Fabricate/Hardware - 0.0% Precision Castparts Corp. 132 19,533 ------------------------------------------------------------------------------ Mining - 2.5% Alcoa, Inc. 24,700 966,264 Freeport-McMoRan Copper & Gold, Inc. Class B 6,651 697,623 Newmont Mining Corp. 14,961 669,206 Southern Copper Corp. 49,773 6,163,391 ---------- Total Mining 8,496,484 ------------------------------------------------------------------------------ Miscellaneous Manufacturing - 7.0% 3M Co. 26,980 2,524,788 Danaher Corp. 139 11,497 Dover Corp. 4,869 248,076 Eaton Corp. 4,536 449,245 General Electric Co. 432,452 17,903,513 Honeywell International, Inc. 25,558 1,519,934 Illinois Tool Works, Inc. 14,943 891,201 ITT Industries, Inc. 369 25,066 Parker Hannifin Corp. 1,677 187,539 Textron, Inc. 6,182 384,582 ---------- Total Miscellaneous Manufacturing 24,145,441 ------------------------------------------------------------------------------ Office/Business Equipment - 0.1% Pitney Bowes, Inc. 9,134 414,866 ------------------------------------------------------------------------------ Oil & Gas - 9.4% Apache Corp. 11,525 1,037,942 Chesapeake Energy Corp. 5,291 186,561 Chevron Corp. 92,823 8,686,375 ConocoPhillips 58,195 5,107,775 Devon Energy Corp. 6,238 519,002 Diamond Offshore Drilling, Inc. 1,226 138,894 ENSCO International, Inc. 188 10,547 EOG Resources, Inc. 4,325 312,827 Exxon Mobil Corp.(a) 143,887 13,318,180 Hess Corp. 3,303 219,749 Marathon Oil Corp. 17,622 1,004,806 Murphy Oil Corp. 4,530 316,602 Noble Energy, Inc. 3,039 212,852 Occidental Petroleum Corp. 11,353 727,500 Valero Energy Corp. 5,202 349,470 XTO Energy, Inc. 3,809 235,549 ---------- Total Oil & Gas 32,384,631 ------------------------------------------------------------------------------ Oil & Gas Services - 0.0% Smith International, Inc. 2,373 169,432 ------------------------------------------------------------------------------ Pharmaceuticals - 8.1% Abbott Laboratories 57,470 3,081,541 Allergan, Inc. 644 41,519 AmerisourceBergen Corp. 682 30,915 Bristol-Myers Squibb Co. 156,251 4,503,154 Cardinal Health, Inc. 3,355 209,788 Eli Lilly & Co. 50,023 2,847,809 Merck & Co., Inc. 109,742 5,672,564 Pfizer, Inc. 388,203 9,483,800 Schering-Plough Corp. 3,665 115,924 Wyeth 42,929 1,912,487 ---------- Total Pharmaceuticals 27,899,501 ------------------------------------------------------------------------------ Pipelines - 0.2% El Paso Corp. 10,968 186,127 Williams Cos., Inc. (The) 11,451 390,021 ---------- Total Pipelines 576,148 ------------------------------------------------------------------------------ REITS - 1.5% Archstone-Smith Trust(a) 9,382 564,233 AvalonBay Communities, Inc. 2,533 299,046 Boston Properties, Inc. 4,034 419,133 Equity Residential 14,814 627,521 General Growth Properties, Inc. 11,701 627,408 See Notes to Financial Statements. 28 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree LargeCap Dividend Fund September 30, 2007 Investments Shares Value ------------------------------------------------------------------------------ Host Hotels & Resorts, Inc. 24,451 $ 548,680 ProLogis 8,979 595,757 Simon Property Group, Inc.(a) 9,768 976,800 Vornado Realty Trust 5,666 619,577 ------------ Total REITS 5,278,155 ------------------------------------------------------------------------------ Retail - 3.8% Best Buy Co., Inc. 2,711 124,760 Costco Wholesale Corp. 7,224 443,337 CVS Corp. 15,785 625,560 Gap, Inc. (The) 13,655 251,798 Home Depot, Inc. (The)(a) 72,432 2,349,694 J.C. Penney Co., Inc. 3,105 196,764 Limited Brands, Inc. 10,165 232,677 Lowe's Cos., Inc. 16,377 458,884 McDonald's Corp. 43,607 2,375,273 Nordstrom, Inc. 3,705 173,727 Staples, Inc. 9,584 205,960 Target Corp. 10,509 668,057 TJX Cos., Inc. 7,430 215,990 Walgreen Co. 12,477 589,413 Wal-Mart Stores, Inc. 89,679 3,914,489 Yum! Brands, Inc. 7,635 258,292 ------------ Total Retail 13,084,675 ------------------------------------------------------------------------------ Savings & Loans - 0.7% Sovereign Bancorp, Inc. 28,299 482,215 Washington Mutual, Inc. 53,980 1,906,034 ------------ Total Savings & Loans 2,388,249 ------------------------------------------------------------------------------ Semiconductors - 2.1% Analog Devices, Inc. 11,603 419,564 Applied Materials, Inc. 22,896 473,947 Intel Corp. 185,498 4,796,979 KLA -Tencor Corp. 2,712 151,275 Linear Technology Corp. 8,526 298,325 Maxim Integrated Products, Inc. 11,409 334,854 National Semiconductor Corp. 5,850 158,652 Texas Instruments, Inc. 11,898 435,348 Xilinx, Inc. 7,116 186,012 ------------ Total Semiconductors 7,254,956 ------------------------------------------------------------------------------ Software - 2.1% Automatic Data Processing, Inc. 14,778 678,754 CA, Inc. 6,574 169,083 Mastercard, Inc. Class A 182 26,931 Microsoft Corp. 198,434 5,845,865 Paychex, Inc. 12,009 492,369 ------------ Total Software 7,213,002 ------------------------------------------------------------------------------ Telecommunications - 7.3% ALLTEL Corp. 4,872 339,481 AT&T, Inc. 316,158 13,376,645 Embarq Corp. 8,602 478,271 Motorola, Inc. 15,242 282,434 QUALCOMM, Inc. 32,086 1,355,954 Sprint Nextel Corp. 25,205 478,895 Verizon Communications, Inc. 200,353 8,871,631 Virgin Media, Inc. 1,406 34,124 ------------ Total Telecommunications 25,217,435 ------------------------------------------------------------------------------ Toys/Games/Hobbies - 0.1% Mattel, Inc. 16,912 396,756 ------------------------------------------------------------------------------ Transportation - 1.1% Burlington Northern Santa Fe Corp. 7,090 575,495 C.H. Robinson Worldwide, Inc. 4,567 247,942 CSX Corp. 7,116 304,067 Expeditors International Washington, Inc. 2,058 97,343 FedEx Corp. 1,435 150,316 Norfolk Southern Corp. 8,592 446,011 Union Pacific Corp. 5,340 603,740 United Parcel Service, Inc. Class B 19,241 1,445,000 ------------ Total Transportation 3,869,914 ------------------------------------------------------------------------------ TOTAL COMMON STOCKS (Cost: $327,140,869) 344,706,822 ============================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.2% MONEY MARKET FUNDS(b) - 3.2% AIM Prime Portfolio, 5.08% 2 2 UBS Enhanced Yield Portfolio, 5.38% 7,802,772 7,802,772 UBS Private Money Market Fund LLC, 5.21% 3,225,419 3,225,419 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $11,028,193)(c) 11,028,193 ============================================================================== TOTAL INVESTMENTS IN SECURITIES - 102.8% (Cost: $338,169,062)(d) 355,735,015 Liabilities in Excess of Cash and Other Assets - (2.8)% (9,834,913) ------------ NET ASSETS - 100.0% $345,900,102 ============================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $10,737,360 and the total market value of the collateral held by the Fund was $11,028,193. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 29 Schedule of Investments (unaudited) WisdomTree Dividend Top 100 Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------- COMMON STOCKS - 99.7% Agriculture - 3.3% Altria Group, Inc. 25,096 $1,744,925 Reynolds American, Inc.(a) 48,525 3,085,704 UST, Inc. 46,363 2,299,605 ---------- Total Agriculture 7,130,234 ------------------------------------------------------------------------- Apparel - 0.6% VF Corp. 16,666 1,345,780 ------------------------------------------------------------------------- Auto Manufacturers - 1.2% General Motors Corp.(a) 69,961 2,567,569 ------------------------------------------------------------------------- Banks - 15.5% Bank of America Corp. 50,697 2,548,538 Bank of New York Mellon Corp. (The) 63,676 2,810,659 BB&T Corp. 59,656 2,409,506 Comerica, Inc. 42,068 2,157,247 Fifth Third Bancorp 67,746 2,295,234 KeyCorp 69,255 2,239,014 Marshall & Ilsley Corp. 33,765 1,477,894 National City Corp. 66,989 1,680,754 PNC Financial Services Group, Inc. (The) 25,801 1,757,048 Regions Financial Corp. 68,215 2,010,978 SunTrust Banks, Inc. 23,852 1,804,881 Synovus Financial Corp. 53,268 1,494,167 U.S. BanCorp. 76,005 2,472,443 UnionBanCal Corp. 34,557 2,018,474 Wachovia Corp. 50,384 2,526,758 Wells Fargo & Co. 58,993 2,101,331 ---------- Total Banks 33,804,926 ------------------------------------------------------------------------- Beverages - 1.8% Anheuser-Busch Cos., Inc. 35,840 1,791,642 Coca-Cola Co. (The) 37,369 2,147,596 ---------- Total Beverages 3,939,238 ------------------------------------------------------------------------- Building Materials - 0.6% Masco Corp. 59,405 1,376,414 ------------------------------------------------------------------------- Chemicals - 4.0% Dow Chemical Co. (The) 61,331 2,640,914 E.I. du Pont de Nemours & Co. 43,041 2,133,112 PPG Industries, Inc. 29,777 2,249,652 Rohm & Haas Co. 31,623 1,760,452 ---------- Total Chemicals 8,784,130 ------------------------------------------------------------------------- Commercial Services - 1.4% H&R Block, Inc. 36,049 763,518 R.R. Donnelley & Sons Co. 63,147 2,308,654 ---------- Total Commercial Services 3,072,172 ------------------------------------------------------------------------- Distribution/Wholesale - 0.9% Genuine Parts Co. 40,404 2,020,200 ------------------------------------------------------------------------- Diversified Financial Services - 2.5% Citigroup, Inc. 52,135 2,433,141 Freddie Mac 25,530 1,506,525 JPMorgan Chase & Co. 31,271 1,432,837 ---------- Total Diversified Financial Services 5,372,503 ------------------------------------------------------------------------- Electric - 20.0% Ameren Corp. 55,916 2,935,590 American Electric Power Co., Inc. 58,959 2,716,831 Consolidated Edison, Inc. 65,089 3,013,621 Dominion Resources, Inc. 27,866 2,349,104 DTE Energy Co. 61,331 2,970,874 Duke Energy Corp. 84,007 1,570,091 Edison International(a) 33,768 1,872,436 Entergy Corp. 17,011 1,842,121 Exelon Corp. 30,849 2,324,781 FirstEnergy Corp. 33,197 2,102,698 FPL Group, Inc. 34,929 2,126,478 PG&E Corp. 41,256 1,972,037 PPL Corp. 54,840 2,539,092 Progress Energy, Inc. 69,826 3,271,348 Public Service Enterprise Group, Inc. 33,270 2,927,427 Southern Co. 97,323 3,530,877 TXU Corp. 16,520 1,131,124 Xcel Energy, Inc. 111,471 2,401,085 ---------- Total Electric 43,597,615 ------------------------------------------------------------------------- Electrical Components & Equipment - 0.9% Emerson Electric Co. 35,123 1,869,246 ------------------------------------------------------------------------- Environmental Control - 0.3% Waste Management, Inc. 16,457 621,087 ------------------------------------------------------------------------- Food - 5.4% ConAgra Foods, Inc. 71,167 1,859,594 General Mills, Inc. 30,938 1,794,713 H.J. Heinz Co. Ltd. 47,068 2,174,542 Kellogg Co. 33,771 1,891,176 Kraft Foods, Inc. Class A 75,936 2,620,551 Sara Lee Corp. 87,676 1,463,312 ---------- Total Food 11,803,888 ------------------------------------------------------------------------- Forest Products & Paper - 2.2% International Paper Co.(a) 59,275 2,126,194 Weyerhaeuser Co. 37,179 2,688,042 ---------- Total Forest Products & Paper 4,814,236 ------------------------------------------------------------------------- Healthcare-Products - 0.1% Johnson & Johnson 3,094 203,276 ------------------------------------------------------------------------- Household Products/Wares - 0.9% Kimberly-Clark Corp. 29,296 2,058,337 ------------------------------------------------------------------------- Housewares - 1.1% Newell Rubbermaid, Inc. 83,097 2,394,856 ------------------------------------------------------------------------- Insurance - 2.2% Hartford Financial Services Group, Inc. (The) 24,899 2,304,402 Lincoln National Corp. 37,170 2,452,105 ---------- Total Insurance 4,756,507 ------------------------------------------------------------------------- See Notes to Financial Statements. 30 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree Dividend Top 100 Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------------- Media - 0.7% CBS Corp. Class B 51,254 $ 1,614,501 ---------------------------------------------------------------------------------- Mining - 6.9% Southern Copper Corp.(a) 120,614 14,935,632 ---------------------------------------------------------------------------------- Miscellaneous Manufacturing - 1.9% 3M Co. 18,332 1,715,509 General Electric Co. 59,457 2,461,519 ------------ Total Miscellaneous Manufacturing 4,177,028 ---------------------------------------------------------------------------------- Office/Business Equipment - 0.9% Pitney Bowes, Inc. 43,889 1,993,438 ---------------------------------------------------------------------------------- Oil & Gas - 1.1% Chevron Corp. 26,658 2,494,656 ---------------------------------------------------------------------------------- Pharmaceuticals - 6.0% Abbott Laboratories 39,816 2,134,934 Bristol-Myers Squibb Co. 126,648 3,649,995 Eli Lilly & Co. 37,347 2,126,165 Merck & Co., Inc. 55,763 2,882,389 Pfizer, Inc. 89,057 2,175,662 ------------ Total Pharmaceuticals 12,969,145 ---------------------------------------------------------------------------------- REITS - 7.8% Archstone-Smith Trust 32,138 1,932,779 AvalonBay Communities, Inc. 11,768 1,389,330 Boston Properties, Inc. 13,211 1,372,623 Equity Residential 31,883 1,350,564 General Growth Properties, Inc. 40,597 2,176,811 Host Hotels & Resorts, Inc.(a) 74,403 1,669,603 Kimco Realty Corp. 44,547 2,013,970 ProLogis 25,142 1,668,172 Simon Property Group, Inc.(a) 19,549 1,954,900 Vornado Realty Trust 14,351 1,569,282 ------------ Total REITS 17,098,034 ---------------------------------------------------------------------------------- Retail - 1.7% Home Depot, Inc. (The) 41,408 1,343,276 McDonald's Corp. 45,003 2,451,313 ------------ Total Retail 3,794,589 ---------------------------------------------------------------------------------- Savings & Loans - 1.2% Washington Mutual, Inc. 71,247 2,515,732 ---------------------------------------------------------------------------------- Telecommunications - 5.4% AT&T, Inc. 122,060 5,164,358 Embarq Corp. 50,403 2,802,407 Verizon Communications, Inc. 87,377 3,869,054 ------------ Total Telecommunications 11,835,819 ---------------------------------------------------------------------------------- Toys/Games/Hobbies - 1.2% Mattel, Inc. 106,813 2,505,833 ---------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $209,813,418) 217,466,621 ================================================================================== SHORT-TERM INVESTMENT - 0.9% MONEY MARKET FUND - 0.9% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $1,930,553) 1,930,553 1,930,553 ================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 7.4% MONEY MARKET FUNDS(c) - 7.4% UBS Enhanced Yield Portfolio, 5.38% 9,874,634 9,874,634 UBS Private Money Market Fund LLC, 5.21% 6,277,366 6,277,366 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $16,152,000)(d) 16,152,000 ================================================================================== TOTAL INVESTMENTS IN SECURITIES - 108.0% (Cost: $227,895,971)(e) 235,549,174 Liabilities in Excess of Other Assets - (8.0)% (17,391,598) ============ NET ASSETS - 100.0% $218,157,576 ================================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $15,665,682 and the total market value of the collateral held by the Fund was $16,152,000. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 31 Schedule of Investments (unaudited) WisdomTree MidCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------- COMMON STOCKS - 99.1% Advertising - 0.0% Harte-Hanks, Inc. 2,597 $ 51,109 ------------------------------------------------------------------------- Aerospace/Defense - 0.6% DRS Technologies, Inc. 1,338 73,751 Goodrich Corp. 7,605 518,889 --------- Total Aerospace/Defense 592,640 ------------------------------------------------------------------------- Agriculture - 0.9% Loews Corp. 11,353 933,557 ------------------------------------------------------------------------- Apparel - 0.4% Columbia Sportswear Co. 1,340 74,115 Liz Claiborne, Inc. 3,264 112,053 Phillips-Van Heusen Corp. 715 37,523 Polo Ralph Lauren Corp. 1,277 99,287 Wolverine World Wide, Inc. 2,060 56,444 --------- Total Apparel 379,422 ------------------------------------------------------------------------- Auto Manufacturers - 0.1% Oshkosh Truck Corp. 2,189 135,652 ------------------------------------------------------------------------- Auto Parts & Equipment - 0.2% BorgWarner, Inc. 2,397 219,397 ------------------------------------------------------------------------- Banks - 6.9% Associated Banc-Corp 16,853 499,354 BancorpSouth, Inc. 8,784 213,451 Bank of Hawaii Corp. 5,727 302,672 BOK Financial Corp. 2,802 144,051 Cathay General Bancorp 2,107 67,866 City National Corp. 4,060 282,211 Colonial BancGroup, Inc. (The) 16,821 363,670 Commerce Bancorp, Inc. 9,093 352,627 Commerce Bancshares, Inc. 4,629 212,425 Cullen/Frost Bankers, Inc. 4,769 239,022 East West Bancorp, Inc. 1,582 56,889 First Citizens BancShares, Inc. Class A 327 57,029 First Horizon National Corp.(a) 21,320 568,391 First Midwest Bancorp, Inc. 5,669 193,653 FirstMerit Corp. 16,449 325,032 Fulton Financial Corp. 21,706 312,132 Hancock Holding Co. 2,065 82,765 Huntington Bancshares, Inc. 51,212 869,580 International Bancshares Corp. 6,200 134,540 People's United Financial, Inc. 23,605 407,894 South Financial Group, Inc. (The) 9,097 206,866 TCF Financial Corp. 16,698 437,154 Trustmark Corp. 5,459 153,070 Umpqua Holdings Corp. 6,764 135,348 Valley National Bancorp 14,029 311,163 Webster Financial Corp. 4,630 195,016 Wilmington Trust Corp. 7,618 296,340 --------- Total Banks 7,420,211 ------------------------------------------------------------------------- Beverages - 1.6% Brown-Forman Corp. Class A 3,403 265,434 Brown-Forman Corp. Class B 4,088 306,232 Molson Coors Brewing Co. Class B 4,294 427,983 Pepsi Bottling Group, Inc. 11,443 425,336 PepsiAmericas, Inc. 10,386 336,922 --------- Total Beverages 1,761,907 ------------------------------------------------------------------------- Building Materials - 0.7% Eagle Materials, Inc. 2,741 97,963 Florida Rock Industries, Inc. 3,715 232,150 Lennox International, Inc. 3,727 125,973 Martin Marietta Materials, Inc. 1,790 239,055 Texas Industries, Inc. 422 33,127 --------- Total Building Materials 728,268 ------------------------------------------------------------------------- Chemicals - 4.6% Airgas, Inc. 1,845 95,257 Albemarle Corp. 3,497 154,567 Ashland, Inc. 3,701 222,837 Cabot Corp. 4,336 154,058 Celanese Corp. Series A 4,555 177,554 Chemtura Corp. 18,866 167,719 Cytec Industries, Inc. 1,213 82,957 Eastman Chemical Co. 8,648 577,081 FMC Corp. 2,728 141,911 International Flavors & Fragrances, Inc. 5,426 286,818 Kronos Worldwide, Inc. 5,509 104,010 Lubrizol Corp. 5,303 345,013 Lyondell Chemical Co. 32,859 1,523,015 RPM International, Inc. 14,867 356,065 Sigma-Aldrich Corp. 5,032 245,260 Valhi, Inc. 5,912 140,410 Valspar Corp. (The) 5,556 151,179 Westlake Chemical Corp. 2,012 50,964 --------- Total Chemicals 4,976,675 ------------------------------------------------------------------------- Coal - 0.4% Arch Coal, Inc. 3,325 112,186 CONSUL Energy, Inc. 4,703 219,159 Foundation Coal Holdings, Inc. 914 35,829 Massey Energy Co. 1,900 41,458 --------- Total Coal 408,632 ------------------------------------------------------------------------- Commercial Services - 1.2% Corporate Executive Board Co. 1,703 126,431 DeVry, Inc. 942 34,863 Equifax, Inc. 1,752 66,786 Manpower, Inc. 2,962 190,605 Pharmaceutical Product Development, Inc. 2,090 74,070 Robert Half International, Inc. 5,114 152,704 Service Corp. International 12,930 166,797 Sotheby's Class A 2,973 142,080 Watson Wyatt Worldwide, Inc. Class A 867 38,963 Weight Watchers International, Inc. 4,821 277,496 --------- Total Commercial Services 1,270,795 ------------------------------------------------------------------------- See Notes to Financial Statements. 32 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- Computers - 0.3% Diebold, Inc. 4,375 $ 198,713 Factset Research Systems, Inc. 754 51,687 Jack Henry & Associates, Inc. 2,762 71,425 ---------- Total Computers 321,825 -------------------------------------------------------------------------- Cosmetics/Personal Care - 0.4% Alberto-Culver Co. 10,720 265,748 Estee Lauder Cos., Inc. (The) Class A 4,997 212,173 ---------- Total Cosmetics/Personal Care 477,921 -------------------------------------------------------------------------- Distribution/Wholesale - 0.9% CDW Corp. 1,930 168,296 Fastenal Co. 5,829 264,695 Pool Corp.(a) 2,488 62,150 W.W. Grainger, Inc. 4,877 444,734 ---------- Total Distribution/Wholesale 939,875 -------------------------------------------------------------------------- Diversified Financial Services - 2.7% Eaton Vance Corp. 6,869 274,485 Federated Investors, Inc. Class B 7,905 313,829 Greenhill & Co., Inc. 1,267 77,350 International Securities Exchange, Inc. 499 33,169 Janus Capital Group, Inc. 1,964 55,542 Jefferies Group, Inc. 7,259 202,018 National Financial Partners Corp. 2,129 112,794 Nuveen Investments, Inc. Class A 5,224 323,575 optionsXpress Holdings, Inc. 1,909 49,901 Raymond James Financial, Inc. 5,581 183,336 Student Loan Corp. 2,205 397,605 Thornburg Mortgage, Inc.(a) 52,376 673,031 Waddell & Reed Financial, Inc. Class A 7,155 193,400 ---------- Total Diversified Financial Services 2,890,035 -------------------------------------------------------------------------- Electric - 9.6% Alliant Energy Corp. 13,490 516,937 CenterPoint Energy, Inc. 43,736 701,088 DPL, Inc. 16,287 427,697 Energy East Corp. 25,539 690,830 Great Plains Energy, Inc. 16,460 474,213 Hawaiian Electric Industries, Inc. 14,310 310,670 IDACORP, Inc. 5,116 167,498 Integrys Energy Group, Inc. 12,660 648,572 ITC Holdings Corp. 6,540 324,057 MDU Resources Group, Inc. 14,420 401,453 Northeast Utilities 15,859 453,092 NSTAR 14,609 508,539 OGE Energy Corp. 12,560 415,736 Pepco Holdings, Inc. 29,146 789,274 Pinnacle West Capital Corp. 16,198 639,983 PNM Resources, Inc. 9,265 215,689 Portland General Electric Co. 7,233 201,077 Puget Energy, Inc. 17,207 421,055 SCANA Corp. 17,314 670,744 TECO Energy, Inc. 35,926 590,264 Westar Energy, Inc. 13,347 327,802 Wisconsin Energy Corp. 8,968 403,829 ---------- Total Electric 10,300,099 -------------------------------------------------------------------------- Electrical Components & Equipment - 0.7% AMETEK, Inc. 2,552 110,297 Belden CDT, Inc. 1,172 54,979 Hubbell, Inc. Class B 4,689 267,835 Molex, Inc. 3,831 103,169 Molex, Inc. Class A 3,563 90,358 National Instruments Corp. 2,281 78,307 ---------- Total Electrical Components & Equipment 704,945 -------------------------------------------------------------------------- Electronics - 1.0% Amphenol Corp. Class A 1,366 54,312 Applera Corp. 2,921 101,183 AVX Corp. 7,254 116,789 Brady Corp. Class A 2,816 101,038 Gentex Corp. 11,224 240,644 Jabil Circuit, Inc. 8,058 184,045 PerkinElmer, Inc. 7,337 214,314 Tektronix, Inc. 2,437 67,602 ---------- Total Electronics 1,079,927 -------------------------------------------------------------------------- Engineering & Construction - 0.1% Granite Construction, Inc. 1,528 81,015 -------------------------------------------------------------------------- Entertainment - 0.1% International Speedway Corp. Class A 1,883 86,354 Speedway Motorsports, Inc. 1,338 49,506 ---------- Total Entertainment 135,860 -------------------------------------------------------------------------- Environmental Control - 0.3% Republic Services, Inc. 10,304 337,044 -------------------------------------------------------------------------- Food - 2.2% Corn Products International, Inc. 2,512 115,225 Del Monte Foods Co. 10,536 110,628 Flowers Foods, Inc. 6,869 149,744 Hormel Foods Corp. 7,339 262,589 J.M. Smucker Co. (The) 5,112 273,083 McCormick & Co., Inc. 8,398 302,076 Pilgrim's Pride Corp. 659 22,887 Seaboard Corp. 15 29,400 SUPERVALU Inc. 13,962 544,659 Tyson Foods, Inc. Class A 9,458 168,825 Whole Foods Market, Inc.(a) 7,799 381,839 ---------- Total Food 2,360,955 -------------------------------------------------------------------------- Forest Products & Paper - 2.3% Louisiana-Pacific Corp. 10,156 172,347 MeadWestvaco Corp. 20,080 592,962 Plum Creek Timber Co., Inc. 27,784 1,243,612 Temple-Inland, Inc. 9,666 508,722 ---------- Total Forest Products & Paper 2,517,643 -------------------------------------------------------------------------- Gas - 3.2% AGL Resources, Inc. 11,531 456,858 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 33 Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------- Atmos Energy Corp. 12,623 $ 357,483 Energen Corp. 3,202 182,898 Nicor, Inc. 6,890 295,581 NiSource, Inc. 39,676 759,400 Piedmont Natural Gas Co., Inc.(a) 9,926 249,043 Southern Union Co. 7,951 247,356 UGI Corp. 9,891 256,968 Vectren Corp. 13,020 355,316 WGL Holdings, Inc. 7,753 262,749 --------- Total Gas 3,423,652 ---------------------------------------------------------------------------- Hand/Machine Tools - 1.3% Black & Decker Corp. (The) 4,359 363,105 Kennametal, Inc. 1,821 152,928 Lincoln Electric Holdings, Inc. 2,201 170,820 Snap-On, Inc. 5,070 251,168 Stanley Works (The) 7,402 415,473 --------- Total Hand/Machine Tools 1,353,494 ---------------------------------------------------------------------------- Healthcare-Products - 0.9% Bausch & Lomb, Inc. 2,069 132,416 Beckman Coulter, Inc. 2,088 154,011 Cooper Cos., Inc. (The) 1,245 65,263 Dade Behring Holdings, Inc. 1,558 118,953 DENTSPLY International, Inc. 2,618 109,014 Hillenbrand Industries, Inc. 4,017 221,015 Mentor Corp. 2,006 92,376 STERIS Corp. 3,008 82,209 --------- Total Healthcare-Products 975,257 ---------------------------------------------------------------------------- Healthcare-Services - 0.8% Brookdale Senior Living, Inc.(a) 13,605 541,615 Manor Care, Inc. 3,341 215,160 Universal Health Services, Inc. Class B 1,752 95,344 --------- Total Healthcare-Services 852,119 ---------------------------------------------------------------------------- Holding Companies-Diversified - 0.3% Leucadia National Corp. 5,169 249,250 Walter Industries, Inc. 1,406 37,821 --------- Total Holding Companies-Diversified 287,071 ---------------------------------------------------------------------------- Home Builders - 0.4% Beazer Homes USA, Inc.(a) 4,524 37,323 Centex Corp. 2,495 66,292 MDC Holdings, Inc. 3,446 141,079 Ryland Group, Inc. (The) 2,954 63,304 Standard-Pacific Corp. 4,646 25,507 Thor Industries, Inc. 1,621 72,929 --------- Total Home Builders 406,434 ---------------------------------------------------------------------------- Home Furnishings - 0.5% Harman International Industries, Inc. 442 38,242 Whirlpool Corp. 6,052 539,233 --------- Total Home Furnishings 577,475 ---------------------------------------------------------------------------- Household Products/Wares - 0.6% Avery Dennison Corp. 9,192 524,127 Church & Dwight Co., Inc. 1,593 74,935 Scotts Miracle-Gro Co. (The) Class A 2,098 89,690 --------- Total Household Products/Wares 688,752 ---------------------------------------------------------------------------- Housewares - 0.1% Toro Co. (The) 1,255 73,832 ---------------------------------------------------------------------------- Insurance - 6.3% American Financial Group, Inc. 4,440 126,496 American National Insurance Co. 2,587 340,320 Arthur J. Gallagher & Co. 14,187 410,997 Assurant, Inc. 3,384 181,044 Brown & Brown, Inc. 4,597 120,901 Commerce Group, Inc. 7,879 232,194 Delphi Financial Group, Inc. Class A 1,113 44,987 Erie Indemnity Co. Class A 5,049 308,645 Fidelity National Title Group, Inc. Class A 44,063 770,222 First American Corp. 6,550 239,861 Hanover Insurance Group, Inc. (The) 1,381 61,026 HCC Insurance Holdings, Inc. 5,037 144,260 Mercury General Corp. 6,786 365,969 Nationwide Financial Services, Inc. Class A 3,359 180,781 Odyssey Re Holdings Corp. 1,447 53,698 Old Republic International Corp. 21,514 403,172 Phoenix Cos., Inc. (The) 5,201 73,386 PMI Group, Inc. (The) 3,601 117,753 Protective Life Corp. 4,469 189,664 Radian Group, Inc. 5,049 117,541 Reinsurance Group of America, Inc. 1,485 84,185 Safeco Corp. 8,117 496,924 StanCorp Financial Group, Inc. 2,546 126,052 Torchmark Corp. 2,823 175,929 Transatlantic Holdings, Inc. 1,995 140,308 Unitrin, Inc. 8,333 413,233 UnumProvident Corp.(a) 17,781 435,102 W.R. Berkley Corp. 3,106 92,031 Wesco Financial Corp. 203 80,794 Zenith National Insurance Corp. 4,019 180,413 --------- Total Insurance 6,707,888 ---------------------------------------------------------------------------- Investment Companies - 3.3% Allied Capital Corp.(a) 41,990 1,234,086 American Capital Strategies Ltd.(a) 40,529 1,731,804 Apollo Investment Corp.(a) 26,415 549,432 --------- Total Investment Companies 3,515,322 ---------------------------------------------------------------------------- Iron/Steel - 0.5% Carpenter Technology Corp. 869 112,979 Cleveland-Cliffs, Inc. 1,618 142,335 Reliance Steel & Aluminum Co. 1,830 103,468 Steel Dynamics, Inc. 3,966 185,213 --------- Total Iron/Steel 543,995 ---------------------------------------------------------------------------- Leisure Time - 0.3% Brunswick Corp. 7,030 160,706 See Notes to Financial Statements. 34 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------------------- Polaris Industries, Inc. 4,345 $ 189,529 --------- Total Leisure Time 350,235 --------------------------------------------------------------------------------- Lodging - 0.6% Ameristar Casinos, Inc. 3,048 85,649 Boyd Gaming Corp. 4,107 175,985 Choice Hotels International, Inc. 3,114 117,304 Station Casinos, Inc. 3,418 299,007 --------- Total Lodging 677,945 --------------------------------------------------------------------------------- Machinery-Construction & Mining - 0.3% Joy Global, Inc. 5,541 281,815 --------------------------------------------------------------------------------- Machinery-Diversified - 0.9% Cummins, Inc. 4,389 561,310 Graco, Inc. 3,118 121,945 IDEX Corp. 3,418 124,381 Manitowoc Co., Inc. (The) 1,126 49,859 Nordson Corp. 1,634 82,043 --------- Total Machinery-Diversified 939,538 --------------------------------------------------------------------------------- Media - 1.4% CBS Corp. Class A 6,610 208,281 Dow Jones & Co., Inc. 6,055 361,484 E.W. Scripps Co. (The) Class A 4,210 176,820 John Wiley & Sons, Inc. Class A 1,704 76,561 McClatchy Co. Class A 4,378 87,472 Meredith Corp. 1,604 91,909 New York Times Co. (The) Class A(a) 14,112 278,853 Washington Post Co. (The) Class B 300 240,840 --------- Total Media 1,522,220 --------------------------------------------------------------------------------- Metal Fabricate/Hardware - 0.6% Commercial Metals Co. 3,594 113,750 Timken Co. (The) 7,185 266,922 Worthington Industries, Inc.(a) 11,260 265,286 --------- Total Metal Fabricate/Hardware 645,958 --------------------------------------------------------------------------------- Miscellaneous Manufacturing - 2.9% Acuity Brands, Inc. 2,153 108,683 AptarGroup, Inc. 3,446 130,500 Brink's Co. (The) 690 38,557 Carlisle Cos., Inc. 2,801 136,129 CLARCOR, Inc. 1,595 54,565 Crane Co. 3,267 156,718 Donaldson Co., Inc. 2,811 117,387 Eastman Kodak Co. 20,535 549,517 Harsco Corp. 5,468 324,088 Leggett & Platt, Inc. 19,640 376,302 Pall Corp. 6,952 270,433 Pentair, Inc. 5,990 198,748 Roper Industries, Inc. 1,553 101,722 SPX Corp. 3,300 305,448 Teleflex, Inc. 2,364 184,203 Trinity Industries, Inc. 1,867 70,087 --------- Total Miscellaneous Manufacturing 3,123,087 --------------------------------------------------------------------------------- Office Furnishings - 0.1% Herman Miller, Inc. 2,094 56,831 HNI Corp. 2,543 91,548 --------- Total Office Furnishings 148,379 --------------------------------------------------------------------------------- Office/Business Equipment - 0.1% IKON Office Solutions, Inc. 5,289 67,964 --------------------------------------------------------------------------------- Oil & Gas - 1.0% Cabot Oil & Gas Corp. 1,130 39,731 Cimarex Energy Co. 1,103 41,087 Frontier Oil Corp. 1,323 55,090 Helmerich & Payne, Inc. 2,753 90,381 Holly Corp. 1,311 78,437 Patterson-UTI Energy, Inc. 6,267 141,446 Pioneer Natural Resources Co. 2,710 121,896 Pogo Producing Co. 1,064 56,509 Range Resources Corp. 1,425 57,941 Rowan Cos., Inc. 4,264 155,976 St. Mary Land & Exploration Co. 418 14,910 Tesoro Corp. 2,748 126,463 W&T Offshore, Inc. 993 24,209 Western Refining, Inc. 1,213 49,224 --------- Total Oil & Gas 1,053,300 --------------------------------------------------------------------------------- Oil & Gas Services - 0.1% Tidewater, Inc. 2,235 140,447 --------------------------------------------------------------------------------- Packaging & Containers - 1.3% Ball Corp. 3,268 175,655 Bemis Co. 7,964 231,832 Packaging Corp. of America 16,586 482,156 Sealed Air Corp. 5,454 139,404 Silgan Holdings, Inc. 1,451 77,991 Sonoco Products Co. 8,797 265,493 --------- Total Packaging & Containers 1,372,531 --------------------------------------------------------------------------------- Pharmaceuticals - 0.1% Medicis Pharmaceutical Corp. Class A 605 18,459 Omnicare, Inc. 1,702 56,387 --------- Total Pharmaceuticals 74,846 --------------------------------------------------------------------------------- Pipelines - 1.6% Equitable Resources, Inc. 9,597 497,796 National Fuel Gas Co. 9,577 448,299 ONEOK, Inc. 11,632 551,358 Questar Corp. 4,529 237,908 --------- Total Pipelines 1,735,361 --------------------------------------------------------------------------------- Real Estate - 0.2% Forest City Enterprises, Inc. Class A 1,377 75,955 Jones Lang LaSalle, Inc. 1,228 126,190 --------- Total Real Estate 202,145 --------------------------------------------------------------------------------- REITS - 19.0% Alexandria Real Estate Equities, Inc. 3,294 317,080 AMB Property Corp. 9,812 586,856 Apartment Investment & Management Co. Class A(a) 14,634 660,432 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 35 Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------------- BioMed Realty Trust, Inc.(a) 11,215 $ 270,282 Brandywine Realty Trust 17,219 435,813 BRE Properties, Inc. Class A 5,818 325,401 Camden Property Trust 7,165 460,351 Corporate Office Properties Trust 4,351 181,132 Cousins Properties, Inc. 9,584 281,386 Developers Diversified Realty Corp. 14,224 794,695 Digital Realty Trust, Inc. 5,833 229,762 Duke Realty Corp. 21,328 721,100 Equity One, Inc.(a) 13,255 360,536 Essex Property Trust, Inc. 2,310 271,587 Federal Realty Investment Trust 5,449 482,781 First Industrial Realty Trust, Inc. 9,169 356,399 HCP, Inc. 35,446 1,175,744 Health Care REIT, Inc. 15,076 666,962 Highwoods Properties, Inc. 9,520 349,098 Home Properties, Inc. 5,851 305,305 Hospitality Properties Trust 17,441 708,977 HRPT Properties Trust 54,978 543,732 iStar Financial, Inc. 31,407 1,067,524 Kilroy Realty Corp. 3,303 200,261 LaSalle Hotel Properties 6,497 273,394 Liberty Property Trust 17,050 685,581 Macerich Co. (The) 9,022 790,147 Mack-Cali Realty Corp. 11,559 475,075 Nationwide Health Properties, Inc. 17,767 535,320 Post Properties, Inc. 6,182 239,243 Potlatch Corp. 6,932 312,148 Rayonier, Inc. 14,554 699,174 Realty Income Corp.(a) 20,558 574,596 Regency Centers Corp. 8,071 619,449 Senior Housing Properties Trust 19,037 419,956 SL Green Realty Corp. 4,790 559,328 Strategic Hotels & Resorts, Inc. 13,796 284,060 Taubman Centers, Inc. 4,895 268,001 UDR, Inc. 19,081 464,050 Ventas, Inc. 15,447 639,506 Washington Real Estate Investment Trust 6,408 212,617 Weingarten Realty Investors 13,556 562,032 ---------- Total REITS 20,366,873 ------------------------------------------------------------------------------- Retail - 2.7% Abercrombie & Fitch Co. Class A 3,301 266,391 Advance Auto Parts, Inc. 3,170 106,385 American Eagle Outfitters, Inc. 8,901 234,185 Applebees International, Inc. 2,222 55,283 Barnes & Noble, Inc. 4,217 148,691 bebe stores, inc. 3,579 52,361 Brinker International, Inc. 5,048 138,517 Darden Restaurants, Inc. 5,770 241,532 Dillard's, Inc. Class A 3,245 70,838 Family Dollar Stores, Inc. 8,722 231,656 Men's Wearhouse, Inc. (The) 1,183 59,765 MSC Industrial Direct Co. Class A 2,773 140,286 Penske Auto Group, Inc. 6,333 128,180 PetSmart, Inc. 1,904 60,738 RadioShack Corp. 8,195 169,309 Regis Corp. 640 20,422 Ross Stores, Inc. 4,286 109,893 Tiffany & Co. 5,492 287,507 Wendy's International, Inc. 4,372 152,627 Williams-Sonoma, Inc. 5,195 169,461 ---------- Total Retail 2,844,027 ------------------------------------------------------------------------------- Savings & Loans - 3.0% Astoria Financial Corp. 11,993 318,174 Capitol Federal Financial 14,585 498,807 Downey Financial Corp. 1,629 94,156 Hudson City Bancorp, Inc. 45,219 695,468 New York Community Bancorp, Inc. 66,024 1,257,757 NewAlliance Bancshares, Inc. 6,967 102,276 Washington Federal, Inc. 10,472 274,995 ---------- Total Savings & Loans 3,241,633 ------------------------------------------------------------------------------- Semiconductors - 0.9% Intersil Corp. Class A 5,238 175,106 Microchip Technology, Inc. 22,421 814,331 ---------- Total Semiconductors 989,437 ------------------------------------------------------------------------------- Software - 0.7% Acxiom Corp. 2,835 56,105 Fair Isaac Corp. 418 15,094 Fidelity National Information Services, Inc. 3,296 146,244 Global Payments, Inc. 380 16,804 IMS Health, Inc. 3,230 98,967 MoneyGram International, Inc. 2,421 54,690 SEI Investments Co. 4,955 135,172 Total System Services, Inc. 7,225 200,710 ---------- Total Software 723,786 ------------------------------------------------------------------------------- Telecommunications - 3.3% CenturyTel, Inc. 3,435 158,766 Citizens Communications Co. 78,419 1,122,960 Harris Corp. 4,749 274,445 Telephone & Data Systems, Inc. 2,248 150,054 Telephone & Data Systems, Inc. Special Shares 2,301 142,662 Windstream Corp. 120,856 1,706,486 ---------- Total Telecommunications 3,555,373 ------------------------------------------------------------------------------- Textiles - 0.2% Cintas Corp. 4,630 171,773 ------------------------------------------------------------------------------- Toys/Games/Hobbies - 0.3% Hasbro, Inc. 11,522 321,233 ------------------------------------------------------------------------------- Transportation - 0.8% Alexander & Baldwin, Inc. 3,347 167,785 Con-way, Inc. 1,523 70,058 JB Hunt Transport Services, Inc. 7,747 203,746 Landstar System, Inc. 680 28,540 Overseas Shipholding Group, Inc. 2,571 197,530 See Notes to Financial Statements. 36 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree MidCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------------- Ryder System, Inc. 3,146 $ 154,154 ------------ Total Transportation 821,813 ------------------------------------------------------------------------------- Trucking & Leasing - 0.1% GATX Corp. 3,458 147,830 ------------------------------------------------------------------------------- Water - 0.2% Aqua America, Inc. 9,008 204,301 ------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $107,677,912) 106,154,550 =============================================================================== SHORT-TERM INVESTMENT - 0.8% MONEY MARKET FUND - 0.8% United States - 0.8% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $815,121) 815,121 815,121 =============================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 7.2% MONEY MARKET FUNDS(c) - 7.2% AIM Prime Portfolio, 5.08% 69 69 UBS Enhanced Yield Portfolio, 5.38%, 4,597,094 4,597,094 UBS Private Money Market Fund LLC, 5.21% 3,167,288 3,167,288 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $7,764,451)(d) 7,764,451 =============================================================================== TOTAL INVESTMENTS IN SECURITIES - 107.1% (Cost: $116,257,484)(e) 114,734,122 Liabilities in Excess of Other Assets - (7.1)% (7,638,612) ------------ NET ASSETS - 100.0% $107,095,510 =============================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $7,420,490 and the total market value of the collateral held by the Fund was $7,764,451. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 37 Schedule of Investments (unaudited) WisdomTree Smallcap Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- COMMON STOCKS - 99.4% Aerospace/Defense - 0.5% Curtiss-Wright Corp. 3,265 $ 155,088 EDO Corp. 1,526 85,471 HEICO Corp. 271 13,377 HEICO Corp. Class A 656 25,912 Kaman Corp. 6,532 225,745 Triumph Group, Inc. 663 54,174 United Industrial Corp. 1,090 82,033 --------- Total Aerospace/Defense 641,800 ----------------------------------------------------------------------------- Agriculture - 1.7% Alico, Inc. 1,808 78,359 Andersons, Inc. (The) 889 42,690 Universal Corp. 12,038 589,260 Vector Group Ltd.(a) 65,242 1,462,073 --------- Total Agriculture 2,172,382 ----------------------------------------------------------------------------- Airlines - 0.1% Skywest, Inc. 3,799 95,621 ----------------------------------------------------------------------------- Apparel - 0.6% Cherokee, Inc.(a) 9,182 352,222 Delta Apparel, Inc. 2,109 36,064 Kellwood Co. 6,700 114,235 K-Swiss, Inc. Class A 2,133 48,867 Oxford Industries, Inc. 2,731 98,644 Weyco Group, Inc. 2,223 69,824 --------- Total Apparel 719,856 ----------------------------------------------------------------------------- Auto Manufacturers - 0.0% Wabash National Corp. 4,666 52,679 ----------------------------------------------------------------------------- Auto Parts & Equipment - 1.8% American Axle & Manufacturing Holdings, Inc. 23,766 600,092 ArvinMeritor, Inc. 21,324 358,670 Cooper Tire & Rubber Co. 26,622 649,577 Modine Manufacturing Co. 10,881 289,652 Noble International Ltd. 3,022 64,338 Spartan Motors, Inc. 3,791 63,803 Standard Motor Products, Inc. 1,520 14,288 Superior Industries International, Inc.(a) 10,347 224,426 Titan International, Inc. 270 8,618 --------- Total Auto Parts & Equipment 2,273,464 ----------------------------------------------------------------------------- Banks - 17.7% 1st Source Corp. 6,785 155,377 1st State Bancorp., Inc. 5,113 100,419 Access National Corp. 1,718 13,572 Alabama National BanCorp. 5,420 422,327 Alliance Financial Corp. 2,069 51,725 AMCORE Financial, Inc. 7,483 186,477 American River Bankshares 1,601 35,222 Americanwest Bancorp 3,420 67,066 Ameris Bancorp 5,356 96,836 Arrow Financial Corp. 4,867 108,437 BancFirst Corp. 2,398 107,598 Bancorp Rhode Island, Inc. 771 27,571 BancTrust Financial Group, Inc. 3,740 59,541 Bank Mutual Corp. 16,337 192,613 Bank of Granite Corp. 6,054 82,213 Bank of the Ozarks, Inc. 2,300 70,219 Banner Corp. 2,549 87,660 Beverly Hills Bancorp, Inc. 19,691 121,887 Boston Private Financial Holdings, Inc.(a) 4,677 130,208 Bryn Mawr Bank Corp. 2,028 44,129 Cadence Financial Corp. 9,195 161,832 Camden National Corp. 1,453 50,826 Capital City Bank Group, Inc.(a) 4,159 129,761 Capitol Bancorp Ltd. 2,018 50,107 Cardinal Financial Corp. 1,248 12,468 Cass Information Systems, Inc. 1,455 52,045 Center Bancorp, Inc. 3,304 39,714 Centerstate Banks of Florida, Inc. 983 15,531 Central Pacific Financial Corp. 9,486 276,991 Chemical Financial Corp. 10,667 258,675 Chittenden Corp. 16,680 586,469 Citizens Banking Corp. 41,154 662,991 City Holding Co. 5,924 215,693 CoBiz, Inc. 2,468 42,252 Columbia Bancorp 1,938 38,392 Columbia Banking System, Inc. 3,223 102,556 Community Bank System, Inc. 11,498 224,441 Community Banks, Inc. 8,628 257,028 Community Trust Bancorp, Inc. 4,661 140,016 Corus Bankshares, Inc.(a) 34,513 449,360 CVB Financial Corp. 26,282 307,499 Enterprise Financial Services Corp. 1,178 28,673 Financial Institutions, Inc. 4,649 84,053 First Bancorp 6,255 127,477 First Busey Corp.(a) 6,511 142,656 First Charter Corp. 13,076 394,503 First Commonwealth Financial Corp.(a) 44,947 497,114 First Community Bancorp 9,595 524,941 First Community Bancshares, Inc. 3,817 138,290 First Financial Bancorp 19,214 245,555 First Financial Bankshares, Inc. 7,453 299,462 First Financial Corp. 4,138 125,381 First Indiana Corp. 6,251 195,781 First Merchants Corp. 9,727 209,714 First Mutual Bancshares, Inc. 1,120 29,893 First Security Group, Inc. 3,835 38,350 First South Bancorp, Inc. 2,661 69,612 Firstbank Corp. 3,098 51,148 FNB Corp./PA 42,596 704,538 FNB Corp./VA 1,910 57,472 FNB United Corp. 7,423 118,620 Fremont General Corp. 24,707 96,357 See Notes to Financial Statements. 38 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Smallcap Dividend Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------------- Frontier Financial Corp.(a) 10,330 $ 240,999 Gateway Financial Holdings, Inc. 5,177 81,486 German American Bancorp 5,043 69,291 Glacier Bancorp, Inc. 12,365 278,460 Great Southern Bancorp, Inc. 3,196 79,389 Greene County Bancshares, Inc. 1,457 53,108 Hanmi Financial Corp. 6,865 106,338 Harleysville National Corp. 14,404 228,879 Heartland Financial USA, Inc. 4,790 98,435 Heritage Commerce Corp. 1,502 31,797 Home Bancshares, Inc. 980 21,354 Horizon Financial Corp. 2,684 54,432 IBERIABANK Corp. 2,566 135,100 Independent Bank Corp./MA 3,127 92,872 Independent Bank Corp./MI 3,510 38,786 Integra Bank Corp. 682 12,365 Irwin Financial Corp. 1,293 14,249 Lakeland Bancorp, Inc.(a) 10,551 143,282 Lakeland Financial Corp. 2,833 65,470 Macatawa Bank Corp. 518 7,009 MainSource Financial Group, Inc. 6,669 117,574 MB Financial, Inc. 9,182 317,238 MBT Financial Corp. 13,240 158,483 Merchants Bancshares, Inc. 3,535 82,189 MetroCorp Bancshares, Inc. 1,551 24,971 Midwest Banc Holdings, Inc. 912 13,470 Nara Bancorp, Inc. 1,494 23,336 National Penn Bancshares, Inc.(a) 20,182 330,177 NBT Bancorp, Inc. 13,271 288,512 North Valley Bancorp 2,283 51,504 Northrim Bancorp, Inc. 1,428 35,557 Oak Hill Financial, Inc. 1,980 61,895 Old National Bancorp 40,531 671,599 Old Second Bancorp, Inc. 2,665 75,953 Omega Financial Corp.(a) 7,530 198,867 PAB Bankshares, Inc. 2,929 48,534 Pacific Capital Bancorp 15,835 416,461 Pacific Continental Corp. 2,552 39,913 Park National Corp. 6,608 576,218 Patriot National Bancorp, Inc. 415 8,300 Peoples Bancorp, Inc. 5,482 143,519 Preferred Bank 1,616 63,573 PrivateBancorp, Inc. 1,414 49,264 Prosperity Bancshares, Inc. 6,007 199,192 Provident Bankshares Corp. 14,054 440,312 Renasant Corp. 100 2,163 Republic Bancorp, Inc. Class A 3,199 50,672 Royal Bancshares of Pennsylvania, Inc. Class A 6,028 132,134 S&T Bancorp, Inc. 10,783 346,026 S.Y. Bancorp, Inc. 3,613 97,696 Sandy Spring Bancorp, Inc. 3,958 119,214 SCBT Financial Corp. 1,805 62,345 Seacoast Banking Corp. of Florida 2,443 45,684 Sierra Bancorp 2,168 62,135 Simmons First National Corp. Class A 4,140 109,047 Southside Bancshares, Inc. 2,486 54,916 Southwest Bancorp, Inc. 4,216 79,345 State Bancorp, Inc. 4,246 69,210 Sterling Bancorp 8,871 124,194 Sterling Bancshares, Inc. 11,818 134,843 Sterling Financial Corp./WA 4,381 117,893 Suffolk Bancorp(a) 2,768 88,742 Susquehanna Bancshares, Inc. 24,582 494,098 Taylor Capital Group, Inc. 990 27,651 Tompkins Trustco, Inc. 3,103 123,189 Trico Bancshares 3,291 73,291 TrustCo Bank Corp.(a) 58,083 634,847 UCBH Holdings, Inc. 9,794 171,199 UMB Financial Corp. 8,160 349,738 Union Bankshares Corp. 3,904 88,660 United Bankshares, Inc. 14,754 449,112 United Community Banks, Inc. 4,397 107,814 United Security Bancshares(a) 3,517 66,120 Univest Corp. of Pennsylvania 4,364 103,514 USB Holding Co., Inc. 6,056 140,680 Vineyard National Bancorp 4,426 74,003 Washington Banking Co 1,353 27,317 Washington Trust Bancorp, Inc. 4,253 114,703 WesBanco, Inc.(a) 10,128 252,998 West Bancorp, Inc.(a) 7,283 113,032 West Coast Bancorp 2,427 68,951 Westamerica Bancorp.(a) 11,075 551,645 Wintrust Financial Corp. 1,788 76,330 Yardville National Bancorp 1,639 55,120 ---------- Total Banks 22,565,317 -------------------------------------------------------------------------------- Beverages - 0.1% Coca-Cola Bottling Co. Consolidated 1,216 73,325 Farmer Bros. Co. 3,984 99,122 ---------- Total Beverages 172,447 -------------------------------------------------------------------------------- Building Materials - 0.5% AAON, Inc. 3,065 60,472 Apogee Enterprises, Inc. 5,759 149,388 Comfort Systems USA, Inc. 4,706 66,825 LSI Industries, Inc. 8,131 166,848 Simpson Manufacturing Co., Inc.(a) 5,752 183,202 Universal Forest Products, Inc. 610 18,239 ---------- Total Building Materials 644,974 -------------------------------------------------------------------------------- Chemicals - 3.4% A. Schulman, Inc. 8,037 158,570 Aceto Corp. 5,340 48,060 American Vanguard Corp. 1,081 21,101 Arch Chemicals, Inc. 6,812 319,347 Balchem Corp. 743 15,165 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 39 Schedule of Investments (unaudited) (continued) WisdomTree Smallcap Dividend Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------------- CF Industries Holdings, Inc. 2,538 $ 192,660 Ferro Corp. 13,808 275,884 Georgia Gulf Corp.(a) 6,250 86,875 H.B. Fuller Co. 6,252 185,559 Minerals Technologies, Inc. 755 50,585 NewMarket Corp. 1,742 86,020 NL Industries, Inc.(a) 25,374 287,487 Olin Corp. 45,873 1,026,638 Penford Corp. 1,603 60,433 Quaker Chemical Corp. 4,645 109,250 Sensient Technologies Corp. 14,869 429,268 Spartech Corp. 6,186 105,533 Stepan Co. 2,921 90,288 Tronox, Inc. Class A 2,916 27,119 Tronox, Inc. Class B 3,818 34,477 UAP Holding Corp. 21,779 682,989 Wellman, Inc. 9,488 22,771 --------- Total Chemicals 4,316,079 ---------------------------------------------------------------------------------- Commercial Services - 3.9% Aaron Rents, Inc. 1,424 31,755 ABM Industries, Inc. 12,447 248,691 Administaff, Inc. 2,610 94,743 Advance America, Cash Advance Centers, Inc. 29,042 309,878 Arbitron, Inc. 3,226 146,267 Bowne & Co., Inc. 4,553 75,853 CDI Corp. 3,824 106,613 Chemed Corp. 2,364 146,946 Coinmach Service Corp. Class A 27,925 334,821 Collectors Universe, Inc. 2,440 34,355 CPI Corp. 1,128 43,451 Deluxe Corp. 27,404 1,009,563 Diamond Management & Technology Consultants, Inc. 10,060 92,552 Gevity HR, Inc. 4,688 48,052 Healthcare Services Group, Inc. 10,674 216,362 Heartland Payment Systems, Inc.(a) 1,388 35,672 Jackson Hewitt Tax Service, Inc. 5,356 149,754 Kelly Services, Inc. Class A 6,920 137,085 Landauer, Inc. 3,723 189,724 MAXIMUS, Inc. 3,456 150,612 McGrath Rentcorp 5,891 195,817 Monro Muffler, Inc. 1,286 43,454 Multi-Color Corp. 632 14,422 Pre-Paid Legal Services, Inc. 5,922 328,434 Rollins, Inc. 9,495 253,422 Stewart Enterprises, Inc. Class A 18,155 138,341 Strayer Education, Inc. 1,888 318,373 Thomas Group, Inc. 2,663 24,340 Viad Corp. 1,120 40,320 --------- Total Commercial Services 4,959,672 ---------------------------------------------------------------------------------- Computers - 0.4% Agilysys, Inc.(a) 5,674 95,891 Imation Corp. 4,963 121,742 Integral Systems, Inc. 1,168 25,100 MTS Systems Corp. 2,560 106,496 Syntel, Inc. 3,924 163,160 --------- Total Computers 512,389 ---------------------------------------------------------------------------------- Cosmetics/Personal Care - 0.0% Inter Parfums, Inc. 2,646 62,631 ---------------------------------------------------------------------------------- Distribution/Wholesale - 0.6% BlueLinx Holdings, Inc. 21,522 151,515 Building Material Holding Corp. 3,639 38,501 Owens & Minor, Inc. 9,015 343,381 Watsco, Inc. 5,490 254,901 --------- Total Distribution/Wholesale 788,298 ---------------------------------------------------------------------------------- Diversified Financial Services - 1.0% Advanta Corp. Class A 4,161 101,404 Advanta Corp. Class B 8,115 222,513 Asta Funding, Inc.(a) 711 27,246 Calamos Asset Management, Inc. Class A 3,541 99,962 Cohen & Steers, Inc.(a) 5,906 218,699 Delta Financial Corp. 3,566 17,509 Federal Agricultural Mortgage Corp. Class C 3,225 94,686 Financial Federal Corp. 4,300 120,443 Friedman, Billings, Ramsey Group, Inc. 50,391 232,303 GAMCO Investors, Inc. Class A 198 10,850 Sanders Morris Harris Group, Inc. 3,869 39,270 SWS Group, Inc. 4,266 75,466 Westwood Holdings Group, Inc. 2,106 72,257 --------- Total Diversified Financial Services 1,332,608 ---------------------------------------------------------------------------------- Electric - 4.1% ALLETE, Inc. 11,112 497,373 Avista Corp. 13,712 279,039 Black Hills Corp. 15,423 632,652 Central Vermont Public Service Corp. 5,006 182,919 CH Energy Group, Inc. 7,644 365,383 Cleco Corp. 26,623 672,764 Empire District Electric Co. (The)(a) 18,897 426,883 MGE Energy, Inc. 9,914 331,524 NorthWestern Corp. 16,537 449,310 Ormat Technologies, Inc. 1,872 86,748 Otter Tail Corp. 12,996 463,307 UIL Holdings Corp. 12,598 396,837 UniSource Energy Corp. 9,964 297,824 Unitil Corp. 4,594 135,523 --------- Total Electric 5,218,086 ---------------------------------------------------------------------------------- Electrical Components & Equipment - 0.2% Hubbell, Inc. Class A(a) 2,599 154,927 Insteel Industries, Inc. 1,544 23,700 See Notes to Financial Statements. 40 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Smallcap Dividend Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------- Vicor Corp. 4,309 $ 52,225 --------- Total Electrical Components & Equipment 230,852 ------------------------------------------------------------------------- Electronics - 0.9% Analogic Corp. 1,295 82,569 Badger Meter, Inc. 2,184 69,997 Bel Fuse, Inc. Class B 500 17,330 CTS Corp. 3,961 51,097 Cubic Corp. 2,791 117,696 Daktronics, Inc. 665 18,101 Frequency Electronics, Inc. 1,897 19,122 Methode Electronics, Inc. 7,837 117,947 Park Electrochemical Corp. 2,346 78,779 Sypris Solutions, Inc. 4,124 35,466 Technitrol, Inc. 6,158 165,959 Watts Water Technologies, Inc. Class A 3,009 92,376 Woodward Governor Co. 4,311 269,007 --------- Total Electronics 1,135,446 ------------------------------------------------------------------------- Energy-Alternate Sources - 0.0% MGP Ingredients, Inc. 1,830 18,794 ------------------------------------------------------------------------- Entertainment - 1.1% Carmike Cinemas, Inc. 1,705 31,321 Churchill Downs, Inc. 1,971 98,471 Dover Downs Gaming & Entertainment, Inc. 3,179 33,030 Regal Entertainment Group Class A(a) 56,245 1,234,578 --------- Total Entertainment 1,397,400 ------------------------------------------------------------------------- Environmental Control - 0.6% American Ecology Corp. 6,035 127,882 Metal Management, Inc. 2,534 137,343 Met-Pro Corp. 2,637 42,667 Mine Safety Appliances Co. 9,594 451,972 Waste Industries USA, Inc. 2,050 58,671 --------- Total Environmental Control 818,535 ------------------------------------------------------------------------- Food - 1.5% Arden Group, Inc. Class A 324 45,208 Cal-Maine Foods, Inc. 1,054 26,603 Diamond Foods, Inc. 1,210 24,999 Imperial Sugar Co. 1,541 40,266 Ingles Markets, Inc. Class A 3,072 88,044 J&J Snack Foods Corp. 2,083 72,530 Lance, Inc. 12,045 277,276 Nash Finch Co.(a) 5,418 215,799 Ruddick Corp. 8,941 299,881 Sanderson Farms, Inc. 4,006 166,930 Spartan Stores, Inc. 2,713 61,124 Tootsie Roll Industries, Inc. 3,925 104,130 Village Super Market, Inc. Class A 736 38,272 Weis Markets, Inc. 10,119 431,979 --------- Total Food 1,893,041 ------------------------------------------------------------------------- Forest Products & Paper - 1.2% Bowater, Inc.(a) 28,074 418,864 Deltic Timber Corp. 892 50,773 Neenah Paper, Inc. 2,453 81,170 P.H. Glatfelter Co. 12,524 185,856 Rock-Tenn Co. Class A 6,061 175,163 Schweitzer-Mauduit International, Inc. 6,293 146,627 Wausau Paper Corp. 13,841 154,327 Xerium Technologies, Inc. 47,008 253,843 --------- Total Forest Products & Paper 1,466,623 ------------------------------------------------------------------------- Gas - 1.7% Chesapeake Utilities Corp. 3,015 102,480 EnergySouth, Inc. 2,177 109,764 Laclede Group, Inc. (The) 9,731 314,117 New Jersey Resources Corp. 10,345 513,009 Northwest Natural Gas Co. 11,192 511,474 South Jersey Industries, Inc. 9,496 330,461 Southwest Gas Corp. 11,210 317,131 --------- Total Gas 2,198,436 ------------------------------------------------------------------------- Hand/Machine Tools - 0.5% Baldor Electric Co. 8,560 341,972 Franklin Electric Co., Inc.(a) 2,353 96,732 Regal-Beloit Corp. 3,847 184,233 --------- Total Hand/Machine Tools 622,937 ------------------------------------------------------------------------- Healthcare-Products - 1.3% Arrow International, Inc. 9,573 435,475 Datascope Corp. 1,544 52,203 Invacare Corp. 893 20,878 LCA-Vision Inc. 5,676 166,818 Meridian Bioscience, Inc. 8,419 255,263 Oakley, Inc. 7,299 211,890 PolyMedica Corp.(a) 4,090 214,807 Vital Signs, Inc. 1,165 60,743 West Pharmaceutical Services, Inc. 4,272 177,972 Young Innovations, Inc. 1,001 28,639 --------- Total Healthcare-Products 1,624,688 ------------------------------------------------------------------------- Healthcare-Services - 0.1% National Healthcare Corp. 1,835 94,301 ------------------------------------------------------------------------- Holding Companies-Diversified - 0.0% Resource America, Inc. Class A 553 8,732 ------------------------------------------------------------------------- Home Builders - 0.4% Brookfield Homes Corp. 1,548 28,715 Lennar Corp. Class B 6,541 138,996 Levitt Corp. Class A 320 643 M/I Homes, Inc. 2,547 35,378 Monaco Coach Corp.(a) 6,854 96,162 Skyline Corp. 1,734 52,159 Winnebago Industries, Inc. 4,369 104,332 --------- Total Home Builders 456,385 ------------------------------------------------------------------------- Home Furnishings - 1.0% American Woodmark Corp. 176 4,363 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 41 Schedule of Investments (unaudited) (continued) WisdomTree Smallcap Dividend Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------- Bassett Furniture Industries, Inc. 6,611 $ 68,622 Ethan Allen Interiors, Inc. 8,466 276,754 Furniture Brands International, Inc.(a) 25,622 259,807 Kimball International, Inc. Class B 6,420 73,060 La-Z-Boy, Inc.(a) 25,273 186,515 Sealy Corp.(a) 23,061 323,776 Stanley Furniture Co., Inc. 2,036 33,085 --------- Total Home Furnishings 1,225,982 ---------------------------------------------------------------------------- Household Products/Wares - 1.8% American Greetings Corp. Class A 8,538 225,403 Blyth, Inc. 9,679 197,936 CSS Industries, Inc. 2,017 72,551 Ennis, Inc. 8,166 179,979 Standard Register Co. (The) 26,291 334,159 Tupperware Brands Corp. 32,800 1,032,872 WD-40 Co. 5,387 183,912 --------- Total Household Products/Wares 2,226,812 ---------------------------------------------------------------------------- Housewares - 0.1% Libbey, Inc. 1,315 23,039 Lifetime Brands, Inc. 2,097 42,548 National Presto Industries, Inc. 1,322 70,066 --------- Total Housewares 135,653 ---------------------------------------------------------------------------- Insurance - 2.7% 21st Century Holding Co. 2,824 40,101 Affirmative Insurance Holdings, Inc. 1,032 11,858 Alfa Corp. 21,448 389,924 American Equity Investment Life Holding Co. 2,486 26,476 Baldwin & Lyons, Inc. Class B 5,380 146,928 Brooke Corp. 9,525 94,202 Crawford & Co. Class B 9,722 61,832 Donegal Group, Inc. Class A 4,160 67,309 EMC Insurance Group, Inc. 3,287 85,429 FBL Financial Group, Inc. Class A 3,772 148,956 Harleysville Group, Inc. 8,206 262,427 Hilb Rogal & Hobbs Co. 4,867 210,887 Horace Mann Educators Corp. 10,623 209,379 Independence Holding Co. 335 6,827 Infinity Property & Casualty Corp. 1,507 60,612 LandAmerica Financial Group, Inc.(a) 3,655 142,472 Mercer Insurance Group, Inc. 879 15,550 Midland Co. (The) 1,366 75,075 National Interstate Corp. 1,273 39,196 NYMAGIC, Inc. 943 26,225 Presidential Life Corp. 7,334 124,385 ProCentury Corp. 2,235 32,698 RLI Corp. 4,033 228,752 Safety Insurance Group, Inc. 5,020 180,419 Selective Insurance Group, Inc. 11,829 251,721 State Auto Financial Corp. 6,144 179,712 Stewart Information Services Corp. 3,880 132,968 Tower Group, Inc. 835 21,860 United Fire & Casualty Co. 5,059 197,756 --------- Total Insurance 3,471,936 ---------------------------------------------------------------------------- Internet - 0.7% TheStreet.com, Inc. 3,583 43,390 United Online, Inc. 52,378 786,194 --------- Total Internet 829,584 ---------------------------------------------------------------------------- Investment Companies - 2.9% Ares Capital Corp. 52,115 847,911 Capital Southwest Corp. 233 28,603 Gladstone Capital Corp.(a) 9,189 179,369 Gladstone Investment Corp. 11,551 148,315 Hercules Technology Growth Capital, Inc. 17,080 226,652 MCG Capital Corp. 64,842 933,076 Medallion Financial Corp. 12,257 133,479 MVC Capital, Inc.(a) 8,308 153,947 NGP Capital Resources Co. 12,808 207,874 Patriot Capital Funding, Inc. 21,121 282,388 Prospect Energy Corp.(a) 13,328 226,843 Technology Investment Capital Corp. 24,622 329,196 --------- Total Investment Companies 3,697,653 ---------------------------------------------------------------------------- Iron/Steel - 0.4% Gibraltar Industries, Inc. 2,949 54,557 Great Northern Iron Ore Properties 2,225 265,241 Olympic Steel, Inc. 376 10,212 Ryerson, Inc.(a) 2,655 89,580 Schnitzer Steel Industries, Inc. Class A 575 42,142 --------- Total Iron/Steel 461,732 ---------------------------------------------------------------------------- Leisure Time - 0.5% Ambassadors Group, Inc. 4,104 156,362 Ambassadors International, Inc. 1,105 27,106 Arctic Cat, Inc. 2,505 40,982 Callaway Golf Co. 17,379 278,238 Marine Products Corp. 8,627 73,157 Nautilus, Inc. 3,529 28,126 --------- Total Leisure Time 603,971 ---------------------------------------------------------------------------- Lodging - 0.0% Marcus Corp. 2,980 57,216 ---------------------------------------------------------------------------- Machinery-Construction & Mining - 0.1% Bucyrus International, Inc. Class A 1,708 124,564 ---------------------------------------------------------------------------- Machinery-Diversified - 1.7% Alamo Group, Inc. 1,271 31,254 Albany International Corp. Class A 3,821 143,249 Applied Industrial Technologies, Inc. 9,259 285,455 Briggs & Stratton Corp. 21,968 553,154 Cascade Corp. 1,777 115,807 Cognex Corp. 7,285 129,382 Gorman-Rupp Co. (The) 2,000 66,320 Lindsay Manufacturing Co. 940 41,153 NACCO Industries, Inc. Class A 1,020 105,550 See Notes to Financial Statements. 42 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Smallcap Dividend Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- Robbins & Myers, Inc. 1,173 $ 67,201 Sauer-Danfoss, Inc. 11,676 311,516 Tennant Co. 3,533 172,057 Twin Disc, Inc. 900 52,380 Wabtec Corp. 693 25,960 --------- Total Machinery-Diversified 2,100,438 -------------------------------------------------------------------------- Media - 2.3% Belo Corp. Class A 29,007 503,561 Citadel Broadcasting Corp.(a) 108,917 453,094 Courier Corp. 2,648 93,236 Entercom Communications Corp. 22,697 438,733 Gray Television, Inc. 10,772 91,454 Hearst-Argyle Television, Inc. 6,752 175,282 Journal Communications, Inc. Class A 13,288 125,970 Journal Register Co. 4,754 11,410 Lee Enterprises, Inc. 8,884 138,324 Media General, Inc. Class A 7,262 199,778 Sinclair Broadcast Group, Inc. Class A(a) 28,394 341,864 Value Line, Inc. 2,732 134,606 World Wrestling Entertainment, Inc. 16,384 247,071 --------- Total Media 2,954,383 -------------------------------------------------------------------------- Metal Fabricate/Hardware - 1.0% A. M. Castle & Co. 1,627 53,040 Ampco-Pittsburgh Corp. 1,224 48,201 CIRCOR International, Inc. 713 32,377 Dynamic Materials Corp. 713 34,146 Empire Resources, Inc.(a) 2,297 15,436 Kaydon Corp. 3,830 199,122 Lawson Products, Inc. 1,787 62,205 Mueller Industries, Inc. 4,877 176,255 Mueller Water Products, Inc. Class A(a) 1,812 22,451 NN, Inc. 5,259 51,591 Quanex Corp. 7,543 354,369 Sun Hydraulics Corp. 3,635 115,593 Valmont Industries, Inc. 1,949 165,373 --------- Total Metal Fabricate/Hardware 1,330,159 -------------------------------------------------------------------------- Mining - 0.7% AMCOL International Corp. 7,015 232,126 Compass Minerals International, Inc. 16,155 549,917 Royal Gold, Inc. 2,808 91,962 --------- Total Mining 874,005 -------------------------------------------------------------------------- Miscellaneous Manufacturing - 2.1% A.O. Smith Corp. 5,631 247,088 Actuant Corp. Class A 657 42,685 American Railcar Industries, Inc. 841 18,519 Ameron International Corp. 1,098 116,135 Barnes Group, Inc. 14,893 475,385 Federal Signal Corp. 8,000 122,880 Freightcar America, Inc. 810 30,942 Koppers Holdings, Inc. 7,086 273,590 Lancaster Colony Corp. 9,403 358,913 Matthews International Corp. Class A 1,972 86,374 Myers Industries, Inc. 5,481 108,633 Portec Rail Products, Inc. 2,691 31,377 Quixote Corp. 2,142 42,412 Raven Industries, Inc. 2,769 110,898 Reddy Ice Holdings, Inc. 19,478 513,635 Standex International Corp. 4,139 85,595 Tredegar Corp. 3,772 65,067 --------- Total Miscellaneous Manufacturing 2,730,128 -------------------------------------------------------------------------- Office Furnishings - 0.5% Knoll, Inc. 10,551 187,175 Steelcase, Inc. Class A 24,790 445,724 --------- Total Office Furnishings 632,899 -------------------------------------------------------------------------- Oil & Gas - 0.9% Adams Resources & Energy, Inc. 796 22,169 Alon USA Energy, Inc. 2,842 96,003 Barnwell Industries, Inc. 797 13,294 Berry Petroleum Co. Class A 4,192 165,961 Crosstex Energy, Inc.(a) 16,653 631,315 Delek US Holdings, Inc. 5,280 132,422 Panhandle Royalty Co. Class A 853 21,069 Penn Virginia Corp. 2,702 118,834 --------- Total Oil & Gas 1,201,067 -------------------------------------------------------------------------- Oil & Gas Services - 0.6% CARBO Ceramics, Inc. 3,505 177,809 Gulf Island Fabrication, Inc. 1,401 53,784 Lufkin Industries, Inc. 2,207 121,429 MarkWest Hydrocarbon, Inc. 3,678 213,802 RPC, Inc. 9,770 138,832 --------- Total Oil & Gas Services 705,656 -------------------------------------------------------------------------- Packaging & Containers - 0.5% Greif, Inc. Class A 3,854 233,861 Greif, Inc. Class B 6,672 376,968 --------- Total Packaging & Containers 610,829 -------------------------------------------------------------------------- Pharmaceuticals - 0.3% Mannatech, Inc. 7,262 58,822 Perrigo Co. 11,283 240,892 Reliv' International, Inc.(a) 2,063 20,630 --------- Total Pharmaceuticals 320,344 -------------------------------------------------------------------------- Real Estate - 0.3% Consolidated-Tomoka Land Co. 425 28,564 Forest City Enterprises, Inc. Class B 1,502 82,640 Resource Capital Corp.(a) 23,158 260,759 Thomas Properties Group, Inc. 2,364 28,368 --------- Total Real Estate 400,331 -------------------------------------------------------------------------- REITS - 19.0% Acadia Realty Trust 10,632 288,446 Agree Realty Corp. 4,959 155,415 See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 43 Schedule of Investments (unaudited) (continued) WisdomTree Smallcap Dividend Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------------- American Campus Communities, Inc. 12,232 $ 358,275 American Financial Realty Trust 111,514 897,688 American Land Lease, Inc. 3,720 83,588 Ashford Hospitality Trust, Inc. 52,831 530,952 Associated Estates Realty Corp. 8,918 116,291 BRT Realty Trust 5,093 88,313 Capital Lease Funding, Inc. 27,483 281,701 Cedar Shopping Centers, Inc. 20,607 280,667 Cogdell Spencer, Inc. 5,670 104,895 DiamondRock Hospitality Co. 38,053 662,503 EastGroup Properties, Inc. 10,599 479,711 Education Realty Trust, Inc. 15,443 208,481 Entertainment Properties Trust 14,786 751,129 Equity Inns, Inc. 37,908 855,963 Equity Lifestyle Properties, Inc. 1,644 85,159 Extra Space Storage, Inc. 42,571 655,168 FelCor Lodging Trust, Inc. 36,992 737,251 Feldman Mall Properties, Inc. 18,914 142,990 First Potomac Realty Trust 12,101 263,802 Franklin Street Properties Corp.(a) 55,273 953,458 Getty Realty Corp. 17,046 463,651 Gladstone Commercial Corp. 6,481 121,195 Glimcher Realty Trust 34,733 816,226 GMH Communities Trust 35,816 277,574 Hersha Hospitality Trust 23,744 235,066 Inland Real Estate Corp. 40,872 633,107 Investors Real Estate Trust(a) 36,228 391,262 Kite Realty Group Trust 13,836 260,117 Lexington Corporate Properties Trust 63,644 1,273,515 LTC Properties, Inc. 15,015 355,405 Medical Properties Trust, Inc.(a) 34,347 457,502 Mid-America Apartment Communities, Inc. 11,587 577,612 Mission West Properties, Inc. 11,069 134,488 Monmouth REIT Class A 17,760 149,539 National Health Investors, Inc. 19,771 611,122 National Retail Properties, Inc. 38,973 950,162 Omega Healthcare Investors, Inc. 40,640 631,139 One Liberty Properties, Inc. 6,512 126,658 Parkway Properties, Inc. 8,837 390,065 Pennsylvania Real Estate Investment Trust 25,715 1,001,341 PMC Commercial Trust 12,057 157,826 PS Business Parks, Inc. 4,770 271,175 Public Storage, Inc. Class A 9,682 250,764 Ramco-Gershenson Properties Trust 9,888 308,901 Republic Property Trust 23,271 341,386 Saul Centers, Inc. 6,934 357,101 Sovran Self Storage, Inc. 10,728 491,772 Sun Communities, Inc. 16,067 483,295 Sunstone Hotel Investors, Inc. 34,974 896,733 Tanger Factory Outlet Centers, Inc. 13,590 551,618 UMH Properties, Inc. 7,802 108,604 Universal Health Realty Income Trust 8,365 297,208 Urstadt Biddle Properties, Inc. Class A 9,935 153,694 U-Store-It Trust 37,270 491,964 Winthrop Realty Trust 26,971 181,515 ---------- Total REITS 24,182,148 --------------------------------------------------------------------------- Retail - 3.8% Ark Restaurants Corp. 1,955 71,817 Asbury Automotive Group, Inc. 14,503 287,304 Big 5 Sporting Goods Corp. 4,719 88,245 Bob Evans Farms, Inc. 8,214 247,899 Books-A-Million, Inc. 889 11,761 Borders Group, Inc. 14,517 193,512 Brown Shoe Co., Inc. 1,230 23,862 Buckle, Inc. (The) 6,183 234,583 Casey's General Stores, Inc. 4,879 135,148 Cash America International, Inc. 552 20,755 Cato Corp. (The) Class A 9,438 192,913 CBRL Group, Inc. 4,747 193,678 Christopher & Banks Corp. 5,792 70,199 CKE Restaurants, Inc. 6,906 111,946 DEB Shops, Inc. 3,535 95,056 Fred's, Inc. 6,868 72,320 Group 1 Automotive, Inc. 4,440 149,051 Haverty Furniture Cos., Inc. 4,679 41,035 IHOP Corp. 3,912 247,747 Kenneth Cole Productions, Inc. Class A 4,692 90,884 Landry's Restaurants, Inc. 1,926 50,962 Lithia Motors, Inc. Class A 6,690 114,131 Longs Drug Stores Corp. 6,046 300,306 Movado Group, Inc. 2,430 77,566 Nu Skin Enterprises, Inc. Class A 17,015 274,962 PEP Boys-Manny, Moe & Jack (The) 13,243 185,799 Ruby Tuesday, Inc. 12,991 238,255 Sonic Automotive, Inc. 7,760 185,774 Stage Stores, Inc. 3,723 67,870 Stein Mart, Inc. 5,288 40,242 Talbots, Inc.(a) 14,354 258,372 Triarc Cos., Inc. Class A 6,040 74,232 Triarc Cos., Inc. Class B 13,524 169,185 Tuesday Morning Corp.(a) 23,513 211,382 World Fuel Services Corp. 1,121 45,748 ---------- Total Retail 4,874,501 --------------------------------------------------------------------------- Savings & Loans - 3.8% Abington Bancorp Inc. 3,453 33,667 American Bancorp of New Jersey, Inc. 4,469 48,578 Anchor Bancorp Wisconsin, Inc. 6,008 162,216 Atlantic Coast Federal Corp. 3,730 56,360 BankFinancial Corp. 3,535 55,924 BankUnited Financial Corp. Class A 3,338 51,873 Benjamin Franklin Bancorp, Inc. 1,041 14,845 Berkshire Hills Bancorp, Inc. 3,342 101,029 Brookline Bancorp, Inc. 17,796 206,256 See Notes to Financial Statements. 44 WisdomTree Domestic Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Smallcap Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- CFS Bancorp, Inc. 4,409 $ 62,167 Clifton Savings Bancorp, Inc. 5,589 66,118 Dime Community Bancshares 18,459 276,331 First Defiance Financial Corp. 2,754 74,358 First Federal Bancshares of Arkansas, Inc. 1,476 26,989 First Financial Holdings, Inc. 3,691 115,454 First Niagara Financial Group, Inc. 45,182 639,324 First Place Financial Corp. 8,115 143,636 Flagstar Bancorp, Inc. 36,266 352,867 Flushing Financial Corp. 6,251 105,017 Heritage Financial Group 1,413 19,768 HMN Financial, Inc. 1,613 47,793 Home Federal Bancorp, Inc. 2,270 30,214 Kearny Financial Corp. 9,856 126,058 K-Fed Bancorp 3,523 46,398 KNBT Bancorp, Inc. 5,918 97,884 Legacy Bancorp, Inc. 4,381 60,984 Northwest Bancorp, Inc. 20,173 574,123 OceanFirst Financial Corp. 8,191 142,769 Pamrapo Bancorp, Inc. 2,253 42,706 Parkvale Financial Corp. 1,714 49,706 Partners Trust Financial Group, Inc. 12,608 153,439 PFF Bancorp, Inc. 3,819 58,583 Provident Financial Services, Inc. 17,833 291,926 Provident New York Bancorp 6,158 80,731 Rainier Pacific Financial Group, Inc. 3,776 63,059 Riverview Bancorp, Inc. 3,736 55,480 Rockville Financial, Inc. 2,122 30,260 Rome Bancorp, Inc. 2,540 30,124 Synergy Financial Group, Inc. 2,097 31,791 Timberland Bancorp, Inc. 1,758 27,776 United Community Financial Corp. 1,466 10,585 United Financial Bancorp, Inc. 2,519 31,639 Westfield Financial, Inc. 6,437 62,503 Willow Grove Bancorp, Inc. 6,668 82,883 WSFS Financial Corp. 422 26,333 ----------- Total Savings & Loans 4,868,524 ----------------------------------------------------------------------------- Semiconductors - 0.1% Cohu, Inc. 3,613 67,744 Richardson Electronics Ltd. 3,071 21,036 ----------- Total Semiconductors 88,780 ----------------------------------------------------------------------------- Software - 0.5% American Software, Inc. Class A 9,068 83,426 Blackbaud, Inc. 5,608 141,546 Computer Programs & Systems, Inc. 5,947 156,764 infoUSA, Inc. 12,464 115,791 Pegasystems, Inc. 5,387 64,105 QAD, Inc. 4,446 38,502 Renaissance Learning, Inc.(a) 4,282 51,769 Schawk, Inc. 2,164 48,841 ----------- Total Software 700,744 ----------------------------------------------------------------------------- Telecommunications - 3.3% Adtran, Inc. 15,081 347,315 Alaska Communications Systems Group, Inc. 28,130 406,479 Applied Signal Technology, Inc. 4,972 67,221 Atlantic Tele-Network, Inc. 3,502 127,298 Black Box Corp. 1,167 49,901 Consolidated Communications Holdings, Inc. 25,831 506,546 D&E Communications, Inc. 6,500 92,430 FairPoint Communications, Inc.(a) 37,959 715,906 Iowa Telecommunications Services, Inc. 36,950 733,457 North Pittsburgh Systems, Inc. 5,103 121,247 Plantronics, Inc. 5,325 152,029 Shenandoah Telecommunications Co. 2,885 62,778 SureWest Communications 6,772 169,368 USA Mobility, Inc. 39,642 668,761 ----------- Total Telecommunications 4,220,736 ----------------------------------------------------------------------------- Textiles - 0.1% Angelica Corp. 2,299 45,313 G&K Services, Inc. Class A 1,013 40,723 UniFirst Corp. 831 31,129 ----------- Total Textiles 117,165 ----------------------------------------------------------------------------- Toys/Games/Hobbies - 0.1% Topps Co., Inc. (The) 8,299 80,417 ----------------------------------------------------------------------------- Transportation - 0.7% Arkansas Best Corp. 4,535 148,113 Forward Air Corp. 2,878 85,707 Heartland Express, Inc. 5,428 77,512 Horizon Lines, Inc. Class A 6,553 200,062 Knight Transportation, Inc. 4,275 73,573 Pacer International, Inc. 8,771 167,088 Werner Enterprises, Inc. 8,379 143,700 ----------- Total Transportation 895,755 ----------------------------------------------------------------------------- Trucking & Leasing - 0.3% Greenbrier Cos., Inc.(a) 1,589 42,442 TAL International Group, Inc.(a) 12,807 321,072 ----------- Total Trucking & Leasing 363,514 ----------------------------------------------------------------------------- Water - 0.7% American States Water Co. 5,354 208,806 California Water Service Group 6,680 257,112 Connecticut Water Service, Inc. 3,908 90,509 Middlesex Water Co. 5,044 95,332 SJW Corp. 3,597 122,802 Southwest Water Co. 4,458 56,305 York Water Co. 4,061 68,428 ----------- Total Water 899,294 ----------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $132,533,010) 126,481,393 ============================================================================= See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 45 Schedule of Investments (unaudited) (concluded) WisdomTree Smallcap Dividend Fund September 30, 2007 Investments Shares Value ------------------------------------------------------------------------------- SHORT-TERM INVESTMENT - 1.2% MONEY MARKET FUND - 1.2% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $1,480,306) 1,480,306 $ 1,480,306 =============================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 10.2% MONEY MARKET FUNDS(c) - 10.2% AIM Liquid Assets Portfolio, 5.11% 120 120 AIM Prime Portfolio, 5.08% 365 365 UBS Enhanced Yield Portfolio, 5.38% 5,550,279 5,550,279 UBS Private Money Market Fund LLC, 5.21% 7,416,140 7,416,140 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $12,966,904)(d) 12,966,904 =============================================================================== TOTAL INVESTMENTS IN SECURITIES - 110.8% (Cost: $146,980,220)(e) 140,928,603 Liabilities in Excess of Other Assets - (10.8)% (13,735,168) ------------ NET ASSETS - 100.0% $127,193,435 =============================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as September 30, 2007. (c) Interest rates shown reflect yields as September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $12,305,441 and the total market value of the collateral held by the Fund was $12,966,904. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 46 WisdomTree Domestic Dividend Funds Statements of Assets and Liabilities (unaudited) WisdomTree Domestic Dividend Funds September 30, 2007 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree Total High-Yielding LargeCap Dividend MidCap SmallCap Dividend Fund Equity Fund Dividend Fund Top 100 Fund Dividend Fund Dividend Fund ------------------------------------------------------------------------------------------------------------------------------------ ASSETS: Investments, at cost: $ 94,728,550 $ 221,753,884 $ 338,169,062 $ 227,895,971 $116,257,484 $146,980,220 ------------------------------------------------------------------------------------------------------------------------------------ Investments in securities, at value (including securities on loan) (Note 2) 101,658,557 227,532,651 355,735,015 235,549,174 114,734,122 140,928,603 Cash - - 691,975 - - - Receivables: Investment securities sold 132,702 5,902,037 - - 550,229 1,260,064 Capital shares sold - - - - 5,620,862 - Dividends and interest 179,800 632,594 580,793 590,957 253,417 453,255 ------------------------------------------------------------------------------------------------------------------------------------ Total Assets 101,971,059 234,067,281 357,007,783 236,140,132 121,158,630 142,641,922 ==================================================================================================================================== LIABILITIES: Custodian bank 642,858 2,095,083 - 1,763,324 669,238 980,174 Payables: Investment securities purchased - - - - 5,597,216 1,463,206 Collateral for securities on loan (Note 2) 1,722,450 10,808,647 11,028,193 16,152,000 7,764,451 12,966,904 Capital shares redeemed - 5,913,395 - - - - Advisory fees (Note 3) 22,549 68,125 78,258 66,462 31,846 37,766 Other accrued expenses 354 789 1,230 770 369 437 ------------------------------------------------------------------------------------------------------------------------------------ Total Liabilities 2,388,211 18,886,039 11,107,681 17,982,556 14,063,120 15,448,487 ==================================================================================================================================== NET ASSETS $ 99,582,848 $ 215,181,242 $ 345,900,102 $ 218,157,576 $107,095,510 $127,193,435 ==================================================================================================================================== NET ASSETS: Paid-in capital $ 91,359,571 $ 207,312,375 $ 315,553,075 $ 209,576,425 $107,652,156 $132,139,549 Undistributed net investment income 108,384 436,969 255,814 269,371 412,309 523,864 Accumulated net realized gain on investments 1,184,886 1,653,131 12,525,260 658,577 554,407 581,639 Net unrealized appreciation (depreciation) on investments 6,930,007 5,778,767 17,565,953 7,653,203 (1,523,362) (6,051,617) ------------------------------------------------------------------------------------------------------------------------------------ NET ASSETS $ 99,582,848 $ 215,181,242 $ 345,900,102 $ 218,157,576 $107,095,510 $127,193,435 ==================================================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 1,650,000 3,650,000 5,650,000 3,600,000 1,900,000 2,350,000 ------------------------------------------------------------------------------------------------------------------------------------ Net asset value per share $ 60.35 $ 58.95 $ 61.22 $ 60.60 $ 56.37 $ 54.12 ==================================================================================================================================== See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 47 Statements of Operations (unaudited) WisdomTree Domestic Dividend Funds For the Six Months Ended September 30, 2007 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree Total High-Yielding LargeCap Dividend MidCap SmallCap Dividend Fund Equity Fund Dividend Fund Top 100 Fund Dividend Fund Dividend Fund ------------------------------------------------------------------------------------------------------------------------------------ INVESTMENT INCOME: Dividends $1,433,445 $ 4,607,200 $ 5,011,183 $3,751,302 $ 1,789,748 $ 2,481,204 Interest 7,607 15,245 15,334 11,400 6,783 12,924 Securities lending income (Note 2) 13,295 74,563 28,710 122,397 65,182 123,498 ------------------------------------------------------------------------------------------------------------------------------------ Total investment income 1,454,347 4,697,008 5,055,227 3,885,099 1,861,713 2,617,626 ------------------------------------------------------------------------------------------------------------------------------------ EXPENSES: Advisory fees (Note 3) 135,975 436,551 497,682 403,111 184,775 221,671 Service fees (Note 3) 719 1,642 2,523 1,551 737 842 ------------------------------------------------------------------------------------------------------------------------------------ Total expenses 136,694 438,193 500,205 404,662 185,512 222,513 ------------------------------------------------------------------------------------------------------------------------------------ Net investment income 1,317,653 4,258,815 4,555,022 3,480,437 1,676,201 2,395,113 ==================================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (488,773) (1,528,698) (538,292) (517,714) (855,884) (1,004,394) In-kind redemptions 1,698,531 3,391,032 13,277,479 1,550,336 1,512,131 1,795,354 ------------------------------------------------------------------------------------------------------------------------------------ Net realized gain 1,209,758 1,862,334 12,739,187 1,032,622 656,247 790,960 ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation (depreciation) on investments 2,524,513 (151,720) 4,509,788 790,988 (4,320,606) (7,574,613) ------------------------------------------------------------------------------------------------------------------------------------ Net realized and unrealized gain (loss) on investments 3,734,271 1,710,614 17,248,975 1,823,610 (3,664,359) (6,783,653) ==================================================================================================================================== NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS $5,051,924 $ 5,969,429 $21,803,997 $5,304,047 $ (1,988,158) $ (4,388,540) ==================================================================================================================================== See Notes to Financial Statements. 48 WisdomTree Domestic Dividend Funds Statements of Changes in Net Assets WisdomTree Domestic Dividend Funds ------------------------------------------------------------------------------------------ WisdomTree Total Dividend Fund ------------------------------------------------------------------------------------------ For the Six Months Ended For the Period September 30, June 16, 2006* 2007 through (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------ INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 1,317,653 $ 1,119,717 Net realized gain on investments 1,209,758 924,301 Net change unrealized appreciation (depreciation) on investments 2,524,513 4,405,494 ------------------------------------------------------------------------------------------ Net increase in net assets resulting from operations 5,051,924 6,449,512 ========================================================================================= DIVIDENDS: Net investment income (1,260,034) (1,068,528) ------------------------------------------------------------------------------------------ Total dividends (1,260,034) (1,068,528) ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 15,221,789 97,974,095 Cost of shares redeemed (9,129,134) (13,661,776) ------------------------------------------------------------------------------------------ Net increase (decrease) in net assets resulting from capital share transactions 6,092,655 84,312,319 ========================================================================================= Net Increase in Net Assets 9,884,545 89,693,303 ========================================================================================= NET ASSETS: Beginning of period $ 89,698,303 $ 5,000 End of period $ 99,582,848 $ 89,698,303 ------------------------------------------------------------------------------------------ Undistributed net investment income included in net assets at end of period $ 108,384 $ 50,765 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 1,550,000 - Shares created 250,000 1,800,100 Shares redeemed (150,000) (250,100) ------------------------------------------------------------------------------------------ Shares outstanding, end of period 1,650,000 1,550,000 ========================================================================================= ----------------------------------------------------------------------------------------------------------------------------- WisdomTree High-Yielding Equity Fund WisdomTree LargeCap Dividend Fund ----------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, June 16, 2006* September 30, June 16, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 4,258,815 $ 2,867,199 $ 4,555,022 $ 3,092,111 Net realized gain on investments 1,862,334 1,500,157 12,739,187 2,536,624 Net change unrealized appreciation (depreciation) on investments (151,720) 5,930,487 4,509,788 13,056,165 ----------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 5,969,429 10,297,843 21,803,997 18,684,900 ============================================================================================================================= DIVIDENDS: Net investment income (3,982,318) (2,704,035) (4,447,780) (2,943,539) ----------------------------------------------------------------------------------------------------------------------------- Total dividends (3,982,318) (2,704,035) (4,447,780) (2,943,539) ============================================================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 39,189,129 217,820,154 100,270,313 342,647,539 Cost of shares redeemed (31,869,480) (19,544,480) (105,065,425) (25,054,903) ----------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions 7,319,649 198,275,674 (4,795,112) 317,592,636 ============================================================================================================================= Net Increase in Net Assets 9,306,760 205,869,482 12,561,105 333,333,997 ============================================================================================================================= NET ASSETS: Beginning of period $ 205,874,482 $ 5,000 $ 333,338,997 $ 5,000 End of period $ 215,181,242 $ 205,874,482 $ 345,900,102 $ 333,338,997 ----------------------------------------------------------------------------------------------------------------------------- Undistributed net investment income included in net assets at end of period $ 436,969 $ 160,472 $ 255,814 $ 148,572 ============================================================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 3,550,000 - 5,750,000 - Shares created 650,000 3,900,100 1,650,000 6,200,100 Shares redeemed (550,000) (350,100) (1,750,000) (450,100) ----------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 3,650,000 3,550,000 5,650,000 5,750,000 ============================================================================================================================= * Commencement of investment operations. See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 49 Statements of Changes in Net Assets (concluded) WisdomTree Domestic Dividend Funds WisdomTree Dividend Top 100 Fund ----------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, June 16, 2006* 2007 through (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 3,480,437 $ 2,020,822 Net realized gain on investments 1,032,622 2,147,330 Net change unrealized appreciation (depreciation) on investments 790,988 6,862,215 ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations 5,304,047 11,030,367 ========================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income (3,348,955) (1,882,933) Capital gains - - ----------------------------------------------------------------------------------------- Total dividends and distributions (3,348,955) (1,882,933) ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 43,151,703 220,320,803 Cost of shares redeemed (14,957,907) (41,464,549) ----------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 28,193,796 178,856,254 ========================================================================================= Net Increase in Net Assets 30,148,888 188,003,688 ========================================================================================= NET ASSETS: Beginning of period $ 188,008,688 $ 5,000 End of period $ 218,157,576 $ 188,008,688 ========================================================================================= Undistributed net investment income included in net assets at end of period $ 269,371 $ 137,889 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 3,150,000 - Shares created 700,000 3,900,100 Shares redeemed (250,000) (750,100) ----------------------------------------------------------------------------------------- Shares outstanding, end of period 3,600,000 3,150,000 ========================================================================================= WisdomTree MidCap Dividend Fund WisdomTree SmallCap Dividend Fund ---------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, June 16, 2006* September 30, June 16, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 1,676,201 $ 948,052 $ 2,395,113 $ 1,700,001 Net realized gain on investments 656,247 683,785 790,960 1,060,225 Net change unrealized appreciation (depreciation) on investments (4,320,606) 2,797,244 (7,574,613) 1,522,996 ---------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations (1,988,158) 4,429,081 (4,388,540) 4,283,222 ============================================================================================================================ DIVIDENDS AND DISTRIBUTIONS: Net investment income (1,348,810) (863,134) (2,187,981) (1,374,057) Capital gains - (4,321) - - ---------------------------------------------------------------------------------------------------------------------------- Total dividends and distributions (1,348,810) (867,455) (2,187,981) (1,374,057) ============================================================================================================================ CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 43,253,187 83,384,228 35,496,862 126,413,016 Cost of shares redeemed (11,153,703) (8,617,860) (13,674,459) (17,379,628) ---------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 32,099,484 74,766,368 21,822,403 109,033,388 ============================================================================================================================ Net Increase in Net Assets 28,762,516 78,327,994 15,245,882 111,942,553 ============================================================================================================================ NET ASSETS: Beginning of period $ 78,332,994 $ 5,000 $ 111,947,553 $ 5,000 End of period $ 107,095,510 $ 78,332,994 $ 127,193,435 $ 111,947,553 ============================================================================================================================ Undistributed net investment income included in net assets at end of period $ 412,309 $ 84,918 $ 523,864 $ 316,732 ============================================================================================================================ SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 1,350,000 - 1,950,000 - Shares created 750,000 1,500,100 650,000 2,250,100 Shares redeemed (200,000) (150,100) (250,000) (300,100) ---------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 1,900,000 1,350,000 2,350,000 1,950,000 ============================================================================================================================ * Commencement of investment operations. See Notes to Financial Statements. 50 WisdomTree Domestic Dividend Funds Financial Highlights WisdomTree Domestic Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ----------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 through WisdomTree Total Dividend Fund (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- Net asset value, beginning of period $ 57.87 $ 50.32 ----------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.81 1.18 Net realized and unrealized gain 2.46 7.28 ----------------------------------------------------------------------------------------- Total from investment operations 3.27 8.46 ----------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.79) (0.91) ----------------------------------------------------------------------------------------- Total dividends to shareholders (0.79) (0.91) ----------------------------------------------------------------------------------------- Net asset value, end of period $ 60.35 $ 57.87 ========================================================================================= TOTAL RETURN(3) 5.66% 16.84% ----------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 99,583 $ 89,698 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.28%(4) 0.28%(4) Expenses, prior to expense reimbursements/waivers 0.28%(4) 0.31%(4) Net investment income 2.71%(4) 2.76%(4) ----------------------------------------------------------------------------------------- Portfolio turnover rate(5) 4% 12% ========================================================================================= For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 through WisdomTree High-Yielding Equity Fund (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- Net asset value, beginning of period $ 57.99 $ 50.01 ----------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.11 1.56 Net realized and unrealized gain 0.87 7.54 ----------------------------------------------------------------------------------------- Total from investment operations 1.98 9.10 ----------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (1.02) (1.12) ----------------------------------------------------------------------------------------- Total dividends to shareholders (1.02) (1.12) ----------------------------------------------------------------------------------------- Net asset value, end of period $ 58.95 $ 57.99 ========================================================================================= TOTAL RETURN(3) 3.43% 18.23% ----------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $215,181 $205,874 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements/waivers 0.38%(4) 0.40%(4) Net investment income 3.71%(4) 3.68%(4) ----------------------------------------------------------------------------------------- Portfolio turnover rate(5) 6% 11% ========================================================================================= (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 51 Financial Highlights (continued) WisdomTree Domestic Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 through WisdomTree LargeCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 57.97 $ 50.34 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.77 1.11 Net realized and unrealized gain 3.25 7.32 ------------------------------------------------------------------------------------------- Total from investment operations 4.02 8.43 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.77) (0.80) ------------------------------------------------------------------------------------------- Total dividends to shareholders (0.77) (0.80) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 61.22 $ 57.97 =========================================================================================== TOTAL RETURN(3) 6.94% 16.77% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $345,900 $333,339 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.28%(4) 0.28%(4) Expenses, prior to expense reimbursements/waivers 0.28%(4) 0.29%(4) Net investment income 2.56%(4) 2.65%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 2% 13% =========================================================================================== ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 through WisdomTree Dividend Top 100 Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 59.69 $ 50.12 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.00 1.40 Net realized and unrealized gain 0.86 9.09 ------------------------------------------------------------------------------------------- Total from investments operations 1.86 10.49 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.95) (0.92) ------------------------------------------------------------------------------------------- Total dividends to shareholders (0.95) (0.92) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 60.60 $ 59.69 =========================================================================================== TOTAL RETURN(3) 3.12% 20.99% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $218,158 $188,009 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements/waivers 0.38%(4) 0.40%(4) Net investment income 3.28%(4) 3.29%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 4% 21% =========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. 52 WisdomTree Domestic Dividend Funds Financial Highlights (concluded) WisdomTree Domestic Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 through WisdomTree MidCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 58.02 $ 50.21 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.01 1.45 Net realized and unrealized gain (loss) (1.87) 7.41 ------------------------------------------------------------------------------------------- Total from investment operations (0.86) 8.86 ------------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income (0.79) (1.04) Capital gains - (0.01) ------------------------------------------------------------------------------------------- Total dividends and distributions to shareholders (0.79) (1.05) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 56.37 $ 58.02 =========================================================================================== TOTAL RETURN(3) (1.50)% 17.71% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $107,096 $ 78,333 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements/waivers 0.38%(4) 0.43%(4) Net investment income 3.45%(4) 3.47%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 11% 12% =========================================================================================== ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 through WisdomTree SmallCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 57.41 $ 50.24 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.15 1.79 Net realized and unrealized gain (loss) (3.44) 6.65 ------------------------------------------------------------------------------------------- Total from investments operations (2.29) 8.44 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (1.00) (1.27) ------------------------------------------------------------------------------------------- Total dividends to shareholders (1.00) (1.27) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 54.12 $ 57.41 =========================================================================================== TOTAL RETURN(3) (4.04)% 16.88% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $127,193 $111,948 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements/waivers 0.38%(4) 0.42%(4) Net investment income 4.11%(4) 4.25%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 12% 16% =========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. WisdomTree Domestic Dividend Funds 53 Notes to Financial Statements (unaudited) 1. ORGANIZATION WisdomTree Trust (the "Trust") is registered under the Investment Company Act of 1940, as amended (the "1940 Act"), as an open-end management investment company. The Trust was established as a Delaware statutory trust pursuant to a Trust Instrument dated December 15, 2005. As of September 30, 2007, the Trust offered 38 investment funds (each a "Fund", collectively, the "Funds"). Each Fund is considered to be non-diversified. The Funds commenced operations on June 16, 2006, with the exception of the international dividend sector funds, domestic earnings funds, International Real Estate Fund and Emerging Markets High-Yielding Equity Fund that commenced operations on October 13, 2006, February 23, 2007, June 5, 2007 and July 13, 2007, respectively. These financial statements relate only to the WisdomTree Total Dividend Fund ("Total Dividend Fund"), WisdomTree High-Yielding Equity Fund ("High-Yielding Equity Fund"), WisdomTree LargeCap Dividend Fund ("LargeCap Dividend Fund"), WisdomTree Dividend Top 100 Fund ("Dividend Top 100 Fund"), WisdomTree MidCap Dividend Fund ("MidCap Dividend Fund") and WisdomTree SmallCap Dividend Fund ("SmallCap Dividend Fund") together the "Domestic Dividend Funds". Each Fund seeks investment returns that closely correspond to the price and yield performance, before fees and expenses, of a particular index ("Index") developed by WisdomTree Investments, Inc. ("Wisdom Tree Investments"). Each Index consists of dividend paying securities in the market suggested by its name that meet specific criteria developed by WisdomTree Investments. "WisdomTree", "WisdomTree Investments", and "Dividend Top 100" are service marks of WisdomTree Investments licensed for use by the Trust. WisdomTree Investments has patent applications pending on the methodology and operation of its Indexes and the Funds. In the normal course of business the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds' maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and expect the risk of loss to be remote. The preparation of financial statements in conformity with U.S. Generally Accepted Accounting Principles ("U.S. GAAP"), requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates. 2. SIGNIFICANT ACCOUNTING POLICIES (a) Investment Valuation - The Net Asset Value ("NAV") of each Fund's shares is calculated each day the national securities exchanges are open for trading as of the close of regular trading on the New York Stock Exchange, generally 4:00 p.m. New York time. NAV per share is calculated by dividing a Fund's net assets by the number of Fund shares outstanding. Securities traded on any recognized U.S. or non-U.S. exchange are valued at the last sale price or official closing price on the exchange or system on which they are principally traded. Unlisted equity securities are valued at the last quoted sale price or, if no sale price is available, at the mean between the most recently quoted bid and asked prices. Securities for which market quotations are not readily available are valued at fair value as determined by management and in accordance with procedures approved by the Board of Trustees. Short-term securities with 60 days or less remaining to maturity are valued using the amortized cost method, which approximates current market value. (b) Investment Transactions - Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. (c) Investment Income - Dividend income is recognized on the ex-dividend date. Interest income is accrued daily. The value of additional securities received as dividend payments is recorded as income and as an increase to the cost basis of such securities. (d) Expenses/Reimbursements - WisdomTree Asset Management ("WTAM") has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust's chief compliance officer; (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM. Pursuant to a separate contractual arrangement, WTAM has paid the expenses described in (iii), (iv) and (v) through July 31, 2007. (e) Security Lending - Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds' securities lending agent. The loans are collateralized at all times by cash and/or high grade debt obligations in an amount at least equal to 54 WisdomTree Domestic Dividend Funds Notes to Financial Statements (unaudited) (continued) 102% of the market value of domestic securities loaned (105% in the case of foreign securities loaned) as determined at the close of business on the preceding business day. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash or U.S. government securities held as collateral, net of fee rebates paid to the borrower plus reasonable administrative and custody fees. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any dividends or interest received on loaned securities. The Funds retain all or a portion of the interest received on investment of cash collateral or receives a fee from the borrower. Lending portfolio securities could result in a loss or delay in recovering each Fund's securities if the borrower defaults. The securities lending income earned by the Funds is disclosed on the Statements of Operations. (f) Tax Information and Dividends and Distributions to Shareholders - It is each Fund's policy to comply with all requirements of the Internal Revenue Code of 1986, as amended ("the Code"). Each Fund intends to qualify for and to elect treatment as a separate Regulated Investment Company ("RIC") under Subchapter M of the Code. It is the policy of each Fund to pay out dividends, if any, to investors at least annually. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. The Funds may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains are determined in accordance with Federal income tax regulations which may differ from U.S. GAAP. These "book/tax" differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions, which exceed earnings and profit for tax purposes, are reported as a tax return of capital. The Funds adopted the provisions of Financial Accounting Standards Board (FASB) Interpretation No. 48, Accounting for Uncertainty in Income Taxes. This interpretation prescribes a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. Foreign taxes are provided for based on each Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests. Taxes are accrued and applied to net investment income, net realized capital gains and net unrealized appreciation, as applicable, as the income is earned or capital gains are recorded. If applicable, the Funds will recognize interest accrued related to unrecognized tax benefits in interest expense and penalties in "Other" expenses on the Statements of Operations. Management has evaluated the application of FIN 48 to the Funds, and has determined that there is no impact resulting from the adoption of this interpretation on the Funds' financial statements. (g) Short-Term Investments - Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments in which a Fund may invest include short-term obligations issued by the U.S. Government, negotiable certificates of deposit ("CDs"), fixed time deposits and bankers' acceptances of U.S. and foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker's acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions. WisdomTree Domestic Dividend Funds 55 Notes to Financial Statements (unaudited) (continued) 3. ADVISER FEES AND TRANSACTIONS Adviser Fees - WTAM provides investment management services to each Fund pursuant to an Investment Advisory Agreement between the Trust and WTAM. As compensation for services rendered, facilities furnished, and expenses borne by WTAM, each Fund pays WTAM a fee, as listed below, which is accrued daily and paid monthly, based on the average daily net assets of the Fund. -------------------------------------------------------------------------- Fund Fee Rate -------------------------------------------------------------------------- Total Dividend Fund 0.28% -------------------------------------------------------------------------- High-Yielding Equity Fund 0.38% -------------------------------------------------------------------------- LargeCap Dividend Fund 0.28% -------------------------------------------------------------------------- Dividend Top 100 Fund 0.38% -------------------------------------------------------------------------- MidCap Dividend Fund 0.38% -------------------------------------------------------------------------- SmallCap Dividend Fund 0.38% -------------------------------------------------------------------------- Each Fund may purchase shares of an affiliated exchange traded fund(s) in secondary market transactions. For the six months ended September 30, 2007, there were no transactions in affiliated ETFs. Pursuant to a separate contractual arrangement, effective August 1, 2007, WTAM has arranged for the provision of chief compliance officer ("CCO") services to the Trust, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees, in exchange for a fee paid by each Fund of up to 0.0044% of the Fund's average daily net assets. 4. CAPITAL SHARE TRANSACTIONS As of September 30, 2007, there was an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in Creation Units or multiples thereof. Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of Creation Units of a Fund generally consists of the in-kind contribution of a designated portfolio of equity securities constituting a portfolio sampling representation of the securities included in the relevant Fund's underlying index and an amount of cash. Investors purchasing and redeeming Creation Units may be charged a purchase transaction fee and a redemption transaction fee to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units. 5. INVESTMENT PORTFOLIO TRANSACTIONS Purchases and sales of investments (excluding in-kind purchases and redemptions and short-term investments) for the six months ended September 30, 2007 were as follows: ------------------------------------------------------------ Fund Purchases Sales ------------------------------------------------------------ Total Dividend Fund $ 3,402,134 $ 3,638,396 ------------------------------------------------------------ High-Yielding Equity Fund 12,875,916 12,863,048 ------------------------------------------------------------ LargeCap Dividend Fund 7,893,847 8,690,854 ------------------------------------------------------------ Dividend Top 100 Fund 8,107,640 8,126,747 ------------------------------------------------------------ MidCap Dividend Fund 10,519,906 10,880,151 ------------------------------------------------------------ SmallCap Dividend Fund 13,695,826 13,825,924 ------------------------------------------------------------ For the six months ended September 30, 2007, the cost of in-kind purchases and the proceeds from in-kind redemptions were as follows: Fund Purchases Redemptions ------------------------------------------------------------ Total Dividend Fund $ 15,178,738 $ 9,085,603 ------------------------------------------------------------ High-Yielding Equity Fund 39,005,945 31,675,262 ------------------------------------------------------------ LargeCap Dividend Fund 100,016,182 104,465,948 ------------------------------------------------------------ Dividend Top 100 Fund 43,008,415 14,861,007 ------------------------------------------------------------ MidCap Dividend Fund 43,058,881 11,052,590 ------------------------------------------------------------ SmallCap Dividend Fund 35,225,928 13,606,838 ------------------------------------------------------------ 56 WisdomTree Domestic Dividend Funds Notes to Financial Statements (unaudited) (concluded) Gains and losses on in-kind redemptions are not recognized at the Fund level for tax purposes. 6. FEDERAL INCOME TAXES At September 30, 2007, the cost of investments (including securities on loan) for Federal income tax purposes was substantially the same as for book purposes, as indicated below: --------------------------------------------------------------------------------------------------- Net Unrealized Gross Unrealized Gross Unrealized Appreciation Fund Tax Cost Appreciation Depreciation (Depreciation) --------------------------------------------------------------------------------------------------- Total Dividend Fund $ 94,728,550 $ 9,719,768 $ (2,789,761) $6,930,007 --------------------------------------------------------------------------------------------------- High-Yielding Equity Fund 221,753,884 15,250,733 (9,471,966) 5,778,767 --------------------------------------------------------------------------------------------------- LargeCap Dividend Fund 338,169,062 28,011,123 (10,445,170) 17,565,953 --------------------------------------------------------------------------------------------------- Dividend Top 100 Fund 227,895,971 15,689,222 (8,036,019) 7,653,203 --------------------------------------------------------------------------------------------------- MidCap Dividend Fund 116,257,484 4,863,359 (6,386,721) (1,523,362) --------------------------------------------------------------------------------------------------- SmallCap Dividend Fund 146,980,220 5,511,025 (11,562,642) (6,051,617) --------------------------------------------------------------------------------------------------- 7. NEW ACCOUNTING PRONOUNCEMENTS On September 15, 2006, the FASB released Statement of Financial Accounting Standards No. 157, Fair Value Measurements ("FAS 157") which provides enhanced guidance for measuring fair value. The standard requires companies to provide expanded information about the assets and liabilities measured at fair value and the potential effect of these fair valuations on an entity's financial performance. The standard does not expand the use of fair value in any new circumstances, but provides clarification on acceptable fair valuation methods and applications. Adoption of FAS 157 is required for fiscal years beginning after November 15, 2007 and interim periods within those fiscal years. At this time, management does not believe the adoption of FAS 157 will impact the amounts reported in the financial statements; however, additional disclosures will be required about the inputs used to develop the measurements of fair value and the effect of certain measurements reported in the Statements of Operations for the fiscal period. 8. SUBSEQUENT EVENT Effective October 30, 2007, the Trust launched the WisdomTree Emerging Markets SmallCap Dividend Fund (DGS). The Fund has an expense ratio of 0.63%. WisdomTree Domestic Dividend Funds 57 Frequency Distribution of Discounts & Premiums (unaudited) The chart below presents information about differences between the per share net asset value ("NAV") of each Fund and the market trading price of shares of each Fund. For these purposes, the "market price" is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. The term "premium" is sometimes used to describe a market price in excess of NAV and the term "discount" is sometimes used to describe a market price below NAV. The chart presents information about the size and frequency of premiums or discounts. As with other exchange traded funds, the market price of Fund shares is typically slightly higher or lower than the Fund's per share NAV. Factors that contribute to the differences between market price and NAV include the supply and demand for Fund shares and investors' assessments of the underlying value of a Fund's portfolio securities. ------------------------------------------------------------------------------------------------------- Market Price Above or Market Price Below Equal to Net Asset Value Net Asset Value ------------------------------------------------------------------------------------------------------- Basis Point Number Percentage of Number Percentage Differential of Days Total Days of Days of Total Days ------------------------------------------------------------------------------------------------------- WisdomTree Total Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 57 45.24% 67 53.18% ---------------------------------------------------------------------- 25 - 49.9 1 0.79% 1 0.79% ---------------------------------------------------------------------- 50 - 74.9 0 0.00% 0 0.00% ---------------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- > 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- Total 58 46.03% 68 53.97% ======================================================================================================= WisdomTree High-Yielding Equity Fund April 1, 2007 - September 30, 2007 0 - 24.9 54 42.86% 69 54.76% ---------------------------------------------------------------------- 25 - 49.9 2 1.59% 1 0.79% ---------------------------------------------------------------------- 50 - 74.9 0 0.00% 0 0.00% ---------------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- > 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- Total 56 44.45% 70 55.55% ======================================================================================================= WisdomTree LargeCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 64 50.80% 49 38.89% ---------------------------------------------------------------------- 25 - 49.9 6 4.76% 3 2.38% ---------------------------------------------------------------------- 50 - 74.9 1 0.79% 1 0.79% ---------------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- > 100.0 2 1.59% 0 0.00% ---------------------------------------------------------------------- Total 73 57.94% 53 42.06% ======================================================================================================= WisdomTree Dividend Top 100 Fund April 1, 2007 - September 30, 2007 0 - 24.9 54 42.86% 54 42.86% ---------------------------------------------------------------------- 25 - 49.9 13 10.31% 2 1.59% ---------------------------------------------------------------------- 50 - 74.9 0 0.00% 0 0.00% ---------------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- > 100.0 2 1.59% 1 0.79% ---------------------------------------------------------------------- Total 69 54.76% 57 45.24% ======================================================================================================= WisdomTree MidCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 72 57.14% 51 40.48% ---------------------------------------------------------------------- 25 - 49.9 0 0.00% 1 0.79% ---------------------------------------------------------------------- 50 - 74.9 0 0.00% 0 0.00% ---------------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- > 100.0 2 1.59% 0 0.00% ---------------------------------------------------------------------- Total 74 58.73% 52 41.27% ======================================================================================================= WisdomTree SmallCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 70 55.56% 53 42.06% ---------------------------------------------------------------------- 25 - 49.9 0 0.00% 3 2.38% ---------------------------------------------------------------------- 50 - 74.9 0 0.00% 0 0.00% ---------------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- > 100.0 0 0.00% 0 0.00% ---------------------------------------------------------------------- Total 70 55.56% 56 44.44% ======================================================================================================= 58 WisdomTree Domestic Dividend Funds General Information (unaudited) Proxy Voting Policies, Procedures and Record A description of the policies and procedures that the Trust uses to determine how to vote proxies related to each Fund's portfolio securities, and information on how the Trust voted proxies during the period ended June 30, 2007, is available without charge, upon request, (i) by calling 1-866-909-WISE; (ii) on the Trust's website at www.wisdomtree.com; and (iii) on the Securities and Exchange Commission's ("SEC") website at www.sec.gov. Shareholder Reports and Quarterly Portfolio Disclosure The Funds are required to file their complete schedule of portfolio holdings with the SEC for their first and third quarters on Form N-Q. Copies of the filings are available without charge, upon request on the SEC's website at www.sec.gov and are available by calling the Trust at 1-866-909-WISE. You can also obtain copies of Form N-Q by (i) visiting the SEC's Public Reference Room in Washington, DC (information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330); (ii) sending your request and a duplicating fee to the SEC's Public Reference Room, Washington, DC 20549-0102; or (iii) sending your request electronically to publicinfosec.gov. Information about each Fund's portfolio holdings is available daily at www.wisdomtree.com. The Fund's Statement of Additional Information ("SAI") has additional information about the Funds' Trustees and Officers and is available without charge upon request. Contact your financial representative for a free prospectus or SAI. WisdomTree Domestic Dividend Funds 59 The WisdomTree Trust Investment Adviser WisdomTree Asset Management, Inc. 48 Wall Street, Suite 1100 New York, NY 10005 Investment Sub-Adviser BNY Investment Advisors 1633 Broadway New York, NY 10019 Administrator, Custodian & Transfer Agent The Bank of New York 101 Barclay Street New York, NY 10286 Distributor ALPS Distributors, Inc. 1290 Broadway Suite 1100 Denver, CO 80203 Independent Registered Public Accounting Firm Ernst & Young LLP 5 Times Square New York, NY 10036 Legal Counsel Ropes & Gray LLP 1211 Avenue of the Americas New York, NY 10036 The WisdomTree Family of Funds The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols as of September 30, 2007: WisdomTree Domestic Dividend Funds WisdomTree Total Dividend Fund (DTD) WisdomTree High-Yielding Equity Fund (DHS) WisdomTree LargeCap Dividend Fund (DLN) WisdomTree Dividend Top 100 Fund (DTN) WisdomTree MidCap Dividend Fund (DON) WisdomTree SmallCap Dividend Fund (DES) WisdomTree International Dividend Funds WisdomTree DEFA Fund (DWM) WisdomTree DEFA High-Yielding Equity Fund (DTH) WisdomTree Europe Total Dividend Fund (DEB) WisdomTree Europe High-Yielding Equity Fund (DEW) WisdomTree Europe SmallCap Dividend Fund (DFE) WisdomTree Japan Total Dividend Fund (DXJ) WisdomTree Japan High-Yielding Equity Fund (DNL) WisdomTree Japan SmallCap Dividend Fund (DFJ) WisdomTree Pacific ex-Japan Total Dividend Fund (DND) WisdomTree Pacific ex-Japan High-Yielding Equity Fund (DNH) WisdomTree International LargeCap Dividend Fund (DOL) WisdomTree International Dividend Top 100 Fund (DOO) WisdomTree International MidCap Dividend Fund (DIM) WisdomTree International SmallCap Dividend Fund (DLS) WisdomTree International Real Estate Fund (DRW) WisdomTree Emerging Markets High-Yielding Equity Fund (DEM) WisdomTree International Dividend Sector Funds WisdomTree International Basic Materials Sector Fund (DBN) WisdomTree International Communications Sector Fund (DGG) WisdomTree International Consumer Cyclical Sector Fund (DPC) WisdomTree International Consumer Non-Cyclical Sector Fund (DPN) WisdomTree International Energy Sector Fund (DKA) WisdomTree International Financial Sector Fund (DRF) WisdomTree International Health Care Sector Fund (DBR) WisdomTree International Industrial Sector Fund (DDI) WisdomTree International Technology Sector Fund (DBT) WisdomTree International Utilities Sector Fund (DBU) WisdomTree Domestic Earnings Funds WisdomTree Total Earnings Fund (EXT) WisdomTree Earnings 500 Fund (EPS) WisdomTree MidCap Earnings Fund (EZM) WisdomTree SmallCap Earnings Fund (EES) WisdomTree Earnings Top 100 Fund (EEZ) WisdomTree Low P/E Fund (EZY) The WisdomTree Funds are exchange traded funds ("ETFs") registered with the United States Securities and Exchange Commission ("SEC") as series of WisdomTree Trust ("Trust"). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree Investments, Inc., serves as the investment adviser to the WisdomTree Trust. None of the WisdomTree entities are affiliated with ALPS Distributors, Inc., the Funds' distributor. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, or delays, or for any actions taken in reliance on information contained herein. Investors should consider the investment objectives, risks, charges and expenses of the funds carefully before investing. A prospectus, containing this and other information, is available at www.wisdomtree.com, or by calling 1-866-909-WISE (9473). Investors should read the prospectus carefully before investing. There are risks associated with investing, including possible loss of principal. Past performance does not guarantee future results. Indexes are unmanaged and you can not invest directly in an index. In addition to the normal risks associated with investing, foreign investing involves special risks, such as risk of loss from currency fluctuation or political or economic uncertainty. Funds focusing on a single country, sector, and/or funds that emphasize investments in smaller companies may experience greater price volatility. Investments in real estate involve additional special risks, such as credit risk, interest rate fluctuations and the effect of varied economic conditions. Transactions in fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the funds only in large amounts of 50,000 shares or more. [LOGO] WISDOMTREE Fundamental ETFs 48 Wall Street, Suite 1100 New York, NY 10005 1.866.909.WISE (9473) www.wisdomtree.com WisdomTree Domestic Dividend ETFs WisdomTree Total Dividend Fund WisdomTree High-Yielding Equity Fund WisdomTree LargeCap Dividend Fund WisdomTree Dividend Top 100(SM) Fund WisdomTree MidCap Dividend Fund WisdomTree SmallCap Dividend Fund WisdomTree Fund shares are distributed by ALPS Distributors, Inc. WIS000884 (11/2008) [LOGO] WISDOMTREE Fundamental ETFs WisdomTree Trust Domestic Earnings Funds -------------------------------------------------------------------------------- Semi-Annual Report September 30, 2007 WisdomTree Total Earnings Fund WisdomTree Earnings 500 Fund WisdomTree MidCap Earnings Fund WisdomTree SmallCap Earnings Fund WisdomTree Earnings Top 100 Fund WisdomTree Low P/E Fund Table of Contents Letter to Shareholders ................................. 1 Performance Summaries .................................. 3 Shareholder Expense Examples ........................... 9 Schedules of Investments WisdomTree Total Earnings Fund ........................ 11 WisdomTree Earnings 500 Fund .......................... 23 WisdomTree MidCap Earnings Fund ....................... 30 WisdomTree SmallCap Earnings Fund ..................... 39 WisdomTree Earnings Top 100 Fund ...................... 50 WisdomTree Low P/E Fund ............................... 52 Statements of Assets and Liabilities ................... 57 Statements of Operations ............................... 58 Statements of Changes in Net Assets .................... 59 Financial Highlights ................................... 61 Notes to the Financial Statements ...................... 64 Frequency Distribution of Discounts & Premiums ......... 68 General Information .................................... 69 "WisdomTree", "WisdomTree Investments" and "Dividend Top 100" are service marks of WisdomTree Investments, Inc. and are licensed for use by the Trust. Letter to Shareholders Dear Shareholders: It is a pleasure to report to you on the progress of the WisdomTree Trust for the six-month period ended September 30, 2007. WisdomTree is committed to providing investors with viable alternatives to cap-weighted index funds. Two recent launches underscore our intention to serve investors in unique ways. In June, the company launched the first fundamentally weighted international real estate exchange traded fund (DRW). In July, WisdomTree listed the first fundamentally weighted emerging markets ETF (DEM), comprised of dividend-paying companies selected from 19 emerging market nations. When combined with WisdomTree's 14 developed market ETFs and 10 pure non-U.S. sector ETFs, our international offerings stood at 26 as of September 30, 2007, distinguishing WisdomTree's international line-up as one of the most comprehensive in the industry today. As of September 30, 2007, WisdomTree Trust assets totaled $4.4 billion, with approximately 71% of total assets under management invested in WisdomTree's international product set. The highest returns over this six-month period were generated outside the U.S. Equity markets in the Pacific region excluding Japan showed the greatest strength relative to other parts of the developed market, while Japanese equity markets continued to lag. WisdomTree's best-performing fund was its Pacific ex-Japan Total Dividend Fund (DND), which returned 24.40% for the six-month period ended September 30, 2007. The WisdomTree Japan High-Yielding Equity Fund (DNL), which lost 5.74% for the period, was WisdomTree's worst performing fund over this time frame. However, WisdomTree's broadest international ETF, the WisdomTree DEFA Fund (DWM), benefited from Japan's relative weakness. DWM, which is underweight Japanese stocks relative to the MSCI EAFE Index, returned 10.63% for the period, surpassing the MSCI EAFE Index by 1.91 percentage points for the six-month period ended September 30, 2007.* On the domestic front, WisdomTree's fundamentally-weighted ETFs ran into two head winds: weakness in the financial and real estate industries, coupled with the re-emergence of growth stocks. Buffeted by investor concerns over exposure to sub-prime housing loans, financial stocks have been the worst performing sector of the U.S. economy in 2007. The weakness in financials contributed to value stocks, measured by the Russell 3000 Value Index, underperforming growth stocks, measured by the Russell 3000 Growth Index, for first time since 1999. Specific performance information for WisdomTree's funds, relative to their underlying WisdomTree index and a comparable benchmark, is provided in the pages that follow. Thank you for your continued support. Best regards, /s/ Jonathan Steinberg Jonathan Steinberg President, WisdomTree Trust CEO, WisdomTree Asset Management, Inc. The sources and forecasts expressed are as of September 30, 2007 and may not actually come to pass. This information is subject to change at any time based on market and other conditions and should not be construed as a recommendation of any specific security. Mr. Steinberg is a registered representative of ALPS Distributors, Inc. * Performance Information for the MSCI EAFE Index assumed the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. WisdomTree Domestic Earnings Funds 1 Letter to Shareholders (concluded) Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI's express written consent. The MSCI EAFE Index is a market cap-weighted index composed of company's representative of the developed market structure of 21 developed countries in Europe, Australasia and Japan. The Russell 3000 Value Index measures the performance of those Russell 3000 Index companies with lower price-to-book ratios and lower forecasted growth values. The Russell 3000 Growth Index measures the performance of those Russell 3000 Index companies with higher price-to-book ratios and higher forecasted growth values. 2 WisdomTree Domestic Earnings Funds Performance Summary WisdomTree Total Earnings Fund Sector Breakdown+ as of 9/30/07++ -------------------------------------- [PIE CHART] Financials 22.8% Energy 16.7% Industrials 11.6% Technology 10.8% Consumer Discretionary 9.3% Health Care 9.2% Consumer Staples 8.8% Materials 4.3% Utilities 3.8% Telecommunication Services 2.7% -------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------ Description % of Net Assets ------------------------------------------ Exxon Mobil Corp. 5.1% ------------------------------------------ Chevron Corp. 2.3% ------------------------------------------ General Electric Co. 2.2% ------------------------------------------ ConocoPhillips 2.0% ------------------------------------------ Bank of America Corp. 2.0% ------------------------------------------ Citigroup, Inc. 1.9% ------------------------------------------ Microsoft Corp. 1.3% ------------------------------------------ Pfizer, Inc. 1.2% ------------------------------------------ AT&T, Inc. 1.2% ------------------------------------------ JPMorgan Chase & Co. 1.2% ------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Total Earnings Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree Earnings Index. The WisdomTree Total Earnings Fund (EXT) returned 6.95% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Energy contributed most significantly to this performance; the sector comprised on average 15.35% of the Fund and returned 22.28% over the period. Exxon Mobil Corp. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.28%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------------ Cumulative Total Return ------------------------------------------------------------------------------------------------ WisdomTree Net Asset Value Market Price Earnings Index Russell 3000 Index ------------------------------------------------------------------------------------------------ Six Months 6.95% 6.95% 6.93% 7.40% ------------------------------------------------------------------------------------------------ Since Inception(1) 5.04% 5.02% 5.02% 5.16% ------------------------------------------------------------------------------------------------ (1) Total returns are calculated based on the commencement of trading on the AMEX on February 23, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree Domestic Earnings Funds 3 Performance Summary WisdomTree Earnings 500 Fund Sector Breakdown+ as of 9/30/07++ -------------------------------------- [PIE CHART] Financials 23.1% Energy 17.9% Industrials 11.0% Technology 10.7% Health Care 9.5% Consumer Staples 9.5% Consumer Discretionary 8.1% Utilities 3.7% Materials 3.5% Telecommunication Services 3.0% -------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------- Description % of Net Assets ------------------------------------------------- Exxon Mobil Corp. 5.9% ------------------------------------------------- Chevron Corp. 2.7% ------------------------------------------------- General Electric Co. 2.6% ------------------------------------------------- ConocoPhillips 2.5% ------------------------------------------------- Bank of America Corp. 2.3% ------------------------------------------------- Citigroup, Inc. 2.2% ------------------------------------------------- Microsoft Corp. 1.6% ------------------------------------------------- American International Group, Inc. 1.4% ------------------------------------------------- Pfizer, Inc. 1.4% ------------------------------------------------- AT&T, Inc. 1.4% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Earnings 500 Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree Earnings 500 Index. The WisdomTree Earnings 500 Fund (EPS) returned 7.85% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Energy contributed most significantly to this performance; the sector comprised on average 16.49% of the Fund and returned 23.07% over the period. Exxon Mobil Corp. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.28%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Cumulative Total Return ---------------------------------------------------------------------------------------- WisdomTree Earnings 500 Net Asset Value Market Price Index S&P 500 Index ---------------------------------------------------------------------------------------- Six Months 7.85% 7.80% 8.03% 8.44% ---------------------------------------------------------------------------------------- Since Inception(1) 6.05% 6.05% 6.26% 6.35% ---------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the AMEX on February 23, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 4 WisdomTree Domestic Earnings Funds Performance Summary WisdomTree MidCap Earnings Fund Sector Breakdown+ as of 9/30/07++ -------------------------------------- [PIE CHART] Financials 19.7% Consumer Discretionary 17.4% Industrials 14.5% Technology 10.5% Materials 10.2% Energy 9.9% Health Care 7.5% Utilities 5.5% Consumer Staples 4.3% Telecommunication Services 0.5% -------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------- Description % of Net Assets -------------------------------------------------- Rite Aid Corp. 1.1% -------------------------------------------------- Florida Rock Industries, Inc. 0.6% -------------------------------------------------- Patterson-UTI Energy, Inc. 0.6% -------------------------------------------------- Reliance Steel & Aluminum Co. 0.6% -------------------------------------------------- Goodyear Tire & Rubber Co. (The) 0.6% -------------------------------------------------- Steel Dynamics, Inc. 0.5% -------------------------------------------------- Western Digital Corp. 0.5% -------------------------------------------------- Cleveland-Cliffs, Inc. 0.5% -------------------------------------------------- Frontier Oil Corp. 0.5% -------------------------------------------------- Allied Capital Corp. 0.5% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree MidCap Earnings Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree MidCap Earnings Index. The WisdomTree MidCap Earnings Fund (EZM) returned 1.44% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Energy contributed most significantly to this performance; the sector comprised on average 9.41% of the Fund and returned 14.08% over the period. Western Digital Corp. was the top contributor to the performance for the period. Consumer Discretionary was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Cumulative Total Return ----------------------------------------------------------------------------------------- WisdomTree MidCap Earnings S&P MidCap Net Asset Value Market Price Index 400 Index ----------------------------------------------------------------------------------------- Six Months 1.44% 1.25% 1.41% 4.92% ----------------------------------------------------------------------------------------- Since Inception(1) (0.97)% (0.93)% (0.91)% 2.74% ----------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the AMEX on February 23, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree Domestic Earnings Funds 5 Performance Summary WisdomTree SmallCap Earnings Fund Sector Breakdown+ as of 9/30/07++ -------------------------------------- [PIE CHART] Financials 23.7% Industrials 21.4% Consumer Discretionary 15.9% Technology 13.5% Health Care 7.3% Energy 6.3% Materials 5.5% Consumer Staples 3.2% Utilities 1.8% Telecommunication Services 1.4% -------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 -------------------------------------------------- Description % of Net Assets -------------------------------------------------- Encore Wire Corp. 0.7% -------------------------------------------------- Champion Enterprises, Inc. 0.6% -------------------------------------------------- Visteon Corp. 0.6% -------------------------------------------------- Plexus Corp. 0.5% -------------------------------------------------- Ocwen Financial Corp. 0.5% -------------------------------------------------- Metal Management, Inc. 0.5% -------------------------------------------------- Brookfield Homes Corp. 0.5% -------------------------------------------------- Omnivision Technologies, Inc. 0.4% -------------------------------------------------- Imergent, Inc. 0.4% -------------------------------------------------- PolyOne Corp. 0.4% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree SmallCap Earnings Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree SmallCap Earnings Index. The WisdomTree SmallCap Earnings Fund (EES) returned -3.87% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Technology contributed most significantly to this performance; the sector comprised on average 12.55% of the Fund and returned 9.90% over the period. Plexus Corp. was the top contributor to the performance for the period. Consumer Discretionary was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------------ Cumulative Total Return ------------------------------------------------------------------------------------------------ WisdomTree SmallCap Net Asset Value Market Price Earnings Index Russell 2000 Index ------------------------------------------------------------------------------------------------ Six Months (3.87)% (3.99)% (3.79)% 1.19% ------------------------------------------------------------------------------------------------ Since Inception(1) (7.63)% (7.89)% (7.50)% (1.83)% ------------------------------------------------------------------------------------------------ (1) Total returns are calculated based on the commencement of trading on the AMEX on February 23, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 6 WisdomTree Domestic Earnings Funds Performance Summary WisdomTree Earnings Top 100 Fund Sector Breakdown+ as of 9/30/07++ -------------------------------------- [PIE CHART] Financials 31.5% Energy 24.0% Industrials 12.8% Materials 9.8% Consumer Discretionary 6.2% Utilities 5.0% Consumer Staples 3.9% Health Care 3.6% Technology 2.4% Telecommunication Services 0.8% -------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 --------------------------------------------- Description % of Net Assets --------------------------------------------- Southern Copper Corp. 2.7% --------------------------------------------- Freeport-McMoRan Copper & Gold, Inc. 2.3% --------------------------------------------- Valero Energy Corp. 2.2% --------------------------------------------- Marathon Oil Corp. 2.0% --------------------------------------------- ConocoPhillips 1.9% --------------------------------------------- Anadarko Petroleum Corp. 1.9% --------------------------------------------- Hess Corp. 1.8% --------------------------------------------- Apache Corp. 1.8% --------------------------------------------- Chesapeake Energy Corp. 1.6% --------------------------------------------- Chevron Corp. 1.5% --------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Earnings Top 100 Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree Earnings Top 100 Index. The WisdomTree Earnings Top 100 Fund (EEZ) returned 6.88% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Energy contributed most significantly to this performance; the sector comprised on average 22.34% of the Fund and returned 18.96% over the period. Southern Copper Corp. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Cumulative Total Return ---------------------------------------------------------------------------------------- WisdomTree Earnings Top Russell 1000 Net Asset Value Market Price 100 Index Value Index ---------------------------------------------------------------------------------------- Six Months 6.88% 6.86% 7.11% 4.67% ---------------------------------------------------------------------------------------- Since Inception(1) 5.39% 5.50% 5.65% 3.31% ---------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the AMEX on February 23, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree Domestic Earnings Funds 7 Performance Summary WisdomTree Low P/E Fund Sector Breakdown+ as of 9/30/07++ -------------------------------------- [PIE CHART] Financials 32.2% Energy 27.1% Industrials 7.5% Consumer Discretionary 6.7% Consumer Staples 5.9% Health Care 5.8% Materials 5.3% Technology 4.5% Utilities 3.0% Telecommunication Services 2.0% -------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------ Description % of Net Assets ------------------------------------------ Exxon Mobil Corp. 8.9% ------------------------------------------ Chevron Corp. 4.1% ------------------------------------------ ConocoPhillips 3.6% ------------------------------------------ Bank of America Corp. 3.4% ------------------------------------------ Citigroup, Inc. 3.3% ------------------------------------------ JPMorgan Chase & Co. 2.1% ------------------------------------------ Pfizer, Inc. 2.1% ------------------------------------------ American International Group, Inc. 2.1% ------------------------------------------ Wal-Mart Stores, Inc. 2.0% ------------------------------------------ International Business Machines Corp. 2.0% ------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Low P/E Fund seeks investment results that correspond to the price and yield performance, before fees and expenses, of the WisdomTree Low P/E Index. The WisdomTree Low P/E Fund (EZY) returned 5.74% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Energy contributed most significantly to this performance; the sector comprised on average 24.61% of the Fund and returned 21.88% over the period. Exxon Mobil Corp. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.38%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------- Cumulative Total Return ------------------------------------------------------------------------------------------- WisdomTree Low Russsell 1000 Net Asset Value Market Price P/E Index Value Index ------------------------------------------------------------------------------------------- Six Months 5.74% 5.96% 5.72% 4.67% ------------------------------------------------------------------------------------------- Since Inception(1) 3.95% 4.25% 3.86% 3.31% ------------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the AMEX on February 23, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 8 WisdomTree Domestic Earnings Funds Shareholder Expense Examples (unaudited) As a shareholder of a WisdomTree Fund, you incur two types of costs: (1) transaction costs, including brokerage commissions on purchases and sales of your Fund shares and (2) ongoing costs, including management fees and other Fund expenses. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds. The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from April 1, 2007 to September 30, 2007. Actual expenses The first line under each Fund in the table on the next page provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line for your Fund under the heading entitled "Expenses Paid During Period 4/01/07 to 9/30/07" to estimate the expenses you paid on your account during this period. Hypothetical example for comparison purposes The second line under each Fund in the table on the next page provides information about hypothetical account values and hypothetical expenses based on each Fund's actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund's actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds. Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher. WisdomTree Domestic Earnings Funds 9 Shareholder Expense Examples (unaudited) (concluded) ------------------------------------------------------------------------------------------------------------------- Annualized Expense Ratio Expenses Paid Based on the During the Beginning Ending Period Period+ Account Value Account Value 4/01/07 to 4/01/07 to 4/01/07 9/30/07 9/30/07 9/30/07 ------------------------------------------------------------------------------------------------------------------- WisdomTree Total Earnings Fund Actual $ 1,000.00 $ 1,069.53 0.28% $ 1.46 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.59 0.28% $ 1.42 ------------------------------------------------------------------------------------------------------------------- WisdomTree Earnings 500 Fund Actual $ 1,000.00 $ 1,078.52 0.28% $ 1.47 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.59 0.28% $ 1.43 ------------------------------------------------------------------------------------------------------------------- WisdomTree MidCap Earnings Fund Actual $ 1,000.00 $ 1,014.36 0.38% $ 1.93 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- WisdomTree SmallCap Earnings Fund Actual $ 1,000.00 $ 961.35 0.38% $ 1.87 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- WisdomTree Earnings Top 100 Fund Actual $ 1,000.00 $ 1,068.78 0.38% $ 1.97 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- WisdomTree Low P/E Fund Actual $ 1,000.00 $ 1,057.38 0.38% $ 1.96 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,023.09 0.38% $ 1.93 ------------------------------------------------------------------------------------------------------------------- + Expenses are calculated using each Fund's annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/366 (to reflect one-half year period). 10 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) WisdomTree Total Earnings Fund September 30, 2007 ------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------ COMMON STOCKS - 99.6% Aerospace & Defense - 2.4% Alliant Techsystems, Inc.* 49 $ 5,356 BE Aerospace, Inc.* 147 6,105 Boeing Co. (The) 560 58,794 Curtiss-Wright Corp. 119 5,653 DRS Technologies, Inc. 83 4,575 General Dynamics Corp. 413 34,886 Goodrich Corp. 196 13,373 Hexcel Corp.* 231 5,246 Honeywell International, Inc. 945 56,199 L-3 Communications Holdings, Inc. 133 13,585 Lockheed Martin Corp. 504 54,679 Moog, Inc. Class A* 112 4,921 Northrop Grumman Corp. 385 30,030 Precision Castparts Corp. 112 16,574 Raytheon Co. 511 32,612 Rockwell Collins, Inc. 140 10,226 United Technologies Corp. 1,064 85,630 ------- Total Aerospace & Defense 438,444 ------------------------------------------------------------------------ Air Freight & Logistics - 0.7% C.H. Robinson Worldwide, Inc. 112 6,080 Expeditors International Washington, Inc. 112 5,298 FedEx Corp. 308 32,263 United Parcel Service Inc. Class B 1,015 76,227 ------- Total Air Freight & Logistics 119,868 ------------------------------------------------------------------------ Airlines - 0.1% Continental Airlines, Inc. Class B* 120 3,964 ExpressJet Holdings, Inc.* 150 464 Pinnacle Airlines Corp.* 92 1,474 Republic Airways Holdings, Inc.* 12 254 Skywest, Inc. 161 4,052 Southwest Airlines Co. 623 9,220 US Airways Group, Inc.* 77 2,021 ------- Total Airlines 21,449 ------------------------------------------------------------------------ Auto Components - 0.4% ArvinMeritor, Inc. 24 404 Autoliv, Inc. 138 8,246 BorgWarner, Inc. 78 7,139 Gentex Corp. 245 5,253 Goodyear Tire & Rubber Co. (The)* 315 9,579 Johnson Controls, Inc. 238 28,109 Sauer-Danfoss, Inc. 112 2,988 Spartan Motors, Inc. 1 17 TRW Automotive Holdings Corp.* 194 6,146 Visteon Corp.* 610 3,142 WABCO Holdings Inc. 62 2,899 ------- Total Auto Components 73,922 ------------------------------------------------------------------------ Automobiles - 0.1% Harley-Davidson, Inc. 287 13,262 Thor Industries, Inc. 113 5,084 ------- Total Automobiles 18,346 ------------------------------------------------------------------------ Beverages - 1.7% Anheuser-Busch Cos., Inc. 768 38,392 Brown-Forman Corp. Class B 119 8,914 Coca-Cola Co. (The) 1,982 113,906 Coca-Cola Enterprises, Inc. 497 12,037 Constellation Brands, Inc. Class A* 203 4,915 Molson Coors Brewing Co. Class B 70 6,977 Pepsi Bottling Group, Inc. 287 10,668 PepsiAmericas, Inc. 203 6,585 PepsiCo, Inc. 1,483 108,645 ------- Total Beverages 311,039 ------------------------------------------------------------------------ Biotechnology - 0.7% Amgen, Inc.* 784 44,350 Biogen Idec, Inc.* 91 6,036 Cephalon, Inc.* 63 4,603 Genentech, Inc.* 427 33,315 Genzyme Corp.* 133 8,241 Gilead Sciences, Inc.* 448 18,310 ImClone Systems, Inc.* 189 7,813 ------- Total Biotechnology 122,668 ------------------------------------------------------------------------ Building Products - 0.2% American Standard Cos., Inc. 217 7,730 Gibraltar Industries, Inc. 129 2,387 Lennox International, Inc. 126 4,259 Masco Corp. 602 13,947 Simpson Manufacturing Co., Inc. 126 4,013 USG Corp.* 120 4,506 ------- Total Building Products 36,842 ------------------------------------------------------------------------ Capital Markets - 3.8% Affiliated Managers Group, Inc.* 42 5,355 Allied Capital Corp.(a) 322 9,464 American Capital Strategies Ltd.(a) 287 12,264 Apollo Investment Corp. 189 3,931 Bank of New York Mellon Corp. (The) 1,024 45,199 Bear Stearns & Co., Inc. (The) 231 28,369 BlackRock, Inc. 28 4,855 Charles Schwab Corp. (The) 931 20,110 E*Trade Financial Corp.* 399 5,211 Eaton Vance Corp. 126 5,035 Federated Investors, Inc. Class B 126 5,002 Franklin Resources, Inc. 147 18,743 GFI Group, Inc.* 70 6,028 Goldman Sachs Group, Inc. 763 165,372 See Notes to Financial Statements. WisdomTree Domestic Earnings Fund 11 Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ----------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------- Greenhill & Co., Inc. 63 $ 3,846 Investment Technology Group, Inc.* 98 4,212 Janus Capital Group, Inc. 203 5,741 Jefferies Group, Inc. 154 4,286 Knight Capital Group, Inc. Class A* 252 3,014 LaBranche & Co., Inc.* 799 3,739 Legg Mason, Inc. 112 9,440 Lehman Brothers Holdings, Inc. 931 57,471 Merrill Lynch & Co., Inc. 1,071 76,341 Morgan Stanley 1,731 109,053 Northern Trust Corp. 210 13,917 Nuveen Investments, Inc. Class A 84 5,203 Prospect Capital Corp. 31 528 Raymond James Financial, Inc. 140 4,599 SEI Investments Co. 140 3,819 State Street Corp. 311 21,198 T. Rowe Price Group, Inc. 210 11,695 TD Ameritrade Holding Corp.* 539 9,821 Waddell & Reed Financial, Inc. Class A 175 4,730 ------- Total Capital Markets 687,591 ----------------------------------------------------------------------- Chemicals - 1.9% Air Products & Chemicals, Inc. 175 17,108 Airgas, Inc. 105 5,421 Albemarle Corp. 112 4,950 Ashland, Inc. 63 3,793 Cabot Corp. 91 3,233 Celanese Corp. Series A 238 9,277 CF Industries Holdings, Inc. 128 9,716 Cytec Industries, Inc. 70 4,787 Dow Chemical Co. (The) 1,580 68,036 E.I. Du Pont de Nemours & Co. 938 46,488 Eastman Chemical Co. 133 8,875 Ecolab, Inc. 154 7,269 FMC Corp. 126 6,555 Hercules, Inc. 217 4,561 Huntsman Corp. 329 8,715 International Flavors & Fragrances, Inc. 91 4,810 Lubrizol Corp. 84 5,465 Lyondell Chemical Co. 462 21,414 Monsanto Co. 280 24,007 Nalco Holding Co. 182 5,396 PPG Industries, Inc. 217 16,394 Praxair, Inc. 287 24,039 Rockwood Holdings, Inc.* 161 5,769 Rohm & Haas Co. 266 14,808 Scotts Miracle-Gro Co. (The) Class A 77 3,292 Sigma-Aldrich Corp. 126 6,141 Valhi, Inc. 138 3,278 Valspar Corp. (The) 154 4,190 Westlake Chemical Corp. 147 3,724 ------- Total Chemicals 351,511 ----------------------------------------------------------------------- Commercial Banks - 4.3% Associated Banc-Corp 182 5,393 BancorpSouth, Inc. 168 4,082 BancTrust Financial Group, Inc. 132 2,101 Bank of Florida Corp.* 280 4,558 Bank of Hawaii Corp. 84 4,439 BB&T Corp. 728 29,404 BOK Financial Corp. 84 4,318 Cadence Financial Corp. 307 5,403 Cathay General Bancorp 126 4,058 Citizens Banking Corp. 182 2,932 City National Corp. 63 4,379 Colonial BancGroup, Inc. (The) 189 4,086 Comerica, Inc. 252 12,923 Commerce Bancorp, Inc. 133 5,158 Commerce Bancshares, Inc. 84 3,855 Community Banks, Inc. 13 387 Cullen/Frost Bankers, Inc. 84 4,210 East West Bancorp, Inc. 112 4,028 Fifth Third Bancorp 686 23,242 First Citizens BancShares, Inc. Class A 21 3,662 First Horizon National Corp. 133 3,546 First Midwest Bancorp, Inc. 119 4,065 FirstMerit Corp. 196 3,873 FNB Corp./VA 125 3,761 Fulton Financial Corp. 273 3,926 Huntington Bancshares, Inc. 430 7,301 International Bancshares Corp. 161 3,494 Intervest Bancshares Corp. 204 5,049 KeyCorp 609 19,689 M&T Bank Corp. 133 13,759 MainSource Financial Group, Inc. 342 6,029 Marshall & Ilsley Corp. 308 13,481 Mercantile Bank Corp. 160 3,434 National City Corp. 952 23,886 Peoples Bancorp, Inc. 211 5,524 PNC Financial Services Group, Inc. (The) 706 48,079 Popular, Inc. 293 3,598 Regions Financial Corp. 637 18,779 South Financial Group, Inc. (The) 168 3,820 SunTrust Banks, Inc. 462 34,960 Synovus Financial Corp. 364 10,210 TCF Financial Corp. 182 4,765 Temecula Valley Bancorp, Inc.(a) 236 4,005 Trustmark Corp. 147 4,122 U.S. Bancorp 2,477 80,577 UCBH Holdings, Inc. 224 3,916 Umpqua Holdings Corp. 54 1,081 UnionBanCal Corp. 217 12,675 Valley National Bancorp 180 3,992 W Holding Co., Inc. 930 2,083 Wachovia Corp. 2,372 118,956 See Notes to Financial Statements. 12 WisdomTree Domestic Earnings Fund Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 --------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------- Wells Fargo & Co. 4,289 $152,774 Whitney Holding Corp. 133 3,509 Wilmington Trust Corp. 98 3,812 Zions Bancorp. 133 9,133 -------- Total Commercial Banks 778,281 --------------------------------------------------------------------- Commercial Services & Supplies - 0.8% Allied Waste Industries, Inc.* 350 4,463 Avery Dennison Corp. 84 4,790 Brady Corp. Class A 126 4,521 Brink's Co. (The) 70 3,912 ChoicePoint, Inc.* 112 4,247 Cintas Corp. 147 5,454 Copart, Inc.* 147 5,055 Corporate Executive Board Co. 56 4,157 Corrections Corp. of America* 168 4,397 Covanta Holding Corp.* 189 4,632 Deluxe Corp. 140 5,158 Dun & Bradstreet Corp. 56 5,522 Equifax, Inc. 126 4,803 Herman Miller, Inc. 112 3,040 HNI Corp. 91 3,276 IKON Office Solutions, Inc. 301 3,868 M&F Worldwide Corp.* 23 1,154 Manpower, Inc. 77 4,955 Monster Worldwide, Inc.* 84 2,861 Pitney Bowes, Inc. 203 9,220 R.R. Donnelley & Sons Co. 189 6,910 Republic Services, Inc. 189 6,182 Robert Half International, Inc. 140 4,180 Steelcase, Inc. Class A 210 3,776 Stericycle, Inc.* 112 6,402 TeleTech Holdings, Inc.* 125 2,989 United Stationers, Inc.* 15 833 Waste Connections, Inc.* 153 4,859 Waste Management, Inc. 581 21,926 Watson Wyatt Worldwide, Inc. Class A 91 4,090 -------- Total Commercial Services & Supplies 151,632 --------------------------------------------------------------------- Communications Equipment - 1.7% Adtran, Inc. 56 1,290 Arris Group, Inc.* 20 247 Avaya, Inc.* 335 5,682 Cisco Systems, Inc.* 3,796 125,685 CommScope, Inc.* 20 1,005 Corning, Inc. 1,281 31,577 F5 Networks, Inc.* 112 4,165 Foundry Networks, Inc.* 287 5,100 Harris Corp. 126 7,282 InterDigital, Inc.* 52 1,081 Juniper Networks, Inc.* 231 8,457 Motorola, Inc. 3,068 56,849 Polycom, Inc.* 126 3,384 Qualcomm, Inc. 1,162 49,106 Tellabs, Inc.* 530 5,046 -------- Total Communications Equipment 305,956 --------------------------------------------------------------------- Computers & Peripherals - 2.7% Apple, Inc.* 315 48,365 Brocade Communications Systems, Inc.* 433 3,706 Dell, Inc.* 1,239 34,196 Diebold, Inc. 91 4,133 EMC Corp. 1,359 28,267 Hewlett-Packard Co. 2,330 116,012 International Business Machines Corp. 1,755 206,740 Intevac, Inc.* 87 1,322 Lexmark International, Inc. Class A* 84 3,489 NCR Corp.* 189 9,412 Network Appliance, Inc.* 119 3,202 Palm, Inc. 588 9,567 QLogic Corp.* 238 3,201 SanDisk Corp.* 154 8,485 Western Digital Corp.* 519 13,141 -------- Total Computers & Peripherals 493,238 --------------------------------------------------------------------- Construction & Engineering - 0.3% EMCOR Group, Inc.* 154 4,829 Fluor Corp. 56 8,062 Granite Construction Inc. 77 4,083 Jacobs Engineering Group, Inc.* 98 7,407 Quanta Services, Inc.* 210 5,555 Shaw Group, Inc. (The)* 126 7,321 URS Corp.* 98 5,532 Washington Group International, Inc.* 77 6,761 -------- Total Construction & Engineering 49,550 --------------------------------------------------------------------- Construction Materials - 0.1% Eagle Materials, Inc. 91 3,252 Florida Rock Industries, Inc. 91 5,687 Martin Marietta Materials, Inc. 42 5,609 Vulcan Materials Co. 91 8,113 -------- Total Construction Materials 22,661 --------------------------------------------------------------------- Consumer Finance - 0.9% Advanta Corp. Class B 28 768 American Express Co. 1,043 61,922 AmeriCredit Corp.* 258 4,536 Capital One Financial Corp. 574 38,131 CompuCredit Corp.* 126 2,735 Discover Financial Services 860 17,888 First Marblehead Corp. (The) 140 5,310 SLM Corp. 595 29,554 Student Loan Corp. (The) 28 5,049 -------- Total Consumer Finance 165,893 --------------------------------------------------------------------- Consumer Staples - 0.1% SUPERVALU, Inc. 245 9,557 --------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Domestic Earnings Fund 13 Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------- Containers & Packaging - 0.2% Ball Corp. 126 $ 6,773 Bemis Co. Inc. 126 3,668 Greif, Inc. Class A 70 4,248 Packaging Corp. of America 189 5,494 Pactiv Corp.* 133 3,812 Sealed Air Corp. 168 4,294 Silgan Holdings, Inc. 84 4,515 Sonoco Products Co. 112 3,380 Temple-Inland, Inc. 133 6,999 ------- Total Containers & Packaging 43,183 ---------------------------------------------------------------------------- Distributors - 0.1% Building Materials Holding Corp. 91 963 Genuine Parts Co. 182 9,100 ------- Total Distributors 10,063 ---------------------------------------------------------------------------- Diversified Consumer Services - 0.3% Apollo Group, Inc. Class A* 169 10,165 Career Education Corp.* 147 4,115 DeVry, Inc. 99 3,664 H&R Block, Inc. 329 6,968 ITT Educational Services, Inc.* 49 5,963 Regis Corp. 105 3,351 Service Corp International 399 5,147 Sotheby's 112 5,352 Weight Watchers International, Inc. 84 4,835 ------- Total Diversified Consumer Services 49,560 ---------------------------------------------------------------------------- Diversified Financials - 5.3% Bank of America Corp. 7,199 361,893 CIT Group, Inc. 350 14,070 Citigroup, Inc. 7,265 339,057 CME Group, Inc. 14 8,223 International Securities Exchange, Inc. 98 6,514 JPMorgan Chase & Co. 4,744 217,370 Moody's Corp. 175 8,820 Nasdaq Stock Market, Inc. (The)* 119 4,484 ------- Total Diversified Financials 960,431 ---------------------------------------------------------------------------- Diversified Telecommunication Services - 2.2% AT&T, Inc. 5,189 219,546 CenturyTel, Inc. 145 6,702 Cincinnati Bell, Inc.* 19 94 Citizens Communications Co. 355 5,084 Golden Telecom, Inc.* 78 6,278 NeuStar, Inc. Class A* 147 5,041 Verizon Communications, Inc. 3,264 144,529 Windstream Corp. 588 8,303 ------- Total Diversified Telecommunication Services 395,577 ---------------------------------------------------------------------------- Electric Utilities - 1.6% Allegheny Energy, Inc. 112 5,853 American Electric Power Co., Inc. 371 17,096 DPL, Inc. 147 3,860 Duke Energy Corp. 2,101 39,268 Edison International 462 25,618 Entergy Corp. 210 22,741 Exelon Corp. 637 48,003 FirstEnergy Corp. 364 23,056 FPL Group, Inc. 392 23,865 Great Plains Energy, Inc. 140 4,033 Hawaiian Electric Industries, Inc. 161 3,495 Northeast Utilities 154 4,400 Pepco Holdings, Inc. 168 4,549 Pinnacle West Capital Corp. 112 4,425 PPL Corp. 462 21,391 Progress Energy, Inc. 175 8,199 Sierra Pacific Resources 301 4,735 Southern Co. 784 28,444 Westar Energy, Inc. 161 3,954 ------- Total Electric Utilities 296,985 ---------------------------------------------------------------------------- Electrical Equipment - 0.6% Acuity Brands, Inc. 77 3,887 AMETEK, Inc. 126 5,446 Baldor Electric Co. 119 4,754 Belden CDT, Inc. 98 4,597 Emerson Electric Co. 826 43,960 Encore Wire Corp. 86 2,161 General Cable Corp.* 98 6,578 Genlyte Group, Inc.* 63 4,048 Hubbell, Inc. Class B 91 5,198 Rockwell Automation, Inc. 196 13,624 Roper Industries, Inc. 84 5,502 Thomas & Betts Corp.* 91 5,336 ------- Total Electrical Equipment 105,091 ---------------------------------------------------------------------------- Electronic Equipment & Instruments - 0.6% Agilent Technologies, Inc.* 322 11,876 Amphenol Corp. Class A 140 5,566 Arrow Electronics, Inc.* 230 9,780 Avnet, Inc.* 189 7,534 AVX Corp. 294 4,733 CDW Corp. 77 6,714 Dolby Laboratories, Inc. Class A* 133 4,631 Flir Systems, Inc.* 126 6,979 Gerber Scientific, Inc.* 17 184 Ingram Micro, Inc. Class A* 300 5,883 Jabil Circuit, Inc. 168 3,837 Mettler-Toledo International, Inc.* 49 4,998 Molex, Inc. 161 4,336 National Instruments Corp. 161 5,527 Rogers Corp.* 19 783 Solectron Corp.* 1,298 5,062 Tektronix, Inc. 154 4,272 Trimble Navigation Ltd.* 260 10,195 Vishay Intertechnology, Inc.* 301 3,922 ------- Total Electronic Equipment & Instruments 106,812 ---------------------------------------------------------------------------- See Notes to Financial Statements. 14 WisdomTree Domestic Earnings Fund Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------- Energy Equipment & Services - 1.8% Atwood Oceanics, Inc.* 91 $ 6,967 Baker Hughes, Inc. 315 28,467 BJ Services Co. 483 12,824 Cameron International Corp.* 98 9,044 Diamond Offshore Drilling, Inc. 140 15,861 Dresser-Rand Group, Inc.* 168 7,175 Dril-Quip, Inc.* 119 5,873 ENSCO International, Inc. 231 12,959 Exterran Holdings, Inc.* 126 10,123 FMC Technologies, Inc.* 140 8,072 Global Industries Ltd.* 308 7,934 Grant Prideco, Inc.* 175 9,541 Grey Wolf, Inc.* 289 1,893 Gulfmark Offshore, Inc.* 26 1,265 Halliburton Co. 1,545 59,328 Helmerich & Payne, Inc. 252 8,273 National Oilwell Varco, Inc.* 161 23,265 Oceaneering International, Inc.* 105 7,959 Oil States International, Inc.* 194 9,370 Patterson-UTI Energy, Inc. 483 10,901 Pride International, Inc.* 154 5,629 Rowan Cos., Inc. 161 5,889 RPC, Inc. 266 3,780 SEACOR Holdings, Inc.* 63 5,991 Smith International, Inc. 196 13,994 Superior Energy Services, Inc.* 147 5,210 Tetra Technologies, Inc.* 189 3,995 Tidewater, Inc. 127 7,981 Trico Marine Services, Inc.* 22 656 Unit Corp.* 175 8,470 ------- Total Energy Equipment & Services 318,689 ---------------------------------------------------------------------- Food & Staples Retailing - 2.3% Andersons, Inc. (The) 2 96 BJ's Wholesale Club, Inc.* 146 4,841 Costco Wholesale Corp. 392 24,057 CVS Corp. 1,512 59,921 Ingles Markets, Inc. Class A 43 1,232 Kroger Co. (The) 777 22,160 Longs Drug Stores Corp. 98 4,868 Pantry, Inc. (The)* 6 154 Performance Food Group Co.* 21 633 Rite Aid Corp.* 5,268 24,338 Ruddick Corp. 13 436 Safeway, Inc. 413 13,674 SYSCO Corp. 469 16,692 Walgreen Co. 763 36,044 Wal-Mart Stores, Inc. 4,800 209,520 Whole Foods Market, Inc. 98 4,798 ------- Total Food & Staples Retailing 423,464 ---------------------------------------------------------------------- Food Products - 1.7% Archer-Daniels-Midland Co. 903 29,871 Campbell Soup Co. 364 13,468 ConAgra Foods, Inc. 301 7,865 Corn Products International, Inc. 133 6,101 Dean Foods Co. 119 3,044 Del Monte Foods Co. 371 3,896 Flowers Foods, Inc. 220 4,796 General Mills, Inc. 343 19,897 H.J. Heinz Co. 273 12,613 Hershey Co. (The) 217 10,071 Hormel Foods Corp. 147 5,260 Imperial Sugar Co. 5 131 J.M. Smucker Co. (The) 91 4,861 Kellogg Co. 385 21,560 Kraft Foods, Inc. Class A 3,440 118,714 McCormick & Co., Inc. 112 4,029 Ralcorp Holdings, Inc.* 77 4,298 Sara Lee Corp. 560 9,346 Seaboard Corp. 1 1,960 Smithfield Foods, Inc.* 161 5,072 Tootsie Roll Industries, Inc. 140 3,714 Wm. Wrigley Jr. Co. 189 12,139 ------- Total Food Products 302,706 ---------------------------------------------------------------------- Gas Utilities - 0.3% AGL Resources Inc. 112 4,437 Atmos Energy Corp. 133 3,767 Energen Corp. 98 5,598 Equitable Resources, Inc. 98 5,083 National Fuel Gas Co. 105 4,915 New Jersey Resources Corp. 3 149 Nicor, Inc. 91 3,904 ONEOK, Inc. 98 4,645 Piedmont Natural Gas Co., Inc. 168 4,215 Questar Corp. 182 9,560 Southern Union Co. 154 4,791 UGI Corp. 161 4,183 ------- Total Gas Utilities 55,247 ---------------------------------------------------------------------- Health Care Equipment & Supplies - 1.3% Baxter International, Inc. 532 29,941 Beckman Coulter, Inc. 70 5,163 Becton Dickinson & Co. 210 17,231 C.R. Bard, Inc. 77 6,791 Cytyc Corp.* 147 7,005 Dade Behring Holdings, Inc. 98 7,482 DENTSPLY International, Inc. 133 5,538 Edwards Lifesciences Corp.* 84 4,142 Gen-Probe, Inc.* 61 4,061 Hillenbrand Industries, Inc. 89 4,897 Hologic, Inc.* 47 2,867 Hospira, Inc.* 119 4,933 See Notes to Financial Statements. WisdomTree Domestic Earnings Fund 15 Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------ IDEXX Laboratories, Inc.* 49 $ 5,370 Intuitive Surgical, Inc.* 41 9,430 Kinetic Concepts, Inc.* 104 5,853 Medtronic, Inc. 987 55,676 Resmed, Inc.* 91 3,901 Respironics, Inc.* 105 5,043 St. Jude Medical, Inc.* 196 8,638 Stryker Corp. 259 17,809 Varian Medical Systems, Inc.* 98 4,105 Zimmer Holdings, Inc.* 196 15,874 ------- Total Health Care Equipment & Supplies 231,750 ------------------------------------------------------------------------ Health Care Providers & Services - 2.2% Aetna, Inc. 769 41,733 AmerisourceBergen Corp. 182 8,250 Cardinal Health, Inc. 385 24,074 Cigna Corp. 504 26,858 Community Health Systems, Inc.* 119 3,741 Coventry Health Care, Inc.* 203 12,629 DaVita, Inc.* 98 6,192 Express Scripts, Inc.* 252 14,067 Health Net, Inc.* 133 7,189 Henry Schein, Inc.* 84 5,111 Humana, Inc.* 133 9,294 Laboratory Corp. of America Holdings* 112 8,762 Lincare Holdings, Inc.* 131 4,801 Manor Care, Inc. 84 5,410 McKesson Corp. 301 17,696 Medco Health Solutions, Inc.* 252 22,778 Omnicare, Inc. 119 3,942 Patterson Cos., Inc.* 112 4,324 Pediatrix Medical Group, Inc.* 69 4,514 PharMerica Corp.* 15 224 Quest Diagnostics, Inc. 231 13,345 Sierra Health Services, Inc.* 112 4,725 UnitedHealth Group, Inc. 1,433 69,399 Universal Health Services, Inc. Class B 78 4,245 VCA Antech, Inc.* 126 5,261 WellCare Health Plans, Inc.* 57 6,010 WellPoint, Inc.* 728 57,453 ------- Total Health Care Providers & Services 392,027 ------------------------------------------------------------------------ Health Care Technology - 0.1% Cerner Corp.* 91 5,443 IMS Health, Inc. 267 8,181 ------- Total Health Care Technology 13,624 ------------------------------------------------------------------------ Hotels, Restaurants & Leisure - 1.3% Applebee's International, Inc. 182 4,528 Bluegreen Corp.* 58 450 Boyd Gaming Corp. 91 3,899 Brinker International, Inc. 140 3,842 Cheesecake Factory (The)* 168 3,943 Choice Hotels International, Inc. 112 4,219 CKE Restaurants, Inc. 52 843 Darden Restaurants, Inc. 161 6,739 Harrah's Entertainment, Inc. 98 8,519 Hilton Hotels Corp. 217 10,088 International Game Technology 203 8,749 International Speedway Corp. Class A 84 3,852 Interstate Hotels & Resorts, Inc.* 121 551 Jack in the Box, Inc.* 70 4,539 Life Time Fitness, Inc.* 69 4,232 Marriott International, Inc. Class A 244 10,607 McDonald's Corp. 1,195 65,091 MGM Mirage* 176 15,741 Panera Bread Co. Class A* 77 3,142 Penn National Gaming, Inc.* 98 5,784 Pinnacle Entertainment, Inc.* 133 3,622 Ruby Tuesday, Inc. 13 238 Scientific Games Corp. Class A* 126 4,738 Starbucks Corp.* 280 7,336 Starwood Hotels & Resorts Worldwide, Inc. 315 19,136 Station Casinos, Inc. 49 4,287 Vail Resorts, Inc.* 82 5,108 Wendy's International, Inc. 112 3,910 Wynn Resorts Ltd.* 22 3,466 Yum! Brands, Inc. 544 18,404 ------- Total Hotels, Restaurants & Leisure 239,603 ------------------------------------------------------------------------ Household Durables - 1.0% American Greetings Corp. Class A 22 581 Avatar Holdings, Inc.* 45 2,247 Beazer Homes USA, Inc.(a) 265 2,186 Black & Decker Corp. (The) 126 10,496 Brookfield Homes Corp.(a) 131 2,430 Cavco Industries, Inc.* 68 2,278 Centex Corp. 322 8,556 D.R. Horton, Inc. 868 11,119 Fortune Brands, Inc. 175 14,260 Furniture Brands International, Inc. 36 365 Harman International Industries, Inc. 49 4,239 Hovnanian Enterprises, Inc. Class A* 231 2,562 Jarden Corp.* 119 3,682 KB Home 252 6,315 Leggett & Platt, Inc. 217 4,158 Lennar Corp. Class A 490 11,099 M/I Homes, Inc. 120 1,667 MDC Holdings, Inc. 140 5,732 Meritage Homes Corp.*(a) 245 3,459 Mohawk Industries, Inc.* 105 8,537 Newell Rubbermaid, Inc. 287 8,271 NVR, Inc.* 21 9,875 Orleans Homebuilders, Inc.(a) 161 942 Pulte Homes, Inc. 700 9,527 Ryland Group, Inc. (The) 154 3,300 See Notes to Financial Statements. 16 WisdomTree Domestic Earnings Fund Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Snap-On, Inc. 91 $ 4,508 Standard-Pacific Corp. 280 1,537 Stanley Works (The) 105 5,894 Tempur-Pedic International, Inc. 175 6,256 Toll Brothers, Inc.* 483 9,655 TOUSA, Inc.(a) 1,281 2,062 WCI Communities, Inc.*(a) 208 1,246 Whirlpool Corp. 105 9,356 --------- Total Household Durables 178,397 ------------------------------------------------------------------------------ Household Products - 1.5% Central Garden & Pet Co.* 345 3,071 Church & Dwight Co., Inc. 91 4,281 Clorox Co. (The) 140 8,539 Colgate-Palmolive Co. 371 26,460 Energizer Holdings, Inc.* 70 7,760 Kimberly-Clark Corp. 407 28,595 Procter & Gamble Co. 2,706 190,339 WD-40 Co. 13 444 --------- Total Household Products 269,489 ------------------------------------------------------------------------------ Independent Power Producers & Energy - 0.7% AES Corp. (The)* 714 14,309 Constellation Energy Group, Inc. 203 17,415 Mirant Corp.* 518 21,072 NRG Energy, Inc.* 420 17,762 TXU Corp. 822 56,282 --------- Total Independent Power Producers & Energy 126,840 ------------------------------------------------------------------------------ Industrial Conglomerates - 2.8% 3M Co. 868 81,227 Carlisle Cos., Inc. 98 4,763 General Electric Co. 9,814 406,300 Teleflex, Inc. 63 4,909 Textron, Inc. 266 16,548 Walter Industries, Inc. 21 565 --------- Total Industrial Conglomerates 514,312 ------------------------------------------------------------------------------ Insurance - 6.6% Alleghany Corp.* 14 5,684 Allstate Corp. (The) 1,427 81,610 AMBAC Financial Group, Inc. 182 11,450 American Family Life Assurance Co., Inc. 602 34,338 American Financial Group, Inc. 196 5,590 American International Group, Inc. 3,187 215,600 American National Insurance Co. 35 4,604 American Physicians Capital, Inc.* 77 3,000 AON Corp. 336 15,056 Arthur J. Gallagher & Co. 147 4,259 Assurant, Inc. 245 13,108 Berkshire Hathaway, Inc. Class B* 42 165,983 Brown & Brown, Inc. 154 4,050 Chubb Corp. (The) 819 43,931 Cincinnati Financial Corp. 224 9,701 CNA Financial Corp. 259 10,184 Commerce Group, Inc. 154 4,538 Conseco, Inc.* 238 3,808 Delphi Financial Group, Inc. Class A 112 4,527 EMC Insurance Group, Inc. 141 3,665 Erie Indemnity Co. Class A 77 4,707 First American Corp. 126 4,614 Genworth Financial, Inc. Class A 721 22,156 Hanover Insurance Group, Inc. (The) 91 4,021 Harleysville Group, Inc. 9 288 Hartford Financial Services Group, Inc. (The) 539 49,884 HCC Insurance Holdings, Inc. 147 4,210 Infinity Property & Casualty Corp. 85 3,419 LandAmerica Financial Group, Inc. 9 351 Lincoln National Corp. 336 22,166 Loews Corp. 728 35,199 Markel Corp.* 14 6,776 Marsh & McLennan Cos., Inc. 322 8,211 MBIA, Inc. 217 13,248 Mercer Insurance Group, Inc. 224 3,963 Mercury General Corp. 84 4,530 Metlife, Inc. 1,197 83,467 Midland Co. (The) 110 6,046 National Financial Partners Corp. 91 4,821 National Western Life Insurance Co. Class A* 20 5,119 Nationwide Financial Services, Inc. Class A 252 13,563 Odyssey Re Holdings Corp. 133 4,936 Old Republic International Corp. 378 7,084 Philadelphia Consolidated Holding Co.* 119 4,919 Principal Financial Group, Inc. 315 19,873 ProAssurance Corp.* 84 4,525 Progressive Corp. (The) 1,239 24,049 Protective Life Corp. 98 4,159 Prudential Financial, Inc. 546 53,279 Reinsurance Group of America, Inc. 98 5,556 Safeco Corp. 224 13,713 Safety Insurance Group, Inc. 147 5,283 Selective Insurance Group, Inc. 161 3,426 StanCorp Financial Group, Inc. 91 4,505 State Auto Financial Corp. 15 439 Torchmark Corp. 154 9,597 Transatlantic Holdings, Inc. 98 6,892 Travelers Cos., Inc. (The) 1,120 56,381 Unitrin, Inc. 112 5,554 Unum Group 280 6,852 W.R. Berkley Corp. 357 10,578 Wesco Financial Corp. 7 2,786 Zenith National Insurance Corp. 189 8,484 --------- Total Insurance 1,208,315 ------------------------------------------------------------------------------ See Notes to Financial Statements. WisdomTree Domestic Earnings Fund 17 Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Internet & Catalog Retail - 0.2% Amazon.Com, Inc.* 147 $13,694 Expedia, Inc.* 217 6,918 IAC/InterActiveCorp.* 154 4,569 NutriSystem, Inc.* 7 328 priceline.com, Inc.* 83 7,366 ------- Total Internet & Catalog Retail 32,875 ------------------------------------------------------------------------------ Internet Software & Services - 0.6% eBay, Inc.* 588 22,944 Google, Inc. Class A* 91 51,621 Imergent, Inc. 49 1,099 j2 Global Communications, Inc.* 42 1,375 ValueClick, Inc.* 168 3,773 VeriSign, Inc.* 301 10,156 Yahoo! Inc.* 644 17,285 ------- Total Internet Software & Services 108,253 ------------------------------------------------------------------------------ IT Services - 0.7% Affiliated Computer Services, Inc. Class A* 98 4,924 Alliance Data Systems Corp.* 70 5,421 Automatic Data Processing, Inc. 413 18,968 Broadridge Financial Solutions, Inc. 99 1,876 CACI International, Inc. Class A* 29 1,482 Cass Information Systems, Inc. 5 179 Ceridian Corp.* 140 4,864 CheckFree Corp.* 105 4,887 Cognizant Technology Solutions Corp. Class A* 49 3,909 Computer Sciences Corp.* 140 7,826 Convergys Corp.* 168 2,916 DST Systems, Inc.* 63 5,406 Electronic Data Systems Corp. 294 6,421 Fidelity National Information Services, Inc. 112 4,969 Fiserv, Inc.* 168 8,544 Gartner, Inc.* 196 4,794 Global Payments, Inc. 112 4,953 Iron Mountain, Inc.* 154 4,694 MoneyGram International, Inc. 147 3,321 Paychex, Inc. 224 9,183 Perot Systems Corp. Class A* 33 558 SRA International, Inc. Class A* 34 955 Total System Services, Inc. 154 4,278 VeriFone Holdings, Inc.* 105 4,655 ------- Total IT Services 119,983 ------------------------------------------------------------------------------ Leisure Equipment & Products - 0.2% Brunswick Corp. 182 4,161 Hasbro, Inc. 154 4,294 Jakks Pacific, Inc.* 48 1,282 MarineMax, Inc.* 188 2,737 Mattel, Inc. 476 11,166 Polaris Industries, Inc. 91 3,969 Pool Corp.(a) 119 2,973 ------- Total Leisure Equipment & Products 30,582 ------------------------------------------------------------------------------ Life Sciences Tools & Services - 0.2% Bio-Rad Laboratories, Inc. Class A* 49 4,435 Charles River Laboratories International, Inc.* 91 5,110 Covance, Inc.* 70 5,453 Invitrogen Corp.* 70 5,721 Millipore Corp.* 56 4,245 PerkinElmer, Inc. 182 5,316 Pharmaceutical Product Development, Inc. 126 4,465 Thermo Fisher Scientific, Inc.* 91 5,253 Waters Corp.* 84 5,621 ------- Total Life Sciences Tools & Services 45,619 ------------------------------------------------------------------------------ Machinery - 2.5% Accuride Corp.* 68 823 AGCO Corp.* 126 6,397 Caterpillar, Inc. 1,141 89,488 CLARCOR, Inc. 133 4,550 Crane Co. 112 5,373 Cummins, Inc. 224 28,647 Danaher Corp. 273 22,580 Deere & Co. 294 43,635 Donaldson Co., Inc. 126 5,262 Dover Corp. 224 11,413 Eaton Corp. 238 23,572 Flowserve Corp. 84 6,399 Gardner Denver, Inc.* 119 4,641 Graco, Inc. 105 4,107 Harsco Corp. 98 5,808 IDEX Corp. 126 4,585 Illinois Tool Works, Inc. 693 41,331 ITT Corp. 154 10,461 Joy Global, Inc. 231 11,749 Kennametal, Inc. 70 5,879 Lincoln Electric Holdings, Inc. 70 5,433 Manitowoc Co., Inc. (The) 154 6,819 Mueller Industries, Inc. 78 2,819 Nordson Corp. 84 4,218 Oshkosh Truck Corp. 84 5,205 Paccar, Inc. 413 35,208 Pall Corp. 126 4,901 Parker Hannifin Corp. 189 21,136 Pentair, Inc. 140 4,645 SPX Corp. 63 5,831 Terex Corp.* 112 9,970 Timken Co. (The) 217 8,062 Toro Co. (The) 84 4,942 Trinity Industries, Inc. 112 4,204 Watts Water Technologies, Inc. Class A 98 3,009 ------- Total Machinery 463,102 ------------------------------------------------------------------------------ See Notes to Financial Statements. 18 WisdomTree Domestic Earnings Fund Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------- Marine - 0.1% Alexander & Baldwin, Inc. 91 $ 4,562 Kirby Corp.* 162 7,151 ------- Total Marine 11,713 ---------------------------------------------------------------------- Media - 2.5% Belo Corp. Class A 238 4,132 CBS Corp. Class B 643 20,255 Citadel Broadcasting Corp. 146 607 Clear Channel Communications, Inc. 322 12,056 Comcast Corp. Class A* 593 14,339 DIRECTV Group, Inc. (The)* 910 22,095 Dow Jones & Co., Inc. 111 6,627 DreamWorks Animation SKG, Inc. Class A* 161 5,381 E.W. Scripps Co. (The) Class A 133 5,586 EchoStar Communications Corp. Class A* 294 13,762 Gannett Co., Inc. 329 14,377 Getty Images, Inc.* 84 2,339 Harte-Hanks, Inc. 161 3,168 Hearst-Argyle Television, Inc. 168 4,361 Interactive Data Corp. 105 2,961 John Wiley & Sons, Inc. Class A 112 5,032 Marvel Entertainment, Inc.* 154 3,610 McClatchy Co. Class A 112 2,238 McGraw-Hill Cos., Inc. (The) 238 12,117 Meredith Corp. 70 4,011 Morningstar, Inc.* 79 4,851 New York Times Co. (The) Class A 153 3,023 News Corp. Class A 5,786 127,233 Omnicom Group, Inc. 308 14,812 Regal Entertainment Group Class A 196 4,302 Time Warner, Inc. 3,537 64,939 Tribune Co. 287 7,841 Walt Disney Co. (The) 1,902 65,409 Washington Post Co. (The) Class B 7 5,620 ------- Total Media 457,084 ---------------------------------------------------------------------- Metals & Mining - 1.9% AK Steel Holding Corp.* 217 9,537 Alcoa, Inc. 1,281 50,113 Allegheny Technologies, Inc. 119 13,084 Carpenter Technology Corp. 35 4,550 Cleveland-Cliffs, Inc. 112 9,853 Commercial Metals Co. 238 7,533 Freeport-McMoRan Copper & Gold, Inc. 600 62,934 Newmont Mining Corp. 217 9,706 Northwest Pipe Co.* 48 1,815 Nucor Corp. 546 32,471 Quanex Corp. 85 3,993 Reliance Steel & Aluminum Co. 168 9,499 RTI International Metals, Inc.* 56 4,439 Southern Copper Corp. 602 74,546 Steel Dynamics, Inc. 210 9,807 Titanium Metals Corp.* 231 7,752 United States Steel Corp. 301 31,888 Worthington Industries, Inc. 124 2,921 ------- Total Metals & Mining 346,441 ---------------------------------------------------------------------- Multiline Retail - 0.7% Big Lots, Inc.* 139 4,148 Dillard's, Inc. Class A 126 2,751 Dollar Tree Stores, Inc.* 133 5,392 Family Dollar Stores, Inc. 140 3,718 JC Penney Co., Inc. 259 16,413 Kohl's Corp.* 259 14,848 Macy's, Inc. 392 12,669 Nordstrom, Inc. 231 10,832 Sears Holdings Corp.* 98 12,466 Target Corp. 819 52,063 ------- Total Multiline Retail 135,300 ---------------------------------------------------------------------- Multi-Utilities - 1.1% Alliant Energy Corp. 112 4,292 Ameren Corp. 203 10,658 Centerpoint Energy, Inc. 525 8,416 Consolidated Edison, Inc. 231 10,695 Dominion Resources, Inc. 364 30,686 DTE Energy Co. 245 11,868 Energy East Corp. 175 4,734 Integrys Energy Group, Inc. 77 3,945 MDU Resources Group, Inc. 224 6,236 NiSource, Inc. 266 5,091 NSTAR 126 4,386 OGE Energy Corp. 112 3,707 PG&E Corp. 448 21,414 PNM Resources, Inc. 140 3,259 Public Service Enterprise Group, Inc. 182 16,014 Puget Energy, Inc. 175 4,282 SCANA Corp. 133 5,152 Sempra Energy 448 26,038 TECO Energy, Inc. 266 4,370 Vectren Corp. 154 4,203 Wisconsin Energy Corp. 133 5,989 Xcel Energy, Inc. 448 9,650 ------- Total Multi-Utilities 205,085 ---------------------------------------------------------------------- Office Electronics - 0.2% Xerox Corp.* 1,391 24,120 Zebra Technologies Corp. Class A* 126 4,598 ------- Total Office Electronics 28,718 ---------------------------------------------------------------------- Oil, Gas & Consumable Fuels - 14.8% Alon USA Energy, Inc. 64 2,162 Anadarko Petroleum Corp. 1,386 74,498 Apache Corp. 735 66,194 Arch Coal, Inc. 147 4,960 Cabot Oil & Gas Corp. 126 4,430 See Notes to Financial Statements. WisdomTree Domestic Earnings Fund 19 Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------- Chesapeake Energy Corp. 1,120 $ 39,491 Chevron Corp. 4,559 426,631 Cimarex Energy Co. 279 10,393 ConocoPhillips 4,224 370,740 CONSOL Energy, Inc. 182 8,481 Denbury Resources, Inc.* 154 6,882 Devon Energy Corp. 868 72,218 El Paso Corp. 441 7,484 EOG Resources, Inc. 420 30,379 Exxon Mobil Corp. 9,933 919,398 Forest Oil Corp.* 250 10,760 Frontier Oil Corp. 238 9,910 Helix Energy Solutions Group, Inc.* 133 5,647 Hess Corp. 623 41,448 Holly Corp. 84 5,026 Kinder Morgan Management LLC* 86 4,021 Marathon Oil Corp. 2,073 118,202 Murphy Oil Corp. 259 18,102 Newfield Exploration Co.* 259 12,473 Noble Energy, Inc. 224 15,689 Occidental Petroleum Corp. 1,706 109,320 Overseas Shipholding Group, Inc. 126 9,681 Peabody Energy Corp. 245 11,728 PetroHawk Energy Corp.* 357 5,862 Petroleum Development Corp.* 27 1,197 Pioneer Natural Resources Co. 112 5,038 Plains Exploration & Production Co.* 91 4,024 Pogo Producing Co. 161 8,551 Quicksilver Resources, Inc.* 112 5,270 Range Resources Corp. 140 5,692 Southwestern Energy Co.* 112 4,687 St. Mary Land & Exploration Co. 119 4,245 Sunoco, Inc. 322 22,791 Swift Energy Co.* 40 1,637 Tesoro Corp. 392 18,040 USEC, Inc.* 57 584 Vaalco Energy, Inc.* 271 1,238 Valero Energy Corp. 1,930 129,657 W&T Offshore, Inc. 140 3,413 Whiting Petroleum Corp.* 98 4,356 Williams Cos., Inc. (The) 308 10,490 XTO Energy, Inc. 728 45,020 --------- Total Oil, Gas & Consumable Fuels 2,698,140 ---------------------------------------------------------------------- Paper & Forest Products - 0.1% Louisiana-Pacific Corp. 210 3,564 MeadWestvaco Corp. 140 4,134 Weyerhaeuser Co. 56 4,049 --------- Total Paper & Forest Products 11,747 ---------------------------------------------------------------------- Personal Products - 0.1% Alberto-Culver Co. 194 4,809 Avon Products, Inc. 301 11,297 Estee Lauder Cos., Inc. (The) Class A 154 6,539 Mannatech, Inc. 15 122 NBTY, Inc.* 84 3,410 --------- Total Personal Products 26,177 ---------------------------------------------------------------------- Pharmaceuticals - 4.8% Abbott Laboratories 1,246 66,811 Alpharma, Inc. Class A* 48 1,025 Barr Pharmaceuticals, Inc.* 119 6,772 Bristol-Myers Squibb Co. 1,692 48,763 Eli Lilly & Co. 1,148 65,356 Endo Pharmaceuticals Holdings, Inc.* 140 4,341 Forest Laboratories, Inc.* 266 9,919 Johnson & Johnson 3,112 204,458 King Pharmaceuticals, Inc.* 245 2,871 Merck & Co., Inc. 2,449 126,589 Mylan Laboratories, Inc. 231 3,687 Pfizer, Inc. 9,023 220,431 Schering-Plough Corp. 777 24,577 Sepracor, Inc.* 84 2,310 Viropharma, Inc.* 89 792 Watson Pharmaceuticals, Inc.* 154 4,990 Wyeth 1,552 69,142 --------- Total Pharmaceuticals 862,834 ---------------------------------------------------------------------- Real Estate Investment Trusts - 0.8% Alexandria Real Estate Equities, Inc. 42 4,043 AMB Property Corp. 70 4,187 Archstone-Smith Trust 70 4,210 Boston Properties, Inc. 152 15,792 BRE Properties, Inc. 63 3,524 Colonial Properties Trust 79 2,710 Corporate Office Properties Trust 77 3,206 Cousins Properties, Inc. 119 3,494 Developers Diversified Realty Corp. 63 3,520 Duke Realty Corp. 91 3,077 Entertainment Properties Trust 63 3,200 Equity One, Inc. 154 4,189 Health Care REIT, Inc. 91 4,026 Healthcare Realty Trust, Inc. 105 2,799 Home Properties, Inc. 70 3,653 Hospitality Properties Trust 91 3,699 HRPT Properties Trust 322 3,185 Kimco Realty Corp. 131 5,923 LaSalle Hotel Properties 91 3,829 Liberty Property Trust 91 3,659 Mack-Cali Realty Corp. 84 3,452 Nationwide Health Properties, Inc. 133 4,007 Plum Creek Timber Co., Inc. 154 6,892 Post Properties, Inc. 91 3,522 Potlatch Corp. 91 4,098 Prologis 104 6,899 Rayonier, Inc. 98 4,708 See Notes to Financial Statements. 20 WisdomTree Domestic Earnings Fund Schedule of Investments (unaudited) (continued) WisdomTree Total Earnings Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------------- Realty Income Corp. 147 $ 4,109 Regency Centers Corp. 49 3,761 Senior Housing Properties Trust 167 3,684 Ventas, Inc. 91 3,767 Washington Real Estate Investment Trust 105 3,484 Weingarten Realty Investors 84 3,483 ------- Total Real Estate Investment Trusts 141,791 ------------------------------------------------------------------------------- Real Estate Management & Development - 0.0% CB Richard Ellis Group, Inc. Class A* 148 4,120 Jones Lang LaSalle, Inc. 42 4,316 ------- Total Real Estate Management & Development 8,436 ------------------------------------------------------------------------------- Road & Rail - 0.9% Amerco, Inc.* 10 635 Arkansas Best Corp. 36 1,176 Burlington Northern Santa Fe Corp. 469 38,068 Con-way, Inc. 105 4,830 CSX Corp. 609 26,023 Heartland Express, Inc. 259 3,699 JB Hunt Transport Services, Inc. 203 5,339 Kansas City Southern* 140 4,504 Landstar System, Inc. 98 4,113 Norfolk Southern Corp. 532 27,616 Old Dominion Freight Line, Inc.* 13 312 Quality Distribution, Inc.* 58 516 Ryder System, Inc. 84 4,116 Union Pacific Corp. 280 31,656 YRC Worldwide, Inc.* 195 5,327 ------- Total Road & Rail 157,930 ------------------------------------------------------------------------------- Semiconductors & Semiconductor Equipment - 2.1% Advanced Micro Devices, Inc.* 525 6,930 Altera Corp. 328 7,898 Amkor Technology, Inc.* 43 495 Analog Devices, Inc. 182 6,581 Applied Materials, Inc. 1,239 25,647 Atmel Corp.* 798 4,118 Broadcom Corp. Class A* 147 5,357 Cypress Semiconductor Corp.* 231 6,748 Intel Corp. 5,011 129,585 International Rectifier Corp.* 98 3,233 Intersil Corp. Class A 217 7,254 KLA-Tencor Corp. 91 5,076 Lam Research Corp.* 196 10,439 Linear Technology Corp. 273 9,552 LSI Logic Corp.* 469 3,480 Maxim Integrated Products, Inc. 294 8,629 MEMC Electronic Materials, Inc.* 126 7,416 Microchip Technology, Inc. 154 5,593 Micron Technology, Inc.* 343 3,807 National Semiconductor Corp. 413 11,201 Novellus Systems Inc.* 140 3,816 Nvidia Corp.* 241 8,734 ON Semiconductor Corp.* 720 9,043 Teradyne, Inc.* 456 6,293 Texas Instruments, Inc. 1,706 62,423 Varian Semiconductor Equipment Associates, Inc.* 159 8,510 Xilinx, Inc. 300 7,842 ------- Total Semiconductors & Semiconductor Equipment 375,700 ------------------------------------------------------------------------------- Software - 2.3% Activision Inc.* 266 5,743 Adobe Systems, Inc.* 210 9,169 Autodesk, Inc.* 105 5,247 BEA Systems, Inc.* 335 4,646 BMC Software, Inc.* 133 4,154 CA, Inc. 141 3,627 Cadence Design Systems, Inc.* 217 4,815 Citrix Systems, Inc.* 140 5,645 Compuware Corp.* 483 3,874 Electronic Arts, Inc.* 91 5,095 FactSet Research Systems, Inc. 77 5,278 Fair Isaac Corp. 112 4,044 Intuit, Inc.* 231 6,999 Jack Henry & Associates, Inc. 12 310 Micros Systems, Inc.* 77 5,010 Microsoft Corp. 8,239 242,721 NAVTEQ Corp.* 126 9,824 Oracle Corp.* 3,670 79,456 Red Hat, Inc.* 182 3,616 Sybase, Inc.* 168 3,886 Symantec Corp.* 266 5,155 ------- Total Software 418,314 ------------------------------------------------------------------------------- Specialty Retail - 2.1% Aaron Rents, Inc. 29 647 Abercrombie & Fitch Co. Class A 98 7,909 Advance Auto Parts, Inc. 126 4,229 Aeropostale, Inc.* 178 3,393 American Eagle Outfitters, Inc. 189 4,973 AnnTaylor Stores Corp.* 126 3,990 AutoNation, Inc.* 308 5,458 Autozone, Inc.* 91 10,569 Barnes & Noble, Inc. 105 3,702 Bed Bath & Beyond, Inc.* 280 9,554 Best Buy Co., Inc. 476 21,905 Carmax, Inc.* 154 3,131 Chico's FAS, Inc.* 203 2,852 Circuit City Stores, Inc. 203 1,606 Collective Brands, Inc.* 140 3,088 Dick's Sporting Goods, Inc.* 84 5,641 Dress Barn, Inc.* 8 136 DSW, Inc. Class A* 105 2,643 Finish Line, Inc. (The) Class A 26 113 Foot Locker, Inc. 196 3,005 GameStop Corp. Class A* 168 9,467 See Notes to Financial Statements. WisdomTree Domestic Earnings Fund 21 Schedule of Investments (unaudited) (concluded) WisdomTree Total Earnings Fund September 30, 2007 ---------------------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------------------- Gap, Inc. (The) 805 $ 14,844 Guess?, Inc. 126 6,178 Home Depot, Inc. 2,921 94,756 Limited Brands, Inc. 448 10,255 Lithia Motors, Inc. Class A 19 324 Lowe's Cos., Inc. 1,888 52,901 Men's Wearhouse, Inc. (The) 98 4,951 Office Depot, Inc.* 231 4,763 OfficeMax, Inc. 84 2,879 O'Reilly Automotive, Inc.* 126 4,210 Pacific Sunwear Of California, Inc.* 23 340 Penske Auto Group, Inc. 182 3,684 PetSmart, Inc. 140 4,466 RadioShack Corp. 196 4,049 Rent-A-Center, Inc.* 147 2,665 Ross Stores, Inc. 133 3,410 Sherwin-Williams Co. (The) 168 11,039 Sonic Automotive, Inc. Class A 5 120 Staples, Inc. 595 12,787 Tiffany & Co. 126 6,596 TJX Cos., Inc. 490 14,244 Tractor Supply Co.* 91 4,194 Urban Outfitters, Inc.* 175 3,815 Williams-Sonoma, Inc. 126 4,110 ----------- Total Specialty Retail 379,591 ---------------------------------------------------------------------------------------- Textiles, Apparel & Luxury Goods - 0.4% Coach, Inc.* 238 11,250 Columbia Sportswear Co. 70 3,872 Fossil, Inc.* 28 1,046 Jones Apparel Group, Inc. 133 2,810 K-Swiss, Inc. Class A 27 619 Liz Claiborne, Inc. 112 3,845 Nike, Inc. Class B 532 31,208 Phillips-Van Heusen Corp. 84 4,408 Polo Ralph Lauren Corp. 91 7,075 Skechers U.S.A., Inc. Class A* 30 663 Timberland Co. Class A* 65 1,232 UniFirst Corp. 5 187 VF Corp. 133 10,740 ----------- Total Textiles, Apparel & Luxury Goods 78,955 ---------------------------------------------------------------------------------------- Thrifts & Mortgage Finance - 0.9% Accredited Home Lenders Holding Co.*(a) 601 7,014 Astoria Financial Corp. 147 3,900 Capitol Federal Financial 112 3,830 Corus Bankshares, Inc. 426 5,547 Countrywide Financial Corp. 1,239 23,553 Delta Financial Corp.(a) 477 2,342 Downey Financial Corp. 63 3,641 FirstFed Financial Corp.*(a) 119 5,896 Fremont General Corp. 866 3,377 Hudson City Bancorp, Inc. 399 6,137 IndyMac Bancorp, Inc.(a) 286 6,752 MGIC Investment Corp. 182 5,880 New York Community Bancorp, Inc. 259 4,934 NewAlliance Bancshares, Inc. 273 4,008 Ocwen Financial Corp.* 488 4,602 People's United Financial, Inc. 210 3,629 PMI Group, Inc. (The) 175 5,723 Radian Group, Inc. 202 4,703 Sovereign Bancorp, Inc. 315 5,368 United Community Financial Corp. 386 2,787 Washington Federal, Inc. 189 4,963 Washington Mutual, Inc. 1,372 48,445 Webster Financial Corp. 91 3,833 ----------- Total Thrifts & Mortgage Finance 170,864 ---------------------------------------------------------------------------------------- Tobacco - 1.3% Altria Group, Inc. 2,627 182,655 Reynolds American, Inc. 796 50,618 UST, Inc. 175 8,680 ----------- Total Tobacco 241,953 ---------------------------------------------------------------------------------------- Trading Companies & Distributors - 0.2% Fastenal Co. 119 5,404 GATX Corp. 91 3,890 MSC Industrial Direct Co. Class A 98 4,958 United Rentals, Inc.* 168 5,405 W.W. Grainger, Inc. 105 9,574 WESCO International, Inc.* 70 3,006 ----------- Total Trading Companies & Distributors 32,237 ---------------------------------------------------------------------------------------- Water Utilities - 0.0% Aqua America Inc. 189 4,287 ---------------------------------------------------------------------------------------- Wireless Telecommunication Services - 0.5% ALLTEL Corp. 245 17,072 Leap Wireless International, Inc.* 70 5,696 NII Holdings, Inc.* 63 5,175 Sprint Nextel Corp. 889 16,891 Telephone & Data Systems, Inc. 643 42,920 United States Cellular Corp.* 84 8,249 ----------- Total Wireless Telecommunication Services 96,003 ---------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $17,743,464) 18,090,327 ======================================================================================== INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.3% MONEY MARKET FUND(b) - 0.3% UBS Private Money Market Fund LLC, 5.21% (Cost: $50,000)(c) 50,000 50,000 ======================================================================================== TOTAL INVESTMENTS IN SECURITIES - 99.9% (Cost: $17,793,464)(d) 18,140,327 Cash and Other Assets in Excess of Liabilities - 0.1% 23,721 ----------- NET ASSETS - 100.0% $18,164,048 ======================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $44,456 and the total market value of the collateral held by the Fund was $50,000. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 22 WisdomTree Domestic Earnings Fund Schedule of Investments (unaudited) WisdomTree Earnings 500 Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- COMMON STOCKS - 99.5% Aerospace & Defense - 2.6% Boeing Co. (The) 1,488 $ 156,225 General Dynamics Corp. 1,104 93,255 Goodrich Corp. 528 36,025 Honeywell International, Inc. 2,536 150,816 L-3 Communications Holdings, Inc. 368 37,588 Lockheed Martin Corp. 1,344 145,811 Northrop Grumman Corp. 1,024 79,872 Precision Castparts Corp. 288 42,618 Raytheon Co. 1,360 86,795 Rockwell Collins, Inc. 368 26,879 United Technologies Corp. 2,840 228,563 --------- Total Aerospace & Defense 1,084,447 -------------------------------------------------------------------------- Air Freight & Logistics - 0.8% C.H. Robinson Worldwide, Inc. 304 16,504 Expeditors International Washington, Inc. 288 13,622 FedEx Corp. 848 88,828 United Parcel Service Inc. Class B 2,696 202,470 --------- Total Air Freight & Logistics 321,424 -------------------------------------------------------------------------- Airlines - 0.1% Southwest Airlines Co. 1,664 24,627 US Airways Group, Inc.* 32 840 --------- Total Airlines 25,467 -------------------------------------------------------------------------- Auto Components - 0.2% Johnson Controls, Inc. 624 73,701 WABCO Holdings Inc. 164 7,667 --------- Total Auto Components 81,368 -------------------------------------------------------------------------- Automobiles - 0.1% Harley-Davidson, Inc. 768 35,489 -------------------------------------------------------------------------- Beverages - 2.0% Anheuser-Busch Cos., Inc. 2,191 109,528 Brown-Forman Corp. Class B 304 22,773 Coca-Cola Co. (The) 5,376 308,958 Coca-Cola Enterprises, Inc. 1,328 32,164 Constellation Brands, Inc. Class A* 544 13,170 Molson Coors Brewing Co. Class B 176 17,542 Pepsi Bottling Group, Inc. 768 28,547 PepsiCo, Inc. 3,976 291,282 --------- Total Beverages 823,964 -------------------------------------------------------------------------- Biotechnology - 0.7% Amgen, Inc.* 2,114 119,589 Biogen Idec, Inc.* 16 1,061 Genentech, Inc.* 1,136 88,631 Genzyme Corp.* 352 21,810 Gilead Sciences, Inc.* 1,184 48,390 --------- Total Biotechnology 279,481 -------------------------------------------------------------------------- Building Products - 0.2% American Standard Cos., Inc. 576 20,517 Masco Corp. 1,600 37,072 USG Corp.* 320 12,016 --------- Total Building Products 69,605 -------------------------------------------------------------------------- Capital Markets - 4.0% American Capital Strategies Ltd.(a) 768 32,817 Bank of New York Mellon Corp. (The) 2,732 120,590 Bear Stearns & Co., Inc. (The) 608 74,668 BlackRock, Inc. 80 13,873 Charles Schwab Corp. (The) 2,488 53,741 E*Trade Financial Corp.* 1,056 13,791 Franklin Resources, Inc. 400 51,000 Goldman Sachs Group, Inc. 2,029 439,766 Legg Mason, Inc. 304 25,624 Lehman Brothers Holdings, Inc. 2,504 154,572 Merrill Lynch & Co., Inc. 2,872 204,716 Morgan Stanley 4,899 308,638 Northern Trust Corp. 560 37,111 SEI Investments Co. 352 9,603 State Street Corp. 800 54,528 T. Rowe Price Group, Inc. 560 31,186 TD Ameritrade Holding Corp.* 1,424 25,945 --------- Total Capital Markets 1,652,169 -------------------------------------------------------------------------- Chemicals - 1.6% Air Products & Chemicals, Inc. 464 45,361 Ashland, Inc. 144 8,670 Dow Chemical Co. (The) 4,248 182,919 E.I. Du Pont de Nemours & Co. 2,520 124,891 Eastman Chemical Co. 352 23,489 Ecolab, Inc. 416 19,635 Lyondell Chemical Co. 1,232 57,103 Monsanto Co. 752 64,476 PPG Industries, Inc. 576 43,517 Praxair, Inc. 768 64,328 Rohm & Haas Co. 720 40,082 Sigma-Aldrich Corp. 336 16,377 --------- Total Chemicals 690,848 -------------------------------------------------------------------------- Commercial Banks - 4.1% BB&T Corp. 1,952 78,841 Comerica, Inc. 672 34,460 Commerce Bancorp, Inc. 336 13,030 Fifth Third Bancorp 1,824 61,797 First Horizon National Corp. 352 9,384 Huntington Bancshares, Inc. 976 16,572 KeyCorp 1,616 52,245 M&T Bank Corp. 352 36,414 Marshall & Ilsley Corp. 848 37,117 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 23 Schedule of Investments (unaudited) (continued) WisdomTree Earnings 500 Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ National City Corp. 2,520 $ 63,227 PNC Financial Services Group, Inc. (The) 1,776 120,946 Popular, Inc. 1,136 13,950 Regions Financial Corp. 1,696 49,998 SunTrust Banks, Inc. 1,232 93,225 Synovus Financial Corp. 960 26,928 U.S. Bancorp 6,660 216,650 UnionBanCal Corp. 576 33,644 Wachovia Corp. 6,256 313,739 Wells Fargo & Co. 11,556 411,626 Zions Bancorp. 352 24,172 --------- Total Commercial Banks 1,707,965 ------------------------------------------------------------------------------ Commercial Services & Supplies - 0.5% Avery Dennison Corp. 227 12,944 Cintas Corp. 400 14,840 Dun & Bradstreet Corp. 144 14,200 Equifax, Inc. 336 12,808 Manpower, Inc. 208 13,385 Monster Worldwide, Inc.* 176 5,995 Pitney Bowes, Inc. 544 24,708 R.R. Donnelley & Sons Co. 512 18,719 Republic Services, Inc. 508 16,617 Robert Half International, Inc. 368 10,988 Waste Management, Inc. 1,552 58,572 --------- Total Commercial Services & Supplies 203,776 ------------------------------------------------------------------------------ Communications Equipment - 1.8% Avaya, Inc.* 784 13,297 Cisco Systems, Inc.* 10,226 338,583 Corning, Inc. 3,432 84,599 Harris Corp. 336 19,417 Juniper Networks, Inc.* 240 8,786 Motorola, Inc. 8,250 152,873 Qualcomm, Inc. 3,112 131,513 --------- Total Communications Equipment 749,068 ------------------------------------------------------------------------------ Computers & Peripherals - 3.0% Apple, Inc.* 848 130,202 Dell, Inc.* 3,320 91,632 EMC Corp. 3,640 75,712 Hewlett-Packard Co. 6,258 311,586 International Business Machines Corp. 4,834 569,444 Lexmark International, Inc. Class A* 224 9,303 NCR Corp.* 496 24,701 Network Appliance, Inc.* 240 6,458 SanDisk Corp.* 416 22,922 --------- Total Computers & Peripherals 1,241,960 ------------------------------------------------------------------------------ Construction & Engineering - 0.1% Fluor Corp. 160 23,037 Jacobs Engineering Group, Inc.* 256 19,348 --------- Total Construction & Engineering 42,385 ------------------------------------------------------------------------------ Construction Materials - 0.0% Vulcan Materials Co. 240 21,396 ------------------------------------------------------------------------------ Consumer Finance - 0.9% American Express Co. 2,792 165,762 Capital One Financial Corp. 1,536 102,036 Discover Financial Services 2,445 50,856 SLM Corp. 1,584 78,677 --------- Total Consumer Finance 397,331 ------------------------------------------------------------------------------ Consumer Staples - 0.0% SUPERVALU, Inc. 528 20,597 ------------------------------------------------------------------------------ Containers & Packaging - 0.0% Sealed Air Corp. 448 11,451 ------------------------------------------------------------------------------ Distributors - 0.1% Genuine Parts Co. 496 24,800 ------------------------------------------------------------------------------ Diversified Consumer Services - 0.1% Apollo Group, Inc. Class A* 464 27,910 H&R Block, Inc. 880 18,638 Weight Watchers International, Inc. 224 12,893 --------- Total Diversified Consumer Services 59,441 ------------------------------------------------------------------------------ Diversified Financial Services - 6.0% Bank of America Corp. 18,734 941,758 CIT Group, Inc. 928 37,306 Citigroup, Inc. 19,598 914,639 CME Group, Inc. 32 18,795 JPMorgan Chase & Co. 12,794 586,221 Moody's Corp. 464 23,386 --------- Total Diversified Financial Services 2,522,105 ------------------------------------------------------------------------------ Diversified Telecommunication Services - 2.4% AT&T, Inc. 14,016 593,017 CenturyTel, Inc. 368 17,009 Verizon Communications, Inc. 8,812 390,195 Windstream Corp. 1,488 21,011 --------- Total Diversified Telecommunication Services 1,021,232 ------------------------------------------------------------------------------ Electric Utilities - 1.7% Allegheny Energy, Inc. 304 15,887 American Electric Power Co., Inc. 976 44,974 Duke Energy Corp. 5,328 99,580 Edison International 1,232 68,314 Entergy Corp. 560 60,642 Exelon Corp. 1,696 127,812 FirstEnergy Corp. 976 61,820 FPL Group, Inc. 1,040 63,315 Pepco Holdings, Inc. 448 12,132 Pinnacle West Capital Corp. 304 12,011 PPL Corp. 1,232 57,042 Progress Energy, Inc. 464 21,738 Southern Co. 2,096 76,043 --------- Total Electric Utilities 721,310 ------------------------------------------------------------------------------ See Notes to Financial Statements. 24 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree Earnings 500 Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------------- Electrical Equipment - 0.4% Emerson Electric Co. 2,210 $ 117,616 Rockwell Automation, Inc. 512 35,589 --------- Total Electrical Equipment 153,205 --------------------------------------------------------------------------- Electronic Equipment & Instruments - 0.2% Agilent Technologies, Inc.* 880 32,454 Amphenol Corp. Class A 384 15,268 CDW Corp. 192 16,742 Jabil Circuit, Inc. 400 9,136 Molex, Inc. 432 11,634 --------- Total Electronic Equipment & Instruments 85,234 --------------------------------------------------------------------------- Energy Equipment & Services - 1.2% Baker Hughes, Inc. 848 76,634 BJ Services Co. 1,280 33,984 Cameron International Corp.* 256 23,626 Diamond Offshore Drilling, Inc. 368 41,691 ENSCO International, Inc. 608 34,109 Grant Prideco, Inc.* 480 26,170 Halliburton Co. 4,152 159,436 National Oilwell Varco, Inc.* 416 60,112 Pride International, Inc.* 384 14,035 Smith International, Inc. 528 37,699 --------- Total Energy Equipment & Services 507,496 --------------------------------------------------------------------------- Food & Staples Retailing - 2.5% Costco Wholesale Corp. 1,040 63,825 CVS Corp. 3,988 158,044 Kroger Co. (The) 2,096 59,778 Safeway, Inc. 1,104 36,553 SYSCO Corp. 1,248 44,416 Walgreen Co. 2,032 95,992 Wal-Mart Stores, Inc. 12,905 563,304 Whole Foods Market, Inc. 208 10,184 --------- Total Food & Staples Retailing 1,032,096 --------------------------------------------------------------------------- Food Products - 1.7% Archer-Daniels-Midland Co. 2,424 80,186 Campbell Soup Co. 960 35,520 ConAgra Foods, Inc. 800 20,904 Dean Foods Co. 320 8,186 General Mills, Inc. 912 52,905 H.J. Heinz Co. 720 33,264 Hershey Co. (The) 576 26,732 Hormel Foods Corp. 384 13,740 Kellogg Co. 1,024 57,344 Kraft Foods, Inc. Class A 9,269 319,872 McCormick & Co., Inc. 240 8,633 Sara Lee Corp. 1,488 24,835 Wm. Wrigley Jr. Co. 496 31,858 --------- Total Food Products 713,979 --------------------------------------------------------------------------- Gas Utilities - 0.1% Equitable Resources, Inc. 256 13,279 Questar Corp. 480 25,214 --------- Total Gas Utilities 38,493 --------------------------------------------------------------------------- Health Care Equipment & Supplies - 1.0% Baxter International, Inc. 1,408 79,242 Becton Dickinson & Co. 560 45,948 C.R. Bard, Inc. 208 18,344 DENTSPLY International, Inc. 256 10,660 Hospira, Inc.* 288 11,938 Medtronic, Inc. 2,632 148,470 St. Jude Medical, Inc.* 528 23,269 Stryker Corp. 688 47,307 Varian Medical Systems, Inc.* 256 10,724 Zimmer Holdings, Inc.* 528 42,763 --------- Total Health Care Equipment & Supplies 438,665 --------------------------------------------------------------------------- Health Care Providers & Services - 2.2% Aetna, Inc. 2,000 108,540 AmerisourceBergen Corp. 480 21,758 Cardinal Health, Inc. 1,024 64,031 Cigna Corp. 1,344 71,622 Coventry Health Care, Inc.* 544 33,842 DaVita, Inc.* 256 16,174 Express Scripts, Inc.* 672 37,511 Health Management Associates, Inc. Class A 560 3,886 Health Net, Inc.* 352 19,026 Humana, Inc.* 352 24,598 Laboratory Corp. of America Holdings* 288 22,530 McKesson Corp. 816 47,973 Medco Health Solutions, Inc.* 656 59,296 Omnicare, Inc. 320 10,602 Patterson Cos., Inc.* 272 10,502 PharMerica Corp.* 42 627 Quest Diagnostics, Inc. 608 35,124 UnitedHealth Group, Inc. 3,832 185,583 WellPoint, Inc.* 1,936 152,789 --------- Total Health Care Providers & Services 926,014 --------------------------------------------------------------------------- Health Care Technology - 0.0% IMS Health, Inc. 560 17,158 --------------------------------------------------------------------------- Hotels, Restaurants & Leisure - 1.2% Darden Restaurants, Inc. 432 18,084 Harrah's Entertainment, Inc. 272 23,645 Hilton Hotels Corp. 576 26,778 International Game Technology 544 23,446 Las Vegas Sands Corp.* 112 14,943 Marriott International, Inc. Class A 720 31,298 McDonald's Corp. 3,384 184,327 MGM Mirage* 496 44,362 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 25 Schedule of Investments (unaudited) (continued) WisdomTree Earnings 500 Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Starbucks Corp.* 816 $ 21,379 Starwood Hotels & Resorts Worldwide, Inc. 848 51,516 Wynn Resorts Ltd.* 45 7,090 Yum! Brands, Inc. 1,472 49,798 --------- Total Hotels, Restaurants & Leisure 496,666 ------------------------------------------------------------------------------ Household Durables - 0.6% Black & Decker Corp. (The) 336 27,989 Centex Corp. 880 23,382 D.R. Horton, Inc. 2,344 30,027 Fortune Brands, Inc. 464 37,810 Harman International Industries, Inc. 128 11,075 Mohawk Industries, Inc.* 272 22,114 Newell Rubbermaid, Inc. 750 21,615 Pulte Homes, Inc. 1,856 25,260 Toll Brothers, Inc.* 1,296 25,907 Whirlpool Corp. 288 25,661 --------- Total Household Durables 250,840 ------------------------------------------------------------------------------ Household Products - 1.6% Clorox Co. (The) 368 22,444 Colgate-Palmolive Co. 976 69,608 Kimberly-Clark Corp. 1,088 76,443 Procter & Gamble Co. 7,289 512,709 --------- Total Household Products 681,204 ------------------------------------------------------------------------------ Independent Power Producers & Energy - 0.8% AES Corp. (The)* 1,965 39,379 Constellation Energy Group, Inc. 528 45,297 Mirant Corp.* 1,392 56,627 NRG Energy, Inc.* 1,088 46,012 TXU Corp. 2,194 150,222 --------- Total Independent Power Producers & Energy 337,537 ------------------------------------------------------------------------------ Industrial Conglomerates - 3.3% 3M Co. 2,493 233,295 General Electric Co. 26,456 1,095,278 Textron, Inc. 704 43,796 --------- Total Industrial Conglomerates 1,372,369 ------------------------------------------------------------------------------ Insurance - 6.8% Allstate Corp. (The) 3,800 217,322 AMBAC Financial Group, Inc. 496 31,203 American Family Life Assurance Co., Inc. 1,600 91,264 American International Group, Inc. 8,951 605,535 AON Corp. 896 40,150 Assurant, Inc. 656 35,096 Berkshire Hathaway, Inc. Class B* 112 442,624 Chubb Corp. (The) 2,210 118,544 Cincinnati Financial Corp. 592 25,640 CNA Financial Corp.* 704 27,681 Genworth Financial, Inc. Class A 1,920 59,002 Hartford Financial Services Group, Inc. (The) 1,440 133,272 Lincoln National Corp. 896 59,109 Loews Corp. 1,936 93,606 Marsh & McLennan Cos., Inc. 864 22,032 MBIA, Inc. 576 35,165 Metlife, Inc. 3,208 223,694 Nationwide Financial Services, Inc. Class A 672 36,167 Old Republic International Corp. 1,008 18,890 Principal Financial Group, Inc. 864 54,510 Progressive Corp. (The) 3,336 64,752 Prudential Financial, Inc. 1,456 142,076 Safeco Corp. 592 36,242 Torchmark Corp. 400 24,928 Travelers Cos., Inc. (The) 2,984 150,215 Unum Group 736 18,010 W.R. Berkley Corp. 960 28,445 --------- Total Insurance 2,835,174 ------------------------------------------------------------------------------ Internet & Catalog Retail - 0.2% Amazon.Com, Inc.* 400 37,260 Expedia, Inc.* 592 18,873 IAC/InterActiveCorp.* 416 12,343 --------- Total Internet & Catalog Retail 68,476 ------------------------------------------------------------------------------ Internet Software & Services - 0.7% Akamai Technologies, Inc.* 48 1,379 eBay, Inc.* 1,568 61,183 Google, Inc. Class A* 256 145,221 VeriSign, Inc.* 816 27,532 Yahoo! Inc.* 1,712 45,950 --------- Total Internet Software & Services 281,265 ------------------------------------------------------------------------------ IT Services - 0.5% Affiliated Computer Services, Inc. Class A* 272 13,665 Alliance Data Systems Corp.* 144 11,151 Automatic Data Processing, Inc. 1,104 50,707 Broadridge Financial Solutions, Inc. 274 5,192 Cognizant Technology Solutions Corp. Class A* 144 11,487 Computer Sciences Corp.* 384 21,466 Electronic Data Systems Corp. 784 17,123 Fidelity National Information Services, Inc. 288 12,779 Fiserv, Inc.* 448 22,785 Iron Mountain, Inc.* 224 6,828 Paychex, Inc. 592 24,272 Total System Services, Inc. 416 11,556 --------- Total IT Services 209,011 ------------------------------------------------------------------------------ Leisure Equipment & Products - 0.1% Mattel, Inc. 1,264 29,653 ------------------------------------------------------------------------------ Life Sciences Tools & Services - 0.1% Thermo Fisher Scientific, Inc.* 224 12,929 Waters Corp.* 224 14,990 --------- Total Life Sciences Tools & Services 27,919 ------------------------------------------------------------------------------ See Notes to Financial Statements. 26 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree Earnings 500 Fund September 30, 2007 ----------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------- Machinery - 2.2% Caterpillar, Inc. 3,048 $ 239,054 Cummins, Inc. 608 77,757 Danaher Corp. 736 60,875 Deere & Co. 784 116,361 Dover Corp. 592 30,162 Eaton Corp. 640 63,386 Illinois Tool Works, Inc. 1,840 109,738 ITT Corp. 400 27,172 Joy Global, Inc. 448 22,785 Paccar, Inc. 1,104 94,116 Parker Hannifin Corp. 496 55,468 Terex Corp.* 304 27,062 --------- Total Machinery 923,936 ----------------------------------------------------------------------- Media - 2.6% CBS Corp. Class B 2,016 63,504 Citadel Broadcasting Corp. 389 1,618 Clear Channel Communications, Inc. 864 32,348 Comcast Corp. Class A* 2,668 64,512 DIRECTV Group, Inc. (The)* 2,440 59,243 E.W. Scripps Co. (The) Class A 350 14,700 EchoStar Communications Corp. Class A* 784 36,699 Gannett Co., Inc. 880 38,456 McGraw-Hill Cos., Inc. (The) 640 32,582 News Corp. Class A 15,602 343,088 Omnicom Group, Inc. 832 40,011 Time Warner, Inc. 9,516 174,714 Tribune Co.* 752 20,545 Walt Disney Co. (The) 5,104 175,527 --------- Total Media 1,097,547 ----------------------------------------------------------------------- Metals & Mining - 1.7% Alcoa, Inc. 3,448 134,886 Allegheny Technologies, Inc. 320 35,184 Freeport-McMoRan Copper & Gold, Inc. 1,184 124,190 Newmont Mining Corp. 576 25,764 Nucor Corp. 1,456 86,588 Southern Copper Corp. 1,600 198,128 Titanium Metals Corp.* 432 14,498 United States Steel Corp. 832 88,142 --------- Total Metals & Mining 707,380 ----------------------------------------------------------------------- Multiline Retail - 0.8% JC Penney Co., Inc. 688 43,599 Kohl's Corp.* 672 38,526 Macy's, Inc. 1,056 34,130 Nordstrom, Inc. 608 28,509 Sears Holdings Corp.* 256 32,563 Target Corp. 2,194 139,472 --------- Total Multiline Retail 316,799 ----------------------------------------------------------------------- Multi-Utilities - 1.0% Ameren Corp. 544 28,560 Centerpoint Energy, Inc. 1,392 22,314 Consolidated Edison, Inc. 608 28,150 Dominion Resources, Inc. 976 82,277 DTE Energy Co. 656 31,777 NiSource, Inc. 704 13,475 PG&E Corp. 1,184 56,595 Public Service Enterprise Group, Inc. 480 42,235 SCANA Corp. 352 13,636 Sempra Energy 1,200 69,744 Wisconsin Energy Corp. 352 15,851 Xcel Energy, Inc. 1,200 25,848 --------- Total Multi-Utilities 430,462 ----------------------------------------------------------------------- Office Electronics - 0.2% Xerox Corp.* 3,752 65,060 ----------------------------------------------------------------------- Oil, Gas & Consumable Fuels - 16.6% Anadarko Petroleum Corp. 3,720 199,950 Apache Corp. 1,952 175,797 Arch Coal, Inc. 304 10,257 Chesapeake Energy Corp. 2,984 105,216 Chevron Corp. 12,020 1,124,832 ConocoPhillips 11,781 1,034,018 CONSOL Energy, Inc. 496 23,114 Devon Energy Corp. 2,344 195,021 El Paso Corp. 1,168 19,821 EOG Resources, Inc. 1,120 81,010 Exxon Mobil Corp. 26,648 2,466,540 Hess Corp. 1,664 110,706 Marathon Oil Corp. 5,520 314,750 Murphy Oil Corp. 688 48,084 Newfield Exploration Co.* 688 33,134 Noble Energy, Inc. 592 41,464 Occidental Petroleum Corp. 4,588 293,999 Peabody Energy Corp. 656 31,403 Pioneer Natural Resources Co. 272 12,235 Southwestern Energy Co.* 224 9,374 Sunoco, Inc. 880 62,286 Tesoro Corp. 1,024 47,124 Valero Energy Corp. 5,168 347,186 Williams Cos., Inc. (The) 848 28,883 XTO Energy, Inc. 1,936 119,722 --------- Total Oil, Gas & Consumable Fuels 6,935,926 ----------------------------------------------------------------------- Paper & Forest Products - 0.0% MeadWestvaco Corp. 96 2,835 Weyerhaeuser Co. 80 5,784 --------- Total Paper & Forest Products 8,619 ----------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 27 Schedule of Investments (unaudited) (continued) WisdomTree Earnings 500 Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------------- Personal Products - 0.1% Avon Products, Inc. 784 $ 29,424 Estee Lauder Cos., Inc. (The) Class A 416 17,663 --------- Total Personal Products 47,087 ------------------------------------------------------------------------------- Pharmaceuticals - 5.4% Abbott Laboratories 3,352 179,734 Barr Pharmaceuticals, Inc.* 320 18,211 Bristol-Myers Squibb Co. 4,556 131,304 Eli Lilly & Co. 3,064 174,434 Forest Laboratories, Inc.* 704 26,252 Johnson & Johnson 8,298 545,179 Merck & Co., Inc. 6,548 338,466 Pfizer, Inc. 24,667 602,615 Schering-Plough Corp. 2,096 66,296 Sepracor, Inc.* 96 2,640 Wyeth 4,152 184,972 --------- Total Pharmaceuticals 2,270,103 ------------------------------------------------------------------------------- Real Estate Investment Trusts - 0.5% AMB Property Corp. 144 8,613 Archstone-Smith Trust 176 10,585 AvalonBay Communities, Inc. 64 7,556 Boston Properties, Inc. 400 41,559 Developers Diversified Realty Corp. 144 8,045 Duke Realty Corp. 96 3,246 Equity Residential 64 2,711 General Growth Properties, Inc. 30 1,609 HCP, Inc. 208 6,899 Host Hotels & Resorts, Inc. 384 8,617 Kimco Realty Corp. 384 17,361 Macerich Co. (The) 32 2,803 Plum Creek Timber Co., Inc. 416 18,620 Prologis 368 24,416 Public Storage, Inc. 112 8,809 Regency Centers Corp. 80 6,140 Simon Property Group, Inc. 192 19,200 SL Green Realty Corp. 48 5,605 Vornado Realty Trust 192 20,995 --------- Total Real Estate Investment Trusts 223,389 ------------------------------------------------------------------------------- Real Estate Management & Development - 0.0% CB Richard Ellis Group, Inc. Class A* 448 12,472 ------------------------------------------------------------------------------- Road & Rail - 0.8% Burlington Northern Santa Fe Corp. 1,248 101,301 CSX Corp. 1,632 69,735 Norfolk Southern Corp. 1,408 73,089 Union Pacific Corp. 736 83,212 --------- Total Road & Rail 327,337 ------------------------------------------------------------------------------- Semiconductors & Semiconductor Equipment - 2.0% Advanced Micro Devices, Inc.* 1,392 18,374 Altera Corp. 704 16,952 Analog Devices, Inc. 480 17,357 Applied Materials, Inc. 3,304 68,393 Broadcom Corp. Class A* 384 13,993 Intel Corp. 13,545 350,274 KLA-Tencor Corp. 176 9,817 Lam Research Corp.* 448 23,860 Linear Technology Corp. 720 25,193 Maxim Integrated Products, Inc. 784 23,010 MEMC Electronic Materials, Inc.* 336 19,777 Microchip Technology, Inc. 400 14,528 Micron Technology, Inc.* 736 8,170 National Semiconductor Corp. 976 26,469 Nvidia Corp.* 648 23,484 Texas Instruments, Inc. 4,588 167,875 Xilinx, Inc. 672 17,566 --------- Total Semiconductors & Semiconductor Equipment 845,092 ------------------------------------------------------------------------------- Software - 2.4% Activision Inc.* 80 1,727 Adobe Systems, Inc.* 544 23,751 Autodesk, Inc.* 256 12,792 BEA Systems, Inc.* 336 4,660 BMC Software, Inc.* 272 8,495 CA, Inc. 208 5,350 Cadence Design Systems, Inc.* 192 4,260 Citrix Systems, Inc.* 336 13,547 Electronic Arts, Inc.* 144 8,063 Intuit, Inc.* 608 18,422 Microsoft Corp. 22,635 666,826 Oracle Corp.* 9,890 214,119 Symantec Corp.* 720 13,954 --------- Total Software 995,966 ------------------------------------------------------------------------------- Specialty Retail - 1.8% Abercrombie & Fitch Co. Class A 256 20,659 American Eagle Outfitters, Inc. 496 13,050 Autozone, Inc.* 256 29,732 Bed Bath & Beyond, Inc.* 736 25,112 Best Buy Co., Inc. 1,264 58,169 Carmax, Inc.* 352 7,156 Gap, Inc. (The) 2,162 39,867 Home Depot, Inc. 7,994 259,326 Limited Brands, Inc. 1,200 27,468 Lowe's Cos., Inc. 5,072 142,117 Office Depot, Inc.* 624 12,867 Sherwin-Williams Co. (The) 448 29,438 Staples, Inc. 1,584 34,040 Tiffany & Co. 336 17,590 TJX Cos., Inc. 1,312 38,140 --------- Total Specialty Retail 754,731 ------------------------------------------------------------------------------- See Notes to Financial Statements. 28 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (concluded) WisdomTree Earnings 500 Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------------- Textiles, Apparel & Luxury Goods - 0.4% Coach, Inc.* 640 $ 30,253 Nike, Inc. Class B 1,408 82,593 Polo Ralph Lauren Corp. 240 18,660 VF Corp. 352 28,424 ----------- Total Textiles, Apparel & Luxury Goods 159,930 -------------------------------------------------------------------------------- Thrifts & Mortgage Finance - 0.6% Countrywide Financial Corp. 3,674 69,843 Hudson City Bancorp, Inc. 1,064 16,364 MGIC Investment Corp. 480 15,509 New York Community Bancorp, Inc. 672 12,802 People's Bank 131 2,264 Sovereign Bancorp, Inc. 864 14,723 Washington Mutual, Inc. 3,672 129,657 ----------- Total Thrifts & Mortgage Finance 261,162 -------------------------------------------------------------------------------- Tobacco - 1.5% Altria Group, Inc. 6,852 476,420 Reynolds American, Inc. 2,096 133,285 UST, Inc. 464 23,014 ----------- Total Tobacco 632,719 -------------------------------------------------------------------------------- Trading Companies & Distributors - 0.1% Fastenal Co. 288 13,078 W.W. Grainger, Inc. 288 26,263 ----------- Total Trading Companies & Distributors 39,341 -------------------------------------------------------------------------------- Wireless Telecommunication Services - 0.6% ALLTEL Corp. 656 45,710 NII Holdings, Inc.* 176 14,458 Sprint Nextel Corp. 2,392 45,448 Telephone & Data Systems, Inc. 1,696 113,208 United States Cellular Corp.* 224 21,997 ----------- Total Wireless Telecommunication Services 240,821 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $40,617,549) 41,607,412 ================================================================================ INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.0% MONEY MARKET FUND(b) - 0.0% UBS Private Money Market Fund LLC, 5.21% (Cost: $21,500)(c) 21,500 21,500 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 99.5% (Cost: $40,639,049)(d) 41,628,912 Cash and Other Assets in Excess of Liabilities - 0.5% 196,247 ----------- NET ASSETS - 100.0% $41,825,159 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $20,960 and the total market value of the collateral held by the Fund was $21,500. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 29 Schedule of Investments (unaudited) WisdomTree MidCap Earnings Fund September 30, 2007 ------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------ COMMON STOCKS - 99.1% Aerospace & Defense - 1.2% Alliant Techsystems, Inc.* 534 $ 58,366 BE Aerospace, Inc.* 1,331 55,276 Ceradyne, Inc.* 535 40,521 Curtiss-Wright Corp. 561 26,648 DRS Technologies, Inc. 473 26,072 Hexcel Corp.* 2,764 62,770 Moog, Inc. Class A* 625 27,463 Teledyne Technologies, Inc.* 506 27,015 -------- Total Aerospace & Defense 324,131 ------------------------------------------------------------------------ Air Freight & Logistics - 0.0% Hub Group, Inc. Class A* 419 12,583 ------------------------------------------------------------------------ Airlines - 0.4% Continental Airlines, Inc. Class B* 1,731 57,175 Skywest, Inc. 1,671 42,059 -------- Total Airlines 99,234 ------------------------------------------------------------------------ Auto Components - 2.0% ArvinMeritor, Inc. 2,016 33,909 Autoliv, Inc. 1,705 101,874 BorgWarner, Inc. 1,127 103,154 Gentex Corp. 1,826 39,149 Goodyear Tire & Rubber Co. (The)* 4,883 148,493 Sauer-Danfoss, Inc. 528 14,087 TRW Automotive Holdings Corp.* 3,102 98,271 -------- Total Auto Components 538,937 ------------------------------------------------------------------------ Automobiles - 0.2% Thor Industries, Inc. 1,050 47,240 ------------------------------------------------------------------------ Beverages - 0.4% Hansen Natural Corp.* 539 30,551 PepsiAmericas, Inc. 2,170 70,394 -------- Total Beverages 100,945 ------------------------------------------------------------------------ Biotechnology - 0.7% Cephalon, Inc.* 651 47,562 ImClone Systems, Inc.* 2,993 123,731 United Therapeutics Corp.* 295 19,629 -------- Total Biotechnology 190,922 ------------------------------------------------------------------------ Building Products - 0.3% Lennox International, Inc. 1,491 50,396 NCI Buildings Systems, Inc.* 96 4,148 Simpson Manufacturing Co., Inc. 975 31,054 -------- Total Building Products 85,598 ------------------------------------------------------------------------ Capital Markets - 2.6% Affiliated Managers Group, Inc.* 363 46,286 Allied Capital Corp.(a) 4,622 135,842 Apollo Investment Corp. 1,595 33,176 Eaton Vance Corp. 1,276 50,989 Federated Investors, Inc. Class B 1,540 61,138 GFI Group, Inc.* 286 24,630 Greenhill & Co., Inc. 297 18,132 Investment Technology Group, Inc.* 591 25,401 Janus Capital Group, Inc. 1,408 39,818 Jefferies Group, Inc. 1,919 53,406 Knight Capital Group, Inc. Class A* 1,892 22,628 MCG Capital Corp. 1,705 24,535 Nuveen Investments, Inc. Class A 893 55,312 optionsXpress Holdings, Inc. 915 23,918 Raymond James Financial, Inc. 1,782 58,539 Waddell & Reed Financial, Inc. Class A 1,309 35,382 -------- Total Capital Markets 709,132 ------------------------------------------------------------------------ Chemicals - 3.6% Airgas, Inc. 937 48,377 Albemarle Corp. 780 34,476 Cabot Corp. 684 24,303 Celanese Corp. Series A 3,328 129,725 CF Industries Holdings, Inc. 572 43,421 Cytec Industries, Inc. 548 37,478 FMC Corp. 924 48,066 H.B. Fuller Co. 827 24,545 Hercules, Inc. 937 19,696 Huntsman Corp. 4,722 125,086 International Flavors & Fragrances, Inc. 1,386 73,264 Lubrizol Corp. 1,083 70,460 Nalco Holding Co. 1,017 30,154 Olin Corp. 2,604 58,278 OM Group, Inc.* 787 41,561 Rockwood Holdings, Inc.* 882 31,602 Scotts Miracle-Gro Co. (The) Class A 744 31,806 Valhi, Inc. 794 18,858 Valspar Corp. (The) 1,639 44,597 Westlake Chemical Corp. 2,118 53,649 -------- Total Chemicals 989,402 ------------------------------------------------------------------------ Commercial Banks - 4.6% Alabama National Bancorp 286 22,285 Associated Banc-Corp 2,566 76,030 BancorpSouth, Inc. 1,386 33,680 Bank of Hawaii Corp. 904 47,776 BOK Financial Corp. 1,075 55,266 Cathay General Bancorp 925 29,794 Central Pacific Financial Corp. 603 17,608 Chittenden Corp. 750 26,370 Citizens Banking Corp. 1,441 23,215 City National Corp. 915 63,601 Colonial BancGroup, Inc. (The) 2,698 58,330 Commerce Bancshares, Inc. 1,226 56,261 Cullen/Frost Bankers, Inc. 904 45,308 East West Bancorp, Inc. 1,050 37,758 First Citizens BancShares, Inc. Class A 165 28,776 First Community Bancorp 377 20,626 First Midwest Bancorp, Inc. 772 26,372 FirstMerit Corp. 1,276 25,214 Fulton Financial Corp. 3,017 43,384 See Notes to Financial Statements. 30 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Earnings Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------- Glacier Bancorp, Inc. 647 $ 14,570 Hancock Holding Co. 473 18,958 International Bancshares Corp. 1,253 27,190 Old National Bancorp 831 13,770 Pacific Capital Bancorp 882 23,197 Park National Corp.(a) 264 23,021 Provident Bankshares Corp. 550 17,232 South Financial Group, Inc. (The) 835 18,988 Susquehanna Bancshares, Inc. 871 17,507 SVB Financial Group* 550 26,048 TCF Financial Corp. 2,560 67,020 Trustmark Corp. 970 27,199 UCBH Holdings, Inc. 1,215 21,238 UMB Financial Corp. 506 21,687 Umpqua Holdings Corp. 706 14,127 United Bankshares, Inc. 616 18,751 Valley National Bancorp 1,875 41,588 Westamerica Bancorp 550 27,396 Whitney Holding Corp. 1,193 31,471 Wilmington Trust Corp. 1,182 45,980 --------- Total Commercial Banks 1,254,592 ---------------------------------------------------------------------- Commercial Services & Supplies - 2.2% Allied Waste Industries, Inc.* 3,492 44,523 American Reprographics Co.* 583 10,914 Brady Corp. Class A 750 26,910 Brink's Co. (The) 308 17,211 ChoicePoint, Inc.* 739 28,023 Copart, Inc.* 1,017 34,975 Corporate Executive Board Co. 242 17,966 Corrections Corp. of America* 1,078 28,211 Covanta Holding Corp.* 1,408 34,510 Deluxe Corp. 1,061 39,087 Herman Miller, Inc. 853 23,150 HNI Corp. 823 29,628 IKON Office Solutions, Inc. 1,617 20,778 Mine Safety Appliances Co. 484 22,801 PHH Corp.* 970 25,492 Resources Connection, Inc. 605 14,006 Rollins, Inc. 849 22,660 Steelcase, Inc. Class A 1,061 19,077 Stericycle, Inc.* 750 42,870 TeleTech Holdings, Inc.* 583 13,940 United Stationers, Inc.* 747 41,473 Waste Connections, Inc.* 662 21,025 Watson Wyatt Worldwide, Inc. Class A 583 26,200 --------- Total Commercial Services & Supplies 605,430 ---------------------------------------------------------------------- Communications Equipment - 1.0% ADC Telecommunications, Inc.* 1,127 22,100 Adtran, Inc. 1,162 26,761 Arris Group, Inc.* 2,326 28,726 Avocent Corp.* 539 15,696 CommScope, Inc.* 1,083 54,410 F5 Networks, Inc.* 506 18,818 Foundry Networks, Inc.* 815 14,483 InterDigital, Inc.* 695 14,442 Polycom, Inc.* 550 14,773 Tellabs, Inc.* 6,797 64,707 --------- Total Communications Equipment 274,916 ---------------------------------------------------------------------- Computers & Peripherals - 1.3% Brocade Communications Systems, Inc.* 2,293 19,628 Diebold, Inc. 418 18,986 Emulex Corp.* 1,072 20,550 Imation Corp. 440 10,793 Intermec, Inc.* 748 19,538 Palm, Inc.* 6,522 106,113 QLogic Corp.* 1,149 15,454 Western Digital Corp.* 5,787 146,527 --------- Total Computers & Peripherals 357,589 ---------------------------------------------------------------------- Construction & Engineering - 0.7% EMCOR Group, Inc.* 638 20,008 Granite Construction, Inc. 572 30,327 Quanta Services, Inc.* 959 25,366 Shaw Group, Inc. (The)* 627 36,429 URS Corp.* 717 40,474 Washington Group International, Inc.* 330 28,977 --------- Total Construction & Engineering 181,581 ---------------------------------------------------------------------- Construction Materials - 1.2% Eagle Materials, Inc. 1,364 48,749 Florida Rock Industries, Inc. 2,743 171,410 Martin Marietta Materials, Inc. 616 82,267 Texas Industries, Inc. 284 22,294 --------- Total Construction Materials 324,720 ---------------------------------------------------------------------- Consumer Finance - 1.0% Advanta Corp. Class B 728 19,962 AmeriCredit Corp.* 3,831 67,349 CompuCredit Corp.*(a) 761 16,521 First Marblehead Corp. (The)(a) 1,975 74,912 Nelnet, Inc. Class A 1,155 21,067 Student Loan Corp. (The) 408 73,571 --------- Total Consumer Finance 273,382 ---------------------------------------------------------------------- Containers & Packaging - 1.6% AptarGroup, Inc. 915 34,651 Ball Corp. 1,793 96,374 Bemis Co. Inc. 1,386 40,346 Greif, Inc. Class A 396 24,029 Packaging Corp. of America 1,088 31,628 Pactiv Corp.* 1,639 46,974 Silgan Holdings, Inc. 572 30,745 Sonoco Products Co. 1,408 42,493 Temple-Inland, Inc. 1,844 97,051 --------- Total Containers & Packaging 444,291 ---------------------------------------------------------------------- Diversified Consumer Services - 1.0% Career Education Corp.* 1,859 52,033 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 31 Schedule of Investments (unaudited) (continued) WisdomTree MidCap Earnings Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ DeVry, Inc. 651 $ 24,094 ITT Educational Services, Inc.* 418 50,866 Matthews International Corp. Class A 486 21,287 Regis Corp. 594 18,955 Service Corp International 2,126 27,425 Sotheby's 750 35,843 Strayer Education, Inc. 165 27,824 --------- Total Diversified Consumer Services 258,327 ------------------------------------------------------------------------------ Diversified Financials - 0.2% International Securities Exchange, Inc. 407 27,053 Nasdaq Stock Market, Inc. (The)* 594 22,382 --------- Total Diversified Financials 49,435 ------------------------------------------------------------------------------ Diversified Telecommunication Services - 0.4% Citizens Communications Co. 4,576 65,529 Golden Telecom, Inc. 517 41,613 --------- Total Diversified Telecommunication Services 107,142 ------------------------------------------------------------------------------ Electric Utilities - 1.4% ALLETE, Inc. 473 21,171 Cleco Corp. 1,760 44,475 DPL, Inc. 1,606 42,174 EL Paso Electric Co.* 905 20,933 Great Plains Energy, Inc. 1,039 29,934 Hawaiian Electric Industries, Inc. 1,149 24,945 IDACORP, Inc. 758 24,817 ITC Holdings Corp. 429 21,257 Northeast Utilities 1,028 29,370 Sierra Pacific Resources 4,359 68,566 UniSource Energy Corp. 627 18,741 Westar Energy, Inc. 1,639 40,254 --------- Total Electric Utilities 386,637 ------------------------------------------------------------------------------ Electrical Equipment - 1.7% Acuity Brands, Inc. 594 29,985 AMETEK, Inc. 1,441 62,280 Belden, Inc. 494 23,174 Franklin Electric Co., Inc. 676 27,790 General Cable Corp.* 605 40,608 Genlyte Group, Inc.* 495 31,809 Hubbell, Inc. Class B 1,096 62,603 Regal-Beloit Corp. 549 26,292 Roper Industries, Inc. 987 64,648 Thomas & Betts Corp.* 835 48,964 Woodward Governor Co. 472 29,453 --------- Total Electrical Equipment 447,606 ------------------------------------------------------------------------------ Electronic Equipment & Instruments - 2.7% Anixter International, Inc.* 815 67,197 Arrow Electronics, Inc.* 2,834 120,502 Avnet, Inc.* 2,687 107,104 AVX Corp. 2,472 39,799 Benchmark Electronics, Inc.* 1,242 29,647 Dolby Laboratories, Inc. Class A* 783 27,264 Flir Systems, Inc.* 783 43,370 Ingram Micro, Inc. Class A* 3,435 67,360 Itron, Inc.* 308 28,666 Mettler-Toledo International, Inc.* 496 50,592 National Instruments Corp. 684 23,482 Solectron Corp.* 8,916 34,772 Tektronix, Inc. 838 23,246 Trimble Navigation Ltd.* 1,083 42,464 Vishay Intertechnology, Inc.* 2,973 38,738 --------- Total Electronic Equipment & Instruments 744,203 ------------------------------------------------------------------------------ Energy Equipment & Services - 4.2% Atwood Oceanics, Inc.* 407 31,160 Dresser-Rand Group, Inc.* 772 32,972 Dril-Quip, Inc.* 506 24,971 Exterran Holdings, Inc.* 636 51,096 FMC Technologies, Inc.* 1,588 91,564 Global Industries Ltd.* 2,720 70,067 Grey Wolf, Inc.* 7,334 48,038 Helmerich & Payne, Inc. 2,819 92,548 Oceaneering International, Inc.* 717 54,349 Oil States International, Inc.* 1,419 68,538 Patterson-UTI Energy, Inc. 6,925 156,296 Rowan Cos., Inc. 2,260 82,671 RPC, Inc. 1,584 22,509 SEACOR Holdings, Inc.* 627 59,628 Superior Energy Services, Inc.* 1,061 37,602 Tetra Technologies, Inc.* 816 17,250 Tidewater, Inc. 1,364 85,714 Unit Corp.* 1,639 79,328 W-H Energy Services, Inc.* 539 39,751 --------- Total Energy Equipment & Services 1,146,052 ------------------------------------------------------------------------------ Food & Staples Retailing - 1.6% BJ's Wholesale Club, Inc.* 998 33,094 Casey's General Stores, Inc. 728 20,166 Longs Drug Stores Corp. 440 21,855 Rite Aid Corp.* 66,713 308,213 Ruddick Corp. 744 24,954 United Natural Foods, Inc.* 572 15,570 --------- Total Food & Staples Retailing 423,852 ------------------------------------------------------------------------------ Food Products - 1.2% Corn Products International, Inc. 860 39,448 Del Monte Foods Co. 2,929 30,755 Flowers Foods, Inc. 976 21,277 J.M. Smucker Co. (The) 750 40,065 Lancaster Colony Corp. 484 18,474 Ralcorp Holdings, Inc.* 352 19,649 Seaboard Corp. 44 86,240 Smithfield Foods, Inc.* 1,716 54,054 Tootsie Roll Industries, Inc. 627 16,634 --------- Total Food Products 326,596 ------------------------------------------------------------------------------ See Notes to Financial Statements. 32 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Earnings Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------- Gas Utilities - 1.9% AGL Resources Inc. 1,584 $62,758 Atmos Energy Corp. 1,287 36,448 Energen Corp. 1,364 77,913 National Fuel Gas Co. 1,061 49,665 New Jersey Resources Corp. 436 21,621 Nicor, Inc. 754 32,347 Northwest Natural Gas Co. 491 22,439 ONEOK, Inc. 1,353 64,132 Piedmont Natural Gas Co., Inc. 948 23,785 Southern Union Co. 1,551 48,252 Southwest Gas Corp. 484 13,692 UGI Corp. 1,683 43,724 WGL Holdings, Inc. 725 24,570 ------- Total Gas Utilities 521,346 ---------------------------------------------------------------------- Health Care Equipment & Supplies - 2.4% Advanced Medical Optics, Inc* 495 15,142 Beckman Coulter, Inc. 396 29,209 Cooper Cos., Inc. (The) 407 21,335 Cytyc Corp.* 1,182 56,322 Dade Behring Holdings, Inc. 893 68,181 Edwards Lifesciences Corp.* 627 30,917 Gen-Probe, Inc.* 363 24,169 Hillenbrand Industries, Inc. 920 50,618 Hologic, Inc.* 352 21,472 IDEXX Laboratories, Inc.* 286 31,343 Immucor, Inc.* 583 20,842 Intuitive Surgical, Inc.* 253 58,190 Kinetic Concepts, Inc.* 1,309 73,670 Kyphon, Inc.* 373 26,110 Mentor Corp. 385 17,729 Resmed, Inc.* 528 22,635 Respironics, Inc.* 750 36,023 Sirona Dental Systems, Inc.* 368 13,127 STERIS Corp. 728 19,896 West Pharmaceutical Services, Inc. 280 11,665 ------- Total Health Care Equipment & Supplies 648,595 ---------------------------------------------------------------------- Health Care Providers & Services - 2.0% AMERIGROUP Corp.* 1,478 50,961 Community Health Systems, Inc.* 1,276 40,117 Henry Schein, Inc.* 915 55,669 LifePoint Hospitals, Inc.* 1,061 31,841 Lincare Holdings, Inc.* 1,452 53,216 Magellan Health Services, Inc.* 513 20,818 Manor Care, Inc. 871 56,092 Owens & Minor, Inc. 688 26,206 Pediatrix Medical Group, Inc.* 352 23,028 Psychiatric Solutions, Inc.* 495 19,444 Sierra Health Services, Inc.* 959 40,460 Sunrise Senior Living, Inc.* 517 18,286 Universal Health Services, Inc. Class B 594 32,325 VCA Antech, Inc.* 794 33,150 WellCare Health Plans, Inc.* 352 37,111 ------- Total Health Care Providers & Services 538,724 ---------------------------------------------------------------------- Health Care Technology - 0.2% Allscripts Healthcare Solutions, Inc.* 468 12,650 Cerner Corp.* 528 31,580 HLTH Corp.* 1,738 24,627 ------- Total Health Care Technology 68,857 ---------------------------------------------------------------------- Hotels, Restaurants & Leisure - 2.5% Ameristar Casinos, Inc. 605 17,001 Applebee's International, Inc. 948 23,586 Boyd Gaming Corp. 739 31,666 Brinker International, Inc. 1,965 53,920 CBRL Group, Inc. 711 29,009 CEC Entertainment, Inc.* 472 12,683 Cheesecake Factory (The)* 926 21,733 Choice Hotels International, Inc. 706 26,595 CKE Restaurants, Inc. 3,016 48,889 Domino's Pizza, Inc. 2,083 34,557 International Speedway Corp. Class A 849 38,935 Jack in the Box, Inc.* 519 33,652 Life Time Fitness, Inc.* 352 21,592 Panera Bread Co. Class A* 328 13,382 Penn National Gaming, Inc.* 1,138 67,164 Pinnacle Entertainment, Inc.* 561 15,276 Ruby Tuesday, Inc. 999 18,322 Scientific Games Corp. Class A* 662 24,891 Sonic Corp.* 985 23,049 Speedway Motorsports, Inc. 783 28,971 Station Casinos, Inc. 429 37,529 Vail Resorts, Inc.* 396 24,667 Wendy's International, Inc. 572 19,969 ------- Total Hotels, Restaurants & Leisure 667,038 ---------------------------------------------------------------------- Household Durables - 2.9% American Greetings Corp. Class A 1,039 27,430 Beazer Homes USA, Inc.(a) 2,316 19,107 Ethan Allen Interiors, Inc. 572 18,699 Hovnanian Enterprises, Inc. Class A*(a) 3,295 36,542 Jarden Corp.* 572 17,698 KB Home 3,591 89,990 Leggett & Platt, Inc. 3,164 60,622 MDC Holdings, Inc. 2,031 83,149 Meritage Homes Corp.*(a) 1,887 26,644 NVR, Inc.* 287 134,961 Ryland Group, Inc. (The) 2,232 47,832 Snap-On, Inc. 651 32,251 Standard-Pacific Corp. 3,921 21,526 Stanley Works (The) 1,480 83,072 Tempur-Pedic International, Inc. 1,474 52,696 Tupperware Brands Corp. 1,006 31,679 ------- Total Household Durables 783,898 ---------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 33 Schedule of Investments (unaudited) (continued) WisdomTree MidCap Earnings Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------------- Household Products - 0.7% Central Garden & Pet Co.* 3,544 $ 31,542 Church & Dwight Co., Inc. 1,105 51,979 Energizer Holdings, Inc.* 1,031 114,286 --------- Total Household Products 197,807 -------------------------------------------------------------------------------- Independent Power Producers & Energy - 0.1% Ormat Technologies, Inc. 429 19,880 -------------------------------------------------------------------------------- Industrial Conglomerates - 0.6% Carlisle Cos., Inc. 1,083 52,634 Sequa Corp. Class A* 154 25,530 Teleflex, Inc. 572 44,570 Walter Industries, Inc. 1,628 43,793 --------- Total Industrial Conglomerates 166,527 -------------------------------------------------------------------------------- Insurance - 6.0% Alfa Corp. 1,398 25,416 Alleghany Corp.* 143 58,058 American Financial Group, Inc. 2,797 79,770 American National Insurance Co. 385 50,647 Arthur J. Gallagher & Co. 1,127 32,649 Brown & Brown, Inc. 1,584 41,659 Commerce Group, Inc. 2,170 63,950 Conseco, Inc.* 3,391 54,256 Delphi Financial Group, Inc. Class A 937 37,874 Erie Indemnity Co. Class A 981 59,969 FBL Financial Group, Inc. Class A 539 21,285 First American Corp. 1,844 67,527 Hanover Insurance Group, Inc. (The) 1,171 51,746 HCC Insurance Holdings, Inc. 2,027 58,053 Hilb Rogal & Hobbs Co. 548 23,745 Markel Corp.* 220 106,479 Mercury General Corp. 1,017 54,847 National Financial Partners Corp. 396 20,980 Odyssey Re Holdings Corp. 1,870 69,396 Philadelphia Consolidated Holding Co.* 1,659 68,583 Phoenix Cos., Inc. (The) 1,320 18,625 ProAssurance Corp.* 638 34,369 Protective Life Corp. 1,713 72,700 Reinsurance Group of America, Inc. 1,408 79,820 RLI Corp. 454 25,751 Selective Insurance Group, Inc. 1,364 29,026 StanCorp Financial Group, Inc. 1,160 57,432 State Auto Financial Corp. 794 23,225 Transatlantic Holdings, Inc. 1,353 95,155 Unitrin, Inc. 1,518 75,278 Wesco Financial Corp. 55 21,890 Zenith National Insurance Corp. 1,342 60,242 --------- Total Insurance 1,640,402 -------------------------------------------------------------------------------- Internet & Catalog Retail - 0.3% NetFlix, Inc.*(a) 816 16,908 NutriSystem, Inc.* 429 20,116 priceline.com, Inc.* 407 36,121 --------- Total Internet & Catalog Retail 73,145 -------------------------------------------------------------------------------- Internet Software & Services - 0.2% Digital River, Inc.* 341 15,260 RealNetworks, Inc.* 1,804 12,231 ValueClick, Inc.* 717 16,104 --------- Total Internet Software & Services 43,595 -------------------------------------------------------------------------------- IT Services - 1.6% Acxiom Corp. 936 18,523 CACI International, Inc. Class A* 311 15,889 Ceridian Corp.* 1,738 60,377 CheckFree Corp.* 827 38,489 Convergys Corp.* 1,617 28,071 DST Systems, Inc.* 637 54,661 Gartner, Inc.* 849 20,767 Global Payments, Inc. 758 33,519 Mantech International Corp.* 983 35,368 MoneyGram International, Inc. 1,386 31,310 MPS Group, Inc.* 1,364 15,209 Perot Systems Corp. Class A* 1,127 19,058 VeriFone Holdings, Inc.* 462 20,480 Wright Express Corp.* 1,006 36,709 --------- Total IT Services 428,430 -------------------------------------------------------------------------------- Leisure Equipment & Products - 0.7% Brunswick Corp. 2,588 59,162 Hasbro, Inc. 2,159 60,193 Oakley, Inc. 849 24,646 Polaris Industries, Inc. 695 30,316 Pool Corp.(a) 706 17,636 --------- Total Leisure Equipment & Products 191,953 -------------------------------------------------------------------------------- Life Sciences Tools & Services - 1.3% Affymetrix, Inc.* 591 14,994 Bio-Rad Laboratories, Inc. Class A* 332 30,046 Charles River Laboratories International, Inc.* 849 47,672 Covance, Inc.* 616 47,987 Illumina, Inc.* 399 20,700 Invitrogen Corp.* 462 37,759 Millipore Corp.* 308 23,346 PerkinElmer, Inc. 805 23,514 Pharmaceutical Product Development, Inc. 1,226 43,449 TECHNE Corp.* 375 23,655 Varian, Inc.* 330 20,991 Ventana Medical Systems, Inc.* 340 29,209 --------- Total Life Sciences Tools & Services 363,322 -------------------------------------------------------------------------------- Machinery - 4.6% Actuant Corp. Class A 484 31,445 AGCO Corp.* 539 27,365 Briggs & Stratton Corp. 838 21,101 See Notes to Financial Statements. 34 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Earnings Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------- Bucyrus International, Inc. Class A 475 $ 34,642 CLARCOR, Inc. 638 21,826 Crane Co. 1,185 56,844 Donaldson Co., Inc. 1,017 42,470 Flowserve Corp. 517 39,385 Gardner Denver, Inc.* 869 33,891 Graco, Inc. 987 38,602 Harsco Corp. 1,353 80,192 IDEX Corp. 1,085 39,483 Kennametal, Inc. 618 51,900 Lincoln Electric Holdings, Inc. 695 53,939 Manitowoc Co., Inc. (The) 1,254 55,527 Mueller Industries, Inc. 1,469 53,090 NACCO Industries, Inc. Class A 172 17,799 Nordson Corp. 539 27,063 Oshkosh Truck Corp. 1,160 71,885 Pall Corp. 1,204 46,836 Pentair, Inc. 1,507 50,002 SPX Corp. 838 77,565 Timken Co. (The) 3,072 114,124 Toro Co. (The) 761 44,770 Trinity Industries, Inc. 1,285 48,239 Valmont Industries, Inc. 341 28,934 Wabtec Corp. 717 26,859 Watts Water Technologies, Inc. Class A 474 14,552 --------- Total Machinery 1,250,330 ------------------------------------------------------------------------- Marine - 0.2% Alexander & Baldwin, Inc. 548 27,471 Kirby Corp.* 684 30,192 --------- Total Marine 57,663 ------------------------------------------------------------------------- Media - 2.1% Arbitron, Inc. 250 11,335 Belo Corp. Class A 1,771 30,745 Catalina Marketing Corp. 582 18,851 Cox Radio, Inc. Class A* 1,215 15,856 Discovery Holding Co. Class A* 1,182 34,101 Dow Jones & Co., Inc. 506 30,208 DreamWorks Animation SKG, Inc. Class A* 948 31,682 Gemstar-TV Guide International, Inc.* 4,601 32,023 Getty Images, Inc.* 958 26,671 Harte-Hanks, Inc. 1,138 22,396 Hearst-Argyle Television, Inc. 728 18,899 Interactive Data Corp. 1,061 29,920 John Wiley & Sons, Inc. Class A 1,006 45,199 Lee Enterprises, Inc. 754 11,740 Marvel Entertainment, Inc.* 706 16,549 McClatchy Co. Class A 1,145 22,877 Meredith Corp. 717 41,083 Morningstar, Inc.* 407 24,990 New York Times Co. (The) Class A 2,027 40,054 Regal Entertainment Group Class A 1,171 25,703 Scholastic Corp.* 528 18,406 Warner Music Group Corp. 937 9,464 --------- Total Media 558,752 ------------------------------------------------------------------------- Metals & Mining - 3.4% AK Steel Holding Corp.* 1,936 85,087 Carpenter Technology Corp. 517 67,215 Cleveland-Cliffs, Inc. 1,584 139,344 Coeur d'Alene Mines Corp.* 4,728 17,919 Commercial Metals Co. 3,391 107,325 Quanex Corp. 1,667 78,316 Reliance Steel & Aluminum Co. 2,695 152,376 RTI International Metals, Inc.* 242 19,181 Schnitzer Steel Industries, Inc. Class A 805 58,998 Steel Dynamics, Inc. 3,141 146,685 Titanium Metals Corp.* 374 12,551 Worthington Industries, Inc.(a) 1,903 44,835 --------- Total Metals & Mining 929,832 ------------------------------------------------------------------------- Multiline Retail - 0.6% Big Lots, Inc.* 717 21,395 Dillard's, Inc. Class A 1,208 26,371 Dollar Tree Stores, Inc.* 1,496 60,648 Family Dollar Stores, Inc. 1,804 47,914 --------- Total Multiline Retail 156,328 ------------------------------------------------------------------------- Multi-Utilities - 2.0% Alliant Energy Corp. 695 26,632 Avista Corp. 838 17,053 Black Hills Corp. 596 24,448 Energy East Corp. 2,238 60,538 Integrys Energy Group, Inc. 1,090 55,841 MDU Resources Group, Inc. 3,193 88,892 NSTAR 1,661 57,819 OGE Energy Corp. 1,595 52,795 PNM Resources, Inc. 695 16,180 Puget Energy, Inc. 1,716 41,991 TECO Energy, Inc. 3,774 62,007 Vectren Corp. 1,204 32,857 --------- Total Multi-Utilities 537,053 ------------------------------------------------------------------------- Office Electronics - 0.1% Zebra Technologies Corp. Class A* 864 31,527 ------------------------------------------------------------------------- Oil, Gas & Consumable Fuels - 5.6% Alon USA Energy, Inc. 2,120 71,614 Berry Petroleum Co. Class A 1,006 39,828 Bill Barrett Corp.* 662 26,089 Cabot Oil & Gas Corp. 1,661 58,401 Cimarex Energy Co. 3,215 119,758 Comstock Resources, Inc.* 871 26,862 Crosstex Energy, Inc.(a) 1,063 40,298 Denbury Resources, Inc.* 1,837 82,095 Encore Acquisition Co.* 1,204 38,107 Forest Oil Corp.* 1,790 77,042 Foundation Coal Holdings, Inc. 627 24,578 Frontier Oil Corp. 3,292 137,078 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 35 Schedule of Investments (unaudited) (continued) WisdomTree MidCap Earnings Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------------------- Helix Energy Solutions Group, Inc.* 1,815 $ 77,065 Holly Corp. 1,193 71,377 Overseas Shipholding Group, Inc. 1,767 135,758 Penn Virginia Corp. 662 29,115 PetroHawk Energy Corp.* 2,731 44,843 Plains Exploration & Production Co.* 385 17,025 Pogo Producing Co. 2,132 113,230 Quicksilver Resources, Inc.* 684 32,182 Range Resources Corp. 1,936 78,718 St. Mary Land & Exploration Co. 1,397 49,831 Swift Energy Co.* 893 36,542 W&T Offshore, Inc. 1,782 43,445 Whiting Petroleum Corp.* 904 40,183 --------- Total Oil, Gas & Consumable Fuels 1,511,064 --------------------------------------------------------------------------------- Paper & Forest Products - 0.2% Louisiana-Pacific Corp. 3,099 52,590 --------------------------------------------------------------------------------- Personal Products - 0.3% Alberto-Culver Co. 2,513 62,297 NBTY, Inc.* 800 32,480 --------- Total Personal Products 94,777 --------------------------------------------------------------------------------- Pharmaceuticals - 0.8% Alpharma, Inc. Class A* 1,161 24,799 Endo Pharmaceuticals Holdings, Inc.* 1,859 57,648 King Pharmaceuticals, Inc.* 2,588 30,331 Mylan Laboratories, Inc. 3,248 51,838 Perrigo Co. 1,171 25,001 Watson Pharmaceuticals, Inc.* 673 21,805 --------- Total Pharmaceuticals 211,422 --------------------------------------------------------------------------------- Real Estate Investment Trusts - 2.8% Alexander's, Inc.* 44 16,962 Alexandria Real Estate Equities, Inc. 176 16,942 BRE Properties, Inc. 264 14,766 Camden Property Trust 451 28,977 CBL & Associates Properties, Inc. 451 15,808 Colonial Properties Trust 473 16,224 Corporate Office Properties Trust 341 14,196 Cousins Properties, Inc. 1,039 30,505 DiamondRock Hospitality Co. 1,006 17,514 Entertainment Properties Trust 286 14,529 Equity One, Inc. 1,496 40,691 Essex Property Trust, Inc. 132 15,519 Federal Realty Investment Trust 264 23,390 Health Care REIT, Inc. 539 23,845 Healthcare Realty Trust, Inc. 440 11,730 Highwoods Properties, Inc. 418 15,328 Home Properties, Inc. 297 15,497 Hospitality Properties Trust 860 34,959 HRPT Properties Trust 1,815 17,950 Kilroy Realty Corp. 220 13,339 LaSalle Hotel Properties 429 18,052 Liberty Property Trust 1,237 49,741 Mack-Cali Realty Corp. 352 14,467 Nationwide Health Properties, Inc. 605 18,229 Pennsylvania Real Estate Investment Trust 429 16,705 Post Properties, Inc. 396 15,325 Potlatch Corp. 594 26,748 PS Business Parks, Inc. 253 14,383 Rayonier, Inc. 959 46,071 Realty Income Corp. 838 23,422 Senior Housing Properties Trust 717 15,817 Taubman Centers, Inc. 297 16,261 Ventas, Inc. 783 32,416 Washington Real Estate Investment Trust 440 14,599 Weingarten Realty Investors 838 34,743 --------- Total Real Estate Investment Trusts 755,650 --------------------------------------------------------------------------------- Real Estate Management & Development - 0.2% Jones Lang LaSalle, Inc. 473 48,606 St. Joe Co. (The) 330 11,091 --------- Total Real Estate Management & Development 59,697 --------------------------------------------------------------------------------- Road & Rail - 1.5% Amerco, Inc.* 363 23,036 Con-way, Inc. 1,522 70,012 Heartland Express, Inc. 1,342 19,164 JB Hunt Transport Services, Inc. 2,863 75,296 Kansas City Southern* 605 19,463 Knight Transportation, Inc. 1,017 17,503 Landstar System, Inc. 882 37,018 Ryder System, Inc. 1,171 57,379 Werner Enterprises, Inc. 1,331 22,827 YRC Worldwide, Inc.* 2,214 60,486 --------- Total Road & Rail 402,184 --------------------------------------------------------------------------------- Semiconductors & Semiconductor Equipment - 2.1% Amkor Technology, Inc.* 4,834 55,688 Atmel Corp.* 2,949 15,217 Cree, Inc.*(a) 580 18,038 Cymer, Inc.* 528 20,270 Cypress Semiconductor Corp.* 787 22,988 Fairchild Semiconductor International, Inc.* 1,061 19,819 FormFactor, Inc.* 440 19,523 International Rectifier Corp.* 739 24,380 Intersil Corp. Class A 1,320 44,128 LSI Logic Corp.* 3,512 26,059 MKS Instruments, Inc.* 988 18,792 Novellus Systems Inc.* 1,200 32,712 ON Semiconductor Corp.* 7,211 90,570 RF Micro Devices, Inc.* 2,425 16,320 Silicon Laboratories, Inc.* 594 24,805 Teradyne, Inc.* 4,569 63,052 Tessera Technologies, Inc.* 462 17,325 Varian Semiconductor Equipment Associates, Inc.* 922 49,345 --------- Total Semiconductors & Semiconductor Equipment 579,031 --------------------------------------------------------------------------------- See Notes to Financial Statements. 36 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Earnings Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------------- Software - 1.4% Ansys, Inc.* 728 $ 24,876 Compuware Corp.* 4,536 36,379 FactSet Research Systems, Inc. 407 27,900 Fair Isaac Corp. 673 24,302 Jack Henry & Associates, Inc. 1,149 29,713 Mentor Graphics Corp.* 902 13,620 Micros Systems, Inc.* 341 22,189 MicroStrategy, Inc. Class A* 165 13,091 NAVTEQ Corp.* 695 54,190 Net 1 UEPS Technologies, Inc.* 684 18,584 Parametric Technology Corp.* 959 16,706 Quest Software, Inc.* 1,137 19,511 Red Hat, Inc.* 1,006 19,989 Sybase, Inc.* 1,017 23,523 THQ, Inc.* 627 15,662 TIBCO Software, Inc.* 2,093 15,467 --------- Total Software 375,702 --------------------------------------------------------------------------- Specialty Retail - 4.0% Aaron Rents, Inc. 683 15,231 Advance Auto Parts, Inc. 1,801 60,442 Aeropostale, Inc.* 1,107 21,099 AnnTaylor Stores Corp.* 1,165 36,896 AutoNation, Inc.* 4,381 77,632 Barnes & Noble, Inc. 888 31,311 bebe stores, inc. 1,160 16,971 Borders Group, Inc. 1,301 17,342 Brown Shoe Co, Inc. 495 9,603 Cabela's, Inc.* 805 19,038 Charming Shoppes, Inc.* 1,945 16,338 Chico's FAS, Inc.* 2,468 34,675 Childrens Place Retail Stores, Inc. (The)* 330 8,012 Circuit City Stores, Inc. 2,006 15,867 Coldwater Creek, Inc.* 981 10,654 Collective Brands, Inc.* 739 16,302 Dick's Sporting Goods, Inc.* 451 30,285 Dress Barn, Inc.* 1,171 19,919 DSW, Inc. Class A* 451 11,352 Foot Locker, Inc. 2,621 40,180 GameStop Corp. Class A* 904 50,940 Group 1 Automotive, Inc. 440 14,771 Guess?, Inc. 904 44,323 Guitar Center, Inc.* 429 25,440 Men's Wearhouse, Inc. (The) 869 43,902 OfficeMax, Inc. 341 11,686 O'Reilly Automotive, Inc.* 1,353 45,204 Pacific Sunwear Of California, Inc.* 1,430 21,164 Penske Auto Group, Inc. 1,430 28,943 PetSmart, Inc. 1,647 52,539 RadioShack Corp. 893 18,449 Rent-A-Center, Inc.* 1,386 25,128 Ross Stores, Inc. 1,853 47,511 Sonic Automotive, Inc. Class A 849 20,325 Tractor Supply Co.* 548 25,257 Tween Brands, Inc.* 255 8,374 Urban Outfitters, Inc.* 761 16,590 Williams-Sonoma, Inc. 1,748 57,020 Zale Corp.* 651 15,064 --------- Total Specialty Retail 1,081,779 --------------------------------------------------------------------------- Textiles, Apparel & Luxury Goods - 1.2% Carter's, Inc.* 779 15,541 Columbia Sportswear Co. 550 30,421 Fossil, Inc.* 816 30,486 Jones Apparel Group, Inc. 1,793 37,886 K-Swiss, Inc. Class A 717 16,426 Liz Claiborne, Inc. 1,595 54,755 Phillips-Van Heusen Corp. 539 28,287 Quiksilver, Inc.* 1,353 19,348 Skechers U.S.A., Inc. Class A* 560 12,376 Timberland Co. Class A* 1,033 19,586 Warnaco Group Inc. (The) 880 34,382 Wolverine World Wide, Inc. 792 21,701 --------- Total Textiles, Apparel & Luxury Goods 321,195 --------------------------------------------------------------------------- Thrifts & Mortgage Finance - 2.0% Astoria Financial Corp. 1,958 51,946 Capitol Federal Financial 473 16,177 Corus Bankshares, Inc. 2,181 28,397 Downey Financial Corp. 771 44,564 First Niagara Financial Group, Inc. 5,625 79,593 Fremont General Corp. 3,006 11,723 IndyMac Bancorp, Inc.(a) 2,370 55,956 NewAlliance Bancshares, Inc. 1,193 17,513 Northwest Bancorp, Inc. 186 5,294 PMI Group, Inc. (The) 2,803 91,657 Radian Group, Inc. 3,024 70,399 Washington Federal, Inc. 1,892 49,684 Webster Financial Corp. 783 32,980 --------- Total Thrifts & Mortgage Finance 555,883 --------------------------------------------------------------------------- Trading Companies & Distributors - 0.9% Applied Industrial Technologies, Inc. 832 25,651 GATX Corp. 407 17,399 MSC Industrial Direct Co. Class A 955 48,313 UAP Holding Corp. 772 24,210 United Rentals, Inc.* 2,403 77,305 Watsco, Inc. 475 22,054 WESCO International, Inc.* 919 39,462 --------- Total Trading Companies & Distributors 254,394 --------------------------------------------------------------------------- Transportation Infrastructure - 0.1% Macquarie Infrastructure Co. Trust 495 19,102 --------------------------------------------------------------------------- Water Utilities - 0.1% Aqua America Inc. 981 22,249 --------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 37 Schedule of Investments (unaudited) (concluded) WisdomTree MidCap Earnings Fund September 30, 2007 ------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------ Wireless Telecommunication Services - 0.1% Leap Wireless International, Inc.* 286 $ 23,272 ------------------------------------------------------------------------ TOTAL COMMON STOCKS (Cost: $27,802,661) 26,899,470 ======================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 1.5% MONEY MARKET FUNDS(b) - 1.5% AIM Liquid Assets Portfolio, 5.11% 61 61 UBS Private Money Market Fund LLC, 5.21% 416,739 416,739 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $416,800)(c) 416,800 ======================================================================== TOTAL INVESTMENTS IN SECURITIES - 100.6% (Cost: $28,219,461)(d) 27,316,270 Liabilities in Excess of Cash and Other Assets - (0.6)% (181,345) ----------- NET ASSETS - 100.0% $27,134,925 ======================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $391,867 and the total market value of the collateral held by the Fund was $416,800. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 38 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) WisdomTree SmallCap Earnings Fund September 30, 2007 ----------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------- COMMON STOCKS - 99.4% Aerospace & Defense - 1.9% AAR Corp.* 818 $24,818 American Science & Engineering, Inc. 216 13,535 Argon ST, Inc.* 618 12,236 Cubic Corp. 635 26,778 EDO Corp. 482 26,997 Esterline Technologies Corp.* 854 48,721 HEICO Corp. 515 25,420 Herley Industries, Inc.* 626 9,365 Ladish Co., Inc.* 474 26,298 LMI Aerospace, Inc.* 594 13,751 MTC Technologies, Inc.* 654 12,629 Orbital Sciences Corp.* 1,152 25,620 Triumph Group, Inc. 532 43,470 United Industrial Corp. 490 36,877 ------- Total Aerospace & Defense 346,515 ----------------------------------------------------------------------- Air Freight & Logistics - 0.8% ABX Air, Inc.* 3,991 28,256 Atlas Air Worldwide Holdings, Inc.* 482 24,886 Dynamex, Inc.* 408 10,453 Forward Air Corp. 834 24,837 Pacer International, Inc. 1,496 28,498 Park-Ohio Holdings Corp.* 1,082 28,078 ------- Total Air Freight & Logistics 145,008 ----------------------------------------------------------------------- Airlines - 0.9% ExpressJet Holdings, Inc.* 7,979 24,655 Mesa Air Group, Inc.* 2,672 11,864 Pinnacle Airlines Corp.* 3,583 57,400 Republic Airways Holdings, Inc.* 3,027 64,081 ------- Total Airlines 158,000 ----------------------------------------------------------------------- Auto Components - 1.7% Aftermarket Technology Corp.* 960 30,470 Amerigon, Inc.* 922 15,960 Drew Industries, Inc.* 924 37,588 Fuel Systems Solutions, Inc.* 432 7,716 GenTek, Inc.* 264 7,941 Modine Manufacturing Co. 1,528 40,675 Spartan Motors, Inc. 902 15,181 Tenneco, Inc.* 1,571 48,717 Visteon Corp.* 20,362 104,864 ------- Total Auto Components 309,112 ----------------------------------------------------------------------- Automobiles - 0.2% Fleetwood Enterprises, Inc.* 1,106 9,456 Winnebago Industries, Inc. 934 22,304 ------- Total Automobiles 31,760 ----------------------------------------------------------------------- Beverages - 0.4% Boston Beer Co., Inc. Class A* 325 15,815 Central European Distribution Corp.* 738 35,357 Coca-Cola Bottling Co. Consolidated 200 12,060 MGP Ingredients, Inc. 514 5,279 National Beverage Corp.* 1,267 10,744 ------- Total Beverages 79,255 ----------------------------------------------------------------------- Biotechnology - 0.4% Enzon Pharmaceuticals, Inc.* 3,628 31,963 Lifecell Corp.* 514 19,311 Martek Biosciences Corp.* 506 14,689 Savient Pharmaceuticals, Inc.* 397 5,776 ------- Total Biotechnology 71,739 ----------------------------------------------------------------------- Building Products - 1.3% AAON, Inc. 586 11,562 American Woodmark Corp. 602 14,924 Ameron International Corp. 421 44,529 Apogee Enterprises, Inc. 964 25,006 Builders FirstSource, Inc.* 3,396 36,609 Gibraltar Industries, Inc. 1,576 29,156 Griffon Corp.* 2,192 33,099 Insteel Industries, Inc. 1,286 19,740 Universal Forest Products, Inc. 1,090 32,591 ------- Total Building Products 247,216 ----------------------------------------------------------------------- Capital Markets - 1.3% Calamos Asset Management, Inc. Class A 770 21,737 Capital Southwest Corp. 341 41,860 GAMCO Investors, Inc. Class A 682 37,374 Gladstone Capital Corp.(a) 530 10,346 Hercules Technology Growth Capital, Inc. 706 9,369 LaBranche & Co., Inc.* 8,051 37,679 MarketAxess Holdings, Inc.* 714 10,710 Patriot Capital Funding, Inc. 589 7,875 Prospect Capital Corp.(a) 594 10,110 Sanders Morris Harris Group, Inc. 689 6,993 Stifel Financial Corp.* 208 12,031 SWS Group, Inc. 1,002 17,725 TradeStation Group, Inc.* 1,448 16,898 U.S. Global Investors, Inc., Class A(a) 360 6,847 ------- Total Capital Markets 247,554 ----------------------------------------------------------------------- Chemicals - 2.6% American Vanguard Corp. 962 18,778 Arch Chemicals, Inc. 883 41,395 Balchem Corp. 363 7,409 Ferro Corp. 770 15,385 Flotek Industries, Inc.* 528 23,311 Georgia Gulf Corp.(a) 4,277 59,450 ICO, Inc.* 1,198 16,868 Innospec, Inc. 800 18,224 Landec Corp.* 770 11,904 Minerals Technologies, Inc. 577 38,659 NewMarket Corp. 642 31,702 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 39 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------- NL Industries, Inc. 1,154 $13,075 Omnova Solutions, Inc.* 1,560 9,017 PolyOne Corp.* 10,295 76,903 Schulman A., Inc. 930 18,349 Sensient Technologies Corp. 1,490 43,016 Spartech Corp. 960 16,378 Stepan Co. 312 9,644 ------- Total Chemicals 469,467 ----------------------------------------------------------------------- Commercial Banks - 10.3% 1st Source Corp. 826 18,915 AMCORE Financial, Inc. 912 22,727 AmericanWest Bancorp 432 8,472 Ameris Bancorp 424 7,666 Arrow Financial Corp. 436 9,714 BancFirst Corp. 600 26,922 Bancorp, Inc.* 376 6,941 BancTrust Financial Group, Inc. 432 6,877 Bank of Florida Corp.* 408 6,642 Bank of Granite Corp. 610 8,284 Bank of the Ozarks, Inc. 642 19,600 BankFinancial Corp. 554 8,764 Banner Corp. 286 9,836 Boston Private Financial Holdings, Inc. 1,218 33,909 Cadence Financial Corp. 448 7,885 Camden National Corp. 304 10,634 Capital City Bank Group, Inc. 602 18,782 Capital Corp of the West 667 12,286 Capitol Bancorp Ltd. 530 13,160 Cardinal Financial Corp. 954 9,530 Cascade Bancorp 690 15,359 Center Financial Corp. 698 9,709 Chemical Financial Corp. 850 20,613 City Holding Co. 863 31,422 CoBiz, Inc. 634 10,854 Columbia Bancorp 602 11,926 Columbia Banking System, Inc. 618 19,665 Community Bancorp* 296 7,441 Community Bank System, Inc. 1,026 20,028 Community Banks, Inc. 1,010 30,088 Community Trust Bancorp, Inc. 610 18,324 CVB Financial Corp.(a) 3,595 42,062 Enterprise Financial Services Corp. 328 7,984 Farmers Capital Bank Corp. 347 9,869 Financial Institutions, Inc. 448 8,100 First Bancorp 626 12,758 First Charter Corp. 714 21,541 First Commonwealth Financial Corp.(a) 2,322 25,681 First Community Bancshares, Inc. 416 15,072 First Financial Bancorp 602 7,694 First Financial Bankshares, Inc. 722 29,010 First Financial Corp. 586 17,756 First Indiana Corp. 721 22,582 First Merchants Corp. 738 15,911 First Regional Bancorp* 750 18,398 First South Bancorp, Inc. 344 8,999 First State Bancorp. 594 11,666 FNB Corp./PA 1,858 30,731 FNB Corp./VA 392 11,795 GB&T Bancshares, Inc. 1,147 15,198 Great Southern Bancorp, Inc. 586 14,556 Green County Bancshares, Inc. 336 12,247 Hanmi Financial Corp. 1,922 29,772 Harleysville National Corp. 1,154 18,337 Heartland Financial USA, Inc. 554 11,385 Heritage Commerce Corp. 416 8,807 Horizon Financial Corp. 466 9,450 IBERIABANK Corp. 336 17,690 Independent Bank Corp./MA 594 17,642 Independent Bank Corp./MI 1,106 12,221 Integra Bank Corp. 658 11,930 Intervest Bancshares Corp. 714 17,672 Irwin Financial Corp. 938 10,337 Lakeland Bancorp, Inc. 850 11,543 Lakeland Financial Corp. 482 11,139 Macatawa Bank Corp. 731 9,890 MainSource Financial Group, Inc. 714 12,588 Mercantile Bank Corp. 370 7,940 Midwest Banc Holdings, Inc. 594 8,773 Nara Bancorp, Inc. 1,018 15,901 National Penn Bancshares, Inc. 2,103 34,405 NBT Bancorp, Inc. 1,424 30,958 Old Second Bancorp, Inc. 538 15,333 Omega Financial Corp. 448 11,832 Oriental Financial Group 762 8,763 Peoples Bancorp, Inc. 490 12,828 Pinnacle Financial Partners, Inc.* 296 8,531 Preferred Bank 376 14,792 Premierwest Bancorp 464 5,939 PrivateBancorp, Inc.(a) 610 21,252 Prosperity Bancshares, Inc. 1,360 45,097 Renasant Corp. 730 15,790 Republic Bancorp, Inc. Class A 766 12,133 S&T Bancorp, Inc. 1,075 34,497 Sandy Spring Bancorp, Inc. 546 16,446 Santander BanCorp 1,802 23,138 SCBT Financial Corp. 321 11,087 Seacoast Banking Corp. of Florida(a) 634 11,856 Security Bank Corp. 633 7,925 Shore Bancshares, Inc. 391 9,439 Sierra Bancorp 408 11,693 See Notes to Financial Statements. 40 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------- Signature Bank* 602 $ 21,208 Simmons First National Corp. Class A 570 15,014 Smithtown Bancorp, Inc. 398 9,250 Southside Bancshares, Inc. 422 9,322 Southwest Bancorp, Inc. 570 10,727 Sterling Bancorp 738 10,332 Sterling Bancshares, Inc. 2,314 26,403 Sterling Financial Corp./PA 1,222 20,957 Suffolk Bancorp 392 12,568 Sun Bancorp, Inc.* 579 10,133 Superior Bancorp* 874 7,717 SY Bancorp, Inc. 490 13,250 Taylor Capital Group, Inc. 1,027 28,684 Temecula Valley Bancorp, Inc.(a) 674 11,438 Texas Capital Bancshares, Inc.* 938 20,392 Tompkins Trustco, Inc. 336 13,339 Trico Bancshares 666 14,832 Union Bankshares Corp. 514 11,673 Univest Corp. of Pennsylvania 538 12,761 USB Holding Co., Inc. 969 22,510 Vineyard National Bancorp 586 9,798 Virginia Commerce Bancorp* 777 11,142 Virginia Financial Group, Inc. 448 8,516 W Holding Co., Inc.(a) 11,387 25,507 Washington Trust Bancorp, Inc. 588 15,858 WesBanco, Inc. 722 18,036 West Bancorp, Inc. 922 14,309 West Coast Bancorp 554 15,739 Western Alliance Bancorp*(a) 706 16,640 Wilshire Bancorp, Inc. 1,130 12,396 Yardville National Bancorp 312 10,493 --------- Total Commercial Banks 1,890,280 ------------------------------------------------------------------------- Commercial Services & Supplies - 5.8% ABM Industries, Inc. 1,067 21,319 Advisory Board Co. (The)* 272 15,904 American Ecology Corp. 514 10,892 Barrett Business Services 450 10,724 Bowne & Co., Inc. 634 10,562 CBIZ, Inc.* 2,516 20,002 CDI Corp. 522 14,553 Clean Harbors, Inc.* 611 27,202 Comfort Systems USA, Inc. 1,616 22,947 COMSYS IT Partners, Inc.* 907 15,247 Consolidated Graphics, Inc.* 458 28,758 Cornell Cos, Inc.* 278 6,547 CoStar Group, Inc.* 208 11,118 CRA International, Inc.* 347 16,722 Diamond Management & Technology Consultants, Inc. 786 7,231 Ennis, Inc. 1,290 28,432 Exponent, Inc.* 487 12,219 First Advantage Corp. Class A* 1,624 28,696 First Consulting Group, Inc.* 762 7,849 FTI Consulting, Inc.* 1,003 50,461 G&K Services, Inc. Class A 713 28,663 Geo Group, Inc. (The)* 674 19,957 Healthcare Services Group, Inc. 849 17,209 Heidrick & Struggles International, Inc. 540 19,683 Huron Consulting Group, Inc.* 336 24,400 Interface, Inc. Class A 1,242 22,418 Kelly Services, Inc. Class A 1,638 32,449 Kenexa Corp.* 272 8,372 Kforce, Inc.* 1,560 20,062 Knoll, Inc. 1,584 28,100 Korn/Ferry International* 1,632 26,944 Labor Ready, Inc.* 3,121 57,769 Layne Christensen Co.* 368 20,417 LECG Corp.* 881 13,127 M&F Worldwide Corp.* 1,264 63,439 McGrath Rentcorp 866 28,786 Mobile Mini, Inc.* 882 21,309 Navigant Consulting, Inc.* 1,834 23,218 On Assignment, Inc.* 754 7,042 PeopleSupport, Inc.* 888 10,620 Pike Electric Corp.* 738 13,845 Schawk, Inc. 994 22,435 School Specialty, Inc.* 272 9,419 Spherion Corp.* 1,858 15,347 Standard Parking Corp.* 482 19,179 Standard Register Co. (The) 738 9,380 Team, Inc.* 434 11,883 Tetra Tech, Inc.* 1,320 27,878 UTEK Corp.(a) 1,346 19,854 Viad Corp. 902 32,472 Volt Information Sciences, Inc.* 962 16,970 Waste Industries USA, Inc. 384 10,990 --------- Total Commercial Services & Supplies 1,071,021 ------------------------------------------------------------------------- Communications Equipment - 1.8% Anaren Microwave, Inc.* 365 5,147 Bel Fuse, Inc. Class B 392 13,587 Black Box Corp. 329 14,068 Comtech Group, Inc.* 666 12,128 Comtech Telecommunications Corp.* 766 40,973 Digi International, Inc.* 493 7,020 Dycom Industries, Inc.* 906 27,751 EFJ, Inc.* 1,568 9,094 EMS Technologies, Inc.* 401 9,837 Extreme Networks* 2,218 8,517 Ixia* 970 8,458 Mastec, Inc.* 1,938 27,268 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 41 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------- Netgear, Inc.* 810 $24,640 Oplink Communications, Inc.* 578 7,895 Packeteer, Inc.* 754 5,730 Plantronics, Inc. 2,040 58,242 Radyne Corp.* 602 6,345 Sirenza Microdevices, Inc.* 1,306 22,581 Sycamore Networks, Inc.* 4,042 16,451 Viasat, Inc.* 296 9,126 ------- Total Communications Equipment 334,858 ---------------------------------------------------------------------------- Computers & Peripherals - 0.5% Adaptec, Inc.* 2,832 10,818 Hutchinson Technology, Inc.* 490 12,054 Intevac, Inc.* 1,026 15,595 Rackable Systems, Inc.* 594 7,704 Rimage Corp.* 278 6,238 STEC, Inc.* 1,130 8,622 Stratasys, Inc.* 291 8,020 Synaptics, Inc.* 384 18,341 ------- Total Computers & Peripherals 87,392 ---------------------------------------------------------------------------- Construction & Engineering - 0.3% Insituform Technologies, Inc. Class A* 440 6,701 Perini Corp.* 707 39,543 Sterling Construction Co., Inc.* 490 11,309 ------- Total Construction & Engineering 57,553 ---------------------------------------------------------------------------- Construction Materials - 0.3% Headwaters, Inc.*(a) 3,072 45,712 U.S. Concrete, Inc.* 2,138 14,089 ------- Total Construction Materials 59,801 ---------------------------------------------------------------------------- Consumer Finance - 0.6% Credit Acceptance Corp.* 1,488 34,373 Dollar Financial Corp.* 336 9,586 Ezcorp, Inc. Class A* 1,210 16,275 First Cash Financial Services, Inc.* 794 18,595 United PanAm Financial Corp.* 1,167 9,616 World Acceptance Corp.* 618 20,443 ------- Total Consumer Finance 108,888 ---------------------------------------------------------------------------- Containers & Packaging - 0.3% AEP Industries, Inc.* 312 13,210 Myers Industries, Inc. 1,234 24,458 Rock-Tenn Co. Class A 682 19,710 ------- Total Containers & Packaging 57,378 ---------------------------------------------------------------------------- Distributors - 0.5% Building Materials Holding Corp.(a) 3,684 38,976 Core-Mark Holding Co., Inc.* 433 15,255 DXP Enterprises, Inc.* 296 10,511 Handleman Co. 3,235 9,867 Keystone Automotive Industries, Inc.* 506 24,167 ------- Total Distributors 98,776 ---------------------------------------------------------------------------- Diversified Consumer Services - 0.9% Bright Horizons Family Solutions, Inc.* 698 29,902 Coinstar, Inc.* 392 12,611 Corinthian Colleges, Inc.* 1,656 26,347 CPI Corp. 226 8,706 Lincoln Educational Services Corp.* 874 11,397 Pre-Paid Legal Services, Inc. 803 44,533 Stewart Enterprises, Inc. Class A 2,580 19,660 Universal Technical Institute, Inc.* 838 15,084 ------- Total Diversified Consumer Services 168,240 ---------------------------------------------------------------------------- Diversified Financials - 0.9% Asset Acceptance Capital Corp. 1,874 21,738 Asta Funding, Inc. 1,042 39,930 Encore Capital Group, Inc.* 1,446 17,063 Financial Federal Corp. 1,001 28,038 Marlin Business Services Corp.* 691 9,902 Medallion Financial Corp. 496 5,401 Portfolio Recovery Associates, Inc. 610 32,373 Resource America, Inc. Class A 368 5,811 ------- Total Diversified Financials 160,256 ---------------------------------------------------------------------------- Diversified Telecommunication Services - 1.1% Alaska Communications Systems Group, Inc. 594 8,583 Atlantic Tele-Network, Inc. 440 15,994 Cincinnati Bell, Inc.* 9,304 45,961 Consolidated Communications Holdings, Inc. 440 8,628 D&E Communications, Inc. 344 4,892 Fairpoint Communications, Inc. 866 16,333 General Communication, Inc. Class A* 1,018 12,359 Iowa Telecommunications Services, Inc. 1,473 29,239 North Pittsburgh Systems, Inc. 570 13,543 Premiere Global Services, Inc.* 2,604 32,941 Shenandoah Telecom Co. 648 14,100 SureWest Communications 150 3,752 ------- Total Diversified Telecommunication Services 206,325 ---------------------------------------------------------------------------- Electric Utilities - 0.7% Central Vermont Public Service Corp. 394 14,397 Empire District Electric Co. (The) 986 22,274 MGE Energy, Inc. 834 27,889 Otter Tail Corp. 1,074 38,287 UIL Holdings Corp. 1,049 33,044 ------- Total Electric Utilities 135,891 ---------------------------------------------------------------------------- Electrical Equipment - 2.4% A.O. Smith Corp. 1,465 64,284 AZZ, Inc.* 392 13,704 Baldor Electric Co. 1,006 40,190 China BAK Battery, Inc.*(a) 1,849 14,385 Encore Wire Corp. 5,134 129,018 EnerSys, Inc.* 1,720 30,564 II-VI, Inc.* 722 24,931 See Notes to Financial Statements. 42 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 ------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------ LaBarge, Inc.* 437 $ 5,244 Lamson & Sessions Co. (The)* 1,590 42,866 LSI Industries Inc. 586 12,025 Powell Industries, Inc.* 304 11,519 Power-One, Inc.* 1,504 7,670 Superior Essex, Inc.* 962 35,863 Vicor Corp. 906 10,981 ------- Total Electrical Equipment 443,244 ------------------------------------------------------------------------ Electronic Equipment & Instruments - 3.9% Agilysys, Inc. 1,242 20,990 Brightpoint, Inc.* 1,926 28,909 Checkpoint Systems, Inc.* 906 23,909 Cogent, Inc.* 1,922 30,137 Cognex Corp. 1,306 23,195 Coherent, Inc.* 586 18,799 CTS Corp. 706 9,107 Cyberoptics Corp.* 532 6,544 DTS, Inc.* 400 12,148 Electro Scientific Industries, Inc.* 538 12,890 Excel Technology, Inc.* 376 9,381 Gerber Scientific, Inc.* 818 8,875 Insight Enterprises, Inc.* 1,990 51,362 Keithley Instruments, Inc. 690 7,314 LeCroy Corp.* 820 6,117 Littelfuse, Inc.* 490 17,488 LoJack Corp.* 819 15,528 Measurement Specialties, Inc.* 432 12,053 Merix Corp.* 883 4,998 Methode Electronics, Inc. 962 14,478 MTS Systems Corp. 666 27,706 Multi-Fineline Electronix, Inc.* 1,242 18,419 Newport Corp.* 962 14,651 OYO Geospace Corp.* 144 13,350 Park Electrochemical Corp. 762 25,588 Plexus Corp.* 3,559 97,516 Rofin-Sinar Technologies, Inc.* 575 40,371 Scansource, Inc.* 1,122 31,539 SYNNEX Corp.* 1,569 32,259 Technitrol, Inc. 1,258 33,903 TTM Technologies, Inc.* 2,736 31,656 Zygo Corp.* 850 11,076 ------- Total Electronic Equipment & Instruments 712,256 ------------------------------------------------------------------------ Energy Equipment & Services - 3.2% Allis-Chalmers Energy, Inc.* 738 13,978 Bolt Technology Corp.* 235 7,675 Bristow Group, Inc.* 1,218 53,238 Bronco Drilling Co., Inc.* 1,971 29,171 CARBO Ceramics, Inc. 834 42,309 Dawson Geophysical Co.* 264 20,463 Gulf Island Fabrication, Inc. 344 13,206 Gulfmark Offshore, Inc.* 1,057 51,433 Horizon Offshore, Inc.* 618 10,197 Hornbeck Offshore Services, Inc.* 1,266 46,462 ION Geophysical Corp.* 1,408 19,473 Lufkin Industries, Inc. 681 37,469 Matrix Service Co.* 530 11,104 Mitcham Industries, Inc.* 586 11,298 NATCO Group, Inc. Class A* 590 30,533 Natural Gas Services Group, Inc.* 722 12,426 Newpark Resources* 1,584 8,490 Omni Energy Services Corp.* 612 4,890 Parker Drilling Co.* 6,785 55,093 PHI, Inc.* 328 9,886 Pioneer Drilling Co.* 3,689 44,932 PowerSecure International, Inc.* 802 9,993 Superior Well Services, Inc.* 674 15,320 Trico Marine Services, Inc.* 946 28,191 ------- Total Energy Equipment & Services 587,230 ------------------------------------------------------------------------ Food & Staples Retailing - 1.2% Andersons, Inc. (The) 562 26,987 Ingles Markets, Inc. Class A 1,046 29,978 Nash Finch Co. 336 13,383 Pantry, Inc. (The)* 1,242 31,832 Performance Food Group Co.* 1,177 35,464 Pricesmart, Inc. 650 15,340 Spartan Stores, Inc. 674 15,185 Weis Markets, Inc. 1,047 44,697 ------- Total Food & Staples Retailing 212,866 ------------------------------------------------------------------------ Food Products - 0.7% Darling International, Inc.* 1,712 16,932 Green Mountain Coffee Roasters, Inc.* 480 15,931 Imperial Sugar Co. 1,239 32,375 J&J Snack Foods Corp. 485 16,888 Lance, Inc. 498 11,464 Maui Land & Pineapple Co., Inc.* 294 8,949 Reddy Ice Holdings, Inc. 474 12,499 TreeHouse Foods, Inc.* 312 8,440 ------- Total Food Products 123,478 ------------------------------------------------------------------------ Gas Utilities - 0.5% EnergySouth, Inc. 248 12,504 Laclede Group, Inc. (The) 919 29,665 SEMCO Energy, Inc.* 944 7,448 South Jersey Industries, Inc. 1,018 35,427 ------- Total Gas Utilities 85,044 ------------------------------------------------------------------------ Health Care Equipment & Supplies - 2.1% Abaxis, Inc.* 466 10,462 Analogic Corp. 168 10,712 Angiodynamics, Inc.* 392 7,389 Arthrocare Corp.* 466 26,046 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 43 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------------- Conmed Corp.* 408 $11,420 Cutera, Inc.* 296 7,758 Datascope Corp. 440 14,876 DJO, Inc.* 272 13,355 Greatbatch, Inc.* 368 9,785 ICU Medical, Inc.* 403 15,616 I-Flow Corp.* 634 11,786 Invacare Corp. 490 11,456 Medical Action Industries, Inc.* 408 9,653 Meridian Bioscience, Inc. 722 21,891 Merit Medical Systems, Inc.* 602 7,814 Neogen Corp.* 304 7,211 Nutraceutical International Corp.* 695 10,571 OraSure Technologies, Inc.* 2,191 22,020 Palomar Medical Technologies, Inc.* 466 13,276 PolyMedica Corp. 458 24,054 Quidel Corp.* 714 13,966 Somanetics Corp.* 351 6,536 SonoSite, Inc.* 288 8,790 SurModics, Inc.* 530 25,975 Symmetry Medical, Inc.* 1,210 20,207 Thoratec Corp.* 554 11,462 Vital Signs, Inc. 401 20,908 Wright Medical Group, Inc.* 448 12,015 Zoll Medical Corp.* 256 6,636 ------- Total Health Care Equipment & Supplies 393,646 ------------------------------------------------------------------------------- Health Care Providers & Services - 3.2% Air Methods Corp.* 401 18,526 Alliance Imaging, Inc.* 1,995 18,075 Amedisys, Inc.* 678 26,049 American Dental Partners, Inc.* 369 10,336 AMN Healthcare Services, Inc.* 738 13,823 Amsurg Corp.* 1,114 25,700 Apria Healthcare Group, Inc.* 1,780 46,298 Bio-Reference Labs, Inc.* 408 13,774 Centene Corp.* 416 8,948 Chemed Corp. 906 56,317 Corvel Corp.* 272 6,289 Cross Country Healthcare, Inc.* 498 8,700 Gentiva Health Services, Inc.* 546 10,489 HealthExtras, Inc.* 722 20,093 HMS Holdings Corp.* 427 10,508 inVentiv Health, Inc.* 1,423 62,356 Kindred Healthcare, Inc.* 1,777 31,826 Landauer, Inc. 273 13,912 LCA-Vision, Inc. 714 20,984 LHC Group, Inc.* 482 10,349 Matria Healthcare, Inc.* 384 10,045 Medcath Corp.* 320 8,787 Molina Healthcare, Inc.* 936 33,949 MWI Veterinary Supply, Inc.* 288 10,872 National Healthcare Corp. 444 22,817 Odyssey HealthCare, Inc.* 762 7,323 PharMerica Corp.* 602 8,982 Radiation Therapy Services, Inc.* 570 11,867 Res-Care, Inc.* 926 21,150 Sun Healthcare Group, Inc.* 730 12,198 U.S. Physical Therapy, Inc.* 414 6,127 ------- Total Health Care Providers & Services 587,469 ------------------------------------------------------------------------------- Health Care Technology - 0.3% Computer Programs & Systems, Inc. 311 8,198 Eclipsys Corp.* 495 11,543 Omnicell, Inc.* 474 13,529 Trizetto Group* 746 13,062 ------- Total Health Care Technology 46,332 ------------------------------------------------------------------------------- Hotels, Restaurants & Leisure - 2.5% AFC Enterprises, Inc.* 562 8,458 Ambassadors Group, Inc. 647 24,650 Ambassadors International, Inc. 224 5,495 BJ's Restaurants, Inc.* 490 10,315 Bluegreen Corp.* 1,994 15,454 Buffalo Wild Wings, Inc.* 416 15,692 California Pizza Kitchen, Inc.* 614 10,788 Churchill Downs, Inc.* 232 11,591 Denny's Corp.* 3,585 14,340 Dover Downs Gaming & Entertainment, Inc. 1,430 14,858 IHOP Corp. 549 34,767 Interstate Hotels & Resorts, Inc.* 5,821 26,485 Isle of Capri Casinos, Inc.* 352 6,846 Landry's Restaurants, Inc. 746 19,739 Luby's, Inc.* 1,454 16,023 Marcus Corp. 810 15,552 McCormick & Schmick's Seafood Restaurants, Inc.* 384 7,231 Monarch Casino & Resort, Inc.* 640 18,208 O'Charleys, Inc. 448 6,792 Papa John's International, Inc.* 1,322 32,309 Peet's Coffee & Tea, Inc.* 376 10,494 PF Chang's China Bistro, Inc.* 586 17,346 Premier Exhibitions, Inc.* 483 7,284 Red Robin Gourmet Burgers, Inc.* 474 20,335 Ruth's Chris Steak House* 547 7,795 Shuffle Master, Inc.* 384 5,741 Steak N Shake Co. (The)* 1,250 18,763 Texas Roadhouse, Inc. Class A* 1,480 17,316 WMS Industries, Inc.* 914 30,252 Youbet.com, Inc.* 182 344 ------- Total Hotels, Restaurants & Leisure 451,263 ------------------------------------------------------------------------------- Household Durables - 3.1% Avatar Holdings, Inc.* 937 46,784 See Notes to Financial Statements. 44 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- Bassett Furniture Industries, Inc. 957 $ 9,934 Blyth, Inc. 1,648 33,702 Brookfield Homes Corp.(a) 4,537 84,161 California Coastal Communities, Inc.* 1,583 19,471 Cavco Industries, Inc.* 287 9,615 Champion Enterprises, Inc.* 10,714 117,639 CSS Industries, Inc. 400 14,388 Dixie Group (The), Inc.* 31 295 Furniture Brands International, Inc. 3,074 31,170 Hooker Furniture Corp. 602 12,052 Kimball International, Inc. Class B 650 7,397 La-Z-Boy, Inc.(a) 778 5,742 Levitt Corp. Class A 4,109 8,259 Lifetime Brands, Inc. 506 10,267 M/I Homes, Inc. 1,576 21,891 National Presto Industries, Inc. 291 15,423 Orleans Homebuilders, Inc.(a) 2,402 14,052 Palm Harbor Homes, Inc.*(a) 786 9,809 Skyline Corp. 264 7,941 Stanley Furniture Co., Inc. 599 9,734 Tarragon Corp. 4,923 12,898 TOUSA, Inc.(a) 15,148 24,388 Universal Electronics, Inc.* 466 15,145 WCI Communities, Inc.*(a) 4,282 25,649 ------- Total Household Durables 567,806 -------------------------------------------------------------------------- Household Products - 0.1% WD-40 Co. 689 23,522 -------------------------------------------------------------------------- Industrial Conglomerates - 0.3% Raven Industries, Inc. 594 23,789 Standex International Corp. 650 13,442 Tredegar Corp. 698 12,041 ------- Total Industrial Conglomerates 49,272 -------------------------------------------------------------------------- Insurance - 4.9% 21st Century Holding Co. 682 9,684 Affirmative Insurance Holdings, Inc. 594 6,825 American Equity Investment Life Holding Co. 3,474 36,998 American Physicians Capital, Inc. 665 25,908 Baldwin & Lyons, Inc. Class B 866 23,650 CNA Surety Corp.* 2,561 45,150 Crawford & Co. Class B 2,114 13,445 Donegal Group Inc. Class A 1,337 21,633 EMC Insurance Group, Inc. 1,298 33,735 Fpic Insurance Group, Inc.* 576 24,797 Harleysville Group, Inc. 1,489 47,618 Horace Mann Educators Corp. 2,918 57,514 Infinity Property & Casualty Corp. 1,356 54,538 James River Group, Inc. 762 24,689 LandAmerica Financial Group, Inc. 1,251 48,764 Meadowbrook Insurance Group, Inc.* 1,416 12,758 Mercer Insurance Group, Inc. 328 5,802 Midland Co. (The) 991 54,465 National Interstate Corp. 826 25,433 National Western Life Insurance Co. Class A 207 52,984 Navigators Group, Inc.* 999 54,196 NYMAGIC, Inc. 559 15,546 PMA Capital Corp. Class A* 1,066 10,127 Presidential Life Corp. 1,398 23,710 Procentury Corp. 498 7,286 Safety Insurance Group, Inc. 1,670 60,021 SCPIE Holdings, Inc.* 443 9,857 SeaBright Insurance Holdings, Inc.* 1,358 23,181 Stewart Information Services Corp. 634 21,727 Tower Group, Inc. 674 17,645 Universal American Financial Corp.* 1,744 39,781 ------- Total Insurance 909,467 -------------------------------------------------------------------------- Internet & Catalog Retail - 0.7% 1-800-FLOWERS.COM, Inc. Class A* 1,320 15,299 Blue Nile, Inc.* 248 23,342 FTD Group, Inc. 1,210 18,005 Gaiam, Inc. Class A* 794 19,080 PetMed Express, Inc.* 641 8,980 Stamps.com, Inc.* 718 8,594 Systemax, Inc. 1,767 36,118 ------- Total Internet & Catalog Retail 129,418 -------------------------------------------------------------------------- Internet Software & Services - 1.5% Bankrate, Inc.* 232 10,700 CMGI, Inc.* 7,276 9,895 CyberSource Corp.* 810 9,469 Earthlink, Inc.* 5,293 41,921 Imergent, Inc.(a) 3,568 80,031 Jupitermedia Corp.* 398 2,519 Knot, Inc. (The)* 408 8,674 NIC, Inc. 1,194 8,286 Online Resources Corp.* 676 8,545 Perficient, Inc.* 506 11,066 Sohu.com, Inc.* 730 27,528 TheStreet.com, Inc. 516 6,249 Travelzoo, Inc.* 326 7,482 United Online, Inc. 2,114 31,731 Vignette Corp.* 530 10,637 ------- Total Internet Software & Services 274,733 -------------------------------------------------------------------------- IT Services - 0.8% Authorize.Net Holdings, Inc.* 618 10,895 Cass Information Systems, Inc. 208 7,440 Ciber, Inc.* 2,067 16,143 Forrester Research, Inc.* 360 8,485 Heartland Payment Systems, Inc. 594 15,266 infoUSA, Inc. 1,536 14,269 Integral Systems, Inc. 225 4,835 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 45 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- MAXIMUS, Inc. 328 $14,294 Ness Technologies, Inc.* 927 10,123 Sapient Corp.* 1,624 10,897 SI International, Inc.* 216 6,171 SYKES Enterprises, Inc.* 1,329 22,076 ------- Total IT Services 140,894 -------------------------------------------------------------------------- Leisure Equipment & Products - 0.9% Arctic Cat, Inc. 882 14,430 Callaway Golf Co. 674 10,791 Cybex International, Inc.* 3,567 17,550 Jakks Pacific, Inc.* 1,800 48,077 Marine Products Corp. 1,782 15,111 MarineMax, Inc.* 1,162 16,919 RC2 Corp.* 794 21,985 Smith & Wesson Holding Corp.* 762 14,547 ------- Total Leisure Equipment & Products 159,410 -------------------------------------------------------------------------- Life Sciences Tools & Services - 0.5% Bruker BioSciences Corp.* 1,234 10,859 eResearch Technology, Inc.* 869 9,898 Kendle International, Inc.* 368 15,283 Parexel International Corp.* 618 25,505 PharmaNet Development Group, Inc.* 466 13,528 PRA International* 738 21,697 ------- Total Life Sciences Tools & Services 96,770 -------------------------------------------------------------------------- Machinery - 5.2% Accuride Corp.* 4,321 52,327 Albany International Corp. Class A 1,538 57,660 Ampco-Pittsburgh Corp. 448 17,642 Astec Industries, Inc.* 674 38,721 ASV, Inc.*(a) 994 13,946 Axsys Technologies, Inc.* 331 10,248 Badger Meter, Inc. 328 10,512 Barnes Group, Inc. 1,906 60,840 Blount International, Inc.* 4,764 54,119 Cascade Corp. 534 34,801 CIRCOR International, Inc. 449 20,389 Columbus McKinnon Corp.* 1,892 47,092 Commercial Vehicle Group, Inc.* 2,018 25,891 Dynamic Materials Corp. 376 18,007 EnPro Industries, Inc.* 1,146 46,528 Federal Signal Corp. 1,618 24,852 Flanders Corp.* 1,927 8,806 Flow International Corp.* 874 7,709 Freightcar America, Inc. 1,494 57,071 Gehl Co.* 766 17,105 Gorman-Rupp Co. (The) 451 14,955 Greenbrier Cos., Inc. 746 19,926 Hurco Cos., Inc.* 408 22,056 Kadant, Inc.* 384 10,752 Kaydon Corp. 1,170 60,828 LB Foster Co. Class A* 376 16,341 Lindsay Corp. 307 13,440 Lydall, Inc.* 80 742 Middleby Corp.* 498 32,141 Miller Industries, Inc.* 666 11,402 RBC Bearings, Inc.* 554 21,246 Robbins & Myers, Inc. 240 13,750 Sun Hydraulics Corp. 721 22,928 Tennant Co. 635 30,925 Titan International, Inc. 458 14,619 Twin Disc, Inc. 322 18,740 Wabash National Corp. 1,487 16,788 ------- Total Machinery 965,845 -------------------------------------------------------------------------- Media - 1.1% Courier Corp. 498 17,535 Entercom Communications Corp. Class A 1,249 24,143 Fisher Communications, Inc.* 232 11,570 Harris Interactive, Inc.* 1,930 8,318 Journal Communications, Inc. Class A 1,315 12,466 Media General, Inc. Class A 1,044 28,720 New Frontier Media, Inc. 1,966 12,052 Playboy Enterprises, Inc. Class B* 882 9,473 Private Media Group Ltd.* 2,656 4,250 Saga Communications, Inc.* 527 3,868 Salem Communications Holding Corp. Class A* 794 6,352 Sinclair Broadcast Group, Inc. Class A 2,464 29,666 Spanish Broadcasting System, Inc.* 3,895 10,049 Valassis Communications, Inc.* 2,256 20,124 ------- Total Media 198,586 -------------------------------------------------------------------------- Metals & Mining - 2.1% A.M. Castle & Co. 1,178 38,403 AMCOL International Corp. 1,062 35,142 Brush Engineered Materials, Inc.* 384 19,926 Compass Minerals International, Inc. 799 27,198 Great Northern Iron Ore Properties 98 11,683 Hecla Mining Co.* 1,360 12,172 Mesabi Trust 539 10,996 Metal Management, Inc. 1,693 91,760 NN, Inc. 1,178 11,556 Northwest Pipe Co.* 272 10,287 Olympic Steel, Inc. 986 26,780 Royal Gold, Inc. 296 9,694 Ryerson, Inc. 2,064 69,638 Universal Stainless & Alloy* 320 12,733 ------- Total Metals & Mining 387,968 -------------------------------------------------------------------------- Multiline Retail - 0.2% 99 Cents Only Stores* 642 6,593 Fred's, Inc. 1,408 14,826 See Notes to Financial Statements. 46 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares Value -------------------------------------------------------------------------- Tuesday Morning Corp. 1,688 $15,176 ------- Total Multiline Retail 36,595 -------------------------------------------------------------------------- Multi-Utilities - 0.2% CH Energy Group, Inc. 776 37,093 -------------------------------------------------------------------------- Oil, Gas & Consumable Fuels - 3.0% Abraxas Petroleum Corp.* 2,917 11,143 Adams Resources & Energy, Inc. 395 11,001 Alpha Natural Resources, Inc.* 3,296 76,565 Arena Resources, Inc.* 304 19,912 Atlas America, Inc. 602 31,081 Bois d'Arc Energy, Inc.* 2,410 46,200 Brigham Exploration Co.* 2,313 13,716 Callon Petroleum Co.* 1,718 23,915 Carrizo Oil & Gas, Inc.* 562 25,211 Clayton Williams Energy, Inc.* 466 15,378 Enbridge Energy Management LLC.* 465 23,064 GMX Resources, Inc.* 272 8,750 Goodrich Petroleum Corp.* 432 13,694 Gulfport Energy Corp.* 898 21,247 Markwest Hydrocarbon, Inc. 184 10,696 NGP Capital Resources Co. 698 11,329 Parallel Petroleum Corp.* 802 13,626 Petroleum Development Corp.* 826 36,633 Petroquest Energy, Inc.* 1,520 16,310 Stone Energy Corp.* 1,050 42,011 TXCO Resources, Inc.* 834 7,473 USEC, Inc.* 4,666 47,827 Vaalco Energy, Inc.* 4,276 19,541 Westmoreland Coal Co.* 466 9,287 ------- Total Oil, Gas & Consumable Fuels 555,610 -------------------------------------------------------------------------- Paper & Forest Products - 0.2% Deltic Timber Corp. 192 10,929 Mercer International, Inc.* 1,298 12,266 Wausau Paper Corp. 674 7,515 ------- Total Paper & Forest Products 30,710 -------------------------------------------------------------------------- Personal Products - 0.7% American Oriental Bioengineering, Inc.* 1,218 13,581 Chattem, Inc.* 323 22,778 Elizabeth Arden, Inc.* 1,105 29,790 Inter Parfums, Inc. 593 14,036 Parlux Fragrances, Inc.* 835 3,257 Prestige Brands Holdings, Inc.* 1,728 18,973 USANA Health Sciences, Inc.*(a) 454 19,863 ------- Total Personal Products 122,278 -------------------------------------------------------------------------- Pharmaceuticals - 0.7% Bentley Pharmaceuticals, Inc.* 498 6,215 Bradley Pharmaceuticals, Inc.* 458 8,336 Hi-Tech Pharmacal Co., Inc.* 427 5,068 Noven Pharmaceuticals, Inc.* 360 5,735 Pain Therapeutics, Inc.* 1,162 10,865 Salix Pharmaceuticals Ltd.* 698 8,669 Sciele Pharma, Inc.* 1,250 32,525 Viropharma, Inc.* 5,783 51,468 ------- Total Pharmaceuticals 128,881 -------------------------------------------------------------------------- Real Estate Investment Trusts - 1.7% Acadia Realty Trust 440 11,937 Agree Realty Corp. 296 9,277 American Campus Communities, Inc. 264 7,733 American Land Lease, Inc. 391 8,786 Ashford Hospitality Trust, Inc. 770 7,739 Cedar Shopping Centers, Inc. 594 8,090 Equity Inns, Inc. 471 10,635 Feldman Mall Properties, Inc. 1,440 10,886 First Potomac Realty Trust 277 6,039 Getty Realty Corp. 890 24,207 Glimcher Realty Trust 336 7,896 Investors Real Estate Trust 1,544 16,675 Kite Realty Group Trust 546 10,265 LTC Properties, Inc. 650 15,386 Medical Properties Trust, Inc. 1,392 18,541 National Health Investors, Inc. 1,026 31,713 Omega Healthcare Investors, Inc. 1,400 21,742 Parkway Properties, Inc. 176 7,769 Ramco-Gershenson Properties Trust 272 8,497 Saul Centers, Inc. 272 14,008 Universal Health Realty Income Trust 554 19,684 Urstadt Biddle Properties, Inc. Class A 522 8,075 Winthrop Realty Trust 3,034 20,419 ------- Total Real Estate Investment Trusts 305,999 -------------------------------------------------------------------------- Real Estate Management & Development - 0.0% Consolidated-Tomoka Land Co. 128 8,603 -------------------------------------------------------------------------- Road & Rail - 1.4% Arkansas Best Corp. 1,728 56,435 Celadon Group, Inc.* 850 10,005 Dollar Thrifty Automotive Group, Inc.* 714 24,769 Frozen Food Express Industries, Inc. 548 3,688 Genesee & Wyoming, Inc. Class A* 352 10,152 Marten Transport Ltd.* 976 15,040 Old Dominion Freight Line, Inc.* 1,809 43,362 P.A.M. Transportation Services, Inc.* 706 12,708 Patriot Transportation Holding Inc.* 120 11,801 Quality Distribution, Inc.* 3,056 27,198 Saia, Inc.* 698 11,538 U.S. Xpress Enterprises, Inc. Class A* 767 15,156 Universal Truckload Services, Inc.* 586 12,869 USA Truck, Inc.* 593 9,043 ------- Total Road & Rail 263,764 -------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 47 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Earnings Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares Value ----------------------------------------------------------------------------- Semiconductors & Semiconductor Equipment - 3.0% Actel Corp.* 618 $ 6,631 Advanced Energy Industries, Inc.* 1,632 24,643 AMIS Holdings, Inc.* 1,680 16,313 Axcelis Technologies, Inc.* 1,640 8,380 Brooks Automation, Inc.* 1,162 16,547 Cabot Microelectronics Corp.* 650 27,788 Cirrus Logic, Inc.* 2,808 17,971 Cohu, Inc. 786 14,738 Diodes, Inc.* 1,144 36,722 DSP Group, Inc.* 746 11,809 Exar Corp.* 762 9,952 IXYS Corp.* 2,298 23,968 Kulicke & Soffa Industries, Inc.* 7,261 61,573 Mattson Technology, Inc.* 1,290 11,159 Micrel, Inc. 2,230 24,084 MIPS Technologies, Inc.* 712 5,625 Monolithic Power Systems, Inc.* 730 18,542 Netlogic Microsystems, Inc.* 408 14,733 Omnivision Technologies, Inc.* 3,567 81,077 Photronics Inc.* 1,105 12,608 Rudolph Technologies, Inc.* 618 8,547 Semtech Corp.* 1,138 23,306 Silicon Image, Inc.* 1,400 7,210 Silicon Storage Technology, Inc.* 2,640 8,501 Standard Microsystems Corp.* 530 20,363 Supertex, Inc.* 304 12,124 Triquint Semiconductor, Inc.* 2,018 9,908 Ultra Clean Holdings* 501 7,365 Veeco Instruments, Inc.* 498 9,651 ------- Total Semiconductors & Semiconductor Equipment 551,838 ----------------------------------------------------------------------------- Software - 2.0% Advent Software, Inc.* 272 12,776 Ansoft Corp.* 416 13,720 Aspen Technology, Inc.* 786 11,256 Blackboard, Inc.* 296 13,569 Concur Technologies, Inc.* 1,538 48,477 Epicor Software Corp.* 1,042 14,348 EPIQ Systems, Inc.* 2,420 45,543 i2 Technologies, Inc.*(a) 1,226 18,697 Informatica Corp.* 1,664 26,124 Interactive Intelligence, Inc.* 210 3,990 MSC.Software Corp.* 642 8,744 Progress Software Corp.* 466 14,120 QAD, Inc. 1,252 10,842 Quality Systems, Inc. 458 16,777 Radiant Systems, Inc.* 993 15,719 Renaissance Learning, Inc. 674 8,149 Smith Micro Software, Inc.* 794 12,752 SPSS, Inc.* 368 15,140 Tyler Technologies, Inc.* 706 9,425 Ultimate Software Group, Inc.* 392 13,681 VASCO Data Security International* 674 23,799 Wind River Systems, Inc.* 898 10,569 ------- Total Software 368,217 ----------------------------------------------------------------------------- Specialty Retail - 2.9% A.C. Moore Arts & Crafts, Inc.* 490 7,722 America's Car-Mart, Inc.* 918 10,383 Asbury Automotive Group, Inc. 1,778 35,222 Big 5 Sporting Goods Corp. 754 14,100 Blockbuster, Inc. Class A* 6,837 36,715 Books-A-Million, Inc. 700 9,261 Buckle, Inc. (The) 958 36,347 Build-A-Bear Workshop, Inc.* 554 9,839 Cache, Inc.* 432 7,711 Casual Male Retail Group, Inc.* 770 6,899 Cato Corp. (The) Class A 1,442 29,474 Charlotte Russe Holding, Inc.* 762 11,156 Christopher & Banks Corp. 1,258 15,247 Conn's, Inc.* 1,210 28,907 Cost Plus, Inc.* 1,956 7,863 DEB Shops, Inc. 610 16,403 Genesco, Inc.* 1,090 50,282 Haverty Furniture Cos., Inc. 874 7,665 Hibbett Sports, Inc.* 626 15,525 HOT Topic, Inc.* 922 6,878 JOS A Bank Clothiers, Inc.* 770 25,733 Lithia Motors, Inc. Class A 1,250 21,325 Monro Muffler, Inc. 376 12,705 Mothers Work, Inc.* 493 9,204 Select Comfort Corp.* 1,906 26,589 Stage Stores, Inc. 1,317 24,009 Syms Corp. 720 10,807 United Retail Group, Inc.* 1,406 19,108 Zumiez, Inc.* 320 14,198 ------- Total Specialty Retail 527,277 ----------------------------------------------------------------------------- Textiles, Apparel & Luxury Goods - 1.3% Charles & Colvard Ltd. 1,187 4,784 Cherokee, Inc. 281 10,779 Deckers Outdoor Corp.* 352 38,649 Hartmarx Corp.* 1,480 7,252 Iconix Brand Group, Inc.* 882 20,983 Kenneth Cole Productions, Inc. Class A 658 12,745 Maidenform Brands, Inc.* 818 12,990 Movado Group, Inc. 755 24,100 Oxford Industries, Inc. 642 23,189 See Notes to Financial Statements. 48 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (concluded) WisdomTree SmallCap Earnings Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------------- Perry Ellis International, Inc.* 416 $ 11,527 True Religion Apparel, Inc.* 1,026 18,058 UniFirst Corp. 671 25,136 Volcom, Inc.* 594 25,257 ----------- Total Textiles, Apparel & Luxury Goods 235,449 ---------------------------------------------------------------------------------- Thrifts & Mortgage Finance - 3.8% Accredited Home Lenders Holding Co.*(a) 5,061 59,062 Anchor Bancorp Wisconsin, Inc. 977 26,379 Bank Mutual Corp. 1,138 13,417 BankAtlantic Bancorp, Inc. Class A 738 6,398 BankUnited Financial Corp. Class A 2,307 35,851 Berkshire Hills Bancorp, Inc. 288 8,706 Brookline Bancorp, Inc. 978 11,335 Citizens First Bancorp, Inc. 344 6,175 City Bank/Lynnwood WA 432 12,407 Clifton Savings Bancorp, Inc. 802 9,488 Dime Community Bancshares, Inc. 1,507 22,560 Federal Agricultural Mortgage Corp. Class C 694 20,376 First Busey Corp. 839 18,382 First Defiance Financial Corp. 454 12,258 First Financial Holdings, Inc. 454 14,201 First Place Financial Corp. 658 11,647 FirstFed Financial Corp.*(a) 1,309 64,861 Flagstar Bancorp, Inc. 4,056 39,465 Flushing Financial Corp. 889 14,935 Imperial Capital Bancorp, Inc. 305 8,616 KNBT Bancorp, Inc. 951 15,730 OceanFirst Financial Corp. 490 8,541 Ocwen Financial Corp.*(a) 10,129 95,516 Partners Trust Financial Group, Inc. 1,608 19,569 PFF Bancorp, Inc. 1,074 16,475 Provident Financial Holdings, Inc. 698 15,544 Provident New York Bancorp 842 11,039 TierOne Corp. 842 22,288 Triad Guaranty, Inc.* 826 15,669 TrustCo Bank Corp. 2,672 29,205 United Community Financial Corp. 1,250 9,025 Willow Financial Bancorp, Inc. 699 8,689 WSFS Financial Corp. 315 19,656 ----------- Total Thrifts & Mortgage Finance 703,465 ---------------------------------------------------------------------------------- Tobacco - 0.1% Vector Group Ltd. 1,040 23,306 ---------------------------------------------------------------------------------- Trading Companies & Distributors - 0.9% Beacon Roofing Supply, Inc.*(a) 1,696 17,333 BlueLinx Holdings, Inc. 2,282 16,065 Electro Rent Corp. 874 12,245 Interline Brands, Inc.* 810 18,622 Kaman Corp. 890 30,758 Lawson Products, Inc. 258 8,981 Nuco2, Inc.* 408 10,502 Rush Enterprises, Inc. Class A* 2,218 56,227 ----------- Total Trading Companies & Distributors 170,733 ---------------------------------------------------------------------------------- Water Utilities - 0.3% American States Water Co. 384 14,976 California Water Service Group 384 14,780 Middlesex Water Co. 534 10,093 SJW Corp. 401 13,690 Southwest Water Co. 754 9,523 ----------- Total Water Utilities 63,062 ---------------------------------------------------------------------------------- Wireless Telecommunication Services - 0.3% Syniverse Holdings, Inc.* 2,292 36,443 USA Mobility, Inc.* 1,122 18,928 ----------- Total Wireless Telecommunication Services 55,371 ---------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $19,149,752) 18,277,055 ================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.9% MONEY MARKET FUNDS(b) - 3.9% AIM Liquid Assets Portfolio, 5.11% 195 195 UBS Private Money Market Fund LLC, 5.21% 727,405 727,405 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $727,600)(c) 727,600 ================================================================================== TOTAL INVESTMENTS IN SECURITIES - 103.3% (Cost: $19,877,352)(d) 19,004,655 Liabilities in Excess of Other Assets - (3.3)% (612,129) ----------- NET ASSETS - 100.0% $18,392,526 ================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $663,231 and the total market value of the collateral held by the Fund was $727,600. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 49 Schedule of Investments (unaudited) WisdomTree Earnings Top 100 Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ COMMON STOCKS - 99.8% Aerospace & Defense - 2.6% Honeywell International, Inc. 2,430 $ 144,512 Lockheed Martin Corp. 1,260 136,697 Raytheon Co. 2,028 129,427 --------- Total Aerospace & Defense 410,636 ------------------------------------------------------------------------------ Auto Components - 1.0% Johnson Controls, Inc. 1,336 157,795 ------------------------------------------------------------------------------ Building Products - 0.7% Masco Corp. 4,801 111,239 ------------------------------------------------------------------------------ Capital Markets - 4.1% Bear Stearns & Co., Inc. (The) 1,212 148,846 Goldman Sachs Group, Inc. 899 194,849 Lehman Brothers Holdings, Inc. 1,126 69,508 Merrill Lynch & Co., Inc. 1,264 90,098 Morgan Stanley 2,178 137,214 --------- Total Capital Markets 640,515 ------------------------------------------------------------------------------ Chemicals - 2.7% Dow Chemical Co. (The) 3,859 166,168 PPG Industries, Inc. 1,836 138,710 Rohm & Haas Co. 2,082 115,905 --------- Total Chemicals 420,783 ------------------------------------------------------------------------------ Commercial Banks - 8.2% BB&T Corp. 2,863 115,637 Fifth Third Bancorp 2,821 95,575 KeyCorp 3,775 122,046 M&T Bank Corp. 888 91,864 Marshall & Ilsley Corp. 2,436 106,624 National City Corp. 3,901 97,876 PNC Financial Services Group, Inc. (The) 2,899 197,421 SunTrust Banks, Inc. 1,410 106,695 U.S. Bancorp 3,781 122,996 Wachovia Corp. 2,040 102,306 Wells Fargo & Co. 3,530 125,738 --------- Total Commercial Banks 1,284,778 ------------------------------------------------------------------------------ Communications Equipment - 0.6% Motorola, Inc. 5,241 97,116 ------------------------------------------------------------------------------ Computers & Peripherals - 0.9% International Business Machines Corp. 1,162 136,884 ------------------------------------------------------------------------------ Consumer Finance - 2.1% Capital One Financial Corp. 2,374 157,705 Discover Financial Services 1,089 22,651 SLM Corp. 3,082 153,083 --------- Total Consumer Finance 333,439 ------------------------------------------------------------------------------ Diversified Financials - 3.3% Bank of America Corp. 2,738 137,639 CIT Group, Inc. 3,086 124,057 Citigroup, Inc. 2,753 128,483 JPMorgan Chase & Co. 2,733 125,226 --------- Total Diversified Financials 515,405 ------------------------------------------------------------------------------ Diversified Telecommunication Services - 0.8% Verizon Communications, Inc. 2,959 131,025 ------------------------------------------------------------------------------ Electric Utilities - 1.9% Edison International 2,797 155,094 PPL Corp. 3,043 140,891 --------- Total Electric Utilities 295,985 ------------------------------------------------------------------------------ Energy Equipment & Services - 1.7% BJ Services Co. 4,315 114,563 Halliburton Co. 4,063 156,019 --------- Total Energy Equipment & Services 270,582 ------------------------------------------------------------------------------ Food & Staples Retailing - 0.8% Kroger Co. (The) 4,624 131,876 ------------------------------------------------------------------------------ Food Products - 1.0% Archer-Daniels-Midland Co. 3,606 119,286 Kraft Foods, Inc. Class A 915 31,577 --------- Total Food Products 150,863 ------------------------------------------------------------------------------ Health Care Providers & Services - 3.0% Aetna, Inc. 2,995 162,539 Cigna Corp. 3,554 189,392 WellPoint, Inc.* 1,425 112,461 --------- Total Health Care Providers & Services 464,392 ------------------------------------------------------------------------------ Hotels, Restaurants & Leisure - 0.8% Starwood Hotels & Resorts Worldwide, Inc. 2,069 125,692 ------------------------------------------------------------------------------ Household Durables - 0.7% Fortune Brands, Inc. 1,272 103,655 ------------------------------------------------------------------------------ Independent Power Producers & Energy - 1.2% TXU Corp. 2,853 195,345 ------------------------------------------------------------------------------ Insurance - 12.0% Allstate Corp. (The) 3,223 184,323 American Family Life Assurance Co., Inc. 2,478 141,345 American International Group, Inc. 1,596 107,969 Chubb Corp. (The) 3,517 188,653 Genworth Financial, Inc. Class A 4,375 134,444 Hartford Financial Services Group, Inc. (The) 1,989 184,082 Lincoln National Corp. 1,692 111,621 Loews Corp. 2,989 144,518 Metlife, Inc. 2,448 170,699 Principal Financial Group, Inc. 1,860 117,347 Progressive Corp. (The) 6,482 125,816 Prudential Financial, Inc. 1,348 131,538 Travelers Cos., Inc. (The) 2,839 142,915 --------- Total Insurance 1,885,270 ------------------------------------------------------------------------------ Machinery - 6.9% Caterpillar, Inc. 2,544 199,526 Deere & Co. 1,194 177,213 See Notes to Financial Statements. 50 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (concluded) WisdomTree Earnings Top 100 Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------------- Eaton Corp. 1,854 $ 183,620 Illinois Tool Works, Inc. 2,328 138,842 Paccar, Inc. 2,322 197,951 Parker Hannifin Corp. 1,668 186,532 ----------- Total Machinery 1,083,684 --------------------------------------------------------------------------- Media - 1.8% Gannett Co., Inc. 2,188 95,616 News Corp. Class A 8,209 180,516 ----------- Total Media 276,132 --------------------------------------------------------------------------- Metals & Mining - 7.1% Alcoa, Inc. 4,321 169,038 Freeport-McMoRan Copper & Gold, Inc. 3,390 355,577 Nucor Corp. 2,710 161,164 Southern Copper Corp.(a) 3,391 419,907 ----------- Total Metals & Mining 1,105,686 --------------------------------------------------------------------------- Multiline Retail - 0.6% J.C. Penney Co., Inc. 1,381 87,514 --------------------------------------------------------------------------- Multi-Utilities - 1.9% PG&E Corp. 2,532 121,030 Sempra Energy 2,929 170,233 ----------- Total Multi-Utilities 291,263 --------------------------------------------------------------------------- Office Electronics - 0.9% Xerox Corp.* 8,026 139,171 --------------------------------------------------------------------------- Oil, Gas & Consumable Fuels - 22.2% Anadarko Petroleum Corp. 5,551 298,366 Apache Corp. 3,068 276,304 Chesapeake Energy Corp. 7,010 247,173 Chevron Corp. 2,575 240,969 ConocoPhillips 3,481 305,527 Devon Energy Corp. 2,442 203,174 EOG Resources, Inc. 2,238 161,875 Exxon Mobil Corp. 1,980 183,269 Hess Corp. 4,326 287,809 Marathon Oil Corp. 5,558 316,917 Murphy Oil Corp. 2,298 160,607 Occidental Petroleum Corp. 3,595 230,368 Valero Energy Corp. 5,227 351,149 XTO Energy, Inc. 3,553 219,718 ----------- Total Oil, Gas & Consumable Fuels 3,483,225 --------------------------------------------------------------------------- Pharmaceuticals - 0.6% Wyeth 2,182 97,208 --------------------------------------------------------------------------- Real Estate Investment Trusts - 0.4% Boston Properties, Inc. 690 71,691 --------------------------------------------------------------------------- Road & Rail - 2.6% Burlington Northern Santa Fe Corp. 1,588 128,898 CSX Corp. 3,538 151,178 Norfolk Southern Corp. 2,358 122,404 ----------- Total Road & Rail 402,480 --------------------------------------------------------------------------- Specialty Retail - 1.4% Home Depot, Inc. 3,409 110,588 Lowe's Cos., Inc. 3,777 105,832 ----------- Total Specialty Retail 216,420 --------------------------------------------------------------------------- Thrifts & Mortgage Finance - 1.2% Countrywide Financial Corp. 4,849 92,179 Washington Mutual, Inc. 2,959 104,483 ----------- Total Thrifts & Mortgage Finance 196,662 --------------------------------------------------------------------------- Tobacco - 2.1% Altria Group, Inc. 1,320 91,780 Reynolds American, Inc. 3,772 239,861 ----------- Total Tobacco 331,641 --------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $15,013,443) 15,646,052 =========================================================================== INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 1.8% MONEY MARKET FUND(b) - 1.8% UBS Private Money Market Fund LLC, 5.21% (Cost: $281,600)(c) 281,600 281,600 =========================================================================== TOTAL INVESTMENTS IN SECURITIES - 101.6% (Cost: $15,295,043)(d) 15,927,652 Liabilities in Excess of Cash and Other Assets - (1.6)% (250,859) ----------- NET ASSETS - 100.0% $15,676,793 =========================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $275,374 and the total market value of the collateral held by the Fund was $281,600. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 51 Schedule of Investments (unaudited) WisdomTree Low P/E Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares Value ------------------------------------------------------------------------- COMMON STOCKS - 99.4% Aerospace & Defense - 2.1% Alliant Techsystems, Inc.* 154 $ 16,832 BE Aerospace, Inc.* 462 19,187 Ceradyne, Inc.* 253 19,162 Goodrich Corp. 528 36,025 Hexcel Corp.* 715 16,238 Honeywell International, Inc. 2,555 151,947 Lockheed Martin Corp. 1,352 146,678 Northrop Grumman Corp. 1,091 85,098 Raytheon Co. 1,399 89,284 --------- Total Aerospace & Defense 580,451 ------------------------------------------------------------------------- Airlines - 0.1% Continental Airlines, Inc. Class B* 355 11,726 Skywest, Inc. 528 13,289 --------- Total Airlines 25,015 ------------------------------------------------------------------------- Auto Components - 0.6% ArvinMeritor, Inc. 682 11,471 Autoliv, Inc. 363 21,689 BorgWarner, Inc. 251 22,974 Goodyear Tire & Rubber Co. (The)* 858 26,092 Johnson Controls, Inc. 627 74,055 TRW Automotive Holdings Corp.* 484 15,333 --------- Total Auto Components 171,614 ------------------------------------------------------------------------- Automobiles - 0.1% Thor Industries, Inc. 350 15,747 ------------------------------------------------------------------------- Beverages - 0.2% Pepsi Bottling Group, Inc. 770 28,621 PepsiAmericas, Inc. 627 20,340 --------- Total Beverages 48,961 ------------------------------------------------------------------------- Biotechnology - 0.1% ImClone Systems, Inc.* 829 34,271 ------------------------------------------------------------------------- Building Products - 0.3% Lennox International, Inc. 385 13,013 Masco Corp. 1,684 39,018 Simpson Manufacturing Co., Inc. 407 12,963 USG Corp.*(a) 353 13,255 --------- Total Building Products 78,249 ------------------------------------------------------------------------- Capital Markets - 4.5% Allied Capital Corp.(a) 869 25,540 American Capital Strategies Ltd.(a) 799 34,141 Apollo Investment Corp. 760 15,808 Bear Stearns & Cos., Inc. (The) 642 78,844 Goldman Sachs Group, Inc. 2,059 446,268 Knight Capital Group, Inc. Class A* 770 9,209 LaBranche & Cos., Inc.* 2,014 9,426 Lehman Brothers Holdings, Inc. 2,533 156,362 Merrill Lynch & Co., Inc. 2,919 208,066 Morgan Stanley 4,708 296,604 --------- Total Capital Markets 1,280,268 ------------------------------------------------------------------------- Chemicals - 1.7% Celanese Corp. Series A 627 24,440 Dow Chemical Co. (The) 4,321 186,062 Eastman Chemical Co. 352 23,489 Huntsman Corp. 902 23,894 Lubrizol Corp. 252 16,395 Lyondell Chemical Co. 1,254 58,123 Olin Corp. 713 15,957 OM Group, Inc.* 211 11,143 PPG Industries, Inc. 583 44,046 Rohm & Haas Co. 715 39,804 Valspar Corp. (The) 484 13,170 Westlake Chemical Corp. 496 12,564 --------- Total Chemicals 469,087 ------------------------------------------------------------------------- Commercial Banks - 6.9% Associated Banc-Corp 484 14,341 BancorpSouth, Inc. 528 12,830 Bank of Hawaii Corp. 264 13,952 BB&T Corp. 1,982 80,053 BOK Financial Corp. 264 13,572 Cathay General Bancorp 396 12,755 Chittenden Corp. 440 15,470 Citizens Banking Corp. 837 13,484 City National Corp. 187 12,998 Colonial BancGroup, Inc. (The) 539 11,653 Comerica, Inc. 682 34,973 Commerce Bancshares, Inc. 275 12,620 Cullen/Frost Bankers, Inc. 253 12,680 East West Bancorp, Inc. 363 13,053 Fifth Third Bancorp 1,861 63,051 FirstMerit Corp. 605 11,955 Fulton Financial Corp. 858 12,338 Huntington Bancshares, Inc. 1,056 17,931 International Bancshares Corp. 518 11,241 KeyCorp 1,641 53,054 M&T Bank Corp. 352 36,414 Marshall & Ilsley Corp. 847 37,073 National City Corp. 3,169 79,510 Pacific Capital Bancorp 418 10,993 Park National Corp. 143 12,470 PNC Financial Services Group, Inc. (The) 1,806 122,989 SunTrust Banks, Inc. 1,254 94,890 Synovus Financial Corp. 990 27,770 TCF Financial Corp. 506 13,247 Trustmark Corp. 462 12,954 U.S. Bancorp 6,770 220,228 UnionBanCal Corp. 583 34,053 Wachovia Corp. 6,330 317,451 Wells Fargo & Co. 11,754 418,678 Westamerica Bancorp 275 13,698 Whitney Holding Corp. 418 11,027 See Notes to Financial Statements. 52 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree Low P/E Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares Value ------------------------------------------------------------------------------ Wilmington Trust Corp. 319 $ 12,409 Zions Bancorp 363 24,927 --------- Total Commercial Banks 1,944,785 ------------------------------------------------------------------------------ Commercial Services & Supplies - 0.1% Deluxe Corp. 408 15,031 PHH Corp.* 451 11,852 United Stationers, Inc.* 217 12,048 --------- Total Commercial Services & Supplies 38,931 ------------------------------------------------------------------------------ Communications Equipment - 0.6% Arris Group, Inc.* 924 11,411 CommScope, Inc.* 373 18,740 Motorola, Inc. 8,317 154,114 --------- Total Communications Equipment 184,265 ------------------------------------------------------------------------------ Computers & Peripherals - 2.1% International Business Machines Corp. 4,743 558,725 Palm, Inc.* 1,289 20,972 Western Digital Corp.* 1,100 27,852 --------- Total Computers & Peripherals 607,549 ------------------------------------------------------------------------------ Construction Materials - 0.1% Eagle Materials, Inc. 318 11,365 Florida Rock Industries, Inc. 270 16,873 --------- Total Construction Materials 28,238 ------------------------------------------------------------------------------ Consumer Finance - 1.0% AmeriCredit Corp.* 889 15,629 Capital One Financial Corp. 1,605 106,619 CompuCredit Corp.* 396 8,597 Discover Financial Services 2,310 48,048 First Marblehead Corp. (The)(a) 374 14,186 SLM Corp. 1,619 80,416 Student Loan Corp. (The) 77 13,885 --------- Total Consumer Finance 287,380 ------------------------------------------------------------------------------ Containers & Packaging - 0.1% Ball Corp. 341 18,328 Temple-Inland, Inc. 320 16,842 --------- Total Containers & Packaging 35,170 ------------------------------------------------------------------------------ Diversified Consumer Services - 0.0% Career Education Corp.* 461 12,903 ------------------------------------------------------------------------------ Diversified Financials - 9.0% Bank of America Corp. 19,059 958,096 CIT Group, Inc. 1,045 42,009 Citigroup, Inc. 19,897 928,593 JPMorgan Chase & Co. 13,222 605,832 --------- Total Diversified Financials 2,534,530 ------------------------------------------------------------------------------ Diversified Telecommunication Services - 1.6% CenturyTel, Inc. 418 19,320 Cincinnati Bell, Inc.* 2,798 13,822 Verizon Communications, Inc. 8,937 395,731 Windstream Corp. 1,520 21,462 --------- Total Diversified Telecommunication Services 450,335 ------------------------------------------------------------------------------ Electric Utilities - 0.8% Edison International 1,254 69,535 FirstEnergy Corp. 1,001 63,403 Pinnacle West Capital Corp. 400 15,804 PPL Corp. 1,265 58,570 Sierra Pacific Resources 865 13,606 Westar Energy, Inc. 495 12,157 --------- Total Electric Utilities 233,075 ------------------------------------------------------------------------------ Electrical Equipment - 0.1% Genlyte Group, Inc.* 187 12,017 Regal-Beloit Corp. 297 14,223 --------- Total Electrical Equipment 26,240 ------------------------------------------------------------------------------ Electronic Equipment & Instruments - 0.4% Anixter International, Inc.* 230 18,964 Arrow Electronics, Inc.* 545 23,174 Avnet, Inc.* 506 20,169 Benchmark Electronics, Inc.* 605 14,441 Ingram Micro, Inc. Class A* 704 13,805 Vishay Intertechnology, Inc.* 957 12,470 --------- Total Electronic Equipment & Instruments 103,023 ------------------------------------------------------------------------------ Energy Equipment & Services - 1.7% BJ Services Co. 1,309 34,754 Diamond Offshore Drilling, Inc. 374 42,370 ENSCO International, Inc. 616 34,558 Global Industries Ltd.* 990 25,502 Grant Prideco, Inc.* 484 26,388 Grey Wolf, Inc.* 1,214 7,952 Gulfmark Offshore, Inc.* 158 7,688 Halliburton Co. 4,231 162,470 Helmerich & Payne, Inc. 528 17,334 Oil States International, Inc.* 462 22,315 Patterson-UTI Energy, Inc. 1,521 34,329 Rowan Cos., Inc. 440 16,095 RPC, Inc. 825 11,723 SEACOR Holdings, Inc.* 132 12,553 Tidewater, Inc. 264 16,590 Unit Corp.* 319 15,440 --------- Total Energy Equipment & Services 488,061 ------------------------------------------------------------------------------ Food & Staples Retailing - 2.4% Kroger Co. (The) 2,167 61,803 Rite Aid Corp.* 12,934 59,755 Wal-Mart Stores, Inc. 13,076 570,767 --------- Total Food & Staples Retailing 692,325 ------------------------------------------------------------------------------ Food Products - 0.9% Archer-Daniels-Midland Co. 2,426 80,252 Kraft Foods, Inc. Class A 4,809 165,959 Seaboard Corp. 11 21,560 --------- Total Food Products 267,771 ------------------------------------------------------------------------------ Gas Utilities - 0.2% AGL Resources Inc. 349 13,827 Energen Corp. 286 16,337 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 53 Schedule of Investments (unaudited) (continued) WisdomTree Low P/E Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------- Nicor, Inc. 297 $12,741 ------- Total Gas Utilities 42,905 ---------------------------------------------------------------------------- Health Care Equipment & Supplies - 0.1% Kinetic Concepts, Inc.* 264 14,858 ---------------------------------------------------------------------------- Health Care Providers & Services - 1.5% Aetna, Inc. 2,026 109,951 Cigna Corp. 1,353 72,101 Coventry Health Care, Inc.* 558 34,713 Health Net, Inc.* 366 19,782 LifePoint Hospitals, Inc.* 391 11,734 Lincare Holdings, Inc.* 352 12,901 Sierra Health Services, Inc.* 340 14,345 WellPoint, Inc.* 1,979 156,183 ------- Total Health Care Providers & Services 431,710 ---------------------------------------------------------------------------- Hotels, Restaurants & Leisure - 0.3% CBRL Group, Inc. 284 11,587 CKE Restaurants, Inc. 704 11,412 Ruby Tuesday, Inc. 406 7,446 Speedway Motorsports, Inc. 339 12,543 Starwood Hotels & Resorts Worldwide, Inc. 858 52,124 ------- Total Hotels, Restaurants & Leisure 95,112 ---------------------------------------------------------------------------- Household Durables - 1.5% American Greetings Corp. Class A 561 14,810 Beazer Homes USA, Inc.(a) 537 4,430 Black & Decker Corp. (The) 341 28,405 Centex Corp. 880 23,382 D.R. Horton, Inc. 2,379 30,475 Ethan Allen Interiors, Inc. 363 11,866 Fortune Brands, Inc. 473 38,546 Hovnanian Enterprises, Inc. Class A*(a) 605 6,709 KB Home 671 16,815 Leggett & Platt, Inc. 583 11,170 Lennar Corp. Class A 1,331 30,147 MDC Holdings, Inc. 385 15,762 Meritage Homes Corp.*(a) 493 6,961 Mohawk Industries, Inc.* 286 23,252 NVR, Inc.* 55 25,864 Pulte Homes, Inc. 1,894 25,777 Ryland Group, Inc. (The) 418 8,958 Standard-Pacific Corp. 737 4,046 Stanley Works (The) 286 16,053 Tempur-Pedic International, Inc. 550 19,663 Toll Brothers, Inc.* 1,320 26,387 TOUSA, Inc.(a) 2,237 3,602 Tupperware Brands Corp. 488 15,367 Whirlpool Corp. 286 25,483 ------- Total Household Durables 433,930 ---------------------------------------------------------------------------- Household Products - 0.1% Energizer Holdings, Inc.* 197 21,837 ---------------------------------------------------------------------------- Independent Power Producers & Energy - 0.9% Mirant Corp.* 1,421 57,806 NRG Energy, Inc.* 1,100 46,519 TXU Corp. 2,200 150,634 ------- Total Independent Power Producers & Energy 254,959 ---------------------------------------------------------------------------- Industrial Conglomerates - 0.1% Carlisle Cos., Inc. 308 14,969 ---------------------------------------------------------------------------- Insurance - 9.3% Alfa Corp. 715 12,999 Alleghany Corp. 33 13,398 Allstate Corp. (The) 3,857 220,582 AMBAC Financial Group, Inc. 495 31,140 American Family Life Assurance Co., Inc. 1,582 90,237 American Financial Group, Inc. 528 15,059 American International Group, Inc. 8,689 587,810 Assurant, Inc. 660 35,310 Chubb Corp. (The) 2,247 120,529 Cincinnati Financial Corp. 594 25,726 Commerce Group, Inc. 451 13,291 Conseco, Inc.* 719 11,504 Delphi Financial Group, Inc. Class A 352 14,228 Erie Indemnity Co. Class A 253 15,466 First American Corp. 341 12,487 Genworth Financial, Inc. Class A 1,960 60,231 Hanover Insurance Group, Inc. (The) 286 12,638 Hartford Financial Services Group, Inc. (The) 1,465 135,586 HCC Insurance Holdings, Inc. 429 12,287 LandAmerica Financial Group, Inc. 220 8,576 Lincoln National Corp. 924 60,956 Loews Corp. 1,971 95,298 Markel Corp.* 44 21,296 MBIA, Inc. 592 36,142 Mercury General Corp. 253 13,644 Metlife, Inc. 3,274 228,295 Nationwide Financial Services, Inc. Class A 671 36,113 Odyssey Re Holdings Corp. 413 15,326 Old Republic International Corp. 1,086 20,352 Philadelphia Consolidated Holding Co.* 319 13,187 Principal Financial Group, Inc. 869 54,825 ProAssurance Corp.* 264 14,222 Progressive Corp. (The) 3,384 65,683 Protective Life Corp. 297 12,605 Prudential Financial, Inc. 1,460 142,467 Reinsurance Group of America, Inc. 275 15,590 RLI Corp. 242 13,726 Safeco Corp. 594 36,365 Selective Insurance Group, Inc. 528 11,236 StanCorp Financial Group, Inc. 286 14,160 Torchmark Corp. 407 25,364 Transatlantic Holdings, Inc. 264 18,567 Travelers Cos., Inc. (The) 3,040 153,034 Unitrin, Inc. 297 14,728 W.R. Berkley Corp. 979 29,008 See Notes to Financial Statements. 54 WisdomTree Domestic Earnings Funds Schedule of Investments (unaudited) (continued) WisdomTree Low P/E Fund September 30, 2007 --------------------------------------------------------------------- Investments Shares Value --------------------------------------------------------------------- Zenith National Insurance Corp. 331 $ 14,859 --------- Total Insurance 2,626,132 --------------------------------------------------------------------- Internet Software & Services - 0.1% VeriSign, Inc.* 958 32,323 --------------------------------------------------------------------- IT Services - 0.1% Wright Express Corp.* 484 17,661 --------------------------------------------------------------------- Leisure Equipment & Products - 0.2% Brunswick Corp. 484 11,064 Mattel, Inc. 1,287 30,194 Polaris Industries, Inc. 286 12,475 --------- Total Leisure Equipment & Products 53,733 --------------------------------------------------------------------- Machinery - 3.3% Actuant Corp. Class A 275 17,867 Briggs & Stratton Corp. 473 11,910 Caterpillar, Inc. 3,106 243,605 Crane Co. 352 16,885 Cummins, Inc. 616 78,780 Deere & Co. 769 114,135 Eaton Corp. 638 63,188 Gardner Denver, Inc.* 385 15,015 Harsco Corp. 330 19,559 Illinois Tool Works, Inc. 1,784 106,398 Joy Global, Inc. 483 24,565 Lincoln Electric Holdings, Inc. 209 16,220 Paccar, Inc. 1,133 96,588 Parker Hannifin Corp. 495 55,356 Terex Corp.* 308 27,418 Timken Co. (The) 583 21,658 Toro Co. (The) 264 15,531 --------- Total Machinery 944,678 --------------------------------------------------------------------- Media - 1.4% Belo Corp. Class A 737 12,794 Gannett Co., Inc. 903 39,461 Getty Images, Inc.* 264 7,350 News Corp. Class A 15,857 348,696 --------- Total Media 408,301 --------------------------------------------------------------------- Metals & Mining - 3.3% A.M. Castle & Co. 351 11,443 AK Steel Holding Corp.* 502 22,063 Alcoa, Inc. 3,711 145,175 Allegheny Technologies, Inc. 333 36,613 Carpenter Technology Corp. 133 17,291 Cleveland-Cliffs, Inc. 308 27,095 Commercial Metals Co. 836 26,459 Freeport-McMoRan Copper & Gold, Inc. 1,383 145,063 Nucor Corp. 1,487 88,432 Quanex Corp. 337 15,832 Reliance Steel & Aluminum Co. 626 35,394 Ryerson, Inc. 283 9,548 Southern Copper Corp. 1,731 214,351 Steel Dynamics, Inc. 550 25,685 United States Steel Corp. 892 94,498 Worthington Industries, Inc. 674 15,879 --------- Total Metals & Mining 930,821 --------------------------------------------------------------------- Multiline Retail - 0.2% JC Penney Co., Inc. 693 43,915 --------------------------------------------------------------------- Multi-Utilities - 1.1% Centerpoint Energy, Inc. 1,432 22,955 DTE Energy Co. 670 32,455 Integrys Energy Group, Inc. 242 12,398 MDU Resources Group, Inc. 605 16,843 OGE Energy Corp. 341 11,287 PG&E Corp. 1,210 57,838 SCANA Corp. 363 14,063 Sempra Energy 1,232 71,604 TECO Energy, Inc. 803 13,193 Vectren Corp. 484 13,208 Wisconsin Energy Corp. 352 15,851 Xcel Energy, Inc. 1,232 26,537 --------- Total Multi-Utilities 308,232 --------------------------------------------------------------------- Office Electronics - 0.2% Xerox Corp.* 3,829 66,395 --------------------------------------------------------------------- Oil, Gas & Consumable Fuels - 25.3% Alon USA Energy, Inc. 218 7,364 Anadarko Petroleum Corp. 3,780 203,175 Apache Corp. 1,982 178,499 Cabot Oil & Gas Corp. 418 14,697 Chesapeake Energy Corp. 3,040 107,190 Chevron Corp. 12,310 1,151,969 Cimarex Energy Co. 778 28,981 ConocoPhillips 11,592 1,017,429 Devon Energy Corp. 2,379 197,933 Encore Acquisition Co.* 517 16,363 EOG Resources, Inc. 1,144 82,746 Exxon Mobil Corp. 27,078 2,506,339 Forest Oil Corp.* 418 17,991 Frontier Oil Corp. 627 26,108 Helix Energy Solutions Group, Inc.* 418 17,748 Hess Corp. 1,696 112,835 Holly Corp. 253 15,137 Marathon Oil Corp. 5,622 320,565 Murphy Oil Corp. 693 48,434 Newfield Exploration Co.* 693 33,375 Noble Energy, Inc. 594 41,604 Occidental Petroleum Corp. 4,664 298,869 Overseas Shipholding Group, Inc. 361 27,736 Penn Virginia Corp. 374 16,449 Pogo Producing Co. 374 19,863 St. Mary Land & Exploration Co. 374 13,341 Sunoco, Inc. 891 63,065 Swift Energy Co.* 246 10,066 Tesoro Corp. 1,034 47,585 Valero Energy Corp. 5,270 354,038 See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 55 Schedule of Investments (unaudited) (concluded) WisdomTree Low P/E Fund September 30, 2007 ---------------------------------------------------------------------------------------- Investments Shares Value ---------------------------------------------------------------------------------------- W&T Offshore, Inc. 429 $ 10,459 Whiting Petroleum Corp.* 308 13,691 XTO Energy, Inc. 1,971 121,887 ----------- Total Oil, Gas & Consumable Fuels 7,143,531 ---------------------------------------------------------------------------------------- Paper & Forest Products - 0.0% Louisiana-Pacific Corp. 638 10,827 ---------------------------------------------------------------------------------------- Personal Products - 0.1% Alberto-Culver Co. 583 14,453 ---------------------------------------------------------------------------------------- Pharmaceuticals - 4.1% Barr Pharmaceuticals, Inc.* 414 23,561 Merck & Co., Inc. 6,707 346,685 Pfizer, Inc. 24,581 600,513 Wyeth 4,245 189,115 ----------- Total Pharmaceuticals 1,159,874 ---------------------------------------------------------------------------------------- Real Estate Investment Trusts - 0.2% Boston Properties, Inc. 352 36,573 Cousins Properties, Inc. 365 10,716 Equity One, Inc. 484 13,165 ----------- Total Real Estate Investment Trusts 60,454 ---------------------------------------------------------------------------------------- Road & Rail - 1.2% Amerco, Inc.* 209 13,263 Burlington Northern Santa Fe Corp. 1,276 103,573 Con-way, Inc. 286 13,156 CSX Corp. 1,652 70,590 JB Hunt Transport Services, Inc. 539 14,176 Norfolk Southern Corp. 1,456 75,581 Ryder System, Inc. 264 12,936 Werner Enterprises, Inc. 715 12,262 YRC Worldwide, Inc.* 499 13,633 ----------- Total Road & Rail 329,170 ---------------------------------------------------------------------------------------- Semiconductors & Semiconductor Equipment - 0.9% Amkor Technology, Inc.* 1,221 14,066 Lam Research Corp.* 451 24,020 MKS Instruments, Inc.* 582 11,070 ON Semiconductor Corp.* 1,432 17,986 Teradyne, Inc.* 880 12,144 Texas Instruments, Inc. 4,643 169,887 ----------- Total Semiconductors & Semiconductor Equipment 249,173 ---------------------------------------------------------------------------------------- Specialty Retail - 2.2% Abercrombie & Fitch Co. Class A 264 21,305 Advance Auto Parts, Inc. 352 11,813 AutoNation, Inc.* 879 15,576 Autozone, Inc.* 253 29,383 Foot Locker, Inc. 594 9,106 Group 1 Automotive, Inc. 253 8,493 Home Depot, Inc. 7,981 258,904 Lowe's Cos., Inc. 5,024 140,772 Men's Wearhouse, Inc. (The) 319 16,116 Pacific Sunwear Of California, Inc.* 680 10,064 Rent-A-Center, Inc.* 451 8,177 Sherwin-Williams Co. (The) 459 30,161 Sonic Automotive, Inc. Class A 418 10,007 TJX Cos., Inc. 1,331 38,692 ----------- Total Specialty Retail 608,569 ---------------------------------------------------------------------------------------- Textiles, Apparel & Luxury Goods - 0.1% Jones Apparel Group, Inc. 407 8,600 VF Corp. 363 29,312 ----------- Total Textiles, Apparel & Luxury Goods 37,912 ---------------------------------------------------------------------------------------- Thrifts & Mortgage Finance - 1.1% Astoria Financial Corp. 462 12,257 Countrywide Financial Corp. 3,351 63,702 Downey Financial Corp. 198 11,444 First Niagara Financial Group, Inc. 924 13,075 IndyMac Bancorp, Inc.(a) 752 17,755 MGIC Investment Corp. 484 15,638 PMI Group, Inc. (The) 473 15,467 Radian Group, Inc. 545 12,688 Washington Federal, Inc. 572 15,021 Washington Mutual, Inc. 3,725 131,529 ----------- Total Thrifts & Mortgage Finance 308,576 ---------------------------------------------------------------------------------------- Tobacco - 2.2% Altria Group, Inc. 6,950 483,234 Reynolds American, Inc. 2,173 138,181 ----------- Total Tobacco 621,415 ---------------------------------------------------------------------------------------- Trading Companies & Distributors - 0.2% United Rentals, Inc.* 484 15,570 W.W. Grainger, Inc. 286 26,080 Watsco, Inc. 253 11,747 WESCO International, Inc.* 233 10,005 ----------- Total Trading Companies & Distributors 63,402 ---------------------------------------------------------------------------------------- Wireless Telecommunication Services - 0.4% Telephone & Data Systems, Inc. 1,747 116,612 ---------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $27,827,281) 28,104,683 ======================================================================================== INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.4% MONEY MARKET FUND(b) - 0.4% UBS Private Money Market Fund LLC, 5.21% (Cost: $109,900)(c) 109,900 109,900 ======================================================================================== TOTAL INVESTMENTS IN SECURITIES - 99.8% (Cost: $27,937,181)(d) 28,214,583 Cash and Other Assets in Excess of Liabilities - 0.2% 52,384 ----------- NET ASSETS - 100.0% $28,266,967 ======================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $98,341 and the total market value of the collateral held by the Fund was $109,900. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 56 WisdomTree Domestic Earnings Funds Statements of Assets and Liabilities (unaudited) WisdomTree Domestic Earnings Funds September 30, 2007 ----------------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree Total Earnings MidCap SmallCap Earnings Top Low Earnings Fund 500 Fund Earnings Fund Earnings Fund 100 Fund P/E Fund ----------------------------------------------------------------------------------------------------------------------------------- ASSETS: ----------------------------------------------------------------------------------------------------------------------------------- Investments, at cost: $ 17,793,464 $ 40,639,049 $28,219,461 $19,877,352 $ 15,295,043 $ 27,937,181 ----------------------------------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 18,140,327 41,628,912 27,316,270 19,004,655 15,927,652 28,214,583 Cash 41,034 177,692 11,647 - 9,830 87,599 Receivables: Investment securities sold 16,092 - 210,583 346,194 - 48,072 Dividends and interest 20,754 49,620 21,670 20,849 25,745 35,382 ----------------------------------------------------------------------------------------------------------------------------------- Total Assets 18,218,207 41,856,224 27,560,170 19,371,698 15,963,227 28,385,636 =================================================================================================================================== LIABILITIES: Custodian bank - - - 7,647 - - Payables: Investment securities purchased - - - 238,127 - - Collateral for securities on loan (Note 2) 50,000 21,500 416,800 727,600 281,600 109,900 Advisory fees (Note 3) 4,095 9,417 8,348 5,732 4,779 8,669 Other accrued expenses 64 148 97 66 55 100 ----------------------------------------------------------------------------------------------------------------------------------- Total Liabilities 54,159 31,065 425,245 979,172 286,434 118,669 =================================================================================================================================== NET ASSETS $ 18,164,048 $ 41,825,159 $27,134,925 $18,392,526 $ 15,676,793 $ 28,266,967 =================================================================================================================================== NET ASSETS: Paid-in capital $ 17,277,534 $ 40,814,660 $27,989,937 $19,408,297 $ 14,336,349 $ 27,415,043 Undistributed net investment income 9,439 17,505 17,092 11,733 11,166 10,050 Accumulated net realized gain (loss) on investments 530,212 3,131 31,087 (154,807) 696,669 564,472 Net unrealized appreciation (depreciation) on investments 346,863 989,863 (903,191) (872,697) 632,609 277,402 ----------------------------------------------------------------------------------------------------------------------------------- NET ASSETS $ 18,164,048 $ 41,825,159 $27,134,925 $18,392,526 $ 15,676,793 $ 28,266,967 =================================================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 350,002 800,002 550,002 400,002 300,002 550,002 ----------------------------------------------------------------------------------------------------------------------------------- Net asset value per share $ 51.90 $ 52.28 $ 49.34 $ 45.98 $ 52.26 $ 51.39 =================================================================================================================================== See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 57 Statements of Operations (unaudited) WisdomTree Domestic Earnings Funds For the Six Months Ended September 30, 2007 -------------------------------------------------------------------------------- ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree WisdomTree Total Earnings MidCap SmallCap Earnings Top Low Earnings Fund 500 Fund Earnings Fund Earnings Fund 100 Fund P/E Fund ------------------------------------------------------------------------------------------------------------------------------------ INVESTMENT INCOME: ------------------------------------------------------------------------------------------------------------------------------------ Dividends(1) $ 165,691 $ 282,749 $ 98,839 $ 83,173 $ 168,338 $ 245,153 Securities lending income (Note 2) 533 27 4,951 8,993 827 1,150 ------------------------------------------------------------------------------------------------------------------------------------ Total investment income 166,224 282,776 103,790 92,166 169,165 246,303 ------------------------------------------------------------------------------------------------------------------------------------ EXPENSES: Advisory fees (Note 3) 24,256 37,871 27,246 24,785 31,874 41,873 Service fees (Note 3) 126 274 171 127 108 196 ------------------------------------------------------------------------------------------------------------------------------------ Total expenses 24,382 38,145 27,417 24,912 31,982 42,069 ------------------------------------------------------------------------------------------------------------------------------------ Net investment income 141,842 244,631 76,373 67,254 137,183 204,234 ==================================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions 14,261 8,318 31,630 (154,760) (11,937) 14,039 In-kind redemptions 537,436 - - - 742,156 551,785 ------------------------------------------------------------------------------------------------------------------------------------ Net realized gain (loss) 551,697 8,318 31,630 (154,760) 730,219 565,824 ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation (depreciation) on investments 921,832 1,431,673 (769,617) (663,459) 966,030 820,477 ------------------------------------------------------------------------------------------------------------------------------------ Net realized and unrealized gain (loss) on investments 1,473,529 1,439,991 (737,987) (818,219) 1,696,249 1,386,301 ==================================================================================================================================== NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS $1,615,371 $1,684,622 $ (661,614) $ (750,965) $1,833,432 $1,590,535 ==================================================================================================================================== (1) Net of foreign withholding tax $9, $18, $0, $72, $0 and $0, respectively. See Notes to Financial Statements. 58 WisdomTree Domestic Earnings Funds Statements of Changes in Net Assets WisdomTree Domestic Earnings Funds ----------------------------------------------------------------------------------------- WisdomTree Total Earnings Fund ----------------------------------------------------------------------------------------- For the For the Period Six Months Ended February 23, September 30, 2007* 2007 through (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- INCREASE (DECREASE) IN NET ASSETS OPERATIONS: Net investment income $ 141,842 $ 54,483 Net realized gain (loss) on investments 551,697 (21,485) Net change unrealized appreciation (depreciation) on investments 921,832 (574,969) ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations 1,615,371 (541,971) ========================================================================================= DIVIDENDS: Net investment income (142,801) (44,085) ----------------------------------------------------------------------------------------- Total dividends (142,801) (44,085) ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 7,791,841 25,083,151 Cost of shares redeemed (15,597,558) - ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (7,805,717) 25,083,151 ========================================================================================= Net Increase (Decrease) in Net Assets (6,333,147) 24,497,095 ========================================================================================= NET ASSETS: Beginning of period $ 24,497,195 $ 100 End of period $ 18,164,048 $24,497,195 ========================================================================================= Undistributed net investment income included in net assets at end of period $ 9,439 $ 10,398 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 500,002 - Shares created 150,000 500,002 Shares redeemed (300,000) - ----------------------------------------------------------------------------------------- Shares outstanding, end of period 350,002 500,002 ========================================================================================= ---------------------------------------------------------------------------------------------------------------------------- WisdomTree Earnings 500 Fund WisdomTree MidCap Earnings Fund ---------------------------------------------------------------------------------------------------------------------------- For the For the Period For the For the Period Six Months Ended February 23, Six Months Ended February 23, September 30, 2007* September 30, 2007* 2007 through 2007 through (unaudited) March 31,2007 (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------------------------------------------- INCREASE (DECREASE) IN NET ASSETS OPERATIONS: Net investment income $ 244,631 $ 44,058 $ 76,373 $ 7,225 Net realized gain (loss) on investments 8,318 (5,187) 31,630 (543) Net change unrealized appreciation (depreciation) on investments 1,431,673 (441,810) (769,617) (133,574) ---------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations 1,684,622 (402,939) (661,614) (126,892) ============================================================================================================================ DIVIDENDS: Net investment income (235,308) (35,876) (60,970) (5,536) ---------------------------------------------------------------------------------------------------------------------------- Total dividends (235,308) (35,876) (60,970) (5,536) ============================================================================================================================ CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 20,837,578 19,976,982 22,980,147 5,009,690 Cost of shares redeemed - - - - ---------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions 20,837,578 19,976,982 22,980,147 5,009,690 ============================================================================================================================ Net Increase (Decrease) in Net Assets 22,286,892 19,538,167 22,257,563 4,877,262 ============================================================================================================================ NET ASSETS: Beginning of period $19,538,267 $ 100 $ 4,877,362 $ 100 End of period $41,825,159 $19,538,267 $27,134,925 $4,877,362 ============================================================================================================================ Undistributed net investment income included in net assets at end of period $ 17,505 $ 8,182 $ 17,092 $ 1,689 ============================================================================================================================ SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 400,002 - 100,002 - Shares created 400,000 400,002 450,000 100,002 Shares redeemed - - - - ---------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 800,002 400,002 550,002 100,002 ============================================================================================================================ * Commencement of investment operations. See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 59 Statements of Changes in Net Assets (concluded) WisdomTree Domestic Earnings Funds ----------------------------------------------------------------------------------------- WisdomTree SmallCap Earnings Fund ----------------------------------------------------------------------------------------- For the For the Period Six Months Ended February 23, September 30, 2007* 2007 through (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- INCREASE (DECREASE) IN NET ASSETS OPERATIONS: Net investment income $ 67,254 $ 12,367 Net realized gain (loss) on investments (154,760) (47) Net change unrealized appreciation (depreciation) on investments (663,459) (209,238) ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations (750,965) (196,918) ========================================================================================= DIVIDENDS: Net investment income (59,826) (8,062) ----------------------------------------------------------------------------------------- Total dividends (59,826) (8,062) ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 9,596,358 9,811,839 Cost of shares redeemed - - ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions 9,596,358 9,811,839 ========================================================================================= Net Increase (Decrease) in Net Assets 8,785,567 9,606,859 ========================================================================================= NET ASSETS: Beginning of period $ 9,606,959 $ 100 End of period $18,392,526 $9,606,959 ========================================================================================= Undistributed net investment income included in net assets at end of period $ 11,733 $ 4,305 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 200,002 - Shares created 200,000 200,002 Shares redeemed - - ----------------------------------------------------------------------------------------- Shares outstanding, end of period 400,002 200,002 ========================================================================================= ---------------------------------------------------------------------------------------------------------------------------- WisdomTree Earnings Top 100 Fund WisdomTree Low P/E Fund ---------------------------------------------------------------------------------------------------------------------------- For the For the Period For the For the Period Six Months Ended February 23, Six Months Ended February 23, September 30, 2007* September 30, 2007* 2007 through 2007 through (unaudited) March 31,2007 (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------------------------------------------- INCREASE (DECREASE) IN NET ASSETS OPERATIONS: Net investment income $ 137,183 $ 50,450 $ 204,234 $ 48,959 Net realized gain (loss) on investments 730,219 (33,550) 565,824 (1,352) Net change unrealized appreciation (depreciation) on investments 966,030 (333,421) 820,477 (543,075) ---------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations 1,833,432 (316,521) 1,590,535 (495,468) ============================================================================================================================ DIVIDENDS: Net investment income (140,837) (35,630) (200,933) (42,210) ---------------------------------------------------------------------------------------------------------------------------- Total dividends (140,837) (35,630) (200,933) (42,210) ============================================================================================================================ CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 2,547,660 25,039,854 15,455,070 25,066,402 Cost of shares redeemed (13,251,265) - (13,106,529) - ---------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (10,703,605) 25,039,854 2,348,541 25,066,402 ============================================================================================================================ Net Increase (Decrease) in Net Assets (9,011,010) 24,687,703 3,738,143 24,528,724 ============================================================================================================================ NET ASSETS: Beginning of period $ 24,687,803 $ 100 $ 24,528,824 $ 100 End of period $ 15,676,793 $24,687,803 $ 28,266,967 $24,528,824 ============================================================================================================================ Undistributed net investment income included in net assets at end of period $ 11,166 $ 14,820 $ 10,050 $ 6,749 ============================================================================================================================ SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 500,002 - 500,002 - Shares created 50,000 500,002 300,000 500,002 Shares redeemed (250,000) - (250,000) - ---------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 300,002 500,002 550,002 500,002 ============================================================================================================================ * Commencement of investment operations. See Notes to Financial Statements. 60 WisdomTree Domestic Earnings Funds Financial Highlights WisdomTree Domestic Earnings Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: -------------------------------------------------------------------------------------- For the Six For the Period Months Ended February 23, 2007(1) September 30, 2007 through WisdomTree Total Earnings Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------- Net asset value, beginning of period $ 48.99 $ 49.97 -------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.40 0.11 Net realized and unrealized gain (loss) 3.00 (1.00) -------------------------------------------------------------------------------------- Total from investment operations 3.40 (0.89) -------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.49) (0.09) -------------------------------------------------------------------------------------- Total dividends to shareholders (0.49) (0.09) -------------------------------------------------------------------------------------- Net asset value, end of period $ 51.90 $ 48.99 ====================================================================================== TOTAL RETURN(3) 6.95% (1.79)% -------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 18,164 $ 24,497 Ratio to average net assets of: Expenses, net of expense reimbursements 0.28%(4) 0.28%(4) Expenses, prior to expense reimbursements 0.28%(4) 0.35%(4) Net investment income 1.64%(4) 2.21%(4) -------------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% 1% ====================================================================================== For the Six For the Period Months Ended February 23, 2007(1) September 30, 2007 through WisdomTree Earnings 500 Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------- Net asset value, beginning of period $ 48.85 $ 49.77 -------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.45 0.11 Net realized and unrealized gain (loss) 3.38 (0.94) -------------------------------------------------------------------------------------- Total from investment operations 3.83 (0.83) -------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.40) (0.09) -------------------------------------------------------------------------------------- Total dividends to shareholders (0.40) (0.09) -------------------------------------------------------------------------------------- Net asset value, end of period $ 52.28 $ 48.85 ====================================================================================== TOTAL RETURN(3) 7.85% (1.67)% -------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 41,825 $ 19,538 Ratio to average net assets of: Expenses, net of expense reimbursements 0.28%(4) 0.28%(4) Expenses prior to expense reimbursements 0.28%(4) 0.37%(4) Net investment income 1.81%(4) 2.24%(4) -------------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) 1% ====================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount represents less than 1%. See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 61 Financial Highlights (continued) WisdomTree Domestic Earnings Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: -------------------------------------------------------------------------------------- For the Six For the Period Months Ended February 23, 2007(1) September 30, 2007 through WisdomTree MidCap Earnings Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------- Net asset value, beginning of period $ 48.77 $ 50.01 -------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.25 0.07 Net realized and unrealized gain (loss) 0.45 (1.25) -------------------------------------------------------------------------------------- Total from investment operations 0.70 (1.18) -------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.13) (0.06) -------------------------------------------------------------------------------------- Total dividends to shareholders (0.13) (0.06) -------------------------------------------------------------------------------------- Net asset value, end of period $ 49.34 $ 48.77 ====================================================================================== TOTAL RETURN(3) 1.44% (2.37)% -------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 27,135 $ 4,877 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements 0.38%(4) 0.74%(4) Net investment income 1.07%(4) 1.47%(4) -------------------------------------------------------------------------------------- Portfolio turnover rate(5) 6% 0%(6) ====================================================================================== -------------------------------------------------------------------------------------- For the Six For the Period Months Ended February 23, 2007(1) September 30, 2007 through WisdomTree SmallCap Earnings Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------- Net asset value, beginning of period $ 48.03 $ 50.03 -------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.25 0.06 Net realized and unrealized loss (2.10) (2.02) -------------------------------------------------------------------------------------- Total from investments operations (1.85) (1.96) -------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.20) (0.04) -------------------------------------------------------------------------------------- Total dividends to shareholders (0.20) (0.04) -------------------------------------------------------------------------------------- Net asset value, end of period $ 45.98 $ 48.03 ====================================================================================== TOTAL RETURN(3) (3.87)% (3.92)% -------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 18,393 $ 9,607 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements 0.38%(4) 0.58%(4) Net investment income 1.03%(4) 1.39%(4) -------------------------------------------------------------------------------------- Portfolio turnover rate(5) 9% 0%(6) ====================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount represents less than 1%. See Notes to Financial Statements. 62 WisdomTree Domestic Earnings Funds Financial Highlights (concluded) WisdomTree Domestic Earnings Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: -------------------------------------------------------------------------------------- For the Six For the Period Months Ended February 23, 2007(1) September 30, 2007 through WisdomTree Earnings Top 100 Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.38 $ 50.15 -------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.41 0.10 Net realized and unrealized gain (loss) 2.99 (0.80) -------------------------------------------------------------------------------------- Total from investment operations 3.40 (0.70) -------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.52) (0.07) -------------------------------------------------------------------------------------- Total dividends to shareholders (0.52) (0.07) -------------------------------------------------------------------------------------- Net asset value, end of period $ 52.26 $ 49.38 ====================================================================================== TOTAL RETURN(3) 6.88% (1.39)% -------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 15,677 $ 24,688 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements 0.38%(4) 0.45%(4) Net investment income 1.64%(4) 2.03%(4) -------------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) 2% ====================================================================================== -------------------------------------------------------------------------------------- For the Six For the Period Months Ended February 23, 2007(1) September 30, 2007 through WisdomTree Low P/E Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.06 $ 49.99 -------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.46 0.10 Net realized and unrealized gain (loss) 2.36 (0.95) -------------------------------------------------------------------------------------- Total from investments operations 2.82 (0.85) -------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income (0.49) (0.08) -------------------------------------------------------------------------------------- Total dividends to shareholders (0.49) (0.08) -------------------------------------------------------------------------------------- Net asset value, end of period $ 51.39 $ 49.06 ====================================================================================== TOTAL RETURN(3) 5.74% (1.69)% -------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 28,267 $ 24,529 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) 0.38%(4) Expenses, prior to expense reimbursements 0.38%(4) 0.45%(4) Net investment income 1.85%(4) 1.98%(4) -------------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% 1% ====================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount represents less than 1%. See Notes to Financial Statements. WisdomTree Domestic Earnings Funds 63 Notes to Financial Statements (unaudited) 1. ORGANIZATION WisdomTree Trust (the "Trust") is registered under the Investment Company Act of 1940, as amended (the "1940 Act"), as an open-end management investment company. The Trust was established as a Delaware statutory trust pursuant to a Trust Instrument dated December 15, 2005. As of September 30, 2007, the Trust offered 38 investment funds (each a "Fund", collectively, the "Funds"). Each Fund is considered to be non-diversified. The Funds commenced operations on June 16, 2006, with the exception of the international dividend sector funds, domestic earnings funds, International Real Estate Fund and Emerging Markets High-Yielding Equity Fund that commenced operations on October 13, 2006, February 23, 2007, June 5, 2007 and July 13, 2007, respectively. These financial statements relate only to the WisdomTree Total Earnings Fund ("Total Earnings Fund"), WisdomTree Earnings 500 Fund ("Earnings 500 Fund"), WisdomTree MidCap Earnings Fund ("MidCap Earnings Fund"), WisdomTree SmallCap Earnings Fund ("SmallCap Earnings Fund"), WisdomTree Earnings Top 100 Fund ("Earnings Top 100 Fund") and WisdomTree Low P/E Fund ("Low P/E Fund"), together the "Domestic Earnings Funds". Each Fund seeks investment returns that closely correspond to the price and yield performance, before fees and expenses, of a particular index ("Index") developed by WisdomTree Investments, Inc. ("WisdomTree Investments"). Each Index consists of equity securities in the market suggested by its name that meet specific criteria developed by WisdomTree Investments. The securities in each Index are weighted based on earnings or earnings yield. "WisdomTree" and "WisdomTree Investments" are service marks of WisdomTree Investments licensed for use by the Trust. WisdomTree Investments has patent applications pending on the methodology and operation of its Indexes and the Funds. In the normal course of business the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds' maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and expect the risk of loss to be remote. The preparation of financial statements in conformity with U.S. Generally Accepted Accounting Principles ("U.S. GAAP"), requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates. 2. SIGNIFICANT ACCOUNTING POLICIES (a) Investment Valuation - The Net Asset Value ("NAV") of each Fund's shares is calculated each day the national securities exchanges are open for trading as of the close of regular trading on the New York Stock Exchange, generally 4:00 p.m. New York time. NAV per share is calculated by dividing a Fund's net assets by the number of Fund shares outstanding. Securities traded on any recognized U.S. or non-U.S. exchange are valued at the last sale price or official closing price on the exchange or system on which they are principally traded. Unlisted equity securities are valued at the last quoted sale price or, if no sale price is available, at the mean between the most recently quoted bid and asked prices. Securities for which market quotations are not readily available are valued at fair value as determined by management and in accordance with procedures approved by the Board of Trustees. Short-term securities with 60 days or less remaining to maturity are valued using the amortized cost method, which approximates current market value. (b) Investment Transactions - Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. (c) Investment Income - Dividend income is recognized on the ex-dividend date. Interest income is accrued daily. The value of additional securities received as dividend payments is recorded as income and as an increase to the cost basis of such securities. (d) Expenses/Reimbursements - WisdomTree Asset Management ("WTAM") has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust's chief compliance officer; (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM. Pursuant to a separate contractual arrangement, WTAM has paid the expenses described in (iii), (iv) and (v) through July 31, 2007. 64 WisdomTree Domestic Earnings Funds Notes to Financial Statements (unaudited) (continued) (e) Security Lending - Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds' securities lending agent. The loans are collateralized at all times by cash and/or high grade debt obligations in an amount at least equal to 102% of the market value of domestic securities loaned (105% in the case of foreign securities loaned) as determined at the close of business on the preceding business day. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash or U.S. government securities held as collateral, net of fee rebates paid to the borrower plus reasonable administrative and custody fees. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any dividends or interest received on loaned securities. The Funds retain all or a portion of the interest received on investment of cash collateral or receives a fee from the borrower. Lending portfolio securities could result in a loss or delay in recovering each Fund's securities if the borrower defaults. The securities lending income earned by the Funds is disclosed on the Statements of Operations. (f) Tax Information and Dividends and Distributions to Shareholders - It is each Fund's policy to comply with all requirements of the Internal Revenue Code of 1986, as amended ("the Code"). Each Fund intends to qualify for and to elect treatment as a separate Regulated Investment Company ("RIC") under Subchapter M of the Code. It is the policy of each Fund to pay out dividends, if any, to investors at least annually. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. The Funds may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains are determined in accordance with Federal income tax regulations which may differ from U.S. GAAP. These "book/tax" differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions, which exceed earnings and profit for tax purposes, are reported as a tax return of capital. The Funds adopted the provisions of Financial Accounting Standards Board (FASB) Interpretation No. 48, Accounting for Uncertainty in Income Taxes. This interpretation prescribes a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. Foreign taxes are provided for based on each Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests. Taxes are accrued and applied to net investment income, net realized capital gains and net unrealized appreciation, as applicable, as the income is earned or capital gains are recorded. If applicable, the Funds will recognize interest accrued related to unrecognized tax benefits in interest expense and penalties in "Other" expenses on the Statements of Operations. Management has evaluated the application of FIN 48 to the Funds, and has determined that there is no impact resulting from the adoption of this interpretation on the Funds' financial statements. (g) Short-Term Investments - Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments in which a Fund may invest include short-term obligations issued by the U.S. Government, negotiable certificates of deposit ("CDs"), fixed time deposits and bankers' acceptances of U.S. and foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker's acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions. WisdomTree Domestic Earnings Funds 65 Notes to Financial Statements (unaudited) (continued) 3. ADVISER FEES AND TRANSACTIONS Adviser Fees - WTAM provides investment management services to each Fund pursuant to an Investment Advisory Agreement between the Trust and WTAM. As compensation for services rendered, facilities furnished, and expenses borne by WTAM, each Fund pays WTAM a fee, as listed below, which is accrued daily and paid monthly, based on the average daily net assets of the Fund. -------------------------------------------- Fund Fee Rate -------------------------------------------- Total Earnings Fund 0.28% -------------------------------------------- Earnings 500 Fund 0.28% -------------------------------------------- MidCap Earnings Fund 0.38% -------------------------------------------- SmallCap Earnings Fund 0.38% -------------------------------------------- Earnings Top 100 Fund 0.38% -------------------------------------------- Low P/E Fund 0.38% -------------------------------------------- Each Fund may purchase shares of an affiliated exchange traded fund(s) in secondary market transactions. For the six months ended September 30, 2007, there were no transactions in affiliated ETFs. Pursuant to a separate contractual arrangement, effective August 1, 2007, WTAM has arranged for the provision of chief compliance officer ("CCO") services to the Trust, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees, in exchange for a fee paid by each Fund of up to 0.0044% of the Fund's average daily net assets. 4. CAPITAL SHARE TRANSACTIONS As of September 30, 2007, there was an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in Creation Units or multiples thereof. Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of Creation Units of a Fund generally consists of the in-kind contribution of a designated portfolio of equity securities constituting a portfolio sampling representation of the securities included in the relevant Fund's underlying index and an amount of cash. Investors purchasing and redeeming Creation Units may be charged a purchase transaction fee and a redemption transaction fee to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units. 5. INVESTMENT PORTFOLIO TRANSACTIONS Purchases and sales of investments (excluding in-kind purchases and redemptions and short-term investments) for the six months ended September 30, 2007 were as follows: ----------------------------------------------------- Fund Purchases Sales ----------------------------------------------------- Total Earnings Fund $ 115,528 $ 189,664 ----------------------------------------------------- Earnings 500 Fund - 131,929 ----------------------------------------------------- MidCap Earnings Fund 920,907 1,082,867 ----------------------------------------------------- SmallCap Earnings Fund 1,205,209 1,241,342 ----------------------------------------------------- Earnings Top 100 Fund 71,504 99,420 ----------------------------------------------------- Low P/E Fund 135,647 271,873 ----------------------------------------------------- For the six months ended September 30, 2007, the cost of in-kind purchases and the proceeds from in-kind redemptions were as follows: -------------------------------------------------------- Fund Purchases Redemptions -------------------------------------------------------- Total Earnings Fund $ 7,767,184 $15,563,192 -------------------------------------------------------- Earnings 500 Fund 20,801,358 - -------------------------------------------------------- MidCap Earnings Fund 22,933,745 - -------------------------------------------------------- SmallCap Earnings Fund 9,572,585 - -------------------------------------------------------- Earnings Top 100 Fund 2,542,818 13,228,232 -------------------------------------------------------- Low P/E Fund 15,425,764 13,079,904 -------------------------------------------------------- Gains and losses on in-kind redemptions are not recognized at the Fund level for tax purposes. 66 WisdomTree Domestic Earnings Funds Notes to Financial Statements (unaudited) (concluded) 6. FEDERAL INCOME TAXES At September 30, 2007, the cost of investments (including securities on loan) for Federal income tax purposes was substantially the same as for book purposes, as indicated below: ------------------------------------------------------------------------------------------------ Net Unrealized Gross Unrealized Gross Unrealized Appreciation Fund Tax Cost Appreciation Depreciation (Depreciation) ------------------------------------------------------------------------------------------------ Total Earnings Fund $17,793,464 $1,217,499 $ (870,636) $ 346,863 ------------------------------------------------------------------------------------------------ Earnings 500 Fund 40,639,049 2,445,777 (1,455,914) 989,863 ------------------------------------------------------------------------------------------------ MidCap Earnings Fund 28,219,461 1,141,544 (2,044,735) (903,191) ------------------------------------------------------------------------------------------------ SmallCap Earnings Fund 19,877,352 1,043,463 (1,916,160) (872,697) ------------------------------------------------------------------------------------------------ Earnings Top 100 Fund 15,295,043 1,501,680 (869,071) 632,609 ------------------------------------------------------------------------------------------------ Low P/E Fund 27,937,181 1,668,261 (1,390,859) 277,402 ------------------------------------------------------------------------------------------------ 7. NEW ACCOUNTING PRONOUNCEMENTS On September 15, 2006, the FASB released Statement of Financial Accounting Standards No. 157, Fair Value Measurements ("FAS 157") which provides enhanced guidance for measuring fair value. The standard requires companies to provide expanded information about the assets and liabilities measured at fair value and the potential effect of these fair valuations on an entity's financial performance. The standard does not expand the use of fair value in any new circumstances, but provides clarification on acceptable fair valuation methods and applications. Adoption of FAS 157 is required for fiscal years beginning after November 15, 2007 and interim periods within those fiscal years. At this time, management does not believe the adoption of FAS 157 will impact the amounts reported in the financial statements; however, additional disclosures will be required about the inputs used to develop the measurements of fair value and the effect of certain measurements reported in the Statements of Operations for the fiscal period. 8. SUBSEQUENT EVENT Effective October 30, 2007, the Trust launched the WisdomTree Emerging Markets SmallCap Dividend Fund (DGS). The Fund has an expense ratio of 0.63%. WisdomTree Domestic Earnings Funds 67 Frequency Distribution of Discounts & Premiums (unaudited) The chart below presents information about differences between the per share net asset value ("NAV") of each Fund and the market trading price of shares of each Fund. For these purposes, the "market price" is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. The term "premium" is sometimes used to describe a market price in excess of NAV and the term "discount" is sometimes used to describe a market price below NAV. The chart presents information about the size and frequency of premiums or discounts. As with other exchange traded funds, the market price of Fund shares is typically slightly higher or lower than the Fund's per share NAV. Factors that contribute to the differences between market price and NAV include the supply and demand for Fund shares and investors' assessments of the underlying value of a Fund's portfolio securities. ------------------------------------------------------------------------------------------------------ Market Price Above or Market Price Below Equal to Net Asset Value Net Asset Value ------------------------------------------------------------------------------------------------------ Basis Point Number Percentage of Number Percentage of Differential of Days Total Days of Days Total Days ------------------------------------------------------------------------------------------------------ WisdomTree Total Earnings Fund April 1, 2007 - September 30, 2007 0 - 24.9 42 33.34% 83 65.87% --------------------------------------------------------------- 25 - 49.9 0 0.00% 0 0.00% --------------------------------------------------------------- 50 - 74.9 1 0.79% 0 0.00% --------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% --------------------------------------------------------------- >100.0 0 0.00% 0 0.00% --------------------------------------------------------------- Total 43 34.13% 83 65.87% ====================================================================================================== WisdomTree Earnings 500 Fund April 1, 2007 - September 30, 2007 0 - 24.9 46 36.51% 76 60.32% --------------------------------------------------------------- 25 - 49.9 2 1.59% 1 0.79% --------------------------------------------------------------- 50 - 74.9 1 0.79% 0 0.00% --------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% --------------------------------------------------------------- >100.0 0 0.00% 0 0.00% --------------------------------------------------------------- Total 49 38.89% 77 61.11% ====================================================================================================== WisdomTree MidCap Earnings Fund April 1, 2007 - September 30, 2007 0 - 24.9 61 48.41% 60 47.62% --------------------------------------------------------------- 25 - 49.9 2 1.59% 2 1.59% --------------------------------------------------------------- 50 - 74.9 1 0.79% 0 0.00% --------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% --------------------------------------------------------------- >100.0 0 0.00% 0 0.00% --------------------------------------------------------------- Total 64 50.79% 62 49.21% ====================================================================================================== WisdomTree SmallCap Earnings Fund April 1, 2007 - September 30, 2007 0 - 24.9 50 39.68% 67 53.18% --------------------------------------------------------------- 25 - 49.9 0 0.00% 6 4.76% --------------------------------------------------------------- 50 - 74.9 2 1.59% 1 0.79% --------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% --------------------------------------------------------------- >100.0 0 0.00% 0 0.00% --------------------------------------------------------------- Total 52 41.27% 74 58.73% ====================================================================================================== WisdomTree Earnings Top 100 Fund April 1, 2007 - September 30, 2007 0 - 24.9 48 38.10% 76 60.32% --------------------------------------------------------------- 25 - 49.9 0 0.00% 0 0.00% --------------------------------------------------------------- 50 - 74.9 1 0.79% 1 0.79% --------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% --------------------------------------------------------------- >100.0 0 0.00% 0 0.00% --------------------------------------------------------------- Total 49 38.89% 77 61.11% ====================================================================================================== WisdomTree Low P/E Fund April 1, 2007 - September 30, 2007 0 - 24.9 42 33.34% 82 65.08% --------------------------------------------------------------- 25 - 49.9 1 0.79% 0 0.00% --------------------------------------------------------------- 50 - 74.9 0 0.00% 0 0.00% --------------------------------------------------------------- 75 - 100.0 0 0.00% 0 0.00% --------------------------------------------------------------- >100.0 1 0.79% 0 0.00% --------------------------------------------------------------- Total 44 34.92% 82 65.08% ====================================================================================================== 68 WisdomTree Domestic Earnings Funds General Information (unaudited) Proxy Voting Policies, Procedures and Record A description of the policies and procedures that the Trust uses to determine how to vote proxies related to each Fund's portfolio securities, and information on how the Trust voted proxies during the period ended June 30, 2007, is available without charge, upon request, (i) by calling 1-866-909-WISE; (ii) on the Trust's website at www.wisdomtree.com; and (iii) on the Securities and Exchange Commission's ("SEC") website at www.sec.gov. Shareholder Reports and Quarterly Portfolio Disclosure The Funds are required to file their complete schedule of portfolio holdings with the SEC for their first and third fiscal quarters on Form N-Q. Copies of the filings are available without charge, upon request on the SEC's website at www.sec.gov and are available by calling the Trust at 1-866-909-WISE. You can also obtain copies of Form N-Q by (i) visiting the SEC's Public Reference Room in Washington, DC (information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330); (ii) sending your request and a duplicating fee to the SEC's Public Reference Room, Washington, DC 20549-0102; or (iii) sending your request electronically to publicinfosec. gov. Information about each Fund's portfolio holdings is available daily at www.wisdomtree.com The Fund's Statement of Additional Information ("SAI") has additional information about the Funds' Trustees and Officers and is available without charge upon request. Contact your financial representative for a free prospectus or SAI. WisdomTree Domestic Earnings Funds 69 The WisdomTree Trust Investment Adviser WisdomTree Asset Management, Inc. 48 Wall Street, Suite 1100 New York, NY 10005 Investment Sub-Adviser BNY Investment Advisors 1633 Broadway New York, NY 10019 Administrator, Custodian & Transfer Agent The Bank of New York 101 Barclay Street New York, NY 10286 Distributor ALPS Distributors, Inc. 1290 Broadway Suite 1100 Denver, CO 80203 Independent Registered Public Accounting Firm Ernst & Young LLP 5 Times Square New York, NY 10036 Legal Counsel Ropes & Gray LLP 1211 Avenue of the Americas New York, NY 10036 The WisdomTree Family of Funds The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols as of September 30, 2007: WisdomTree Domestic Dividend Funds WisdomTree Total Dividend Fund (DTD) WisdomTree High-Yielding Equity Fund (DHS) WisdomTree Large Cap Dividend Fund (DLN) WisdomTree Dividend Top 100 Fund (DTN) WisdomTree MidCap Dividend Fund (DON) WisdomTree SmallCap Dividend Fund (DES) WisdomTree International Dividend Funds WisdomTree DEFA Fund (DWM) WisdomTree DEFA High-Yielding Equity Fund (DTH) WisdomTree Europe Total Dividend Fund (DEB) WisdomTree Europe High-Yielding Equity Fund (DEW) WisdomTree Europe SmallCap Dividend Fund (DFE) WisdomTree Japan Total Dividend Fund (DXJ) WisdomTree Japan High-Yielding Equity Fund (DNL) WisdomTree Japan SmallCap Dividend Fund (DFJ) WisdomTree Pacific ex-Japan Total Dividend Fund (DND) WisdomTree Pacific ex-Japan High-Yielding Equity Fund (DNH) WisdomTree International LargeCap Dividend Fund (DOL) WisdomTree International Dividend Top 100 Fund (DOO) WisdomTree International MidCap Dividend Fund (DIM) WisdomTree International SmallCap Dividend Fund (DLS) WisdomTree International Real Estate Fund (DRW) WisdomTree Emerging Markets High-Yielding Equity Fund (DEM) WisdomTree International Dividend Sector Funds WisdomTree International Basic Material Sector Fund (DBN) WisdomTree International Communications Sector Fund (DGG) WisdomTree International Consumer Cyclical Sector Fund (DPC) WisdomTree International Consumer Non-Cyclical Sector Fund (DPN) WisdomTree International Energy Sector Fund (DKA) WisdomTree International Financial Sector Fund (DRF) WisdomTree International Health Care Sector Fund (DBR) WisdomTree International Industrial Sector Fund (DDI) WisdomTree International Technology Sector Fund (DBT) WisdomTree International Utilities Sector Fund (DBU) WisdomTree Domestic Earnings Funds WisdomTree Total Earnings Fund (EXT) WisdomTree Earnings 500 Fund (EPS) WisdomTree MidCap Earnings Fund (EZM) WisdomTree SmallCap Earnings Fund (EES) WisdomTree Earnings Top 100 Fund (EEZ) WisdomTree Low P/E Fund (EZY) The WisdomTree Funds are exchange traded funds ("ETFs") registered with the United States Securities and Exchange Commission ("SEC") as series of WisdomTree Trust ("Trust"). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree Investments, Inc., serves as the investment adviser to the WisdomTree Trust. None of the WisdomTree entities are affiliated with ALPS Distributors, Inc., the Funds' distributor. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, or delays, or for any actions taken in reliance on information contained herein. Investors should consider the investment objectives, risks, charges and expenses of the funds carefully before investing. A prospectus, containing this and other information, is available at www.wisdomtree.com, or by calling 1-866-909-WISE (9473). Investors should read the prospectus carefully before investing. There are risks associated with investing, including possible loss of principal. Past performance does not guarantee future results. Indexes are unmanaged and you can not invest directly in an index. In addition to the normal risks associated with investing, foreign investing involves special risks, such as risk of loss from currency fluctuation or political or economic uncertainty. Funds focusing on a single country, sector, and/or funds that emphasize investments in smaller companies may experience greater price volatility. Investments in real estate involve additional special risks, such as credit risk, interest rate fluctuations and the effect of varied economic conditions. Transactions in fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the funds only in large amounts of 50,000 shares or more. [LOGO] WISDOMTREE Fundamental ETFs 48 Wall Street, Suite 1100 New York, NY 10005 1.866.909.WISE (9473) www.wisdomtree.com WisdomTree Domestic Earnings ETFs WisdomTree Total Earnings Fund WisdomTree Earnings 500 Fund WisdomTree MidCap Earnings Fund WisdomTree SmallCap Earnings Fund WisdomTree Earnings Top 100 Fund WisdomTree Low P/E Fund WisdomTree Fund shares are distributed by ALPS Distributors, Inc. WIS000885 (11/2008) [LOGO] WISDOMTREE Fundamental ETFs WisdomTree Trust International Dividend Funds -------------------------------------------------------------------------------- Semi-Annual Report September 30, 2007 WisdomTree DEFA Fund WisdomTree DEFA High-Yielding Equity Fund WisdomTree Europe Total Dividend Fund WisdomTree Europe High-Yielding Equity Fund WisdomTree Europe SmallCap Dividend Fund WisdomTree Japan Total Dividend Fund WisdomTree Japan High-Yielding Equity Fund WisdomTree Japan SmallCap Dividend Fund WisdomTree Pacific ex-Japan Total Dividend Fund WisdomTree Pacific ex-Japan High-Yielding Equity Fund WisdomTree International LargeCap Dividend Fund WisdomTree International Dividend Top 100(SM) Fund WisdomTree International MidCap Dividend Fund WisdomTree International SmallCap Dividend Fund WisdomTree International Real Estate Fund WisdomTree Emerging Markets High-Yielding Equity Fund Table of Contents Letter to Shareholders ............................................. 1 Performance Summaries .............................................. 3 Shareholder Expense Examples ....................................... 19 Schedules of Investments WisdomTree DEFA Fund .............................................. 21 WisdomTree DEFA High-Yielding Equity Fund ......................... 28 WisdomTree Europe Total Dividend Fund ............................. 33 WisdomTree Europe High-Yielding Equity Fund ....................... 38 WisdomTree Europe SmallCap Dividend Fund .......................... 40 WisdomTree Japan Total Dividend Fund .............................. 45 WisdomTree Japan High-Yielding Equity Fund ........................ 50 WisdomTree Japan SmallCap Dividend Fund ........................... 54 WisdomTree Pacific ex-Japan Total Dividend Fund ................... 60 WisdomTree Pacific ex-Japan High-Yielding Equity Fund ............. 63 WisdomTree International LargeCap Dividend Fund ................... 65 WisdomTree International Dividend Top 100 Fund .................... 69 WisdomTree International MidCap Dividend Fund ..................... 71 WisdomTree International SmallCap Dividend Fund ................... 77 WisdomTree International Real Estate Fund ......................... 85 WisdomTree Emerging Markets High-Yielding Equity Fund ............. 88 Statements of Assets and Liabilities ............................... 91 Statements of Operations ........................................... 94 Statements of Changes in Net Assets ................................ 97 Financial Highlights ............................................... 102 Notes to the Financial Statements .................................. 110 Approval of Investment Advisory and Sub-Advisory Agreement ......... 115 Frequency Distribution of Discounts & Premiums ..................... 116 General Information ................................................ 119 "WisdomTree", "WisdomTree Investments" and "Dividend Top 100" are service marks of WisdomTree Investments, Inc. and are licensed for use by the Trust. Letter to Shareholders Dear Shareholders: It is a pleasure to report to you on the progress of the WisdomTree Trust for the six-month period ended September 30, 2007. WisdomTree is committed to providing investors with viable alternatives to cap-weighted index funds. Two recent launches underscore our intention to serve investors in unique ways. In June, the company launched the first fundamentally weighted international real estate exchange traded fund (DRW). In July, WisdomTree listed the first fundamentally weighted emerging markets ETF (DEM), comprised of dividend-paying companies selected from 19 emerging market nations. When combined with WisdomTree's 14 developed market ETFs and 10 pure non-U.S. sector ETFs, our international offerings stood at 26 as of September 30, 2007, distinguishing WisdomTree's international line-up as one of the most comprehensive in the industry today. As of September 30, 2007, WisdomTree Trust assets totaled $4.4 billion, with approximately 71% of total assets under management invested in WisdomTree's international product set. The highest returns over this six-month period were generated outside the U.S. Equity markets in the Pacific region excluding Japan showed the greatest strength relative to other parts of the developed market, while Japanese equity markets continued to lag. WisdomTree's best-performing fund was its Pacific ex-Japan Total Dividend Fund (DND), which returned 24.40% for the six-month period ended September 30, 2007. The WisdomTree Japan High-Yielding Equity Fund (DNL), which lost 5.74% for the period, was WisdomTree's worst performing fund over this time frame. However, WisdomTree's broadest international ETF, the WisdomTree DEFA Fund (DWM), benefited from Japan's relative weakness. DWM, which is underweight Japanese stocks relative to the MSCI EAFE Index, returned 10.63% for the period, surpassing the MSCI EAFE Index by 1.91 percentage points for the six-month period ended September 30, 2007.* On the domestic front, WisdomTree's fundamentally-weighted ETFs ran into two head winds: weakness in the financial and real estate industries, coupled with the re-emergence of growth stocks. Buffeted by investor concerns over exposure to sub-prime housing loans, financial stocks have been the worst performing sector of the U.S. economy in 2007. The weakness in financials contributed to value stocks, measured by the Russell 3000 Value Index, underperforming growth stocks, measured by the Russell 3000 Growth Index, for first time since 1999. Specific performance information for WisdomTree's funds, relative to their underlying WisdomTree index and a comparable benchmark, is provided in the pages that follow. Thank you for your continued support. Best regards, /s/ Jonathan Steinberg Jonathan Steinberg President, WisdomTree Trust CEO, WisdomTree Asset Management, Inc. The sources and forecasts expressed are as of September 30, 2007 and may not actually come to pass. This information is subject to change at any time based on market and other conditions and should not be construed as a recommendation of any specific security. Mr. Steinberg is a registered representative of ALPS Distributors, Inc. * Performance Information for the MSCI EAFE Index assumed the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. WisdomTree International Dividend Funds 1 Letter to Shareholders (concluded) Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI's express written consent. The MSCI EAFE Index is a market cap-weighted index composed of company's representative of the developed market structure of 21 developed countries in Europe, Australasia and Japan. The Russell 3000 Value Index measures the performance of those Russell 3000 Index companies with lower price-to-book ratios and lower forecasted growth values. The Russell 3000 Growth Index measures the performance of those Russell 3000 Index companies with higher price-to-book ratios and higher forecasted growth values. 2 WisdomTree International Dividend Funds Performance Summary WisdomTree DEFA Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 31.3% Consumer Non-Cyclical 13.7% Communications 13.2% Energy 9.4% Consumer Cyclical 8.0% Utilities 7.9% Industrials 7.3% Basic Materials 6.4% Diversified 1.1% Technology 0.9% Other 0.8% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 -------------------------------------------------- Description % of Net Assets -------------------------------------------------- HSBC Holdings PLC 1.9% -------------------------------------------------- Eni SpA 1.7% -------------------------------------------------- Telefonica, S.A. 1.7% -------------------------------------------------- TOTAL S.A. 1.6% -------------------------------------------------- BP PLC 1.6% -------------------------------------------------- Vodafone Group PLC 1.6% -------------------------------------------------- Banco Santander Central Hispano S.A. 1.6% -------------------------------------------------- China Mobile Ltd. 1.3% -------------------------------------------------- Deutsche Telekom AG 1.2% -------------------------------------------------- Royal Dutch Shell PLC Class A 1.1% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Dividend Index of Europe, Far East Asia and Australasia (DEFA) Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Dividend Index of Europe, Far East Asia and Australasia Index (WisdomTree DEFA Index). The WisdomTree DEFA Fund (DWM) returned 10.63% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Telecommunication Services contributed most significantly to this performance; the industry comprised on average 10.13% of the Fund and returned 27.38% over the period. China Mobile Ltd. was the top contributor to the performance for the period. Health Care was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.48%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Average Annual Total Return ----------------------------------------------------------------------------------------- WisdomTree Net Asset Value Market Price DEFA Index MSCI EAFE Index ----------------------------------------------------------------------------------------- Six Month* 10.63% 10.34% 9.68% 8.72% ----------------------------------------------------------------------------------------- One Year 29.27% 28.68% 29.08% 24.94% ----------------------------------------------------------------------------------------- Since Inception(1) 31.69% 31.98% 31.86% 27.29% ----------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 3 Performance Summary WisdomTree DEFA High-Yielding Equity Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 42.5% Communications 15.0% Energy 11.3% Consumer Non-Cyclical 9.7% Utilities 9.2% Industrials 3.7% Consumer Cyclical 3.5% Basic Materials 3.1% Technology 0.5% Diversified 0.5% Other 1.0% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 -------------------------------------------------- Description % of Net Assets -------------------------------------------------- HSBC Holdings PLC 3.2% -------------------------------------------------- Vodafone Group PLC 3.1% -------------------------------------------------- TOTAL S.A. 2.9% -------------------------------------------------- BP PLC 2.8% -------------------------------------------------- Eni SpA 2.4% -------------------------------------------------- Telefonica, S.A. 2.1% -------------------------------------------------- Royal Dutch Shell PLC Class A 2.1% -------------------------------------------------- Banco Santander Central Hispano S.A. 2.0% -------------------------------------------------- Banca Intesa SpA 1.9% -------------------------------------------------- GlaxoSmithKline PLC 1.9% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree DEFA High-Yielding Equity Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree DEFA High-Yielding Equity Index. The WisdomTree DEFA High-Yielding Equity Fund (DTH) returned 8.72% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Telecommunication Services contributed most significantly to this performance; the industry comprised on average 11.77% of the Fund and returned 22.46% over the period. Vodafone Group PLC was the top contributor to the performance for the period. Consumer Discretionary was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------- WisdomTree DEFA High-Yielding MSCI EAFE Net Asset Value Market Price Equity Index Value Index ---------------------------------------------------------------------------------------- Six Month* 8.72% 8.04% 9.33% 6.16% ---------------------------------------------------------------------------------------- One Year 26.36% 26.15% 28.90% 22.00% ---------------------------------------------------------------------------------------- Since Inception(1) 29.51% 29.38% 32.08% 26.14% ---------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 4 WisdomTree International Dividend Funds Performance Summary WisdomTree Europe Total Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 32.3% Consumer Non-Cyclical 15.4% Communications 12.7% Energy 11.3% Utilities 9.4% Industrials 6.7% Consumer Cyclical 5.6% Basic Materials 4.8% Technology 0.7% Diversified 0.6% Other 0.5% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 -------------------------------------------------- Description % of Net Assets -------------------------------------------------- HSBC Holdings PLC 2.5% -------------------------------------------------- Vodafone Group PLC 2.4% -------------------------------------------------- TOTAL S.A. 2.3% -------------------------------------------------- Eni SpA 2.2% -------------------------------------------------- BP PLC 2.2% -------------------------------------------------- Royal Dutch Shell PLC Class A 1.7% -------------------------------------------------- Banco Santander Central Hispano S.A. 1.6% -------------------------------------------------- Telefonica, S.A. 1.4% -------------------------------------------------- Lloyds TSB Group PLC 1.4% -------------------------------------------------- GlaxoSmithKline PLC 1.4% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Europe Total Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Europe Dividend Index. The WisdomTree Europe Total Dividend Fund (DEB) returned 9.38% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Energy contributed most significantly to this performance; the sector comprised on average 10.95% of the Fund and returned 18.35% over the period. Vodafone Group PLC was the top contributor to the performance for the period. Health Care was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.48%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------------- Average Annual Total Return ----------------------------------------------------------------------------------------------- WisdomTree Europe Net Asset Value Market Price Dividend Index MSCI Europe Index ----------------------------------------------------------------------------------------------- Six Month* 9.38% 9.41% 8.29% 10.14% ----------------------------------------------------------------------------------------------- One Year 25.92% 25.80% 27.32% 27.59% ----------------------------------------------------------------------------------------------- Since Inception(1) 29.67% 29.66% 31.75% 31.48% ----------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 5 Performance Summary WisdomTree Europe High-Yielding Equity Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 43.4% Communications 16.3% Energy 13.4% Consumer Non-Cyclical 10.2% Utilities 9.4% Basic Materials 2.3% Industrials 2.2% Consumer Cyclical 2.0% Diversified 0.1% Other 0.7% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 -------------------------------------------------- Description % of Net Assets -------------------------------------------------- Vodafone Group PLC 4.4% -------------------------------------------------- HSBC Holdings PLC 4.3% -------------------------------------------------- BP PLC 3.7% -------------------------------------------------- TOTAL S.A. 3.5% -------------------------------------------------- Eni SpA 3.5% -------------------------------------------------- Telefonica, S.A. 3.0% -------------------------------------------------- Banca Intensa SpA 2.9% -------------------------------------------------- Banco Santander Central Hispano, S.A. 2.7% -------------------------------------------------- Enel SpA 2.7% -------------------------------------------------- Royal Dutch Shell PLC Class A 2.7% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Europe High-Yielding Equity Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Europe High-Yielding Equity Index. The WisdomTree Europe High-Yielding Equity Fund (DEW) returned 7.71% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Telecommunication Services contributed most significantly to this performance; the industry comprised on average 14.30% of the Fund and returned 26.36% over the period. Vodafone Group PLC was the top contributor to the performance for the period. Consumer Discretionary was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------- WisdomTree Europe High-Yielding MSCI Europe Net Asset Value Market Price Equity Index Value Index ---------------------------------------------------------------------------------------- Six Month* 7.71% 7.73% 7.20% 8.53% ---------------------------------------------------------------------------------------- One Year 23.40% 23.30% 23.79% 23.97% ---------------------------------------------------------------------------------------- Since Inception(1) 27.78% 27.55% 28.67% 29.86% ---------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 6 WisdomTree International Dividend Funds Performance Summary WisdomTree Europe SmallCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Industrials 27.1% Financials 20.5% Consumer Non-Cyclical 18.4% Consumer Cyclical 16.5% Communications 5.5% Technology Basic 4.3% Materials 4.0% Diversified 1.4% Energy 1.1% Utilities 0.4% Other 0.8% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------------ Description % of Net Assets ------------------------------------------------ Orion Oyj Class B 2.3% ------------------------------------------------ Kungsleden Fastighets AB 1.8% ------------------------------------------------ D. Carnegie & Co. AB 1.3% ------------------------------------------------ F&C Asset Management PLC 1.3% ------------------------------------------------ Brit Insurance Holdings PLC 1.3% ------------------------------------------------ Euronav N.V. 1.2% ------------------------------------------------ BW Gas ASA 1.0% ------------------------------------------------ OCE N.V. 0.9% ------------------------------------------------ Acta Holdings ASA 0.9% ------------------------------------------------ Axfood AB 0.9% ------------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Europe SmallCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Europe SmallCap Dividend Index. The WisdomTree Europe SmallCap Dividend Fund (DFE) returned -0.48% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 27.57% of the Fund and returned 4.02% over the period. Cie Maritime Belge was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 -------------------------------------------------------------------------------------------- Average Annual Total Return -------------------------------------------------------------------------------------------- WisdomTree Europe SmallCap MSCI Europe Net Asset Value Market Price Dividend Index SmallCap Index -------------------------------------------------------------------------------------------- Six Month* (0.48)% (1.54)% (0.23)% (0.03)% -------------------------------------------------------------------------------------------- One Year 26.35% 24.62% 26.04% 26.90% -------------------------------------------------------------------------------------------- Since Inception(1) 29.40% 27.65% 29.98% 28.11% -------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 7 Performance Summary WisdomTree Japan Total Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------------- [PIE CHART] Consumer Cyclical 28.2% Industrials 16.6% Financials 12.6% Consumer Non-Cyclical Basic 11.4% Materials 11.0% Communications 6.7% Utilities 6.2% Technology 5.0% Energy 1.7% Other 0.6% --------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------------ Description % of Net Assets ------------------------------------------------ Toyota Motor Corp. 7.1% ------------------------------------------------ NTT DoCoMo, Inc. 3.0% ------------------------------------------------ Nissan Motor Co., Ltd. 2.3% ------------------------------------------------ Nippon Telegraph & Telephone Corp. 2.2% ------------------------------------------------ Takeda Pharmaceutical Co., Ltd. 2.2% ------------------------------------------------ Honda Motor Co., Ltd. 2.2% ------------------------------------------------ JFE Holdings, Inc. 1.7% ------------------------------------------------ Canon Inc. 1.6% ------------------------------------------------ Nippon Steel Corp. 1.6% ------------------------------------------------ Nomura Holdings, Inc. 1.6% ------------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Japan Total Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Japan Dividend Index. The WisdomTree Japan Total Dividend Fund (DXJ) returned -3.11% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 17.32% of the Fund and returned 10.62% over the period. Mitsubishi Corp. was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.48%. Performance as of 9/30/07 --------------------------------------------------------------------------------------------- Average Annual Total Return --------------------------------------------------------------------------------------------- WisdomTree Japan Dividend Net Asset Value Market Price Index MSCI Japan Index --------------------------------------------------------------------------------------------- Six Month* (3.11)% (4.03)% (3.49)% (1.50)% --------------------------------------------------------------------------------------------- One Year 6.51% 5.45% 6.75% 7.09% --------------------------------------------------------------------------------------------- Since Inception(1) 7.80% 7.44% 7.76% 8.50% --------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 8 WisdomTree International Dividend Funds Performance Summary WisdomTree Japan High-Yielding Equity Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Consumer Cyclical 22.6% Basic Materials 15.6% Consumer Non-Cyclical 13.9% Utilities 11.9% Communications 11.2% Financials 10.0% Industrials 8.8% Energy 3.1% Technology 2.2% Other 0.7% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ----------------------------------------------------- Description % of Net Assets ----------------------------------------------------- NTT DoCoMo, Inc. 8.9% ----------------------------------------------------- Honda Motor Co., Ltd. 7.3% ----------------------------------------------------- Nissan Motor Co., Ltd. 7.1% ----------------------------------------------------- JFE Holdings, Inc. 5.8% ----------------------------------------------------- Nomura Holdings, Inc. 5.4% ----------------------------------------------------- Nippon Steel Corp. 5.0% ----------------------------------------------------- Kansai Electric Power Co., Inc. (The) 3.3% ----------------------------------------------------- Astellas Pharma, Inc. 2.7% ----------------------------------------------------- Chubu Electric Power Co., Inc. 2.6% ----------------------------------------------------- Daiichi Sankyo Co., Ltd. 2.5% ----------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Japan High-Yielding Equity Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Japan High-Yielding Equity Index. The WisdomTree Japan High-Yielding Equity Fund (DNL) returned -5.74% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Technology contributed most significantly to this performance; the sector comprised on average 6.86% of the Fund and returned 13.62% over the period. JFE Holdings, Inc. was the top contributor to the performance for the period. Utilities were the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------- WisdomTree Japan High-Yielding MSCI Japan Net Asset Value Market Price Equity Index Value Index ---------------------------------------------------------------------------------------- Six Month* (5.74)% (6.63)% (5.64)% (3.97)% ---------------------------------------------------------------------------------------- One Year 7.92% 7.04% 8.37% 9.57% ---------------------------------------------------------------------------------------- Since Inception(1) 9.46% 9.31% 10.00% 11.31% ---------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 9 Performance Summary WisdomTree Japan SmallCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Industrials 27.7% Consumer Cyclical 26.2% Consumer Non-Cyclical 15.7% Financials 12.0% Basic Materials 11.2% Technology 4.0% Communications 2.1% Utilities 0.4% Energy 0.2% Other 0.5% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ----------------------------------------------------- Description % of Net Assets ----------------------------------------------------- Matsui Securities Co., Ltd. 0.9% ----------------------------------------------------- Tokai Tokyo Securities Co., Ltd. 0.9% ----------------------------------------------------- Bosch Corp. 0.8% ----------------------------------------------------- Hitachi Koki Co., Ltd. 0.8% ----------------------------------------------------- Nippon Kayaku Co., Ltd. 0.8% ----------------------------------------------------- Minebea Co., Ltd. 0.8% ----------------------------------------------------- Daiichi Chuo Kisen Kaisha 0.7% ----------------------------------------------------- Air Water, Inc. 0.7% ----------------------------------------------------- Ebara Corp. 0.7% ----------------------------------------------------- Okasan Holdings, Inc. 0.7% ----------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Japan SmallCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Japan SmallCap Dividend Index. The WisdomTree Japan SmallCap Dividend Fund (DFJ) returned -4.95% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Technology contributed most significantly to this performance; the sector comprised on average 11.88% of the Fund and returned 0.79% over the period. DAIICHI CHUO KISEN KAISHA was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 -------------------------------------------------------------------------------------------- Average Annual Total Return -------------------------------------------------------------------------------------------- WisdomTree Japan MSCI Japan Net Asset Value Market Price SmallCap Index SmallCap Index -------------------------------------------------------------------------------------------- Six Month* (4.95)% (5.22)% (5.05)% (9.88)% -------------------------------------------------------------------------------------------- One Year -0.38% -0.66% 0.52% -6.26% -------------------------------------------------------------------------------------------- Since Inception(1) -1.38% -0.43% -1.01% -8.25% -------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 10 WisdomTree International Dividend Funds Performance Summary WisdomTree Pacific ex-Japan Total Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 38.7% Communications 19.5% Basic Materials 8.8% Industrials 8.4% Consumer Non-Cyclical 5.9% Energy 5.8% Consumer Cyclical 5.3% Diversified 3.7% Utilities 2.4% Technology 0.3% Other 1.2% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------------- Description % of Net Assets ------------------------------------------------- China Mobile Ltd. 8.2% ------------------------------------------------- Commonwealth Bank of Australia 5.1% ------------------------------------------------- National Australia Bank Ltd. 4.2% ------------------------------------------------- Telstra Corp. Ltd. 4.1% ------------------------------------------------- Australia & New Zealand Banking Group Ltd. 3.6% ------------------------------------------------- BHP Billiton Ltd. 3.6% ------------------------------------------------- Westpac Banking Corp. 3.5% ------------------------------------------------- CNOOC Ltd. 2.5% ------------------------------------------------- Singapore Telecommunications Ltd. 2.1% ------------------------------------------------- Hang Seng Bank Ltd. 2.1% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Pacific ex-Japan Total Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Pacific ex-Japan Dividend Index. The WisdomTree Pacific ex-Japan Total Dividend Fund (DND) returned 24.40% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Financials contributed most significantly to this performance; the sector comprised on average 41.32% of the Fund and returned 18.72% over the period. China Mobile Ltd. was the top contributor to the performance for the period. Information Technology was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.48%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------------- WisdomTree Pacific ex-Japan MSCI Pacific Net Asset Value Market Price Dividend Index ex-Japan Index ---------------------------------------------------------------------------------------------- Six Month* 24.40% 24.29% 25.47% 23.83% ---------------------------------------------------------------------------------------------- One Year 56.90% 57.06% 59.02% 55.32% ---------------------------------------------------------------------------------------------- Since Inception(1) 50.99% 51.82% 52.95% 48.42% ---------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 11 Performance Summary WisdomTree Pacific ex-Japan High-Yielding Equity Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 52.8% Communications 13.6% Industrials 11.2% Consumer Non-Cyclical 7.6% Basic Materials 6.5% Consumer Cyclical 5.3% Energy 1.1% Utilities 0.3% Technology 0.3% Other 1.3% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------------- Description % of Net Assets ------------------------------------------------- Commonwealth Bank of Australia 9.0% ------------------------------------------------- Westpac Banking Corp. 8.1% ------------------------------------------------- Australia & New Zealand Banking Group Ltd. 7.8% ------------------------------------------------- National Australia Bank Ltd. 7.8% ------------------------------------------------- Telstra Corp. Ltd. 7.5% ------------------------------------------------- Hang Seng Bank Ltd. 5.0% ------------------------------------------------- Wesfarmers Ltd. 4.0% ------------------------------------------------- Suncorp-Metway Ltd. 3.7% ------------------------------------------------- St.George Bank Ltd. 3.2% ------------------------------------------------- AMP Ltd. 2.8% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Pacific ex-Japan High-Yielding Equity Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Pacific ex-Japan High-Yielding Equity Index. The WisdomTree Pacific ex-Japan High-Yielding Equity Fund (DNH) returned 14.71% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Financials contributed most significantly to this performance; the sector comprised on average 48.97% of the Fund and returned 17.55% over the period. Commonwealth Bank of Australia was the top contributor to the performance for the period. Health Care was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 -------------------------------------------------------------------------------------------- Average Annual Total Return -------------------------------------------------------------------------------------------- WisdomTree Pacific ex-Japan MSCI Pacific High-Yielding ex-Japan Net Asset Value Market Price Equity Index Value Index -------------------------------------------------------------------------------------------- Six Month* 14.71% 14.37% 14.84% 15.04% -------------------------------------------------------------------------------------------- One Year 47.21% 47.03% 48.44% 41.54% -------------------------------------------------------------------------------------------- Since Inception(1) 42.77% 43.06% 43.93% 39.58% -------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 12 WisdomTree International Dividend Funds Performance Summary WisdomTree International LargeCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 35.7% Communications 14.5% Consumer Non-Cyclical 12.6% Energy 11.4% Utilities 8.7% Industrials 5.2% Consumer Cyclical 5.0% Basic Materials 4.9% Diversified 0.7% Technology 0.4% Other 0.9% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 -------------------------------------------------- Description % of Net Assets -------------------------------------------------- HSBC Holdings PLC 2.6% -------------------------------------------------- TOTAL S.A. 2.4% -------------------------------------------------- Eni SpA 2.2% -------------------------------------------------- BP PLC 2.2% -------------------------------------------------- Vodafone Group PLC 2.1% -------------------------------------------------- China Mobile Ltd. 2.0% -------------------------------------------------- Banco Santander Central Hispano, S.A. 1.8% -------------------------------------------------- Telefonica S.A. 1.8% -------------------------------------------------- ABN AMRO Holding N.V. 1.7% -------------------------------------------------- Royal Dutch Shell PLC Class A 1.7% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International LargeCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International LargeCap Dividend Index. The WisdomTree International LargeCap Dividend Fund (DOL) returned 11.73% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Telecommunication Services contributed most significantly to this performance; the industry comprised on average 12.05% of the Fund and returned 26.72% over the period. China Mobile Ltd. was the top contributor to the performance for the period. Health Care was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.48%. Performance as of 9/30/07 --------------------------------------------------------------------------------------------- Average Annual Total Return --------------------------------------------------------------------------------------------- WisdomTree International LargeCap Net Asset Value Market Price Dividend Index MSCI EAFE Index --------------------------------------------------------------------------------------------- Six Month* 11.73% 11.59% 11.52% 8.72% --------------------------------------------------------------------------------------------- One Year 27.80% 27.99% 29.36% 24.94% --------------------------------------------------------------------------------------------- Since Inception(1) 30.42% 30.18% 31.98% 27.29% --------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 13 Performance Summary WisdomTree International Dividend Top 100 Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 51.3% Communications 16.9% Utilities 10.6% Consumer Non-Cyclical 8.1% Energy 6.9% Industrials 1.8% Consumer Cyclical 1.8% Basic Materials 1.7% Other 0.9% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------- Description % of Net Assets ------------------------------------------- Banca Intesa SpA 2.1% ------------------------------------------- Telstra Corp. Ltd. 2.0% ------------------------------------------- Lloyds TSB Group PLC 1.8% ------------------------------------------- Commonwealth Bank of Australia 1.7% ------------------------------------------- Enel SpA 1.7% ------------------------------------------- St.George Bank Ltd. 1.7% ------------------------------------------- Suncorp-Metway Ltd. 1.7% ------------------------------------------- Westpac Banking Corp. 1.7% ------------------------------------------- Telecom Italia SpA 1.7% ------------------------------------------- Australia & New Zealand Banking Group Ltd. 1.5% ------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Dividend Top 100 Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Dividend Top 100 Index. The WisdomTree International Dividend Top 100 Fund (DOO) returned 9.30% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Telecommunication Services contributed most significantly to this performance; the industry comprised on average 15.94% of the Fund and returned 16.99% over the period. CNOOC Ltd. was the top contributor to the performance for the period. Health Care was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------- Average Annual Total Return ---------------------------------------------------------------------------------------- WisdomTree International Dividend MSCI EAFE Net Asset Value Market Price Top 100 Index Value Index ---------------------------------------------------------------------------------------- Six Month* 9.30% 9.11% 10.09% 6.16% ---------------------------------------------------------------------------------------- One Year 30.33% 30.68% 32.32% 22.00% ---------------------------------------------------------------------------------------- Since Inception(1) 34.28% 34.07% 36.12% 26.14% ---------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 14 WisdomTree International Dividend Funds Performance Summary WisdomTree International MidCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Financials 19.4% Industrials 15.8% Consumer Cyclical 13.9% Consumer Non-Cyclical 12.7% Basic Materials 12.0% Communications 9.7% Utilities 7.5% Energy 3.3% Diversified 3.1% Technology 1.9% Other 0.7% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------------ Description % of Net Assets ------------------------------------------------ Hong Kong Exchanges and Clearing Ltd. 1.5% ------------------------------------------------ Wesfarmers Ltd. 1.3% ------------------------------------------------ United Utilities PLC 1.3% ------------------------------------------------ Zinifex Ltd. 1.0% ------------------------------------------------ CITIC Pacific Ltd. 1.0% ------------------------------------------------ Telecom Corp. of New Zealand Ltd. 0.9% ------------------------------------------------ Snam Rete Gas SpA 0.9% ------------------------------------------------ BlueScope Steel Ltd. 0.8% ------------------------------------------------ Scottish & Newcastle PLC 0.8% ------------------------------------------------ Societe Des Autoroutes Paris-Rhin-Rhone 0.8% ------------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International MidCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International MidCap Dividend Index. The WisdomTree International MidCap Dividend Fund (DIM) returned 6.57% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 22.04% of the Fund and returned 14.86% over the period. Hong Kong Exchanges & Clearing Ltd. was the top contributor to the performance for the period. Consumer Discretionary was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 --------------------------------------------------------------------------------------------- Average Annual Total Return --------------------------------------------------------------------------------------------- WisdomTree International MidCap Dividend Net Asset Value Market Price Index MSCI EAFE Index --------------------------------------------------------------------------------------------- Six Month* 6.57% 5.87% 6.68% 8.72% --------------------------------------------------------------------------------------------- One Year 29.02% 28.62% 30.18% 24.94% --------------------------------------------------------------------------------------------- Since Inception(1) 33.00% 32.31% 34.27% 27.29% --------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 15 Performance Summary WisdomTree International SmallCap Dividend Fund Sector Breakdown+ as of 9/30/07++ --------------------------------- [PIE CHART] Industrials 25.6% Financials 17.9% Consumer Non-Cyclical 17.0% Consumer Cyclical 15.7% Communications 8.5% Basic Materials 7.1% Technology 2.6% Energy 1.9% Diversified 1.7% Utilities 1.3% Other 0.7% --------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------------ Description % of Net Assets ------------------------------------------------ Kungsleden Fastighets AB 0.7% ------------------------------------------------ Electrocomponents PLC 0.7% ------------------------------------------------ Orion Oyj Class B 0.6% ------------------------------------------------ West Australian Newspapers Holdings Ltd. 0.6% ------------------------------------------------ Brit Insurance Holdings PLC 0.6% ------------------------------------------------ Stagecoach Group PLC 0.6% ------------------------------------------------ D. Carnegie & Co. AB 0.6% ------------------------------------------------ CSR Ltd. 0.5% ------------------------------------------------ Jubilee Mines NL 0.5% ------------------------------------------------ Hong Kong Aircraft Engineering Co., Ltd. 0.5% ------------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International SmallCap Dividend Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International SmallCap Dividend Index. The WisdomTree International SmallCap Dividend Fund (DLS) returned 2.63% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Industrials contributed most significantly to this performance; the sector comprised on average 27.07% of the Fund and returned 8.31% over the period. JB Hi-Fi was the top contributor to the performance for the period. Financials was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 -------------------------------------------------------------------------------------------- Average Annual Total Return -------------------------------------------------------------------------------------------- WisdomTree International SmallCap MSCI EAFE Net Asset Value Market Price Dividend Index SmallCap Index -------------------------------------------------------------------------------------------- Six Month* 2.63% 2.41% 3.50% (0.46)% -------------------------------------------------------------------------------------------- One Year 28.36% 28.46% 29.28% 19.15% -------------------------------------------------------------------------------------------- Since Inception(1) 28.90% 28.90% 29.44% 17.94% -------------------------------------------------------------------------------------------- * Returns of less than one year are cumulative. (1) Total returns are calculated based on the commencement of trading on the NYSE on June 16, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 16 WisdomTree International Dividend Funds Performance Summary WisdomTree International Real Estate Fund Industry Breakdown+ as of 9/30/07 ------------------------------------------------ [PIE CHART] Real Estate Management & Development 42.5% Retail REITS 23.7% Diversified REITS 16.0% Office REITS 10.0% Industrial REITS 5.9% Residential REITS 1.0% Specialized REITS 0.5% Other 0.4% ------------------------------------------------ + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ------------------------------------------------- Description % of Net Assets ------------------------------------------------- Westfield Group 9.3% ------------------------------------------------- Sun Hung Kai Properties Ltd. 6.0% ------------------------------------------------- Cheung Kong (Holdings) Ltd. 4.5% ------------------------------------------------- Stockland 2.8% ------------------------------------------------- GPT Group 2.6% ------------------------------------------------- Goodman Group 2.5% ------------------------------------------------- Hang Lung Properties Ltd. 2.3% ------------------------------------------------- Land Securites Group PLC 2.2% ------------------------------------------------- Allgreen Properties Ltd. 2.1% ------------------------------------------------- Henderson Land Development Co., Ltd. 1.9% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Real Estate Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Real Estate Index. The WisdomTree International Real Estate Fund (DRW) returned 1.83% from its inception on June 5, 2007 through September 30, 2007 (for more complete performance information, please see below). Hong Kong contributed most significantly to this performance; the securities listed in Hong Kong comprised on average 23.88% of the Fund and returned 21.34% over the period. Sun Hung Kai Properties Ltd. was the top contributor to the performance for the period. Japan was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ---------------------------------------------------------------------------------------------- Cumulative Total Return ---------------------------------------------------------------------------------------------- WisdomTree International Real Estate Dow Jones Wilshire Net Asset Value Market Price Index ex-U.S. RESI Index ---------------------------------------------------------------------------------------------- Since Inception(1) 1.83% 1.67% 1.99% (6.70)% ---------------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on June 5, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Funds 17 Performance Summary WisdomTree Emerging Markets High-Yielding Equity Fund Sector Breakdown+ as of 9/30/07++ ---------------------------------------------------- [PIE CHART] Materials 21.7% Energy 18.8% Telecommunication Services 17.2% Banks 12.9% Utilities 4.9% Food, Beverages & Tobacco 3.9% Transportation 3.8% Semiconductors & Semiconductor Equipment 3.5% Capital Goods 2.8% Technology Hardware & Equipment 2.7% Diversified Financials 1.8% Other 6.0% ---------------------------------------------------- + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. ++ A sector may comprise several industries. Top Ten Holdings* as of 9/30/07 ------------------------------------------------- Description % of Net Assets ------------------------------------------------- Petroleo Brasileiro S.A. 5.7% ------------------------------------------------- S-Oil Corp. 3.2% ------------------------------------------------- Taiwan Semiconductor Manufacturing Co., Ltd. 3.2% ------------------------------------------------- Formosa Petrochemical Corp. 3.1% ------------------------------------------------- China Steel Corp. 2.8% ------------------------------------------------- PetroChina Co., Ltd. Class H 2.8% ------------------------------------------------- Anglo Platinum Ltd. 2.8% ------------------------------------------------- Chunghwa Telecom Co., Ltd. 2.4% ------------------------------------------------- PTT PCL 2.2% ------------------------------------------------- Telkom S.A. Ltd. 2.2% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree Emerging Markets High-Yielding Equity Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree Emerging Markets High-Yielding Equity Index. The WisdomTree Emerging Markets High-Yielding Equity Fund (DEM) returned 2.47% from its inception on July 13, 2007 through September 30, 2007 (for more complete performance information, please see below). Materials contributed most significantly to this performance; the sector comprised on average 20.92% of the Fund and returned 9.26% over the period. China Steel Corp. was the top contributor to the performance for the period. Information Technology was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.63%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------ Cumulative Total Return ------------------------------------------------------------------------------------------ WisdomTree Emerging Markets High-Yielding MSCI Emerging Net Asset Value Market Price Equity Index Markets Index ------------------------------------------------------------------------------------------ Since Inception(1) 2.47% 0.63% 2.64% 5.69% ------------------------------------------------------------------------------------------ (1) Total returns are calculated based on the commencement of trading on the NYSE on July 13, 2007. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 18 WisdomTree International Dividend Funds Shareholder Expense Examples (unaudited) As a shareholder of a WisdomTree Fund, you incur two types of costs: (1) transaction costs, including brokerage commissions on purchases and sales of your Fund shares and (2) ongoing costs, including management fees and other Fund expenses. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds. The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from April 1, 2007 to September 30, 2007 for all Funds except WisdomTree International Real Estate Fund and WisdomTree Emerging Markets High-Yielding Fund; WisdomTree International Real Estate Fund's period was June 5, 2007 through September 30, 2007 and WisdomTree Emerging Markets High-Yielding Fund was July 13, 2007 through September 30, 2007. Actual expenses The first line under each Fund in the table on the next page provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line for your Fund under the heading entitled "Expenses Paid During Period 4/01/07 to 9/30/07" to estimate the expenses you paid on your account during this period. Hypothetical example for comparison purposes The second line under each Fund in the table on the next page provides information about hypothetical account values and hypothetical expenses based on each Fund's actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund's actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds. Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher. WisdomTree International Dividend Funds 19 Shareholder Expense Examples (unaudited) (concluded) ------------------------------------------------------------------------------------------------------------------- Annualized Expense Ratio Expenses Paid Based on the During the Beginning Ending Period Period+ Account Value Account Value 4/01/07 to 4/01/07 to 4/01/07 9/30/07 9/30/07 9/30/07 ------------------------------------------------------------------------------------------------------------------- WisdomTree DEFA Fund Actual $ 1,000.00 $ 1,106.32 0.48% $ 2.54 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.59 0.48% $ 2.44 ------------------------------------------------------------------------------------------------------------------- WisdomTree DEFA High-Yielding Equity Fund Actual $ 1,000.00 $ 1,087.24 0.58% $ 3.03 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree Europe Total Dividend Fund Actual $ 1,000.00 $ 1,093.81 0.48% $ 2.52 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.59 0.48% $ 2.44 ------------------------------------------------------------------------------------------------------------------- WisdomTree Europe High-Yielding Equity Fund Actual $ 1,000.00 $ 1,077.12 0.58% $ 3.02 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree Europe SmallCap Dividend Fund Actual $ 1,000.00 $ 995.16 0.58% $ 2.90 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree Japan Total Dividend Fund Actual $ 1,000.00 $ 968.95 0.48% $ 2.37 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.59 0.48% $ 2.43 ------------------------------------------------------------------------------------------------------------------- WisdomTree Japan High-Yielding Equity Fund Actual $ 1,000.00 $ 942.62 0.58% $ 2.82 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.10 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree Japan SmallCap Dividend Fund Actual $ 1,000.00 $ 950.50 0.58% $ 2.83 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree Pacific ex-Japan Total Dividend Fund Actual $ 1,000.00 $ 1,244.05 0.48% $ 2.70 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.59 0.48% $ 2.44 ------------------------------------------------------------------------------------------------------------------- WisdomTree Pacific ex-Japan High-Yielding Equity Fund Actual $ 1,000.00 $ 1,147.14 0.58% $ 3.12 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree International LargeCap Dividend Fund Actual $ 1,000.00 $ 1,117.35 0.48% $ 2.55 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.59 0.48% $ 2.44 ------------------------------------------------------------------------------------------------------------------- WisdomTree International Dividend Top 100 Fund Actual $ 1,000.00 $ 1,092.96 0.58% $ 3.04 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree International MidCap Dividend Fund Actual $ 1,000.00 $ 1,065.72 0.58% $ 3.00 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree International SmallCap Dividend Fund Actual $ 1,000.00 $ 1,026.25 0.58% $ 2.95 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ------------------------------------------------------------------------------------------------------------------- WisdomTree International Real Estate Fund* Actual $ 1,000.00 $ 1,018.31 0.58% $ 1.90 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.95 ------------------------------------------------------------------------------------------------------------------- WisdomTree Emerging Markets High-Yielding Equity Fund* Actual $ 1,000.00 $ 1,024.66 0.63% $ 1.40 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,021.83 0.63% $ 3.20 ------------------------------------------------------------------------------------------------------------------- * Commencement of investment operations for the WisdomTree International Real Estate Fund and WisdomTree Emerging Markets High-Yielding Equity Fund are June 5, 2007 and July 13, 2007, respectively. + Expenses are calculating using each Fund's annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/366 (to reflect one-half year period) except for actual return information which reflects the 118 day period for WisdomTree International Real Estate Fund and the 80 day period for WisdomTree Emerging Markets High-Yielding Equity Fund. 20 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree DEFA Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- COMMON STOCKS - 99.2% Australia - 8.9% Alumina Ltd. 44,680 $ 282,313 Amcor Ltd. 45,660 298,202 AMP Ltd. 50,780 473,644 Aristocrat Leisure Ltd.(a) 22,264 273,865 Austbrokers Holdings Ltd. 13,233 49,067 Australia & New Zealand Banking Group Ltd. 64,122 1,685,320 Australian Stock Exchange Ltd. 9,496 451,687 AXA Asia Pacific Holdings Ltd.(a) 45,037 310,873 BHP Billiton Ltd. 42,908 1,691,629 Billabong International Ltd.(a) 21,035 278,852 BlueScope Steel Ltd.(a) 37,882 360,380 Caltex Australia Ltd.(a) 14,513 302,331 Coca-Cola Amatil Ltd. 41,515 330,648 Coles Group Ltd. 34,386 468,620 Commander Communications Ltd.(a) 138,545 72,950 Commonwealth Bank of Australia 49,364 2,463,379 Computershare Ltd. 28,205 231,879 CSL Ltd. 5,521 524,247 CSR Ltd.(a) 93,152 256,373 Foster's Group Ltd. 61,747 356,819 Harvey Norman Holdings Ltd. 75,096 396,079 Insurance Australia Group Ltd.(a) 68,966 320,415 John FairFax Holdings Ltd.(a) 77,888 325,335 Leighton Holdings Ltd.(a) 16,775 764,520 Lend Lease Corp. Ltd. 21,086 352,675 Lion Nathan Ltd. 38,408 313,720 Macquarie Bank Ltd.(a) 5,248 391,972 National Australia Bank Ltd. 57,980 2,037,497 Newcrest Mining Ltd. 14,924 369,796 Orica Ltd. 13,598 362,210 Perpetual Ltd.(a) 4,421 285,877 Publishing & Broadcasting Ltd.(a) 16,421 286,276 Qantas Airways Ltd. 102,107 504,207 QBE Insurance Group Ltd. 17,786 532,003 Rio Tinto Ltd.(a) 5,129 491,201 Santos Ltd. 27,009 359,719 Sonic Healthcare Ltd. 21,265 293,568 St. George Bank Ltd.(a) 20,303 635,857 Suncorp-Metway Ltd. 36,242 651,069 TABCORP Holdings Ltd. 24,021 322,049 Telstra Corp. Ltd.(a) 413,866 1,596,854 Toll Holdings Ltd. 20,218 234,563 Wesfarmers Ltd.(a) 17,295 642,819 Westpac Banking Corp. 65,125 1,642,523 Woodside Petroleum Ltd. 11,987 532,517 Woolworths Ltd. 28,526 750,002 Zinifex Ltd. 14,979 234,890 ---------- Total Australia 26,793,291 ---------------------------------------------------------------------------- Austria - 0.3% Andritz AG 476 32,798 Bank Austria Creditanstalt AG 2,215 456,759 BOEHLER-UDDEHOLM AG 778 81,256 Flughafen Wien AG 391 40,281 OMV AG 1,828 121,743 Schoeller-Bleckmann Oilfield Equipment AG 306 25,980 voestalpine AG 1,301 112,123 Wienerberger AG 1,337 83,396 ---------- Total Austria 954,336 ---------------------------------------------------------------------------- Belgium - 1.8% Barco N.V. 2,687 230,846 Bekaert S.A. 561 75,004 Belgacom S.A. 11,693 541,114 Compagnie Maritime Belge S.A. 3,031 224,148 Delhaize Group 1,201 114,778 Dexia N.V. 19,291 582,713 Euronav N.V. 2,472 77,518 Fortis N.V. 44,518 1,307,377 Groep Colruyt S.A. 425 89,544 InBev N.V. 4,536 410,017 KBC Ancora 395 44,120 KBC Groep N.V. 6,592 904,482 Mobistar S.A. 2,928 255,465 Solvay S.A. 1,474 213,335 UCB S.A. 4,748 279,413 Umicore 50 11,918 ---------- Total Belgium 5,361,792 ---------------------------------------------------------------------------- Denmark - 0.7% A/S Dampskibsselskabat TORM 3,602 146,379 Amagerbanken A/S 6,575 376,334 Bang & Olufsen A/S Class B 60 6,754 Carlsberg A/S Class B 375 51,084 Danisco A/S 3,300 255,936 Danske Bank A/S 16,807 680,604 DSV A/S 500 11,757 FLSmidth & Co. A/S 100 10,608 H. Lundbeck A/S 8,701 235,730 NKT Holding A/S 400 44,721 Novo-Nordisk A/S Class B 3,301 397,404 Novozymes A/S Class B 100 12,535 Sydbank A/S 50 2,170 ---------- Total Denmark 2,232,016 ---------------------------------------------------------------------------- Finland - 2.2% Elcoteq SE 55,364 373,208 Elisa Oyj 2,645 82,003 Finnair Oyj 3,416 56,839 Fortum Oyj 31,847 1,165,795 KCI Konecranes Oyj 2,557 102,584 Kemira Oyj 3,416 79,575 Kesko Oyj Class B 1,710 113,301 See Notes to Financial Statements. WisdomTree International Dividend Funds 21 Schedule of Investments (unaudited) (continued) WisdomTree DEFA Fund September 30, 2007 ------------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------------ Metso Oyj 1,710 $ 117,460 Nokia Oyj 66,200 2,509,940 Nokian Renkaat Oyj 3,416 133,402 Ramirent Oyj 6,782 146,508 Rautaruukki Oyj 5,112 308,903 Sampo Oyj Class A 13,651 415,649 Sanoma-WSOY Oyj 4,438 137,654 Stora Enso Oyj Class R 13,651 265,192 UPM-Kymmene Corp. 13,651 329,257 Uponor Oyj 1,710 52,942 Wartsila Oyj Class B 1,710 116,852 YIT Oyj 1,710 50,680 ---------- Total Finland 6,557,744 ------------------------------------------------------------------------------------ France - 12.5% Accor S.A. 6,256 553,925 Air France-KLM 6,587 241,406 AXA S.A.(a) 70,560 3,148,885 BNP Paribas 19,139 2,088,749 Carrefour S.A. 12,433 868,696 Casino Guichard Perrachon S.A. 4,586 479,626 Christian Dior S.A. 3,707 473,101 Cie de Saint-Gobain S.A. 6,339 659,808 CNP Assurances S.A. 3,707 472,943 Compagnie Generale des Etablissements Michelin Class B 5,624 754,067 Credit Agricole S.A. 25,537 982,386 Electricite de France 27,018 2,849,112 Gaz de France S.A. 10,224 529,840 Groupe Danone 7,623 598,426 Hermes International 4,130 463,535 Lafarge S.A. 3,453 533,546 Lagardere SCA 4,620 392,183 L'Air Liquide S.A. 4,537 605,612 L'Oreal S.A. 7,533 985,601 LVMH Moet Hennessy Louis Vuitton S.A. 5,589 668,221 Natixis 76,966 1,702,059 PPR S.A. 3,031 568,732 Renault S.A. 13,164 1,902,446 Sanofi-Aventis 17,278 1,459,079 Schneider Electric S.A. 4,824 607,836 Societe Des Autoroutes Paris-Rhin-Rhone 6,749 707,379 Societe Generale 10,639 1,780,528 Sodexho Alliance S.A. 4,824 332,732 Suez S.A. 34,953 2,052,956 Technip S.A. 6,685 596,093 TOTAL S.A. 61,103 4,954,901 Veolia Environnement S.A. 6,188 531,448 VINCI S.A. 9,478 738,522 Vivendi S.A. 32,186 1,354,890 ---------- Total France 37,639,269 ------------------------------------------------------------------------------------ Germany - 7.5% Allianz SE 6,256 1,457,768 AMB Generali Holding AG 1,252 195,271 BASF AG 9,310 1,284,300 Bayer AG 12,022 954,359 Bayer Schering Pharma AG 2,176 325,397 Bayerische Motoren Werke AG 5,326 342,589 Beate Uhse AG 26,748 115,260 Beiersdorf AG 3,829 285,993 Commerzbank AG 6,475 261,427 Continental AG 116 15,999 DaimlerChrysler AG 25,177 2,529,296 Deutsche Bank AG 5,703 733,029 Deutsche Boerse AG 2,813 382,048 Deutsche Lufthansa AG 10,038 287,938 Deutsche Post AG 23,667 686,623 Deutsche Postbank AG 2,676 195,954 Deutsche Telekom AG 182,401 3,574,552 Deutsche Wohnen AG 7,120 305,087 E.ON AG 12,925 2,383,317 Fraport AG Frankfurt Airport Services Worldwide 2,727 188,054 Fresenius Medical Care AG & Co. KGaA 4,820 255,477 Henkel KGaA 309 14,594 Hypo Real Estate Holding AG 3,014 170,940 MAN AG 2,693 390,836 Metro AG 4,319 389,051 Muenchener Rueckversicherungs-Gesellshaft AG 3,880 743,653 MVV Energie AG 6,212 260,526 RWE AG 8,429 1,057,280 Salzgitter AG 1,234 241,724 Siemens AG 10,241 1,404,282 ThyssenKrupp AG 8,107 514,901 Volkswagen AG 3,175 715,679 ---------- Total Germany 22,663,204 ------------------------------------------------------------------------------------ Hong Kong - 4.4% Bank of East Asia Ltd. 37,418 210,001 BOC Hong Kong (Holdings) Ltd. 297,640 754,765 Cathay Pacific Airways Ltd. 101,000 276,271 Cheung Kong (Holdings) Ltd. 33,969 560,564 China Merchants Holdings (International) Co., Ltd. 34,016 211,706 China Mobile Ltd. 244,124 4,000,307 China Overseas Land & Investment Ltd. 68,034 155,358 China Resources Enterprise, Ltd. 32,016 135,999 China Travel International Investment Hong Kong Ltd. 136,067 100,711 China Unicom Ltd. 64,051 132,576 CITIC International Financial Holdings Ltd. 119,060 95,326 CITIC Pacific Ltd. 66,025 421,546 CLP Holdings Ltd. 51,034 353,424 CNOOC Ltd. 561,153 943,363 See Notes to Financial Statements. 22 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree DEFA Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- Dah Sing Financial Holdings Ltd. 5,603 $ 43,274 Denway Motors Ltd. 102,051 59,245 Hang Seng Bank Ltd. 61,029 1,084,887 Henderson Investment Ltd. 21,335 35,427 Hong Kong & China Gas Co., Ltd. (The) 217 506 Hong Kong Aircraft Engineering Co., Ltd. 400 9,057 Hong Kong Exchanges and Clearing Ltd. 32,000 978,703 Hongkong Electric Holdings Ltd. 25 130 Hopewell Holdings Ltd. 17,008 81,223 Hutchison Whampoa Ltd. 67,025 717,388 Industrial & Commercial Bank of China Ltd. 16 45 MTR Corp. 68,034 202,736 New World Development Co., Ltd. 50,954 141,017 PCCW Ltd. 73,060 48,339 Shanghai Industrial Holdings Ltd. 16,008 79,951 Shun TAK Holdings Ltd. 33,969 54,745 Singamas Container Holdings Ltd.(a) 268,034 162,849 Sino Land Co. Ltd. 33,969 84,566 Sun Hung Kai Properties Ltd. 36,328 612,586 Television Broadcasts Ltd. 17,008 102,241 Wharf (Holdings) Ltd. (The) 33,969 167,032 Wing Hang Bank Ltd. 8,505 97,874 Wing Lung Bank Ltd. 6,803 70,538 ---------- Total Hong Kong 13,186,276 ---------------------------------------------------------------------------- Ireland - 0.5% Allied Irish Banks PLC 19,256 465,543 Anglo Irish Bank Corp. PLC 4,519 83,547 Bank of Ireland 19,679 365,224 CRH PLC 4,885 192,021 DCC PLC 980 28,989 FBD Holdings PLC 2,690 84,163 Glanbia PLC 4,559 27,361 Greencore Group PLC 3,812 24,802 IAWS Group PLC 913 20,190 Independent News & Media PLC 18,615 70,551 Irish Life & Permanent PLC 4,722 104,626 Kerry Group PLC Class A 862 25,499 Kingspan Group PLC 997 21,793 ---------- Total Ireland 1,514,309 ---------------------------------------------------------------------------- Italy - 7.2% Actelios SpA 4,253 43,246 AEM SpA 86,226 321,894 Alleanza Assicurazioni SpA 18,683 248,031 Assicurazioni Generali SpA 12,515 549,252 Atlantia SpA 6,990 235,498 Autogrill SpA 8,464 162,621 Banca Carige SpA 43,155 205,906 Banca Intesa SpA 405,007 3,118,934 Banca Italease SpA(a) 6,899 128,529 Banca Monte dei Paschi di Siena SpA 34,539 211,337 Banca Popolare dell'Etruria e del Lazio 1,274 22,068 Banca Popolare di Milano S.c.r.l. 16,539 243,677 Banco Popolare S.c.r.l. 7,229 161,510 Capitalia SpA 48,142 458,716 Enel SpA 232,766 2,628,363 Eni SpA(a) 141,567 5,232,552 Finmeccanica SpA 9,106 264,570 Fondiaria-Sai SpA 5,470 256,168 Hera SpA 37,484 154,326 Ifil Investments SpA 35,995 386,998 Luxottica Group SpA 7,889 267,806 Mediobanca SpA(a) 13,919 303,654 Mediolanum SpA(a) 29,624 208,964 Saipem SpA 5,470 232,752 Snam Rete Gas SpA 63,850 396,134 Telecom Italia SpA 888,835 2,695,600 Terna SpA 71,167 262,387 UniCredito Italiano SpA 202,408 1,727,127 Unione di Banche Italiane SCPA 11,617 311,423 Unipol SpA 63,884 216,683 ---------- Total Italy 21,656,726 ---------------------------------------------------------------------------- Japan - 8.5% Asahi Glass Co., Ltd. 17,000 228,362 Astellas Pharma, Inc. 6,800 325,766 Bridgestone Corp. 11,900 262,801 Canon Inc. 10,200 556,049 Chubu Electric Power Co., Inc. 10,200 263,835 Chugai Pharmaceutical Co., Ltd. 11,900 196,273 Dai Nippon Printing Co., Ltd. 17,000 242,699 Daiwa House Industry Co., Ltd. 17,000 221,562 Daiwa Securities Group, Inc. 22,000 209,260 DENSO Corp. 6,800 256,001 Eisai Co., Ltd. 5,100 240,777 Fanuc Ltd. 3,400 346,164 Fuji Photo Film Co., Ltd. 6,800 313,942 Hitachi Ltd. 34,000 226,144 Honda Motor Co., Ltd. 10,200 342,321 ITOCHU Corp. 34,000 412,381 Japan Tobacco, Inc. 68 373,064 JFE Holdings, Inc. 6,800 481,259 Kansai Electric Power Co., Inc. (The) 11,900 271,595 Kao Corp. 17,000 506,977 Keiyo Co., Ltd. 5,400 28,499 Kirin Brewery Co., Ltd. 17,000 224,666 Kobe Steel Ltd. 82,000 305,856 Kojima Co., Ltd. 2,700 16,339 Komatsu Ltd. 17,000 570,534 Konaka Co., Ltd. 14,000 106,264 Kyocera Corp. 3,400 318,376 Kyushu Electric Power Co., Inc. 11,900 314,533 Matsushita Electric Industrial Co., Ltd. 17,000 318,524 Millea Holdings, Inc. 500 20,084 See Notes to Financial Statements. WisdomTree International Dividend Funds 23 Schedule of Investments (unaudited) (continued) WisdomTree DEFA Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------- Mitsubishi Corp. 13,600 $ 430,413 Mitsubishi Electric Corp. 34,000 425,684 Mitsubishi Estate Co., Ltd. 16,976 485,598 Mitsubishi Heavy Industries Ltd. 68,000 444,012 Mitsubishi UFJ Financial Group, Inc. 60,000 524,801 Mitsui & Co., Ltd. 17,000 412,381 Mitsui Fudosan Co., Ltd. 16,976 470,838 Mitsui Sumitomo Insurance Co., Ltd. 17,000 199,391 Mizuho Financial Group, Inc. 34 193,627 Nippon Oil Corp. 34,000 315,420 Nippon Steel Corp. 199,000 1,430,884 Nippon Telegraph & Telephone Corp. 102 476,234 Nissan Motor Co., Ltd. 49,300 493,364 Nomura Holdings, Inc. 73,800 1,235,828 NTT DoCoMo, Inc. 821 1,170,665 Ricoh Co., Ltd. 17,000 359,171 Right On Co., Ltd. 5,000 53,645 Sankyo Seiko Co., Ltd. 13,200 49,006 Secom Co., Ltd. 8,500 408,686 Sekisui House Ltd. 17,000 213,729 Sharp Corp. 17,000 308,177 Shin-Etsu Chemical Co., Ltd. 5,100 352,076 Sony Corp. 5,100 246,985 Sumitomo Chemical Co., Ltd. 34,000 291,179 Sumitomo Corp. 17,000 328,131 Sumitomo Electric Industries Ltd. 10,000 159,110 Sumitomo Metal Industries Ltd. 68,000 396,122 Sumitomo Mitsui Financial Group, Inc. 17 132,287 Suzuki Motor Corp. 11,900 351,780 T&D Holdings, Inc. 3,400 208,999 Takagi Securities Co., Ltd. 24,000 78,251 Takeda Pharmaceutical Co., Ltd. 6,800 477,712 Tochigi Bank Ltd. (The) 84,000 468,878 Tohoku Electric Power Co., Inc. 11,900 254,006 Tokyo Electric Power Co., Inc. (The) 15,300 385,776 Tokyo Gas Co., Ltd. 51,000 237,230 Toray Industries, Inc. 18,000 142,729 Tori Holdings Co., Ltd. 277,000 48,168 Toshiba Corp. 34,000 317,193 Toyo Securities Co., Ltd. 8,000 28,170 Toyota Motor Corp. 31,600 1,862,783 Trans Cosmos, Inc. 6,700 109,691 Uniden Corp. 2,000 13,233 ---------- Total Japan 25,492,950 -------------------------------------------------------------------------- Netherlands - 3.9% ABN AMRO Holding N.V. 55,626 2,923,058 AEGON N.V. 32,254 616,034 Akzo Nobel N.V. 4,722 388,150 CSM N.V. 3,639 121,721 Heineken Holding N.V. 2,793 159,677 Heineken N.V. 3,572 233,778 ING Groep N.V. 50,714 2,245,185 Koninklijke DSM N.V. 3,538 190,445 Koninklijke Philips Electronics N.V. 13,986 629,524 Koninklijke Vopak N.V. 2,488 141,532 OCE N.V. 7,348 154,032 Randstad Holding N.V. 1,761 94,942 Reed Elsevier N.V. 13,902 263,346 Royal KPN N.V. 65,269 1,129,647 SBM Offshore N.V. 2,439 95,630 STMicroelectronics N.V. 22,315 374,159 TNT N.V. 6,086 254,463 Unilever N.V. 10,507 322,908 Unilever N.V. CVA 35,182 1,083,237 Vedior N.V. 4,891 107,327 Wolters Kluwer N.V. 5,351 158,439 ---------- Total Netherlands 11,687,234 -------------------------------------------------------------------------- New Zealand - 0.5% Air New Zealand Ltd. 34,707 64,775 Auckland International Airport Ltd. 41,672 98,555 CanWest MediaWorks (NZ) Ltd. 17,545 35,661 Fisher & Paykel Appliances Holdings Ltd. 9,499 25,552 Fisher & Paykel Healthcare Corp. 11,063 27,585 Fletcher Building Ltd. 16,507 158,278 Freightways Ltd. 5,316 15,264 Hallenstein Glasson Holdings Ltd. 66,621 224,511 Infratil Ltd. 9,782 21,952 Mainfreight Ltd. 20,185 102,187 New Zealand Refining Co., Ltd. (The) 10,217 58,672 Nuplex Industries Ltd. 3,065 16,999 Port of Tauranga Ltd. 33,288 168,521 Sanford Ltd. 42,269 138,932 Sky City Entertainment Group Ltd. 16,946 66,839 Telecom Corp. of New Zealand Ltd. 79,765 269,409 Warehouse Group Ltd. (The) 14,338 59,586 ---------- Total New Zealand 1,553,278 -------------------------------------------------------------------------- Norway - 1.0% ABG Sundal Collier ASA 16,000 42,197 Aker ASA Class A 1,021 71,742 DnB NOR ASA 34,016 518,811 EDB Business Partner ASA 2 16 Ekornes ASA 1,701 36,076 Norsk Hydro ASA 19,459 841,558 Orkla ASA 15,310 271,908 ProSafe ASA 1,700 30,161 Schibsted ASA 850 44,520 Sparebanken Midt-Norge 15,400 198,810 Statoil ASA 25,461 862,826 Storebrand ASA 5 77 Tomra Systems ASA 2 14 Veidekke ASA 3,950 36,060 See Notes to Financial Statements. 24 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree DEFA Fund September 30, 2007 ----------------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------------- Yara International ASA 5,102 $ 160,430 ---------- Total Norway 3,115,206 ----------------------------------------------------------------------------------- Portugal - 0.7% Banco BPI, S.A. 9,276 77,832 Banco Comercial Portugues, S.A. Class R(a) 67,466 279,205 Banco Espirito Santo, S.A. 9,733 220,084 Brisa-Auto-estradas de Portugal S.A. 10,404 136,124 Jeronimo Martins, SGPS, S.A. 11,427 70,041 Mota-Engil, SGPS, S.A. 3,707 28,205 Portucel-Empresa Produtora De Pasta E Papel, S.A. 11,160 41,106 Portugal Telecom, SGPS, S.A. 34,774 486,131 PT Multimedia - Servicos de Telecomunicacoes e Multimedia, SGPS, S.A.(a) 5,722 84,956 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 177,082 526,339 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 3,555 57,787 Sonae SGPS, S.A. 23,008 59,552 ---------- Total Portugal 2,067,362 ----------------------------------------------------------------------------------- Singapore - 1.4% City Developments Ltd. 1,180 12,878 ComfortDelgro Corp., Ltd. 51,000 66,651 Cosco Corp. (Singapore) Ltd. 17,000 68,140 DBS Group Holdings Ltd. 36,000 523,830 Fraser and Neave Ltd. 19,807 76,055 Guocoland Ltd.(a) 16,976 58,323 Jaya Holdings Ltd. 51,000 68,712 Keppel Corp. Ltd. 30,000 291,017 Keppel Land Ltd. 16,976 94,918 Keppel Telecommunications & Transportation Ltd. 21,000 63,660 MobileOne Ltd. 20,800 28,724 Oversea-Chinese Banking Corp. Ltd. 68,000 407,693 Parkway Holdings Ltd. 34,000 97,113 SBS Transit Ltd. 25,500 52,565 SembCorp Industries Ltd. 17,000 73,866 SembCorp Marine Ltd. 23,000 71,272 SIA Engineering Co., Ltd. 17,000 56,115 Singapore Airlines Ltd. 17,866 223,859 Singapore Airport Terminal Services Ltd. 34,000 62,757 Singapore Exchange Ltd. 17,000 147,731 Singapore Post Ltd. 68,000 55,886 Singapore Press Holdings Ltd. 34,000 98,946 Singapore Technologies Engineering Ltd. 17,000 44,663 Singapore Telecommunications Ltd. 288,150 780,331 SMRT Corp. Ltd. 51,000 58,749 StarHub Ltd. 29,610 61,835 Straits Trading Co., Ltd. 17,000 51,763 United Overseas Bank Ltd. 35,000 521,068 Venture Corp., Ltd. 14,000 155,613 ---------- Total Singapore 4,374,733 ----------------------------------------------------------------------------------- Spain - 6.9% Abertis Infraestructuras S.A.(a) 8,463 263,942 Acciona, S.A. 845 229,167 Acerinox S.A.(a) 4,346 130,412 ACS, Actividades Construccion y Servicios, S.A. 3,284 180,742 Altadis, S.A. 4,015 281,728 Banco Bilbao Vizcaya Argentaria, Chile, S.A. 91,839 2,147,208 Banco Guipuzcoano SA 4,189 84,297 Banco Popular Espanol, S.A.(a) 22,622 387,671 Banco Sabadell S.A.(a) 17,533 168,308 Banco Santander Central Hispano S.A. 242,297 4,696,660 Bankinter, S.A.(a) 9,643 138,646 Cia Espanola De Petroleos, S.A.(a) 3,623 363,763 Corporacion Mapfre S.A. 23,514 106,006 Ebro Puleva S.A. 6,813 139,329 Enagas 6,086 157,352 Endesa S.A. 47,171 2,689,406 Fomento de Construcciones y Contratas S.A. 1,828 147,532 Gas Natural SDG, S.A. 8,514 479,484 Gestevision Telecinco, S.A. 9,191 240,637 Grupo Ferrovial S.A.(a) 1,845 155,726 IBERDROLA, S.A. 19,992 1,171,382 Inditex S.A. 3,470 233,221 Montebalito S.A. 4,363 68,626 Red Electrica de Espana 2,570 132,856 Repsol YPF, S.A. 19,224 684,852 Telefonica, S.A. 178,744 4,989,960 Union Fenosa, S.A. 3,846 226,933 Zardoya-Otis S.A. 3,419 105,853 ---------- Total Spain 20,801,699 ----------------------------------------------------------------------------------- Sweden - 3.0% AB Volvo Class A 17,010 294,498 AB Volvo Class B 42,525 737,888 Alfa Laval AB 3,402 217,981 Assa Abloy AB Class B 6,803 140,655 Atlas Copco AB Class A 13,606 234,512 Atlas Copco AB Class B 4 64 Axfood AB 3,101 104,261 Electrolux AB Series B 6,803 143,547 Fabege AB 10,191 120,908 H&M Hennes & Mauritz AB Class B 15,057 950,802 Holmen AB Class B 1,701 64,947 Investment AB Kinnevik Class B 503 10,536 JM AB 6,803 163,527 L E Lundbergforetagen AB Class B 1 69 Nolato AB Class B 4,200 37,007 Nordea Bank AB 61,129 1,061,174 Q-Med AB 38,400 549,076 Ratos AB Class B 6,803 199,808 Sandvik AB 20,410 436,182 Scania AB Class A 9,608 245,062 Scania AB Class B 13,608 330,258 Securitas AB Class B 19,803 260,201 Skandinaviska Enskilda Banken AB 10,206 330,521 See Notes to Financial Statements. WisdomTree International Dividend Funds 25 Schedule of Investments (unaudited) (continued) WisdomTree DEFA Fund September 30, 2007 -------------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------------- Skanska AB Class B 10,206 $ 201,547 SKF AB Class B 6,803 142,758 SSAB Svenskt Stal AB Series A 6,702 247,088 Svenska Cellulosa Aktiebolaget SCA Class B 10,206 189,714 Svenska Handelsbanken AB Class A 13,607 420,680 Swedbank AB Class A 11,906 396,618 Tele2 AB Class B 1,605 34,549 TeliaSonera AB 76,538 689,180 ----------- Total Sweden 8,955,618 -------------------------------------------------------------------------------------- Switzerland - 3.4% Adecco S.A. 2,336 137,676 Ciba Specialty Chemicals Holding Inc. 1,979 100,542 Credit Suisse Group 20,608 1,363,635 Givaudan S.A. 136 125,266 Holcim Ltd. 2,319 255,285 Kuehne + Nagel International AG 1,574 154,409 Nestle S.A. 6,169 2,761,845 Nobel Biocare Holding AG 400 107,944 Novartis AG 27,042 1,487,287 Roche Holding AG 5,385 973,098 SGS S.A. 119 135,482 Swatch Group AG (The) Class B 696 227,591 Swiss Reinsurance Co. 5,843 518,678 Swisscom AG 1,102 417,660 UBS AG 30,493 1,634,020 ----------- Total Switzerland 10,400,418 -------------------------------------------------------------------------------------- United Kingdom - 23.9% Abacus Group PLC 389,637 642,999 Accident Exchange Group PLC 128,976 365,249 Anglo American PLC 20,940 1,403,157 AstraZeneca PLC 25,285 1,261,587 Aviva PLC 57,234 858,217 BAE SYSTEMS PLC 113,552 1,141,687 Barclays PLC 182,900 2,219,018 BG Group PLC 59,536 1,026,161 BHP Billiton PLC 43,010 1,533,462 Blacks Leisure Group PLC 12,675 70,692 Bloomsbury Publishing PLC 53,079 159,777 BP PLC 421,083 4,868,542 British American Tobacco PLC 48,125 1,717,791 British Sky Broadcasting PLC 58,108 822,784 BT Group PLC 223,241 1,396,297 Cable & Wireless PLC 60,609 227,206 Cadbury Schweppes PLC 78,065 901,789 Carter & Carter Group PLC 343,977 562,393 Centrica PLC 144,261 1,118,327 Compass Group PLC 102,590 631,215 Diageo PLC 63,728 1,394,440 GlaxoSmithKline PLC 116,106 3,068,032 HBOS PLC 99,536 1,854,510 Hikma Pharmaceuticals PLC 18,881 161,562 HSBC Holdings PLC 307,675 5,669,780 Imperial Tobacco Group PLC 16,400 748,775 J. Sainsbury PLC 56,966 670,244 Kingfisher PLC 182,546 664,975 Legal & General Group PLC 331,303 901,773 Lloyds TSB Group PLC 274,181 3,030,417 London Scottish Bank PLC 114,432 185,345 Man Group PLC 105,815 1,193,247 Marks & Spencer Group PLC 74,741 937,243 National Grid PLC 78,630 1,255,942 Old Mutual PLC 262,238 856,435 Pearson PLC 56,354 869,707 Prudential PLC 72,825 1,115,000 Reckitt Benckiser PLC 20,488 1,198,807 Reed Elsevier PLC 75,848 954,988 Rio Tinto PLC 15,574 1,341,530 Royal Bank of Scotland Group (The) PLC 221,243 2,366,433 Royal Dutch Shell PLC Class A 82,931 3,407,910 Royal Dutch Shell PLC Class B 58,235 2,387,137 SABMiller PLC 43,443 1,232,039 Sage Group (The) PLC 160,956 817,349 Scottish & Southern Energy PLC 280 8,620 Smith & Nephew PLC 24,732 301,067 Smiths Group PLC 31,814 692,885 Smiths News PLC 111,472 277,071 Standard Chartered PLC 32,408 1,056,422 Tesco PLC 124,798 1,116,824 Unilever PLC 34,588 1,088,728 Vodafone Group PLC 1,316,893 4,735,442 WPP Group PLC 23,188 312,742 Xstrata PLC 19,283 1,274,444 ----------- Total United Kingdom 72,076,215 -------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $275,712,406) 299,083,676 ====================================================================================== RIGHTS* - 0.0% Austria - 0.0% Wienerberger AG, expiring 10/08/07 1,259 - -------------------------------------------------------------------------------------- Italy - 0.0% Capitalia SpA, expiring 10/03/07 42,519 - ====================================================================================== TOTAL RIGHTS (Cost: $0) - ====================================================================================== TOTAL LONG-TERM INVESTMENTS (Cost: $275,712,406) 299,083,676 ====================================================================================== SHORT-TERM INVESTMENT - 0.3% MONEY MARKET FUND - 0.3% United States - 0.3% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $1,010,149) 1,010,149 1,010,149 ====================================================================================== See Notes to Financial Statements. 26 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree DEFA Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 4.3% MONEY MARKET FUNDS(c) - 4.3% AIM Liquid Assets Portfolio, 5.11% 10 $ 10 UBS Enhanced Yield Portfolio, 5.21% 7,438,808 7,438,808 UBS Private Money Market Fund LLC, 5.38% 5,514,934 5,514,934 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $12,953,752)(d) 12,953,752 ================================================================================== TOTAL INVESTMENTS IN SECURITIES - 103.8% (Cost: $289,676,307)(e) 313,047,577 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (3.8)% (11,424,797) ------------ NET ASSETS - 100.% $301,622,780 ================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $11,458,810 and the total market value of the collateral held by the Fund was $12,953,752. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Funds 27 Schedule of Investments (unaudited) WidsomTree DEFA High-Yielding Equity Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- COMMON STOCKS - 99.0% Australia - 12.8% Adelaide Bank Ltd. 1,580 $ 19,757 Alumina Ltd.(a) 40,499 255,895 Amcor Ltd.(a) 42,217 275,716 AMP Ltd. 76,249 711,203 Aristocrat Leisure Ltd.(a) 16,560 203,701 Austbrokers Holdings Ltd. 17,333 64,270 Australia & New Zealand Banking Group Ltd. 101,138 2,658,212 Australian Stock Exchange Ltd.(a) 10,175 483,985 AWB Ltd.(a) 77,097 167,838 AXA Asia Pacific Holdings Ltd. 5,795 40,001 Bendigo Bank Ltd.(a) 7,547 91,498 Billabong International Ltd.(a) 15,659 207,584 BlueScope Steel Ltd.(a) 81,022 770,780 Boral Ltd.(a) 26,960 171,541 Caltex Australia Ltd.(a) 10,772 224,399 Centennial Coal Co., Ltd. 8,656 28,572 Coca-Cola Amatil Ltd.(a) 42,776 340,692 Coles Group Ltd. 51,687 704,403 Commander Communications Ltd. 20,915 11,013 Commonwealth Bank of Australia 73,726 3,679,100 CSR Ltd.(a) 63,984 176,096 David Jones Ltd. 4,237 19,123 Downer EDI Ltd.(a) 28,139 155,884 Foster's Group Ltd. 92,797 536,248 Gloucester Coal Ltd. 3,117 13,489 GrainCorp Ltd. 1,725 14,960 GRD Ltd. 40,332 85,660 Great Southern Ltd.(a) 11,827 24,282 Insurance Australia Group Ltd. 103,671 481,654 Iress Market Technology Ltd.(a) 5,973 41,229 John FairFax Holdings Ltd.(a) 96,805 404,351 Jubilee Mines NL(a) 3,999 61,436 Just Group Ltd. 8,384 38,581 Lend Lease Corp. Ltd. 21,291 356,104 Lion Nathan Ltd. 28,609 233,681 Macquarie Bank Ltd.(a) 10,407 777,297 MFS Ltd. 16,042 66,581 Minara Resources Ltd.(a) 41,469 238,904 Mortgage Choice Ltd. 2,029 4,579 National Australia Bank Ltd. 87,085 3,060,287 New Hope Corp. Ltd. 8,315 17,660 Nufarm Ltd.(a) 21,445 254,492 OneSteel Ltd.(a) 58,670 358,248 Orica Ltd. 10,109 269,273 Origin Energy Ltd. 14,421 131,447 Oxiana Ltd. 12,097 41,536 Pacific Brands Ltd. 28,637 78,561 Perpetual Ltd.(a) 3,309 213,971 Port Bouvard Ltd. 51,020 79,916 Primary Health Care Ltd.(a) 3,582 38,609 Publishing & Broadcasting Ltd.(a) 24,423 425,779 Qantas Airways Ltd. 126,276 623,554 QBE Insurance Group Ltd. 26,725 799,380 Ridley Corp., Ltd. 30,095 31,160 Santos Ltd.(a) 25,094 334,214 Sedgman Ltd. 18,090 50,107 Seven Network Ltd.(a) 26,339 305,344 Sims Group Ltd.(a) 12,170 347,651 Sonic Healthcare Ltd. 15,815 218,330 SP Telemedia Ltd.(a) 51,483 20,274 Specialty Fashion Group Ltd. 33,983 48,418 St.George Bank Ltd.(a) 28,055 878,637 Suncorp-Metway Ltd. 46,548 836,211 Sunland Group Ltd.(a) 11,829 42,396 TABCORP Holdings Ltd.(a) 36,152 484,690 Tattersall's Ltd. 13,080 45,953 Telstra Corp. Ltd. 716,233 2,763,501 Transfield Services Ltd.(a) 24,622 288,490 United Group Ltd.(a) 16,599 272,193 Washington H. Soul Pattinson & Co., Ltd. 26,300 215,519 Wesfarmers Ltd.(a) 25,988 965,920 West Australian Newspapers Holdings Ltd.(a) 18,830 258,619 Westpac Banking Corp. 98,208 2,476,912 Woodside Petroleum Ltd. 17,431 774,364 Woolworths Ltd. 41,683 1,095,924 Zinifex Ltd. 41,839 656,091 ---------- Total Australia 34,643,930 ----------------------------------------------------------------------------- Austria - 0.3% Bank Austria Creditanstalt AG 2,983 615,129 BOEHLER-UDDEHOLM AG 1,232 128,673 Flughafen Wien AG 616 63,461 ---------- Total Austria 807,263 ----------------------------------------------------------------------------- Belgium - 1.7% Compagnie Maritime Belge S.A. 3,052 225,701 Cumerio N.V. 1,627 65,944 Dexia N.V. 32,088 969,265 Euronav N.V. 3,699 115,995 Fortis N.V. 54,793 1,609,127 KBC Ancora 2,072 231,433 KBC Groep N.V. 10,639 1,459,766 Melexis N.V. 1,860 34,202 ---------- Total Belgium 4,711,433 ----------------------------------------------------------------------------- Denmark - 0.2% A/S Dampskibsselskabat TORM 1,604 65,184 TrygVesta A/S 7,100 567,583 ---------- Total Denmark 632,767 ----------------------------------------------------------------------------- Finland - 1.7% Amer Sports Oyj(a) 3,933 90,891 Elektrobit Corp.(a) 79,372 214,470 Fortum Oyj 31,589 1,156,351 Kesko Oyj Class B 1,821 120,656 Metso Oyj 5,444 373,947 See Notes to Financial Statements. 28 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WidsomTree DEFA High-Yielding Equity Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- OKO Bank PLC Class A 7,851 $ 161,897 Orion Oyj Class B 7,403 187,612 Outokumpu Oyj 5,291 189,544 PKC Group Oyj 12,857 194,731 Rautaruukki Oyj 9,310 562,577 Sampo Oyj Class A 19,696 599,708 Sanoma-WSOY Oyj 6,684 207,318 Stora Enso Oyj Class R 23,627 458,991 Uponor Oyj 3,796 117,525 Wartsila Oyj Class B 1,091 74,553 ---------- Total Finland 4,710,771 -------------------------------------------------------------------------------- France - 14.3% Accor S.A. 4,650 411,725 Assystem 9,012 140,852 AXA S.A.(a) 87,484 3,904,153 BNP Paribas 41,855 4,567,877 Canal Plus S.A. 17,988 199,792 Casino Guichard Perrachon S.A. 3,933 411,332 Credit Agricole S.A. 81,111 3,120,271 Euler Hermes S.A. 2,749 365,420 Fonciere Des Regions 988 144,386 Gaz de France S.A.(a) 27,258 1,412,595 Imerys S.A. 1,739 158,304 IMS-International Metal Service 6,590 275,536 Klepierre 4,902 280,458 L'Air Liquide S.A. 3,736 498,692 M6, Metropole Television 6,213 179,809 Manitou BF S.A. 8,353 451,410 Nexity 428 26,313 NRJ Group(a) 10,432 135,748 Oberthur Card Systems S.A. 25,236 224,309 PagesJaunes S.A. 5,196 106,483 Peugeot S.A. 9,939 818,118 Rallye S.A. 3,777 268,573 Sanofi-Aventis 37,481 3,165,167 SCOR SE 9,545 255,063 Sequana Capital S.A. 6,640 218,607 Societe BIC S.A. 638 54,549 Societe Des Autoroutes Paris-Rhin-Rhone 3,144 329,530 Societe Generale 16,121 2,697,987 Ste Industrielle d'Aviation Latecoere S.A. 10,806 311,965 Suez S.A. 51,364 3,016,853 Thomson 12,551 190,632 TOTAL S.A. 94,625 7,673,233 Valeo S.A. 6,825 378,735 Vivendi S.A. 54,541 2,295,937 ---------- Total France 38,690,414 -------------------------------------------------------------------------------- Germany - 6.9% Altana AG 2,738 65,806 Balda AG(a) 10,916 104,788 BASF AG 17,846 2,461,829 Bayer Schering Pharma AG 6,062 906,505 Beate Uhse AG 33,283 143,420 Deutsche Bank AG 16,395 2,107,313 Deutsche Lufthansa AG 8,122 232,978 Deutsche Post AG 44,307 1,285,427 Deutsche Telekom AG 188,670 3,697,406 Deutsche Wohnen AG 4,066 174,226 E.ON AG 19,318 3,562,160 Grammer AG 4,001 126,603 Hannover Rueckversicherung AG 2,321 117,443 HCI Capital AG 9,562 206,699 Hypo Real Estate Holding AG 2,441 138,442 Muenchener Rueckversicherungs-Gesellshaft AG 6,603 1,265,551 RWE AG 15,781 1,979,467 ---------- Total Germany 18,576,063 -------------------------------------------------------------------------------- Hong Kong - 2.7% Bank of East Asia Ltd. 61,612 345,785 BOC Hong Kong (Holdings) Ltd. 442,341 1,121,703 China Travel International Investment Hong Kong Ltd. 58 43 Chong Hing Bank Ltd. 11,000 24,043 CITIC International Financial Holdings Ltd. 28 22 CITIC Pacific Ltd. 109,018 696,040 CLP Holdings Ltd. 110,524 765,409 CNOOC Ltd. 1,025,000 1,723,144 Dah Sing Banking Group Ltd. 15,604 34,467 Fountain Set (Holdings) Ltd. 78,018 28,521 Fubon Bank (Hong Kong) Ltd. 4,000 2,368 Hang Seng Bank Ltd. 90,318 1,605,545 Hongkong Electric Holdings Ltd. 94,018 488,930 Hopewell Holdings Ltd. 8 38 Industrial & Commercial Bank of China Ltd. 8 22 Next Media Ltd. 126,000 35,682 Oriental Press Group Ltd. 38 6 PCCW Ltd. 276,048 182,643 Prosperity Real Estate Investment Trust 186,414 39,593 Television Broadcasts Ltd. 4,000 24,045 Wing Hang Bank Ltd. 5,500 63,293 Wing Lung Bank Ltd. 7,800 80,875 ---------- Total Hong Kong 7,262,217 -------------------------------------------------------------------------------- Ireland - 0.6% Abbey PLC 819 8,009 Allied Irish Banks PLC 28,662 692,948 Bank of Ireland 29,126 540,551 Fyffes PLC 21,103 27,311 Independent News & Media PLC 28,115 106,557 Irish Life & Permanent PLC 7,580 167,951 ---------- Total Ireland 1,543,327 -------------------------------------------------------------------------------- Italy - 10.1% Alleanza Assicurazioni SpA 28,063 372,558 Arnoldo Mondadori Editore SpA 28,483 274,841 Banca Intesa SpA 679,067 5,229,454 Banca Monte dei Paschi di Siena SpA 42,086 257,516 See Notes to Financial Statements. WisdomTree International Dividend Funds 29 Schedule of Investments (unaudited) (continued) WidsomTree DEFA High-Yielding Equity Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------------- Banca Profilo SpA 22,852 $ 65,323 Banco Popolare Scarl* 7,539 168,436 Capitalia SpA 104,150 992,383 Credito Artigiano SpA 16,711 94,587 Cremonini SpA 23,230 69,872 Enel SpA 385,654 4,354,754 Eni SpA 173,168 6,400,577 ERGO Previdenza SpA 29,162 165,891 Fiera Milano SpA 4,106 35,328 Gruppo Editoriale L'Espresso SpA(a) 94,479 461,538 Mediaset SpA 17,984 185,170 Mediobanca SpA(a) 13,609 296,891 Mediolanum SpA(a) 29,876 210,741 Milano Assicurazioni SpA 27,868 232,643 Piccolo Credito Valtellinese Scarl 9,337 132,521 Pirelli & C. Real Estate SpA 4,619 235,495 Premuda SpA 85,704 196,964 Recordati SpA 22,926 216,166 Snam Rete Gas SpA 89,838 557,366 Societa Cattolica di Assicurazioni S.c.r.l.(a) 3,338 209,586 Sogefi SpA 12,484 107,057 Telecom Italia SpA 659,258 1,999,354 Terna SpA 100,691 371,240 UniCredito Italiano SpA 312,155 2,663,586 Unione di Banche Italiane SCPA 26,377 707,102 ---------- Total Italy 27,264,940 --------------------------------------------------------------------------------- Japan - 0.3% Aderans Co., Ltd. 1,600 33,457 Advan Co., Ltd. 11,700 100,098 Arisawa Manufacturing Co., Ltd. 6,700 58,952 Avex Group Holdings, Inc. 2,500 32,626 Denki Kogyo Co., Ltd. 1,000 6,903 Kyokuto Securities Co., Ltd. 2,200 20,563 Nippon Parking Development Co., Ltd. 504 27,169 Okasan Holdings, Inc. 2,000 11,598 Oracle Corp. Japan(a) 3,300 150,633 Riken Corp. 9,000 45,229 SBI Holdings, Inc. 62 16,253 Takagi Securities Co., Ltd. 8,000 26,084 Teikoku Tsushin Kogyo Co., Ltd. 2,000 8,555 TonenGeneral Sekiyu K.K. 11,000 110,464 Uniden Corp. 4,000 26,466 Yushiro Chemical Industry Co., Ltd. 300 5,295 ---------- Total Japan 680,345 --------------------------------------------------------------------------------- Netherlands - 4.3% ABN AMRO Holding N.V. 61,173 3,214,545 AEGON N.V. 49,112 938,013 Ballast Nedam N.V. 314 14,406 Heijmans N.V. 1,316 60,619 ING Groep N.V. 77,076 3,412,271 Koninklijke DSM N.V. 1,636 88,063 Nutreco Holding N.V. 1,040 73,316 OCE N.V. 5,465 114,560 Reed Elsevier N.V. 20,903 395,966 Royal KPN N.V. 90,024 1,558,096 Stork N.V. 3,510 228,123 Unilever N.V. 47,569 1,461,921 Univar N.V. 888 67,172 ---------- Total Netherlands 11,627,071 ------------------------------------------------- ------------------------ New Zealand - 0.7% Air New Zealand Ltd. 52,138 97,307 Auckland International Airport Ltd. 62,618 148,093 CanWest MediaWorks (NZ) Ltd. 16,999 34,552 Contact Energy Ltd. 13,989 97,139 Fisher & Paykel Appliances Holdings Ltd. 14,263 38,367 Fletcher Building Ltd. 24,395 233,913 Freightways Ltd. 7,459 21,417 Infratil Ltd. 14,296 32,082 New Zealand Refining Co., Ltd. (The) 15,035 86,339 Nuplex Industries Ltd. 4,555 25,263 Telecom Corp. of New Zealand Ltd.(a) 227,856 769,591 Vector Ltd. 29,108 53,885 Warehouse Group Ltd. (The) 47,894 199,038 ---------- Total New Zealand 1,836,986 --------------------------------------------------------------------------------- Norway - 0.7% Acta Holding ASA 21,704 97,267 Aker ASA Class A 1,400 98,372 Aker Yards ASA 8,800 103,057 Camillo Eitzen & Co. ASA 18,800 251,372 DnB NOR ASA 50,724 773,641 Ekornes ASA 3,150 66,808 Norske Skogindustrier ASA 11,702 124,525 Sparebanken Midt-Norge 17,500 225,921 Sparebanken Nord-Norge 4,200 102,633 Storebrand ASA 4 62 Veidekke ASA 9,560 87,274 ---------- Total Norway 1,930,932 --------------------------------------------------------------------------------- Portugal - 0.4% Brisa-Auto-estradas de Portugal S.A. 10,137 132,630 Portugal Telecom, SGPS, S.A. 63,886 893,109 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 10,100 30,020 ---------- Total Portugal 1,055,759 --------------------------------------------------------------------------------- Singapore - 1.6% ComfortDelgro Corp., Ltd. 78,000 101,937 DBS Group Holdings Ltd. 66,000 960,356 Fraser and Neave Ltd. 62 238 HTL International Holdings Ltd. 26,000 14,713 Jaya Holdings Ltd. 39,000 52,545 MobileOne Ltd. 35,000 48,334 OSIM International Ltd. 26,000 10,509 Robinson & Co., Ltd. 9,000 29,465 SembCorp Marine Ltd. 54,600 169,194 Singapore Airlines Ltd. 34,533 432,695 See Notes to Financial Statements. 30 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WidsomTree DEFA High-Yielding Equity Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------ Singapore Airport Terminal Services Ltd. 39,000 $ 71,986 Singapore Petroleum Co., Ltd. 1,000 4,581 Singapore Post Ltd. 107,000 87,938 Singapore Press Holdings Ltd. 51,000 148,419 Singapore Telecommunications Ltd. 453,900 1,229,195 SMRT Corp. Ltd. 78,000 89,851 StarHub Ltd. 71,640 149,607 United Overseas Bank Ltd. 49,000 729,496 UOB Kay Hian Holdings Ltd. 39,000 56,486 ---------- Total Singapore 4,387,545 ------------------------------------------------------------------------------ Spain - 6.6% Banco Bilbao Vizcaya Argentaria, Chile, S.A. 145,726 3,407,094 Banco Popular Espanol, S.A.(a) 34,003 582,706 Banco Santander Central Hispano S.A. 273,742 5,306,187 Endesa S.A. 44,456 2,534,613 Gestevision Telecinco, S.A.(a) 15,501 405,844 Telefonica, S.A. 198,843 5,551,058 ---------- Total Spain 17,787,502 ------------------------------------------------------------------------------ Sweden - 2.7% AB SKF Class B 15,604 308,146 AB Volvo Class A 1,710 29,606 Axfood AB 2,002 67,311 Bilia AB Class A 2,600 46,923 Boliden AB 9,250 196,252 Brostrom AB Class B 5,600 60,163 D. Carnegie & Co. AB 13,602 284,906 Fabege AB 8,460 100,371 H&M Hennes & Mauritz AB Class B 2,054 129,704 Haldex AB 2,200 50,672 HIQ International AB 7,200 45,076 Intrum Justitia AB 7,800 120,876 KappAhl Holding AB 6,200 65,172 Kungsleden Fastighets AB 24,922 319,757 NCC AB Class B 6,300 157,280 Nolato AB Class B 7,200 63,441 Nordea Bank AB 95,618 1,659,888 Sandvik AB 6 128 Scania AB Class A 8 204 Seco Tools Class B 8,000 144,689 Securitas AB Class B 6,800 89,349 Skanska AB Class B 14,804 310,655 Svenska Cellulosa Aktiebolaget SCA Class B 22,200 412,665 Svenska Handelsbanken AB Class A 20,704 640,094 Swedbank AB Class A 19,504 649,726 TeliaSonera AB 123,500 1,112,045 Trelleborg AB Class B 6,000 140,979 ---------- Total Sweden 7,206,078 ------------------------------------------------------------------------------ Switzerland - 1.8% Baloise Holding AG 2,259 227,795 Bellevue Group AG 2,530 193,832 Ciba Specialty Chemicals Holding Inc. 2,526 128,333 Swiss Reinsurance Co. 11,432 1,014,808 Swisscom AG 2,492 944,473 UBS AG 41,144 2,204,772 ---------- Total Switzerland 4,714,013 ------------------------------------------------------------------------------ United Kingdom - 28.6% Aero Inventory PLC 20,481 240,556 Alliance & Leicester PLC 23,178 373,996 Amlin PLC 5,865 39,372 AstraZeneca PLC 43,824 2,186,584 Aviva PLC 108,064 1,620,407 Barclays PLC 274,662 3,332,312 BP PLC 641,773 7,420,150 Bradford & Bingley PLC 65,666 405,367 British American Tobacco PLC 77,116 2,752,605 BT Group PLC 364,057 2,277,053 Cable & Wireless PLC 29,594 110,940 Carpetright PLC 3,537 75,808 Centrica PLC 105,834 820,437 Compass Group PLC 106,837 657,346 Diageo PLC 94,581 2,069,539 DSG International PLC 90,520 248,968 Electrocomponents PLC 4,807 24,949 Friends Provident PLC 105,460 369,557 GKN PLC 33,854 244,162 GlaxoSmithKline PLC 188,806 4,989,087 HBOS PLC 149,638 2,787,988 HMV Group PLC 20,770 49,509 HSBC Holdings PLC 470,167 8,664,152 IMI PLC 3,122 33,997 Imperial Tobacco Group PLC 23,137 1,056,366 ITV PLC 260,851 545,262 Kelda Group PLC 8,174 143,551 Ladbrokes PLC 67,016 589,490 Legal & General Group PLC 221,174 602,013 Lloyds TSB Group PLC 354,781 3,921,258 LogicaCMG PLC 171,661 528,971 National Grid PLC 95,298 1,522,177 Old Mutual PLC 174,978 571,455 Pearson PLC 37,611 580,447 Pendragon PLC 56,573 68,867 Persimmon PLC 24,384 478,903 Rentokil Initial PLC 188,844 642,133 Resolution PLC 38,531 535,770 Royal & Sun Alliance Insurance Group 75,678 238,212 Royal Bank of Scotland Group (The) PLC 349,493 3,738,205 Royal Dutch Shell PLC Class A 134,664 5,533,791 Scottish & Newcastle PLC 46,086 574,157 Scottish & Southern Energy PLC 34,003 1,046,760 Severn Trent PLC 6,463 185,660 Signet Group PLC 49,015 83,633 Smiths Group PLC 21,189 461,481 Smiths News PLC 15,328 38,099 Taylor Wimpey PLC 12,874 72,326 Tomkins PLC 59,837 277,038 See Notes to Financial Statements. WisdomTree International Dividend Funds 31 Schedule of Investments (unaudited) (concluded) WidsomTree DEFA High-Yielding Equity Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- Unilever PLC 47,560 $ 1,497,048 United Utilities PLC 59,430 847,557 Vodafone Group PLC 2,355,032 8,468,507 Wagon PLC 40,086 24,297 Yell Group PLC 53,477 467,401 ------------ Total United Kingdom 77,135,676 ---------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $250,622,143) 267,205,032 ================================================================================== RIGHTS* - 0.0% Italy - 0.0% Capitalia SpA, expiring 10/03/07 (Cost: $0) 104,150 - ================================================================================== TOTAL LONG-TERM INVESTMENTS (Cost: $250,622,143) 267,205,032 ================================================================================== SHORT-TERM INVESTMENT - 0.2% MONEY MARKET FUND - 0.2% United States - 0.2% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $448,250) 448,250 448,250 ================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 5.8% MONEY MARKET FUNDS(c) - 5.8% UBS Enhanced Yield Portfolio, 5.38% 11,928,433 11,928,433 UBS Private Money Market Fund LLC, 5.21% 3,771,754 3,771,754 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $15,700,187)(d) 15,700,187 ================================================================================== TOTAL INVESTMENTS IN SECURITIES - 105.0% (Cost: $266,770,580)(e) 283,353,469 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (5.0)% (13,595,021) ------------ NET ASSETS - 100.0% $269,758,448 ================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $14,889,035 and the total market value of the collateral held by the Fund was $15,700,187. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 32 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree Europe Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------ COMMON STOCKS - 99.5% Austria - 0.5% Andritz AG 128 $ 8,820 Bank Austria Creditanstalt AG 549 113,210 BOEHLER-UDDEHOLM AG 192 20,053 Flughafen Wien AG 96 9,890 OMV AG 882 58,741 Semperit AG Holding 96 4,212 voestalpine AG 353 30,422 Wiener Staedtische AG 168 11,707 Wienerberger AG 318 19,835 --------- Total Austria 276,890 ------------------------------------------------------------------------------ Belgium - 2.3% Barco N.V. 269 23,110 Belgacom S.A. 3,077 142,394 Compagnie Maritime Belge S.A. 734 54,281 Delhaize Group 295 28,193 Dexia N.V. 4,691 141,698 Euronav N.V. 726 22,766 Fortis N.V. 10,577 310,619 Groep Colruyt S.A. 120 25,283 InBev N.V. 1,100 99,431 KBC Ancora 336 37,530 KBC Groep N.V. 1,732 237,646 Mobistar S.A. 551 48,074 Solvay S.A. 358 51,814 UCB S.A. 454 26,717 Umicore 136 32,416 --------- Total Belgium 1,281,972 ------------------------------------------------------------------------------ Denmark - 0.7% A/S Dampskibsselskabat TORM 900 36,575 Amagerbanken A/S 975 55,806 Carlsberg A/S Class B 100 13,622 Danisco A/S 50 3,878 Danske Bank A/S 4,003 162,103 H. Lundbeck A/S 601 16,282 Novo-Nordisk A/S Class B 751 90,412 Novozymes A/S Class B 50 6,267 Rella Holding A/S 700 11,886 Sydbank A/S 50 2,170 --------- Total Denmark 399,001 ------------------------------------------------------------------------------ Finland - 2.6% Elcoteq SE 7,751 52,249 Elektrobit Corp. 4,526 12,230 Elisa Oyj 1,203 37,296 Fortum Oyj 8,000 292,849 KCI Konecranes Oyj 621 24,914 Kemira Oyj 804 18,729 Kesko Oyj Class B 398 26,371 Metso Oyj 804 55,227 Nokia Oyj 13,300 504,263 Nokian Renkaat Oyj 500 19,526 OKO Bank PLC Class A 804 16,579 Outokumpu Oyj 806 28,874 Rautaruukki Oyj 2,095 126,595 Sampo Oyj Class A 3,200 97,434 Sanoma-WSOY Oyj 771 23,914 Stora Enso Oyj Class R 3,200 62,165 TietoEnator Oyj 645 14,438 Uponor Corp. 398 12,322 Wartsila Oyj Class B 405 27,675 YIT Oyj 804 23,829 --------- Total Finland 1,477,479 ------------------------------------------------------------------------------ France - 16.5% Accor S.A. 2,144 189,836 Air France-KLM 3,139 115,041 April Group 2,011 123,693 Assystem 5,974 93,370 AXA S.A. 15,057 671,949 BNP Paribas 6,365 694,649 Bouygues S.A. 1,233 106,070 Carrefour S.A. 3,013 210,519 Casino Guichard Perrachon S.A. 1,569 164,094 Christian Dior S.A. 1,268 161,827 Cie de Saint-Gobain S.A. 1,865 194,121 CNP Assurances S.A. 1,202 153,352 Compagnie Generale des Etablissements Michelin Class B 1,457 195,355 Credit Agricole S.A. 12,741 490,135 Electricite de France 2,408 253,929 Gaz de France 3,467 179,671 Groupe Danone 2,009 157,712 Ipsen 2,700 155,320 Lafarge S.A. 1,076 166,260 Lagardere SCA 1,584 134,463 L'Air Liquide S.A. 1,276 170,324 L'Oreal S.A. 1,851 242,181 LVMH Moet Hennessy Louis Vuitton S.A. 1,364 163,081 PPR S.A. 1,029 193,080 Renault S.A. 1,661 240,046 Sanofi-Aventis 4,524 382,039 Schneider Electric S.A. 1,244 156,747 Sechilienne-Sidec 1,156 91,242 Societe Generale 2,423 405,510 Ste Industrielle d'Aviation Latecoere S.A. 2,053 59,269 Suez S.A. 10,182 598,037 Technip S.A. 283 25,235 TOTAL S.A. 15,515 1,258,127 VINCI S.A. 2,727 212,486 Vivendi S.A. 9,611 404,581 --------- Total France 9,213,351 ------------------------------------------------------------------------------ See Notes to Financial Statements. WisdomTree International Dividend Funds 33 Schedule of Investments (unaudited) (continued) WisdomTree Europe Total Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- Germany - 9.9% adidas AG 884 $ 57,830 Allianz SE 1,552 361,646 Baader Wertpapierhandelsbank AG 4,229 26,764 Balda AG 104 998 BASF AG 2,272 313,419 Bayer AG 2,917 231,564 Bayer Schering Pharma AG 586 87,630 Bayerische Motoren Werke AG 1,342 86,323 Beate Uhse AG 4,015 17,301 Beiersdorf AG 542 40,483 Celesio AG 1,357 85,415 Commerzbank AG 1,785 72,069 Continental AG 263 36,273 DaimlerChrysler AG 4,600 462,119 Deutsche Bank AG 1,519 195,243 Deutsche Boerse AG 957 129,975 Deutsche Lufthansa AG 3,411 97,844 Deutsche Post AG 5,743 166,615 Deutsche Postbank AG 917 67,149 Deutsche Telekom AG 37,478 734,465 Deutsche Wohnen AG 2,043 87,541 E.ON AG 3,164 583,429 Fresenius Medical Care AG & Co. KGaA 1,651 87,509 H&R WASAG AG 413 13,532 MAN AG 917 133,085 Metro AG 1,084 97,646 MLP AG 301 4,007 Muenchener Rueckversicherungs-Gesellshaft AG 941 180,355 RWE AG 2,071 259,773 SAP AG 319 18,623 Siemens AG 3,140 430,567 ThyssenKrupp AG 1,984 126,010 Volkswagen AG 901 203,095 --------- Total Germany 5,496,297 ----------------------------------------------------------------------------- Ireland - 0.6% Allied Irish Banks PLC 4,560 110,245 Anglo Irish Bank Corp. PLC 1,100 20,337 CRH PLC 1,132 44,497 DCC PLC 224 6,626 FBD Holdings PLC 2,510 78,531 Fyffes PLC 5,302 6,862 Glanbia PLC 1,696 10,178 IAWS Group PLC 147 3,251 Independent News & Media PLC 2,937 11,131 Irish Life & Permanent PLC 1,148 25,436 Kerry Group PLC Class A 256 7,573 Kingspan Group PLC 334 7,301 McInerney Holdings PLC 1,755 3,325 Readymix PLC 3,756 9,455 --------- Total Ireland 344,748 ----------------------------------------------------------------------------- Italy - 9.8% Actelios SpA 116 1,180 AEM SpA 29,255 109,213 Alleanza Assicurazioni SpA 6,007 79,748 Arnoldo Mondadori Editore SpA 277 2,673 Assicurazioni Generali SpA 4,883 214,303 Atlantia SpA 2,392 80,588 Autogrill SpA 4,300 82,617 Banca Carige SpA 14,640 69,852 Banca Finnat Euramerica SpA 34,985 44,032 Banca Intesa SpA 97,247 748,893 Banca Italease SpA 3,578 66,659 Banca Monte dei Paschi di Siena SpA 11,750 71,896 Banca Popolare dell'Etruria e del Lazio 7,118 123,296 Banco di Desio e della Brianza SpA 643 7,270 Capitalia SpA 11,678 111,273 Credito Emiliano SpA 259 3,543 Enel SpA 54,334 613,532 Eni SpA 33,025 1,220,659 ERG SpA 693 15,138 ERGO Previdenza SpA 1,987 11,303 Finmeccanica SpA 3,092 89,837 Gruppo Editoriale L'Espresso SpA 1,622 7,924 Ifil Investments SpA 12,213 131,307 Luxottica Group SpA 2,678 90,909 Mediaset SpA 1,592 16,392 Mediobanca SpA(a) 3,427 74,763 Premuda SpA 1,977 4,544 Recordati SpA 18,767 176,951 Risanamento SpA 2,832 21,326 Snam Rete Gas SpA(a) 15,471 95,984 Societa Cattolica di Assicurazioni S.c.r.l. 233 14,630 Telecom Italia SpA 124,392 377,248 Terna SpA 24,152 89,047 UniCredito Italiano SpA 48,665 415,253 Unione di Banche Italiane SCPA 5,918 158,647 --------- Total Italy 5,442,430 ----------------------------------------------------------------------------- Netherlands - 5.2% ABN AMRO Holding N.V. 13,043 685,389 AEGON N.V. 7,793 148,842 Akzo Nobel N.V. 1,148 94,366 CSM 154 5,151 European Aeronautic Defence & Space Co. EADS N.V. 1,966 60,281 Heineken Holding N.V. 957 54,712 Heineken N.V. 869 56,874 ICT Automatisering N.V. 487 8,166 ING Groep N.V. 12,315 545,204 Koninklijke DSM N.V. 861 46,346 Koninklijke Philips Electronics N.V. 3,395 152,812 Koninklijke Wessanen N.V. 440 6,464 Ordina N.V. 512 9,451 See Notes to Financial Statements. 34 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Europe Total Dividend Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- Randstad Holding N.V. 961 $ 51,811 Reed Elsevier N.V. 2,190 41,485 Royal KPN N.V. 15,310 264,979 STMicroelectronics N.V. 5,895 98,842 TNT N.V. 1,489 62,257 Unilever N.V. 4,491 138,020 Unilever N.V. CVA 8,529 262,604 USG People N.V. 516 14,669 Vedior N.V. 1,672 36,690 Wolters Kluwer N.V. 1,442 42,696 --------- Total Netherlands 2,888,111 ---------------------------------------------------------------------------------- Norway - 1.6% Acta Holding ASA 4,403 19,732 Aker ASA Class A 160 11,243 Aker Yards ASA 800 9,369 DnB NOR ASA 8,706 132,784 Ekornes ASA 700 14,846 Norsk Hydro ASA 5,653 244,479 Norske Skogindustrier ASA 1,602 17,047 Orkla ASA 4,005 71,129 Sparebank 1 SR Bank 1,100 33,473 Sparebanken Midt-Norge 4,100 52,930 Sparebanken Nord-Norge 850 20,771 Statoil ASA 6,005 203,498 Storebrand ASA 3,003 46,411 Yara International ASA 1,501 47,198 --------- Total Norway 924,910 ---------------------------------------------------------------------------------- Portugal - 0.9% Banco BPI, S.A. 2,264 18,997 Banco Comercial Portugues S.A. Class R(a) 15,157 62,727 Banco Espirito Santo, S.A. 2,376 53,727 Brisa-Auto-estradas de Portugal S.A. 2,518 32,945 EDP-Energias de Portugal, S.A. 17,439 101,684 Jeronimo Martins, SGPS, S.A. 1,589 9,740 Mota-Engil, SGPS, S.A. 1,100 8,369 Portucel-Empresa Produtora De Pasta E Papel, S.A. 2,678 9,864 Portugal Telecom, SGPS, S.A. 9,169 128,180 PT Multimedia - Servicos de Telecomunicacoes e Multimedia, SGPS, S.A. 1,396 20,727 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 2,718 8,079 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 869 14,126 Sonae SGPS, S.A. 5,597 14,487 --------- Total Portugal 483,652 ---------------------------------------------------------------------------------- Spain - 8.6% Abertis Infraestructuras S.A. 2,064 64,371 Acciona, S.A. 295 80,005 ACS, Actividades Construccion y Servicios, S.A. 1,116 61,422 Altadis, S.A. 981 68,836 Banco Bilbao Vizcaya Argentaria, Chile, S.A. 20,630 482,332 Banco Espanol de Credito, S.A. 2,325 43,216 Banco Guipuzcoano S.A.(a) 6,588 132,573 Banco Popular Espanol, S.A. 5,496 94,184 Banco Sabadell S.A.(a) 4,975 47,758 Banco Santander Central Hispano S.A. 45,740 886,619 Bankinter, S.A. 2,635 37,886 Campofrio Alimentacion S.A. 1,909 33,936 Cia Espanola De Petroleos, S.A.(a) 885 88,857 Endesa S.A. 9,572 545,738 Fomento de Construcciones y Contratas S.A. 606 48,908 Gas Natural SDG, S.A. 2,072 116,689 Gestevision Telecinco, S.A. 2,693 70,508 Grupo Catalana Occidente S.A. 3,898 138,699 Grupo Ferrovial S.A. 622 52,500 IBERDROLA, S.A. 4,996 292,728 Inditex S.A. 1,124 75,545 Mapfre S.A. 5,494 24,768 Metrovacesa S.A.(a) 1,716 194,623 Montebalito S.A. 738 11,608 Red Electrica de Espana, S.A. 1,128 58,312 Repsol YPF, S.A. 4,667 166,261 Telefonica, S.A. 28,538 796,688 Union Fenosa, S.A. 1,100 64,905 --------- Total Spain 4,780,475 ---------------------------------------------------------------------------------- Sweden - 3.9% AB SKF Class B 1,602 33,617 AB Volvo Class A 1,905 32,982 AB Volvo Class B 2,310 40,083 Alfa Laval AB 801 51,324 Assa Abloy AB Class B 1,602 33,122 Atlas Copco AB Class A 3,204 55,224 Atlas Copco AB Class B 2,604 41,461 Electrolux AB Series B 2,403 50,704 Eniro AB 1,003 12,171 Getinge AB Class B 1,600 38,584 H&M Hennes & Mauritz AB Class B 3,602 227,455 Hexagon AB Class B 2,403 48,569 Investment AB Kinnevik Class B 2,403 50,333 L E Lundbergforetagen AB Class B 400 27,454 Nordea Bank AB 16,012 277,962 Sandvik AB 4,804 102,666 Scania AB Class A 3,304 84,272 Scania AB Class B 3,204 77,759 Securitas AB Class B 1,602 21,049 Skandinaviska Enskilda Banken AB 3,202 103,697 Skanska AB Class B 1,602 31,636 SSAB Svenskt Stal AB Series A 1,303 48,039 Svenska Cellulosa Aktiebolaget SCA Class B 2,203 40,950 Svenska Handelsbanken AB Class A 3,202 98,994 Swedbank AB Class A 3,202 106,667 Swedish Match AB 2 41 Telefonaktiebolaget LM Ericsson Class A 8,006 31,633 Telefonaktiebolaget LM Ericsson Class B 54,030 215,484 TeliaSonera AB 19,015 171,219 --------- Total Sweden 2,155,151 ---------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Funds 35 Schedule of Investments (unaudited) (continued) WisdomTree Europe Total Dividend Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------------- Switzerland - 4.7% Adecco S.A. 646 $ 38,073 Ciba Specialty Chemicals Holding Inc. 678 34,446 Credit Suisse Group 5,002 330,983 Givaudan S.A. 48 44,212 Holcim Ltd. 566 62,307 Julius Baer Holdings AG 941 70,120 Kuehne + Nagel International AG 534 52,385 Nestle S.A. 1,449 648,714 Novartis AG 6,565 361,069 Roche Holding AG 1,316 237,808 Swatch Group AG (The) Class B 204 66,708 Swiss Reinsurance Co. 1,433 127,206 Swisscom AG 350 132,651 UBS AG 7,108 380,894 Zurich Financial Services AG 54 16,144 ---------- Total Switzerland 2,603,720 --------------------------------------------------------------------------------- United Kingdom - 31.7% Abacus Group PLC 47,636 78,611 Accident Exchange Group PLC 22,365 63,336 Aero Inventory PLC 6,489 76,215 A & J Mucklow Group PLC 637 4,075 Anglo American PLC 3,714 248,869 AstraZeneca PLC 8,268 412,529 ATH Resources PLC 758 2,965 Aviva PLC 19,142 287,032 BAE SYSTEMS PLC 33,635 338,176 Barclays PLC 44,267 537,065 BG Group PLC 17,118 295,045 BHP Billiton PLC 12,318 439,182 Blacks Leisure Group PLC 8,230 45,901 Bloomsbury Publishing PLC 14,785 44,506 BP PLC 103,682 1,198,766 Bradford & Bingley PLC 2,987 18,439 British American Tobacco PLC 15,706 560,615 British Polythene Industries 1,298 10,009 British Sky Broadcasting PLC 11,917 168,740 BT Group PLC 78,085 488,395 Carter & Carter Group PLC 18,719 30,605 Centrica PLC 37,266 288,890 Chesnara PLC 2,396 8,579 Compass Group PLC 34,650 213,194 Dawson Holdings PLC 12,297 26,055 Diageo PLC 15,438 337,801 FirstGroup PLC 2,833 39,739 GCAP Media PLC 1,039 4,392 GlaxoSmithKline PLC 28,500 753,097 HBOS PLC 25,916 482,855 HMV Group PLC 4,059 9,675 HSBC Holdings PLC 76,221 1,404,587 Imperial Tobacco Group PLC 4,203 191,896 iomart Group PLC* 14,544 15,408 Johnson Service Group PLC 4,433 22,760 Kingfisher PLC 2,896 10,549 Lloyds TSB Group PLC 70,950 784,183 London Scottish Bank PLC 13,747 22,266 Marks & Spencer Group PLC 18,770 235,374 Metalrax Group PLC 4,206 4,906 National Grid PLC 22,952 366,608 Northern Rock PLC 7,206 26,309 Old Mutual PLC 72,046 235,293 Pearson PLC 15,428 238,099 Provident Financial PLC 5,293 96,406 Prudential PLC 22,224 340,264 Reckitt Benckiser PLC 4,301 251,663 Reed Elsevier PLC 19,182 241,517 Renishaw PLC 840 11,398 Rentokil Initial PLC 1,795 6,104 Rio Tinto PLC 4,290 369,538 Royal Bank of Scotland Group (The) PLC 54,662 584,669 Royal Dutch Shell PLC Class A 22,784 936,270 Royal Dutch Shell PLC Class B 10,083 413,317 SABMiller PLC 11,450 324,721 Sage Group (The) PLC 33,220 168,695 Scottish & Southern Energy PLC 10,518 323,790 Smiths News PLC 26,992 67,090 Standard Chartered PLC 10,550 343,904 Tesco PLC 34,138 305,503 Tomkins PLC 31 144 Tribal Group PLC 22,461 64,065 Tullow Oil PLC 7,498 91,045 Unilever PLC 8,692 273,598 Vodafone Group PLC 378,315 1,360,390 Wagon PLC 3,057 1,853 Whatman PLC 900 3,415 ---------- Total United Kingdom 17,650,950 --------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $49,893,683) 55,419,137 ================================================================================= RIGHTS* - 0.0% Austria - 0.0% Winerberger AG, expiring 10/08/07 318 - --------------------------------------------------------------------------------- Italy - 0.0% Capitalia SpA, expiring 10/03/07 11,678 - ================================================================================= TOTAL RIGHTS (Cost: $0) - ================================================================================= TOTAL LONG-TERM INVESTMENTS (Cost: $49,893,683) 55,419,137 ================================================================================= SHORT-TERM INVESTMENT - 0.1% MONEY MARKET FUND - 0.1% United States - 0.1% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $54,316) 54,316 54,316 ================================================================================= See Notes to Financial Statements. 36 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree Europe Total Dividend Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 1.1% MONEY MARKET FUNDS(c) - 1.1% UBS Enhanced Yield Portfolio, 5.38% 96,426 $ 96,426 UBS Private Money Market Fund LLC, 5.21% 502,394 502,394 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $598,820)(d) 598,820 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 100.7% (Cost: $50,546,819)(e) 56,072,273 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (0.7)% (382,308) ----------- NET ASSETS - 100.0% $55,689,965 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $569,341 and the total market value of the collateral held by the Fund was $598,820. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Funds 37 Schedule of Investments (unaudited) WisdomTree Europe High-Yielding Equity Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- COMMON STOCKS - 99.3% Belgium - 2.5% Barco N.V. 403 $ 34,623 Belgacom S.A. 6,042 279,604 Cofinimmo 89 15,702 Compagnie Maritime Belge S.A. 615 45,480 Dexia N.V. 5,268 159,128 Euronav N.V. 4,076 127,817 Fortis N.V. 17,252 506,646 KBC Ancora 210 23,456 KBC Groep N.V. 1,387 190,309 --------- Total Belgium 1,382,765 ----------------------------------------------------------------------------- Denmark - 0.6% A/S Dampskibsselskabat TORM 2 81 Danske Bank A/S 5,108 206,850 Harboes Bryggeri A/S 1,150 32,911 TrygVesta A/S 1,400 111,918 --------- Total Denmark 351,760 ----------------------------------------------------------------------------- Finland - 1.9% Elektrobit Group Oyj 1,903 5,142 Metso Oyj 4,206 288,910 OKO Bank PLC Class A 2,411 49,718 PKC Group Oyj 676 10,239 Rautaruukki Oyj 4,418 266,967 Sampo Oyj Class A 6,228 189,632 Sanoma-WSOY Oyj 2,009 62,313 Stora Enso Oyj Class R 6,829 132,664 Uponor Corp. 805 24,923 --------- Total Finland 1,030,508 ----------------------------------------------------------------------------- France - 16.7% ABC Arbitrage 623 5,484 AXA S.A. 26,507 1,182,929 BNP Paribas 11,940 1,303,081 Casino Guichard Perrachon S.A. 1,893 197,979 Credit Agricole S.A. 24,602 946,418 Euler Hermes S.A. 680 90,391 Gaz de France(a) 5,410 280,363 M6, Metropole Television 2,462 71,252 PagesJaunes S.A. 1,301 26,662 Rallye S.A. 685 48,709 Societe Des Autoroutes Paris-Rhin-Rhone 2,427 254,380 Societe Generale 5,055 845,997 Suez S.A. 15,033 882,960 TOTAL S.A. 23,779 1,928,262 Valeo S.A. 4,507 250,104 Vivendi S.A. 18,233 767,529 --------- Total France 9,082,500 ----------------------------------------------------------------------------- Germany - 7.3% AWD Holding AG 5,107 170,170 BASF AG 5,302 731,403 Bayer Schering Pharma AG 2,913 435,607 Beate Uhse AG 12,439 53,601 Deutsche Lufthansa AG 4,547 130,430 Deutsche Telekom AG 64,930 1,272,447 Deutsche Wohnen AG 236 10,112 MPC Muenchmeyer Petersen Capital AG 589 50,192 Muenchener Rueckversicherungs-Gesellshaft AG 2,327 446,000 Norddeutsche Affinerie AG 1,340 58,695 RWE AG 5,045 632,812 --------- Total Germany 3,991,469 ----------------------------------------------------------------------------- Ireland - 0.7% Abbey PLC 1,525 14,913 Allied Irish Banks PLC 10,850 262,315 Fyffes PLC 4,915 6,361 Irish Life & Permanent PLC 4,027 89,227 --------- Total Ireland 372,816 ----------------------------------------------------------------------------- Italy - 13.2% Alleanza Assicurazioni SpA 13,633 180,989 Arnoldo Mondadori Editore SpA 6,502 62,740 ASM SpA 7,145 44,049 Banca Intermobiliare SpA 1,128 11,630 Banca Intesa SpA 204,265 1,573,032 Enel SpA 130,903 1,478,140 Eni SpA 51,323 1,896,983 Gruppo Editoriale L'Espresso SpA 19,524 95,376 Milano Assicurazioni SpA 8,041 67,126 Premuda SpA 17,684 40,641 Snam Rete Gas SpA(a) 29,599 183,636 Telecom Italia SpA 140,828 427,094 Terna SpA 36,820 135,752 UniCredito Italiano SpA 97,639 833,143 Unione di Banche Italiane SCPA 5,749 154,116 --------- Total Italy 7,184,447 ----------------------------------------------------------------------------- Netherlands - 4.2% ABN AMRO Holding N.V. 18,695 982,393 AEGON N.V. 4,172 79,683 ING Groep N.V. 25,582 1,132,554 Royal KPN N.V. 6,207 107,428 --------- Total Netherlands 2,302,058 ----------------------------------------------------------------------------- Norway - 0.9% ABG Sundal Collier ASA 8,009 21,122 Acta Holding ASA 19,109 85,638 Aker ASA Class A 1,000 70,266 Aker Yards ASA 1,300 15,224 Camillo Eitzen & Co. ASA 611 8,170 DnB NOR ASA 15,917 242,766 Ekornes ASA 701 14,867 Sparebanken Midt-Norge 1,501 19,378 Storebrand ASA 5 77 Veidekke ASA 2,000 18,258 --------- Total Norway 495,766 ----------------------------------------------------------------------------- See Notes to Financial Statements. 38 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree Europe High-Yielding Equity Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- Portugal - 0.3% Portugal Telecom, SGPS, S.A. 12,926 $ 180,702 ------------------------------------------------------------------------------- Spain - 8.9% Banco Bilbao Vizcaya Argentaria, Chile, S.A. 31,563 737,947 Banco Santander Central Hispano, S.A. 80,416 1,558,775 Endesa S.A. 14,724 839,474 Gestevision Telecinco, S.A. 3,086 80,797 Telefonica, S.A. 57,641 1,609,152 ----------- Total Spain 4,826,145 ------------------------------------------------------------------------------- Sweden - 3.2% AB Volvo Class A 10 173 Axfood AB 601 20,207 Brostrom AB Class B 20,100 215,944 D. Carnegie & Co. AB 11,200 234,594 Electrolux AB Series B 4 84 Fabege AB 3,204 38,013 H&M Hennes & Mauritz AB Class B 8 505 Holmen AB Class B 401 15,311 Kungsleden Fastighets AB 5,303 68,039 Nolato AB Class B 2,800 24,671 Nordea Bank AB 28,732 498,775 Ratos AB Class B 2 59 Scania AB Class A 8 204 Skanska AB Class B 6 118 Svenska Cellulosa Aktiebolaget SCA Class B 3,606 67,030 Svenska Handelsbanken AB Class A 8,307 256,823 Swedbank AB Class A 5,906 196,743 TeliaSonera AB 14,000 126,062 ----------- Total Sweden 1,763,355 ------------------------------------------------------------------------------- Switzerland - 1.0% Ciba Specialty Chemicals Holding Inc. 826 41,965 Swisscom AG 814 308,508 Zurich Financial Services AG 561 167,719 ----------- Total Switzerland 518,192 ------------------------------------------------------------------------------- United Kingdom - 37.9% A & J Mucklow Group PLC 2,049 13,108 Alexon Group PLC 15,274 57,725 AstraZeneca PLC 15,447 770,723 Aviva PLC 26,536 397,904 Barclays PLC 84,682 1,027,397 BP PLC 175,359 2,027,494 British American Tobacco PLC 22,315 796,519 BT Group PLC 108,531 678,825 Carpetright PLC 629 13,481 Chesnara PLC 6,947 24,875 Christian Salvesen PLC 35,149 45,115 Devro PLC 114 206 Diageo PLC 29,551 646,609 GKN PLC 17,643 127,245 GlaxoSmithKline PLC 50,191 1,326,267 HBOS PLC 46,142 859,697 HMV Group PLC 6,944 16,552 HSBC Holdings PLC 127,492 2,349,400 Imperial Tobacco Group PLC 1,855 84,694 Kingfisher PLC 69,244 252,241 Ladbrokes PLC 717 6,307 Legal & General Group PLC 127,616 347,358 Lloyds TSB Group PLC 106,255 1,174,396 National Grid PLC 37,028 591,441 Old Mutual PLC 109,130 356,404 Pearson PLC 18,693 288,488 Persimmon PLC 2,187 42,953 Renishaw PLC 2,982 40,462 Rentokil Initial PLC 68,749 233,770 Royal Bank of Scotland Group (The) PLC 102,576 1,097,161 Royal Dutch Shell PLC Class A 35,365 1,453,265 Scottish & Southern Energy PLC 1,071 32,970 Smiths Group PLC 11,951 260,284 Smiths News PLC 1,273 3,164 Tomkins PLC 47,064 217,900 Unilever PLC 16,222 510,620 Vodafone Group PLC 663,406 2,385,554 ----------- Total United Kingdom 20,558,574 ------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $49,405,417) 54,041,057 =============================================================================== SHORT-TERM INVESTMENT - 0.1% MONEY MARKET FUND(b) - 0.1% United States - 0.1% Columbia Cash Reserves Fund, 4.99% (Cost: $43,971) 43,971 43,971 =============================================================================== INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.8% MONEY MARKET FUND(c) - 0.8% UBS Private Money Market Fund LLC, 5.21% (Cost: $422,330)(d) 422,330 422,330 =============================================================================== TOTAL INVESTMENTS IN SECURITIES - 100.2% (Cost: $49,871,718)(e) 54,507,358 Liabilities in Excess of Foreign Currency and Other Assets - (0.2)% (90,792) ----------- NET ASSETS - 100.0% $54,416,566 =============================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $401,569 and the total market value of the collateral held by the Fund was $422,330. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Funds 39 Schedule of Investments (unaudited) WisdomTree Europe SmallCap Dividend Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- COMMON STOCKS - 99.2% Austria - 1.0% AT&S Austria Technologie & Systemtechnik AG 4,933 $ 127,892 Flughafen Wien AG 5,405 556,826 Schoeller-Bleckmann Oilfield Equipment AG 1,379 117,080 Semperit AG Holding 4,818 211,382 --------- Total Austria 1,013,180 ---------------------------------------------------------------------------- Belgium - 3.9% Barco N.V. 3,993 343,047 Cofinimmo 4,156 733,251 Cumerio N.V. 7,880 319,386 Econocom Group S.A./N.V. 8,836 95,125 Euronav N.V. 36,232 1,136,176 EVS Broadcast Equipment S.A. 3,424 341,348 Exmar N.V. 4,276 130,744 Melexis N.V. 11,786 216,726 Tessenderlo Chemie N.V. 9,364 541,203 --------- Total Belgium 3,857,006 ---------------------------------------------------------------------------- Denmark - 1.4% A/S Dampskibsselskabat TORM 20 813 Amagerbanken A/S 3,755 214,926 Auriga Industries A/S Class B 5,861 120,768 Bang & Olufsen A/S Class B(a) 2,080 234,138 Forstaedernes Bank A/S 800 34,190 NKT Holding A/S 11 1,230 Rella Holding A/S 7,650 129,900 SimCorp A/S 1,800 404,209 Spar Nord Bank A/S 8,117 187,386 --------- Total Denmark 1,327,560 ---------------------------------------------------------------------------- Finland - 6.9% Ahlstrom Oyj 7,094 200,564 Alma Media Corp. 19,789 330,961 Amer Sports Oyj(a) 20,801 480,710 Aspo Oyj 12,068 115,160 Citycon Oyj 50,925 323,731 Comptel PLC 34,495 96,152 Elcoteq SE 16,729 112,770 Elektrobit Corp. (a) 38,951 105,249 Finnair Oyj 14,776 245,860 HK-Ruokatalo Oyj Class A 6,848 142,869 Huhtamaki Oyj 7,920 120,181 Kemira GrowHow Oyj 24,293 414,925 Lassila & Tikanoja Oyj 7,850 252,638 M-real Oyj Class B 78,305 436,537 Orion Oyj Class B 87,942 2,228,687 PKC Group Oyj 10,840 164,181 Poyry Oyj 17,931 448,300 Raisio PLC Class V 47,280 130,444 Stockmann Oyj Abp Class B(a) 3,603 173,345 Talentum Oyj 27,267 136,498 Technopolis PLC 7,679 66,835 --------- Total Finland 6,726,597 ---------------------------------------------------------------------------- France - 4.6% April Group 2,556 $ 157,214 Assystem 8,004 125,098 Bacou Dalloz 998 124,161 Canal Plus S.A. 41,779 464,039 Carbone Lorraine 2,853 220,925 Groupe Steria SCA 2,090 105,487 Haulotte Group 2,411 90,692 IMS-International Metal Service 6,850 286,407 Kaufman & Broad S.A. 8,652 532,167 Manitou BF S.A. 12,741 688,545 NRJ Group(a) 28,573 371,811 Oberthur Card Systems S.A. 31,200 277,319 Sechilienne-Sidec 5,521 435,769 Sequana Capital S.A. 7,810 257,127 Ste Industrielle d'Aviation Latecoere S.A. 4,877 140,797 TRIGANO S.A. 3,989 179,833 --------- Total France 4,457,391 ---------------------------------------------------------------------------- Germany - 7.3% AWD Holding AG 18,933 630,866 Balda AG 9,321 89,477 Beate Uhse AG 27,172 117,087 Bechtle AG 5,058 219,106 Comdirect Bank AG 58,898 732,077 DAB Bank AG 16,981 151,176 Demag Cranes AG 1,885 88,572 Deutsche Wohnen AG 14,152 606,404 ElringKlinger AG 3,264 369,031 Gerry Weber International AG 5,151 165,996 Gildemeister AG 507 14,046 Grammer AG 4,348 137,583 Grenkeleasing AG 3,390 131,616 HCI Capital AG 17,316 374,314 IDS Scheer AG 5,031 110,542 Indus Holding AG 7,201 266,263 Koenig & Bauer AG 4,163 149,490 Leoni AG 5,779 351,674 MPC Muenchmeyer Petersen Capital AG 8,632 735,578 Norddeutsche Affinerie AG 15,963 699,215 Pfeiffer Vacuum Technology AG 256 23,169 Sixt AG 2,226 111,021 Takkt AG 8,370 141,650 Techem AG 9,348 624,298 Vivacon AG 4,274 110,928 --------- Total Germany 7,151,179 ---------------------------------------------------------------------------- Ireland - 1.7% Abbey PLC 2,719 26,590 Fyffes PLC 394,690 510,790 Glanbia PLC 51,904 311,500 Greencore Group PLC 53,552 348,427 McInerney Holdings PLC 29,820 56,501 Paddy Power PLC 6,899 243,127 See Notes to Financial Statements. 40 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Europe SmallCap Dividend Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- United Drug PLC 32,624 $ 151,045 --------- Total Ireland 1,647,980 -------------------------------------------------------------------------------- Italy - 7.5% AcegasAps SpA 6,808 72,663 Actelios SpA 11,813 120,119 Amplifon SpA 29,084 229,765 Anima SGRpA 22,922 94,699 Astaldi SpA 12,621 101,053 Banca IFIS SpA 11,393 148,253 Banca Intermobiliare SpA 44,638 460,244 Banca Popolare dell'Etruria e del Lazio 8,666 150,111 Banca Profilo SpA 61,531 175,888 Banco di Desio e della Brianza SpA 12,083 136,611 Brembo SpA 14,986 197,885 Caltagirone SpA 14,434 150,876 COFIDE - Compagnia Finanziaria De Benedetti SpA 71,814 122,556 Credito Artigiano SpA 49,259 278,814 Cremonini SpA 120,534 362,548 Fiera Milano SpA 11,116 95,642 Gewiss SpA 14,025 105,911 GranitiFiandre SpA 14,349 201,105 Gruppo Editoriale L'Espresso SpA(a) 181,502 886,651 I.M.A. - Industria Macchine Automatiche SpA 17,346 394,698 Immobiliare Grande Distribuzione 6,926 27,087 Intek SpA 382,364 435,023 Marazzi Group SpA 6,059 75,656 MARR SpA 20,050 217,990 Marzotto SpA 22,540 127,740 Meliorbanca SpA 5,027 26,595 Navigazione Montanari SpA 26,097 125,352 Panariagroup Industrie Ceramiche SpA 16,380 138,837 Premafin Finanziaria SpA 23,431 70,643 Premuda SpA 68,111 156,532 Recordati SpA 42,263 398,492 SAES Getters SpA 2,456 91,267 Societa Iniziative Autostradali e Servizi SpA 33,178 499,207 SOGEFI SpA 29,239 250,741 SOL SpA 11,817 94,111 Tamburi Investment Partners SpA 2,688 9,213 Vittoria Assicurazioni SpA 4,250 80,266 --------- Total Italy 7,310,844 -------------------------------------------------------------------------------- Netherlands - 5.6% Arcadis N.V. 2,214 158,377 Ballast Nedam N.V. 3,215 147,500 Beter Bed Holding N.V. 6,664 187,080 Brunel International 2,265 64,101 Draka Holding 825 36,723 Exact Holding N.V. 7,719 321,643 Heijmans N.V. 7,447 343,034 ICT Automatisering N.V. 7,827 131,236 Koninklijke Wessanen N.V. 36,802 540,651 Macintosh Retail Group N.V. 4,983 174,755 OCE N.V. 43,336 908,431 OPG Groep N.V. 4,432 143,708 Sligro Food Group NV 3,178 144,311 Smit Internationale N.V. 5,027 437,599 Stork N.V. (a) 9,639 626,460 Ten Cate N.V. 5,199 210,648 TKH Group NV 974 23,922 Univar N.V. 9,773 739,269 Wegener N.V. 6,002 151,083 --------- Total Netherlands 5,490,531 -------------------------------------------------------------------------------- Norway - 6.3% ABG Sundal Collier ASA 319,520 842,664 Acta Holding ASA 200,328 897,777 Aker Yards ASA 48,905 572,727 BW Gas ASA(a) 69,800 955,811 Camillo Eitzen & Co. ASA 25,044 334,859 Cermaq ASA 2,700 49,795 Ekornes ASA 7,450 158,006 Expert ASA 900 26,972 Hafslund ASA Class B 9,572 265,681 Leroy Seafood Group ASA 3,805 86,314 NorGani Hotels ASA 8,135 140,278 Sparebank 1 SR Bank 14,900 453,410 Sparebanken Midt-Norge 37,788 487,834 Sparebanken Nord-Norge 8,400 205,265 Tomra Systems ASA 22,028 158,438 Veidekke ASA 58,390 533,045 --------- Total Norway 6,168,876 -------------------------------------------------------------------------------- Portugal - 1.5% Banif SGPS, S.A. 12,420 84,783 Corticeira Amorim-Industria S.A. 43,699 125,536 Finibanco Holding SGPS S.A. 21,030 123,220 Mota-Engil, SGPS, S.A. 37,825 287,791 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 117,710 349,869 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 32,540 528,943 --------- Total Portugal 1,500,142 -------------------------------------------------------------------------------- Singapore - 0.1% XP Power Ltd. 8,028 58,963 -------------------------------------------------------------------------------- Spain - 1.8% Adolfo Dominguez 625 29,821 Campofrio Alimentacion S.A. 18,564 330,010 Cie Automotive S.A. 7,411 88,638 Europistas, Concesionaria Espanola S.A. 12,558 122,515 Grupo Duro Felguera S.A. 36,363 414,743 Montebalito S.A. 2,217 34,871 Pescanova S.A. 264 12,195 Tavex Algodonera S.A. 35,184 121,590 Tubacex S.A. 11,497 112,491 Tubos Reunidos, S.A. 5,866 177,692 Uralita S.A. 22,125 216,794 See Notes to Financial Statements. WisdomTree International Dividend Funds 41 Schedule of Investments (unaudited) (continued) WisdomTree Europe SmallCap Dividend Fund September 30, 2007 ---------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------- Vidrala SA 1,696 $ 61,336 ---------- Total Spain 1,722,696 ---------------------------------------------------------------------- Sweden - 10.2% AarhusKarlshamn AB 9,900 231,085 Axfood AB 26,505 891,141 Bilia AB Class A 20,538 370,659 Billerud AB 23,938 320,084 Brostrom AB Class B 38,500 413,623 Cardo AB 10,622 361,234 Clas Ohlson AB Class B(a) 16,322 397,387 D. Carnegie & Co. AB(a) 60,405 1,265,235 Elekta AB Class B(a) 9,200 149,326 Fabege AB 47 558 Hakon Invest AB 27,600 519,443 Haldex AB 6,800 156,623 HIQ International AB 29,400 184,061 Hoganas AB Class B 6,400 169,175 HQ AB 1,750 47,882 Indutrade AB 1,000 23,187 Intrum Justitia AB 26,255 406,870 JM AB 43 1,034 KappAhl Holding AB 11,000 115,627 Kungsleden Fastighets AB 138,352 1,775,100 Mekonomen AB 1,405 28,886 NCC AB Class B 28,844 720,090 New Wave Group AB Class B 12,000 118,719 Nibe Industrier AB Class B 7,822 77,990 Nobia AB 21,600 207,016 Nolato AB Class B 6,800 59,916 Nordnet AB Class B 47,500 143,182 Peab AB 98 1,057 Peab Industri AB Class B* 49 454 Q-Med AB 5,900 84,363 Seco Tools Class B 30,600 553,435 SkiStar AB 11,600 210,247 SSAB Svenskt Stal AB Series B 149 5,067 ---------- Total Sweden 10,009,756 ---------------------------------------------------------------------- Switzerland - 0.7% Bellevue Group AG 7,402 567,094 Bucher Industries AG 219 40,531 Kudelski S.A. 4,336 122,189 ---------- Total Switzerland 729,814 ---------------------------------------------------------------------- United Kingdom - 38.7% Abbot Group PLC 48,973 295,584 Aero Inventory PLC 23,898 280,690 Aga Foodservice Group PLC 33,314 285,742 Alexon Group PLC 37,396 141,330 Alfred McAlpine PLC 9,497 94,373 Amstrad PLC 46,509 142,133 ATH Resources PLC 5,902 23,087 Atrium Underwriting PLC 5,110 37,922 Beazley Group PLC 125,008 466,073 Bespak PLC 7,959 106,615 Big Yellow Group PLC 11,040 112,405 Blacks Leisure Group PLC 22,454 125,231 Bloomsbury Publishing PLC 38,431 115,684 Bodycote International PLC 78,907 398,688 BPP Holdings PLC 14,845 185,096 Brewin Dolphin Holdings PLC 58,554 219,204 Brit Insurance Holdings PLC 176,810 1,230,163 British Polythene Industries 15,736 121,346 BSS Group PLC 14,221 132,987 Burren Energy PLC 10,258 175,553 Business Post Group PLC 28,352 259,355 Carpetright PLC 26,844 575,345 Castings PLC 18,904 109,380 Centaur Media PLC 28,614 69,082 Charles Taylor Consulting PLC 13,289 97,603 Chemring Group PLC 3,325 122,274 Chesnara PLC 74,772 267,732 Chloride Group PLC 43,167 158,303 Clarkson PLC 3,384 66,876 Clinton Cards PLC 182,612 197,183 communisis PLC 119,571 176,616 Computacenter PLC 24,337 99,414 Cranswick PLC 9,780 146,650 Croda International PLC 31,618 412,268 Dairy Crest Group PLC 51,572 660,891 Dart Group PLC 7,707 14,053 Davenham Group PLC 18,636 106,121 Davis Service Group PLC 69,351 756,620 Dawson Holdings PLC 69,169 146,558 Dechra Pharmaceuticals PLC 12,666 89,931 Development Securities PLC 3,106 34,045 Diploma PLC 8,166 183,506 Domestic & General Group PLC 9,988 282,038 Domino Printing Sciences PLC 24,579 158,240 Domino's Pizza UK & IRL PLC 23,846 111,011 DS Smith PLC 187,766 714,402 E2V Technologies PLC 14,019 81,829 Elementis PLC 87,470 175,088 Ennstone PLC 151,210 123,227 Enodis PLC 13,854 49,253 Euromoney Institutional Investor PLC 35,355 381,041 Expro International Group PLC 12,031 240,946 F&C Asset Management PLC 306,902 1,250,532 Fenner PLC 50,090 258,444 Filtrona PLC 12,280 57,168 Findel PLC 23,586 309,461 FKI PLC 240,555 445,986 Forth Ports PLC 11,053 399,033 Foseco PLC 3,690 16,276 Future PLC 186,480 166,217 Galliford Try PLC 47,554 142,420 Game Group PLC 82,323 322,024 See Notes to Financial Statements. 42 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Europe SmallCap Dividend Fund September 30, 2007 ------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------ Games Workshop Group PLC 21,072 $ 109,152 GCAP Media PLC 32,393 136,941 Genus PLC 9,695 132,043 Greggs PLC 3,314 325,773 Halfords Group PLC 92,222 666,064 Halma PLC 131,930 605,444 Hardy Underwriting Group PLC 14,816 99,838 Headlam Group PLC 28,126 322,899 Helical Bar Plc 6,341 59,007 Helphire PLC 21,494 148,560 Hill & Smith Holdings PLC 15,063 119,302 HMV Group PLC 202,187 481,953 Holidaybreak PLC 19,330 293,396 Hornby PLC 12,171 59,388 Hunting PLC 16,508 227,524 IG Group Holdings PLC 23,270 179,562 Inspace PLC 4,337 12,724 Interior Services Group PLC 11,186 65,635 Interserve PLC 38,092 369,020 iomart Group PLC 114,168 120,952 ITE Group PLC 51,851 181,698 James Fisher & Sons PLC 10,387 134,696 Jardine Lloyd Thompson Group PLC 114,432 870,770 JJB Sports PLC 115,597 362,688 John Menzies PLC 24,829 283,278 Kcom Group PLC 42,978 57,790 Keller Group PLC 11,873 238,145 Kier Group PLC 5,071 188,755 Liontrust Asset Management PLC 11,408 87,855 Lookers PLC 31,651 84,474 Luminar PLC 19,382 237,322 Majestic Wine PLC 12,129 82,288 Marshalls PLC 57,065 338,030 McBride PLC 46,588 165,154 McKay Securities PLC 15,694 108,712 Melrose PLC 19,372 76,666 Micro Focus International PLC 6,020 36,580 Mitie Group PLC 61,132 311,368 MJ Gleeson Group PLC 14,402 104,017 Morgan Crucible Co. 3,073 18,563 Morgan Sindall PLC 10,583 337,434 Morse PLC 99,912 181,164 Mothercare PLC 23,811 184,949 MP Evans Group PLC 18,001 129,094 Mucklow (A & J) Group PLC 13,781 88,161 N. Brown Group PLC 66,193 366,814 Northern Foods PLC 225,535 449,155 Northgate PLC 15,787 297,514 Numis Corp PLC 18,698 103,617 PayPoint PLC 3,087 37,736 Pendragon PLC 266,548 324,473 Photo-Me International PLC 116,783 123,128 Premier Farnell PLC 179,279 578,014 Psion PLC 41,087 100,869 PZ Cussons PLC 102,353 350,328 RAB Capital PLC 46,858 92,125 Rank Group PLC 158,372 521,901 Redrow PLC 53,355 439,431 Renishaw PLC 22,294 302,502 Restaurant Group PLC 44,759 246,440 Ricardo PLC 18,559 110,692 RM PLC 44,131 172,178 ROK PLC 28,935 112,596 Rotork PLC 20,503 421,895 royalblue group PLC 4,591 92,599 RPC Group PLC 38,941 223,729 RPS Group PLC 20,009 138,092 Savills PLC 51,292 383,775 Senior PLC 111,819 265,404 Severfield-Rowen PLC 4,485 192,070 Shanks Group PLC 75,246 342,247 Smiths News PLC 60,485 150,339 Speedy Hire PLC 6,290 138,786 Spirax-Sarco Engineering PLC 17,949 373,363 SSL International PLC 39,743 344,124 St. Ives Group PLC 106,041 442,887 T. Clarke PLC 28,308 109,147 Taylor Nelson Sofres PLC 27,491 126,440 TDG PLC 45,955 217,447 Ted Baker PLC 10,097 106,970 Terrace Hill Group PLC 15,775 27,961 Thorntons PLC 35,280 122,911 Titan Europe PLC 24,462 110,889 Topps Tiles PLC 73,416 294,287 TT electronics PLC 94,681 292,241 Ultra Electronics Holdings PLC 9,906 223,616 Umbro PLC 54,645 123,856 Umeco PLC 16,674 212,827 Uniq PLC 53,835 224,845 UNITE Group PLC 9,081 66,835 UTV PLC 21,006 162,627 Victrex PLC 3,194 42,948 Vitec Group (The) PLC 12,948 161,707 Vp PLC 10,919 87,871 VT Group PLC 38,292 447,801 Warner Estate Holdings PLC 15,339 146,254 White Young Green PLC 7,198 66,578 Wilmington Group PLC 16,970 81,940 Wincanton PLC 42,878 340,257 Woolworths Group PLC 795,345 287,620 WSP Group PLC 8,813 127,033 Xansa PLC 159,664 418,812 Yule Catto & Co. PLC 76,810 356,403 ---------- Total United Kingdom 37,776,122 ------------------------------------------------------------------ TOTAL COMMON STOCKS (Cost: $100,642,455) 96,948,637 ================================================================== See Notes to Financial Statements. WisdomTree International Dividend Funds 43 Schedule of Investments (unaudited) (concluded) WisdomTree Europe SmallCap Dividend Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------- SHORT-TERM INVESTMENT - 0.4% MONEY MARKET FUND - 0.4% United States - 0.4% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $382,228) 382,228 $ 382,228 =========================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 4.7% MONEY MARKET FUNDS(c) - 4.7% UBS Enhanced Yield Portfolio, 5.38% 2,147,029 2,147,029 UBS Private Money Market Fund LLC, 5.21% 2,410,244 2,410,244 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $4,557,273)(d) 4,557,273 =========================================================================== TOTAL INVESTMENTS IN SECURITIES - 104.3% (Cost: $105,581,956)(e) 101,888,138 Liabilities in Excess of Foreign Currency and Other Assets - (4.3)% (4,157,174) ----------- NET ASSETS - 100.0% $97,730,964 =========================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $4,181,023 and the total market value of the collateral held by the Fund was $4,557,273. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 44 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree Japan Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------- COMMON STOCKS - 99.4% Advertising - 0.1% Hakuhodo DY Holdings, Inc. 800 $ 56,062 ------------------------------------------------------------------------- Agriculture - 0.4% Japan Tobacco, Inc. 30 164,587 ------------------------------------------------------------------------- Airlines - 0.1% All Nippon Airways Co., Ltd. 16,000 62,322 ------------------------------------------------------------------------- Apparel - 0.2% Onward Kashiyama Co., Ltd. 7,160 72,338 ------------------------------------------------------------------------- Auto Manufacturers - 12.8% Daihatsu Motor Co., Ltd. 8,000 82,980 Fuji Heavy Industries Ltd. 16,000 70,252 Hino Motors Ltd. 8,000 61,070 Honda Motor Co., Ltd. 29,100 976,620 Isuzu Motors Ltd. 24,000 137,304 Mazda Motor Corp. 8,000 40,412 Nissan Motor Co., Ltd. 99,600 996,737 Nissan Shatai Co., Ltd. 3,000 18,441 Suzuki Motor Corp. 3,200 94,596 Toyota Motor Corp. 53,200 3,136,079 --------- Total Auto Manufacturers 5,614,491 ------------------------------------------------------------------------- Auto Parts & Equipment - 2.7% Aisin Seiki Co., Ltd. 2,400 95,779 Bridgestone Corp. 8,800 194,341 DENSO CORP. 9,600 361,415 JTEKT Corp. 3,200 56,340 NGK Spark Plug Co., Ltd. 2,000 31,039 NHK Spring Co., Ltd. 8,000 60,931 NOK Corp. 2,400 51,332 Sumitomo Rubber Industries, Inc. 5,600 70,307 Tokai Rika Co., Ltd. 2,900 80,685 Toyoda Gosei Co., Ltd. 3,200 115,741 Toyota Boshoku Corp. 4,000 134,939 --------- Total Auto Parts & Equipment 1,252,849 ------------------------------------------------------------------------- Banks - 5.5% Bank of Kyoto Ltd. (The) 8,000 96,892 Bank of Yokohama Ltd. (The) 16,000 110,316 Chiba Bank Ltd. (The) 8,000 61,766 Chugoku Bank Ltd. (The) 8,000 108,577 Gunma Bank Ltd. (The) 8,000 53,280 Hachijuni Bank Ltd. (The) 8,000 57,523 Hiroshima Bank Ltd. (The) 8,000 43,612 Hokuhoku Financial Group, Inc. 16,000 45,211 Iyo Bank Ltd. (The) 8,000 77,486 Joyo Bank Ltd. (The) 8,000 44,585 Mitsubishi UFJ Financial Group, Inc. 72,120 630,812 Mitsui Trust Holdings, Inc. 8,000 62,322 Mizuho Financial Group, Inc. 56 318,915 Mizuho Trust & Banking Co., Ltd. 24,000 40,690 Nishi-Nippon City Bank Ltd. (The) 16,000 44,933 Shinsei Bank Ltd. 8,000 25,179 Shizuoka Bank Ltd. (The) 8,000 77,625 Sumitomo Mitsui Financial Group, Inc. 24 186,758 Sumitomo Trust & Banking Co., Ltd. (The) 32,000 241,777 Suruga Bank Ltd. 8,000 97,587 --------- Total Banks 2,425,846 ------------------------------------------------------------------------- Beverages - 0.7% Asahi Breweries Ltd. 6,400 97,379 Coca-Cola West Japan Co., Ltd. 2,400 56,340 ITO EN, Ltd. 1,600 38,951 Kirin Brewery Co., Ltd. 8,000 105,726 --------- Total Beverages 298,396 ------------------------------------------------------------------------- Building Materials - 1.5% Asahi Glass Co., Ltd. 16,000 214,929 Daikin Industries Ltd. 1,600 76,929 JS Group Corp. 6,400 111,179 Matsushita Electric Works Ltd. 8,000 96,335 Nippon Sheet Glass Co., Ltd. 15,000 91,553 Taiheiyo Cement Corp. 16,000 60,792 --------- Total Building Materials 651,717 ------------------------------------------------------------------------- Chemicals - 4.0% Asahi Kasei Corp. 16,000 129,096 Daicel Chemical Industries Ltd. 8,000 63,227 Dainippon Ink & Chemicals, Inc. 16,000 70,808 Gun-Ei Chemical Industry Co., Ltd.(a) 59,000 144,146 Hitachi Chemical Co., Ltd. 2,400 49,559 JSR Corp. 2,400 58,740 Kaneka Corp. 8,000 67,191 Mitsubishi Chemical Holdings Corp. 9,500 82,598 Mitsubishi Gas Chemical Co., Inc. 8,000 74,077 Mitsui Chemicals, Inc. 8,000 79,364 Nippon Chemical Industrial Co., Ltd. 8,000 23,162 Nitto Denko Corp. 1,600 74,286 Sakata INX Corp. 3,000 15,807 Shin-Etsu Chemical Co., Ltd. 2,400 165,682 Showa Denko K.K. 16,000 60,514 Sumitomo Chemical Co., Ltd. 16,000 137,026 Taiyo Nippon Sanso Corp. 8,000 71,782 Tokuyama Corp. 8,000 121,236 Tosoh Corp. 16,000 103,639 Ube Industries Ltd. 24,000 84,928 Zeon Corp. 8,000 78,738 --------- Total Chemicals 1,755,606 ------------------------------------------------------------------------- Commercial Services - 1.1% Dai Nippon Printing Co., Ltd. 10,000 142,763 Kamigumi Co., Ltd. 7,000 58,731 Park24 Co., Ltd.(a) 4,700 42,213 Secom Co., Ltd. 2,400 115,394 Sohgo Security Services Co., Ltd. 3,200 51,917 Toppan Printing Co., Ltd. 8,000 82,285 --------- Total Commercial Services 493,303 ------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Funds 45 Schedule of Investments (unaudited) (continued) WisdomTree Japan Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------- Computers - 1.0% CSK Holdings Corp. 1,600 $ 62,461 Fujitsu Ltd. 16,000 112,959 Itochu Techno-Solutions Corp. 1,000 35,213 Otsuka Corp. 800 78,390 TDK Corp. 1,600 140,225 --------- Total Computers 429,248 ------------------------------------------------------------------------- Cosmetics/Personal Care - 1.2% Kao Corp. 9,000 268,400 KOSE Corp. 1,600 42,429 Shiseido Co., Ltd. 8,000 177,368 UniCharm Corp. 800 49,037 --------- Total Cosmetics/Personal Care 537,234 ------------------------------------------------------------------------- Distribution/Wholesale - 4.9% Canon Marketing Japan, Inc. 3,200 63,992 Hitachi High-Technologies Corp. 2,400 54,880 ITOCHU Corp. 24,000 291,092 Marubeni Corp. 16,000 146,624 Mitsubishi Corp. 20,200 639,291 Mitsui & Co., Ltd. 24,000 582,185 Sumitomo Corp. 16,100 310,759 Toyota Tsusho Corp. 3,200 84,859 --------- Total Distribution/Wholesale 2,173,682 ------------------------------------------------------------------------- Diversified Financial Services - 3.8% Daiwa Securities Group, Inc. 25,000 237,795 Kyokuto Securities Co., Ltd. 12,900 120,571 Nikko Cordial Corp. 24,000 301,109 Nomura Holdings, Inc. 41,800 699,968 Okasan Holdings, Inc. 2,000 11,598 Shinko Securities Co., Ltd. 16,000 74,008 Takagi Securities Co., Ltd. 38,000 123,897 Toyo Securities Co., Ltd. 36,000 126,766 --------- Total Diversified Financial Services 1,695,712 ------------------------------------------------------------------------- Electric - 5.1% Chubu Electric Power Co., Inc. 9,200 237,969 Chugoku Electric Power Co., Inc. (The) 9,600 194,896 Electric Power Development Co. 2,000 77,729 Hokkaido Electric Power Co., Inc. 4,500 97,226 Hokuriku Electric Power Co. 4,600 89,788 Kansai Electric Power Co., Inc. (The) 21,200 483,851 Kyushu Electric Power Co., Inc. 11,400 301,317 Shikoku Electric Power Co., Inc. 5,300 132,944 Tohoku Electric Power Co., Inc. 11,200 239,064 Tokyo Electric Power Co., Inc. (The) 16,400 413,511 --------- Total Electric 2,268,295 ------------------------------------------------------------------------- Electrical Components & Equipment - 3.5% Brother Industries Ltd. 6,200 79,242 Casio Computer Co., Ltd. 4,000 57,245 Fujikura Ltd. 8,000 50,567 Hitachi Cable Ltd. 13,000 80,476 Hitachi Ltd. 44,000 292,658 Mitsubishi Electric Corp. 16,000 200,322 Sharp Corp. 16,000 290,050 Stanley Electric Co., Ltd. 3,200 77,068 Sumitomo Electric Industries Ltd. 5,600 89,101 Toshiba Corp. 29,000 270,547 USHIO INC. 3,200 58,149 --------- Total Electrical Components & Equipment 1,545,425 ------------------------------------------------------------------------- Electronics - 3.2% Advantest Corp. 1,600 49,802 Fanuc Ltd. 1,600 162,900 Hirose Electric Co., Ltd. 800 97,170 Hoya Corp. 6,400 218,128 IBIDEN Co., Ltd. 1,600 134,522 Keyence Corp. 200 44,342 Kyocera Corp. 2,400 224,737 Mabuchi Motor Co., Ltd. 1,200 78,146 MINEBEA Co., Ltd. 8,000 54,671 NEC Corp. 24,000 116,437 NGK Insulators Ltd. 4,000 128,679 Nippon Electric Glass Co., Ltd. 4,000 64,339 Yokogawa Electric Corp. 4,800 58,344 --------- Total Electronics 1,432,217 ------------------------------------------------------------------------- Engineering & Construction - 0.8% Chiyoda Corp. 2,000 35,995 JGC Corp. 5,000 96,293 Kajima Corp. 16,000 54,949 Obayashi Corp. 8,000 37,004 Shimizu Corp. 14,000 76,077 Taisei Corp. 16,000 46,324 --------- Total Engineering & Construction 346,642 ------------------------------------------------------------------------- Entertainment - 0.4% Oriental Land Co., Ltd. 1,400 81,067 Toho Co., Ltd. 3,900 76,973 --------- Total Entertainment 158,040 ------------------------------------------------------------------------- Environmental Control - 0.2% Kurita Water Industries Ltd. 3,200 108,508 ------------------------------------------------------------------------- Food - 2.1% Ajinomoto Co., Inc. 8,000 100,161 Kikkoman Corp. 8,000 120,610 Meiji Dairies Corp. 8,000 45,142 Meiji Seika Kaisha Ltd. 15,000 75,381 Nippon Meat Packers, Inc. 8,000 88,754 Nisshin Seifun Group, Inc. 7,000 65,791 Nissin Food Products Co., Ltd.(a) 1,600 57,036 Starzen Co., Ltd. 48,000 109,342 Toyo Suisan Kaisha Ltd. 8,000 150,242 Yakult Honsha Co., Ltd. 2,600 59,114 Yamazaki Baking Co., Ltd. 7,000 52,463 --------- Total Food 924,036 ------------------------------------------------------------------------- Forest Products & Paper - 0.6% Chuetsu Pulp & Paper Co., Ltd. 69,000 144,581 See Notes to Financial Statements. 46 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Japan Total Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- Daio Paper Corp. 1,000 $ 8,103 OJI Paper Co., Ltd. 24,000 116,020 --------- Total Forest Products & Paper 268,704 ----------------------------------------------------------------------------- Gas - 1.1% Osaka Gas Co., Ltd. 40,000 140,156 Saibu Gas Co., Ltd. 29,000 67,826 TOHO Gas Co., Ltd. 15,000 73,947 Tokyo Gas Co., Ltd. 40,000 186,062 --------- Total Gas 467,991 ----------------------------------------------------------------------------- Hand/Machine Tools - 0.7% Fuji Electric Holdings Co., Ltd. 16,000 71,225 Makita Corp. 2,400 105,170 SMC Corp. 700 95,735 THK Co., Ltd. 2,400 50,602 --------- Total Hand/Machine Tools 322,732 ----------------------------------------------------------------------------- Healthcare-Products - 0.4% Shimadzu Corp. 8,000 81,798 Terumo Corp. 1,600 80,685 --------- Total Healthcare-Products 162,483 ----------------------------------------------------------------------------- Home Builders - 0.7% Daiwa House Industry Co., Ltd. 8,000 104,265 Sekisui Chemical Co., Ltd. 8,000 58,636 Sekisui House, Ltd. 10,000 125,722 --------- Total Home Builders 288,623 ----------------------------------------------------------------------------- Home Furnishings - 1.8% Matsushita Electric Industrial Co., Ltd. 22,000 412,208 Pioneer Corp. 4,000 49,002 Sony Corp. 5,600 271,199 Yamaha Corp. 3,200 71,643 --------- Total Home Furnishings 804,052 ----------------------------------------------------------------------------- Housewares - 0.1% TOTO Ltd. 8,000 57,940 ----------------------------------------------------------------------------- Insurance - 1.8% Aioi Insurance Co., Ltd. 9,000 52,271 Fuji Fire & Marine Insurance Co., Ltd. (The) 29,000 98,839 Millea Holdings, Inc. 3,800 152,641 Mitsui Sumitomo Insurance Co., Ltd. 16,000 187,663 Nipponkoa Insurance Co., Ltd. 8,000 69,487 Nissay Dowa General Insurance Co., Ltd. 9,000 55,010 Sompo Japan Insurance, Inc. 8,000 91,675 T&D Holdings, Inc. 1,600 98,352 --------- Total Insurance 805,938 ----------------------------------------------------------------------------- Internet - 0.5% SBI Holdings, Inc. 161 42,205 Trend Micro, Inc. 4,000 172,847 Yahoo Japan Corp. 35 13,237 --------- Total Internet 228,289 ----------------------------------------------------------------------------- Iron/Steel - 5.4% Daido Steel Co., Ltd. 8,000 68,095 Hitachi Metals Ltd. 8,000 99,048 JFE Holdings, Inc. 10,300 728,967 Kobe Steel Ltd. 32,000 119,358 Nippon Steel Corp. 98,000 704,656 Nisshin Steel Co., Ltd. 24,000 108,090 Sumitomo Metal Industries Ltd. 84,000 489,327 Tokyo Steel Manufacturing Co., Ltd. 3,200 49,635 --------- Total Iron/Steel 2,367,176 ----------------------------------------------------------------------------- Leisure Time - 0.5% Daikoku Denki Co., Ltd. 4,100 55,254 Sankyo Co., Ltd. 1,400 56,601 Sega Sammy Holdings, Inc. 4,000 53,210 Yamaha Motor Co., Ltd. 2,400 61,140 --------- Total Leisure Time 226,205 ----------------------------------------------------------------------------- Machinery-Construction & Mining - 0.9% Hitachi Construction Machinery Co., Ltd. 3,200 127,705 Komatsu Ltd. 8,000 268,487 --------- Total Machinery-Construction & Mining 396,192 ----------------------------------------------------------------------------- Machinery-Diversified - 1.0% Amada Co., Ltd. 8,000 89,310 Japan Steel Works Ltd. (The) 8,000 132,643 Kubota Corp. 16,000 131,600 Sumitomo Heavy Industries Ltd. 8,000 102,874 --------- Total Machinery-Diversified 456,427 ----------------------------------------------------------------------------- Media - 0.3% Nippon Television Network Corp. 480 61,724 Tokyo Broadcasting System, Inc. 1,900 53,193 --------- Total Media 114,917 ----------------------------------------------------------------------------- Metal Fabricate/Hardware - 0.3% NSK Ltd. 8,000 70,113 NTN Corp. 8,000 71,295 --------- Total Metal Fabricate/Hardware 141,408 ----------------------------------------------------------------------------- Mining - 1.0% Dowa Mining Co., Ltd 8,000 101,204 Mitsubishi Materials Corp. 16,000 99,326 Mitsui Mining & Smelting Co., Ltd. 14,000 60,253 Sumitomo Metal Mining Co., Ltd. 8,000 194,062 --------- Total Mining 454,845 ----------------------------------------------------------------------------- Miscellaneous Manufacturing - 1.4% Fuji Photo Film Co., Ltd. 4,000 184,672 Kawasaki Heavy Industries Ltd. 24,000 93,901 Mitsubishi Heavy Industries Ltd. 32,000 208,946 Nikon Corp. 2,000 68,687 Olympus Corp. 2,000 82,076 --------- Total Miscellaneous Manufacturing 638,282 ----------------------------------------------------------------------------- Office Furnishings - 0.1% Kokuyo Co., Ltd. 4,000 41,525 ----------------------------------------------------------------------------- Office/Business Equipment - 2.2% Canon Inc. 13,200 719,594 Ricoh Co., Ltd. 8,000 169,021 See Notes to Financial Statements. WisdomTree International Dividend Funds 47 Schedule of Investments (unaudited) (continued) WisdomTree Japan Total Dividend Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- Seiko Epson Corp. 2,400 $ 59,366 --------- Total Office/Business Equipment 947,981 ---------------------------------------------------------------------------- Oil & Gas - 1.7% Cosmo Oil Co., Ltd. 16,000 76,234 Nippon Mining Holdings, Inc. 8,000 80,268 Nippon Oil Corp. 24,000 222,649 Showa Shell Sekiyu K.K. 9,600 123,281 TonenGeneral Sekiyu K.K. 24,000 241,012 --------- Total Oil & Gas 743,444 ---------------------------------------------------------------------------- Packaging & Containers - 0.2% Nihon Yamamura Glass Co., Ltd. 15,000 36,256 Toyo Seikan Kaisha Ltd. 3,200 60,236 --------- Total Packaging & Containers 96,492 ---------------------------------------------------------------------------- Pharmaceuticals - 5.6% Astellas Pharma, Inc. 7,200 344,929 Chugai Pharmaceutical Co., Ltd. 6,400 105,558 Daiichi Sankyo Co., Ltd. 6,700 200,974 Dainippon Sumitomo Pharma Co., Ltd. 8,000 74,286 Eisai Co., Ltd. 4,800 226,614 Hisamitsu Pharmaceutical Co., Inc. 2,200 59,679 Kyowa Hakko Kogyo Co., Ltd. 14,000 143,999 Mediceo Paltac Holdings Co., Ltd. 3,200 48,856 Shionogi & Co., Ltd. 2,000 30,796 Suzuken Co., Ltd. 1,700 57,201 Taisho Pharmaceutical Co., Ltd. 6,000 117,898 Takeda Pharmaceutical Co., Ltd. 14,000 983,524 Tanabe Seiyaku Co., Ltd. 6,000 75,642 ZERIA Pharmaceutical Co., Ltd. 1,000 9,190 --------- Total Pharmaceuticals 2,479,146 ---------------------------------------------------------------------------- Real Estate - 1.4% Daito Trust Construction Co., Ltd. 1,600 77,068 Leopalace21 Corp. 1,600 52,445 Mitsubishi Estate Co., Ltd. 4,000 114,420 Mitsui Fudosan Co., Ltd. 2,000 55,471 Sumitomo Realty & Development Co., Ltd. 2,000 70,252 Tokyo Tatemono Co., Ltd. 8,000 101,900 Tokyu Land Corp. 8,000 80,198 Urban Corp. 4,100 66,411 --------- Total Real Estate 618,165 ---------------------------------------------------------------------------- Retail - 3.0% AEON Co., Ltd. 4,800 67,734 Aucnet, Inc. 900 18,076 Citizen Watch Co., Ltd. 6,400 64,326 FamilyMart Co., Ltd. 2,400 62,496 Fast Retailing Co., Ltd. 1,600 92,231 Isetan Co., Ltd. 3,200 43,097 Izumi Co., Ltd(a) 3,400 46,323 J Front Retailing Co., Ltd.* 12,600 123,793 Konaka Co., Ltd. 800 6,072 Lawson, Inc. 2,400 75,747 Marui Co., Ltd. 4,800 52,918 Mitsukoshi Ltd.(a) 14,000 63,418 Nitori Co., Ltd. 1,200 56,653 Seven & I Holdings Co., Ltd. 9,300 238,938 Shimamura Co., Ltd. 800 74,773 Takashimaya Co., Ltd. 8,000 88,684 UNY Co., Ltd. 8,000 69,626 Yamada Denki Co., Ltd. 800 79,085 --------- Total Retail 1,323,990 ---------------------------------------------------------------------------- Semiconductors - 0.5% Shinko Electric Industries Co., Ltd. 2,500 55,428 SUMCO Corp. 1,600 65,105 Tokyo Electron Ltd. 1,600 101,273 --------- Total Semiconductors 221,806 ---------------------------------------------------------------------------- Shipbuilding - 0.3% Mitsui Engineering & Shipbuilding Co., Ltd. 24,000 135,843 ---------------------------------------------------------------------------- Software - 1.4% Konami Corp. 3,200 87,084 Nomura Research Institute Ltd. 7,600 258,366 Oracle Corp. Japan 4,000 182,585 Square Enix Co., Ltd. 2,400 79,294 --------- Total Software 607,329 ---------------------------------------------------------------------------- Storage/Warehousing - 0.3% Mitsubishi Logistics Corp. 8,000 112,542 ---------------------------------------------------------------------------- Telecommunications - 5.8% Hikari Tsushin, Inc. 1,500 41,082 KDDI Corp. 22 162,970 Nippon Telegraph & Telephone Corp. 211 985,150 NTT DoCoMo, Inc. 937 1,336,070 SOFTBANK CORP. 2,336 43,058 --------- Total Telecommunications 2,568,330 ---------------------------------------------------------------------------- Textiles - 0.6% Kuraray Co., Ltd. 4,000 50,602 Mitsubishi Rayon Co., Ltd. 8,000 56,619 Teijin Ltd. 8,000 39,021 Toray Industries, Inc. 16,000 126,870 --------- Total Textiles 273,112 ---------------------------------------------------------------------------- Transportation - 2.5% Hankyu Holdings, Inc. 16,000 81,659 Kawasaki Kisen Kaisha Ltd. 1,000 14,668 Keihin Electric Express Railway Co., Ltd. 7,000 45,342 Keio Corp. 7,000 43,577 Keisei Electric Railway Co., Ltd. 9,000 49,846 Kintetsu Corp. 16,000 49,663 Mitsui O.S.K. Lines Ltd. 4,000 64,722 Nagoya Railroad Co., Ltd. 15,000 43,820 Nippon Express Co., Ltd. 16,000 79,433 Nippon Yusen K.K. 26,000 253,637 Odakyu Electric Railway Co., Ltd. 7,000 45,098 Seino Holdings Corp. 7,000 64,574 Tobu Railway Co., Ltd. 16,000 75,121 See Notes to Financial Statements. 48 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree Japan Total Dividend Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------- Tokyu Corp. 8,000 $ 52,167 Yamato Holdings Co., Ltd. 8,000 119,845 ----------- Total Transportation 1,083,172 -------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $43,567,672) 43,921,637 ========================================================================== SHORT-TERM INVESTMENT - 0.0% MONEY MARKET FUND - 0.0% United States - 0.0% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $3,296) 3,296 3,296 ========================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 0.8% MONEY MARKET FUNDS(c) - 0.8% UBS Enhanced Yield Portfolio, 5.38% 122,680 122,680 UBS Private Money Market Fund LLC, 5.21% 213,585 213,585 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $336,265)(d) 336,265 ========================================================================== TOTAL INVESTMENTS IN SECURITIES - 100.2% (Cost: $43,907,233)(e) 44,261,198 Liabilities in Excess of Foreign Currency and Other Assets - (0.2)% (80,731) ----------- NET ASSETS - 100.0% $44,180,467 ========================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $318,544 and the total market value of the collateral held by the Fund was $336,265. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Funds 49 Schedule of Investment (unaudited) WisdomTree Japan High-Yielding Equity Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- COMMON STOCKS - 99.3% Agriculture - 0.1% Hokuto Corp. 1,600 $ 26,320 Nosan Corp. 7,000 18,198 --------- Total Agriculture 44,518 ------------------------------------------------------------------------------- Apparel - 0.2% Daidoh Ltd. 1,600 20,436 Japan Vilene Co., Ltd. 8,000 45,489 Onward Holdings Co., Ltd. 2,000 20,206 --------- Total Apparel 86,131 ------------------------------------------------------------------------------- Auto Manufacturers - 15.2% Fuji Heavy Industries Ltd. 19,000 83,424 Honda Motor Co., Ltd. 98,100 3,292,317 Kanto Auto Works Ltd. 2,400 32,344 Nippon Sharyo Ltd. 20,000 44,864 Nissan Motor Co., Ltd. 321,200 3,214,373 Shinmaywa Industries Ltd. 6,000 28,640 Toyota Auto Body Co., Ltd. 4,000 66,183 --------- Total Auto Manufacturers 6,762,145 ------------------------------------------------------------------------------- Auto Parts & Equipment - 1.4% Bosch Corp. 21,000 101,882 Koito Manufacturing Co., Ltd. 4,000 48,724 Nifco, Inc. 2,600 62,166 Riken Corp. 12,000 60,305 Sanden Corp. 18,000 100,317 Sumitomo Rubber Industries, Inc. 16,100 202,134 Toyo Tire & Rubber Co., Ltd. 8,000 46,603 --------- Total Auto Parts & Equipment 622,131 ------------------------------------------------------------------------------- Banks - 0.6% Ehime Bank Ltd. (The) 13,000 44,420 Eighteenth Bank Ltd. (The) 11,000 44,090 Hokuetsu Bank Ltd. (The) 16,000 37,143 Kiyo Holdings, Inc. 55,000 79,860 Shonai Bank Ltd. (The) 15,000 41,603 --------- Total Banks 247,116 ------------------------------------------------------------------------------- Beverages - 0.5% Coca-Cola West Japan Co., Ltd. 6,000 140,852 Mercian Corp. 21,000 46,011 Mikuni Coca-Cola Bottling Co., Ltd. 2,400 26,793 --------- Total Beverages 213,656 ------------------------------------------------------------------------------- Building Materials - 1.4% Asahi Organic Chemicals Industry Co., Ltd. 13,000 48,150 Bunka Shutter Co., Ltd. 2,000 9,303 Central Glass Co., Ltd. 8,000 40,273 Cleanup Corp.(a) 7,700 53,357 JS Group Corp. 18,600 323,114 PanaHome Corp.(a) 8,000 50,637 Sankyo-Tateyama Holdings, Inc.(a) 16,000 22,397 Sanwa Shutter Corp. 16,000 89,588 --------- Total Building Materials 636,819 ------------------------------------------------------------------------------- Chemicals - 1.3% Aica Kogyo Co., Ltd. 2,400 26,230 Air Water, Inc. 4,000 44,516 Arisawa Manufacturing Co., Ltd. 5,400 47,514 Earth Chemical Co., Ltd. 800 19,824 Gun-Ei Chemical Industry Co., Ltd.(a) 20,000 48,863 Kaneka Corp. 6,000 50,393 Koatsu Gas Kogyo Co., Ltd. 2,000 12,590 Nippon Chemical Industrial Co., Ltd. 16,000 46,324 Nippon Kayaku Co., Ltd. 7,000 58,184 Nippon Shokubai Co., Ltd. 3,000 29,161 NOF Corp. 8,000 34,569 Sakata INX Corp. 8,000 42,151 Sanyo Chemical Industries Ltd. 6,000 37,299 Toagosei Co., Ltd. 10,000 37,213 Toyo Ink Manufacturing Co., Ltd. 10,000 33,822 Yushiro Chemical Industry Co., Ltd. 800 14,120 --------- Total Chemicals 582,773 ------------------------------------------------------------------------------- Commercial Services - 2.5% Dai Nippon Printing Co., Ltd. 36,000 513,951 Kyodo Printing Co., Ltd. 18,000 55,245 Meitec Corp. 1,800 52,741 Nippon Parking Development Co., Ltd. 762 41,076 Nomura Co., Ltd. 9,000 54,462 Toppan Forms Co., Ltd. 4,000 40,308 Toppan Printing Co., Ltd. 37,000 380,568 --------- Total Commercial Services 1,138,351 ------------------------------------------------------------------------------- Computers - 0.2% DTS Corp. 3,000 56,472 Hitachi Systems & Services Ltd. 800 15,650 Information Services International-Dentsu Ltd. 700 7,163 NEC Fielding Ltd. 2,400 27,711 --------- Total Computers 106,996 ------------------------------------------------------------------------------- Cosmetics/Personal Care - 2.1% Aderans Co., Ltd. 2,900 60,640 Kao Corp. 28,000 835,021 Mandom Corp. 1,600 39,091 --------- Total Cosmetics/Personal Care 934,752 ------------------------------------------------------------------------------- Distribution/Wholesale - 1.1% Advan Co., Ltd. 800 6,844 Doshisha Co., Ltd. 800 13,250 Hakuto Co., Ltd. 1,600 23,371 Hanwa Co., Ltd. 16,000 80,964 Impact 21 Co., Ltd. 800 18,050 Inaba Denki Sangyo Co., Ltd. 900 32,709 Itochu Enex Co., Ltd. 4,000 27,057 Japan Pulp & Paper Co., Ltd. 8,000 30,535 Mitsuuroko Co., Ltd. 2,700 19,132 Ryoden Trading Co., Ltd. 5,000 38,995 Ryoyo Electro Corp. 5,100 73,652 San-Ai Oil Co., Ltd. 2,000 9,321 See Notes to Financial Statements. 50 WisdomTree International Dividend Funds Schedule of Investment (unaudited) (continued) WisdomTree Japan High-Yielding Equity Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- Sankyo Seiko Co., Ltd. 11,800 $ 43,808 Sinanen Co., Ltd. 11,000 55,949 --------- Total Distribution/Wholesale 473,637 ----------------------------------------------------------------------------- Diversified Financial Services - 9.1% Daiwa Securities Group, Inc. 109,000 1,036,787 Ichiyoshi Securities Co., Ltd. 2,400 25,437 Iwai Securities Co., Ltd. 2,800 32,451 Kyokuto Securities Co., Ltd. 3,900 36,452 Nomura Holdings, Inc. 144,200 2,414,721 Okasan Holdings, Inc. 18,000 104,386 OMC Card, Inc.(a) 13,400 53,127 SFCG Co., Ltd. 120 16,787 Shinko Securities Co., Ltd. 55,000 254,402 Takagi Securities Co., Ltd. 12,000 39,125 Tokai Tokyo Securities Co., Ltd. 9,000 45,777 Toyo Securities Co., Ltd. 11,000 38,734 --------- Total Diversified Financial Services 4,098,186 ----------------------------------------------------------------------------- Electric - 11.8% Chubu Electric Power Co., Inc. 44,800 1,158,805 Chugoku Electric Power Co., Inc. (The)(a) 20,700 420,245 Hokkaido Electric Power Co., Inc. 11,100 239,825 Hokuriku Electric Power Co. 11,500 224,471 Kansai Electric Power Co., Inc. (The) 65,200 1,488,066 Kyushu Electric Power Co., Inc. 30,300 800,869 Shikoku Electric Power Co., Inc. 13,000 326,088 Tohoku Electric Power Co., Inc. (The) 26,900 574,182 --------- Total Electric 5,232,551 ----------------------------------------------------------------------------- Electrical Components & Equipment - 0.1% Sumida Corp. 1,800 30,127 ----------------------------------------------------------------------------- Electronics - 2.0% Eizo Nanao Corp. 800 26,292 Hoya Corp. 19,800 674,835 Idec Corp. 1,600 20,032 Kaga Electronics Co., Ltd. 800 12,381 Nidec Copal Electronics Corp. 2,400 13,563 Nitto Kogyo Corp. 1,600 24,623 Ryosan Co., Ltd. 2,400 59,992 Sanshin Electronics Co., Ltd. 1,600 22,522 Teikoku Tsushin Kogyo Co., Ltd. 11,000 47,055 --------- Total Electronics 901,295 ----------------------------------------------------------------------------- Engineering & Construction - 1.7% Airport Facilities Co., Ltd. 2,400 16,506 Asunaro Aoki Construction Co., Ltd. 6,000 32,865 Hitachi Plant Technologies Ltd.(a) 8,000 45,351 Kyudenko Corp. 9,000 50,628 Maeda Corp. 13,000 50,185 Nippon Koei Co., Ltd. 18,000 50,706 Nishimatsu Construction Co., Ltd. 16,000 48,272 Okumura Corp. 8,000 40,690 Taihei Dengyo Kaisha Ltd. 8,000 58,705 Taikisha Ltd. 2,400 32,406 Taisei Corp.(a) 57,000 165,032 Takasago Thermal Engineering Co., Ltd. 3,000 32,578 TOA CORP.(a) 11,000 12,338 Toenec Corp. 5,000 24,649 Tsukishima Kikai Co., Ltd. 5,000 45,385 Yurtec Corp. 10,000 58,340 --------- Total Engineering & Construction 764,636 ----------------------------------------------------------------------------- Entertainment - 0.1% Avex Group Holdings, Inc.(a) 4,600 60,032 ----------------------------------------------------------------------------- Food - 0.6% Morinaga & Co., Ltd.(a) 15,000 32,996 Nippon Beet Sugar Manufacturing Co., Ltd. 21,000 49,298 Nisshin Seifun Group, Inc. 1,500 14,098 Nissin Food Products Co., Ltd. 195 6,951 Showa Sangyo Co., Ltd.(a) 21,000 50,942 Starzen Co., Ltd. 19,000 43,281 Tokyu Store Chain Co., Ltd. 11,000 47,533 Yokohama Reito Co., Ltd. 5,000 38,734 --------- Total Food 283,833 ----------------------------------------------------------------------------- Forest Products & Paper - 1.1% Chuetsu Pulp & Paper Co., Ltd. 26,000 54,480 Daiken Corp. 20,000 57,036 Hokuetsu Paper Mills Ltd. 8,000 41,108 OJI Paper Co., Ltd. 73,000 352,893 --------- Total Forest Products & Paper 505,517 ----------------------------------------------------------------------------- Gas - 0.2% Saibu Gas Co., Ltd. 37,000 86,537 ----------------------------------------------------------------------------- Hand/Machine Tools - 0.3% Hitachi Koki Co., Ltd. 7,600 130,835 OSG Corp. 700 7,279 --------- Total Hand/Machine Tools 138,114 ----------------------------------------------------------------------------- Healthcare-Products - 0.4% Nipro Corp. 4,000 78,946 Paramount Bed Co., Ltd.(a) 4,400 58,991 Paris Miki, Inc.(a) 4,400 59,679 --------- Total Healthcare-Products 197,616 ----------------------------------------------------------------------------- Home Builders - 0.1% Mitsui Home Co., Ltd. 4,000 23,127 Token Corp. 190 9,334 --------- Total Home Builders 32,461 ----------------------------------------------------------------------------- Home Furnishings - 0.2% France Bed Holdings Co., Ltd. 33,000 47,628 TOA Corp. 5,000 40,169 --------- Total Home Furnishings 87,797 ----------------------------------------------------------------------------- Housewares - 0.1% Sangetsu Co., Ltd. 2,600 56,514 ----------------------------------------------------------------------------- Insurance - 0.1% Fuji Fire & Marine Insurance Co., Ltd. (The) 17,000 57,940 ----------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Funds 51 Schedule of Investment (unaudited) (continued) WisdomTree Japan High-Yielding Equity Fund September 30, 2007 ------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------- Internet - 2.1% Matsui Securities Co., Ltd. 23,800 $ 182,098 SBI Holdings, Inc. 1,150 301,461 Trend Micro, Inc. 10,500 453,723 --------- Total Internet 937,282 ------------------------------------------------------------------- Iron/Steel - 13.0% JFE Holdings, Inc. 36,900 2,611,537 Kobe Steel Ltd. 198,000 738,529 Nakayama Steel Works Ltd.(a) 12,000 28,379 Nippon Steel Corp. 310,000 2,229,013 Sanyo Special Steel Co., Ltd. 14,000 116,611 Topy Industries Ltd. 8,000 21,354 Yodogawa Steel Works Ltd. 10,000 49,646 --------- Total Iron/Steel 5,795,069 ------------------------------------------------------------------- Leisure Time - 1.5% Daikoku Denki Co., Ltd. 3,200 43,125 Heiwa Corp. 3,200 37,616 Sankyo Co., Ltd. 6,900 278,964 Sega Sammy Holdings, Inc.(a) 24,300 323,253 --------- Total Leisure Time 682,958 ------------------------------------------------------------------- Machinery-Diversified - 1.0% Amada Co., Ltd. 23,000 256,766 Daifuku Co., Ltd. 10,500 119,776 Furukawa Co., Ltd. 3,000 6,599 Max Co., Ltd. 1,000 14,789 Nitto Kohki Co., Ltd. 800 18,502 Tokyo Kikai Seisakusho Ltd.(a) 6,000 17,372 Tori Holdings Co., Ltd. 190,000 33,039 --------- Total Machinery-Diversified 466,843 ------------------------------------------------------------------- Metal Fabricate/Hardware - 0.1% Kitz Corp. 4,000 36,309 Oiles Corp. 60 1,296 Onoken Co., Ltd. 400 5,540 --------- Total Metal Fabricate/Hardware 43,145 ------------------------------------------------------------------- Mining - 0.3% Mitsui Mining & Smelting Co., Ltd. 36,000 154,936 ------------------------------------------------------------------- Miscellaneous Manufacturing - 0.4% Amano Corp. 3,200 38,645 Kureha Corp. 8,000 35,195 Mitsuboshi Belting Co., Ltd. 1,739 9,117 Nippon Valqua Industries Ltd. 6,000 20,658 Okamoto Industries, Inc. 8,000 28,031 Sekisui Plastics Co., Ltd. 13,000 42,613 --------- Total Miscellaneous Manufacturing 174,259 ------------------------------------------------------------------- Office/Business Equipment - 0.0% Canon Inc. 50 2,726 ------------------------------------------------------------------- Oil & Gas - 3.1% Nippon Mining Holdings, Inc. 53,500 536,791 Showa Shell Sekiyu K.K. 23,700 304,351 TonenGeneral Sekiyu K.K. 55,000 552,319 --------- Total Oil & Gas 1,393,461 ------------------------------------------------------------------- Packaging & Containers - 0.1% Nihon Yamamura Glass Co., Ltd. 20,000 48,342 ------------------------------------------------------------------- Pharmaceuticals - 7.6% Astellas Pharma, Inc. 25,400 1,216,834 Daiichi Sankyo Co., Ltd. 37,400 1,121,854 Eisai Co., Ltd. 18,200 859,244 Kaken Pharmaceutical Co., Ltd. 6,000 43,455 Kyorin Co., Ltd. 3,000 42,907 Seikagaku Corp. 5,200 59,950 SSP Co., Ltd.(a) 16,000 74,286 --------- Total Pharmaceuticals 3,418,530 ------------------------------------------------------------------- Real Estate - 0.2% Arnest One Corp. 3,100 17,600 Iida Home Max(a) 1,600 20,491 Touei Housing Corp.(a) 4,700 45,441 Urban Corp. 59 956 --------- Total Real Estate 84,488 ------------------------------------------------------------------- Retail - 2.1% Arcs Co., Ltd. 2,475 34,904 Best Denki Co., Ltd. 8,000 56,480 Circle K Sunkus Co. Ltd. 3,110 48,266 Gulliver International Co., Ltd. 110 5,203 Kojima Co., Ltd.(a) 6,000 36,308 Konaka Co., Ltd. 4,900 37,193 Lawson, Inc. 7,100 224,083 Marui Co., Ltd. 33,500 369,325 Ministop Co., Ltd. 1,600 28,518 MOS Food Services, Inc. 3,800 52,103 Plenus Co., Ltd. 1,600 26,125 Seiko Holdings Corp. 4,000 23,580 --------- Total Retail 942,088 ------------------------------------------------------------------- Software - 1.9% Koei Co., Ltd.(a) 3,200 61,209 Konami Corp. 7,700 209,547 NEC Mobiling Ltd. 900 14,296 Oracle Corp. Japan 12,000 547,755 Trans Cosmos, Inc. 2,200 36,018 --------- Total Software 868,825 ------------------------------------------------------------------- Telecommunications - 9.1% Denki Kogyo Co., Ltd. 3,000 20,710 NTT DoCoMo, Inc. 2,783 3,968,283 Uniden Corp. 13,000 86,015 --------- Total Telecommunications 4,075,008 ------------------------------------------------------------------- Textiles - 0.7% Teijin Ltd. 50,000 243,882 Toyobo Co., Ltd. 26,000 60,809 --------- Total Textiles 304,691 ------------------------------------------------------------------- See Notes to Financial Statements. 52 WisdomTree International Dividend Funds Schedule of Investment (unaudited) (concluded) WisdomTree Japan High-Yielding Equity Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------------- Transportation - 1.6% Maruzen Showa Unyu Co., Ltd. 4,000 $ 13,737 Nippon Yusen K.K.(a) 69,000 673,113 Senko Co., Ltd.(a) 8,000 26,431 ----------- Total Transportation 713,281 --------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $49,126,856)(a) 44,488,113 ================================================================================= INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 4.5% MONEY MARKET FUND(b) - 4.5% AIM Liquid Assets Portfolio, 5.11% 43 43 AIM Prime Portfolio, 5.08% 178 178 UBS Enhanced Yield Portfolio, 5.38% 309,333 309,333 UBS Private Money Market Fund LLC, 5.21% 1,723,601 1,723,601 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $2,033,155)(c) 2,033,155 ================================================================================= TOTAL INVESTMENTS IN SECURITIES - 103.8% (Cost: $51,160,011)(d) 46,521,268 Liabilities in Excess of Foreign Currency and Other Assets - (3.8)% (1,712,960) ----------- NET ASSETS - 100.0% $44,808,308 ================================================================================= (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $1,899,274 and the total market value of the collateral held by the Fund was $2,033,155. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Funds 53 Schedule of Investments (unaudited) WisdomTree Japan SmallCap Dividend Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------- COMMON STOCKS - 99.5% Advertising - 0.4% Asatsu-DK, Inc. 6,400 $ 205,886 Moshi Moshi Hotline, Inc. 1,800 88,267 --------- Total Advertising 294,153 --------------------------------------------------------------------------- Aerospace/Defense - 0.2% Japan Aviation Electronics Industry Ltd. 11,000 172,056 --------------------------------------------------------------------------- Agriculture - 0.4% Hokuto Corp. 10,100 166,145 Nosan Corp. 28,000 72,791 Sakata Seed Corp. 3,300 44,386 --------- Total Agriculture 283,322 --------------------------------------------------------------------------- Apparel - 2.4% Daidoh Ltd. 9,200 117,505 Gunze Ltd. 35,000 172,238 Japan Vilene Co., Ltd. 22,000 125,097 Japan Wool Textile Co., Ltd. (The) 16,000 129,096 Onward Kashiyama Co., Ltd. 42,000 424,327 Sanei-International Co., Ltd. 800 15,998 Sanyo Shokai Ltd. 52,000 382,037 Tokyo Style Co., Ltd. 18,000 186,863 Wacoal Holdings Corp. 28,000 343,503 --------- Total Apparel 1,896,664 --------------------------------------------------------------------------- Auto Manufacturers - 1.3% Kanto Auto Works Ltd. 15,300 206,191 Nippon Sharyo Ltd. 37,000 82,998 Nissan Shatai Co., Ltd. 34,000 208,999 Shinmaywa Industries Ltd.(a) 22,000 105,012 Toyota Auto Body Co., Ltd. 24,000 397,096 --------- Total Auto Manufacturers 1,000,296 --------------------------------------------------------------------------- Auto Parts & Equipment - 5.1% Aisan Industry Co., Ltd. 9,600 116,437 Akebono Brake Industry Co., Ltd.(a) 12,000 76,894 Bosch Corp. 137,000 664,660 Calsonic Kansei Corp. 37,000 144,442 Exedy Corp. 4,800 149,407 FCC Co., Ltd. 6,100 109,786 Futaba Industrial Co., Ltd. 9,100 234,196 Kayaba Industry Co., Ltd. 48,000 230,370 Keihin Corp. 8,000 151,980 Koito Manufacturing Co., Ltd. 39,000 475,059 Musashi Seimitsu Industry Co., Ltd. 4,800 152,328 Nifco, Inc. 18,800 449,507 Nissin Kogyo Co., Ltd. 9,300 267,643 Press Kogyo Co., Ltd. 16,000 66,357 Riken Corp. 19,000 95,483 Sanden Corp. 37,000 206,208 Showa Corp. 9,600 114,267 Toyo Tire & Rubber Co., Ltd. 60,000 349,520 --------- Total Auto Parts & Equipment 4,054,544 --------------------------------------------------------------------------- Banks - 6.9% Akita Bank Ltd. (The) 26,000 113,481 Aomori Bank Ltd. (The) 32,000 118,245 Awa Bank Ltd. (The) 33,000 162,683 Bank of Ikeda Ltd. (The) 3,400 146,329 Bank of Iwate Ltd. (The) 2,000 118,245 Bank of Nagoya Ltd. (The) 21,000 140,773 Bank of Okinawa Ltd. (The) 3,500 114,116 Bank of Saga Ltd. (The) 32,000 111,012 Chukyo Bank Ltd. (The) 44,000 130,070 Daisan Bank Ltd. (The) 35,000 113,507 Daishi Bank Ltd. (The) 75,000 301,918 Ehime Bank Ltd. (The) 32,000 109,342 Eighteenth Bank Ltd. (The) 20,000 80,163 Fukui Bank Ltd. (The) 44,000 127,775 Higo Bank Ltd. (The) 30,000 199,800 Hokkoku Bank Ltd. (The) 62,000 273,843 Hokuetsu Bank Ltd. (The) 90,000 208,929 Hyakugo Bank Ltd. (The) 34,000 196,287 Hyakujushi Bank Ltd. (The) 42,000 206,321 Kagoshima Bank Ltd. (The) 22,000 156,849 Keiyo Bank Ltd. (The) 41,000 227,431 Kiyo Holdings, Inc. 160,000 232,318 Michinoku Bank Ltd. (The) 22,000 67,904 Mie Bank Ltd. (The) 18,000 88,423 Miyazaki Bank Ltd. (The) 19,000 72,851 Musashino Bank Ltd. (The) 4,400 208,495 Ogaki Kyoritsu Bank Ltd. (The) 42,000 229,327 Oita Bank Ltd. (The) 14,000 78,512 San-In Godo Bank Ltd. (The) 17,000 134,504 Shiga Bank Ltd. (The) 28,000 192,566 Shikoku Bank Ltd. (The) 32,000 124,366 Shonai Bank Ltd. (The) 40,000 110,942 Tochigi Bank Ltd. (The) 13,000 72,564 Toho Bank Ltd. (The) 32,000 119,080 Tokyo Tomin Bank Ltd. (The) 6,400 187,523 Yamagata Bank Ltd. (The) 20,000 108,508 Yamanashi Chuo Bank Ltd. (The) 17,000 95,335 --------- Total Banks 5,480,337 --------------------------------------------------------------------------- Beverages - 1.2% Asahi Soft Drinks Co., Ltd. 2,500 37,604 Coca-Cola West Japan Co., Ltd. 18,600 436,638 Kagome Co., Ltd.(a) 9,300 165,761 Mercian Corp. 32,000 70,113 Mikuni Coca-Cola Bottling Co., Ltd. 4,300 48,004 Takara Holdings, Inc. 34,000 199,539 --------- Total Beverages 957,659 --------------------------------------------------------------------------- Building Materials - 3.2% Asahi Organic Chemicals Industry Co., Ltd. 22,000 81,485 Bunka Shutter Co., Ltd. 18,000 83,728 Central Glass Co., Ltd. 48,000 241,638 Chofu Seisakusho Co., Ltd. 6,000 104,334 See Notes to Financial Statements. 54 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- Cleanup Corp. 12,800 $ 88,698 Fujitec Co., Ltd. 18,000 118,628 Nice Corp. 18,000 56,027 Nichias Corp. 27,000 275,365 Nichiha Corp. 4,800 52,000 PanaHome Corp. 43,000 272,173 Rinnai Corp. 6,400 190,862 Sankyo-Tateyama Holdings, Inc. 96,000 134,382 Sanwa Shutter Corp. 91,000 509,535 Sumitomo Osaka Cement Co., Ltd. 70,000 172,238 Takara Standard Co., Ltd. 32,000 178,342 --------- Total Building Materials 2,559,435 ------------------------------------------------------------------------------- Chemicals - 7.8% ADEKA Corp. 16,000 167,630 Aica Kogyo Co., Ltd. 15,800 172,678 Air Water, Inc. 53,000 589,836 Arisawa Manufacturing Co., Ltd.(a) 11,300 99,427 Daicel Chemical Industries Ltd. 4,000 31,613 Dainichiseika Color & Chemicals Manufacturing Co., Ltd. 19,000 89,041 Denki Kagaku Kogyo K.K. 97,000 543,973 Earth Chemical Co., Ltd. 4,800 118,941 Gun-Ei Chemical Industry Co., Ltd. 19,000 46,420 Kansai Paint Co., Ltd. 49,000 375,334 Koatsu Gas Kogyo Co., Ltd. 16,000 100,717 Lintec Corp. 6,400 125,479 Nihon Parkerizing Co., Ltd. 12,000 142,625 Nippon Chemical Industrial Co., Ltd. 45,000 130,287 Nippon Kayaku Co., Ltd. 77,000 640,022 Nippon Paint Co., Ltd.(a) 63,000 325,366 Nippon Shokubai Co., Ltd. 27,000 262,453 Nissan Chemical Industries Ltd. 14,000 172,604 NOF Corp. 42,000 181,489 Sakata INX Corp. 22,000 115,915 Sanyo Chemical Industries Ltd. 29,000 180,281 Sumitomo Bakelite Co., Ltd. 35,000 201,148 Sumitomo Seika Chemicals Co., Ltd. 16,000 74,842 Taiyo Ink Manufacturing Co., Ltd. 4,700 135,669 Takasago International Corp. 22,000 126,436 Toagosei Co., Ltd.(a) 64,000 238,160 Tokai Carbon Co., Ltd. 28,000 316,967 Tokyo Ohka Kogyo Co., Ltd. 6,400 138,278 Toyo Ink Manufacturing Co., Ltd. 75,000 253,663 Yushiro Chemical Industry Co., Ltd.(a) 6,100 107,664 --------- Total Chemicals 6,204,958 ------------------------------------------------------------------------------- Commercial Services - 2.8% Kamigumi Co., Ltd. 23,000 192,975 Kyodo Printing Co., Ltd. 44,000 135,043 Meitec Corp. 12,300 360,396 Nichii Gakkan Co.(a) 4,800 82,716 Nippon Parking Development Co., Ltd. 1,458 78,595 Nissha Printing Co., Ltd.(a) 11,400 331,052 Nomura Co., Ltd. 16,000 96,822 Sohgo Security Services Co., Ltd.(a) 21,300 345,571 TIS, Inc. 6,400 124,645 TKC Corp. 4,000 72,165 Toppan Forms Co., Ltd. 25,700 258,978 Zenrin Co., Ltd. 5,000 125,201 --------- Total Commercial Services 2,204,159 ------------------------------------------------------------------------------- Computers - 1.3% Hitachi Information Systems Ltd. 8,400 180,029 Hitachi Systems & Services Ltd. 4,300 84,119 Information Services International-Dentsu Ltd. 8,000 81,868 NEC Fielding Ltd. 16,600 191,669 NS Solutions Corp. 6,900 190,775 Obic Co., Ltd. 860 166,594 Roland DG Corp. 3,200 151,632 --------- Total Computers 1,046,686 ------------------------------------------------------------------------------- Cosmetics/Personal Care - 1.5% Aderans Co., Ltd.(a) 14,300 299,018 Fancl Corp.(a) 9,200 119,664 KOSE Corp. 7,500 198,887 Lion Corp.(a) 60,000 281,702 Mandom Corp. 8,000 195,453 T. Hasegawa Co., Ltd.(a) 7,100 133,648 --------- Total Cosmetics/Personal Care 1,228,372 ------------------------------------------------------------------------------- Distribution/Wholesale - 4.0% ABC-Mart, Inc. 13,600 295,022 Advan Co., Ltd. 4,800 41,066 Doshisha Co., Ltd.(a) 3,200 53,002 Fuji Electronics Co., Ltd. 8,100 105,427 Hakuto Co., Ltd. 13,300 194,270 Hanwa Co., Ltd. 97,000 490,839 Impact 21 Co., Ltd. 6,400 144,399 Inaba Denki Sangyo Co., Ltd. 6,400 232,596 Itochu Enex Co., Ltd. 26,600 179,931 Iwatani International Corp.(a) 37,000 108,412 Japan Pulp & Paper Co., Ltd. 34,000 129,774 Mitsuuroko Co., Ltd. 17,000 120,463 Nagase & Co., Ltd. 14,000 165,544 Ryoden Trading Co., Ltd. 25,000 194,975 Ryoshoku Ltd. 4,500 105,247 Ryoyo Electro Corp. 13,200 190,629 San-Ai Oil Co., Ltd. 19,000 88,545 Sankyo Seiko Co., Ltd. 17,000 63,114 Sinanen Co., Ltd. 22,000 111,898 Trusco Nakayama Corp.(a) 8,000 138,417 --------- Total Distribution/Wholesale 3,153,570 ------------------------------------------------------------------------------- Diversified Financial Services - 3.4% Century Leasing System, Inc. 14,500 159,731 Cosmo Securities Co., Ltd.(a) 75,000 110,855 Ichiyoshi Securities Co., Ltd. 12,400 131,423 Kyokuto Securities Co., Ltd. 11,600 108,421 See Notes to Financial Statements. WisdomTree International Dividend Funds 55 Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------- Okasan Holdings, Inc.(a) 95,000 $ 550,928 OMC Card, Inc.(a) 69,400 275,150 SFCG Co., Ltd. 3,020 422,482 Takagi Securities Co., Ltd. 34,000 110,855 Tokai Tokyo Securities Co., Ltd. 137,000 696,823 Tokyo Leasing Co., Ltd. 8,000 76,860 Toyo Securities Co., Ltd. 26,000 91,553 --------- Total Diversified Financial Services 2,735,081 -------------------------------------------------------------------------- Electric - 0.1% Okinawa Electric Power Co., Inc. (The) 1,000 63,557 -------------------------------------------------------------------------- Electrical Components & Equipment - 1.4% Hitachi Cable Ltd. 70,000 433,335 Nippon Signal Co., Ltd. (The) 7,900 49,111 SMK Corp. 16,000 131,322 Sumida Corp. 4,800 80,337 Toshiba TEC Corp. 64,000 395,079 --------- Total Electrical Components & Equipment 1,089,184 -------------------------------------------------------------------------- Electronics - 5.2% Alps Electric Co., Ltd. 10,300 123,763 Anritsu Corp.(a) 18,000 75,747 CMK Corp. 4,800 51,332 Cosel Co., Ltd.(a) 5,900 87,616 Dainippon Screen Manufacturing Co., Ltd. 50,000 300,830 Eizo Nanao Corp. 4,800 157,753 Horiba Ltd. 3,700 155,380 Idec Corp.(a) 9,600 120,193 Kaga Electronics Co., Ltd. 6,800 105,238 Minebea Co., Ltd. 89,000 608,217 Nichicon Corp. 13,700 173,670 Nidec Copal Corp. 11,200 127,274 Nidec Copal Electronics Corp.(a) 9,300 52,558 Nippon Chemi-Con Corp. 16,000 141,616 Nitto Kogyo Corp. 8,000 123,114 Ryosan Co., Ltd. 16,800 419,945 Sanshin Electronics Co., Ltd. 8,000 112,611 Sanyo Denki Co., Ltd. 13,000 69,513 Sodick Co., Ltd. 7,400 49,670 Star Micronics Co., Ltd. 6,300 195,001 Tokyo Seimitsu Co., Ltd. 3,200 66,496 ULVAC, Inc.(a) 10,200 329,905 Yamatake Corp. 13,600 455,245 --------- Total Electronics 4,102,687 -------------------------------------------------------------------------- Engineering & Construction - 5.1% Airport Facilities Co., Ltd. 4,300 29,573 COMSYS Holdings Corp. 21,000 230,057 Hitachi Plant Technologies Ltd.(a) 48,000 272,104 Japan Airport Terminal Co., Ltd.(a) 10,200 245,211 Kandenko Co., Ltd.(a) 36,000 229,744 Kyowa Exeo Corp. 16,000 167,630 Kyudenko Corp. 18,000 101,256 Maeda Corp. 37,000 142,834 Maeda Road Construction Co., Ltd.(a) 21,000 183,680 NEC Networks & System Integration Corp. 6,400 70,502 Nippo Corp. 16,000 127,844 Nippon Densetsu Kogyo Co., Ltd. 16,000 116,020 Nippon Koei Co., Ltd. 19,000 53,523 Nishimatsu Construction Co., Ltd. 85,000 256,445 Okumura Corp.(a) 51,000 259,401 Sanki Engineering Co., Ltd.(a) 16,000 96,544 Taikisha Ltd.(a) 12,700 171,483 Takasago Thermal Engineering Co., Ltd. 20,000 217,189 Takuma Co., Ltd.(a) 16,000 91,675 TOA CORP.*(a) 26,000 29,161 Toda Corp. 64,000 337,209 Toenec Corp. 14,000 69,017 Tokyu Construction Co., Ltd. 5,400 26,996 Toshiba Plant Systems & Services Corp. 30,000 291,354 Tsukishima Kikai Co., Ltd. 11,000 99,848 Yurtec Corp. 19,000 110,846 --------- Total Engineering & Construction 4,027,146 -------------------------------------------------------------------------- Entertainment - 0.6% Avex Group Holdings, Inc.(a) 12,900 168,351 RESORTTRUST, Inc. 7,860 167,089 Toei Co., Ltd. 16,000 82,911 Tokyotokeiba Co., Ltd. 32,000 82,354 --------- Total Entertainment 500,705 -------------------------------------------------------------------------- Environmental Control - 0.2% Asahi Pretec Corp. 4,800 156,501 -------------------------------------------------------------------------- Food - 5.5% Ajinomoto Co., Inc. 14,250 178,412 Ariake Japan Co., Ltd.(a) 5,100 104,869 Ezaki Glico Co., Ltd.(a) 15,000 168,500 Fuji Oil Co., Ltd. 17,300 127,853 House Foods Corp. 21,300 371,312 Itoham Foods, Inc. 21,000 85,450 J-Oil Mills, Inc. 21,000 56,966 Kato Sangyo Co., Ltd. 8,000 104,960 Katokichi Co., Ltd. 28,200 128,968 Maruha Group, Inc. 51,000 83,363 Meiji Dairies Corp. 36,000 203,139 Meiji Seika Kaisha Ltd.(a) 74,000 371,881 Mitsui Sugar Co., Ltd. 13,000 45,890 Morinaga & Co., Ltd.(a) 67,000 147,381 Morinaga Milk Industry Co., Ltd. 58,000 231,970 Nichirei Corp. 46,000 210,773 Nippon Beet Sugar Manufacturing Co., Ltd. 11,000 25,823 Nippon Flour Mills Co., Ltd. 10,000 36,778 Nippon Suisan Kaisha Ltd. 49,100 259,129 Nisshin Oillio Group Ltd. (The)(a) 21,000 88,736 Nissin Food Products Co., Ltd. 555 19,784 QP Corp. 28,500 260,431 Showa Sangyo Co., Ltd. 50,000 121,289 Starzen Co., Ltd. 44,000 100,230 See Notes to Financial Statements. 56 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- Tokyu Store Chain Co., Ltd. 14,000 $ 60,496 Toyo Suisan Kaisha Ltd. 15,000 281,702 Valor Co., Ltd. 3,600 39,000 Yamazaki Baking Co., Ltd. 45,000 337,260 Yokohama Reito Co., Ltd. 13,000 100,709 --------- Total Food 4,353,054 ----------------------------------------------------------------------------- Forest Products & Paper - 1.1% Chuetsu Pulp & Paper Co., Ltd. 34,000 71,243 Daiken Corp.(a) 34,000 96,961 Daio Paper Corp.(a) 31,000 251,202 Hokuetsu Paper Mills Ltd. 50,000 256,923 Rengo Co., Ltd. 32,000 215,624 --------- Total Forest Products & Paper 891,953 ----------------------------------------------------------------------------- Gas - 0.3% Saibu Gas Co., Ltd. 111,000 259,610 ----------------------------------------------------------------------------- Hand/Machine Tools - 1.6% Asahi Diamond Industrial Co., Ltd. 16,000 113,655 Disco Corp. 2,600 144,903 Hitachi Koki Co., Ltd. 38,200 657,618 Hitachi Tool Engineering Ltd. 500 6,304 Meidensha Corp.(a) 32,000 102,108 OSG Corp. 17,300 179,896 Union Tool Co. 1,800 77,625 --------- Total Hand/Machine Tools 1,282,109 ----------------------------------------------------------------------------- Healthcare-Products - 1.8% Hogy Medical Co., Ltd. 1,900 89,371 Nihon Kohden Corp. 10,200 187,123 Nipro Corp. 25,024 493,889 Paramount Bed Co., Ltd.(a) 10,900 146,136 Paris Miki, Inc.(a) 23,900 324,166 Sysmex Corp. 3,600 138,660 TOPCON Corp.(a) 4,600 81,989 --------- Total Healthcare-Products 1,461,334 ----------------------------------------------------------------------------- Home Builders - 0.1% Mitsui Home Co., Ltd. 16,000 92,510 Token Corp. 220 10,807 --------- Total Home Builders 103,317 ----------------------------------------------------------------------------- Home Furnishings - 1.8% Alpine Electronics, Inc. 13,600 200,071 Canon Electronics, Inc. 7,900 201,595 France Bed Holdings Co., Ltd. 70,000 101,030 Hitachi Maxell Ltd. 18,500 199,452 Kenwood Corp.(a) 48,000 67,609 Nidec Sankyo Corp. 51,000 341,434 Noritz Corp.(a) 10,800 150,805 Toa Corp.(a) 24,000 192,810 --------- Total Home Furnishings 1,454,806 ----------------------------------------------------------------------------- Housewares - 0.7% Noritake Co., Ltd. 32,000 152,467 Sangetsu Co., Ltd.(a) 16,900 367,343 --------- Total Housewares 519,810 ----------------------------------------------------------------------------- Insurance - 0.5% Fuji Fire & Marine Insurance Co., Ltd. (The) 110,000 374,908 ----------------------------------------------------------------------------- Internet - 0.9% Matsui Securities Co., Ltd.(a) 92,200 705,438 ----------------------------------------------------------------------------- Iron/Steel - 2.0% Aichi Steel Corp.(a) 28,000 165,300 Godo Steel Ltd. 30,000 115,289 Mitsubishi Steel Manufacturing Co., Ltd. 15,000 73,164 Nakayama Steel Works Ltd.(a) 37,000 87,502 Nippon Metal Industry Co., Ltd.(a) 68,000 313,942 Sanyo Special Steel Co., Ltd. 54,000 449,785 Topy Industries Ltd. 35,000 93,423 Yodogawa Steel Works Ltd. 64,000 317,732 --------- Total Iron/Steel 1,616,137 ----------------------------------------------------------------------------- Leisure Time - 0.7% Daikoku Denki Co., Ltd. 3,000 40,430 Heiwa Corp. 20,300 238,625 HIS Co., Ltd. 3,200 60,097 Mars Engineering Corp. 3,800 69,713 Mizuno Corp.(a) 27,000 150,711 --------- Total Leisure Time 559,576 ----------------------------------------------------------------------------- Machinery-Construction & Mining - 0.4% Aichi Corp. 9,600 116,938 Tadano Ltd. 16,000 214,650 --------- Total Machinery-Construction & Mining 331,588 ----------------------------------------------------------------------------- Machinery-Diversified - 3.6% Aida Engineering Ltd. 16,000 102,665 CKD Corp. 8,000 74,077 Daifuku Co., Ltd. 14,500 165,405 Ebara Corp.(a) 120,000 554,014 Furukawa Co., Ltd. 26,000 57,193 Komori Corp. 13,200 323,070 Makino Milling Machine Co., Ltd. 14,000 147,529 Max Co., Ltd. 14,000 207,051 Miura Co., Ltd. 8,500 272,704 Nabtesco Corp. 14,000 228,109 Nippon Thompson Co., Ltd. 12,000 106,630 Nitto Kohki Co., Ltd. 4,800 111,012 Sato Corp. 6,100 113,763 Tokyo Kikai Seisakusho Ltd.(a) 19,000 55,010 Tori Holdings Co., Ltd. 330,000 57,384 Toshiba Machine Co., Ltd. 16,000 119,080 Tsubakimoto Chain Co. 29,000 192,636 --------- Total Machinery-Diversified 2,887,332 ----------------------------------------------------------------------------- Metal Fabricate/Hardware - 1.4% Kitz Corp. 27,000 245,081 MISUMI Group, Inc.(a) 9,000 152,589 Nachi-Fujikoshi Corp. 37,000 147,981 See Notes to Financial Statements. WisdomTree International Dividend Funds 57 Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2007 --------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------- Oiles Corp. 5,660 $ 122,289 Onoken Co., Ltd. 6,400 88,642 Ryobi Ltd. 27,000 175,360 Tocalo Co., Ltd. 2,800 52,463 Toho Zinc Co., Ltd. 13,000 119,810 --------- Total Metal Fabricate/Hardware 1,104,215 --------------------------------------------------------------------- Mining - 0.4% Nippon Light Metal Co., Ltd. 96,000 211,173 Sumitomo Light Metal Industries Ltd. 46,000 81,189 --------- Total Mining 292,362 --------------------------------------------------------------------- Miscellaneous Manufacturing - 1.8% Amano Corp.(a) 18,700 225,834 Bando Chemical Industries Ltd. 21,000 122,149 Kureha Corp. 48,000 211,172 Mitsuboshi Belting Co., Ltd. 16,000 83,885 Nikkiso Co., Ltd. 12,000 98,909 Nippon Valqua Industries Ltd. 21,000 72,304 Okamoto Industries, Inc. 32,000 112,125 Pentax Corp. 16,000 97,657 Sekisui Plastics Co., Ltd. 37,000 121,280 Shin-Etsu Polymer Co., Ltd. 6,700 72,758 Tokai Rubber Industries, Inc. 11,800 247,767 --------- Total Miscellaneous Manufacturing 1,465,840 --------------------------------------------------------------------- Office Furnishings - 0.4% Kokuyo Co., Ltd. 14,400 149,490 Okamura Corp. 16,000 125,618 --------- Total Office Furnishings 275,108 --------------------------------------------------------------------- Office/Business Equipment - 0.1% Canon Finetech, Inc. 5,900 101,364 --------------------------------------------------------------------- Oil & Gas - 0.2% AOC Holdings, Inc. 6,000 97,866 Kanto Natural Gas Development Ltd. 7,000 43,942 --------- Total Oil & Gas 141,808 --------------------------------------------------------------------- Packaging & Containers - 0.2% Fuji Seal International, Inc. 3,800 82,929 Nihon Yamamura Glass Co., Ltd. 32,000 77,346 --------- Total Packaging & Containers 160,275 --------------------------------------------------------------------- Pharmaceuticals - 2.6% Kaken Pharmaceutical Co., Ltd. 27,000 195,548 Kobayashi Pharmaceutical Co., Ltd. 4,800 170,273 Kyorin Co., Ltd. 25,000 357,563 Miraca Holdings, Inc. 11,000 249,141 Mochida Pharmaceutical Co., Ltd. 18,000 170,430 Nippon Shinyaku Co., Ltd. 24,000 210,964 Seikagaku Corp. 12,500 144,112 SSP Co., Ltd.(a) 38,000 176,429 Toho Pharmaceutical Co., Ltd. 4,500 77,273 Tsumura & Co. 5,863 104,246 ZERIA Pharmaceutical Co., Ltd. 22,000 202,182 --------- Total Pharmaceuticals 2,058,161 --------------------------------------------------------------------- Real Estate - 1.1% Ardepro Co., Ltd. 986 255,470 Arnest One Corp.(a) 10,700 60,749 Atrium Co., Ltd. 8,100 222,546 Iida Home Max(a) 11,000 140,877 Sumitomo Real Estate Sales Co., Ltd. 6 465 Tokyu Livable, Inc. 6,300 108,017 Touei Housing Corp.(a) 8,000 77,346 --------- Total Real Estate 865,470 --------------------------------------------------------------------- Retail - 7.4% Alpen Co., Ltd. 9,400 125,944 AOKI Holdings, Inc. 6,400 126,592 Arcs Co., Ltd. 15,910 224,371 Aucnet, Inc. 8,500 170,717 Belluna Co., Ltd. 4,000 40,551 Best Denki Co., Ltd.(a) 55,000 388,296 Chiyoda Co., Ltd. 10,100 144,982 Circle K Sunkus Co. Ltd. 18,800 291,771 Culture Convenience Club Co., Ltd. 31,300 108,583 Don Quijote Co., Ltd. 4,800 99,118 Edion Corp. 31,400 349,177 Gigas K's Denki Corp. 3,200 69,695 Gulliver International Co., Ltd. 2,970 140,476 Hankyu Department Stores, Inc. 32,000 264,035 Heiwado Co., Ltd. 8,000 127,357 Izumiya Co., Ltd. 17,000 95,188 Kasumi Co., Ltd. 17,000 87,058 Keiyo Co., Ltd. 2,000 10,555 Kisoji Co., Ltd. 6,400 118,524 Kojima Co., Ltd.(a) 6,400 38,729 Komeri Co., Ltd. 6,400 171,943 Konaka Co., Ltd. 3,220 24,441 Matsumotokiyoshi Co., Ltd. 8,000 147,807 Ministop Co., Ltd. 7,600 135,461 MOS Food Services, Inc.(a) 7,500 102,834 Nishimatsuya Chain Co., Ltd. 5,200 65,873 Parco Co., Ltd. 11,200 149,281 Plenus Co., Ltd. 20,900 341,262 Point, Inc. 1,700 58,532 Right On Co., Ltd. 3,500 37,552 Royal Holdings Co., Ltd. 10,100 119,252 Ryohin Keikaku Co., Ltd. 6,500 373,560 Seiko Holdings Corp. 12,000 70,739 Senshukai Co., Ltd. 12,600 158,301 Shimachu Co., Ltd. 4,800 126,870 Sundrug Co., Ltd. 8,000 181,889 UNY Co., Ltd. 24,000 208,877 USS Co., Ltd. 3,950 259,292 Xebio Co., Ltd. 3,500 85,206 Zensho Co., Ltd. 8,400 84,792 --------- Total Retail 5,925,483 --------------------------------------------------------------------- See Notes to Financial Statements. 58 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree Japan SmallCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- Semiconductors - 0.3% Mimasu Semiconductor Industry Co., Ltd. 4,400 $ 98,700 Sanken Electric Co., Ltd. 14,000 68,530 Shinkawa Ltd. 5,700 104,322 ----------- Total Semiconductors 271,552 ------------------------------------------------------------------------------- Software - 2.2% Capcom Co., Ltd.(a) 14,800 340,999 Fuji Soft ABC, Inc.(a) 3,200 65,383 Hitachi Software Engineering Co., Ltd. 9,900 188,506 Koei Co., Ltd.(a) 21,700 415,077 NEC Mobiling Ltd. 4,800 76,247 Nihon Unisys Ltd. 6,800 83,954 Nippon System Development Co., Ltd. 6,000 94,840 OBIC Business Consultants Ltd. 3,100 179,237 Sumisho Computer Systems Corp. 10,600 207,364 Trans Cosmos, Inc.(a) 6,500 106,417 ----------- Total Software 1,758,024 ------------------------------------------------------------------------------- Storage/Warehousing - 0.5% Mitsui-Soko Co., Ltd.(a) 27,000 125,358 Sumitomo Warehouse Co., Ltd. (The) 44,000 280,798 ----------- Total Storage/Warehousing 406,156 ------------------------------------------------------------------------------- Telecommunications - 0.8% Denki Kogyo Co., Ltd. 19,000 131,166 Hitachi Kokusai Electric, Inc. 12,000 149,719 Nippon Denwa Shisetsu Co., Ltd. 18,000 62,601 Uniden Corp. 47,000 310,976 ----------- Total Telecommunications 654,462 ------------------------------------------------------------------------------- Textiles - 0.9% Kurabo Industries Ltd. 52,000 129,305 Nitto Boseki Co., Ltd. 32,000 92,649 Seiren Co., Ltd. 6,500 42,838 Toyobo Co., Ltd. 169,000 395,261 Unitika Ltd.(a) 66,000 78,616 ----------- Total Textiles 738,669 ------------------------------------------------------------------------------- Toys/Games/Hobbies - 0.2% Sanrio Co., Ltd.(a) 2,700 27,889 TOMY Co., Ltd.(a) 17,300 91,602 ----------- Total Toys/Games/Hobbies 119,491 ------------------------------------------------------------------------------- Transportation - 3.4% Daiichi Chuo Kisen Kaisha 61,000 593,479 Fukuyama Transporting Co., Ltd.(a) 22,000 101,378 Hitachi Transport System Ltd. 6,900 79,670 Iino Kaiun Kaisha, Ltd. 22,500 317,893 Keisei Electric Railway Co., Ltd. 35,000 193,844 Kintetsu World Express, Inc. 1,100 37,586 Maruzen Showa Unyu Co., Ltd. 9,000 30,909 Nippon Konpo Unyu Soko Co., Ltd. 5,000 67,991 Nishi-Nippon Railroad Co., Ltd. 69,000 247,168 Sagami Railway Co., Ltd. 85,000 298,570 Sankyu, Inc. 19,000 109,194 Seino Holdings Corp. 30,000 276,747 Senko Co., Ltd. 11,000 36,343 Shinwa Kaiun Kaisha, Ltd. 32,000 331,922 ----------- Total Transportation 2,722,694 ------------------------------------------------------------------------------- Venture Capital - 0.1% Jafco Co., Ltd. 2,500 92,597 ------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $84,327,609) 79,165,775 =============================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 13.7% MONEY MARKET FUNDS(b) - 13.7% AIM Liquid Assets Portfolio, 5.11% 65 65 UBS Enhanced Yield Portfolio, 5.38% 2,992,848 2,992,848 UBS Private Money Market Fund LLC, 5.21% 7,931,560 7,931,560 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $10,924,473)(c) 10,924,473 =============================================================================== TOTAL INVESTMENTS IN SECURITIES - 113.2% (Cost: $95,252,082)(d) 90,090,248 Liabilities in Excess of Foreign Currency and Other Assets - (13.2)% (10,510,970) ----------- NET ASSETS - 100.0% $79,579,278 =============================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $10,301,312 and the total market value of the collateral held by the Fund was $10,924,473. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Funds 59 Schedule of Investments (unaudited) WisdomTree Pacific ex-Japan Total Dividend Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- COMMON STOCKS - 98.8% Australia - 58.2% A.B.C. Learning Centres Ltd.(a) 44,491 $ 258,676 ABB Grain Ltd. 18,758 128,649 Adelaide Bank Ltd.(a) 34,090 426,273 Adelaide Brighton Ltd.(a) 168,485 588,948 Alesco Corp., Ltd.(a) 29,462 338,420 Alumina Ltd. 120,584 761,915 Amcor Ltd.(a) 125,647 820,592 AMP Ltd. 238,112 2,220,960 APN News & Media Ltd.(a) 83,928 387,700 Aristocrat Leisure Ltd.(a) 38,903 478,538 ASG Group Ltd. 42,414 54,425 Auspine Ltd. 18,804 94,851 Austal Ltd. 31,151 93,452 Austbrokers Holdings Ltd. 58,117 215,494 Australia & New Zealand Banking Group Ltd. 302,267 7,944,491 Australian Agricultural Co., Ltd. 42,167 107,469 Australian Stock Exchange Ltd.(a) 20,934 995,748 Australian Wealth Management Ltd. 7,818 17,158 AXA Asia Pacific Holdings Ltd. 143,565 990,974 Bank of Queensland Ltd.(a) 30,923 470,136 Beach Petroleum Ltd. 52,581 69,332 Bendigo Bank Ltd.(a) 34,652 420,115 BHP Billiton Ltd. 199,398 7,861,174 Billabong International Ltd.(a) 30,099 399,009 BlueScope Steel Ltd.(a) 153,387 1,459,204 Boral Ltd.(a) 80,170 510,105 Bravura Solutions Ltd. 57,014 88,295 Caltex Australia Ltd.(a) 30,383 632,930 Centennial Coal Co Ltd.(a) 50,666 167,242 Challenger Financial Services Group Ltd. 117,620 645,345 Coca-Cola Amatil Ltd.(a) 127,270 1,013,649 Cochlear Ltd. 8,225 567,449 Coles Group Ltd. 134,930 1,838,859 Commander Communications Ltd.(a) 143,894 75,767 Commonwealth Bank of Australia 225,261 11,241,052 Computershare Ltd. 54,481 447,899 Corporate Express Australia Ltd.(a) 68,756 429,570 Crane Group Ltd. 446 6,737 CSL Ltd. 7,915 751,570 CSR Ltd. 146,767 403,931 David Jones Ltd.(a) 146,690 662,048 Devine Ltd. 62,110 73,652 Dominion Mining Ltd. 39,174 129,655 Domino's Pizza Enterprises Ltd. 22,643 66,526 Downer EDI Ltd. 53,967 298,966 Fantastic Holdings Ltd. 12,534 44,368 Felix Resources Ltd. 9,802 49,790 Fleetwood Corp. Ltd. 11,566 98,771 Flight Centre Ltd. 732 14,057 Foster's Group Ltd. 275,807 1,593,813 Futuris Corp., Ltd.(a) 244,800 461,434 Goodman Fielder Ltd. 75,852 173,183 GRD Ltd. 38,772 82,347 GUD Holdings Ltd.(a) 11,166 102,272 Gunns Ltd. 13,649 33,700 GWA International Ltd.(a) 64,477 223,100 Harvey Norman Holdings Ltd. 107,301 565,938 Healthscope Ltd.(a) 22,650 115,454 Hills Industries Ltd.(a) 81,312 420,949 IBT Education Ltd. 62,314 110,014 Incitec Pivot Ltd. 1,685 127,552 Independence Group NL 6,829 39,584 Insurance Australia Group Ltd.(a) 390,423 1,813,901 Iress Market Technology Ltd.(a) 13,421 92,640 John FairFax Holdings Ltd.(a) 246,118 1,028,026 Jubilee Mines NL(a) 5,643 86,692 Just Group Ltd. 33,182 152,695 Leighton Holdings Ltd.(a) 20,148 918,244 Lend Lease Corp. Ltd. 63,252 1,057,925 Lion Nathan Ltd. 77,324 631,589 MacArthur Coal Ltd.(a) 19,681 118,434 Macmahon Holdings Ltd. 25,353 37,468 Macquarie Bank Ltd.(a) 29,177 2,179,224 Mariner Financial Ltd. 125,308 70,416 Metcash Ltd.(a) 100,121 418,202 MFS Ltd.(a) 97,497 404,653 Minara Resources Ltd.(a) 108,957 627,704 National Australia Bank Ltd. 259,159 9,107,204 New Hope Corp. Ltd.(a) 91,422 194,169 Nufarm Ltd.(a) 41,082 487,528 OneSteel Ltd.(a) 115,291 703,985 Orica Ltd. 27,434 730,760 Origin Energy Ltd. 85,158 776,214 Oxiana Ltd.(a) 103,772 356,312 Pacific Brands Ltd. 192,015 526,764 PaperlinX Ltd. 134,457 361,723 Perilya Ltd. 63,605 224,586 Perpetual Ltd.(a) 6,325 408,995 Publishing & Broadcasting Ltd.(a) 72,704 1,267,487 Qantas Airways Ltd. 207,569 1,024,980 QBE Insurance Group Ltd. 80,488 2,407,502 Rio Tinto Ltd.(a) 24,653 2,361,001 Santos Ltd. 83,203 1,108,139 Seek Ltd.(a) 77,584 625,474 Servcorp Ltd. 15,137 67,915 Seven Network Ltd.(a) 43,948 509,483 Sims Group Ltd.(a) 24,436 698,044 Sonic Healthcare Ltd. 30,406 419,762 SP Telemedia Ltd.(a) 215,897 85,021 Specialty Fashion Group Ltd. 57,262 81,585 St.George Bank Ltd.(a) 89,038 2,788,527 Straits Resources Ltd. 14,615 60,141 STW Communications Group Ltd. 23,512 54,098 Suncorp-Metway Ltd. 177,665 3,191,661 See Notes to Financial Statements. 60 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree Pacific ex-Japan Total Dividend Fund September 30, 2007 ------------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------------- Sunland Group Ltd. 27,815 $ 99,690 Symbion Health Ltd. 138,498 511,091 TABCORP Holdings Ltd.(a) 107,441 1,440,462 Telstra Corp. Ltd. 2,306,515 8,899,419 Ten Network Holdings Ltd.(a) 143,700 345,895 Timbercorp Ltd.(a) 69,453 116,164 Toll Holdings Ltd. 28,873 334,976 Transfield Services Ltd.(a) 52,599 616,289 Transpacific Industries Group 4,959 49,590 United Group Ltd.(a) 31,842 522,149 Washington H. Soul Pattinson & Co., Ltd. 50,560 414,321 Wesfarmers Ltd.(a) 100,630 3,740,207 West Australian Newspapers Holdings Ltd.(a) 46,301 635,918 Westpac Banking Corp. 306,918 7,740,804 WHK Group Ltd. 193,576 342,610 Woodside Petroleum Ltd. 73,954 3,285,371 Woolworths Ltd. 120,952 3,180,056 WorleyParsons Ltd. 9,272 347,985 Zinifex Ltd. 157,724 2,473,320 ----------- Total Australia 127,274,466 ------------------------------------------------------------------------------------- Hong Kong - 28.3% Bank of East Asia Ltd. 135,416 759,995 Beijing Enterprises Holdings Ltd. 32,004 162,726 BOC Hong Kong (Holdings) Ltd. 1,304,891 3,308,986 Cathay Pacific Airways Ltd. 309,000 845,224 Cheung Kong (Holdings) Ltd. 163,015 2,690,110 China Merchants Holdings (International) Co., Ltd. 90,009 560,192 China Mobile Ltd. 1,099,613 18,018,668 China Netcom Group Corp. Ltd. 289,004 773,787 China Overseas Land & Investment Ltd. 200,026 456,767 China Power International Development Ltd. 233,000 122,069 China Resources Enterprise, Ltd. 108,009 458,805 China Resources Power Holdings Co. Ltd. 148,017 460,133 China Travel International Investment Hong Kong Ltd. 276,052 204,321 China Unicom Ltd. 436,047 902,555 Chong Hing Bank Ltd.(a) 52,000 113,657 CITIC International Financial Holdings Ltd. 364,039 291,469 CITIC Pacific Ltd. 208,026 1,328,170 CLP Holdings Ltd. 352,031 2,437,910 CNOOC Ltd. 3,273,140 5,502,528 Cross-Harbour Holdings Ltd. 6,000 6,534 Dah Sing Banking Group Ltd. 83,204 183,787 Denway Motors Ltd. 520,052 301,910 Fountain Set (Holdings) Ltd. 50,000 18,279 Fubon Bank (Hong Kong) Ltd. 256,000 151,584 Guangdong Investment Ltd. 408,039 279,952 Guangzhou Investment Co., Ltd. 208,022 65,068 Hang Seng Bank Ltd. 259,127 4,606,391 Henderson Investment Ltd. 189,017 313,867 Hong Kong & China Gas Co., Ltd. (The)(a) 167,309 389,809 Hong Kong Aircraft Engineering Co., Ltd. 10,399 235,457 Hong Kong Exchanges and Clearing Ltd. 62,004 1,896,359 Hongkong & Shanghai Hotels Ltd. (The) 141,506 251,003 Hongkong Electric Holdings Ltd. 247,025 1,284,626 Hopewell Holdings Ltd. 84,006 401,179 Hutchison Whampoa Ltd. 234,000 2,504,565 Industrial & Commercial Bank of China Ltd. 19,015 53,114 Link REIT (The) 15,000 33,017 MTR Corp.(a) 402,530 1,199,510 New World Development Co., Ltd. 331,022 916,115 Oriental Press Group Ltd. 1,132,047 180,693 PCCW Ltd. 1,014,054 670,932 Poly Hong Kong Investment Ltd. 105,000 126,644 Shanghai Industrial Holdings Ltd. 57,006 284,713 Shaw Brothers (Hong Kong) Ltd. 78,006 141,178 Shell Electric Manufacturing Co., Ltd. 62,000 63,846 Shun TAK Holdings Ltd. 112,004 180,506 Singamas Container Holdings Ltd.(a) 412,000 250,319 Sino Land Co. Ltd. 370,022 921,167 Sun Hung Kai & Co., Ltd. 65,000 92,873 Sun Hung Kai Properties Ltd. 135,000 2,276,457 Television Broadcasts Ltd. 26,002 156,307 Tianjin Development Holdings Ltd. 46,000 65,607 Vitasoy International Holdings Ltd. 268,000 116,257 Wharf (Holdings) Ltd. (The) 261,017 1,283,473 Wing Hang Bank Ltd. 26,002 299,226 Wing Lung Bank Ltd. 26,004 269,625 ----------- Total Hong Kong 61,870,021 ------------------------------------------------------------------------------------- New Zealand - 2.8% Air New Zealand Ltd. 116,111 216,702 Auckland International Airport Ltd. 204,530 483,719 Blue Chip Financial Solutions Ltd. 155,986 96,628 CanWest MediaWorks (NZ) Ltd. 36,811 74,821 Contact Energy Ltd. 60,064 417,082 Fisher & Paykel Appliances Holdings Ltd. 57,074 153,525 Fletcher Building Ltd. 101,713 975,281 Freightways Ltd. 22,271 63,946 Hallenstein Glasson Holdings Ltd. 15,940 53,717 Hellaby Holdings Ltd. 19,088 38,942 Infratil Ltd. 42,627 95,661 Mainfreight Ltd. 11,020 55,789 New Zealand Refining Co., Ltd. (The) 78,966 453,467 Nuplex Industries Ltd. 20,246 112,286 PGG Wrightson Ltd. 28,815 42,021 Port of Tauranga Ltd. 19,422 98,324 Ryman Healthcare Ltd. 126,073 198,142 Sanford Ltd. 54,312 178,516 Telecom Corp. of New Zealand Ltd.(a) 578,963 1,955,465 Tourism Holdings Ltd. 23,893 43,329 Turners & Growers 8,579 14,909 Vector Ltd. 86,650 160,408 ----------- Total New Zealand 5,982,680 ------------------------------------------------------------------------------------- Singapore - 9.5% Ascott Group Ltd. (The) 55,314 60,738 See Notes to Financial Statements. WisdomTree International Dividend Funds 61 Schedule of Investments (unaudited) (concluded) WisdomTree Pacific ex-Japan Total Dividend Fund September 30, 2007 -------------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------------- Boustead Singapore Ltd. 3,000 $ 4,850 Cerebos Pacific Ltd. 26,000 70,410 CH Offshore Ltd. 22,000 13,486 China Aviation Oil Singapore Corp. Ltd. 33,000 56,465 City Developments Ltd. 26,000 283,741 ComfortDelgro Corp., Ltd. 208,000 271,831 Cosco Corp. (Singapore) Ltd. 54,000 216,444 DBS Group Holdings Ltd. 136,000 1,978,915 FJ Benjamin Holdings Ltd. 41,000 24,858 Fraser and Neave Ltd. 108,070 414,968 GMG Global Ltd. 280,000 25,464 Guocoland Ltd.(a) 52,000 178,652 Hong Leong Asia Ltd. 76,000 198,646 Hotel Plaza Ltd. 77,000 112,560 Hotel Properties Ltd. 51,000 162,161 Inter-Roller Engineering Ltd. 27,000 15,278 Jardine Cycle & Carriage Ltd. 24,250 302,216 Jaya Holdings Ltd. 104,000 140,119 Keppel Corp. Ltd. 58,000 562,633 Keppel Land Ltd. 26,000 145,374 Keppel Telecommunications & Transportation Ltd. 52,000 157,634 Labroy Marine Ltd. 72,000 118,347 MobileOne Ltd. 136,000 187,814 Neptune Orient Lines Ltd. 15,000 53,555 Oversea-Chinese Banking Corp. Ltd. 230,000 1,378,962 Parkway Holdings Ltd. 78,000 222,790 Petra Foods Ltd. 77,720 84,293 Raffles Education Corp., Ltd. 53,000 81,761 SBS Transit Ltd. 39,000 80,393 SembCorp Industries Ltd. 104,000 451,885 SembCorp Marine Ltd. 177,800 550,965 SIA Engineering Co., Ltd. 76,000 250,867 Singapore Airlines Ltd. 98,400 1,232,941 Singapore Airport Terminal Services Ltd. 104,000 191,963 Singapore Exchange Ltd. 52,000 451,885 Singapore Petroleum Co., Ltd. 54,000 247,364 Singapore Post Ltd. 286,000 235,050 Singapore Press Holdings Ltd. 180,000 523,830 Singapore Reinsurance Corp., Ltd. 919,000 219,775 Singapore Technologies Engineering Ltd. 182,000 478,157 Singapore Telecommunications Ltd. 1,722,450 4,664,522 SMRT Corp. Ltd. 213,000 245,364 StarHub Ltd. 186,080 388,594 Straits Trading Co., Ltd. 47,000 143,110 Unisteel Technology Ltd. 56,250 81,470 United Engineers Ltd. 54,000 141,871 United Overseas Bank Ltd. 131,000 1,950,285 UOB Kay Hian Holdings Ltd. 104,000 150,628 Venture Corp., Ltd. 25,000 277,881 WBL Corp., Ltd. 26,000 69,009 Wing Tai Holdings Ltd. 52,000 135,215 XP Power Ltd. 2,306 16,937 ------------ Total Singapore 20,704,926 -------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $179,346,214) $215,832,093 ====================================================================================== SHORT-TERM INVESTMENT - 0.1% MONEY MARKET FUND - 0.1% United States - 0.1% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $302,768) 302,768 302,768 ====================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 13.1% MONEY MARKET FUNDS(c) - 13.1% UBS Enhanced Yield Portfolio, 5.38%, 9,512,381 9,512,381 UBS Private Money Market Fund LLC, 5.21%, 19,072,607 19,072,607 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $28,584,988)(d) 28,584,988 ====================================================================================== TOTAL INVESTMENTS IN SECURITIES - 112.0% (Cost: $208,233,970)(e) 244,719,849 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (12.0)% (26,161,524) ------------ NET ASSETS - 100.0% $218,558,325 ====================================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $27,134,880 and the total market value of the collateral held by the Fund was $28,584,988. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 62 WisdomTree International Dividend Funds Schedule of Investment (unaudited) WisdomTree Pacific ex-Japan High-Yielding Equity Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- COMMON STOCKS - 98.7% Australia - 86.2% ABB Grain Ltd. 32,795 $ 224,920 Adelaide Bank Ltd.(a) 29,936 374,330 Adelaide Brighton Ltd.(a) 178,129 622,659 Alesco Corp., Ltd. 36,847 423,249 Amcor Ltd.(a) 181,436 1,184,946 AMP Ltd. 300,923 2,806,822 APN/UKA European Retail Trust 101,712 120,613 Austereo Group Ltd. 127,424 281,910 Australia & New Zealand Banking Group Ltd. 296,050 7,781,089 AWB Ltd.(a) 173,193 377,037 Bank of Queensland Ltd.(a) 18,685 284,076 BlueScope Steel Ltd. 163,876 1,558,988 Cardno Ltd. 2,886 20,304 Coca-Cola Amatil Ltd. 154,565 1,231,041 Coffey International Ltd. 8,749 26,479 Commander Communications Ltd. 72,054 37,940 Commonwealth Bank of Australia 180,398 9,002,284 Crane Group Ltd.(a) 28,742 434,180 CSR Ltd. 195,143 537,072 David Jones Ltd.(a) 145,916 658,555 Equigold NL 37,053 85,254 Foster's Group Ltd. 356,810 2,061,908 Funtastic Ltd. 25,241 31,830 Futuris Corp., Ltd.(a) 197,730 372,710 Gloucester Coal Ltd. 7,427 32,140 Goodman Fielder Ltd. 216,352 493,969 GrainCorp. Ltd. 26,742 231,920 Great Southern Plantations Ltd.(a) 172,519 354,196 GUD Holdings Ltd. 45,239 414,355 Gunns Ltd.(a) 132,632 327,470 GWA International Ltd.(a) 130,602 451,903 Hills Industries Ltd.(a) 87,833 454,708 Hpal Ltd. 19,250 42,929 IBT Education Ltd.(a) 183,422 323,827 Iluka Resources Ltd. 72,631 354,797 Insurance Australia Group Ltd.(a) 428,404 1,990,360 Invocare Ltd. 16,481 95,823 IWL Ltd. 12,013 67,825 John FairFax Holdings Ltd.(a) 314,267 1,312,682 Just Group Ltd. 97,417 448,288 Lion Nathan Ltd. 117,973 963,614 MacArthur Coal Ltd.(a) 97,491 586,668 Minara Resources Ltd. 155,033 893,149 Mortgage Choice Ltd. 41,098 92,743 National Australia Bank Ltd. 221,302 7,776,857 Pacific Brands Ltd. 162,677 446,279 Peet Ltd. 67,560 227,192 Perpetual Ltd.(a) 10,605 685,754 Photon Group Ltd. 3,738 20,509 Port Bouvard Ltd. 331,703 519,567 Primary Health Care Ltd. 48,343 521,074 Ridley Corp., Ltd.(a) 100,246 103,794 Salmat Ltd. 28,887 119,638 Select Harvests Ltd. 5,885 37,862 Service Stream Ltd. 22,267 42,169 Sims Group Ltd.(a) 36,122 1,031,868 Skilled Group Ltd.(a) 18,394 87,900 Southern Cross Broadcasting Australia Ltd. 34,983 530,624 Specialty Fashion Group Ltd. 32,476 46,271 Spotless Group Ltd.(a) 87,770 337,097 St.George Bank Ltd.(a) 102,553 3,211,795 STW Communications Group Ltd.(a) 80,405 185,002 Suncorp-Metway Ltd. 203,714 3,659,618 Sunland Group Ltd.(a) 139,812 501,093 TABCORP Holdings Ltd.(a) 139,541 1,870,825 Technology One Ltd. 34,596 33,677 Telstra Corp. Ltd. 1,948,605 7,518,464 Timbercorp Ltd.(a) 199,747 334,088 Treasury Group Ltd. 1,680 21,929 UXC Ltd. 24,988 53,072 Wattyl Ltd. 29,192 83,959 Wesfarmers Ltd. 108,680 4,039,408 West Australian Newspapers Holdings Ltd.(a) 62,493 858,306 Westpac Banking Corp. 319,362 8,054,655 Zinifex Ltd. 176,514 2,767,972 ---------- Total Australia 86,201,880 ----------------------------------------------------------------------------- Hong Kong - 5.6% Fubon Bank (Hong Kong) Ltd. 208 123 GZI Real Estate Investment Trust 621,290 248,719 Hang Seng Bank Ltd. 280,300 4,982,774 Next Media Ltd. 1,056,000 299,048 Oriental Press Group Ltd. 1,146 183 Prosperity Real Estate Investment Trust 219,104 46,536 ---------- Total Hong Kong 5,577,383 ----------------------------------------------------------------------------- New Zealand - 5.4% CanWest MediaWorks (NZ) Ltd. 46,295 94,098 Fisher & Paykel Appliances Holdings Ltd. 129,350 347,943 Fisher & Paykel Healthcare Corp. 150,746 375,882 Fletcher Building Ltd. 107,231 1,028,191 Freightways Ltd. 27,944 80,235 New Zealand Refining Co., Ltd. (The) 90,894 521,964 Nuplex Industries Ltd. 17,097 94,822 PGG Wrightson Ltd. 22,448 32,736 Sky City Entertainment Group Ltd. 152,758 602,513 Telecom Corp. of New Zealand Ltd.(a) 584,936 1,975,639 Vector Ltd. 170,057 314,813 ---------- Total New Zealand 5,468,836 ----------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Funds 63 Schedule of Investment (unaudited) (concluded) WisdomTree Pacific ex-Japan High-Yielding Equity Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- Singapore - 1.5% Creative Technology Ltd. 12,650 $ 51,982 HTL International Holdings Ltd. 61,000 34,518 Inter-Roller Engineering Ltd. 46,000 26,030 Jaya Holdings Ltd. 299,000 402,843 Jurong Technologies Industrial Corp., Ltd. 72,000 36,620 MobileOne Ltd. 270,100 373,003 Robinson & Co., Ltd. 5,510 18,039 SMRT Corp. Ltd. 436 502 StarHub Ltd. 790 1,650 UOB-Kay Hian Holdings Ltd. 379,000 548,924 ------------ Total Singapore 1,494,111 ---------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $88,953,524) 98,742,210 ============================================================================ SHORT-TERM INVESTMENT - 0.0% MONEY MARKET FUND - 0.0% United States - 0.0% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $10,699) 10,699 10,699 ============================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 18.3% MONEY MARKET FUNDS(c) - 18.3% UBS Enhanced Yield Portfolio, 5.38% 3,632,678 3,632,678 UBS Private Money Market Fund LLC, 5.21% 14,699,954 14,699,954 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $18,332,632)(d) 18,332,632 ============================================================================ TOTAL INVESTMENTS IN SECURITIES - 117.0% (Cost: $107,296,855)(e) 117,085,541 Liabilities in Excess of Foreign Currency and Other Assets - (17.0)% (17,055,545) ------------ NET ASSETS - 100.0% $100,029,996 ============================================================================ (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $17,207,625 and the total market value of the collateral held by the Fund was $18,332,632. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 64 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree International LargeCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------ COMMON STOCKS - 99.1% Australia - 7.0% AMP Ltd. 35,889 $ 334,750 Australia & New Zealand Banking Group Ltd. 52,894 1,390,214 BHP Billiton Ltd. 30,316 1,195,195 Coles Group Ltd. 2,961 40,353 Commonwealth Bank of Australia 35,056 1,749,377 Macquarie Bank Ltd. 3,697 276,128 National Australia Bank Ltd. 41,048 1,442,483 QBE Insurance Group Ltd. 12,567 375,896 Rio Tinto Ltd.(a) 3,609 345,631 St.George Bank Ltd.(a) 9,948 311,555 Suncorp-Metway Ltd. 4,983 89,517 Telstra Corp. Ltd. 315,309 1,216,583 Westpac Banking Corp. 46,031 1,160,952 Woodside Petroleum Ltd. 8,453 375,520 Woolworths Ltd. 20,170 530,307 ---------- Total Australia 10,834,461 ------------------------------------------------------------------------------ Austria - 0.3% Bank Austria Creditanstalt AG 1,511 311,586 OMV AG 1,292 86,046 ---------- Total Austria 397,632 ------------------------------------------------------------------------------ Belgium - 1.7% Belgacom S.A. 8,961 414,686 Dexia N.V. 13,623 411,503 Fortis N.V. 29,963 879,935 InBev N.V. 3,195 288,802 KBC Groep N.V. 4,465 612,638 ---------- Total Belgium 2,607,564 ------------------------------------------------------------------------------ Denmark - 0.6% Danske Bank A/S 11,121 450,348 Novo-Nordisk A/S Class B 3,555 427,982 ---------- Total Denmark 878,330 ------------------------------------------------------------------------------ Finland - 1.6% Fortum Oyj 22,311 816,719 Nokia Oyj 43,015 1,630,892 ---------- Total Finland 2,447,611 ------------------------------------------------------------------------------ France - 14.4% Accor S.A. 2,933 259,697 Alcatel-Lucent 3,799 38,900 AXA S.A. 46,833 2,090,019 BNP Paribas 13,625 1,486,975 Bouygues S.A. 3,851 331,285 Carrefour S.A. 9,283 648,605 Christian Dior S.A. 1,490 190,159 Cie de Saint-Gobain S.A. 4,487 467,039 CNP Assurances S.A. 1,644 209,743 Credit Agricole S.A. 20,857 802,351 Electricite de France 8,291 874,306 Gaz de France(a) 7,130 369,499 Groupe Danone 5,880 461,596 Lafarge S.A. 2,459 379,956 L'Air Liquide S.A. 3,240 432,485 L'Oreal S.A. 5,723 748,784 LVMH Moet Hennessy Louis Vuitton S.A. 4,452 532,282 Natixis 39,385 870,977 Peugeot S.A. 3,781 311,229 PPR S.A. 2,189 410,740 Renault S.A. 5,099 736,901 Sanofi-Aventis 10,541 890,158 Schneider Electric S.A. 3,583 451,467 Societe Generale 6,602 1,104,901 Suez S.A. 24,551 1,441,997 TOTAL S.A. 45,141 3,660,528 Vallourec 121 34,760 Veolia Environnement S.A. 3,389 291,060 VINCI S.A. 6,698 521,904 Vivendi S.A. 25,378 1,068,303 ---------- Total France 22,118,606 ------------------------------------------------------------------------------ Germany - 8.8% Allianz SE 4,475 1,042,761 BASF AG 6,578 907,425 Bayer AG 8,475 672,783 Bayer Schering Pharma AG 1,318 197,092 Bayerische Motoren Werke AG 3,366 216,514 Commerzbank AG 5,294 213,744 DaimlerChrysler AG 14,897 1,496,563 Deutsche Bank AG 4,163 535,086 Deutsche Boerse AG 1,710 232,244 Deutsche Post AG 16,746 485,832 Deutsche Postbank AG 1,468 107,496 Deutsche Telekom AG 105,519 2,067,879 E.ON AG 9,311 1,716,909 Metro AG 3,041 273,930 Muenchener Rueckversicherungs-Gesellshaft AG 2,764 529,757 RWE AG 5,931 743,947 SAP AG 3,790 221,257 Siemens AG 7,240 992,774 ThyssenKrupp AG 5,733 364,121 Volkswagen AG 2,454 553,158 ---------- Total Germany 13,571,272 ------------------------------------------------------------------------------ Hong Kong - 4.3% BOC Hong Kong (Holdings) Ltd. 198,471 503,289 Cheung Kong (Holdings) Ltd. 20,786 343,015 China Mobile Ltd. 186,919 3,062,925 China Netcom Group Corp. (Hong Kong) Ltd. 1,000 2,677 China Unicom Ltd. 84,110 174,096 CLP Holdings Ltd. 45,110 312,399 CNOOC Ltd. 353,529 594,323 See Notes to Financial Statements. WisdomTree International Dividend Funds 65 Schedule of Investments (unaudited) (continued) WisdomTree International LargeCap Dividend Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- Hang Seng Bank Ltd. 41,895 $ 744,750 Hong Kong & China Gas Co., Ltd. (The) 657 1,531 Hutchison Whampoa Ltd. 44,110 472,121 MTR Corp. 110 328 Sun Hung Kai Properties Ltd. 24,442 412,157 ---------- Total Hong Kong 6,623,611 ----------------------------------------------------------------------------- Ireland - 0.5% Allied Irish Banks PLC 13,075 316,108 Anglo Irish Bank Corp. PLC 3,173 58,662 Bank of Ireland 13,381 248,339 CRH PLC 3,305 129,914 ---------- Total Ireland 753,023 ----------------------------------------------------------------------------- Italy - 7.5% Assicurazioni Generali SpA 10,940 480,130 Atlantia SpA 3,195 107,642 Banca Intesa SpA 302,933 2,332,869 Banca Monte dei Paschi di Siena S.p.A 20,957 128,232 Capitalia SpA 33,984 323,813 Enel SpA 198,545 2,241,943 Eni SpA 89,689 3,315,055 Luxottica Group SpA 2,074 70,405 Mediobanca SpA(a) 9,845 214,776 Telecom Italia SpA 376,177 1,140,845 UniCredito Italiano SpA 141,981 1,211,509 ---------- Total Italy 11,567,219 ----------------------------------------------------------------------------- Japan - 6.2% Astellas Pharma, Inc. 4,300 205,999 Bridgestone Corp. 2,200 48,585 Canon, Inc. 6,600 359,796 Chubu Electric Power Co., Inc. 6,600 170,717 Daiwa Securities Group, Inc. 8,000 76,094 DENSO CORP. 4,400 165,648 Eisai Co., Ltd. 3,900 184,124 Fanuc Ltd. 2,000 203,626 Fuji Photo Film Co., Ltd. 2,200 101,569 Hitachi Ltd. 22,000 146,329 Honda Motor Co., Ltd. 9,100 305,404 Hoya Corp. 1,900 64,757 Japan Tobacco, Inc. 26 142,642 JFE Holdings, Inc. 2,200 155,701 Kansai Electric Power Co., Inc. (The) 6,600 150,633 Kao Corp. 4,000 119,289 KDDI Corp. 4 29,631 Komatsu Ltd. 6,800 228,214 Kyocera Corp. 2,000 187,280 Matsushita Electric Industrial Co., Ltd. 2,000 37,473 Millea Holdings, Inc. 4,000 160,675 Mitsubishi Corp. 6,700 212,042 Mitsubishi Electric Corp. 20,000 250,402 Mitsubishi Estate Co., Ltd. 1,220 34,898 Mitsubishi UFJ Financial Group, Inc. 39,000 341,121 Mitsui & Co., Ltd. 2,000 48,515 Mitsui Fudosan Co., Ltd. 1,220 33,837 Mitsui Sumitomo Insurance Co., Ltd. 1,000 11,729 Nippon Steel Corp. 61,000 438,612 Nippon Telegraph & Telephone Corp. 94 438,882 Nissan Motor Co., Ltd. 35,700 357,264 Nomura Holdings, Inc. 15,100 252,859 NTT DoCoMo, Inc. 330 470,547 Sharp Corp. 2,000 36,256 SOFTBANK CORP. 2,500 46,081 Sony Corp. 1,600 77,486 Sumitomo Corp. 8,800 169,856 Sumitomo Metal Industries Ltd. 39,000 227,188 Sumitomo Realty & Development Co., Ltd. 1,220 42,854 Sumitomo Trust & Banking Co., Ltd. (The) 8,000 60,444 Suzuki Motor Corp. 2,200 65,035 T&D Holdings, Inc. 7,800 479,468 Takeda Pharmaceutical Co., Ltd. 8,900 625,240 Tokyo Electric Power Co., Inc. (The) 11,000 277,355 Tokyo Gas Co., Ltd. 22,000 102,334 Toshiba Corp. 22,000 205,243 Toyota Motor Corp. 17,600 1,037,499 Yahoo Japan Corp. 24 9,077 ---------- Total Japan 9,596,310 ----------------------------------------------------------------------------- Netherlands - 5.1% ABN AMRO Holding N.V. 50,915 2,675,502 AEGON N.V. 22,707 433,692 Akzo Nobel N.V. 3,327 273,480 European Aeronautic Defence & Space Co. EADS N.V. 11,171 342,520 Heineken N.V. 1,071 70,094 ING Groep N.V. 34,424 1,524,003 Koninklijke Philips Electronics N.V. 9,896 445,429 Royal KPN N.V. 44,680 773,302 STMicroelectronics N.V. 5,533 92,773 TNT N.V. 4,291 179,412 Unilever N.V. 10,712 329,208 Unilever N.V. CVA 24,854 765,243 ---------- Total Netherlands 7,904,658 ----------------------------------------------------------------------------- Norway - 1.0% DnB NOR ASA 24,257 369,967 Norsk Hydro ASA 13,226 571,994 Statoil ASA 17,492 592,771 ---------- Total Norway 1,534,732 ----------------------------------------------------------------------------- Portugal - 0.2% Portugal Telecom, SGPS, S.A. 23,716 331,543 ----------------------------------------------------------------------------- Singapore - 1.1% DBS Group Holdings Ltd. 24,000 349,220 Oversea-Chinese Banking Corp. Ltd. 85,000 509,616 See Notes to Financial Statements. 66 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree International LargeCap Dividend Fund September 30, 2007 Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- Singapore Telecommunications Ltd. 198,500 $ 537,553 United Overseas Bank Ltd. 23,000 342,416 ----------- Total Singapore 1,738,805 ---------------------------------------------------------------------------------- Spain - 7.1% Abertis Infraestructuras S.A. 5,953 185,661 ACS, Actividades Construccion y Servicios, S.A. 2,038 112,166 Altadis, S.A. 2,845 199,630 Banco Bilbao Vizcaya Argentaria, Chile, S.A. 52,379 1,224,628 Banco Popular Espanol, S.A.(a) 15,984 273,916 Banco Santander Central Hispano, S.A. 143,964 2,790,582 Cia Espanola De Petroleos, S.A.(a) 2,559 256,933 Endesa S.A. 16,954 966,615 Gas Natural SDG, S.A. 5,975 336,495 Grupo Ferrovial S.A. 832 70,225 IBERDROLA, S.A. 13,330 781,039 Inditex S.A. 2,432 163,457 Repsol YPF, S.A. 13,579 483,750 Sacyr Vallehermoso, S.A.(a) 1,825 63,692 Telefonica, S.A. 99,239 2,770,435 Union Fenosa, S.A. 2,713 160,081 ----------- Total Spain 10,839,305 ---------------------------------------------------------------------------------- Sweden - 2.7% AB Volvo Class B 27,150 471,103 Atlas Copco AB Class A 26,020 448,479 H&M Hennes & Mauritz AB Class B 11,021 695,941 Nordea Bank AB 44,110 765,731 Sandvik AB 9,000 192,339 Skandinaviska Enskilda Banken AB 1,521 49,258 Svenska Handelsbanken AB Class A 8,821 272,714 Swedbank AB Class A 8,821 293,849 Telefonaktiebolaget LM Ericsson Class B 116,262 463,679 TeliaSonera AB 55,131 496,422 ----------- Total Sweden 4,149,515 ---------------------------------------------------------------------------------- Switzerland - 4.3% Credit Suisse Group 14,574 964,364 Holcim Ltd. 92 10,128 Nestle S.A. 4,216 1,887,493 Novartis AG 23,082 1,269,490 Roche Holding AG 4,006 723,906 Swiss Reinsurance Co. 4,137 367,238 Swisscom AG 542 205,419 UBS AG 20,802 1,114,711 Zurich Financial Services AG 110 32,886 ----------- Total Switzerland 6,575,635 ---------------------------------------------------------------------------------- United Kingdom - 24.7% Anglo American PLC 14,803 991,925 AstraZeneca PLC 18,452 920,656 Aviva PLC 40,446 606,483 BAE SYSTEMS PLC 38,259 384,668 Barclays PLC 129,119 1,566,525 BHP Billiton PLC 18,927 674,816 BP PLC 286,019 3,306,938 British American Tobacco PLC 33,984 1,213,037 British Sky Broadcasting PLC 16,790 237,739 BT Group PLC 185,283 1,158,882 Cadbury Schweppes PLC 23,988 277,104 Centrica PLC 57,857 448,514 Diageo PLC 45,058 985,920 GlaxoSmithKline PLC 84,450 2,231,543 HBOS PLC 70,342 1,310,581 HSBC Holdings PLC 217,427 4,006,704 Imperial Tobacco Group PLC 8,038 366,991 Legal & General Group PLC 158,555 431,571 Lloyds TSB Group PLC 176,061 1,945,935 Marks & Spencer Group PLC 16,520 207,159 National Grid PLC 55,583 887,817 Old Mutual PLC 79,582 259,904 Prudential PLC 29,547 452,385 Reed Elsevier PLC 16,388 206,338 Rio Tinto PLC 7,898 680,327 Royal Bank of Scotland Group (The) PLC 156,391 1,672,771 Royal Dutch Shell PLC Class A 61,861 2,542,074 Royal Dutch Shell PLC Class B 41,133 1,686,102 SABMiller PLC 13,885 393,777 Scottish & Southern Energy PLC 10,599 326,283 Shire PLC 1,008 24,664 Standard Chartered PLC 15,654 510,283 Tesco PLC 88,215 789,441 Unilever PLC 22,223 699,514 Vodafone Group PLC 887,276 3,190,573 Wolseley PLC 3,088 51,998 WPP Group PLC 6,480 87,397 Xstrata PLC 2,515 166,220 ----------- Total United Kingdom 37,901,559 ---------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $136,272,542) 152,371,391 ================================================================================== See Notes to Financial Statements. WisdomTree International Dividend Funds 67 Schedule of Investments (unaudited) (concluded) WisdomTree International LargeCap Dividend Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------------- RIGHTS* - 0.0% Italy - 0.0% Capitalia SpA, expiring on 10/03/07 (Cost: $0) 33,984 $ - ================================================================================= TOTAL LONG-TERM INVESTMENTS (Cost: $136,272,542) 152,371,391 ================================================================================= SHORT-TERM INVESTMENT - 0.5% MONEY MARKET FUND(b) - 0.5% United States - 0.5% Columbia Cash Reserves Fund, 4.99% (Cost: $687,692) 687,692 687,692 ================================================================================= INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 1.0% MONEY MARKET FUNDS(c) - 1.0% AIM Liquid Assets Portfolio, 5.11% 9 9 UBS Enhanced Yield Portfolio, 5.38% 924,605 924,605 UBS Private Money Market Fund LLC, 5.21% 642,226 642,226 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $1,566,840)(d) 1,566,840 ================================================================================= TOTAL INVESTMENTS IN SECURITIES - 100.6% (Cost: $138,527,074)(e) 154,625,923 Liabilities in Excess of Foreign Currency and Other Assets - (0.6)% (877,736) ------------ NET ASSETS - 100.0% $153,748,187 ================================================================================= * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $1,491,571 and the total market value of the collateral held by the Fund was $1,566,840. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 68 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree International Dividend Top 100 Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------ COMMON STOCKS - 99.1% Australia - 17.8% AMP Ltd. 689,521 $6,431,422 Australia & New Zealand Banking Group Ltd. 252,242 6,629,682 Commonwealth Bank of Australia 151,000 7,535,254 Macquarie Bank Ltd.(a) 64,451 4,813,832 National Australia Bank Ltd. 144,098 5,063,802 QBE Insurance Group Ltd. 172,477 5,159,015 St.George Bank Ltd.(a) 235,951 7,389,605 Suncorp-Metway Ltd. 404,132 7,260,026 Telstra Corp. Ltd. 2,244,240 8,659,138 Westpac Banking Corp. 285,396 7,197,996 Woodside Petroleum Ltd. 126,653 5,626,497 Woolworths Ltd. 211,873 5,570,537 ---------- Total Australia 77,336,806 ------------------------------------------------------------------------------ Belgium - 3.3% Belgacom S.A. 134,421 6,220,566 Dexia N.V. 143,812 4,344,050 Fortis N.V. 128,054 3,760,611 ---------- Total Belgium 14,325,227 ------------------------------------------------------------------------------ Denmark - 0.9% Danske Bank A/S 101,189 4,097,678 ------------------------------------------------------------------------------ Finland - 2.2% Fortum Oyj 110,412 4,041,756 Sampo Oyj Class A 185,810 5,657,584 ---------- Total Finland 9,699,340 ------------------------------------------------------------------------------ France - 12.6% AXA S.A. 99,710 4,449,763 BNP Paribas 45,848 5,003,656 Credit Agricole S.A. 152,919 5,882,663 Gaz de France(a) 84,854 4,397,399 L'Air Liquide S.A. 21,807 2,910,863 Natixis 191,034 4,224,607 Peugeot S.A. 58,758 4,836,607 Schneider Electric S.A. 36,324 4,576,912 Societe Generale 20,000 3,347,171 Suez S.A. 69,257 4,067,794 TOTAL S.A. 58,156 4,715,926 Vivendi S.A. 153,337 6,454,816 ---------- Total France 54,868,177 ------------------------------------------------------------------------------ Germany - 5.8% BASF AG 32,873 4,534,780 Bayer Schering Pharma AG 28,980 4,333,641 Deutsche Telekom AG 326,141 6,391,457 Muenchener Rueckversicherungs-Gesellshaft AG 24,588 4,712,612 RWE AG 41,947 5,261,562 ---------- Total Germany 25,234,052 ------------------------------------------------------------------------------ Hong Kong - 5.1% BOC Hong Kong (Holdings) Ltd. 2,586,132 6,557,999 China Netcom Group Corp. (Hong Kong) Ltd. 175 469 CLP Holdings Ltd. 691,553 4,789,191 CNOOC Ltd. 3,255,000 5,472,032 Hang Seng Bank Ltd. 301,116 5,352,812 ---------- Total Hong Kong 22,172,503 ------------------------------------------------------------------------------ Ireland - 1.1% Allied Irish Banks PLC 194,047 4,691,385 Bank of Ireland 553 10,263 ---------- Total Ireland 4,701,648 ------------------------------------------------------------------------------ Italy - 8.8% Banca Intesa SpA 1,165,753 8,977,392 Banca Monte dei Paschi di Siena SpA(a) 705,270 4,315,405 Enel SpA 661,167 7,465,810 Eni SpA 155,234 5,737,706 Mediobanca SpA(a) 203,076 4,430,260 Telecom Italia SpA 2,372,957 7,196,546 ---------- Total Italy 38,123,119 ------------------------------------------------------------------------------ Netherlands - 4.1% ABN AMRO Holding N.V. 77,821 4,089,371 AEGON N.V. 205,465 3,924,272 ING Groep N.V. 119,582 5,294,076 Royal KPN N.V. 266,293 4,608,882 ---------- Total Netherlands 17,916,601 ------------------------------------------------------------------------------ Norway - 1.4% DnB NOR ASA 408,016 6,223,048 ------------------------------------------------------------------------------ Portugal - 1.2% Portugal Telecom, SGPS, S.A. 376,368 5,261,523 ------------------------------------------------------------------------------ Singapore - 1.9% DBS Group Holdings Ltd. 226,000 3,288,491 Singapore Telecommunications Ltd. 1,824,500 4,940,880 ---------- Total Singapore 8,229,371 ------------------------------------------------------------------------------ Spain - 3.8% Banco Bilbao Vizcaya Argentaria, Chile, S.A. 147,850 3,456,753 Banco Santander Central Hispano, S.A. 195,681 3,793,060 Endesa S.A. 70,205 4,002,666 Telefonica, S.A. 182,707 5,100,593 ---------- Total Spain 16,353,072 ------------------------------------------------------------------------------ Sweden - 4.8% AB Volvo Class B 193,215 3,352,638 H&M Hennes & Mauritz AB Class B 13 821 Nordea Bank AB 278,411 4,833,098 Sandvik AB 2,358 50,393 Svenska Handelsbanken AB Class A 152,384 4,711,171 Swedbank AB Class A 118,500 3,947,527 TeliaSonera AB 438,000 3,943,933 ---------- Total Sweden 20,839,581 ------------------------------------------------------------------------------ Switzerland - 2.1% Swisscom AG 11,908 4,513,154 Zurich Financial Services AG 15,582 4,658,460 ---------- Total Switzerland 9,171,614 ------------------------------------------------------------------------------ See Notes to Financial Statements. WisdomTree International Dividend Funds 69 Schedule of Investments (unaudited) (concluded) WisdomTree International Dividend Top 100 Fund September 30, 2007 -------------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------------- United Kingdom - 22.2% AstraZeneca PLC 89,681 $ 4,474,604 Aviva PLC 254,552 3,816,978 Barclays PLC 313,234 3,800,284 BP PLC 302,653 3,499,260 British American Tobacco PLC 120,694 4,308,094 BT Group PLC 905,987 5,666,641 Centrica PLC 508,256 3,940,057 Compass Group PLC 473,335 2,912,332 Diageo PLC 161,770 3,539,710 GlaxoSmithKline PLC 140,776 3,719,923 HBOS PLC 206,264 3,843,019 HSBC Holdings PLC 259,619 4,784,212 Imperial Tobacco Group PLC 97,179 4,436,900 Legal & General Group PLC 1,427,455 3,885,387 Lloyds TSB Group PLC 715,945 7,913,066 National Grid PLC 189,401 3,025,267 Old Mutual PLC 1,465,618 4,786,518 Royal Bank of Scotland Group (The) PLC 459,125 4,910,838 Royal Dutch Shell PLC Class A 118,205 4,857,436 Scottish & Southern Energy PLC 164,641 5,068,364 Unilever PLC 149,537 4,706,981 Vodafone Group PLC 1,303,172 4,686,103 ------------ Total United Kingdom 96,581,974 -------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $402,116,759) 431,135,334 ====================================================================================== SHORT-TERM INVESTMENT - 0.4% MONEY MARKET FUND - 0.4% United States - 0.4% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $1,711,075) 1,711,075 1,711,075 ====================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 5.0% MONEY MARKET FUNDS(c) - 5.0% AIM Liquid Assets Portfolio, 5.11% 40 40 AIM Prime Portfolio, 5.08% 354 354 UBS Enhanced Yield Portfolio, 5.38% 18,427,996 18,427,996 UBS Private Money Market Fund LLC, 5.21% 3,493,705 3,493,705 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $21,922,095)(d) 21,922,095 ====================================================================================== TOTAL INVESTMENTS IN SECURITIES - 104.5% (Cost: $425,749,929)(e) 454,768,504 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (4.5)% (19,534,875) ------------ NET ASSETS - 100.0% $435,233,629 ====================================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $20,852,740 and the total market value of the collateral held by the Fund was $21,922,095. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 70 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree International MidCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------------ COMMON STOCKS - 99.3% Australia - 14.2% Alumina Ltd. 127,400 $ 804,983 Amcor Ltd.(a) 132,685 866,557 Aristocrat Leisure Ltd.(a) 56,392 693,667 Australian Stock Exchange Ltd.(a) 26,638 1,267,065 AXA Asia Pacific Holdings Ltd. 127,095 877,287 Billabong International Ltd.(a) 23,232 307,976 BlueScope Steel Ltd. 247,250 2,352,142 Boral Ltd.(a) 133,495 849,401 Caltex Australia Ltd.(a) 42,694 889,390 Coca-Cola Amatil Ltd.(a) 134,419 1,070,587 Computershare Ltd.(a) 91,167 749,501 CSL Ltd. 14,001 1,329,467 Foster's Group Ltd. 335,764 1,940,288 Goodman Fielder Ltd. 56,403 128,778 Harvey Norman Holdings Ltd.(a) 190,105 1,002,671 Incitec Pivot Ltd. 489 37,017 Insurance Australia Group Ltd.(a) 409,815 1,903,997 John FairFax Holdings Ltd.(a) 197,195 823,677 Leighton Holdings Ltd.(a) 44,186 2,013,774 Lend Lease Corp. Ltd. 78,911 1,319,831 Lion Nathan Ltd.(a) 97,334 795,033 Metcash Ltd.(a) 41,588 173,712 Newcrest Mining Ltd. 37,869 938,341 OneSteel Ltd. 19,141 116,878 Orica Ltd. 34,437 917,298 Origin Energy Ltd.(a) 109,069 994,163 Oxiana Ltd.(a) 96,876 332,634 Perpetual Ltd. 1,379 89,171 Publishing & Broadcasting Ltd.(a) 116,927 2,038,450 Qantas Airways Ltd. 370,268 1,828,393 Santos Ltd. 78,293 1,042,745 Sims Group Ltd. 10,996 314,114 Sonic Healthcare Ltd. 25,356 350,045 TABCORP Holdings Ltd.(a) 113,527 1,522,056 Tattersall's Ltd. 91,663 322,035 Toll Holdings Ltd. 40,033 464,451 Wesfarmers Ltd.(a) 97,877 3,637,883 WorleyParsons Ltd. 1,466 55,020 Zinifex Ltd. 177,730 2,787,040 ---------- Total Australia 39,947,518 ------------------------------------------------------------------------------------ Austria - 0.7% Andritz AG 97 6,684 BOEHLER-UDDEHOLM AG 3,730 389,571 Verbund - Oesterreichische Elektrizitatswirtschafts AG Class A 5,026 288,911 voestalpine AG 6,417 553,032 Wiener Staedtische AG 3,299 229,892 Wienerberger AG 6,652 414,922 ---------- Total Austria 1,883,012 ------------------------------------------------------------------------------------ Belgium - 2.3% AGFA-Gevaert N.V. 5,433 104,308 Bekaert S.A. 1,404 187,710 Compagnie Maritime Belge S.A. 4,513 333,744 Compagnie Nationale A Portefeuille S.A. 8,834 614,595 Delhaize Group 12,320 1,177,403 Groep Colruyt S.A. 2,057 433,392 KBC Ancora 6,986 780,306 Mobistar S.A. 8,897 776,253 Solvay S.A. 7,709 1,115,740 UCB S.A. 10,297 605,963 Umicore 1,170 278,872 ---------- Total Belgium 6,408,286 ------------------------------------------------------------------------------------ Denmark - 1.4% Carlsberg A/S Class B 1,850 252,015 Coloplast A/S Class B 1,700 161,199 D/S Norden 1,750 186,307 Danisco A/S 4,250 329,615 H. Lundbeck A/S 11,500 311,561 Novozymes A/S Class B 1,850 231,896 Sydbank A/S 3,650 158,428 TrygVesta A/S 17,350 1,386,980 Wacker Chemie AG 4,138 965,881 ---------- Total Denmark 3,983,882 ------------------------------------------------------------------------------------ Finland - 3.9% Elisa Oyj 16,382 507,889 Kemira Oyj 5,003 116,544 Kone Oyj Class B 4,487 326,398 Metso Oyj 17,624 1,210,589 Neste Oil Oyj 36,773 1,342,456 Nokian Renkaat Oyj 4,678 182,686 OKO Bank PLC Class A 29,127 600,633 Ramirent Oyj 5,993 129,463 Rautaruukki Oyj 31,070 1,877,471 Sanoma-WSOY Oyj 20,666 640,999 Stora Enso Oyj Class R 76,819 1,492,329 UPM-Kymmene Oyj 53,580 1,292,331 Uponor Oyj 9,625 297,992 Wartsila Oyj Class B 7,688 525,354 YIT Oyj 10,624 314,870 ---------- Total Finland 10,858,004 ------------------------------------------------------------------------------------ France - 8.6% Capgemini S.A. 6,839 420,361 Casino Guichard Perrachon S.A. 16,505 1,726,173 Cie Generale d'Optique Essilor International S.A. 9,200 575,686 Ciments Francais 2,287 400,963 Clarins 5,387 412,704 EIFFAGE 5,882 664,857 Etablissements Maurel et Prom(a) 12,041 256,519 Euler Hermes S.A. 3,457 459,533 Fonciere Des Regions 4,044 590,990 Iliad S.A. 374 34,567 See Notes to Financial Statements. WisdomTree International Dividend Funds 71 Schedule of Investments (unaudited) (continued) WisdomTree International MidCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------------ Imerys S.A. 6,087 $ 554,110 Ipsen 10,586 608,970 Klepierre 24,153 1,381,867 Lagardere SCA 7,459 633,180 Legrand S.A. 22,886 767,140 M6, Metropole Television 38,903 1,125,882 Neopost S.A. 4,271 600,840 Nexity 2,613 160,646 PagesJaunes S.A. 89,571 1,835,595 Publicis Groupe S.A. 20,393 836,415 Rallye S.A. 1,242 88,315 Remy Cointreau S.A. 6,205 448,281 Safran S.A. 2,163 52,079 SCOR SE 5,819 155,496 Societe BIC S.A. 9,357 800,020 Societe Des Autoroutes Paris-Rhin-Rhone 22,141 2,320,652 Societe Immobiliere de Location pour l'Industrie et le Commerce 1,525 255,634 Societe Television Francaise 1 27,583 739,432 Sodexho Alliance S.A. 19,641 1,354,723 Technip S.A. 8,564 763,641 Thales S.A. 16,283 951,978 Thomson 39,853 605,310 Valeo S.A. 13,150 729,723 Wendel Investissement 3,182 539,866 Zodiac S.A. 6,187 442,054 ---------- Total France 24,294,202 ------------------------------------------------------------------------------------ Germany - 3.6% ALTANA AG 39,403 947,025 AMB Generali Holding AG 2,987 465,874 Celesio AG 8,483 533,957 Deutsche Lufthansa AG 61,116 1,753,097 Fraport AG Frankfurt Airport Services Worldwide 5,570 384,107 Fresenius AG 3,406 256,336 Hannover Rueckversicheru AG 17,638 892,484 Heidelberger Druckmaschinen AG 4,311 188,096 Henkel KGaA 11,194 528,688 Hochtief AG 3,574 432,391 Hypo Real Estate Holding AG 18,644 1,057,400 K+S AG 3,182 581,770 Merck KGaA 1,940 233,409 Rheinmetall AG 2,716 215,183 Salzgitter AG 2,326 455,633 Stada Arzneimittel AG 4,006 260,530 Sudzucker AG 35,909 719,548 United Internet AG 13,502 303,197 ---------- Total Germany 10,208,725 ------------------------------------------------------------------------------------ Hong Kong - 7.0% Bank of East Asia Ltd. 203,367 1,141,357 Cathay Pacific Airways Ltd. 508,000 1,389,559 China Merchants Holdings (International) Co., Ltd. 152,321 948,005 China Overseas Land & Investment Ltd. 224,636 512,965 China Resources Enterprise, Ltd. 146,162 620,873 China Resources Power Holdings Co. Ltd. 74,321 231,038 CITIC Pacific Ltd. 416,562 2,659,596 Denway Motors Ltd. 253,129 146,951 Guangdong Investment Ltd. 180,808 124,051 Henderson Investment Ltd. 78,348 130,098 Hong Kong & China Gas Co., Ltd. (The)(a) 250,000 582,469 Hong Kong Exchanges and Clearing Ltd. 138,662 4,240,904 Hongkong Electric Holdings Ltd. 390,020 2,028,256 Hopewell Holdings Ltd.(a) 122,162 583,397 Link REIT (The) 6,799 14,966 MTR Corp. 120,000 357,591 New World Development Ltd. 234,542 649,103 PCCW Ltd. 626,202 414,316 Sino Land Co. Ltd. 533,820 1,328,941 Television Broadcasts Ltd. 39,084 234,947 Wharf (Holdings) Ltd. 192,218 945,174 Wing Hang Bank Ltd. 35,037 403,198 ---------- Total Hong Kong 19,687,755 ------------------------------------------------------------------------------------ Ireland - 0.5% IAWS Group PLC 3,104 68,643 Independent News & Media PLC 97,769 370,547 Irish Life & Permanent PLC 37,681 834,901 Kerry Group PLC Class A 4,116 121,754 Kingspan Group PLC 3,843 84,002 ---------- Total Ireland 1,479,847 ------------------------------------------------------------------------------------ Italy - 7.3% ACEA SpA 24,946 490,291 AEM SpA 154,603 577,155 Alleanza Assicurazioni SpA 145,081 1,926,062 ASM 80,987 499,286 Autogrill SpA 22,081 424,248 Banca Carige SpA(a) 131,595 627,881 Banca CR Firenze SpA 72,716 682,526 Banca Italease SpA(a) 12,638 235,448 Banca Popolare di Milano S.c.r.l. 28,071 413,583 Banca Popolare di Sondrio S.c.r.l. 24,820 423,573 Banco Popolare S.c.r.l. 33,277 743,474 Benetton Group SpA 37,141 628,559 Bulgari SpA 31,337 492,007 CIR-Compagnie Industriali Riunite SpA 119,404 464,856 Credito Emiliano SpA 178 2,435 ERG SpA 8,966 195,855 Finmeccanica SpA 18,151 527,368 Fondiaria-Sai SpA 11,809 553,032 Geox SpA 30,903 662,307 Hera SpA 104,463 430,087 Ifil Investments SpA 61,140 657,344 Indesit Co. SpA 3,038 52,235 Italcementi SpA 14,722 325,359 Mediaset SpA 179,987 1,853,211 Mediolanum SpA(a) 50,401 355,522 Milano Assicurazioni SpA 81,424 679,729 RCS MediaGroup SpA(a) 71,911 411,885 See Notes to Financial Statements. 72 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree International MidCap Dividend Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Snam Rete Gas SpA 399,544 $2,478,823 Societa Cattolica di Assicurazioni S.c.r.l.(a) 12,002 753,580 Terna SpA 316,017 1,165,130 Unipol SpA 188,222 638,416 ---------- Total Italy 20,371,267 -------------------------------------------------------------------------------- Japan - 15.1% Advantest Corp. 1,500 46,690 Aioi Insurance Co., Ltd. 52,000 302,013 Aisin Seiki Co., Ltd. 19,500 778,203 Ajinomoto Co., Inc. 39,000 488,284 All Nippon Airways Co., Ltd. 156,000 607,642 Asahi Breweries Ltd. 42,900 652,741 Asahi Kasei Corp. 117,000 944,016 Bank of Yokohama Ltd. (The) 42,000 289,580 Casio Computer Co., Ltd. 2,300 32,916 Chiba Bank Ltd. (The) 77,000 594,496 Chugai Pharmaceutical Co., Ltd. 4,400 72,571 Chugoku Electric Power Co., Inc. (The)(a) 31,200 633,413 Cosmo Oil Co., Ltd. 76,000 362,109 CSK Holdings Corp. 2,300 89,788 Dai Nippon Printing Co., Ltd. 15,000 214,146 Daido Steel Co., Ltd. 30,000 255,358 Daikin Industries Ltd. 19,500 937,573 Daito Trust Construction Co., Ltd. 1,000 48,168 Daiwa House Industry Co., Ltd. 39,000 508,290 Electric Power Development Co. 15,600 606,286 Fast Retailing Co., Ltd. 15,200 876,199 Fuji Electric Holdings Co., Ltd. 6,000 26,710 Fuji Heavy Industries Ltd. 93,000 408,338 Gunma Bank Ltd. (The) 20,000 133,200 Hankyu Hanshin Holdings, Inc. 114,000 581,820 Hino Motors Ltd. 89,000 679,407 Hitachi Chemical Co., Ltd. 4,200 86,728 Hokkaido Electric Power Co., Inc. 25,400 548,789 Hokuriku Electric Power Co. 28,900 564,105 IBIDEN Co., Ltd. 11,700 983,689 Iyo Bank Ltd. (The) 9,000 87,171 JGC Corp. 1,000 19,258 JS Group Corp. 31,200 541,995 Kajima Corp. 8,000 27,475 Kaneka Corp. 60,000 503,934 Keio Corp. 19,000 118,280 Kobe Steel Ltd. 347,000 1,294,292 Kubota Corp. 37,000 304,326 Kyushu Electric Power Co., Inc. 11,100 293,388 Lawson, Inc. 7,700 243,020 Marubeni Corp. 117,000 1,072,191 Marui Co., Ltd. 17,300 190,726 Matsushita Electric Works Ltd. 39,000 469,634 Mitsubishi Gas Chemical Co., Inc. 12,000 111,116 Mitsubishi Rayon Co., Ltd. 14,000 99,083 Mitsubishi UFJ Financial Group, Inc. 39,780 347,943 Mitsui Mining & Smelting Co., Ltd. 30,000 129,114 Mizuho Investors Securities Co., Ltd.(a) 40,000 69,556 NEC Corp. 28,000 135,843 NGK Spark Plug Co., Ltd. 3,000 46,559 Nikko Cordial Corp. 62,500 784,137 Nikon Corp. 36,000 1,236,360 Nippon Electric Glass Co., Ltd. 45,500 731,861 Nippon Mining Holdings, Inc. 78,000 782,611 Nippon Oil Corp. 78,000 723,610 Nippon Sheet Glass Co., Ltd. 33,000 201,417 Nippon Television Network Corp. 190 24,432 Nippon Yusen K.K.(a) 78,000 760,909 Nishi-Nippon City Bank Ltd. (The) 48,000 134,800 Nisshin Seifun Group, Inc. 2,500 23,497 Nitto Denko Corp. 3,200 148,572 NOK Corp. 23,400 500,491 Obayashi Corp. 23,000 106,386 OJI Paper Co., Ltd.(a) 117,000 565,596 Olympus Corp. 27,000 1,108,029 Oracle Corp. Japan(a) 23,900 1,090,945 Osaka Gas Co., Ltd. 195,000 683,259 Sankyo Co., Ltd. 9,600 388,123 SBI Holdings, Inc. 1,030 270,004 Sega Sammy Holdings, Inc.(a) 40,700 541,416 Sekisui Chemical Co., Ltd. 1,000 7,329 Sekisui House, Ltd. 39,000 490,319 Shikoku Electric Power Co., Inc. 2,800 70,234 Shinko Securities Co., Ltd. 25,000 115,637 Shinsei Bank Ltd. 42,000 132,191 Shiseido Co., Ltd. 39,000 864,670 Shizuoka Bank Ltd. (The) 39,000 378,420 Sompo Japan Insurance, Inc. 1,000 11,459 SUMCO Corp. 11,200 455,732 Sumitomo Chemical Co., Ltd. 18,000 154,154 Sumitomo Metal Mining Co., Ltd. 50,000 1,212,885 Sumitomo Titanium Corp. 800 69,626 Taisei Corp. 15,000 43,429 Taisho Pharmaceutical Co., Ltd. 37,000 727,036 TDK Corp. 3,000 262,922 Teijin Ltd. 12,000 58,532 Terumo Corp. 9,900 499,239 TOHO Gas Co., Ltd. 8,000 39,438 Tohoku Electric Power Co., Inc. 29,700 633,948 Tokuyama Corp. 9,000 136,391 Tokyu Corp. 117,000 762,944 TonenGeneral Sekiyu K.K. 76,000 763,205 Toppan Printing Co., Ltd. 36,000 370,282 Toray Industries, Inc. 45,000 356,823 Toyo Seikan Kaisha Ltd. 22,500 423,532 Toyota Tsusho Corp. 27,300 723,949 Trend Micro, Inc. 3,000 129,635 Yamada Denki Co., Ltd. 7,800 771,082 Yamaguchi Financial Group, Inc. 17,000 177,368 Yamaha Motor Co., Ltd. 23,400 596,114 See Notes to Financial Statements. WisdomTree International Dividend Funds 73 Schedule of Investments (unaudited) (continued) WisdomTree International MidCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- Yamato Holdings Co., Ltd. 39,000 $ 584,246 ---------- Total Japan 42,287,398 ------------------------------------------------------------------------------- Netherlands - 1.8% Boskalis Westminster - CVA 5,185 260,739 Fugro N.V. 3,574 289,362 Heineken Holding N.V. 12,702 726,179 Koninklijke BAM Groep N.V. 23,956 636,750 Koninklijke DSM N.V. 3,517 189,314 Koninklijke Vopak N.V. 3,921 223,050 Randstad Holding N.V. 11,061 596,339 SBM Offshore N.V. 15,627 612,714 SNS Reaal 16,380 370,154 USG People N.V. 3,586 101,946 Vedior N.V. 11,167 245,046 Wolters Kluwer N.V. 28,181 834,415 ---------- Total Netherlands 5,086,008 ------------------------------------------------------------------------------- New Zealand - 1.4% Contact Energy Ltd. 66,910 464,620 Fletcher Building Ltd. 82,403 790,126 Telecom Corp. of New Zealand Ltd.(a) 755,968 2,553,306 ---------- Total New Zealand 3,808,052 ------------------------------------------------------------------------------- Norway - 0.9% Aker ASA Class A 13,745 965,807 Storebrand ASA 46,389 716,935 Tandberg ASA 2,300 55,037 Yara International ASA 26,647 837,902 ---------- Total Norway 2,575,681 ------------------------------------------------------------------------------- Portugal - 1.2% Banco BPI, S.A. 43,773 367,285 Banco Espirito Santo, S.A. 51,171 1,157,088 Brisa-Auto-estradas de Portugal S.A.(a) 54,636 714,845 PT Multimedia - Servicos de Telecomunicacoes e Multimedia, SGPS, S.A.(a) 64,051 950,981 Sonae SGPS, S.A. 108,718 281,396 ---------- Total Portugal 3,471,595 ------------------------------------------------------------------------------- Singapore - 2.0% City Developments Ltd. 34,802 379,799 ComfortDelgro Corp., Ltd. 33,000 43,127 Fraser and Neave Ltd. 116,402 446,961 Jardine Cycle & Carriage Ltd. 1,904 23,729 Keppel Corp. Ltd. 78,000 756,644 Neptune Orient Lines Ltd. 6,000 21,422 SembCorp Industries Ltd. 115,000 499,680 SembCorp Marine Ltd. 163,800 507,582 SIA Engineering Co., Ltd. 47,000 155,142 Singapore Exchange Ltd. 150,000 1,303,513 Singapore Press Holdings Ltd. 192,000 558,752 Singapore Technologies Engineering Ltd. 117,000 307,387 StarHub Ltd. 216,810 452,768 Venture Corp., Ltd. 7,000 77,807 ---------- Total Singapore 5,534,313 ------------------------------------------------------------------------------- Spain - 4.4% Abengoa SA 456 18,035 Acerinox S.A.(a) 14,314 429,525 Banco de Valencia S.A.(a) 4,926 283,583 Banco Pastor S.A.(a) 10,597 175,119 Bankinter, S.A.(a) 24,955 358,801 Bolsas y Mercados Espanoles 11,831 732,580 Cementos Portland Valderrivas, S.A. 497 53,929 Cintra, Concesiones de Infraestructuras de Transporte, S.A.(a) 15,153 230,152 Ebro Puleva S.A.(a) 32,546 665,582 Enagas 27,720 716,692 Fomento de Construcciones y Contratas S.A. 17,520 1,413,986 Gamesa Corp Tecnologica S.A. 9,853 401,456 Gestevision Telecinco, S.A.(a) 75,601 1,979,368 Grupo Catalana Occidente S.A. 292 10,390 Iberia Lineas Aereas de Espana 67,025 325,993 Indra Sistemas S.A. 25,723 693,960 Mapfre S.A. 173,714 783,140 Metrovacesa S.A. 9,994 1,133,484 Promotora de Informaciones S.A.(a) 12,011 236,578 Red Electrica de Espana 8,917 460,965 Sociedad General de Aguas de Barcelona S.A. Class A 7,821 296,418 Vocento S.A. 14,765 334,919 Zardoya-Otis S.A. 21,884 677,533 ---------- Total Spain 12,412,188 ------------------------------------------------------------------------------- Sweden - 3.7% Alfa Laval AB 7,816 500,805 Assa Abloy AB Class B 37,647 778,366 Atlas Copco AB Class B 14,462 230,263 Boliden AB 23,750 503,890 Electrolux AB Series B 31,264 659,685 Fabege AB 30,580 362,807 Hexagon AB Class B 18,948 382,970 Holmen AB Class B 19,216 733,702 Investment AB Kinnevik Class B 15,631 327,405 JM AB 1,600 38,460 OMX AB 2,400 103,694 Scania AB Class A 15,484 394,936 Scania AB Class B 29,584 717,986 Securitas AB Class B 61,847 812,638 SKF AB Class B 39,084 820,160 Skanska AB Class B 46,895 926,077 SSAB Svenskt Stal AB Series A 15,116 557,295 Svenska Cellulosa Aktiebolaget SCA Class B 59,111 1,098,785 Swedish Match AB 15,631 323,781 Tele2 AB Class B 10,747 231,335 ---------- Total Sweden 10,505,040 ------------------------------------------------------------------------------- See Notes to Financial Statements. 74 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree International MidCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------ Switzerland - 1.8% Baloise Holding AG 4,357 $ 439,355 Ciba Specialty Chemicals Holding Inc. 16,575 842,087 Givaudan S.A. 468 431,063 Kuehne + Nagel International AG 5,793 568,291 Lonza Group AG 2,209 240,150 Nobel Biocare Holding AG 819 221,015 Panalpina Welttransport (Holding) AG 1,131 187,822 Phonak Holding AG 1,614 161,372 Schindler Holding AG 2,833 178,487 SGS S.A. 662 753,689 Straumann Holding AG 351 98,251 Sulzer AG 81 115,794 Swatch Group AG (The) 3,143 200,574 Swatch Group AG (The) Class B 789 258,002 Vontobel Holding AG 6,204 316,785 ----------- Total Switzerland 5,012,737 ------------------------------------------------------------------------ United Kingdom - 17.5% Admiral Group PLC 29,917 548,562 Alliance & Leicester PLC 98,725 1,593,007 Amlin PLC 215,975 1,449,854 AMVESCAP PLC 123,597 1,665,725 Antofagasta PLC 90,231 1,401,719 Arriva PLC 28,923 455,205 Ashmore Group PLC 10,479 61,913 Barratt Developments PLC 22,689 345,766 Bellway PLC 4,728 99,312 Bradford & Bingley PLC 102,649 633,669 Bunzl PLC 57,365 818,692 Cable & Wireless PLC 360,786 1,352,486 Capita Group PLC 87,303 1,287,755 Carnival PLC 27,564 1,310,716 Carphone Warehouse Group PLC 16,978 120,547 Close Brothers Group PLC 44,508 737,215 Drax Group PLC 16,385 203,630 DSG International PLC 305,462 840,149 Emap PLC 15,487 277,346 Enterprise Inns PLC 104,330 1,258,335 FirstGroup PLC 4,733 66,390 Friends Provident PLC 68,699 240,738 GKN PLC 146,166 1,054,181 IMI PLC 74,723 813,706 Imperial Chemical Industries PLC 146,436 1,945,184 Inmarsat PLC 3,693 34,215 Intercontinental Hotels Group PLC 45,180 893,320 Investec PLC 12,429 129,650 ITV PLC 585,147 1,223,144 Kelda Group PLC 62,083 1,090,298 Kesa Electricals PLC 10,339 57,979 Kingfisher PLC 506,589 1,845,393 LogicaCMG PLC 228,998 705,655 Lonmin PLC 3,020 224,515 Meggitt PLC 65,432 422,919 Michael Page International PLC 22,297 187,385 National Express Group PLC 6,639 167,316 NEW Star Asset Management Group Ltd. 11,788 87,419 Next PLC 35,430 1,417,679 Northern Rock PLC 58,911 215,080 Pennon Group PLC 49,633 613,797 Persimmon PLC 69,243 1,359,935 Premier Foods PLC 37,339 169,642 Provident Financial PLC 15,004 273,281 Rentokil Initial PLC 32,521 110,582 Resolution PLC 36,556 508,308 Rexam PLC 75,961 853,496 Royal & Sun Alliance Insurance Group 99,083 311,884 Sage Group PLC (The) 61,133 310,439 Scottish & Newcastle PLC 187,285 2,333,270 Segro PLC 52,464 533,903 Severn Trent PLC 29,949 860,333 Smith & Nephew PLC 52,404 637,922 Smiths Group PLC 63,748 1,388,384 St. James's Place PLC 73,355 564,920 Tate & Lyle PLC 93,498 766,714 Tomkins PLC 203,192 940,753 Trinity Mirror PLC 68,469 574,720 Tullow Oil PLC 25,137 305,228 United Utilities PLC 248,169 3,539,248 Vedanta Resources PLC 6,927 286,488 Whitbread PLC 40,145 1,326,623 Yell Group PLC 132,827 1,160,938 ----------- Total United Kingdom 49,014,577 ------------------------------------------------------------------------ TOTAL COMMON STOCKS (Cost: $274,990,239) 278,830,087 ======================================================================== See Notes to Financial Statements. WisdomTree International Dividend Funds 75 Schedule of Investments (unaudited) (concluded) WisdomTree International MidCap Dividend Fund September 30, 2007 ----------------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------------- RIGHTS - 0.0%* Austria - 0.0% Wienerberger AG, expiring 10/08/07 (Cost: $0) 6,652 $ - =================================================================================== TOTAL LONG-TERM INVESTMENTS (Cost: $274,990,239) 278,830,087 =================================================================================== SHORT-TERM INVESTMENT - 0.2% MONEY MARKET FUND - 0.2% United States - 0.2% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $502,669) 502,669 502,669 =================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 10.7% MONEY MARKET FUNDS(c) - 10.7% AIM Liquid Assets Portfolio, 5.11% 5 5 UBS Enhanced Yield Portfolio, 5.38% 12,288,720 12,288,720 UBS Private Money Market Fund LLC, 5.21% 17,807,800 17,807,800 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $30,096,525)(d) 30,096,525 =================================================================================== TOTAL INVESTMENTS IN SECURITIES - 110.2% (Cost: $305,589,433)(e) $309,429,281 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (10.2)% (28,633,963) ------------ NET ASSETS - 100.0% $280,795,318 =================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d ) At September 30, 2007, the total market value of the Fund's securities on loan was $28,305,308 and the total market value of the collateral held by the Fund was $30,096,525. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 76 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree International SmallCap Dividend Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.3% Australia - 18.0% A.B.C. Learning Centres Ltd.(a) 47,532 $ 276,357 ABB Grain Ltd. 201,957 1,385,095 Adelaide Bank Ltd.(a) 119,467 1,493,857 Adelaide Brighton Ltd.(a) 590,805 2,065,191 Ansell Ltd. 155,789 1,723,319 APN News & Media Ltd.(a) 403,575 1,864,291 APN/UKA European Retail Trust(a) 761,897 903,483 Austereo Group Ltd.(a) 905,287 2,002,835 Australian Agricultural Co., Ltd.(a) 636,403 1,621,973 Australian Wealth Management Ltd.(a) 493,969 1,084,102 AWB Ltd.(a) 741,708 1,614,682 Bank of Queensland Ltd.(a) 110,459 1,679,357 Bendigo Bank Ltd.(a) 170,254 2,064,129 Cabcharge Australia Ltd.(a) 163,911 1,453,432 Candle Australia Ltd. 159,488 462,936 Coates Hire Ltd.(a) 183,743 983,751 Commander Communications Ltd.(a) 441,619 232,532 Consolidated Rutile Ltd. 1,905,903 1,003,544 Corporate Express Australia Ltd.(a) 241,202 1,506,970 Crane Group Ltd.(a) 141,835 2,142,574 CSR Ltd.(a) 1,092,104 3,005,683 David Jones Ltd.(a) 608,625 2,746,876 Downer EDI Ltd. 260,235 1,441,647 Everest Babcock & Brown Ltd. 108,039 189,306 Flight Centre Ltd.(a) 116,667 2,240,406 Funtastic Ltd.(a) 930,790 1,173,777 Futuris Corp., Ltd.(a) 956,768 1,803,454 Great Southern Ltd.(a) 435,780 894,693 G.U.D Holdings Ltd.(a) 15,878 145,430 Gunns Ltd.(a) 520,816 1,285,901 GWA International Ltd.(a) 586,692 2,030,046 Healthscope Ltd.(a) 93,036 474,234 Hills Industries Ltd.(a) 319,801 1,655,597 Iluka Resources Ltd. 464 2,267 Infomedia Ltd.(a) 1,303,461 686,331 Iress Market Technology Ltd.(a) 233,030 1,608,516 JB Hi-Fi Ltd. 159,389 2,032,550 Jubilee Mines NL(a) 188,097 2,889,684 Just Group Ltd.(a) 427,638 1,967,879 MacArthur Coal Ltd.(a) 215,078 1,294,267 Mariner Financial Ltd. 520,422 292,448 MFS Ltd.(a) 359,950 1,493,943 Mincor Resources NL(a) 384,112 1,444,660 Monadelphous Group Ltd.(a) 94,572 1,213,527 Nufarm Ltd.(a) 144,119 1,710,287 Over Fifty Group Ltd. 276,619 638,912 Pacific Brands Ltd.(a) 809,183 2,219,868 PaperlinX Ltd.(a) 471,500 1,268,452 Peet & Co., Ltd. 300,809 1,011,564 Perilya Ltd. 274,501 969,250 Port Bouvard Ltd.(a) 1,042,533 1,632,984 Primary Health Care Ltd.(a) 74,858 806,872 Ramsay Health Care Ltd.(a) 149,309 1,413,802 Ridley Corp., Ltd.(a) 492,226 509,647 Salmat Ltd. 25,494 105,585 Sedgman Ltd. 558,496 1,546,975 Seek Ltd.(a) 294,538 2,374,535 Seven Network Ltd.(a) 177,335 2,055,818 Sigma Pharmaceuticals Ltd.(a) 1,127,400 1,461,620 Southern Cross Broadcasting Australia Ltd.(a) 132,884 2,015,591 Specialty Fashion Group Ltd. 119,205 169,840 Spotless Group Ltd.(a) 303,885 1,167,126 STW Communications Group Ltd.(a) 507,231 1,167,073 Sunland Group Ltd.(a) 244,286 875,533 Symbion Health Ltd. 575,191 2,122,593 Ten Network Holdings Ltd.(a) 622,979 1,499,551 Timbercorp Ltd.(a) 264,259 441,988 Transfield Services Ltd.(a) 152,499 1,786,791 United Group Ltd.(a) 152,459 2,500,041 Washington H. Soul Pattinson & Co., Ltd.(a) 234,657 1,922,930 West Australian Newspapers Holdings Ltd.(a) 236,554 3,248,933 ----------- Total Australia 100,221,693 -------------------------------------------------------------------------------- Austria - 0.4% AT&S Austria Technologie & Systemtechnik AG 7,472 193,717 Flughafen Wien AG 11,749 1,210,388 Schoeller-Bleckmann Oilfield Equipment AG 4,969 421,880 Semperit AG Holding 9,796 429,783 ----------- Total Austria 2,255,768 -------------------------------------------------------------------------------- Belgium - 1.6% Barco N.V. 11,214 963,418 Cofinimmo 5,313 937,382 Cumerio N.V. 14,595 591,554 Econocom Group S.A./N.V. 45,880 493,929 Euronav N.V. 87,130 2,732,256 EVS Broadcast Equipment S.A. 6,167 614,805 Exmar N.V. 13,649 417,335 Melexis N.V. 28,720 528,115 Omega Pharma S.A. 3,435 300,433 Tessenderlo Chemie N.V. 22,165 1,281,052 ----------- Total Belgium 8,860,279 -------------------------------------------------------------------------------- Denmark - 0.6% Amagerbanken A/S 2,000 114,474 Auriga Industries A/S Class B(a) 8,002 164,884 Bang & Olufsen A/S Class B(a) 3,950 444,637 Harboes Bryggeri A/S 13,400 383,489 NKT Holding A/S 9,902 1,107,076 Rella Holding A/S 26,600 451,678 SimCorp A/S 950 213,332 Sjaelso Gruppen 3,200 113,864 Spar Nord Bank A/S 15,757 363,761 ----------- Total Denmark 3,357,195 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Funds 77 Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- Finland - 2.8% Ahlstrom Oyj 136 $ 3,845 Alma Media 629 10,520 Amer Sports Oyj(a) 33,170 766,556 Aspo Oyj(a) 62,269 594,210 Citycon Oyj 83,161 528,655 Elcoteq SE 96,570 650,977 Elektrobit Corp.(a) 254,570 687,869 Finnair Oyj 33,170 551,921 HK-Ruokatalo Oyj Class A 20,749 432,885 KCI Konecranes Oyj 24,885 998,357 Kemira GrowHow Oyj 74,873 1,278,832 Lassila & Tikanoja Oyj 16,583 533,695 M-real Oyj Class B(a) 148,336 826,947 Orion Oyj Class B 135,953 3,445,415 Poyry Oyj 41,542 1,038,608 Stockmann Oyj Abp Class B(a) 16,583 797,830 Talentum Oyj 281,847 1,410,916 Technopolis PLC 49,932 434,586 TietoEnator Oyj 37,674 843,319 ---------- Total Finland 15,835,943 ------------------------------------------------------------------------------- France - 1.7% ABC Arbitrage 20,885 183,853 April Group 7,278 447,655 Bacou-Dalloz S.A. 2,475 307,914 Canal Plus S.A. 137,788 1,530,410 Carbone Lorraine 2,585 200,172 GFI Informatique 5,130 52,237 Groupe Steria SCA 5,316 268,310 Haulotte Group 10,861 408,546 Havas S.A. 187,736 1,105,333 IMS-International Metal Service 12,098 505,832 Kaufman & Broad S.A. 6,239 383,748 Manitou BF S.A. 16,072 868,558 NRJ Group(a) 47,546 618,700 Sechilienne-Sidec 7,983 630,093 Sequana Capital S.A. 9,889 325,573 Ste Industrielle d'Aviation Latecoere S.A.(a) 42,081 1,214,863 TRIGANO S.A. 5,476 246,870 ---------- Total France 9,298,667 ------------------------------------------------------------------------------- Germany - 3.8% AWD Holding AG 47,844 1,594,208 Beate Uhse AG 98,245 423,349 Bechtle AG 13,503 584,932 Comdirect Bank AG(a) 138,400 1,720,255 DAB Bank AG 36,212 322,383 Demag Cranes AG 4,892 229,864 Deutsche Wohnen AG 30,864 1,322,503 Douglas Holding AG 17,470 1,088,457 ElringKlinger AG 6,327 715,336 Gerry Weber International AG 14,792 476,686 Grammer AG 7,365 233,049 HCI Capital AG 27,379 591,843 Hugo Boss AG 2,302 160,383 IDS Scheer AG 15,829 347,798 Indus Holding AG 12,386 457,983 Krones AG 7,950 641,281 Leoni AG 9,316 566,914 Lloyd Fonds AG 26,516 613,914 MLP AG(a) 54,491 725,347 MPC Muenchmeyer Petersen Capital AG 18,811 1,602,983 MVV Energie AG 32,792 1,375,270 Norddeutsche Affinerie AG 29,529 1,293,435 Praktiker Bau-und Heimwerkermaerkte AG 24,876 928,656 Sixt AG 6,247 311,568 Software AG 8,714 815,929 Takkt AG 19,931 337,304 Techem AG 20,375 1,360,727 Vivacon AG 4,528 117,521 ---------- Total Germany 20,959,878 ------------------------------------------------------------------------------- Hong Kong - 4.3% Beijing Enterprises Holdings Ltd.(a) 182,074 925,762 Champion REIT(a) 372,000 211,651 China Power International Development Ltd. 2,720,622 1,425,335 Chong Hing Bank Ltd.(a) 240,110 524,810 Cross-Harbour Holdings Ltd. 240,189 261,564 Dah Sing Banking Group Ltd. 852,503 1,883,075 Dah Sing Financial Holdings Ltd. 196,010 1,513,854 Fountain Set (Holdings) Ltd. 800,364 292,591 Fubon Bank Ltd. 960,432 568,694 Guangzhou Investment Co., Ltd.(a) 4,452,585 1,392,749 GZI Real Estate Investment Trust 1,886,895 755,375 Hon Kwok Land Investment Co., Ltd. 804,000 327,038 Hong Kong Aircraft Engineering Co. Ltd.(a) 127,229 2,880,754 Hongkong & Shanghai Hotels Ltd., (The) 33,142 58,787 Industrial & Commercial Bank of China Ltd. 781,364 2,182,567 Next Media Ltd. 4,444,000 1,258,494 Oriental Press Group Ltd. 4,461,017 712,049 Prosperity Real Estate Investment Trust 3,046,571 647,068 Shaw Brothers (Hong Kong) Ltd. 240,110 434,560 Singamas Container Holdings Ltd.(a) 320,142 194,509 Sun Hung Kai & Co., Ltd.(a) 1,252,189 1,789,152 Techtronic Industries Co. 135,500 154,535 Tianjin Development Holdings Ltd. 332,074 473,619 Vitasoy International Holdings Ltd. 800,364 347,194 Wing Lung Bank Ltd. 237,866 2,466,337 ---------- Total Hong Kong 23,682,123 ------------------------------------------------------------------------------- Ireland - 0.8% Abbey PLC 15,239 149,026 FBD Holdings PLC 13,803 431,858 Fyffes PLC 325,522 421,276 Glanbia PLC 116,911 701,638 Greencore Group PLC 119,027 774,429 McInerney Holdings PLC 52,458 99,394 See Notes to Financial Statements. 78 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------------ Paddy Power PLC 52,619 $1,854,339 United Drug PLC 51,745 239,573 ---------- Total Ireland 4,671,533 ------------------------------------------------------------------------------------ Italy - 4.1% AcegasAps SpA 55,058 587,647 Amplifon SpA(a) 56,211 444,069 Anima SGRpA 27,468 113,480 Apulia Prontoprestito SpA 51,697 82,858 Arnoldo Mondadori Editore SpA(a) 206,260 1,990,261 Astaldi SpA 68,906 551,710 Autostrada Torino-Milano SpA 50,014 1,182,137 Azimut Holding SpA 41,706 640,571 Banca Intermobiliare SpA 73,468 757,498 Banca Popolare dell'Etruria e del Lazio 23,216 402,142 Banco di Desio e della Brianza SpA 52,304 591,354 Biesse SpA 4,965 144,397 Brembo SpA 41,382 546,435 Caltagirone SpA 41,758 436,488 Carraro SpA 13,230 142,712 Cembre SpA 15,465 150,876 Cementir - Cementerie del Tirreno SpA(a) 63,173 636,976 COFIDE - Compagnia Finanziaria De Benedetti SpA 316,222 539,658 Credito Artigiano SpA(a) 130,242 737,190 Cremonini SpA 334,915 1,007,373 ERGO Previdenza SpA 112,773 641,520 Fiera Milano SpA 50,753 436,679 Gewiss SpA 52,716 398,091 GranitiFiandre SpA 16,487 231,070 Gruppo Editoriale L'Espresso SpA(a) 313,780 1,532,841 I.M.A. - Industria Macchine Automatiche SpA 11,797 268,434 Marzotto SpA 34,645 196,342 Navigazione Montanari SpA 106,939 513,661 Panariagroup Industrie Ceramiche SpA 58,470 495,592 Piccolo Credito Valtellinese Scarl 52,964 751,721 Premafin Finanziaria SpA Holding Di Partecipazioni 161,930 488,212 Premuda SpA 350,506 805,531 Recordati SpA 142,298 1,341,707 Risanamento SpA(a) 150,516 1,133,428 Societa Iniziative Autostradali e Servizi SpA 79,930 1,202,654 SOGEFI SpA 63,978 548,647 ---------- Total Italy 22,671,962 ------------------------------------------------------------------------------------ Japan - 22.2% ABC-Mart, Inc. 48,500 1,052,102 ADEKA Corp. 40,000 419,076 Aica Kogyo Co., Ltd. 6,500 71,039 Aichi Steel Corp.(a) 80,000 472,286 Air Water, Inc. 127,000 1,413,381 Alpen Co., Ltd. 34,100 456,880 Alpine Electronics, Inc. 32,000 470,756 AOC Holdings, Inc. 32,000 521,949 Ardepro Co., Ltd. 1,682 435,801 Arisawa Manufacturing Co., Ltd.(a) 137,700 1,211,602 Arnest One Corp.(a) 43,700 248,108 Asatsu-DK, Inc. 16,000 514,715 Awa Bank Ltd. (The) 80,000 394,383 Bank of Nagoya Ltd. (The) 84,000 563,092 Best Denki Co., Ltd.(a) 64,000 451,837 Bosch Corp. 223,000 1,081,894 Calsonic Kansei Corp. 162,000 632,422 Canon Electronics, Inc. 15,300 390,432 Cawachi Ltd. 2,900 77,912 Central Glass Co., Ltd. 80,000 402,730 Chuetsu Pulp & Paper Co., Ltd. 562,000 1,177,603 Chukyo Bank Ltd. (The) 173,000 511,412 Circle K Sunkus Co., Ltd. 24,000 372,473 Coca-Cola West Japan Co., Ltd. 24,000 563,405 COMSYS Holdings Corp. 80,000 876,407 Daifuku Co., Ltd. 87,500 998,131 Daikoku Denki Co., Ltd. 49,100 661,696 Daio Paper Corp.(a) 115,000 931,878 Daisan Bank Ltd. (The) 164,000 531,861 Daishi Bank Ltd. (The) 80,000 322,045 Disco Corp. 8,000 445,855 Ebara Corp.(a) 268,000 1,237,299 Ehime Bank Ltd. (The) 162,000 553,545 Eighteenth Bank Ltd. (The) 136,000 545,112 Exedy Corp. 16,000 498,022 Ezaki Glico Co., Ltd.(a) 80,000 898,665 FCC Co., Ltd. 16,700 300,561 Fuji Fire & Marine Insurance Co., Ltd. (The) 227,000 773,673 Futaba Industrial Co., Ltd. 24,000 617,659 Gigas K's Denki Corp. 16,000 348,476 Gun-Ei Chemical Industry Co., Ltd.(a) 192,000 469,087 Gunze Ltd. 80,000 393,688 Hankyu Department Stores, Inc. 80,000 660,088 Hanwa Co., Ltd. 73,000 369,395 Heiwa Corp. 32,000 376,160 Higo Bank Ltd. (The) 80,000 532,800 Hikari Tsushin, Inc. 21,900 599,791 Hitachi Cable Ltd. 80,000 495,240 Hitachi Koki Co., Ltd.(a) 92,000 1,583,793 Hitachi Kokusai Electric, Inc. 66,000 823,458 Hitachi Maxell Ltd. 40,000 431,248 Hitachi Software Engineering Co., Ltd. 30,800 586,463 Hitachi Transport System Ltd. 48,000 554,223 Hokkoku Bank Ltd. (The) 80,000 353,345 Hokuetsu Paper Mills Ltd. 83,000 426,492 HORIBA Ltd. 16,000 671,912 House Foods Corp. 33,600 585,732 Hyakugo Bank Ltd. (The) 80,000 461,853 Hyakujushi Bank Ltd. (The) 80,000 392,992 Iida Home Max Co., Ltd.(a) 22,600 289,439 Iino Kaiun Kaisha Ltd. 47,600 672,521 Itochu Enex Co., Ltd. 25,500 172,491 Izumiya Co., Ltd. 73,000 408,747 See Notes to Financial Statements. WisdomTree International Dividend Funds 79 Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- Japan Airport Terminal Co., Ltd.(a) 39,000 $ 937,573 Joint Corp. 6,500 173,499 Kagome Co., Ltd.(a) 39,400 702,256 Kagoshima Bank Ltd. (The) 80,000 570,360 Kamei Corp. 76,000 436,778 Kandenko Co., Ltd.(a) 80,000 510,542 Kansai Paint Co., Ltd.(a) 109,000 834,926 Kanto Natural Gas Development Ltd. 75,000 470,808 Kasumi Co., Ltd. 101,000 517,228 Kato Sangyo Co., Ltd. 41,200 540,545 Katokichi Co., Ltd. 56,000 256,106 Kayaba Industry Co., Ltd. 90,000 431,944 Keihin Corp. 24,000 455,941 Keisei Electric Railway Co., Ltd.(a) 80,000 443,073 Keiyo Bank Ltd. (The) 80,000 443,768 Kintetsu World Express, Inc. 17,000 580,881 Kobayashi Pharmaceutical Co., Ltd. 16,000 567,578 Koei Co., Ltd.(a) 71,200 1,361,909 Koito Manufacturing Co., Ltd. 82,000 998,844 Kojima Co., Ltd.(a) 59,300 358,847 Kokuyo Co., Ltd.(a) 50,500 524,253 Komeri Co., Ltd. 16,000 429,857 Komori Corp. 14,000 342,651 Konaka Co., Ltd. 58,300 442,515 Kyodo Printing Co., Ltd. 145,000 445,029 Kyowa Exeo Corp. 80,000 838,152 Lion Corp.(a) 83,000 389,688 Maeda Corp. 114,000 440,082 Makino Milling Machine Co., Ltd. 80,000 843,020 Maruzen Showa Unyu Co., Ltd. 152,000 522,019 Matsui Securities Co., Ltd.(a) 151,800 1,161,449 Matsumotokiyoshi Co., Ltd. 23,200 428,640 Meiji Dairies Corp. 80,000 451,419 Meiji Seika Kaisha Ltd.(a) 80,000 402,035 Meitec Corp.(a) 16,000 468,808 Michinoku Bank Ltd. (The) 156,000 481,502 Mie Bank Ltd. (The) 102,000 501,065 Minebea Co., Ltd. 166,000 1,134,426 MISUMI Group, Inc.(a) 32,000 542,538 Mitsuuroko Co., Ltd. 81,000 573,969 Miyazaki Bank Ltd. (The) 115,000 440,942 Mochida Pharmaceutical Co., Ltd. 75,000 710,125 Morinaga Milk Industry Co., Ltd. 148,000 591,923 Musashino Bank Ltd. (The) 8,000 379,081 Nabtesco Corp. 80,000 1,303,482 Nachi-Fujikoshi Corp. 80,000 319,958 Nagase & Co., Ltd. 80,000 945,964 NEC Fielding Ltd. 25,500 294,431 Nichiha Corp. 13,000 140,834 Nichirei Corp. 80,000 366,561 Nidec Sankyo Corp. 37,000 247,707 Nifco, Inc. 22,900 547,537 Nihon Kohden Corp. 8,200 150,433 Nihon Yamamura Glass Co., Ltd. 191,000 461,662 Nippon Chemical Industrial Co., Ltd. 182,000 526,940 Nippon Kayaku Co., Ltd. 172,000 1,429,657 Nippon Light Metal Co., Ltd. 160,000 351,954 Nippon Paint Co., Ltd.(a) 80,000 413,164 Nippon Parking Development Co., Ltd. 9,031 486,825 Nippon Shinyaku Co., Ltd. 62,000 544,990 Nippon Suisan Kaisha Ltd. 96,000 506,647 Nipro Corp. 8,000 157,892 Nishimatsuya Chain Co., Ltd. 32,000 405,373 Nishi-Nippon Railroad Co., Ltd. 160,000 573,143 Nissan Shatai Co., Ltd. 147,000 903,613 Nissin Kogyo Co., Ltd. 23,500 676,303 NS Solutions Corp. 16,200 447,907 Obic Co., Ltd. 2,400 464,913 Ogaki Kyoritsu Bank Ltd. (The) 80,000 436,813 Oita Bank Ltd. (The) 79,000 443,029 Okamura Corp.(a) 74,000 580,985 Okasan Holdings, Inc.(a) 167,000 968,474 OKUMA Holdings Corp. 62,000 903,465 Okumura Corp. 80,000 406,903 OMC Card, Inc.(a) 135,000 535,235 Onward Kashiyama Co., Ltd. 77,000 777,933 OSG Corp.(a) 32,000 332,757 PanaHome Corp.(a) 80,000 506,369 Paramount Bed Co., Ltd.(a) 9,800 131,388 Paris Miki, Inc.(a) 24,000 325,523 Point, Inc.(a) 8,000 275,442 QP Corp. 56,000 511,725 Rengo Co., Ltd.(a) 170,000 1,145,503 Riken Corp. 110,000 552,797 Ryobi Ltd. 82,000 532,574 Ryoden Trading Co., Ltd. 70,000 545,929 Ryosan Co., Ltd. 26,400 659,914 Ryoyo Electro Corp. 40,300 581,996 Sagami Railway Co., Ltd. 160,000 562,014 Saibu Gas Co., Ltd.(a) 159,000 371,873 Sakata INX Corp. 91,000 479,468 Sanei-International Co., Ltd. 5,900 117,985 San-In Godo Bank Ltd. (The)(a) 80,000 632,961 Sanken Electric Co., Ltd. 19,000 93,005 Sankyo Seiko Co., Ltd.(a) 113,000 419,519 Sankyu, Inc.(a) 80,000 459,766 Sanwa Shutter Corp. 80,000 447,942 Sanyo Chemical Industries Ltd.(a) 50,000 310,829 Sanyo Shokai Ltd. 133,000 977,133 Sanyo Special Steel Co., Ltd.(a) 157,000 1,307,708 Sato Shoji Corp. 61,000 487,936 Seikagaku Corp. 46,300 533,790 Sekisui Plastics Co., Ltd. 152,000 498,231 Shiga Bank Ltd. (The) 80,000 550,189 Shimachu Co., Ltd. 16,000 422,901 Shindengen Electric Manufacturing Co., Ltd. 18,000 79,190 See Notes to Financial Statements. 80 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------- Shinkawa Ltd. 24,600 $ 450,228 Shinko Electric Industries 5,600 124,158 Shonai Bank Ltd. (The) 175,000 485,371 Showa Corp. 32,000 380,889 Sohgo Security Services Co., Ltd. 24,000 389,375 SSP Co., Ltd.(a) 160,000 742,860 Starzen Co., Ltd. 214,000 487,484 Sumida Corp. 34,200 572,404 Sumitomo Osaka Cement Co., Ltd. 160,000 393,688 Sumitomo Real Estate Sales Co., Ltd. 5,780 448,268 Sumitomo Warehouse Co., Ltd. (The)(a) 80,000 510,542 Sundrug Co., Ltd.(a) 24,000 545,668 Suruga Corp. 12,300 224,579 Sysmex Corp. 16,000 616,267 Tadano Ltd. 75,000 1,006,173 Taiyo Yuden Co., Ltd. 14,000 276,920 Takagi Securities Co., Ltd. 26,000 84,772 Takara Holdings, Inc.(a) 80,000 469,504 TIS, Inc.(a) 24,100 469,365 TOA Corp. 68,000 546,294 Tocalo Co., Ltd. 4,600 86,189 Toda Corp. 157,000 827,214 Toho Pharmaceutical Co., Ltd. 31,900 547,776 Toho Zinc Co., Ltd. 13,000 119,810 Tokai Carbon Co., Ltd. 80,000 905,621 Tokai Rubber Industries, Inc. 32,000 671,912 Tokai Tokyo Securities Co., Ltd. 249,000 1,266,487 Tokyo Seimitsu Co., Ltd. 3,500 72,730 Tokyo Style Co., Ltd. 80,000 830,500 Tokyo Tomin Bank Ltd. (The)(a) 16,000 468,808 Tokyu Store Chain Co., Ltd. 95,000 410,512 Toppan Forms Co., Ltd. 39,100 394,009 Tori Holdings Co., Ltd.(a) 2,254,000 391,949 Toshiba Machine Co., Ltd. 80,000 595,401 Toshiba TEC Corp. 80,000 493,849 Touei Housing Corp.(a) 41,100 397,367 Toyo Ink Manufacturing Co., Ltd. 80,000 270,573 Toyo Suisan Kaisha Ltd. 67,000 1,258,271 Toyobo Co., Ltd.(a) 160,000 374,212 Toyota Auto Body Co., Ltd. 32,000 529,461 Trans Cosmos, Inc.(a) 45,900 751,465 Tsubakimoto Chain Co. 80,000 531,409 ULVAC, Inc.(a) 16,000 517,498 Uniden Corp. 75,000 496,240 Union Tool Co. 8,000 344,998 Valor Co., Ltd. 24,500 265,418 Xebio Co., Ltd. 16,000 389,514 Yamatake Corp. 24,000 803,373 Yamato Kogyo Co., Ltd. 24,000 1,151,850 Yamazaki Baking Co., Ltd. 80,000 599,574 Yokohama Reito Co., Ltd.(a) 73,000 565,518 Yokohama Rubber Co., Ltd. (The) 153,000 1,144,025 Yurtec Corp. 97,000 565,900 Zensho Co., Ltd. 10,400 104,981 ZERIA Pharmaceutical Co., Ltd.(a) 60,000 551,406 ----------- Total Japan 123,333,440 --------------------------------------------------------------------------- Netherlands - 2.4% Arcadis N.V. 8,794 629,071 Ballast Nedam N.V. 5,346 245,267 Beter Bed Holding N.V. 7,738 217,231 Buhrmann N.V. 33,291 361,714 CSM N.V. 9,324 311,878 Draka Holding 6,076 270,463 Exact Holding N.V. 16,138 672,454 Heijmans N.V. 14,101 649,540 ICT Automatisering N.V. 9,919 166,313 Imtech N.V. 11,872 972,842 Innoconcepts 4,167 85,632 Koninklijke Wessanen N.V. 74,938 1,100,899 Macintosh Retail Group N.V. 12,434 436,063 Nutreco Holding N.V. 23,598 1,663,563 OCE N.V. 66,059 1,384,761 Smit Internationale N.V. 10,793 939,528 Stork N.V.(a) 15,804 1,027,137 Ten Cate N.V. 10,359 419,716 Univar N.V. 12,840 971,271 Wegener N.V.(a) 34,156 859,776 ----------- Total Netherlands 13,385,119 --------------------------------------------------------------------------- New Zealand - 3.7% Air New Zealand Ltd. 1,001,511 1,869,151 Auckland International Airport Ltd. 1,149,772 2,719,241 CanWest MediaWorks (NZ) Ltd. 473,524 962,468 Fisher & Paykel Appliances Holdings Ltd. 289,797 779,535 Fisher & Paykel Healthcare Corp. 305,443 761,616 Freightways Ltd. 161,149 462,704 Hallenstein Glasson Holdings Ltd. 100,131 337,439 Infratil Ltd. 296,998 666,502 Mainfreight Ltd. 110,859 561,226 New Zealand Refining Co., Ltd. (The) 443,629 2,547,565 Nuplex Industries Ltd. 92,798 514,667 PGG Wrightson Ltd. 288,945 421,371 Port of Tauranga Ltd. 120,044 607,725 Pumpkin Patch Ltd. 146,746 344,841 Sanford Ltd. 117,816 387,245 Sky City Entertainment Group Ltd. 472,968 1,865,495 Trustpower Ltd. 78,076 501,451 Vector Ltd. 1,314,300 2,433,058 Warehouse Group Ltd. (The) 489,579 2,034,592 ----------- Total New Zealand 20,777,892 --------------------------------------------------------------------------- Norway - 2.5% ABG Sundal Collier ASA 890,222 2,347,766 Acta Holding ASA 563,063 2,523,386 Aker Yards ASA 117,755 1,379,029 BW Gas ASA 82,300 1,126,981 Camillo Eitzen & Co. ASA 24,159 323,026 See Notes to Financial Statements. WisdomTree International Dividend Funds 81 Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------------- EDB Business Partner ASA 32,000 $ 262,031 Ekornes ASA 39,765 843,372 Expert ASA 600 17,981 Hafslund ASA Class B 16,007 444,290 NorGani Hotels ASA(a) 16,600 286,246 Scana Industrier 37,500 100,973 Sparebank 1 SR Bank 31,055 945,009 Sparebanken Midt-Norge 78,024 1,007,272 Sparebanken Nord-Norge 29,139 712,051 Tomra Systems ASA(a) 29,410 211,534 Veidekke ASA 171,490 1,565,541 ---------- Total Norway 14,096,488 --------------------------------------------------------------------------------- Portugal - 0.8% Banif SGPS, S.A. 139,806 954,360 Corticeira Amorim-Industria S.A. 57,316 164,654 Finibanco Holding, SGPS, S.A. 45,919 269,051 Mota-Engil, SGPS, S.A. 86,854 660,829 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 224,962 668,653 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 110,840 1,801,723 ---------- Total Portugal 4,519,270 --------------------------------------------------------------------------------- Singapore - 4.9% Ascott Group Ltd. (The)(a) 168,000 184,472 Cerebos Pacific Ltd. 223,000 603,900 China Merchants Holdings Pacific Ltd. 572,000 319,822 Creative Technology Ltd.(a) 155,750 640,018 CSE Global Ltd. 108,000 93,125 Guocoland Ltd.(a) 445,102 1,529,200 Hotel Properties Ltd.(a) 318,000 1,011,122 HTL International Holdings Ltd. 990,000 560,207 Jaya Holdings Ltd. 1,827,000 2,461,517 Jurong Technologies Industrial Corp. Ltd.(a) 332,000 168,857 Keppel Telecommunications & Transportation Ltd. 253,538 768,582 Labroy Marine Ltd. 826,000 1,357,702 MobileOne Ltd. 1,332,800 1,840,574 OSIM International Ltd.(a) 984,000 397,723 Parkway Holdings Ltd. 712,000 2,033,668 Raffles Education Corp., Ltd. 959,000 1,479,410 Sing Holdings Ltd. 443,000 307,380 Singapore Airport Terminal Services Ltd.(a) 1,000,000 1,845,800 Singapore Petroleum Co., Ltd. 549,000 2,514,871 Singapore Post Ltd. 2,517,000 2,068,605 Singapore Reinsurance Corp., Ltd. 797,000 190,599 SMRT Corp. Ltd.(a) 1,945,000 2,240,527 Straits Trading Co., Ltd. 313,000 953,053 UOB-Kay Hian Holdings Ltd. 785,000 1,136,953 WBL Corp., Ltd.(a) 240,000 637,004 XP Power Ltd. 14,659 107,665 ---------- Total Singapore 27,452,356 --------------------------------------------------------------------------------- Spain - 0.8% Campofrio Alimentacion S.A. 37,966 674,917 Cie Automotive S.A. 14,176 169,549 Europistas, Concesionaria Espanola S.A.(a) 49,416 482,100 Grupo Duro Felguera S.A.(a) 37,444 427,073 Grupo Empresarial Ence S.A.(a) 64,837 731,209 Montebalito S.A. 12,904 202,967 Prosegur Cia de Seguridad S.A. 19,378 702,739 Tavex Algodonera S.A. 47,535 164,273 Tubacex S.A. 17,552 171,736 Tubos Reunidos, S.A.(a) 12,123 367,227 Uralita S.A. 42,622 417,636 ---------- Total Spain 4,511,426 --------------------------------------------------------------------------------- Sweden - 4.8% AarhusKarlshamn AB 9,900 231,085 Axfood AB 60,816 2,044,732 Bilia AB Class A 12,500 225,593 Brostrom AB Class B 95,500 1,026,001 Cardo AB 16,007 544,367 Clas Ohlson AB Class B(a) 32,010 779,338 D. Carnegie & Co. AB(a) 147,331 3,085,978 Eniro AB(a) 184,932 2,244,095 Hakon Invest AB 77,000 1,449,170 Haldex AB 35,200 810,753 HIQ International AB 28,000 175,296 Hoganas AB Class B 24,009 634,643 HQ AB 5,550 151,854 Intrum Justitia AB 63,029 976,752 KappAhl Holding AB 14,000 147,162 Kungsleden Fastighets AB 307,350 3,943,399 L E Lundbergforetagen AB Class B 12,007 824,094 NCC AB Class B 65,510 1,635,459 Nibe Industrier AB Class B(a) 64,029 638,404 Nobia AB 72,027 690,314 Seco Tools Class B 22,400 405,129 SkiStar AB 10,100 183,060 SSAB Svenskt Stal AB Series B 38,722 1,316,861 Svolder AB Class B 9,800 130,282 Trelleborg AB Class B 79,622 1,870,838 Wihlborgs Fastigheter AB 21,200 391,619 ---------- Total Sweden 26,556,278 --------------------------------------------------------------------------------- Switzerland - 0.6% Bellevue Group AG 14,999 1,149,127 Bucher Industries AG 1,169 216,348 Kudelski S.A. 8,730 246,012 Rieter Holding AG 2,415 1,302,388 Swiss Steel AG 3,587 333,767 ---------- Total Switzerland 3,247,642 --------------------------------------------------------------------------------- United Kingdom - 18.5% Aberdeen Asset Management PLC 523,373 1,951,317 Accident Exchange Group PLC 29,101 82,412 Aero Inventory PLC 23,456 275,498 (A & J) Mucklow Group PLC 16,796 107,449 Alexon Group PLC 42,282 159,796 ATH Resources PLC 146,865 574,493 See Notes to Financial Statements. 82 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- Atkins WS PLC 71,602 $ 1,665,930 Avon Rubber PLC 138,923 438,704 Babcock International Group PLC 169,294 1,759,046 BBA Aviation PLC 80,009 372,469 Blacks Leisure Group PLC 141,283 787,969 Bloomsbury Publishing PLC 141,184 424,990 Bodycote International PLC 274,577 1,387,335 Brit Insurance Holdings PLC 461,687 3,212,207 Britvic PLC 88,500 582,386 Burren Energy PLC 90,798 1,553,892 Business Post Group PLC 18,882 172,727 Carillion PLC 227,660 1,774,122 Carpetright PLC 97,248 2,084,307 Centaur Media PLC 193,674 467,579 Charles Taylor Consulting PLC 73,609 540,632 Communisis PLC 67,892 100,282 Computacenter PLC 32,914 134,450 Cranswick PLC 73,780 1,106,323 Croda International PLC 147,500 1,923,257 Dairy Crest Group PLC 125,061 1,602,647 Davis Service Group PLC 150,660 1,643,701 Dawson Holdings PLC 279,164 591,505 De La Rue PLC 118,947 1,769,056 Devro PLC 271,201 488,990 Domestic & General Group PLC 9,310 262,893 DS Smith PLC 524,897 1,997,101 DTZ Holdings PLC 9,804 94,328 Electrocomponents PLC 738,431 3,832,564 Erinaceous Group PLC 78,443 87,899 Euromoney Institutional Investor PLC 116,698 1,257,721 F&C Asset Management PLC 647,250 2,637,348 Filtrona PLC 227,260 1,057,973 Findel PLC 121,877 1,599,090 FKI PLC 614,523 1,139,318 Forth Ports PLC 39,963 1,442,737 Games Workshop Group PLC 37,807 195,839 GCAP Media PLC 207,960 879,151 Go-Ahead Group PLC 39,206 1,907,446 Greggs PLC 16,295 1,601,832 Halfords Group PLC 229,678 1,658,827 Halma PLC 370,750 1,701,419 Highway Insurance Holdings PLC 167,428 241,335 HMV Group PLC 807,940 1,925,885 Homeserve PLC 45,614 1,607,717 IG Group Holdings PLC 282,190 2,177,507 Inspace PLC 28,683 84,150 Interserve PLC 78,636 761,794 iomart Group PLC* 164,309 174,072 J D Wetherspoon PLC 41,018 442,910 Jardine Lloyd Thompson Group PLC 327,200 2,489,828 Johnson Service Group PLC 74,756 383,806 Laird Group PLC 154,444 1,699,144 Laura Ashley Holdings PLC 141,653 75,035 London Scottish Bank PLC 281,484 455,917 Lupus Capital PLC 402,287 114,744 McKay Securities PLC 21,797 150,988 Melrose PLC 27,163 107,499 Metalrax Group PLC 259,888 303,129 Micro Focus International PLC 3,598 21,863 Misys PLC 489,537 2,204,160 Mitie Group PLC 318,981 1,624,689 MJ Gleeson Group PLC 67,100 484,623 Morse PLC 80,325 145,649 N. Brown Group PLC 288,032 1,596,155 Northgate PLC 68,470 1,290,350 Pendragon PLC 911,041 1,109,025 Premier Farnell PLC 523,228 1,686,942 PZ Cussons PLC 402,695 1,378,323 Rank Group PLC 361,832 1,192,385 Redrow PLC 153,061 1,260,608 Renishaw PLC 77,030 1,045,200 Restaurant Group PLC 241,676 1,330,652 Rotork PLC 92,510 1,903,599 Savills PLC 126,634 947,496 Spectris PLC 110,454 1,975,792 Spirax-Sarco Engineering PLC 79,690 1,657,658 SSL International PLC 199,367 1,726,265 St. Ives Group PLC 52,882 220,865 Stagecoach Group PLC 682,252 3,158,740 T. Clarke PLC 120,788 465,720 Taylor Nelson Sofres PLC 292,856 1,346,937 Terrace Hill Group PLC 34,565 61,266 Topps Tiles PLC 232,479 931,888 Ultra Electronics Holdings PLC 70,622 1,594,209 UTV PLC 70,826 548,330 Vantis PLC 122,071 376,782 Victrex PLC 90,439 1,216,088 VT Group PLC 143,273 1,675,489 Warner Estate Holdings PLC 5,354 51,049 Xansa PLC 155,562 408,053 ----------- Total United Kingdom 102,921,267 ---------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $552,019,354) 552,616,219 ================================================================================== RIGHTS* - 0.0% Belgium - 0.0% Omega Pharma S.A., expiring 10/03/07 (Cost: $0) 3,435 - ================================================================================== TOTAL LONG-TERM INVESTMENTS (Cost: $552,019,354) 552,616,219 ================================================================================== SHORT-TERM INVESTMENT - 0.2% MONEY MARKET FUND-0.2% United States - 0.2% Columbia Cash Reserves Fund, 4.99%(b) (Cost: $1,179,302) 1,179,302 1,179,302 ================================================================================== See Notes to Financial Statements. WisdomTree International Dividend Funds 83 Schedule of Investments (unaudited) (concluded) WisdomTree International SmallCap Dividend Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 23.7% MONEY MARKET FUNDS(c) - 23.7% UBS Enhanced Yield Portfolio, 5.38% 25,690,286 $ 25,690,286 UBS Private Money Market Fund LLC, 5.21% 106,386,509 106,386,509 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $132,076,795)(d) 132,076,795 =============================================================================== TOTAL INVESTMENTS IN SECURITIES - 123.2% (Cost: $685,275,451)(e) 685,872,316 Foreign Currency and Other Assets in Excess of Liabilities - (23.2)% (129,233,861) ------------ NET ASSETS - 100.0% $556,638,455 =============================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2007. (c) Interest rates shown reflect yields as of September 30, 2007. (d) At September 30, 2007, the total market value of the Fund's securities on loan was $124,619,463 and the total market value of the collateral held by the Fund was $132,076,795. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 84 WisdomTree International Dividend Funds Schedule of Investments (unaudited) WisdomTree International Real Estate Fund September 30, 2007 ------------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------------ COMMON STOCKS - 99.6% Australia - 35.5% Abacus Property Group 83,600 $ 142,045 ALE Property Group 17,768 64,468 APN/UKA European Retail Trust 133,107 157,843 Aspen Group 35,797 88,700 Australand Property Group(a) 214,342 440,062 Babcock & Brown Japan Property Trust 77,099 117,012 Bunnings Warehouse Property Trust 36,847 75,976 Centro Properties Group 90,776 592,049 Centro Retail Group(a) 273,236 394,134 Centro Shopping America Trust 197,327 185,102 CFS Retail Property Trust 284,079 600,836 Charter Hall Group 32,764 83,794 Commonwealth Property Office Fund 273,212 402,562 DB RREEF Trust 475,197 845,257 FKP Property Group 29,629 181,444 Goodman Group 215,760 1,319,374 GPT Group 305,573 1,379,126 ING Industrial Fund(a) 229,925 575,826 ING Office Fund 262,393 413,324 ING Real Estate Community Living Group(a) 102,489 120,628 Lend Lease Corp. Ltd. 36,707 613,945 Macquarie CountryWide Trust 218,756 385,240 Macquarie DDR Trust 218,727 227,436 Macquarie Leisure Trust Group 26,829 80,724 Macquarie Office Trust 386,653 535,494 Mirvac Group 164,587 793,800 Mirvac Industrial Trust 154,300 135,865 Multiplex Group 127,386 564,779 Reckson New York Property Trust 95,373 82,290 Rubicon America Trust 128,228 116,880 Rubicon Europe Trust Group 135,153 101,663 Stockland 187,499 1,493,346 Sunland Group Ltd.(a) 41,832 149,928 Tishman Speyer Office Fund 68,155 132,690 Valad Property Group 145,962 258,338 Westfield Group 255,498 4,906,436 ---------- Total Australia 18,758,416 ------------------------------------------------------------------------------------ Belgium - 0.4% Cofinimmo 1,181 208,366 ------------------------------------------------------------------------------------ Denmark - 0.1% Nordicom A/S 164 28,943 ------------------------------------------------------------------------------------ Finland - 0.4% Citycon Oyj 10,371 65,929 Sponda Oyj 9,871 136,871 Technopolis PLC 2,851 24,814 ---------- Total Finland 227,614 ------------------------------------------------------------------------------------ France - 6.1% Acanthe Developpement S.A. 41,812 175,416 Gecina S.A. 5,445 921,489 Icade 6,873 499,474 Klepierre 9,290 531,509 Mercialys 2,540 98,037 Societe de la Tour Eiffel 780 136,774 Societe Immobiliere De Location pour l'Industrie et le Commerce 1,370 229,651 Unibail-Rodamco 2,519 646,586 ---------- Total France 3,238,936 ------------------------------------------------------------------------------------ Germany - 0.9% Deutsche Euroshop AG 3,121 114,470 Deutsche Wohnen AG 3,625 155,329 DIC Asset AG 1,770 61,646 IVG Immobilien AG 3,605 134,580 ---------- Total Germany 466,025 ------------------------------------------------------------------------------------ Hong Kong - 24.0% Cheung Kong (Holdings) Ltd. 143,769 2,372,508 GZI Real Estate Investment Trust 159,357 63,795 Hang Lung Group Ltd. 69,898 397,687 Hang Lung Properties Ltd. 276,209 1,237,290 Henderson Investment Ltd. 131,769 218,805 Henderson Land Development Co., Ltd. 128,139 1,016,878 Hysan Development Co., Ltd. 72,988 202,467 Kowloon Development Co., Ltd. 151,257 386,288 Link REIT (The) 230,927 508,306 New World Development Co., Ltd. 202,723 561,043 Prosperity Real Estate Investment Trust 309,687 65,775 Shun TAK Holdings Ltd. 68,285 110,048 Sino Land Co. Ltd. 352,085 876,513 Sun Hung Kai Properties Ltd. 189,311 3,192,284 Swire Pacific Ltd. Class A 18,306 222,090 Swire Pacific Ltd. Class B 58,075 139,344 Wharf Holdings Ltd. 202,723 996,829 Wheelock & Co., Ltd. 46,838 129,023 ---------- Total Hong Kong 12,696,973 ------------------------------------------------------------------------------------ Italy - 1.4% Aedes SpA 7,346 49,363 Beni Stabili SpA 177,500 221,887 Immobiliare Grande Distribuzione 12,340 48,261 Pirelli & C Real Estate SpA 4,835 246,508 Risanamento SpA 13,937 104,949 ---------- Total Italy 670,968 ------------------------------------------------------------------------------------ Japan - 10.4% Advance Residence Investment Corp. 10 41,386 Aeon Mall Co., Ltd. 1,009 30,792 Ardepro Co., Ltd. 290 75,138 BLife Investment Corp. 10 43,386 Creed Office Investment Corp. 10 49,472 Crescendo Investment Corp. 10 44,777 DA Office Investment Corp. 10 65,557 eASSET Investment Corp. 10 39,386 Frontier Real Estate Investment Corp. 10 79,207 Fukuoka REIT Corp. 10 82,598 Global One Real Estate Investment Corp. 10 116,507 Hankyu REIT, Inc. 7 56,358 See Notes to Financial Statements. WisdomTree International Dividend Funds 85 Schedule of Investments (unaudited) (continued) WisdomTree International Real Estate Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- Japan Excellent, Inc. 2 $ 17,302 Japan Hotel and Resort, Inc. 10 43,994 Japan Logistics Fund, Inc. 10 76,946 Japan Prime Realty Investment Corp. 50 208,234 Japan Real Estate Investment Corp. 30 359,953 Japan Retail Fund Investment Corp. 30 260,836 Japan Single-Residence REIT, Inc. 10 39,995 Joint Corp. 919 24,530 Joint REIT Investment Corp. 10 36,256 Kenedix Realty Investment Corp. 20 139,112 Kenedix, Inc. 18 31,300 LCP Investment Corp. 10 34,256 Leopalace21 Corp. 5,059 165,826 Meiwa Estate Co., Ltd. 4,050 48,558 MID REIT, Inc. 10 47,559 Mitsubishi Estate Co., Ltd. 14,128 404,131 Mitsui Fudosan Co., Ltd. 10,128 280,905 Mori Hills REIT Investment Corp. 10 83,467 Mori Trust Sogo REIT, Inc. 11 131,026 New City Residence Investment Corp. 20 109,551 Nippon Building Fund, Inc. 30 435,595 Nippon Commercial Investment Corp. 10 43,386 Nippon Residential Investment Corp. 20 115,637 Nomura Real Estate Holdings, Inc. 982 28,688 Nomura Real Estate Office Fund, Inc. 20 208,668 NTT Urban Development Corp. 20 41,386 Orix JREIT, Inc.(a) 20 136,330 Pacific Management Corp. 10 12,433 Premier Investment Co. 10 72,251 Prospect Residential Investment Corp. 20 59,123 re-plus residential investment, Inc. 10 38,865 Sumitomo Real Estate Sales Co., Ltd. 400 31,022 Sumitomo Realty & Development Co., Ltd. 4,501 158,101 Suncity Co., Ltd. 80 35,265 Suruga Corp. 1,550 28,301 TOC Co., Ltd. 5,059 46,493 Toho Real Estate Co., Ltd. 3,960 30,127 Tokyo Tatemono Co., Ltd. 6,000 76,425 Tokyu Land Corp. 10,128 101,531 Tokyu Livable, Inc. 487 8,350 Tokyu REIT, Inc. 15 146,068 Top REIT, Inc. 20 116,507 United Urban Investment Corp. 20 137,547 Urban Corp. 8,105 131,284 --------- Total Japan 5,507,684 ---------------------------------------------------------------------------------- Netherlands - 0.9% Eurocommercial Properties N.V. Class A 3,445 191,073 VastNed Offices/Industrial N.V. 3,435 108,302 VastNed Retail N.V. 2,370 190,264 --------- Total Netherlands 489,639 ---------------------------------------------------------------------------------- New Zealand - 0.8% AMP NZ Office Trust 60,665 60,507 Goodman Property Trust 102,220 119,718 ING Property Trust 130,578 111,491 Kiwi Income Property Trust 106,945 117,171 --------- Total New Zealand 408,887 ---------------------------------------------------------------------------------- Norway - 0.1% NorGani Hotels ASA 3,450 59,491 ---------------------------------------------------------------------------------- Singapore - 7.6% Allco Commercial Real Estate Investment Trust 69,327 49,504 Allgreen Properties Ltd. 859,032 1,111,079 Ascendas Real Estate Investment Trust 184,503 339,313 Cambridge Industrial Trust 96,859 54,157 CapitaCommercial Trust 91,190 174,462 CapitaLand Ltd. 58,507 321,218 CapitaMall Trust 134,805 354,165 CDL Hospitality Trusts 22,770 35,280 City Developments Ltd. 40,540 442,418 Fortune Real Estate Investment Trust 150,402 113,257 Frasers Centrepoint Trust 52,892 55,584 GuocoLand Ltd.(a) 31,768 109,143 Keppel Land Ltd. 10,128 56,629 Macquarie MEAG Prime Real Estate Investment Trust 141,300 116,128 Mapletree Logistics Trust(a) 77,911 65,606 Singapore Land Ltd. 44,756 307,529 Suntec Real Estate Investment Trust 102,212 134,268 United Industrial Corp., Ltd. 40,414 83,308 Wheelock Properties S Ltd. 15,271 28,084 Wing Tai Holdings Ltd. 30,402 79,054 --------- Total Singapore 4,030,186 ---------------------------------------------------------------------------------- Spain - 1.6% Astroc Mediterraneo S.A. 4,899 72,249 Metrovacesa S.A. (a) 6,528 740,382 Renta Corp Real Estate S.A. 1,470 48,626 --------- Total Spain 861,257 ---------------------------------------------------------------------------------- Sweden - 2.6% Castellum AB 12,777 158,502 Fabege AB 24,322 288,561 Hufvudstaden AB Class A 10,290 110,550 Klovern AB 16,232 63,482 Kungsleden Fastighet AB 45,949 589,541 Wallenstam Byggnads AB Class B 3,041 62,521 Wihlborgs Fastigheter AB 5,239 96,778 --------- Total Sweden 1,369,935 ---------------------------------------------------------------------------------- Switzerland - 0.3% Allreal Holding AG 940 109,916 Intershop Holdings 230 62,018 --------- Total Switzerland 171,934 ---------------------------------------------------------------------------------- United Kingdom - 6.5% Big Yellow Group PLC 3,000 30,545 British Land Co. PLC 23,584 563,132 See Notes to Financial Statements. 86 WisdomTree International Dividend Funds Schedule of Investments (unaudited) (concluded) WisdomTree International Real Estate Fund September 30, 2007 --------------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------------- Brixton PLC 21,872 $ 161,422 Capital & Regional PLC 3,000 44,985 Daejan Holdings PLC 1,000 76,543 Derwent London PLC 3,000 102,438 DTZ Holdings PLC 3,000 28,864 Erinaceous Group PLC 12,998 14,565 Grainger PLC 3,000 27,351 Great Portland Estates PLC 7,839 95,425 Hammerson PLC 10,998 262,607 Helical Bar PLC 3,000 27,917 Land Securities Group PLC 34,435 1,180,026 Liberty International PLC 10,998 255,661 Quintain Estates & Development PLC 3,999 60,290 Savills PLC 2,000 14,964 Segro PLC 30,456 309,937 Shaftesbury PLC 3,999 40,370 St. Modwen Properties PLC 4,999 48,403 UNITE Group PLC 3,000 22,080 Warner Estate (Holdings) PLC 3,999 38,130 Workspace Group PLC 5,999 38,713 ----------- Total United Kingdom 3,444,368 --------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $50,336,364) 52,639,622 ================================================================================= INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.2% MONEY MARKET FUNDS(b) - 3.2% AIM Liquid Assets Portfolio, 5.11% 189 189 UBS Private Money Market Fund LLC, 5.21% 1,674,316 1,674,316 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $1,674,505)(c) 1,674,505 ================================================================================= TOTAL INVESTMENTS IN SECURITIES - 102.8% (Cost: $52,010,869)(d) 54,314,127 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (2.8)% (1,477,119) ----------- NET ASSETS - 100.0% $52,837,008 ================================================================================= (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $1,593,533 and the total market value of the collateral held by the Fund was $1,674,505. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Funds 87 Schedule of Investment (unaudited) WisdomTree Emerging Markets High-Yielding Equity Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- COMMON STOCKS - 99.5% Brazil - 12.1% AES Tiete S.A. 5,798,000 $ 208,760 Brasil Telecom Participacoes S.A. 7,024 186,632 Cia de Concessoes Rodoviarias 20,198 402,862 Cia Energetica de Minas Gerais 8,598 182,240 Cia Paranaense de Energia 8,398 134,642 CPFL Energia S.A. 59,598 1,154,711 Gerdau S.A. 12,598 272,295 Grendene S.A. 6,998 84,623 Localiza Rent A Car S.A. 15,898 161,140 Petroleo Brasileiro S.A. 126,496 4,754,599 Souza Cruz S.A. 25,798 663,317 Telecomunicacoes de Sao Paulo S.A. 30,498 933,173 Tractebel Energia S.A. 73,698 902,801 ---------- Total Brazil 10,041,795 ------------------------------------------------------------------------------- Chile - 2.0% Banco de Chile 4,515,168 370,928 Banco Santander Chile S.A. 10,638,569 518,143 CorpBanca S.A. 14,597,120 107,640 Empresa Nacional de Telecomunicaciones S.A. 12,099 203,524 Empresas Iansa S.A. 265,299 25,375 Inversiones Aguas Metropolitanas S.A. 117,261 146,103 Lan Airlines S.A. 16,893 269,297 ---------- Total Chile 1,641,010 ------------------------------------------------------------------------------- China - 3.9% Angang Steel Co., Ltd. Class H 83,996 325,446 Anhui Expressway Co. Class H 61,984 56,649 Chongqing Iron & Steel Co., Ltd. Class H 55,984 37,257 Huaneng Power International, Inc. Class H 291,992 403,673 PetroChina Co. Ltd. Class H 1,225,968 2,326,114 Shenzhen Expressway Co., Ltd. Class H 53,984 56,078 ---------- Total China 3,205,217 ------------------------------------------------------------------------------- Czech Republic - 2.0% Komercni Banka A.S. 3,323 773,005 Telefonica O2 Czech Republic A.S. 31,483 888,580 ---------- Total Czech Republic 1,661,585 ------------------------------------------------------------------------------- Hungary - 0.7% Magyar Telekom Telecommunications PLC 99,458 551,725 ------------------------------------------------------------------------------- Indonesia - 1.4% Gudang Garam Tbk PT 127,496 131,051 International Nickel Indonesia Tbk PT 112,996 784,609 Tempo Scan Pacific Tbk PT 232,442 20,588 Unilever Indonesia Tbk PT 383,404 285,090 ---------- Total Indonesia 1,221,338 ------------------------------------------------------------------------------- Israel - 5.8% Bank Hapoalim BM 107,717 549,645 Bank Leumi Le-Israel BM 229,290 1,003,340 Bezeq Israeli Telecommunication Corp. Ltd. 538,037 920,053 Blue Square-Israel Ltd. 2,295 32,458 Clal Industries and Investments Ltd. 13,780 78,890 Delek Automotive Systems Ltd. 9,962 122,073 Discount Investment Corp. 8,709 269,887 IDB Development Corp. Ltd. 15,531 522,661 IDB Holding Corp. Ltd. 8,629 253,447 Israel Chemicals Ltd. 70,858 649,407 Migdal Insurance & Financial Holding Ltd. 86,561 145,306 Mizrahi Tefahot Bank Ltd. 14,707 109,639 Partner Communications Co. 8,329 138,323 Tefron Ltd. 1,450 9,117 ---------- Total Israel 4,804,246 ------------------------------------------------------------------------------- Malaysia - 6.6% Batu Kawan Bhd 23,900 61,021 Berjaya Sports Toto Bhd 219,800 322,523 British American Tobacco (Malaysia) Bhd 31,900 386,170 Fraser & Neave Holdings Bhd 27,500 64,967 Gamuda Bhd 55,400 143,073 Golden Hope Plantations Bhd 84,500 210,785 Highlands & Lowlands Bhd 51,000 117,491 Hong Leong Bank Bhd 81,700 141,461 Malayan Banking Bhd 337,200 1,088,540 Malaysian Bulk Carriers Bhd 109,500 141,394 Padiberas Nasional Bhd 28,900 17,387 Petronas Gas Bhd 116,200 378,524 PLUS Expressways Bhd 338,700 316,087 Public Bank Bhd 306,000 893,529 Shell Refining Co. Federation of Malaya Bhd 34,700 112,018 SP Setia Bhd 33,800 87,290 Star Publications Malaysia Bhd 57,400 56,936 Telekom Malaysia Bhd 176,300 501,866 Uchi Technologies Bhd 30,500 26,674 UMW Holdings Bhd 29,200 120,828 Unisem M Bhd 29,700 13,946 YTL Power International Bhd 466,900 327,481 ---------- Total Malaysia 5,529,991 ------------------------------------------------------------------------------- Mexico - 3.7% Consorcio ARA SAB de C.V. 100,596 134,776 Embotelladoras Arca SAB de C.V. 60,498 224,295 Grupo Carso SAB de C.V. Series A1 180,794 689,470 Grupo Continental SAB de C.V. 134,396 282,689 Grupo Mexico SAB de C.V. Series B 168,894 1,212,492 Grupo Modelo SAB de C.V. Series C 34,898 167,554 Kimberly-Clark de Mexico SAB de C.V. Series A 83,696 377,277 ---------- Total Mexico 3,088,553 ------------------------------------------------------------------------------- Philippines - 1.5% Bank of the Philippine Islands 163,394 241,192 Globe Telecom, Inc. 9,408 306,987 Philippine Long Distance Telephone Co. 10,258 662,614 ---------- Total Philippines 1,210,793 ------------------------------------------------------------------------------- Poland - 2.4% Bank Millennium S.A. 53,991 240,381 KGHM Polska Miedz S.A. 23,744 1,106,414 Telekomunikacja Polska S.A. 83,451 659,648 ---------- Total Poland 2,006,443 ------------------------------------------------------------------------------- See Notes to Financial Statements. 88 WisdomTree International Dividend Funds Schedule of Investment (unaudited) (continued) WisdomTree Emerging Markets High-Yielding Equity Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------ Russia - 0.5% Mechel ADR 7,430 $ 378,930 ------------------------------------------------------------------------------ South Africa - 8.5% Afgri Ltd. 34,895 32,786 African Bank Investments Ltd. 43,186 196,057 African Oxygen Ltd. 22,648 114,114 Allied Technologies Ltd. 7,469 67,253 Anglo Platinum Ltd. 15,124 2,286,335 Astral Foods Ltd. 3,125 54,827 Highveld Steel and Vanadium Corp. Ltd. 10,404 171,219 Hulamin Ltd. 6,036 20,996 Illovo Sugar Ltd. 17,889 63,731 JD Group Ltd. 11,673 98,506 Lewis Group Ltd. 4,894 40,235 Liberty Group Ltd. 15,882 201,497 Metropolitan Holdings Ltd. 74,537 164,275 Nampak Ltd. 38,827 121,603 Northam Platinum Ltd. 24,819 177,917 Pick'n Pay Holdings Ltd. 27,801 59,659 Pick'n Pay Stores Ltd. 24,389 125,892 Pretoria Portland Cement Co., Ltd. 35,838 248,386 Remgro Ltd. 28,725 728,876 Reunert Ltd. 16,433 159,641 Telkom S.A. Ltd. 72,857 1,832,846 Tongaat-Hulett 5,979 88,808 ---------- Total South Africa 7,055,459 ------------------------------------------------------------------------------ South Korea - 10.4% Core Logic, Inc. 428 6,641 Daeduck Electronics Co. 2,720 21,192 Daegu Bank 7,020 130,021 GIIR, Inc. 1,260 19,344 GS Home Shopping, Inc. 351 31,029 Kolon Engineering & Construction Co., Ltd. 1,280 21,330 Kookmin Bank 21,396 1,781,539 Korea Exchange Bank 61,720 1,001,521 KT Corp. 19,400 974,081 KT&G Corp. 7,666 598,939 LG Petrochemical Co., Ltd. 2,590 128,771 SK Telecom Co., Ltd. 111 25,471 SK Telecom Co., Ltd. ADR 39,823 1,182,743 S-Oil Corp. 30,317 2,696,610 ---------- Total South Korea 8,619,232 ------------------------------------------------------------------------------ Taiwan - 27.5% Acer, Inc. 161,485 284,522 Advantech Co., Ltd. 29,851 88,451 Altek Corp. 15,600 30,211 Cheng Loong Corp. 63,000 25,771 China Motor Corp. 107,360 98,363 China Steel Corp. 1,613,280 2,353,061 Chung HWA Pulp 48,000 31,622 Chunghwa Telecom Co., Ltd. 1,078,800 2,016,448 Compal Communications, Inc. 29,950 75,988 Compal Electronics, Inc. 261,890 296,116 E.Sun Financial Holding Co., Ltd.* 254,000 136,982 Eastern Media International Corp.* 79,000 22,150 Evergreen Marine Corp. (Taiwan) Ltd. 354,000 306,435 Far EasTone Telecommunications Co., Ltd. 475,000 601,118 Feng Hsin Iron & Steel Co. 54,000 85,215 First Financial Holding Co., Ltd. 477,360 341,546 Formosa Chemicals & Fibre Corp. 664,000 1,698,912 Formosa International Hotels Corp. 3,000 23,625 Formosa Petrochemical Corp. 870,000 2,612,532 Formosa Plastics Corp. 533,000 1,502,559 Fu Sheng Industrial Co., Ltd. 80,540 85,389 Fubon Financial Holding Co., Ltd. 452,000 385,727 Gigabyte Technology Co., Ltd. 60,000 49,548 Hotai Motor Co., Ltd. 58,000 146,444 Inventec Appliances Corp. 46,450 92,089 Kinpo Electronics, Inc. 80,200 32,193 LEE Chang Yung Chem IND Corp. 36,960 47,113 LITE-ON IT Corp. 116,000 108,056 Lite-On Technology Corp. 169,869 265,461 Mega Financial Holding Co., Ltd. 1,204,000 759,994 Nan Ya Plastics Corp. 664,000 1,729,432 Novatek Microelectronics Corp. Ltd. 34,159 148,631 POU Chen Corp. 147,715 147,556 President Chain Store Corp. 53,000 148,923 Quanta Computer, Inc. 256,440 403,107 Shihlin Electric & Engineering Corp. 30,000 32,496 Sincere Navigation Corp. 36,000 80,417 SinoPac Financial Holdings Co., Ltd 527,000 245,454 Sunplus Technology Co., Ltd. 46,788 88,745 Taiwan Cement Corp. 212,040 346,957 Taiwan Fertilizer Co., Ltd. 51,000 123,144 Taiwan Mobile Co., Ltd. 559,000 760,521 Taiwan Secom Co., Ltd. 29,000 47,985 Taiwan Semiconductor Manufacturing Co., Ltd. 1,364,000 2,658,201 Teco Electric and Machinery Co., Ltd. 98,000 57,806 Tung Ho Steel Enterprise Corp. 82,000 136,939 U-Ming Marine Transport Corp. 101,000 331,147 Wan Hai Lines Ltd. 252,000 193,816 Wintek Corp. 108,000 144,287 Yang Ming Marine Transport Corp. 388,075 312,148 Yuen Foong Yu Paper Manufacturing Co., Ltd. 81,560 37,987 Yulon Motor Co., Ltd. 83,848 94,035 ---------- Total Taiwan 22,873,375 ------------------------------------------------------------------------------ Thailand - 8.0% Advanced Info Service PCL 344,090 893,480 Airports of Thailand PCL 91,096 164,783 Aromatics Thailand PCL 64,898 142,955 Asia Plus Securities PCL 193,852 21,831 Bangkok Expressway PCL 48,088 34,935 Banpu PCL 13,898 141,109 CalComp Electronics (Thailand) PCL 498,278 103,944 Charoen Pokphand Foods PCL 427,094 65,419 See Notes to Financial Statements. WisdomTree International Dividend Funds 89 Schedule of Investment (unaudited) (concluded) WisdomTree Emerging Markets High-Yielding Equity Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- Delta Electronics Thai PCL 159,262 $ 97,578 Electricity Generating PCL 28,498 96,448 Hana Microelectronics PCL 67,584 48,507 Kiatnakin Bank PCL 52,998 47,547 Kim Eng Securities Thailand PCL 43,290 30,565 Krung Thai Bank PCL 755,014 242,309 Major Cineplex Group PCL 56,886 29,543 MCOT PCL 56,086 49,091 Phatra Securities PCL 29,298 32,055 Precious Shipping PCL 115,596 126,473 PTT Chemical PCL 102,396 385,385 PTT PCL 187,794 1,840,957 Ratchaburi Electricity Generating Holding PCL 89,496 123,375 Rayong Refinery PCL 219,846 163,562 Regional Container Lines PCL 56,198 52,878 Samart Corp. PCL 62,686 14,448 Siam Cement PCL 107,996 800,321 Siam City Bank PCL 133,366 68,872 Siam City Cement PCL 17,698 144,579 Thai Airways International Pcl 84,496 103,540 Thai Oil PCL 158,994 398,935 Thai Union Frozen Products PCL 63,884 45,106 Thoresen Thai Agencies PCL 36,898 62,439 Tisco Bank PCL 70,282 61,516 ----------- Total Thailand 6,634,485 ---------------------------------------------------------------------------- Turkey - 2.5% Adana Cimento Class A 6,034 47,074 Akcansa Cimento A.S. 17,731 135,401 Aksigorta A.S. 22,071 152,145 Arcelik A.S. 23,936 193,654 Cimsa Cimento Sanayi VE Tica 6,951 59,680 Dogan Sirketler Grubu Holdings 65,931 143,695 Dogus Otomotiv Servis ve Ticaret A.S. 10,408 70,028 Ford Otomotiv Sanayi A.S. 53,639 566,812 Mardin Cimento Sanayii 11,387 69,095 Trakya Cam Sanayi A.S. 24,450 91,236 Tupras Turkiye Petrol Rafine 21,857 577,416 ----------- Total Turkey 2,106,236 ============================================================================ TOTAL INVESTMENTS IN SECURITIES - 99.5% (Cost: $79,731,064)(a) 82,630,413 Cash, Foreign Currency and Other Assets in Excess of Liabilities - 0.5% 453,873 ----------- NET ASSETS - 100.0% $83,084,286 ============================================================================ ADR - American Depositary Receipt. * Non-income producing security. (a) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 90 WisdomTree International Dividend Funds Statements of Assets and Liabilities (unaudited) WisdomTree International Dividend Funds September 30, 2007 --------------------------------------------------------------------------------------------------------------- WisdomTree DEFA WisdomTree High-Yielding DEFA Fund Equity Fund --------------------------------------------------------------------------------------------------------------- ASSETS: Investments, at cost $ 289,676,307 $ 266,770,580 Foreign currency, at cost - 452,845 --------------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 313,047,577 283,353,469 Cash 4,000 456,000 Foreign currency, at value - 465,520 Receivables: Investment securities sold 999,375 424,733 Dividends and interest 636,022 826,116 Foreign tax reclaims 64,669 58,829 Capital shares sold 17,462,873 - --------------------------------------------------------------------------------------------------------------- Total Assets 332,214,516 285,584,667 =============================================================================================================== LIABILITIES: Due to foreign custodian 344,987 - Unrealized depreciation on forward foreign currency contracts 2,121 1,765 Payables: Investment securities purchased 17,187,687 - Collateral for securities on loan (Note 2) 12,953,752 15,700,187 Advisory fees (Note 3) 102,252 123,331 Other accrued expenses 937 936 --------------------------------------------------------------------------------------------------------------- Total Liabilities 30,591,736 15,826,219 =============================================================================================================== NET ASSETS $ 301,622,780 $ 269,758,448 =============================================================================================================== NET ASSETS: Paid-in capital $ 273,271,645 $ 240,477,805 Undistributed net investment income 4,339,788 6,361,949 Accumulated net realized gain on investments and foreign currency related transactions 617,464 6,292,265 Net unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies 23,393,883 16,626,429 --------------------------------------------------------------------------------------------------------------- NET ASSETS $ 301,622,780 $ 269,758,448 =============================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 4,250,000 3,900,000 =============================================================================================================== Net asset value per share $ 70.97 $ 69.17 =============================================================================================================== ---------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree WisdomTree Europe Europe Europe Total High-Yielding SmallCap Dividend Fund Equity Fund Dividend Fund ---------------------------------------------------------------------------------------------------------------------------- ASSETS: Investments, at cost $ 50,546,819 $ 49,871,718 $105,581,956 Foreign currency, at cost 61,192 99,324 97,913 ---------------------------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 56,072,273 54,507,358 101,888,138 Cash 9,000 - - Foreign currency, at value 62,190 101,530 99,714 Receivables: Investment securities sold 55,794 91,005 111,832 Dividends and interest 87,479 146,550 207,444 Foreign tax reclaims 23,392 18,335 28,798 Capital shares sold - - - ---------------------------------------------------------------------------------------------------------------------------- Total Assets 56,310,128 54,864,778 102,335,926 ============================================================================================================================ LIABILITIES: Due to foreign custodian - - - Unrealized depreciation on forward foreign currency contracts - 663 1,021 Payables: Investment securities purchased - - - Collateral for securities on loan (Note 2) 598,820 422,330 4,557,273 Advisory fees (Note 3) 21,149 25,029 46,317 Other accrued expenses 194 190 351 ---------------------------------------------------------------------------------------------------------------------------- Total Liabilities 620,163 448,212 4,604,962 ============================================================================================================================ NET ASSETS $ 55,689,965 $ 54,416,566 $ 97,730,964 ============================================================================================================================ NET ASSETS: Paid-in capital $ 48,787,074 $ 45,682,639 $ 83,828,881 Undistributed net investment income 1,006,331 1,542,356 3,818,373 Accumulated net realized gain on investments and foreign currency related transactions 367,773 2,551,435 13,772,854 Net unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies 5,528,787 4,640,136 (3,689,144) ---------------------------------------------------------------------------------------------------------------------------- NET ASSETS $ 55,689,965 $ 54,416,566 $ 97,730,964 ============================================================================================================================ Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 800,000 800,000 1,400,000 ============================================================================================================================ Net asset value per share $ 69.61 $ 68.02 $ 69.81 ============================================================================================================================ See Notes to Financial Statements. WisdomTree International Dividend Funds 91 Statements of Assets and Liabilities (unaudited) (continued) WisdomTree International Dividend Funds September 30, 2007 ----------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree Japan Japan Total High-Yielding Dividend Fund Equity Fund ----------------------------------------------------------------------------------------------------------- ASSETS: Investments, at cost $ 43,907,233 $ 51,160,011 Foreign currency, at cost 13,165 713 ----------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 44,261,198 46,521,268 Cash - - Foreign currency, at value 13,111 710 Unrealized appreciation on forward foreign currency contracts - - Receivables: Investment securities sold - - Dividends and interest 259,300 377,970 Foreign tax reclaims - - ----------------------------------------------------------------------------------------------------------- Total Assets 44,533,609 46,899,948 =========================================================================================================== LIABILITIES: Due to foreign custodian - 37,622 Payables: Collateral for securities on loan (Note 2) 336,265 2,033,155 Advisory fees (Note 3) 16,724 20,706 Other accrued expenses 153 157 ----------------------------------------------------------------------------------------------------------- Total Liabilities 353,142 2,091,640 =========================================================================================================== NET ASSETS $ 44,180,467 $ 44,808,308 =========================================================================================================== NET ASSETS: Paid-in capital $ 42,653,051 $ 45,968,673 Undistributed net investment income 388,730 810,033 Accumulated net realized gain on investments and foreign currency related transactions 786,171 2,670,313 Net unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies 352,515 (4,640,711) ----------------------------------------------------------------------------------------------------------- NET ASSETS $ 44,180,467 $ 44,808,308 =========================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 800,000 800,000 =========================================================================================================== Net asset value per share $ 55.23 $ 56.01 =========================================================================================================== ---------------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree Japan WisdomTree Pacific ex-Japan SmallCap Pacific ex-Japan High-Yielding Dividend Fund Total Dividend Fund Equity Fund ---------------------------------------------------------------------------------------------------------------------------------- ASSETS: Investments, at cost $ 95,252,082 $ 208,233,970 $ 107,296,855 Foreign currency, at cost 4,856 288,114 128,712 ---------------------------------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 90,090,248 244,719,849 117,085,541 Cash - 1,062,000 - Foreign currency, at value 4,856 289,261 129,699 Unrealized appreciation on forward foreign currency contracts - 308 - Receivables: Investment securities sold - 348,928 269,606 Dividends and interest 457,707 801,332 926,676 Foreign tax reclaims - 61 - ---------------------------------------------------------------------------------------------------------------------------------- Total Assets 90,552,811 247,221,739 118,411,522 ================================================================================================================================== LIABILITIES: Due to foreign custodian 12,057 - - Payables: Collateral for securities on loan (Note 2) 10,924,473 28,584,988 18,332,632 Advisory fees (Note 3) 36,724 77,714 48,526 Other accrued expenses 279 712 368 ---------------------------------------------------------------------------------------------------------------------------------- Total Liabilities 10,973,533 28,663,414 18,381,526 ================================================================================================================================== NET ASSETS $ 79,579,278 $ 218,558,325 $ 100,029,996 ================================================================================================================================== NET ASSETS: Paid-in capital $ 81,971,970 $ 177,357,784 $ 80,015,732 Undistributed net investment income 923,894 3,205,734 3,277,718 Accumulated net realized gain on investments and foreign currency related transactions 1,846,969 1,452,580 6,876,391 Net unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies (5,163,555) 36,542,227 9,860,155 ---------------------------------------------------------------------------------------------------------------------------------- NET ASSETS $ 79,579,278 $ 218,558,325 $ 100,029,996 ================================================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 1,600,000 2,600,000 1,300,000 ================================================================================================================================== Net asset value per share $ 49.74 $ 84.06 $ 76.95 ================================================================================================================================== See Notes to Financial Statements. 92 WisdomTree International Dividend Funds Statements of Assets and Liabilities (unaudited) (concluded) WisdomTree International Dividend Funds September 30, 2007 -------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree WisdomTree International International International LargeCap Dividend MidCap Dividend Fund Top 100 Fund Dividend Fund -------------------------------------------------------------------------------------------------------- ASSETS: Investments, at cost $ 138,527,074 $ 425,749,929 $ 305,589,433 Foreign currency, at cost 179,372 145,318 232,773 -------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 154,625,923 454,768,504 309,429,281 Cash - 62,666 25,950 Foreign currency, at value 182,755 146,218 234,312 Unrealized appreciation on forward foreign currency contracts - - 117 Receivables: Investment securities sold 158,057 653,326 348,438 Dividends and interest 362,114 1,260,622 927,424 Foreign tax reclaims 45,429 101,150 56,148 Capital shares sold - 14,424,610 - -------------------------------------------------------------------------------------------------------- Total Assets 155,374,278 471,417,096 311,021,670 ======================================================================================================== LIABILITIES: Due to foreign custodian - - - Unrealized depreciation on forward foreign currency contracts 911 3,629 - Payables: Investment securities purchased - 14,065,246 - Collateral for securities on loan (Note 2) 1,566,840 21,922,095 30,096,525 Advisory fees (Note 3) 57,810 191,048 128,850 Other accrued expenses 530 1,449 977 -------------------------------------------------------------------------------------------------------- Total Liabilities 1,626,091 36,183,467 30,226,352 ======================================================================================================== NET ASSETS $ 153,748,187 $ 435,233,629 $ 280,795,318 ======================================================================================================== NET ASSETS: Paid-in capital $ 133,808,985 $ 381,194,078 $ 258,030,043 Undistributed net investment income 2,815,918 10,312,165 5,448,104 Accumulated net realized gain on investments and foreign currency related transactions 1,011,134 14,649,815 13,446,483 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 16,112,150 29,077,571 3,870,688 -------------------------------------------------------------------------------------------------------- NET ASSETS $ 153,748,187 $ 435,233,629 $ 280,795,318 ======================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 2,200,000 6,000,000 3,900,000 -------------------------------------------------------------------------------------------------------- Net asset value per share $ 69.89 $ 72.54 $ 72.00 ======================================================================================================== -------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International WisdomTree Emerging Markets SmallCap International High-Yielding Dividend Fund Real Estate Fund Equity Fund -------------------------------------------------------------------------------------------------------- ASSETS: Investments, at cost $ 685,275,451 $ 52,010,869 $ 79,731,064 Foreign currency, at cost 957,405 21,861 805,210 -------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 685,872,316 54,314,127 82,630,413 Cash - 2,532 441,624 Foreign currency, at value 963,120 22,262 806,498 Unrealized appreciation on forward foreign currency contracts - - - Receivables: Investment securities sold 310,639 46,788 Dividends and interest 2,292,231 147,376 144,653 Foreign tax reclaims 79,549 2,073 - Capital shares sold - - 16,268 -------------------------------------------------------------------------------------------------------- Total Assets 689,517,855 54,535,158 84,039,456 ======================================================================================================== LIABILITIES: Due to foreign custodian 540,191 - - Unrealized depreciation on forward foreign currency contracts 2,090 - 8 Payables: Investment securities purchased - - 919,368 Collateral for securities on loan (Note 2) 132,076,795 1,674,505 - Advisory fees (Note 3) 258,364 23,467 35,546 Other accrued expenses 1,960 178 248 -------------------------------------------------------------------------------------------------------- Total Liabilities 132,879,400 1,698,150 955,170 ======================================================================================================== NET ASSETS $ 556,638,455 $ 52,837,008 $ 83,084,286 ======================================================================================================== NET ASSETS: Paid-in capital $ 531,269,823 $ 50,072,627 $ 79,563,857 Undistributed net investment income 10,050,300 395,075 594,354 Accumulated net realized gain on investments and foreign currency related transactions 14,661,654 63,527 24,462 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 656,678 2,305,779 2,901,613 -------------------------------------------------------------------------------------------------------- NET ASSETS $ 556,638,455 $ 52,837,008 $ 83,084,286 ======================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 8,000,000 1,000,002 1,600,002 -------------------------------------------------------------------------------------------------------- Net asset value per share $ 69.58 $ 52.84 $ 51.93 ======================================================================================================== See Notes to Financial Statements. WisdomTree International Dividend Funds 93 Statements of Operations (unaudited) WisdomTree International Dividend Funds For the Six Months Ended September 30, 2007 ------------------------------------------------------------------------------------------------------- WisdomTree DEFA WisdomTree High-Yielding DEFA Fund Equity Fund ------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: Dividends(1) $ 4,118,481 $ 5,794,163 Interest 5,463 5,900 Securities lending income (Note 2) 113,712 180,257 ------------------------------------------------------------------------------------------------------- Total investment income 4,237,656 5,980,320 ------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 507,634 700,967 Service fees (Note 3) 1,845 1,876 ------------------------------------------------------------------------------------------------------- Total expenses 509,479 702,843 ------------------------------------------------------------------------------------------------------- Net investment income 3,728,177 5,277,477 ======================================================================================================= NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (568,694) (230,612) In-kind redemptions 1,154,009 6,518,024 Foreign currency related transactions 33,863 72,150 ------------------------------------------------------------------------------------------------------- Net realized gain 619,178 6,359,562 ------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions 14,096,446 5,622,190 Translation of assets and liabilities denominated in foreign currencies 16,209 31,315 ------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) 14,112,655 5,653,505 ------------------------------------------------------------------------------------------------------- Net realized and unrealized gain (loss) on investments 14,731,833 12,013,067 ======================================================================================================= NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $18,460,010 $17,290,544 ======================================================================================================= WisdomTree WisdomTree WisdomTree Europe Europe Europe Total High-Yielding SmallCap Dividend Fund Equity Fund Dividend Fund ------------------------------------------------ INVESTMENT INCOME: Dividends(1) $ 931,925 $1,325,308 $ 3,221,407 Interest 1,225 23 3,771 Securities lending income (Note 2) 24,408 41,327 84,494 -------------------------------------------------------------------------------------------------------------------------- Total investment income 957,558 1,366,658 3,309,672 -------------------------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 115,330 154,290 399,033 Service fees (Note 3) 388 381 763 -------------------------------------------------------------------------------------------------------------------------- Total expenses 115,718 154,671 399,796 -------------------------------------------------------------------------------------------------------------------------- Net investment income 841,840 1,211,987 2,909,876 ========================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (91,411) (253,811) (1,336,786) In-kind redemptions 572,550 2,796,721 14,639,549 Foreign currency related transactions 4,077 6,003 27,686 -------------------------------------------------------------------------------------------------------------------------- Net realized gain 485,216 2,548,913 13,330,449 -------------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions 2,682,218 134,672 (16,050,243) Translation of assets and liabilities denominated in foreign currencies 1,788 871 2,127 -------------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) 2,684,006 135,543 (16,048,116) -------------------------------------------------------------------------------------------------------------------------- Net realized and unrealized gain (loss) on investments 3,169,222 2,684,456 (2,717,667) ========================================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $4,011,062 $3,896,443 $ 192,209 ========================================================================================================================== (1) Net of foreign withholding tax of $428,745, $564,140, $117,769, $158,717 and $321,378, respectively. See Notes to Financial Statements. 94 WisdomTree International Dividend Funds Statements of Operations (unaudited) (continued) WisdomTree International Dividend Funds For the Six Months Ended September 30, 2007 -------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree Japan Japan Total High-Yielding Dividend Fund Equity Fund -------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: -------------------------------------------------------------------------------------------------------- Dividends(1) $ 308,587 $ 463,778 Interest 381 11,758 Securities lending income (Note 2) 3,321 8,274 -------------------------------------------------------------------------------------------------------- Total investment income 312,289 483,810 -------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 117,160 194,999 Service fees (Note 3) 333 322 -------------------------------------------------------------------------------------------------------- Total expenses 117,493 195,321 -------------------------------------------------------------------------------------------------------- Net investment income 194,796 288,489 ======================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (139,530) (576,896) In-kind redemptions 1,107,535 3,444,609 Foreign currency related transactions (2,880) (35,698) -------------------------------------------------------------------------------------------------------- Net realized gain 965,125 2,832,015 -------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions (3,003,553) (7,752,172) Translation of assets and liabilities denominated in foreign currencies (1,290) 51 -------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) (3,004,843) (7,752,121) -------------------------------------------------------------------------------------------------------- Net realized and unrealized gain (loss) on investments (2,039,718) (4,920,106) ======================================================================================================== NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS $ (1,844,922) $ (4,631,617) ======================================================================================================== ------------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree Japan WisdomTree Pacific ex-Japan SmallCap Pacific ex-Japan High-Yielding Dividend Fund Total Dividend Fund Equity Fund ------------------------------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: ------------------------------------------------------------------------------------------------------------------------------- Dividends(1) $ 523,456 $ 2,924,288 $ 2,539,312 Interest 842 5,661 4,013 Securities lending income (Note 2) 85,103 32,303 37,891 ------------------------------------------------------------------------------------------------------------------------------- Total investment income 609,401 2,962,252 2,581,216 ------------------------------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 256,612 294,601 326,647 Service fees (Note 3) 586 1,134 769 ------------------------------------------------------------------------------------------------------------------------------- Total expenses 257,198 295,735 327,416 ------------------------------------------------------------------------------------------------------------------------------- Net investment income 352,203 2,666,517 2,253,800 =============================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (270,195) (106,009) (389,100) In-kind redemptions 2,284,928 1,536,726 6,980,946 Foreign currency related transactions (23,795) 100,332 107,799 ------------------------------------------------------------------------------------------------------------------------------- Net realized gain 1,990,938 1,531,049 6,699,645 ------------------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions (7,268,099) 30,284,595 3,164,328 Translation of assets and liabilities denominated in foreign currencies (947) 48,941 56,904 ------------------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) (7,269,046) 30,333,536 3,221,232 ------------------------------------------------------------------------------------------------------------------------------- Net realized and unrealized gain (loss) on investments (5,278,108) 31,864,585 9,920,877 =============================================================================================================================== NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS $ (4,925,905) $34,531,102 $12,174,677 =============================================================================================================================== (1) Net of foreign withholding tax of $23,208, $34,908, $39,365, $31,116 and $43,005, respectively. See Notes to Financial Statements. WisdomTree International Dividend Funds 95 Statements of Operations (unaudited) (concluded) WisdomTree International Dividend Funds For the Six Months Ended September 30, 2007 ---------------------------------------------------------------------------------------------------- WisdomTree WisdomTree WisdomTree International International International LargeCap Dividend MidCap Dividend Fund Top 100 Fund Dividend Fund ---------------------------------------------------------------------------------------------------- INVESTMENT INCOME: ---------------------------------------------------------------------------------------------------- Dividends(1) $ 2,609,887 $ 9,710,440 $ 5,383,988 Interest 3,705 3,701 1,701 Securities lending income (Note 2) 67,988 307,107 170,549 ---------------------------------------------------------------------------------------------------- Total investment income 2,681,580 10,021,248 5,556,238 ---------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 304,245 1,093,444 788,775 Service fees (Note 3) 1,058 2,900 2,032 ---------------------------------------------------------------------------------------------------- Total expenses 305,303 1,096,344 790,807 ---------------------------------------------------------------------------------------------------- Net investment income 2,376,277 8,924,904 4,765,431 ==================================================================================================== NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS: Net realized gain (loss) from: Investment transactions 221,830 17,971 (511,702) In-kind redemptions 797,533 14,735,840 13,549,584 Foreign currency related transactions 32,911 83,840 7,654 ---------------------------------------------------------------------------------------------------- Net realized gain 1,052,274 14,837,651 13,045,536 ---------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions 8,872,301 5,836,012 (8,353,413) Translation of assets and liabilities denominated in foreign currencies 7,751 44,993 26,847 ---------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) 8,880,052 5,881,005 (8,326,566) ---------------------------------------------------------------------------------------------------- Net realized and unrealized gain (loss) on investments 9,932,326 20,718,656 4,718,970 ==================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $12,308,603 $29,643,560 $ 9,484,401 ==================================================================================================== -------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International WisdomTree Emerging Markets SmallCap International HIgh-Yielding Dividend Fund Real Estate Fund* Equity Fund* -------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: -------------------------------------------------------------------------------------------------------- Dividends(1) $ 9,311,561 $ 460,667 $ 646,152 Interest 7,851 - 20,520 Securities lending income (Note 2) 324,408 3,902 - -------------------------------------------------------------------------------------------------------- Total investment income 9,643,820 464,569 666,672 -------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 1,455,563 69,163 71,874 Service fees (Note 3) 3,974 331 444 -------------------------------------------------------------------------------------------------------- Total expenses 1,459,537 69,494 72,318 -------------------------------------------------------------------------------------------------------- Net investment income 8,184,283 395,075 594,354 ======================================================================================================== NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (2,620,433) 72,461 (12,037) In-kind redemptions 16,871,423 - 40 Foreign currency related transactions 16,213 (8,934) 36,459 -------------------------------------------------------------------------------------------------------- Net realized gain 14,267,203 63,527 24,462 -------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions (21,157,843) 2,303,258 2,899,349 Translation of assets and liabilities denominated in foreign currencies 54,778 2,521 2,264 -------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) (21,103,065) 2,305,779 2,901,613 -------------------------------------------------------------------------------------------------------- Net realized and unrealized gain (loss) on investments (6,835,862) 2,369,306 2,926,075 ======================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $ 1,348,421 $2,764,381 $3,520,429 ======================================================================================================== * Commencement of investment operations for the International Real Estate Fund and Emerging Markets High-Yielding Equity Fund are June 5, 2007 and July 13, 2007, respectively. (1) Net of foreign withholding tax of $284,671, $873,652, $471,905, $611,586, $48,323, and $102,792, respectively. See Notes to Financial Statements. 96 WisdomTree International Dividend Funds Statements of Changes in Net Assets WisdomTree International Dividend Funds ---------------------------------------------------------------------------------------- WisdomTree DEFA Fund ---------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, June 16, 2006* 2007 through (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 3,728,177 $ 818,784 Net realized gain on investments and foreign currency related transactions 619,178 1,216,145 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 14,112,655 9,281,228 ---------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 18,460,010 11,316,157 ======================================================================================== DIVIDENDS AND DISTRIBUTIONS: Net investment income - (214,691) Capital gains - (17,022) ---------------------------------------------------------------------------------------- Total dividends and distributions - (231,713) ======================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 172,154,730 146,204,390 Cost of shares redeemed (17,295,230) (28,990,564) ---------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 154,859,500 117,213,826 ======================================================================================== Net Increase in Net Assets 173,319,510 128,298,270 ======================================================================================== NET ASSETS: Beginning of period $ 128,303,270 $ 5,000 End of period $ 301,622,780 $ 128,303,270 ======================================================================================== Undistributed net investment income included in net assets at end of period $ 4,339,788 $ 611,611 ======================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 2,000,000 - Shares created 2,500,000 2,500,100 Shares redeemed (250,000) (500,100) ---------------------------------------------------------------------------------------- Shares outstanding, end of period 4,250,000 2,000,000 ======================================================================================== ----------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree DEFA High-Yielding Equity Fund Europe Total Dividend Fund ----------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, June 16, 2006* September 30, June 16, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 5,277,477 $ 1,482,819 $ 841,840 $ 241,910 Net realized gain on investments and foreign currency related transactions 6,359,562 911,821 485,216 823,921 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 5,653,505 10,972,924 2,684,006 2,844,781 ----------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 17,290,544 13,367,564 4,011,062 3,910,612 ============================================================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income - (416,338) - (82,853) Capital gains - - - (936) ----------------------------------------------------------------------------------------------------------------------------- Total dividends and distributions - (416,338) - (83,789) ============================================================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 109,007,930 188,423,781 20,408,449 51,326,114 Cost of shares redeemed (41,038,331) (16,881,702) (6,915,004) (16,972,479) ----------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 67,969,599 171,542,079 13,493,445 34,353,635 ============================================================================================================================= Net Increase in Net Assets 85,260,143 184,493,305 17,504,507 38,180,458 ============================================================================================================================= NET ASSETS: Beginning of period $ 184,498,305 $ 5,000 $ 38,185,458 $ 5,000 End of period $ 269,758,448 $ 184,498,305 $ 55,689,965 $ 38,185,458 ============================================================================================================================= Undistributed net investment income included in net assets at end of period $ 6,361,949 $ 1,084,472 $ 1,006,331 $ 164,491 ============================================================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 2,900,000 - 600,000 - Shares created 1,600,000 3,200,100 300,000 900,100 Shares redeemed (600,000) (300,100) (100,000) (300,100) ----------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 3,900,000 2,900,000 800,000 600,000 ============================================================================================================================= * Commencement of investment operations See Notes to Financial Statements. WisdomTree International Dividend Funds 97 Statements of Changes in Net Assets (continued) WisdomTree International Dividend Funds ---------------------------------------------------------------------------------------- WisdomTree Europe High-Yielding Equity Fund ---------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, June 16, 2006* 2007 through (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------- INCREASE (DECREASE) IN NET ASSETS OPERATIONS: Net investment income $ 1,211,987 $ 513,916 Net realized gain (loss) on investments and foreign currency related transactions 2,548,913 908,921 Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies 135,543 4,504,593 ---------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations 3,896,443 5,927,430 ======================================================================================== DIVIDENDS: Net investment income - (191,720) ---------------------------------------------------------------------------------------- Total dividends - (191,720) ======================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 13,638,210 61,698,085 Cost of shares redeemed (13,638,210) (16,918,672) ---------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions - 44,779,413 ======================================================================================== Net Increase (Decrease) in Net Assets 3,896,443 50,515,123 ======================================================================================== NET ASSETS: Beginning of period $ 50,520,123 $ 5,000 End of period $ 54,416,566 $ 50,520,123 ======================================================================================== Undistributed net investment income included in net assets at end of period $ 1,542,356 $ 330,369 ======================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 800,000 - Shares created 200,000 1,100,100 Shares redeemed (200,000) (300,100) ---------------------------------------------------------------------------------------- Shares outstanding, end of period 800,000 800,000 ======================================================================================== -------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree Europe SmallCap Dividend Fund Japan Total Dividend Fund -------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, June 16, 2006* September 30, June 16, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 -------------------------------------------------------------------------------------------------------------------------- INCREASE (DECREASE) IN NET ASSETS OPERATIONS: Net investment income $ 2,909,876 $ 1,138,113 $ 194,796 $ 302,220 Net realized gain (loss) on investments and foreign currency related transactions 13,330,449 872,823 965,125 (150,432) Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies (16,048,116) 12,358,972 (3,004,843) 3,357,358 -------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations 192,209 14,369,908 (1,844,922) 3,509,146 ========================================================================================================================== DIVIDENDS: Net investment income - (234,397) - (104,591) -------------------------------------------------------------------------------------------------------------------------- Total dividends - (234,397) - (104,591) ========================================================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 37,322,160 139,943,738 5,571,114 53,497,409 Cost of shares redeemed (87,098,948) (6,768,706) (10,846,453) (5,606,236) -------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (49,776,788) 133,175,032 (5,275,339) 47,891,173 ========================================================================================================================== Net Increase (Decrease) in Net Assets (49,584,579) 147,310,543 (7,120,261) 51,295,728 ========================================================================================================================== NET ASSETS: Beginning of period $ 147,315,543 $ 5,000 $ 51,300,728 $ 5,000 End of period $ 97,730,964 $147,315,543 $ 44,180,467 $ 51,300,728 ========================================================================================================================== Undistributed net investment income included in net assets at end of period $ 3,818,373 $ 908,497 $ 388,730 $ 193,934 ========================================================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 2,100,000 - 900,000 - Shares created 500,000 2,200,100 100,000 1,000,100 Shares redeemed (1,200,000) (100,100) (200,000) (100,100) -------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 1,400,000 2,100,000 800,000 900,000 ========================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. 98 WisdomTree International Dividend Funds Statements of Changes in Net Assets (continued) WisdomTree International Dividend Funds -------------------------------------------------------------------------------------- WisdomTree Japan High-Yielding Equity Fund -------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, June 16, 2006* 2007 through (unaudited) March 31, 2007 -------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 288,489 $ 693,416 Net realized gain (loss) on investments and foreign currency related transactions 2,832,015 (163,710) Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies (7,752,121) 3,111,410 -------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations (4,631,617) 3,641,116 ====================================================================================== DIVIDENDS: Net investment income - (169,864) -------------------------------------------------------------------------------------- Total dividends - (169,864) ====================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 40,032,961 91,598,296 Cost of shares redeemed (85,661,902) (5,682) -------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (45,628,941) 91,592,614 ====================================================================================== Net Increase (Decrease) in Net Assets (50,260,558) 95,063,866 ====================================================================================== NET ASSETS: Beginning of period $ 95,068,866 $ 5,000 End of period $ 44,808,308 $95,068,866 ====================================================================================== Undistributed net investment income included in net assets at end of period $ 810,033 $ 521,544 ====================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 1,600,000 - Shares created 700,000 1,600,100 Shares redeemed (1,500,000) (100) -------------------------------------------------------------------------------------- Shares outstanding, end of period 800,000 1,600,000 ====================================================================================== ---------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree Japan SmallCap Dividend Fund Pacific ex-Japan Total Dividend Fund ---------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, June 16, 2006* September 30, June 16, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 352,203 $ 610,192 $ 2,666,517 $ 727,166 Net realized gain (loss) on investments and foreign currency related transactions 1,990,938 28,052 1,531,049 1,109,136 Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies (7,269,046) 2,105,491 30,333,536 6,208,691 ---------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from operations (4,925,905) 2,743,735 34,531,102 8,044,993 ============================================================================================================================ DIVIDENDS: Net investment income - (30,965) - (196,159) ---------------------------------------------------------------------------------------------------------------------------- Total dividends - (30,965) - (196,159) ============================================================================================================================ CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 15,357,087 106,770,558 117,036,913 88,664,106 Cost of shares redeemed (30,271,359) (10,068,873) (7,339,186) (22,188,444) ---------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (14,914,272) 96,701,685 109,697,727 66,475,662 ============================================================================================================================ Net Increase (Decrease) in Net Assets (19,840,177) 99,414,455 144,228,829 74,324,496 ============================================================================================================================ NET ASSETS: Beginning of period $ 99,419,455 $ 5,000 $ 74,329,496 $ 5,000 End of period $ 79,579,278 $ 99,419,455 $218,558,325 $ 74,329,496 ============================================================================================================================ Undistributed net investment income included in net assets at end of period $ 923,894 $ 571,691 $ 3,205,734 $ 539,217 ============================================================================================================================ SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 1,900,000 - 1,100,000 - Shares created 300,000 2,100,100 1,600,000 1,500,100 Shares redeemed (600,000) (200,100) (100,000) (400,100) ---------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 1,600,000 1,900,000 2,600,000 1,100,000 ============================================================================================================================ * Commencement of investment operations. See Notes to Financial Statements. WisdomTree International Dividend Funds 99 Statements of Changes in Net Assets (continued) WisdomTree International Dividend Funds ----------------------------------------------------------------------------------------- WisdomTree Pacific ex-Japan High-Yielding Equity Fund ----------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, June 16, 2006* 2007 through (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 2,253,800 $ 1,417,669 Net realized gain (loss) on investments and foreign currency related transactions 6,699,645 3,570,830 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 3,221,232 6,638,923 ----------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 12,174,677 11,627,422 ========================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income - (416,060) Capital gains - - ----------------------------------------------------------------------------------------- Total dividends and distributions - (416,060) ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 50,632,969 110,443,500 Cost of shares redeemed (49,983,016) (34,454,496) ----------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 649,953 75,989,004 ========================================================================================= Net Increase in Net Assets 12,824,630 87,200,366 ========================================================================================= NET ASSETS: Beginning of period $ 87,205,366 $ 5,000 End of period $ 100,029,996 $ 87,205,366 ========================================================================================= Undistributed net investment income included in net assets at end of period $ 3,277,718 $ 1,023,918 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 1,300,000 - Shares created 700,000 1,900,100 Shares redeemed (700,000) (600,100) ----------------------------------------------------------------------------------------- Shares outstanding, end of period 1,300,000 1,300,000 ========================================================================================= --------------------------------------------------------------------------------------------------------------------------- WisdomTree International LargeCap Dividend WisdomTree Fund International Dividend Top 100 Fund --------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, June 16, 2006* September 30, June 16, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 --------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 2,376,277 $ 646,798 $ 8,924,904 $ 1,859,417 Net realized gain (loss) on investments and foreign currency related transactions 1,052,274 (37,126) 14,837,651 (161,801) Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 8,880,052 7,232,098 5,881,005 23,196,566 --------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 12,308,603 7,841,770 29,643,560 24,894,182 =========================================================================================================================== DIVIDENDS AND DISTRIBUTIONS: Net investment income - (211,171) - (485,914) Capital gains - - - (12,277) --------------------------------------------------------------------------------------------------------------------------- Total dividends and distributions - (211,171) - (498,191) =========================================================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 60,620,649 79,939,217 212,028,191 254,348,710 Cost of shares redeemed (6,749,879) (6,002) (85,181,558) (6,265) --------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 53,870,770 79,933,215 126,846,633 254,342,445 =========================================================================================================================== Net Increase in Net Assets 66,179,373 87,563,814 156,490,193 278,738,436 =========================================================================================================================== NET ASSETS: Beginning of period $ 87,568,814 $ 5,000 $ 278,743,436 $ 5,000 End of period $153,748,187 $87,568,814 $ 435,233,629 $278,743,436 =========================================================================================================================== Undistributed net investment income included in net assets at end of period $ 2,815,918 $ 439,641 $ 10,312,165 $ 1,387,261 =========================================================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 1,400,000 - 4,200,000 - Shares created 900,000 1,400,100 3,000,000 4,200,100 Shares redeemed (100,000) (100) (1,200,000) (100) --------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 2,200,000 1,400,000 6,000,000 4,200,000 =========================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. 100 WisdomTree International Dividend Funds Statements of Changes in Net Assets (concluded) WisdomTree International Dividend Funds ---------------------------------------------------------------------------------------- WisdomTree International MidCap Dividend Fund ---------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, June 16, 2006* 2007 through (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 4,765,431 $ 1,005,567 Net realized gain on investments and foreign currency related transactions 13,045,536 586,134 Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies (8,326,566) 12,197,254 ---------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 9,484,401 13,788,955 ======================================================================================== DIVIDENDS: Net investment income - (338,186) ---------------------------------------------------------------------------------------- Total dividends - (338,186) ======================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 200,198,782 161,955,739 Cost of shares redeemed (97,777,214) (6,522,159) ---------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 102,421,568 155,433,580 ======================================================================================== Net Increase in Net Assets 111,905,969 168,884,349 ======================================================================================== NET ASSETS: Beginning of period $ 168,889,349 $ 5,000 End of period $ 280,795,318 $168,889,349 ======================================================================================== Undistributed net investment income included in net assets at end of period $ 5,448,104 $ 682,673 ======================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 2,500,000 - Shares created 2,800,000 2,600,100 Shares redeemed (1,400,000) (100,100) ---------------------------------------------------------------------------------------- Shares outstanding, end of period 3,900,000 2,500,000 ======================================================================================== ---------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree WisdomTree Emerging Markets International International High-Yielding SmallCap Dividend Fund Real Estate Fund Equity Fund ---------------------------------------------------------------------------------------------------------------------------- For the Period For the Period For the June 5, 2007* July 13, 2007* Six Months Ended For the Period through through September 30, June 16, 2006* September 30, September 30, 2007 through 2007 2007 (unaudited) March 31, 2007 (unaudited) (unaudited) ---------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 8,184,283 $ 2,285,134 $ 395,075 $ 594,354 Net realized gain on investments and foreign currency related transactions 14,267,203 1,288,176 63,527 24,462 Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies (21,103,065) 21,759,743 2,305,779 2,901,613 ---------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 1,348,421 25,333,053 2,764,381 3,520,429 ============================================================================================================================ DIVIDENDS: Net investment income - (409,690) - - ---------------------------------------------------------------------------------------------------------------------------- Total dividends - (409,690) - - ============================================================================================================================ CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 307,037,282 286,349,327 50,072,527 79,563,757 Cost of shares redeemed (50,062,744) (12,962,194) - - ---------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 256,974,538 273,387,133 50,072,527 79,563,757 ============================================================================================================================ Net Increase in Net Assets 258,322,959 298,310,496 52,836,908 83,084,186 ============================================================================================================================ NET ASSETS: Beginning of period $ 298,315,496 $ 5,000 $ 100 $ 100 End of period $ 556,638,455 $ 298,315,496 $52,837,008 $83,084,286 ============================================================================================================================ Undistributed net investment income included in net assets at end of period $ 10,050,300 $ 1,866,017 $ 395,075 $ 594,354 ============================================================================================================================ SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 4,400,000 - - - Shares created 4,300,000 4,600,100 1,000,002 1,600,002 Shares redeemed (700,000) (200,100) - - ---------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 8,000,000 4,400,000 1,000,002 1,600,002 ============================================================================================================================ * Commencement of investment operations. See Notes to Financial Statements. WisdomTree International Dividend Funds 101 Financial Highlights WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ----------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree DEFA Fund (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- Net asset value, beginning of period $ 64.15 $ 49.94 ----------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.17 0.86 Net realized and unrealized gain 5.65 13.58 ----------------------------------------------------------------------------------------- Total from investment operations 6.82 14.44 ----------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income - (0.21) Capital gains - (0.02) ----------------------------------------------------------------------------------------- Total dividends and distributions to shareholders - (0.23) ----------------------------------------------------------------------------------------- Net asset value, end of period $ 70.97 $ 64.15 ========================================================================================= TOTAL RETURN(3) 10.63% 28.94% ----------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $301,623 $128,303 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.48%(4) 0.48%(4) Expenses, prior to expense reimbursements/waivers 0.48%(4) 0.51%(4) Net investment income 3.53%(4) 1.97%(4) ----------------------------------------------------------------------------------------- Portfolio turnover rate(5) 5% 11% ========================================================================================= ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree DEFA High-Yielding Equity Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 63.62 $ 49.77 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.47 1.19 Net realized and unrealized gain 4.08 12.94 ------------------------------------------------------------------------------------------- Total from investment operations 5.55 14.13 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.28) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.28) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 69.17 $ 63.62 =========================================================================================== TOTAL RETURN(3) 8.72% 28.41% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $269,758 $184,498 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.61%(4) Net investment income 4.37%(4) 2.71%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 9% 19% =========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. 102 WisdomTree International Dividend Funds Financial Highlights (continued) WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Europe Total Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 63.64 $ 49.95 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.18 0.73 Net realized and unrealized gain 4.79 13.17 ------------------------------------------------------------------------------------------- Total from investment operations 5.97 13.90 ------------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income - (0.21) Capital gains - (0.00)(6) ------------------------------------------------------------------------------------------- Total dividends and distributions to shareholders - (0.21) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 69.61 $ 63.64 =========================================================================================== TOTAL RETURN(3) 9.38% 27.84% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 55,690 $ 38,185 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.48%(4) 0.48%(4) Expenses, prior to expense reimbursements/waivers 0.48%(4) 0.58%(4) Net investment income 3.50%(4) 1.71%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 8% 24% =========================================================================================== ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Europe High-Yielding Equity Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 63.15 $ 49.83 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.51 1.09 Net realized and unrealized gain 3.36 12.55 ------------------------------------------------------------------------------------------- Total from investment operations 4.87 13.64 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.32) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.32) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 68.02 $ 63.15 =========================================================================================== TOTAL RETURN(3) 7.71% 27.39% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 54,417 $ 50,520 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.65%(4) Net investment income 4.56%(4) 2.44%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 14% 24% =========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount is less than $0.005. See Notes to Financial Statements. WisdomTree International Dividend Funds 103 Financial Highlights (continued) WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Europe SmallCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 70.15 $ 50.42 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.57 1.31 Net realized and unrealized gain (loss) (1.91) 18.89 ------------------------------------------------------------------------------------------- Total from investment operations (0.34) 20.20 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.47) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.47) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 69.81 $ 70.15 =========================================================================================== TOTAL RETURN(3) (0.48)% 40.14% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 97,731 $147,316 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.62%(4) Net investment income 4.23%(4) 2.99%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 10% 47% =========================================================================================== ----------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Japan Total Dividend Fund (unaudited) March 31, 2007 ----------------------------------------------------------------------------------- Net asset value, beginning of period $ 57.00 $ 50.32 ----------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.22 0.56 Net realized and unrealized gain (loss) (1.99) 6.33 ----------------------------------------------------------------------------------- Total from investment operations (1.77) 6.89 ----------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.21) ----------------------------------------------------------------------------------- Total dividends to shareholders - (0.21) ----------------------------------------------------------------------------------- Net asset value, end of period $ 55.23 $ 57.00 =================================================================================== TOTAL RETURN(3) (3.11)% 13.71% ----------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 44,180 $ 51,301 Ratio to average net assets of: Expenses, net of expense reimbursements 0.48%(4) 0.48%(4) Expenses, prior to expense reimbursements 0.48%(4) 0.54%(4) Net investment income 0.80%(4) 1.40%(4) ----------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% 6% =================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. 104 WisdomTree International Dividend Funds Financial Highlights (continued) WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ----------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Japan High-Yielding Equity Fund (unaudited) March 31, 2007 ----------------------------------------------------------------------------------- Net asset value, beginning of period $ 59.42 $ 50.14 ----------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.25 1.18 Net realized and unrealized gain (loss) (3.66) 8.44 ----------------------------------------------------------------------------------- Total from investment operations (3.41) 9.62 ----------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.34) ----------------------------------------------------------------------------------- Total dividends to shareholders - (0.34) ----------------------------------------------------------------------------------- Net asset value, end of period $ 56.01 $ 59.42 =================================================================================== TOTAL RETURN(3) (5.74)% 19.22% ----------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 44,808 $ 95,069 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.64%(4) Net investment income 0.86%(4) 3.00%(4) ----------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) 6% =================================================================================== ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Japan SmallCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 52.33 $ 50.69 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.20 0.95 Net realized and unrealized gain (loss) (2.79) 0.74 ------------------------------------------------------------------------------------------- Total from investment operations (2.59) 1.69 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.05) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.05) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 49.74 $ 52.33 =========================================================================================== TOTAL RETURN(3) (4.95)% 3.34% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 79,579 $ 99,419 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.64%(4) Net investment income 0.80%(4) 2.75%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% 25% =========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount represents less than 1%. See Notes to Financial Statements. WisdomTree International Dividend Funds 105 Financial Highlights (continued) WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ---------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Pacific ex-Japan Total Dividend Fund (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------- Net asset value, beginning of period $ 67.57 $ 49.71 ---------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.53 1.40 Net realized and unrealized gain 14.96 16.85 ---------------------------------------------------------------------------------------- Total from investment operations 16.49 18.25 ---------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.39) ---------------------------------------------------------------------------------------- Total dividends to shareholders - (0.39) ---------------------------------------------------------------------------------------- Net asset value, end of period $ 84.06 $ 67.57 ======================================================================================== TOTAL RETURN(3) 24.40% 36.80% ---------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $218,558 $ 74,329 Ratio to average net assets of: Expenses, net of expense reimbursements 0.48%(4) 0.48%(4) Expenses, prior to expense reimbursements 0.48%(4) 0.54%(4) Net investment income 4.34%(4) 3.31%(4) ---------------------------------------------------------------------------------------- Portfolio turnover rate(5) 5% 21% ======================================================================================== ---------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree Pacific ex-Japan High-Yielding Equity Fund (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 67.08 $ 49.02 ---------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.47 2.18 Net realized and unrealized gain 8.40 16.40 ---------------------------------------------------------------------------------------------- Total from investment operations 9.87 18.58 ---------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.52) ---------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.52) ---------------------------------------------------------------------------------------------- Net asset value, end of period $ 76.95 $ 67.08 ============================================================================================== TOTAL RETURN(3) 14.71% 38.02% ---------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $100,030 $ 87,205 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.63%(4) Net investment income 4.00%(4) 5.11%(4) ---------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 8% 7% ============================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. 106 WisdomTree International Dividend Funds Financial Highlights (continued) WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree International LargeCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 62.55 $ 49.86 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.26 0.85 Net realized and unrealized gain 6.08 12.14 ------------------------------------------------------------------------------------------- Total from investment operations 7.34 12.99 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.30) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.30) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 69.89 $ 62.55 =========================================================================================== TOTAL RETURN(3) 11.73% 26.08% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $153,748 $ 87,569 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.48%(4) 0.48%(4) Expenses, prior to expense reimbursements/waivers 0.48%(4) 0.52%(4) Net investment income 3.75%(4) 1.99%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% 8% =========================================================================================== ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree International Dividend Top 100 Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 66.37 $ 49.77 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.67 1.03 Net realized and unrealized gain 4.50 15.80 ------------------------------------------------------------------------------------------- Total from investment operations 6.17 16.83 ------------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income - (0.22) Capital gains - (0.01) ------------------------------------------------------------------------------------------- Total dividends and distributions to shareholders - (0.23) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 72.54 $ 66.37 =========================================================================================== TOTAL RETURN(3) 9.30% 33.83% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $435,234 $278,743 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.60%(4) Net investment income 4.73%(4) 2.30%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 17% 8% =========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. WisdomTree International Dividend Funds 107 Financial Highlights (continued) WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree International MidCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 67.56 $ 50.13 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.26 1.08 Net realized and unrealized gain 3.18 16.73 ------------------------------------------------------------------------------------------- Total from investment operations 4.44 17.81 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.38) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.38) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 72.00 $ 67.56 =========================================================================================== TOTAL RETURN(3) 6.57% 35.57% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $280,795 $168,889 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.61%(4) Net investment income 3.50%(4) 2.53%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 7% 44% =========================================================================================== ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended June 16, 2006(1) September 30, 2007 Through WisdomTree International SmallCap Dividend Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 67.80 $ 50.35 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 1.17 1.43 Net realized and unrealized gain 0.61 16.28 ------------------------------------------------------------------------------------------- Total from investment operations 1.78 17.71 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.26) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.26) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 69.58 $ 67.80 =========================================================================================== TOTAL RETURN(3) 2.63% 35.21% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $556,638 $298,315 Ratio to average net assets of: Expenses, net of expense reimbursements/waivers 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements/waivers 0.58%(4) 0.60%(4) Net investment income 3.26%(4) 3.33%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 10% 39% =========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed/waived by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. 108 WisdomTree International Dividend Funds Financial Highlights (concluded) WisdomTree International Dividend Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: For the Period June 5, 2007(1) Through September 30, 2007 WisdomTree International Real Estate Fund (unaudited) --------------------------------------------------------------- Net asset value, beginning of period $ 51.89 --------------------------------------------------------------- Investment operations: Net investment income(2) 0.52 Net realized and unrealized gain 0.43 --------------------------------------------------------------- Total from investment operations 0.95 --------------------------------------------------------------- Net asset value, end of period $ 52.84 =============================================================== TOTAL RETURN(3) 1.83% --------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 52,837 Ratio to average net assets of: Net expenses 0.58%(4) Net investment income 3.31%(4) --------------------------------------------------------------- Portfolio turnover rate(5) 9% =============================================================== For the Period July 13, 2007(1) Through September 30, 2007 WisdomTree Emerging Markets High-Yielding Equity Fund (unaudited) --------------------------------------------------------------------------- Net asset value, beginning of period $ 50.68 --------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.46 Net realized and unrealized gain 0.79 --------------------------------------------------------------------------- Total from investment operations 1.25 --------------------------------------------------------------------------- Net asset value, end of period $ 51.93 =========================================================================== TOTAL RETURN(3) 2.47% --------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 83,084 Ratio to average net assets of: Net expenses 0.63%(4) Net investment income 5.21%(4) --------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) =========================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount represents less than 1% See Notes to Financial Statements. WisdomTree International Dividend Funds 109 Notes to Financial Statements (unaudited) 1. ORGANIZATION WisdomTree Trust (the "Trust") is registered under the Investment Company Act of 1940, as amended (the "1940 Act"), as an open-end management investment company. The Trust was established as a Delaware statutory trust pursuant to a Trust Instrument dated December 15, 2005. As of September 30, 2007, the Trust offered 38 investment funds (each a "Fund", collectively, the "Funds"). Each Fund is considered to be non-diversified. The Funds commenced operations on June 16, 2006, with the exception of the international dividend sector funds, domestic earnings funds, International Real Estate Fund and Emerging Markets High-Yielding Equity Fund that commenced operations on October 13, 2006, February 23, 2007, June 5, 2007 and July 13, 2007, respectively. These financial statements relate only to the WisdomTree DEFA Fund ("DEFA Fund"), WisdomTree DEFA High-Yielding Equity Fund ("DEFA High-Yielding Equity Fund"), WisdomTree Europe Total Dividend Fund ("Europe Total Dividend Fund"), WisdomTree Europe High-Yielding Equity Fund ("Europe High-Yielding Equity Fund"), WisdomTree Europe SmallCap Dividend Fund ("Europe SmallCap Dividend Fund"), WisdomTree Japan Total Dividend Fund ("Japan Total Dividend Fund"), WisdomTree Japan High-Yielding Equity Fund ("Japan High-Yielding Equity Fund"), WisdomTree Japan SmallCap Dividend Fund ("Japan SmallCap Dividend Fund"), WisdomTree Pacific ex-Japan Total Dividend Fund ("Pacific ex-Japan Total Dividend Fund"), WisdomTree Pacific ex-Japan High-Yielding Equity Fund ("Pacific ex-Japan High-Yielding Equity Fund"), WisdomTree International LargeCap Dividend Fund ("International LargeCap Dividend Fund"), WisdomTree International Dividend Top 100 Fund ("International Dividend Top 100 Fund"), WisdomTree International MidCap Dividend Fund ("International MidCap Dividend Fund"), WisdomTree International SmallCap Dividend Fund ("International SmallCap Dividend Fund"), WisdomTree International Real Estate Fund ("International Real Estate Fund") and WisdomTree Emerging Markets High-Yielding Equity Fund ("Emerging Markets High-Yielding Equity Fund"), together the "International Dividend Funds". Each Fund seeks investment returns that closely correspond to the price and yield performance, before fees and expenses, of a particular index ("Index") developed by WisdomTree Investments, Inc. ("WisdomTree Investments"). Each Index consists of dividend paying securities in the market suggested by its name that meet specific criteria developed by WisdomTree Investments. "WisdomTree", "WisdomTree Investments", WisdomTree DEFA", and "International Dividend Top 100" are service marks of WisdomTree Investments licensed for use by the Trust. WisdomTree Investments has patent applications pending on the methodology and operation of its Indexes and the Funds. In the normal course of business the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds' maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and expect the risk of loss to be remote. The preparation of financial statements in conformity with U.S. Generally Accepted Accounting Principles ("U.S. GAAP"), requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates. 2. SIGNIFICANT ACCOUNTING POLICIES (a) Investment Valuation - The Net Asset Value ("NAV") of each Fund's shares is calculated each day the national securities exchanges are open for trading as of the close of regular trading on the New York Stock Exchange, generally 4:00 p.m. New York time. NAV per share is calculated by dividing a Fund's net assets by the number of Fund shares outstanding. Securities traded on any recognized U.S. or non-U.S. exchange are valued at the last sale price or official closing price on the exchange or system on which they are principally traded. Events occurring after the close of trading on non-U.S. exchanges may result in adjustments to the valuation of foreign securities to more accurately reflect their fair value as of the close of regular trading on the New York Stock Exchange. The Fund may rely on an independent fair valuation service in adjusting the valuations of foreign securities. Unlisted equity securities are valued at the last quoted sale price or, if no sale price is available, at the mean between the most recently quoted bid and asked prices. Securities for which market quotations are not readily available are valued at fair value as determined by management and in accordance with procedures approved by the Board of Trustees. Short-term securities with 60 days or less remaining to maturity are valued using the amortized cost method, which approximates current market value. (b) Investment Transactions - Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. (c) Foreign Currency Translation - The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies, as well as investment securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates deemed appropriate by the investment adviser. Realized and unrealized foreign exchange gains or losses on investments are included as a component of net realized and unrealized gain or loss on foreign currency transactions in the 110 WisdomTree International Dividend Funds Notes to Financial Statements (unaudited) (continued) Statements of Operations. Certain foreign exchange gains and losses included in realized and unrealized gains or losses are included in, or are a reduction of ordinary income in accordance with U.S. Federal income tax regulations. (d) Investment Income - Dividend income is recognized on the ex-dividend date, net of any foreign taxes withheld. Interest income is accrued daily. The value of additional securities received as dividend payments is recorded as income and as an increase to the cost basis of such securities. (e) Expenses/Reimbursements - WisdomTree Asset Management, Inc. ("WTAM") has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust's chief compliance officer; (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM. Pursuant to a separate contractual arrangement, WTAM has paid the expenses described in (iii), (iv) and (v) through July 31, 2007. (f) Security Lending - Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds' securities lending agent. The loans are collateralized at all times by cash and/or high grade debt obligations in an amount at least equal to 102% of the market value of domestic securities loaned (105% in the case of foreign securities loaned) as determined at the close of business on the preceding business day. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash or U.S. government securities held as collateral, net of fee rebates paid to the borrower plus reasonable administrative and custody fees. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any dividends or interest received on loaned securities. The Funds retain all or a portion of the interest received on investment of cash collateral or receives a fee from the borrower. Lending portfolio securities could result in a loss or delay in recovering each Fund's securities if the borrower defaults. The securities lending income earned by the Funds is disclosed on the Statements of Operations. (g) Tax Information and Dividends and Distributions to Shareholders - It is each Fund's policy to comply with all requirements of the Internal Revenue Code of 1986, as amended ("the Code"). Each Fund intends to qualify for and to elect treatment as a separate Regulated Investment Company ("RIC") under Subchapter M of the Code. It is the policy of each Fund to pay out dividends, if any, to investors at least annually. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. The Funds may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains are determined in accordance with Federal income tax regulations which may differ from U.S. GAAP. These book/tax differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions, which exceed earnings and profit for tax purposes, are reported as a tax return of capital. The Funds adopted the provisions of Financial Accounting Standards Board (FASB) Interpretation No. 48, Accounting for Uncertainty in Income Taxes. This interpretation prescribes a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. Foreign taxes are provided for based on each Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests. Taxes are accrued and applied to net investment income, net realized capital gains and net unrealized appreciation, as applicable, as the income is earned or capital gains are recorded. If applicable, the Funds will recognize interest accrued related to unrecognized tax benefits in interest expense and penalties in "Other" expenses on the Statements of Operations. Management has evaluated the application of FIN 48 to the Funds, and has determined that there is no impact resulting from the adoption of this interpretation on the Funds' financial statements. (h) Short-Term Investments - Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments in which a Fund may invest include short-term obligations issued by the U.S. Government, negotiable certificates of deposit ("CDs"), fixed time deposits and bankers' acceptances of U.S. and WisdomTree International Dividend Funds 111 Notes to Financial Statements (unaudited) (continued) foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker's acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions. 3. ADVISER FEES AND TRANSACTIONS Adviser Fees - WTAM provides investment management services to each Fund pursuant to an Investment Advisory Agreement between the Trust and WTAM. As compensation for services rendered, facilities furnished, and expenses borne by WTAM, each Fund pays WTAM a fee, as listed below, which is accrued daily and paid monthly, based on the average daily net assets of the Fund. -------------------------------------------------------- Fund Fee Rate -------------------------------------------------------- DEFA Fund 0.48% -------------------------------------------------------- DEFA High-Yielding Equity Fund 0.58% ------------------------------------------------------- Europe Total Dividend Fund 0.48% ------------------------------------------------------- Europe High-Yielding Equity Fund 0.58% ------------------------------------------------------- Europe SmallCap Dividend Fund 0.58% ------------------------------------------------------- Japan Total Dividend Fund 0.48% ------------------------------------------------------- Japan High-Yielding Equity Fund 0.58% ------------------------------------------------------- Japan SmallCap Dividend Fund 0.58% ------------------------------------------------------- Pacific ex-Japan Total Dividend Fund 0.48% ------------------------------------------------------- Pacific ex-Japan High-Yielding Equity Fund 0.58% ------------------------------------------------------- International LargeCap Dividend Fund 0.48% ------------------------------------------------------- International Dividend Top 100 Fund 0.58% ------------------------------------------------------- International MidCap Dividend Fund 0.58% ------------------------------------------------------- International SmallCap Dividend Fund 0.58% ------------------------------------------------------- International Real Estate Fund 0.58% ------------------------------------------------------- Emerging Markets High-Yielding Equity Fund 0.63% ------------------------------------------------------- Each Fund may purchase shares of an affiliated exchange traded fund(s) in secondary market transactions. For the period ended September 30, 2007, there were no transactions in affiliated ETFs. Pursuant to a separate contractual arrangement, effective August 1, 2007, WTAM has arranged for the provision of chief compliance officer ("CCO") services to the Trust, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees, in exchange for a fee paid by each Fund of up to 0.0044% of the Fund's average daily net assets. 4. CAPITAL SHARE TRANSACTIONS As of September 30, 2007, there was an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in Creation Units or multiples thereof. Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of Creation Units of a Fund generally consist of the in-kind contribution of a designated portfolio of equity securities constituting a portfolio sampling representation of the securities included in the relevant Fund's underlying index and an amount of cash. Investors purchasing and redeeming Creation Units may be charged a purchase transaction fee and a redemption transaction fee to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units. 112 WisdomTree International Dividend Funds Notes to Financial Statements (unaudited) (continued) 5. INVESTMENT PORTFOLIO TRANSACTIONS Purchases and sales of investments (excluding in-kind purchases and redemptions and short-term investments) for the six months ended September 30, 2007 were as follows: ----------------------------------------------------------------------------- Fund Purchases Sales ----------------------------------------------------------------------------- DEFA Fund $ 13,620,349 $ 11,466,769 ----------------------------------------------------------------------------- DEFA High-Yielding Equity Fund 26,026,738 22,604,225 ----------------------------------------------------------------------------- Europe Total Dividend Fund 4,861,837 3,775,927 ----------------------------------------------------------------------------- Europe High-Yielding Equity Fund 10,975,026 7,241,718 ----------------------------------------------------------------------------- Europe SmallCap Dividend Fund 16,703,620 12,942,549 ----------------------------------------------------------------------------- Japan Total Dividend Fund 256,914 500,526 ----------------------------------------------------------------------------- Japan High-Yielding Equity Fund 289,016 13,148,407 ----------------------------------------------------------------------------- Japan SmallCap Dividend Fund 834,285 1,358,201 ----------------------------------------------------------------------------- Pacific ex-Japan Total Dividend Fund 10,812,303 6,898,576 ----------------------------------------------------------------------------- Pacific ex-Japan High-Yielding Equity Fund 13,473,756 9,153,558 ----------------------------------------------------------------------------- International LargeCap Dividend Fund 3,965,919 1,664,357 ----------------------------------------------------------------------------- International Dividend Top 100 Fund 68,983,995 61,920,814 ----------------------------------------------------------------------------- International MidCap Dividend Fund 33,874,323 19,323,042 ----------------------------------------------------------------------------- International SmallCap Dividend Fund 66,409,972 50,875,297 ----------------------------------------------------------------------------- International Real Estate Fund 3,841,394 3,474,059 ----------------------------------------------------------------------------- Emerging Markets High-Yielding Equity Fund 49,530,768 222,928 ----------------------------------------------------------------------------- For the six months ended September 30, 2007, the cost of in-kind purchases and the proceeds from in-kind redemptions were as follows: ------------------------------------------------------------------------------ Fund Purchases Redemptions ------------------------------------------------------------------------------ DEFA Fund $ 165,669,520 $ 11,148,495 ------------------------------------------------------------------------------ DEFA High-Yielding Equity Fund 104,709,355 35,858,515 ------------------------------------------------------------------------------ Europe Total Dividend Fund 16,107,878 2,920,889 ------------------------------------------------------------------------------ Europe High-Yielding Equity Fund 12,503,427 15,011,207 ------------------------------------------------------------------------------ Europe SmallCap Dividend Fund 54,123,827 104,544,676 ------------------------------------------------------------------------------ Japan Total Dividend Fund 3,204,809 8,051,295 ------------------------------------------------------------------------------ Japan High-Yielding Equity Fund 35,478,933 67,580,389 ------------------------------------------------------------------------------ Japan SmallCap Dividend Fund 13,685,974 27,383,780 ------------------------------------------------------------------------------ Pacific ex-Japan Total Dividend Fund 111,228,707 4,687,174 ------------------------------------------------------------------------------ Pacific ex-Japan High-Yielding Equity Fund 44,237,896 45,669,450 ------------------------------------------------------------------------------ International LargeCap Dividend Fund 59,253,352 6,224,767 ------------------------------------------------------------------------------ International Dividend Top 100 Fund 207,984,529 81,743,885 ------------------------------------------------------------------------------ International MidCap Dividend Fund 197,991,352 106,377,599 ------------------------------------------------------------------------------ International SmallCap Dividend Fund 358,811,507 109,577,147 ------------------------------------------------------------------------------ International Real Estate Fund 49,896,569 - ------------------------------------------------------------------------------ Emerging Markets High-Yielding Equity Fund 30,442,096 6,875 ------------------------------------------------------------------------------ Gains and losses on in-kind redemptions are not recognized at the Fund level for tax purposes. WisdomTree International Dividend Funds 113 Notes to Financial Statements (unaudited) (concluded) 6. FEDERAL INCOME TAXES At September 30, 2007, the cost of investments (including securities on loan) for Federal income tax purposes was substantially the same as for book purposes, as indicated below: ------------------------------------------------------------------------------------------------------------------- Net Unrealized Gross Unrealized Gross Unrealized Appreciation Fund Tax Cost Appreciation Depreciation (Depreciation) ------------------------------------------------------------------------------------------------------------------- DEFA Fund $289,676,307 $29,095,273 $ (5,724,003) $ 23,371,270 ------------------------------------------------------------------------------------------------------------------- DEFA High-Yielding Equity Fund 266,770,580 23,357,344 (6,774,455) 16,582,889 ------------------------------------------------------------------------------------------------------------------- Europe Total Dividend Fund 50,546,819 6,486,685 (961,231) 5,525,454 ------------------------------------------------------------------------------------------------------------------- Europe High-Yielding Equity Fund 49,871,718 5,394,059 (758,419) 4,635,640 ------------------------------------------------------------------------------------------------------------------- Europe SmallCap Dividend Fund 105,581,956 5,225,663 (8,919,481) (3,693,818) ------------------------------------------------------------------------------------------------------------------- Japan Total Dividend Fund 43,907,233 3,491,935 (3,137,970) 353,965 ------------------------------------------------------------------------------------------------------------------- Japan High-Yielding Equity Fund 51,160,011 1,088,144 (5,726,887) (4,638,743) ------------------------------------------------------------------------------------------------------------------- Japan SmallCap Dividend Fund 95,252,082 3,516,379 (8,678,213) (5,161,834) ------------------------------------------------------------------------------------------------------------------- Pacific ex-Japan Total Dividend Fund 208,233,970 36,712,712 (226,833) 36,485,879 ------------------------------------------------------------------------------------------------------------------- Pacific ex-Japan High-Yielding Equity Fund 107,296,855 10,596,496 (807,810) 9,788,686 ------------------------------------------------------------------------------------------------------------------- International LargeCap Dividend Fund 138,527,074 18,764,156 (2,665,307) 16,098,849 ------------------------------------------------------------------------------------------------------------------- International Dividend Top 100 Fund 425,749,929 37,296,872 (8,278,297) 29,018,575 ------------------------------------------------------------------------------------------------------------------- International MidCap Dividend Fund 305,589,433 20,187,944 (16,348,096) 3,839,848 ------------------------------------------------------------------------------------------------------------------- International SmallCap Dividend Fund 685,275,451 37,154,558 (36,557,693) 596,865 ------------------------------------------------------------------------------------------------------------------- International Real Estate Fund 52,010,869 3,783,239 (1,479,981) 2,303,258 ------------------------------------------------------------------------------------------------------------------- Emerging Markets High-Yielding Equity Fund 79,731,064 4,218,571 (1,319,222) 2,899,349 ------------------------------------------------------------------------------------------------------------------- 7. NEW ACCOUNTING PRONOUNCEMENTS On September 15, 2006, the FASB released Statement of Financial Accounting Standards No. 157, Fair Value Measurements ("FAS 157") which provides enhanced guidance for measuring fair value. The standard requires companies to provide expanded information about the assets and liabilities measured at fair value and the potential effect of these fair valuations on an entity's financial performance. The standard does not expand the use of fair value in any new circumstances, but provides clarification on acceptable fair valuation methods and applications. Adoption of FAS 157 is required for fiscal years beginning after November 15, 2007 and interim periods within those fiscal years. At this time, management does not believe the adoption of FAS 157 will impact the amounts reported in the financial statements; however, additional disclosures will be required about the inputs used to develop the measurements of fair value and the effect of certain measurements reported in the Statements of Operations for the fiscal period. 8. SUBSEQUENT EVENT Effective October 30, 2007, the Trust launched the WisdomTree Emerging Markets SmallCap Dividend Fund (DGS). The Fund has an expense ratio of 0.63%. 114 WisdomTree International Dividend Funds Approval of Investment Advisory Agreement and Sub-Advisory Agreement (unaudited) The Board of Trustees of the Trust, including a majority of the Independent Trustees, has the responsibility under the 1940 Act to approve the Trust's Investment Advisory Agreement and Sub-Advisory Agreement (collectively, the "Investment Advisory Agreements"). In addition, the Trust's Board of Trustees will receive, review and evaluate information concerning the services and personnel of the Investment Adviser and the Sub-Adviser at each quarterly meeting of the Board of Trustees. While particular emphasis will be placed on information concerning profitability, comparability of fees and total expenses, and the Trust's investment performance at any future meeting at which a renewal of the Investment Advisory Agreements is considered, the process of evaluating the Investment Adviser and the Sub-Adviser and the Trust's investment arrangements is an ongoing one. In this regard, the Board's consideration of the nature, extent and quality of the services to be provided by the Investment Adviser and the Sub-Adviser under the Investment Advisory Agreements will include deliberations at future quarterly meetings. Approval of Investment Advisory Agreement. The Trust and the Investment Adviser have entered into an investment advisory agreement (the "Advisory Agreement"). At meetings held on June 11, 2007 with respect to the Emerging Markets High-Yielding Equity Fund and September 17, 2007 with respect to Emerging Markets SmallCap Dividend Fund, the Board of Trustees, including a majority of the Independent Trustees, approved the Investment Advisory Agreement with WisdomTree Asset Management ("WTAM") with respect to the Funds. In approving the Advisory Agreement with WTAM, the Board reviewed and analyzed the factors it deemed relevant, including: (i) the nature, quality and extent of the services to be provided to the Funds by WTAM; (ii) WTAM's personnel and operations; (iii) WTAM's financial condition; (iv) the level and method of computing each Fund's advisory fee; (v) "fall-out" benefits to WTAM and its affiliates (i.e., ancillary benefits that may be realized by WTAM or its affiliates from WTAM's relationship with the Funds); (vi) the anticipated effect of growth and size on each Fund's performance and expenses; and (vii) possible conflicts of interest. The Board also considered the nature and quality of the services to be provided by WTAM to the Funds, recognizing WTAM's operational capabilities and resources. The Board also noted the extensive responsibilities that WTAM has as investment adviser to the Funds, including the selection of the Funds' sub-adviser and oversight of the sub-adviser's compliance with Fund policies and objectives, oversight of general Fund compliance with federal and state laws, and the implementation of Board directives as they relate to the Funds. The Board gave substantial consideration to the fees payable under the Advisory Agreement. In this connection, the Board evaluated the personnel, systems and equipment necessary to manage the Funds and the costs associated with compensating the sub-adviser. The Board also examined the fees to be paid by each Fund in light of fees paid to other investment managers by comparable funds and the method of computing each Fund's fee. After comparing the fees with those of comparable funds and in light of the quality and extent of services to be provided and the costs anticipated to be incurred by WTAM, the Board concluded that the level of the fees paid to WTAM with respect to each Fund is fair and reasonable. The Board also approved the Sub-Advisory Agreement with the sub-adviser to the Funds, BNY Investment Advisors ("BNYIA"), using essentially the same criteria it used for WTAM. The Board considered BNYIA's operational capabilities and resources and BNYIA's experience in serving as an adviser to ETFs, noting that BNYIA currently provides investment advisory and management services to other ETFs. The Board also evaluated the performance of comparable funds managed by BNYIA in comparison to a peer group, and the expertise and performance of the BNYIA personnel. The Board also noted that Bank of New York Mellon ("BNY"), an affiliate of BNYIA, was proposed to serve as the Funds' administrator, accountant, custodian and transfer agent and will receive compensation for acting in these capacities and will be responsible for, among other things, coordinating the Funds' audits, financial statements and tax returns, managing expenses and budgeting for the Funds, processing trades on behalf of each Fund and custodying Fund assets. As such, the Board concluded that the benefits accruing to BNYIA and its affiliates by virtue of their relationship to the Trust are reasonable and fair in comparison with the anticipated costs of providing the relevant services. The Board noted that WTAM, not the Funds, pays the fees to BNYIA under the Sub-Advisory Agreement. Based on these considerations and the overall high quality of the personnel, operations, financial condition, investment advisory capabilities, methodologies, and performance of WTAM and BNYIA, the Board determined that the approval of the Advisory Agreement and the Sub-Advisory Agreement was in the best interests of each Fund. After full consideration of these and other factors, the Board, including a majority of the Independent Trustees, with the assistance of independent counsel, approved the Advisory Agreement and Sub-Advisory Agreement. WisdomTree International Dividend Funds 115 Frequency Distribution of Discounts & Premiums (unaudited) The chart below presents information about differences between the per share net asset value ("NAV") of each Fund and the market trading price of shares of each Fund. For these purposes, the "market price" is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. The term "premium" is sometimes used to describe a market price in excess of NAV and the term "discount" is sometimes used to describe a market price below NAV. The chart presents information about the size and frequency of premiums or discounts. As with other exchange traded funds, the market price of Fund shares is typically slightly higher or lower than the Fund's per share NAV. Factors that contribute to the differences between market price and NAV include the supply and demand for Fund shares and investors' assessments of the underlying value of a Fund's portfolio securities. Differences between the closing times of U.S. and non-U.S. markets may contribute to differences between the NAV and market price of Fund shares. Many non-U.S. markets close prior to the close of the U.S. securities exchanges. Developments after the close of such markets as a result of ongoing price discovery may be reflected in a Fund's market price but not in its NAV (or vice versa). ----------------------------------------------------------------------------------------------------------- Market Price Above or Market Price Below Equal to Net Asset Value Net Asset Value ----------------------------------------------------------------------------------------------------------- Basis Point Number Percentage of Number Percentage Differential of Days Total Days of Days of Total Days ----------------------------------------------------------------------------------------------------------- WisdomTree DEFA Fund April 1, 2007 - September 30, 2007 0 - 24.9 17 13.49% 10 7.94% --------------------------------------------------------------- 25 - 49.9 40 31.74% 5 3.97% --------------------------------------------------------------- 50 - 74.9 21 16.67% 4 3.17% --------------------------------------------------------------- 75 - 100.0 10 7.94% 4 3.17% --------------------------------------------------------------- >100.0 10 7.94% 5 3.97% --------------------------------------------------------------- Total 98 77.78% 28 22.22% =========================================================================================================== WisdomTree DEFA High-Yielding Equity Fund April 1, 2007 - September 30, 2007 0 - 24.9 21 16.67% 14 11.11% --------------------------------------------------------------- 25 - 49.9 31 24.60% 8 6.35% --------------------------------------------------------------- 50 - 74.9 18 14.29% 3 2.38% --------------------------------------------------------------- 75 - 100.0 7 5.56% 6 4.76% --------------------------------------------------------------- >100.0 12 9.52% 6 4.76% --------------------------------------------------------------- Total 89 70.64% 37 29.36% =========================================================================================================== WisdomTree Europe Total Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 28 22.22% 20 15.87% --------------------------------------------------------------- 25 - 49.9 26 20.64% 13 10.32% --------------------------------------------------------------- 50 - 74.9 11 8.73% 3 2.38% --------------------------------------------------------------- 75 - 100.0 6 4.76% 5 3.97% --------------------------------------------------------------- >100.0 11 8.73% 3 2.38% --------------------------------------------------------------- Total 82 65.08% 44 34.92% =========================================================================================================== WisdomTree Europe High-Yielding Equity Fund April 1, 2007 - September 30, 2007 0 - 24.9 24 19.05% 25 19.84% --------------------------------------------------------------- 25 - 49.9 25 19.83% 11 8.73% --------------------------------------------------------------- 50 - 74.9 10 7.94% 4 3.17% --------------------------------------------------------------- 75 - 100.0 10 7.94% 5 3.97% --------------------------------------------------------------- >100.0 10 7.94% 2 1.59% --------------------------------------------------------------- Total 79 62.70% 47 37.30% =========================================================================================================== WisdomTree Europe SmallCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 22 17.46% 17 13.49% --------------------------------------------------------------- 25 - 49.9 15 11.90% 18 14.29% --------------------------------------------------------------- 50 - 74.9 7 5.56% 12 9.52% --------------------------------------------------------------- 75 - 100.0 3 2.38% 8 6.35% --------------------------------------------------------------- >100.0 3 2.38% 21 16.67% --------------------------------------------------------------- Total 50 39.68% 76 60.32% =========================================================================================================== 116 WisdomTree International Dividend Funds Frequency Distribution of Discounts & Premiums (unaudited) (continued) ------------------------------------------------------------------------------------------------------------- Market Price Above or Market Price Below Equal to Net Asset Value Net Asset Value ------------------------------------------------------------------------------------------------------------- Basis Point Number Percentage of Number Percentage Differential of Days Total Days of Days of Total Days ------------------------------------------------------------------------------------------------------------- WisdomTree Japan Total Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 23 18.25% 16 12.70% ----------------------------------------------------------------- 25 - 49.9 16 12.70% 10 7.93% ----------------------------------------------------------------- 50 - 74.9 10 7.94% 7 5.56% ----------------------------------------------------------------- 75 - 100.0 5 3.97% 8 6.35% ----------------------------------------------------------------- >100.0 11 8.73% 20 15.87% ----------------------------------------------------------------- Total 65 51.59% 61 48.41% ============================================================================================================= WisdomTree Japan High-Yielding Equity Fund April 1, 2007 - September 30, 2007 0 - 24.9 16 12.70% 15 11.90% ----------------------------------------------------------------- 25 - 49.9 19 15.08% 12 9.52% ----------------------------------------------------------------- 50 - 74.9 13 10.32% 7 5.56% ----------------------------------------------------------------- 75 - 100.0 3 2.38% 8 6.35% ----------------------------------------------------------------- >100.0 10 7.94% 23 18.25% ----------------------------------------------------------------- Total 61 48.42% 65 51.58% ============================================================================================================= WisdomTree Japan SmallCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 24 19.05% 11 8.73% ----------------------------------------------------------------- 25 - 49.9 11 8.73% 15 11.90% ----------------------------------------------------------------- 50 - 74.9 14 11.11% 10 7.94% ----------------------------------------------------------------- 75 - 100.0 6 4.76% 8 6.35% ----------------------------------------------------------------- >100.0 11 8.72% 16 12.70% ----------------------------------------------------------------- Total 66 52.38% 60 47.62% ============================================================================================================= WisdomTree Pacific ex-Japan Total Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 21 16.67% 8 6.35% ----------------------------------------------------------------- 25 - 49.9 15 11.90% 10 7.94% ----------------------------------------------------------------- 50 - 74.9 16 12.70% 4 3.17% ----------------------------------------------------------------- 75 - 100.0 13 10.32% 5 3.97% ----------------------------------------------------------------- >100.0 19 15.08% 15 11.90% ----------------------------------------------------------------- Total 84 66.67% 42 33.33% ============================================================================================================= WisdomTree Pacific ex-Japan High-Yielding Equity Fund April 1, 2007 - September 30, 2007 0 - 24.9 14 11.11% 10 7.94% ----------------------------------------------------------------- 25 - 49.9 18 14.29% 10 7.94% ----------------------------------------------------------------- 50 - 74.9 14 11.11% 6 4.76% ----------------------------------------------------------------- 75 - 100.0 18 14.29% 6 4.76% ----------------------------------------------------------------- >100.0 11 8.73% 19 15.08% ----------------------------------------------------------------- Total 75 59.52% 51 40.48% ============================================================================================================= WisdomTree International LargeCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 19 15.08% 17 13.49% ----------------------------------------------------------------- 25 - 49.9 38 30.16% 6 4.76% ----------------------------------------------------------------- 50 - 74.9 14 11.11% 3 2.38% ----------------------------------------------------------------- 75 - 100.0 10 7.94% 1 0.79% ----------------------------------------------------------------- >100.0 9 7.14% 9 7.14% ----------------------------------------------------------------- Total 90 71.43% 36 28.57% ============================================================================================================= WisdomTree International Dividend Top 100 Fund April 1, 2007 - September 30, 2007 0 - 24.9 19 15.08% 11 8.72% ----------------------------------------------------------------- 25 - 49.9 29 23.02% 7 5.56% ----------------------------------------------------------------- 50 - 74.9 24 19.05% 3 2.38% ----------------------------------------------------------------- 75 - 100.0 8 6.35% 2 1.59% ----------------------------------------------------------------- >100.0 15 11.90% 8 6.35% ----------------------------------------------------------------- Total 95 75.40% 31 24.60% ============================================================================================================= WisdomTree International Dividend Funds 117 Frequency Distribution of Discounts & Premiums (unaudited) (concluded) ------------------------------------------------------------------------------------------------------------- Market Price Above or Market Price Below Equal to Net Asset Value Net Asset Value ------------------------------------------------------------------------------------------------------------- Basis Point Number Percentage of Number Percentage Differential of Days Total Days of Days of Total Days ------------------------------------------------------------------------------------------------------------- WisdomTree International MidCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 19 15.08% 12 9.52% ----------------------------------------------------------------- 25 - 49.9 32 25.39% 11 8.73% ----------------------------------------------------------------- 50 - 74.9 19 15.08% 3 2.38% ----------------------------------------------------------------- 75 - 100.0 8 6.35% 4 3.17% ----------------------------------------------------------------- >100.0 11 8.73% 7 5.56% ----------------------------------------------------------------- Total 89 70.63% 37 29.37% ============================================================================================================= WisdomTree International SmallCap Dividend Fund April 1, 2007 - September 30, 2007 0 - 24.9 19 15.08% 4 3.17% ----------------------------------------------------------------- 25 - 49.9 25 19.84% 11 8.73% ----------------------------------------------------------------- 50 - 74.9 25 19.84% 1 0.79% ----------------------------------------------------------------- 75 - 100.0 15 11.90% 5 3.97% ----------------------------------------------------------------- >100.0 14 11.12% 7 5.56% ----------------------------------------------------------------- Total 98 77.78% 28 22.22% ============================================================================================================= WisdomTree International Real Estate Fund June 5, 2007 - September 30, 2007 0 - 24.9 11 13.41% 10 12.20% ----------------------------------------------------------------- 25 - 49.9 9 10.98% 3 3.66% ----------------------------------------------------------------- 50 - 74.9 20 24.39% 2 2.44% ----------------------------------------------------------------- 75 - 100.0 12 14.63% 1 1.21% ----------------------------------------------------------------- >100.0 10 12.20% 4 4.88% ----------------------------------------------------------------- Total 62 75.61% 20 24.39% ============================================================================================================= WisdomTree Emerging Markets High-Yielding Equity Fund July 13, 2007 - September 30, 2007 0 - 24.9 4 7.27% 2 3.64% ----------------------------------------------------------------- 25 - 49.9 1 1.82% 1 1.82% ----------------------------------------------------------------- 50 - 74.9 3 5.45% 0 0.00% ----------------------------------------------------------------- 75 - 100.0 7 12.73% 0 0.00% ----------------------------------------------------------------- >100.0 31 56.36% 6 10.91% ----------------------------------------------------------------- Total 46 83.63% 9 16.37% ============================================================================================================= 118 WisdomTree International Dividend Funds General Information (unaudited) Proxy Voting Policies, Procedures and Record A description of the policies and procedures that the Trust uses to determine how to vote proxies related to each Fund's portfolio securities, and information on how the Trust voted proxies during the period ended June 30, 2007, is available without charge, upon request, (i) by calling 1-866-909-WISE; (ii) on the Trust's website at www.wisdomtree.com; and (iii) on the Securities and Exchange Commission's ("SEC") website at www.sec.gov. Shareholder Reports and Quarterly Portfolio Disclosure The Funds are required to file their complete schedule of portfolio holdings with the SEC for their first and third fiscal quarters on Form N-Q. Copies of the filings are available without charge, upon request on the SEC's website at www.sec.gov and are available by calling the Trust at 1-866-909-WISE. You can also obtain copies of Form N-Q by (i) visiting the SEC's Public Reference Room in Washington, DC (information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330); (ii) sending your request and a duplicating fee to the SEC's Public Reference Room, Washington, DC 20549-0102; or (iii) sending your request electronically to publicinfosec.gov. Information about each Fund's portfolio holdings is available daily at www.wisdomtree.com. The Fund's Statement of Additional Information ("SAI") has additional information about the Funds' Trustees and Officers and is available without charge upon request. Contact your financial representative for a free prospectus or SAI. WisdomTree International Dividend Funds 119 The WisdomTree Trust Investment Adviser WisdomTree Asset Management, Inc. 48 Wall Street, Suite 1100 New York, NY 10005 Investment Sub-Adviser BNY Investment Advisors 1633 Broadway New York, NY 10019 Administrator, Custodian & Transfer Agent The Bank of New York 101 Barclay Street New York, NY 10286 Distributor ALPS Distributors, Inc. 1290 Broadway Suite 1100 Denver, CO 80203 Independent Registered Public Accounting Firm Ernst & Young LLP 5 Times Square New York, NY 10036 Legal Counsel Ropes & Gray LLP 1211 Avenue of the Americas New York, NY 10036 The WisdomTree Family of Funds The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols as of September 30, 2007: WisdomTree Domestic Dividend Funds WisdomTree Total Dividend Fund (DTD) WisdomTree High-Yielding Equity Fund (DHS) WisdomTree Large Cap Dividend Fund (DLN) WisdomTree Dividend Top 100 Fund (DTN) WisdomTree MidCap Dividend Fund (DON) WisdomTree SmallCap Dividend Fund (DES) WisdomTree International Dividend Funds WisdomTree DEFA Fund (DWM) WisdomTree DEFA High-Yielding Equity Fund (DTH) WisdomTree Europe Total Dividend Fund (DEB) WisdomTree Europe High-Yielding Equity Fund (DEW) WisdomTree Europe SmallCap Dividend Fund (DFE) WisdomTree Japan Total Dividend Fund (DXJ) WisdomTree Japan High-Yielding Equity Fund (DNL) WisdomTree Japan SmallCap Dividend Fund (DFJ) WisdomTree Pacific ex-Japan Total Dividend Fund (DND) WisdomTree Pacific ex-Japan High-Yielding Equity Fund (DNH) WisdomTree International LargeCap Dividend Fund (DOL) WisdomTree International Dividend Top 100 Fund (DOO) WisdomTree International MidCap Dividend Fund (DIM) WisdomTree International SmallCap Dividend Fund (DLS) WisdomTree International Real Estate Fund (DRW) WisdomTree Emerging Markets High-Yielding Equity Fund (DEM) WisdomTree International Dividend Sector Funds WisdomTree International Basic Material Sector Fund (DBN) WisdomTree International Communications Sector Fund (DGG) WisdomTree International Consumer Cyclical Sector Fund (DPC) WisdomTree International Consumer Non-Cyclical Sector Fund (DPN) WisdomTree International Energy Sector Fund (DKA) WisdomTree International Financial Sector Fund (DRF) WisdomTree International Health Care Sector Fund (DBR) WisdomTree International Industrial Sector Fund (DDI) WisdomTree International Technology Sector Fund (DBT) WisdomTree International Utilities Sector Fund (DBU) WisdomTree Domestic Earnings Funds WisdomTree Total Earnings Fund (EXT) WisdomTree Earnings 500 Fund (EPS) WisdomTree MidCap Earnings Fund (EZM) WisdomTree SmallCap Earnings Fund (EES) WisdomTree Earnings Top 100 Fund (EEZ) WisdomTree Low P/E Fund (EZY) The WisdomTree Funds are exchange traded funds ("ETFs") registered with the United States Securities and Exchange Commission ("SEC") as series of WisdomTree Trust ("Trust"). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree Investments, Inc., serves as the investment adviser to the WisdomTree Trust. None of the WisdomTree entities are affiliated with ALPS Distributors, Inc., the Funds' distributor. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, or delays, or for any actions taken in reliance on information contained herein. Investors should consider the investment objectives, risks, charges and expenses of the funds carefully before investing. A prospectus, containing this and other information, is available at www.wisdomtree.com, or by calling 1-866-909-WISE (9473). Investors should read the prospectus carefully before investing. There are risks associated with investing, including possible loss of principal. Past performance does not guarantee future results. Indexes are unmanaged and you can not invest directly in an index. In addition to the normal risks associated with investing, foreign investing involves special risks, such as risk of loss from currency fluctuation or political or economic uncertainty. Funds focusing on a single country, sector, and/or funds that emphasize investments in smaller companies may experience greater price volatility. Investments in real estate involve additional special risks, such as credit risk, interest fluctuations and the effect of varied economic conditions. Transactions in fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the funds only in large amounts of 50,000 shares or more. [LOGO] WISDOMTREE Fundamental ETFs 48 Wall Street, Suite 1100 New York, NY 10005 1.866.909.WISE (9473) www.wisdomtree.com WisdomTree International Dividend ETFs WisdomTree DEFA Fund WisdomTree DEFA High-Yielding Equity Fund WisdomTree Europe Total Dividend Fund WisdomTree Europe High-Yielding Equity Fund WisdomTree Europe SmallCap Dividend Fund WisdomTree Japan Total Dividend Fund WisdomTree Japan High-Yielding Equity Fund WisdomTree Japan SmallCap Dividend Fund WisdomTree Pacific ex-Japan Total Dividend Fund WisdomTree Pacific ex-Japan High-Yielding Equity Fund WisdomTree International LargeCap Dividend Fund WisdomTree International Dividend Top 100(SM) Fund WisdomTree International MidCap Dividend Fund WisdomTree International SmallCap Dividend Fund WisdomTree International Real Estate Fund (DRW) WisdomTree Emerging Markets High-Yielding Equity Fund (DEM) WisdomTree Fund shares are distributed by ALPS Distributors, Inc. WIS000886 (11/2008) [LOGO] WISDOMTREE Fundamental ETFs WisdomTree Trust International Dividend Sector Funds -------------------------------------------------------------------------------- Semi-Annual Report September 30, 2007 WisdomTree International Basic Materials Sector Fund WisdomTree International Communications Sector Fund WisdomTree International Consumer Cyclical Sector Fund WisdomTree International Consumer Non-Cyclical Sector Fund WisdomTree International Energy Sector Fund WisdomTree International Financial Sector Fund WisdomTree International Health Care Sector Fund WisdomTree International Industrial Sector Fund WisdomTree International Technology Sector Fund WisdomTree International Utilities Sector Fund Table of Contents Letter to Shareholders ............................................. 1 Performance Summaries .............................................. 3 Shareholder Expense Examples ....................................... 13 Schedules of Investments WisdomTree International Basic Materials Sector Fund .............. 15 WisdomTree International Communications Sector Fund ............... 17 WisdomTree International Consumer Cyclical Sector Fund ............ 19 WisdomTree International Consumer Non-Cyclical Sector Fund ........ 23 WisdomTree International Energy Sector Fund ....................... 26 WisdomTree International Financial Sector Fund .................... 27 WisdomTree International Health Care Sector Fund .................. 31 WisdomTree International Industrial Sector Fund ................... 33 WisdomTree International Technology Sector Fund ................... 38 WisdomTree International Utilities Sector Fund .................... 40 Statements of Assets and Liabilities ............................... 42 Statements of Operations ........................................... 44 Statements of Changes in Net Assets ................................ 46 Financial Highlights ............................................... 50 Notes to the Financial Statements .................................. 55 Frequency Distribution of Discounts & Premiums ..................... 59 General Information ................................................ 61 "WisdomTree", "WisdomTree Investments" and "Dividend Top 100" are service marks of WisdomTree Investments, Inc. and are licensed for use by the Trust. Letter to Shareholders Dear Shareholders: It is a pleasure to report to you on the progress of the WisdomTree Trust for the six-month period ended September 30, 2007. WisdomTree is committed to providing investors with viable alternatives to cap-weighted index funds. Two recent launches underscore our intention to serve investors in unique ways. In June, the company launched the first fundamentally weighted international real estate exchange traded fund (DRW). In July, WisdomTree listed the first fundamentally weighted emerging markets ETF (DEM), comprised of dividend-paying companies selected from 19 emerging market nations. When combined with WisdomTree's 14 developed market ETFs and 10 pure non-U.S. sector ETFs, our international offerings stood at 26 as of September 30, 2007, distinguishing WisdomTree's international line-up as one of the most comprehensive in the industry today. As of September 30, 2007, WisdomTree Trust assets totaled $4.4 billion, with approximately 71% of total assets under management invested in WisdomTree's international product set. The highest returns over this six-month period were generated outside the U.S. Equity markets in the Pacific region excluding Japan showed the greatest strength relative to other parts of the developed market, while Japanese equity markets continued to lag. WisdomTree's best-performing fund was its Pacific ex-Japan Total Dividend Fund (DND), which returned 24.40% for the six-month period ended September 30, 2007. The WisdomTree Japan High-Yielding Equity Fund (DNL), which lost 5.74% for the period, was WisdomTree's worst performing fund over this time frame. However, WisdomTree's broadest international ETF, the WisdomTree DEFA Fund (DWM), benefited from Japan's relative weakness. DWM, which is underweight Japanese stocks relative to the MSCI EAFE Index, returned 10.63% for the period, surpassing the MSCI EAFE Index by 1.91 percentage points for the six-month period ended September 30, 2007.* On the domestic front, WisdomTree's fundamentally-weighted ETFs ran into two head winds: weakness in the financial and real estate industries, coupled with the re-emergence of growth stocks. Buffeted by investor concerns over exposure to sub-prime housing loans, financial stocks have been the worst performing sector of the U.S. economy in 2007. The weakness in financials contributed to value stocks, measured by the Russell 3000 Value Index, underperforming growth stocks, measured by the Russell 3000 Growth Index, for first time since 1999. Specific performance information for WisdomTree's funds, relative to their underlying WisdomTree index and a comparable benchmark, is provided in the pages that follow. Thank you for your continued support. Best regards, /s/ Jonathan Steinberg Jonathan Steinberg President, WisdomTree Trust CEO, WisdomTree Asset Management, Inc. The sources and forecasts expressed are as of September 30, 2007 and may not actually come to pass. This information is subject to change at any time based on market and other conditions and should not be construed as a recommendation of any specific security. Mr. Steinberg is a registered representative of ALPS Distributors, Inc. * Performance Information for the MSCI EAFE Index assumed the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. WisdomTree International Dividend Sector Funds 1 Letter to Shareholders (concluded) Neither MSCI nor any other party involved in or related to compiling, computing or creating the MSCI data makes any express or implied warranties or representations with respect to such data (or the results to be obtained by the use thereof), and all such parties hereby expressly disclaim all warranties of originality, accuracy, completeness, merchantability or fitness for a particular purpose with respect to any such data. Without limiting any of the foregoing, in no event shall MSCI, any of its affiliates or any third party involved in or related to compiling, computing or creating the data have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages. No further distribution or dissemination of the MSCI data is permitted without MSCI's express written consent. The MSCI EAFE Index is a market cap-weighted index composed of company's representative of the developed market structure of 21 developed countries in Europe, Australasia and Japan. The Russell 3000 Value Index measures the performance of those Russell 3000 Index companies with lower price-to-book ratios and lower forecasted growth values. The Russell 3000 Growth Index measures the performance of those Russell 3000 Index companies with higher price-to-book ratios and higher forecasted growth values. 2 WisdomTree International Dividend Sector Funds Performance Summary WisdomTree International Basic Materials Sector Fund Industry Breakdown+ as of 9/30/07 ----------------------------------- [PIE CHART] Mining 41.7% Chemicals 31.4% Iron/Steel 19.0% Forest Products & Paper 7.5% Other 0.4% ----------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ---------------------------------------- Description % of Net Assets ---------------------------------------- BHP Billington Ltd. 9.9% ---------------------------------------- BASF AG 7.8% ---------------------------------------- Anglo American PLC 6.4% ---------------------------------------- Rio Tinto PLC 5.2% ---------------------------------------- BHP Billington PLC 4.5% ---------------------------------------- Bayer AG 4.1% ---------------------------------------- Rio Tinto Ltd. 3.1% ---------------------------------------- Zinifex Ltd. 3.1% ---------------------------------------- JFE Holdings, Inc. 3.1% ---------------------------------------- ThyssenKrupp AG 2.7% ---------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Basic Materials Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Basic Materials Sector Index. The WisdomTree International Basic Materials Sector Fund (DBN) returned 23.45% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). United Kingdom stocks in the Fund contributed most significantly to this performance; the country comprised on average 22.13% of the Fund and returned 36.43% over the period. BHP Billiton Ltd. was the top contributor to the performance for the period. Norway was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------- Cumulative Total Return ------------------------------------------------------------------------------------------- WisdomTree S&P International Global 1200 Basic Materials Materials Net Asset Value Market Price Sector Index Sector Index ------------------------------------------------------------------------------------------- Six Months 23.45% 22.05% 24.89% 27.92% ------------------------------------------------------------------------------------------- Since Inception(1) 55.30% 54.56% 58.12% 56.95% ------------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Sector Funds 3 Performance Summary WisdomTree International Communications Sector Fund Industry Breakdown+ as of 9/30/07 --------------------------------- [PIE CHART] Telecommunications 79.5% Media 17.0% Advertising 1.9% Internet 0.9% Other 0.7% --------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ------------------------------------------------ Description % of Net Assets ------------------------------------------------ Vodafone Group PLC 13.9% ------------------------------------------------ Telefonica, S.A. 10.3% ------------------------------------------------ China Mobile Ltd. 9.6% ------------------------------------------------ Deutsche Telekom AG 6.8% ------------------------------------------------ Telstra Corp. Ltd. 5.0% ------------------------------------------------ Nokia Oyj 4.8% ------------------------------------------------ Telecom Italia SpA 4.0% ------------------------------------------------ Vivendi 3.9% ------------------------------------------------ BT Group PLC 3.5% ------------------------------------------------ Singapore Telecommunications Ltd. 2.7% ------------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Communications Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Communications Sector Index. The WisdomTree International Communications Sector Fund (DGG) returned 20.88% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Stocks listed in Hong Kong contributed most significantly to this performance; the country comprised on average 7.92% of the Fund and returned 76.12% over the period. China Mobile Ltd. was the top contributor to the performance for the period. Japan was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------------ Cumulative Total Return ------------------------------------------------------------------------------------------------ WisdomTree S&P International Global 1200 Communications Telecommunications Net Asset Value Market Price Sector Index Services Index ------------------------------------------------------------------------------------------------ Six Months 20.88% 20.64% 21.31% 18.91% ------------------------------------------------------------------------------------------------ Since Inception(1) 38.86% 38.38% 40.82% 36.39% ------------------------------------------------------------------------------------------------ (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 4 WisdomTree International Dividend Sector Funds Performance Summary WisdomTree International Consumer Cyclical Sector Fund Industry Breakdown+ as of 9/30/07 ---------------------------------- [PIE CHART] Auto Manufacturers 33.3% Retail 24.3% Distribution/Wholesale 8.2% Auto Parts & Equipment 6.2% Airlines 4.8% Entertainment 4.0% Home Builders 3.4% Apparel 3.3% Other 12.5% ---------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ------------------------------------------- Description % of Net Assets ------------------------------------------- Toyota Motor Corp. 8.6% ------------------------------------------- DaimlerChrysler AG 6.5% ------------------------------------------- Renault S.A. 4.2% ------------------------------------------- H&M Hennes & Mauritz AB Class B 3.5% ------------------------------------------- Nissan Motor Co., Ltd. 3.2% ------------------------------------------- Honda Motor Co., Ltd. 3.1% ------------------------------------------- Mitsubishi Corp. 2.3% ------------------------------------------- Volkswagen AG 2.0% ------------------------------------------- PPR S.A. 1.9% ------------------------------------------- Peugeot S.A. 1.7% ------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Consumer Cyclical Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Consumer Cyclical Sector Index. The WisdomTree International Consumer Cyclical Sector Fund (DPC) returned 4.07% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). German stocks in the Fund contributed most significantly to this performance; the country comprised on average 13.52% of the Fund and returned 24.14% over the period. Daimler AG was the top contributor to the performance for the period. The United Kingdom was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------------ Cumulative Total Return ------------------------------------------------------------------------------------------------ WisdomTree S&P Global 1200 International Consumer Consumer Cyclical Discretionary Net Asset Value Market Price Sector Index Sector Index ------------------------------------------------------------------------------------------------ Six Months 4.07% 3.50% 4.57% 1.51% ------------------------------------------------------------------------------------------------ Since Inception(1) 25.54% 24.52% 24.95% 11.53% ------------------------------------------------------------------------------------------------ (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Sector Funds 5 Performance Summary WisdomTree International Consumer Non-Cyclical Sector Fund Industry Breakdown+ as of 9/30/07 ------------------------------------ [PIE CHART] Pharmaceuticals 33.1% Food 29.3% Beverages 11.2% Commercial Services 8.2% Agriculture 7.9% Cosmetics/Personal Care 4.4% Household Products/Wares 2.1% Healthcare-Products 1.6% Healthcare-Services 1.2% Biotechnology 0.4% Other 0.6% ------------------------------------ + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ------------------------------------------------- Description % of Net Assets ------------------------------------------------- GlaxoSmithKline PLC 9.3% ------------------------------------------------- Sanofi-Aventis 5.1% ------------------------------------------------- Nestle S.A. 5.1% ------------------------------------------------- British American Tobacco PLC 4.4% ------------------------------------------------- AstraZeneca PLC 4.1% ------------------------------------------------- Novartis AG 3.8% ------------------------------------------------- Unilever N.V. 3.4% ------------------------------------------------- Diageo PLC 3.1% ------------------------------------------------- Unilever N.V. CVA 2.7% ------------------------------------------------- Tesco PLC 2.6% ------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Consumer Non-Cyclical Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Consumer Non-Cyclical Sector Index. The WisdomTree International Consumer Non-Cyclical Sector Fund (DPN) returned 5.42% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). United Kingdom stocks in the Fund contributed most significantly to this performance; the country comprised on average 39.08% of the Fund and returned 3.95% over the period. Nestle S.A. was the top contributor to the performance for the period. Ireland was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 --------------------------------------------------------------------------------------------- Cumulative Total Return --------------------------------------------------------------------------------------------- WisdomTree International S&P Consumer Global 1200 Non-Cyclical Consumer Staples Net Asset Value Market Price Sector Index Sector Index --------------------------------------------------------------------------------------------- Six Months 5.42% 5.58% 5.42% 8.63% --------------------------------------------------------------------------------------------- Since Inception(1) 19.64% 20.15% 18.51% 21.22% --------------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 6 WisdomTree International Dividend Sector Funds Performance Summary WisdomTree International Energy Sector Fund Industry Breakdown+ as of 9/30/07 --------------------------------- [PIE CHART] Oil & Gas 91.0% Oil & Gas Services 8.2% Coal 0.2% Other 0.6% --------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 -------------------------------------------------- Description % of Net Assets -------------------------------------------------- TOTAL S.A. 8.8% -------------------------------------------------- BP PLC 8.7% -------------------------------------------------- Eni SpA 8.0% -------------------------------------------------- Royal Dutch Shell PLC Class A 7.1% -------------------------------------------------- Royal Dutch Shell PLC Class B 6.7% -------------------------------------------------- CNOOC Ltd. 6.3% -------------------------------------------------- Statoil ASA 4.3% -------------------------------------------------- Woodside Petroleum Ltd. 4.2% -------------------------------------------------- Norsk Hydro ASA 4.1% -------------------------------------------------- Repsol YPF, S.A. 3.7% -------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Energy Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Energy Sector Index. The WisdomTree International Energy Sector Fund (DKA) returned 22.94% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). United Kingdom stocks in the Fund contributed most significantly to this performance; the country comprised on average 26.66% of the Fund and returned 19.81% over the period. CNOOC Ltd. was the top contributor to the performance for the period. Finland was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Cumulative Total Return ----------------------------------------------------------------------------------------- WisdomTree S&P International Global 1200 Energy Energy Net Asset Value Market Price Sector Index Sector Index ----------------------------------------------------------------------------------------- Six Months 22.94% 22.08% 22.47% 24.45% ----------------------------------------------------------------------------------------- Since Inception(1) 38.14% 36.91% 38.60% 37.14% ----------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Sector Funds 7 Performance Summary WisdomTree International Financial Sector Fund Industry Breakdown+ as of 9/30/07 ------------------------------------------ [PIE CHART] Banks 67.2% Insurance 18.6% Diversified Financial Services 8.8% Real Estate 3.6% REITS 0.5% Investment Companies 0.3% Venture Capital 0.1% Other 0.9% ------------------------------------------ + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ------------------------------------------------ Description % of Net Assets ------------------------------------------------ HSBC Holdings PLC 6.5% ------------------------------------------------ Banco Santander Central Hispano S.A. 4.0% ------------------------------------------------ Banca Intesa SpA 3.9% ------------------------------------------------ BNP Paribas 3.0% ------------------------------------------------ AXA S.A. 2.8% ------------------------------------------------ Loylds TSB Group PLC 2.8% ------------------------------------------------ Royal Bank of Scotland Group (The) PLC 2.8% ------------------------------------------------ Banco Bilbao Vizcaya Argentaria, Chile, S.A. 2.6% ------------------------------------------------ Commonwealth Bank of Australia 2.6% ------------------------------------------------ ING Groep N.V. 2.5% ------------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Financial Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Financial Sector Index. The WisdomTree International Financial Sector Fund (DRF) returned 3.58% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Australian stocks in the Fund contributed most significantly to this performance; the country comprised on average 12.31% of the Fund and returned 16.63% over the period. Commonwealth Bank of Australia was the top contributor to the performance for the period. The United Kingdom was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Cumulative Total Return ----------------------------------------------------------------------------------------- WisdomTree S&P International Global 1200 Financial Financials Net Asset Value Market Price Sector Index Sector Index ----------------------------------------------------------------------------------------- Six Months 3.58% 3.08% 3.65% 1.25% ----------------------------------------------------------------------------------------- Since Inception(1) 14.27% 14.26% 15.01% 7.18% ----------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 8 WisdomTree International Dividend Sector Funds Performance Summary WisdomTree International Health Care Sector Fund Industry Breakdown+ as of 9/30/07 --------------------------------- [PIE CHART] Pharmaceuticals 73.8% Healthcare-Products 13.5% Healthcare-Services 9.2% Biotechnology 2.9% Other 0.6% --------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ---------------------------------------------- Description % of Net Assets ---------------------------------------------- GlaxoSmithKline PLC 10.3% ---------------------------------------------- Sanofi-Aventis 7.5% ---------------------------------------------- AstraZeneca PLC 6.9% ---------------------------------------------- Novartis AG 6.8% ---------------------------------------------- Roche Holding AG 6.3% ---------------------------------------------- Bayer Schering Pharma AG 4.2% ---------------------------------------------- Takeda Pharmaceutical Co., Ltd. 4.0% ---------------------------------------------- Novo-Nordisk A/S Class B 2.4% ---------------------------------------------- Astellas Pharma, Inc. 2.0% ---------------------------------------------- Daiichi Sankyo Co., Ltd. 1.8% ---------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Health Care Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Health Care Sector Index. The WisdomTree International Health Care Sector Fund (DBR) returned 3.53% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Australian stocks in the Fund contributed most significantly to this performance; the country comprised on average 9.59% of the Fund and returned 19.05% over the period. Novo Nordisk A/S was the top contributor to the performance for the period. Switzerland was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Cumulative Total Return ----------------------------------------------------------------------------------------- WisdomTree S&P International Global 1200 Health Care Health Care Net Asset Value Market Price Sector Index Sector Index ----------------------------------------------------------------------------------------- Six Months 3.53% 4.02% 3.71% 4.59% ----------------------------------------------------------------------------------------- Since Inception(1) 11.85% 12.41% 12.52% 7.34% ----------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Sector Funds 9 Performance Summary WisdomTree International Industrial Sector Fund Industry Breakdown+ as of 9/30/07 --------------------------------------------- [PIE CHART] Engineering & Construction 19.7% Miscellaneous Manufacturers 14.3% Transportation 13.6% Building Materials 12.8% Electronics 8.0% Machinery-Diversified 7.7% Electrical Components & Equipment 7.5% Aerospace/Defense 5.5% Metal Fabricate/Hardware 3.3% Other 7.6% --------------------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 --------------------------------------------------- Description % of Net Assets --------------------------------------------------- Siemens AG 4.8% --------------------------------------------------- Wesfarmers Ltd. 3.3% --------------------------------------------------- VINCI S.A. 2.9% --------------------------------------------------- Deutsche Post AG 2.9% --------------------------------------------------- Schneider Electric S.A. 2.7% --------------------------------------------------- Koninklijke Philips Electronics N.V. 2.5% --------------------------------------------------- BAE SYSTEMS PLC 2.4% --------------------------------------------------- AB Volvo Class B 2.3% --------------------------------------------------- Cie de Saint-Gobain S.A. 2.3% --------------------------------------------------- Bouygues S.A. 1.9% --------------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Industrial Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Industrial Sector Index. The WisdomTree International Industrial Sector (DDI) returned 9.70% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). Australian stocks in the Fund contributed most significantly to this performance; the country comprised on average 8.89% of the Fund and returned 24.99% over the period. Siemens AG was the top contributor to the performance for the period. Spain was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Cumulative Total Return ----------------------------------------------------------------------------------------- WisdomTree S&P International Global 1200 Industrial Industrials Net Asset Value Market Price Sector Index Sector Index ----------------------------------------------------------------------------------------- Six Months 9.70% 9.14% 9.78% 15.51% ----------------------------------------------------------------------------------------- Since Inception(1) 34.65% 34.22% 33.31% 28.87% ----------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 10 WisdomTree International Dividend Sector Funds Performance Summary WisdomTree International Technology Sector Fund Industry Breakdown+ as of 9/30/07 --------------------------------- [PIE CHART] Software 41.6% Office/Business 24.7% Equipment Computers 22.1% Semiconductors 11.2% Other 0.4% --------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 --------------------------------------------- Description % of Net Assets --------------------------------------------- SAP AG 19.0% --------------------------------------------- Canon, Inc. 17.0% --------------------------------------------- STMichroelectronics N.V. 6.4% --------------------------------------------- LogicaCMG PLC 3.8% --------------------------------------------- Oracle Corp. Japan 3.6% --------------------------------------------- CapGemini S.A. 3.2% --------------------------------------------- Ricoh Co., Ltd. 2.6% --------------------------------------------- Indra Sistemas S.A. 2.4% --------------------------------------------- Neopost S.A. 2.4% --------------------------------------------- Fujitsu Ltd. 2.2% --------------------------------------------- * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Technology Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Technology Sector Index. The WisdomTree International Technology Sector Fund (DBT) returned 5.99% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). German stocks in the Fund contributed most significantly to this performance; the country comprised on average 17.04% of the Fund and returned 28.33% over the period. Sap Ag was the top contributor to the performance for the period. France was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ------------------------------------------------------------------------------------------ Cumulative Total Return ------------------------------------------------------------------------------------------ S&P WisdomTree Global 1200 International Informational Technology Technology Net Asset Value Market Price Sector Index Sector Index ------------------------------------------------------------------------------------------ Six Months 5.99% 5.14% 6.10% 18.14% ------------------------------------------------------------------------------------------ Since Inception(1) 10.76% 9.88% 11.40% 19.98% ------------------------------------------------------------------------------------------ (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. WisdomTree International Dividend Sector Funds 11 Performance Summary WisdomTree International Utilities Sector Fund Industry Breakdown+ as of 9/30/07 --------------------------------- [PIE CHART] Electric 76.2% Gas 15.4% Water 7.8% Other 0.6% --------------------------------- + The Fund's industry breakdown is expressed as a percentage of net assets and may change over time. Top Ten Holdings* as of 9/30/07 ------------------------------------------ Description % of Net Assets ------------------------------------------ E.ON AG 6.5% ------------------------------------------ Electricite de France 6.3% ------------------------------------------ Enel SpA 6.2% ------------------------------------------ RWE AG 6.2% ------------------------------------------ Suez S.A. 5.9% ------------------------------------------ Endesa S.A. 5.9% ------------------------------------------ Iberdrola S.A. 5.4% ------------------------------------------ Gaz de France S.A. 5.2% ------------------------------------------ National Grid PLC 4.4% ------------------------------------------ Fortum Oyj 2.8% ------------------------------------------ * The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. WisdomTree International Utilities Sector Fund seeks investment results that closely correspond to the price and yield performance, before fees and expenses, of the WisdomTree International Utilities Sector Index. The WisdomTree International Utilities Sector Fund (DBU) returned 10.30% at NAV, for the six month period ending September 30, 2007 (for more complete performance information, please see below). German stocks in the Fund contributed most significantly to this performance; the country comprised on average 13.16% of the Fund and returned 36.01% over the period. E.ON AG was the top contributor to the performance for the period. Japan was the biggest detractor to the Fund for the period. The following performance chart is provided for comparative purposes and represents the period noted. The Fund's per share net asset value ("NAV") is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for fund shares and investors assessments of the underlying value of a fund's portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund's performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions. The annual expense ratio of the Fund is 0.58%. Performance as of 9/30/07 ----------------------------------------------------------------------------------------- Cumulative Total Return ----------------------------------------------------------------------------------------- WisdomTree S&P International Global 1200 Utilities Utilities Net Asset Value Market Price Sector Index Sector Index ----------------------------------------------------------------------------------------- Six Months 10.30% 8.98% 11.77% 8.30% ----------------------------------------------------------------------------------------- Since Inception(1) 31.46% 30.57% 33.71% 28.29% ----------------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE on October 13, 2006. Performance quoted represents past performance and past performance does not guarantee future results. Current performance may be higher or lower than the performance quoted. For the most recent month end performance information visit www.wisdomtree.com. Investment in the Fund poses investment risk including the possible loss of principal. The investment return and principal value of an investment will fluctuate, so that shares, when sold or redeemed, may be worth more or less than their original cost. The returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. Total returns for a period less than one year have not been annualized. Index returns do not reflect expenses paid by the Fund. 12 WisdomTree International Dividend Sector Funds Shareholder Expense Examples (unaudited) As a shareholder of a WisdomTree Fund, you incur two types of costs: (1) transaction costs, including brokerage commissions on purchases and sales of your Fund shares and (2) ongoing costs, including management fees and other Fund expenses. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds. The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period from April 1, 2007 to September 30, 2007. Actual expenses The first line under each Fund in the table on the next page provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line for your Fund under the heading entitled "Expenses Paid During Period 4/01/07 to 9/30/07" to estimate the expenses you paid on your account during this period. Hypothetical example for comparison purposes The second line under each Fund in the table on the next page provides information about hypothetical account values and hypothetical expenses based on each Fund's actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund's actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in your Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds. Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher. WisdomTree International Dividend Sector Funds 13 Shareholder Expense Examples (unaudited) (concluded) ----------------------------------------------------------------------------------------------------------- Annualized Expense Ratio Expenses Paid Based on the During the Beginning Ending Period Period+ Account Value Account Value 4/01/07 to 4/01/07 to 4/01/07 9/30/07 9/30/07 9/30/07 ----------------------------------------------------------------------------------------------------------- WisdomTree International Basic Materials Sector Fund Actual $ 1,000.00 $ 1,234.47 0.58% $ 3.25 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Communications Sector Fund Actual $ 1,000.00 $ 1,208.84 0.58% $ 3.21 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Consumer Cyclical Sector Fund Actual $ 1,000.00 $ 1,040.74 0.58% $ 2.97 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Consumer Non-Cyclical Sector Fund Actual $ 1,000.00 $ 1,054.20 0.58% $ 2.99 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Energy Sector Fund Actual $ 1,000.00 $ 1,229.43 0.58% $ 3.24 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Financial Sector Fund Actual $ 1,000.00 $ 1,035.84 0.58% $ 2.96 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Health Care Sector Fund Actual $ 1,000.00 $ 1,035.29 0.58% $ 2.96 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Industrial Sector Fund Actual $ 1,000.00 $ 1,096.99 0.58% $ 3.05 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Technology Sector Fund Actual $ 1,000.00 $ 1,059.85 0.58% $ 3.00 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- WisdomTree International Utilities Sector Fund Actual $ 1,000.00 $ 1,102.99 0.58% $ 3.06 Hypothetical (5% return before expenses) $ 1,000.00 $ 1,022.09 0.58% $ 2.94 ----------------------------------------------------------------------------------------------------------- + Expenses are calculated using each Fund's annualized expense ratio, multiplied by the average account value for the period, multiplied by 183/366 (to reflect one-half year period). 14 WisdomTree International Dividend Sector Funds Schedule of Investment (unaudited) WisdomTree International Basic Materials Sector Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- COMMON STOCKS - 99.6% Australia - 24.0% Alumina Ltd.(a) 179,639 $1,135,057 Ausdrill Ltd. 22,604 46,808 Auspine Ltd. 3,863 19,486 BHP Billiton Ltd. 277,482 10,939,598 BlueScope Steel Ltd. 184,375 1,753,999 Consolidated Rutile Ltd. 135,982 71,601 Dominion Mining Ltd. 10,127 33,517 Equigold NL(a) 31,651 72,825 Forest Enterprises Australia Ltd. 276,888 142,119 GRD Ltd. 24,934 52,957 Great Southern Plantations Ltd.(a) 85,919 176,399 Gunns Ltd.(a) 97,446 240,595 Iluka Resources Ltd.(a) 40,731 198,968 Incitec Pivot Ltd. 4,087 309,380 Independence Group NL 14,556 84,373 Jubilee Mines NL(a) 31,128 478,211 Minara Resources Ltd. 171,951 990,614 Mincor Resources NL(a) 47,594 179,003 Newcrest Mining Ltd. 3,384 83,851 Nufarm Ltd.(a) 23,243 275,829 OneSteel Ltd.(a) 202,708 1,237,767 Orica Ltd. 33,595 894,870 PaperlinX Ltd.(a) 82,664 222,387 Rio Tinto Ltd.(a) 36,058 3,453,250 Straits Resources Ltd. 16,181 66,585 Wattyl Ltd. 13,598 39,109 Zinifex Ltd. 216,663 3,397,562 ---------- Total Australia 26,596,720 ----------------------------------------------------------------------------- Austria - 0.9% BOEHLER-UDDEHOLM AG 5,100 532,658 voestalpine AG 5,746 495,203 ---------- Total Austria 1,027,861 ----------------------------------------------------------------------------- Belgium - 1.7% Cumerio 2,173 88,074 Solvay S.A. 8,308 1,202,435 Tessenderlo Chemie N.V. 3,591 207,546 Umicore 1,622 386,607 ---------- Total Belgium 1,884,662 ----------------------------------------------------------------------------- Finland - 5.5% Kemira Oyj 11,011 256,499 Outokumpu Oyj(a) 27,771 994,867 Rautaruukki Oyj 17,748 1,072,461 Stora Enso Oyj Class R 85,008 1,651,413 UPM-Kymmene Oyj 86,088 2,076,412 ---------- Total Finland 6,051,652 ----------------------------------------------------------------------------- France - 1.9% L'Air Liquide S.A. 16,025 2,139,064 ----------------------------------------------------------------------------- Germany - 17.1% ALTANA AG 34,998 841,153 BASF AG 62,598 8,635,299 Bayer AG 57,329 4,551,027 K+S AG 4,344 794,220 Salzgitter AG 1,568 307,151 ThyssenKrupp AG 47,931 3,044,251 Wacker Chemie AG 3,301 770,511 ---------- Total Germany 18,943,612 ----------------------------------------------------------------------------- Italy - 0.0% Sol SpA 2,426 19,321 ----------------------------------------------------------------------------- Japan - 17.1% ADEKA Corp. 4,200 44,003 Aica Kogyo Co., Ltd. 4,200 45,902 Aichi Steel Corp.(a) 25,000 147,589 Air Water, Inc. 14,000 155,806 Arisawa Manufacturing Co., Ltd. 8,700 76,550 Asahi Kasei Corp. 70,000 564,796 Chuetsu Pulp & Paper Co., Ltd. 14,000 29,335 Daicel Chemical Industries Ltd. 14,000 110,646 Daido Steel Co., Ltd. 25,000 212,798 Dainippon Ink & Chemicals, Inc. 44,000 194,722 Daio Paper Corp. 12,000 97,239 Denki Kagaku Kogyo K.K. 28,000 157,023 DOWA HOLDINGS Co., Ltd. 14,000 177,107 Earth Chemical Co., Ltd. 1,400 34,691 Fujimi, Inc. 2,300 47,194 Gun-Ei Chemical Industry Co., Ltd. 8,000 19,545 Hitachi Chemical Co., Ltd. 9,300 192,040 Hitachi Metals Ltd. 14,000 173,334 Hokuetsu Paper Mills Ltd. 14,000 71,938 JFE Holdings, Inc. 48,000 3,397,122 JSR Corp. 7,600 186,011 Kaneka Corp. 14,000 117,585 Kansai Paint Co., Ltd. 14,000 107,238 Kobe Steel Ltd. 263,000 980,976 Lintec Corp. 1,400 27,449 Mitsubishi Chemical Holdings Corp. 96,000 834,674 Mitsubishi Gas Chemical Co., Inc. 25,000 231,492 Mitsubishi Materials Corp. 48,000 297,979 Mitsubishi Steel Manufacturing Co., Ltd.(a) 26,000 126,818 Mitsui Chemicals, Inc. 28,000 277,772 Nihon Parkerizing Co., Ltd. 4,000 47,542 Nippon Kayaku Co., Ltd. 14,000 116,367 Nippon Metal Industry Co., Ltd.(a) 14,000 64,635 Nippon Paint Co., Ltd.(a) 14,000 72,304 Nippon Shokubai Co., Ltd. 17,000 165,248 Nippon Steel Corp. 405,000 2,912,098 Nissan Chemical Industies Ltd. 11,000 135,617 Nisshin Steel Co., Ltd. 56,000 252,211 Nitto Denko Corp. 7,100 329,644 NOF Corp. 14,000 60,496 OJI Paper Co., Ltd.(a) 70,000 338,391 Rengo Co., Ltd. 14,000 94,336 See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 15 Schedule of Investment (unaudited) (concluded) WisdomTree International Basic Materials Sector Fund September 30, 2007 ------------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------------- Sanyo Special Steel Co., Ltd. 17,000 $ 141,599 Shin-Etsu Chemical Co., Ltd. 8,100 559,179 Showa Denko K.K. 45,000 170,195 Sumitomo Bakelite Co., Ltd. 14,000 80,459 Sumitomo Chemical Co., Ltd. 90,000 770,769 Sumitomo Metal Industries Ltd. 243,000 1,415,554 Sumitomo Metal Mining Co., Ltd. 25,000 606,443 Taiyo Nippon Sanso Corp. 14,000 125,618 Toagosei Co., Ltd. 14,000 52,098 Toho Titanium Co., Ltd.(a) 2,700 99,065 Tokai Carbon Co., Ltd. 7,000 79,242 Tokuyama Corp. 11,000 166,700 Tokyo Ohka Kogyo Co., Ltd. 1,400 30,248 Tokyo Steel Manufacturing Co., Ltd. 5,600 86,862 Topy Industries Ltd. 14,000 37,369 Tosoh Corp. 42,000 272,051 Toyo Ink Manufacturing Co., Ltd. 14,000 47,350 Ube Industries Ltd. 28,000 99,083 Yamato Kogyo Co., Ltd. 4,200 201,574 Yodogawa Steel Works Ltd. 14,000 69,504 Yushiro Chemical Industry Co., Ltd. 1,400 24,710 Zeon Corp. 12,000 118,106 ------------ Total Japan 18,980,041 ------------------------------------------------------------------------------------- Netherlands - 2.9% Akzo Nobel N.V. 23,665 1,945,269 Koninklijke DSM N.V. 22,458 1,208,877 ------------ Total Netherlands 3,154,146 ------------------------------------------------------------------------------------- New Zealand - 0.1% Nuplex Industries Ltd. 23,105 128,143 ------------------------------------------------------------------------------------- Norway - 0.9% Norske Skogindustrier ASA 44,800 476,732 Yara International ASA 15,900 499,968 ------------ Total Norway 976,700 ------------------------------------------------------------------------------------- Portugal - 0.3% Corticeira Amorim S.A. 6,516 18,719 Portucel-Empresa Produtora De Pasta E Papel, S.A. 71,224 262,344 ------------ Total Portugal 281,063 ------------------------------------------------------------------------------------- Singapore - 0.0% Midas Holdings Ltd. 12,000 13,985 ------------------------------------------------------------------------------------- Spain - 0.7% Acerinox S.A.(a) 19,573 587,334 Grupo Empresarial Ence S.A. 8,916 100,551 Tubos Reunidos S.A. 3,088 93,541 ------------ Total Spain 781,426 ------------------------------------------------------------------------------------- Sweden - 2.8% Billerud AB 7,000 93,600 Boliden AB 31,550 669,378 Holmen AB Class B 8,400 320,727 SSAB Svenskt Staal AB Series A 15,400 567,765 Svenska Cellulosa Aktiebolaget SCA Class B 78,800 1,464,775 ------------ Total Sweden 3,116,245 ------------------------------------------------------------------------------------- Switzerland - 1.4% Ciba Specialty Chemicals AG 11,015 559,613 Givaudan 475 437,511 Lonza Group AG 1,444 156,983 Schmolz + Bickenbach AG 1,021 95,003 Syngenta AG 1,279 274,807 ------------ Total Switzerland 1,523,917 ------------------------------------------------------------------------------------- United Kingdom - 22.3% Anglo American PLC 105,358 7,059,870 Antofagasta PLC 38,612 599,829 BHP Billiton PLC 140,786 5,019,528 Croda International PLC 6,998 91,247 DS Smith PLC 93,112 354,268 Elementis PLC 20,131 40,296 Filtrona PLC 18,875 87,870 Foseco PLC 8,878 39,160 Imperial Chemical Industries PLC 86,425 1,148,028 Johnson Matthey PLC 19,475 661,422 Kazakhmys PLC 29,377 840,909 Lonmin PLC 9,416 700,012 Rio Tinto PLC 66,237 5,705,596 Vedanta Resources PLC 12,532 518,301 Victrex PLC 4,631 62,271 Xstrata PLC 24,441 1,615,345 Yule Catto & Co. PLC 23,169 107,506 ------------ Total United Kingdom 24,651,458 ------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $100,260,030) 110,270,016 ===================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 10.1% MONEY MARKET FUNDS(b) - 10.1% UBS Enhanced Yield Portfolio, 5.38% 4,020,754 4,020,754 UBS Private Money Market Fund LLC, 5.21% 7,157,303 7,157,303 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $11,178,057)(c) 11,178,057 ===================================================================================== TOTAL INVESTMENTS IN SECURITIES - 109.7% (Cost: $111,438,087)(d) 121,448,073 Liabilities in Excess of Cash and Other Assets - (9.7)% (10,724,899) ------------ NET ASSETS - 100.0% $110,723,174 ===================================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $6,636,637 and the total market value of the collateral held by the Fund was $11,178,057. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 16 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) WisdomTree International Communications Sector Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- COMMON STOCKS - 99.3% Australia - 7.4% APN News & Media Ltd. 9,992 $ 46,157 ASG Group Ltd. 712 914 Austereo Group Ltd. 9,777 21,630 Iress Market Technology Ltd. 2,035 14,047 IWL Ltd. 1,447 8,170 John Fairfax Holdings Ltd.(a) 32,283 134,845 Oakton Ltd. 1,815 10,906 Publishing & Broadcasting Ltd.(a) 11,420 199,091 SAI Global Ltd.(a) 1,919 5,553 Seek Ltd. 1,619 13,052 Service Stream Ltd. 1,259 2,384 Seven Network Ltd. 4,065 47,125 SMS Management & Technology Ltd. 1,391 8,617 Southern Cross Broadcasting Australia Ltd.(a) 2,251 34,143 SP Telemedia Ltd. 5,784 2,278 STW Communications Group Ltd.(a) 5,276 12,139 Telstra Corp. Ltd. 361,469 1,394,686 Ten Network Holdings Ltd. 15,380 37,021 West Australian Newspapers Holdings Ltd.(a) 6,164 84,659 ---------- Total Australia 2,077,417 ------------------------------------------------------------------------------- Belgium - 1.7% Belgacom S.A. 8,646 400,109 Mobistar S.A. 995 86,813 ---------- Total Belgium 486,922 ------------------------------------------------------------------------------- Finland - 5.6% Alma Media Corp. 708 11,841 Elcoteq SE 404 2,723 Elektrobit Corp. 11 30 Elisa Oyj 2,993 92,792 Nokia Oyj 35,416 1,342,780 PKC Group Oyj 404 6,119 Sanoma-WSOY Oyj 2,990 92,741 Talentum Oyj 1,615 8,085 ---------- Total Finland 1,557,111 ------------------------------------------------------------------------------- France - 7.1% Alcatel-Lucent 21,207 217,149 Canal Plus S.A. 1,939 21,536 Havas S.A. 4,209 24,781 Iliad S.A. 24 2,218 JC Decaux S.A. 1,101 38,565 Lagardere SCA 1,359 115,363 M6, Metropole Television 2,810 81,323 NRJ Group(a) 742 9,655 PagesJaunes Groupe S.A. 12,894 264,239 Publicis Groupe 1,015 41,630 Television Francaise 1 S.A. 3,309 88,706 Vivendi 25,897 1,090,151 ---------- Total France 1,995,316 ------------------------------------------------------------------------------- Germany - 7.0% Comdirect Bank AG 1,934 24,039 Deutsche Telekom AG 97,146 1,903,791 United Internet AG 1,254 28,160 ---------- Total Germany 1,955,990 ------------------------------------------------------------------------------- Hong Kong - 11.2% China Mobile Ltd. 164,500 2,695,557 China Netcom Group Corp. (Hong Kong) Ltd. 59,000 157,968 China Unicom Ltd. 72,000 149,030 Next Media Ltd. 62,000 17,558 Oriental Press Group Ltd. 56,000 8,938 PCCW Ltd. 104,000 68,810 Television Broadcasts Ltd. 4,000 24,045 Tradelink Electronic Commerce Ltd. 8,000 1,102 ---------- Total Hong Kong 3,123,008 ------------------------------------------------------------------------------- Ireland - 0.2% Independent News & Media PLC 12,770 48,399 ------------------------------------------------------------------------------- Italy - 5.6% Arnoldo Mondadori Editore SpA 4,689 45,246 CIR-Compagnie Industriali Riunite SpA 6,659 25,924 Gruppo Editoriale L'Espresso SpA 5,448 26,614 Mediaset SpA 30,972 318,899 RCS MediaGroup SpA 2,833 16,227 Seat Pagine Gialle SpA 38,506 21,412 Telecom Italia SpA 370,916 1,124,889 ---------- Total Italy 1,579,211 ------------------------------------------------------------------------------- Japan - 4.5% Hakuhodo DY Holdings, Inc. 200 14,016 Hikari Tsushin, Inc. 400 10,955 KDDI Corp. 15 111,116 Matsui Securities Co., Ltd. 2,200 16,833 Nippon Telegraph & Telephone Corp. 77 359,510 Nippon Television Network Corp. 120 15,431 NTT DoCoMo, Inc. 408 581,768 SBI Holdings, Inc. 252 66,058 SOFTBANK CORP. 500 9,216 Tokyo Broadcasting System, Inc. 600 16,798 Trend Micro, Inc. 1,000 43,211 Uniden Corp. 1,000 6,617 Yahoo Japan Corp. 32 12,103 ---------- Total Japan 1,263,632 ------------------------------------------------------------------------------- Netherlands - 3.2% Reed Elsevier N.V. 9,481 179,599 Royal KPN N.V. 35,300 610,957 Wegener N.V. 180 4,531 Wolters Kluwer N.V. 3,654 108,192 ---------- Total Netherlands 903,279 ------------------------------------------------------------------------------- New Zealand - 1.0% CanWest MediaWorks NZ Ltd. 5,624 11,431 Telecom Corp. of New Zealand Ltd.(a) 81,518 275,330 ---------- Total New Zealand 286,761 ------------------------------------------------------------------------------- Norway - 0.1% Schibsted ASA 600 31,426 ------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 17 Schedule of Investments (unaudited) (concluded) WisdomTree International Communications Sector Fund September 30, 2007 ------------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------------- Portugal - 1.3% Portugal Telecom, SGPS, S.A. 22,754 $ 318,095 PT Multimedia Servicos de Telecomunicacoes e Multimedia, SGPS, S.A.(a) 3,905 57,978 ----------- Total Portugal 376,073 ------------------------------------------------------------------------------------- Singapore - 3.4% Keppel Telecommunications & Transportation Ltd. 7,000 21,220 MobileOne Ltd. 21,600 29,829 Singapore Press Holdings Ltd. 24,000 69,844 Singapore Telecommunications Ltd. 280,000 758,261 StarHub Ltd. 29,330 61,250 Yellow Pages (Singapore) Ltd. 7,000 5,659 ----------- Total Singapore 946,063 ------------------------------------------------------------------------------------- Spain - 11.1% Gestevision Telecinco, S.A. 8,503 222,624 Promotora de Informaciones, S.A. 943 18,574 Telefonica, S.A. 102,813 2,870,208 ----------- Total Spain 3,111,406 ------------------------------------------------------------------------------------- Sweden - 4.4% Eniro AB 2,200 26,696 Tele2 AB Class B 3,600 77,492 Telefonaktiebolaget LM Ericsson Class A 11,000 43,462 Telefonaktiebolaget LM Ericsson Class B 125,000 498,528 TeliaSonera AB 63,500 571,780 ----------- Total Sweden 1,217,958 ------------------------------------------------------------------------------------- Switzerland - 1.2% Kudelski S.A. 192 5,411 Swisscom AG 892 338,070 ----------- Total Switzerland 343,481 ------------------------------------------------------------------------------------- United Kingdom - 23.3% Aegis Group PLC 5,628 14,333 Amstrad PLC 1,375 4,202 Bloomsbury Publishing PLC 428 1,288 British Sky Broadcasting Group PLC 16,176 229,045 BT Group PLC 157,596 985,709 Cable & Wireless PLC 36,485 136,772 Centaur Media PLC 1,135 2,740 Daily Mail & General Trust N.V. Class A 3,150 40,431 Emap PLC 2,914 52,185 Euromoney Institutional Investor PLC 1,631 17,578 Future PLC 6,344 5,655 GCAP Media PLC 2,922 12,353 Informa PLC 3,138 31,998 Inmarsat PLC 5,496 50,920 iomart Group PLC* 1,981 2,099 ITV PLC 45,735 95,601 Johnston Press PLC 2,410 15,945 Pearson PLC 13,390 206,647 Reed Elsevier PLC 15,804 198,985 Reuters Group PLC 13,326 174,573 Smiths News PLC 3,569 8,871 Taylor Nelson Sofres PLC 3,098 14,249 Trinity Mirror PLC 5,336 44,790 United Business Media PLC 2,322 32,760 UTV PLC 720 5,574 Vodafone Group PLC 1,082,528 3,892,684 Wilmington Group PLC 1,468 7,088 WPP Group PLC 7,055 95,153 Yell Group PLC 15,903 138,996 ----------- Total United Kingdom 6,519,224 ------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $23,584,692) 27,822,677 ===================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 2.4% MONEY MARKET FUNDS(b) - 2.4% UBS Enhanced Yield Portfolio, 5.38% 508,404 508,404 UBS Private Money Market Fund LLC, 5.21% 160,673 160,673 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $669,077)(c) 669,077 ===================================================================================== TOTAL INVESTMENTS IN SECURITIES - 101.7% (Cost: $24,253,769)(d) 28,491,754 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (1.7)% (476,141) ----------- NET ASSETS - 100.0% $28,015,613 ===================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $633,364 and the total market value of the collateral held by the Fund was $669,077. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 18 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) WisdomTree International Consumer Cyclical Sector Fund September 30, 2007 ------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------- COMMON STOCKS - 99.1% Australia - 7.0% Alesco Corp., Ltd. 813 $ 9,339 ARB Corp., Ltd. 519 1,906 Aristocrat Leisure Ltd. 2,376 29,226 Billabong International Ltd. 1,285 17,035 Coles Group Ltd. 7,770 105,892 David Jones Ltd. 5,138 23,189 Fantastic Holdings Ltd. 685 2,425 Flight Centre Ltd. 1,005 19,299 Funtastic Ltd. 1,788 2,255 Harvey Norman Holdings Ltd. 4,690 24,736 Infomedia Ltd. 4,508 2,374 JB Hi-Fi Ltd. 318 4,055 Just Group Ltd. 2,066 9,507 Qantas Airways Ltd. 10,296 50,842 Reject Shop Ltd. (The) 201 2,401 Specialty Fashion Group Ltd. 1,250 1,781 Spotless Group Ltd. 2,342 8,995 Sunland Group Ltd. 2,772 9,935 Super Cheap Auto Group Ltd. 789 3,135 TABCORP Holdings Ltd. 6,551 87,828 Tattersall's Ltd. 7,397 25,988 ------- Total Australia 442,143 ------------------------------------------------------------------------------- Denmark - 0.0% Bang & Olufsen A/S Class B 25 2,814 ------------------------------------------------------------------------------- Finland - 0.5% Amer Sports OYJ 480 11,093 Nokian Renkaat OYJ 344 13,434 Stockmann Oyj Abp Class B 165 7,938 ------- Total Finland 32,465 ------------------------------------------------------------------------------- France - 13.4% Accor S.A. 1,185 104,924 Air France-KLM S.A. 472 17,298 Compagnie Generale des Etablissements Michelin Class B 567 76,024 Hermes International 247 27,722 Kaufman & Broad S.A. 65 3,998 Peugeot S.A. 1,344 110,630 PPR S.A. 654 122,717 Rallye S.A. 346 24,603 Renault S.A. 1,838 265,626 SEB S.A. 14 2,598 Sodexho Alliance S.A. 718 49,524 THOMPSON 1,319 20,034 Trigano S.A. 62 2,795 Valeo S.A. 403 22,363 ------- Total France 850,856 ------------------------------------------------------------------------------- Germany - 13.2% adidas AG 286 18,710 Bayerische Motoren Werke AG 1,587 102,082 Beate Uhse AG 1,636 7,050 Bechtle AG 79 3,422 Continental AG 409 56,409 DaimlerChrysler AG 4,092 411,085 Deutsche Lufthansa AG 2,671 76,618 Douglas Holding AG 171 10,654 Fielmann AG 53 3,525 Gerry Weber International AG 71 2,288 Grammer AG 37 1,171 Hugo Boss AG 2 139 Praktiker Bau- und Heimwerkermaerkt AG 75 2,800 Puma AG Rudolf Dassler Sport 17 7,286 Takkt AG 141 2,386 Volkswagen AG 571 128,710 ------- Total Germany 834,335 ------------------------------------------------------------------------------- Hong Kong - 1.7% Cathay Pacific Airways Ltd. 19,000 51,972 China Travel International Investment Hong Kong Ltd. 24,000 17,764 Denway Motors Ltd. 32,000 18,577 Fountain Set (Holdings) Ltd. 2,000 731 Goldlion Holdings Ltd. 10,000 3,591 Hongkong & Shanghai Hotels Ltd. (The) 3,000 5,321 Shaw Brothers (Hong Kong) Ltd. 2,000 3,620 Shell Electric Manufacturing (Holdings) Co. Ltd. 3,000 3,089 ------- Total Hong Kong 104,665 ------------------------------------------------------------------------------- Ireland - 0.1% Abbey PLC 249 2,435 Paddy Power PLC 119 4,194 ------- Total Ireland 6,629 ------------------------------------------------------------------------------- Italy - 2.7% Amplifon SpA 291 2,299 Autogrill SpA 684 13,142 Brembo SpA 299 3,948 Bulgari SpA 1,368 21,478 Fiat SpA 1,069 32,245 Geox SpA 1,179 25,268 Indesit Co. SpA 822 14,133 Lottomatica SpA 763 27,507 MARR SpA 234 2,544 Marzotto SpA 558 3,162 Sogefi SpA 548 4,699 Tod's SpA 219 18,341 Valentino Fashion Group SpA 65 3,194 ------- Total Italy 171,960 ------------------------------------------------------------------------------- Japan - 34.2% ABC-Mart, Inc. 400 8,677 Advan Co., Ltd. 100 856 Aisan Industry Co., Ltd. 100 1,213 Aisin Seiki Co., Ltd. 300 11,972 Akebono Brake Industry Co., Ltd. 1,000 6,408 All Nippon Airways Co., Ltd. 2,000 7,790 Alpen Co., Ltd. 300 4,019 See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 19 Schedule of Investments (unaudited) (continued) WisdomTree International Consumer Cyclical Sector Fund September 30, 2007 --------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------- Alpine Electronics, Inc. 200 $ 2,942 AOKI Holdings, Inc. 100 1,978 Arcs Co., Ltd. 210 2,962 ASICS Corp. 1,000 15,459 Avex Group Holdings, Inc. 300 3,915 Best Denki Co., Ltd. 500 3,530 Bosch Corp. 1,000 4,852 Bridgestone Corp. 1,300 28,709 Calsonic Kansei Corp. 1,000 3,904 Canon Electronics, Inc. 150 3,828 Chiyoda Co., Ltd. 100 1,435 Circle K Sunkus Co., Ltd. 200 3,104 Citizen Watch Co., Ltd. 700 7,036 Daidoh Ltd. 600 7,663 Daihatsu Motor Co., Ltd. 1,000 10,373 Daikoku Denki Co., Ltd. 300 4,043 DENSO CORP. 1,500 56,471 Don Quijote Co., Ltd. 100 2,065 Doshisha Co., Ltd. 100 1,656 Edion Corp. 500 5,560 FamilyMart Co., Ltd. 200 5,208 FCC Co., Ltd. 100 1,800 France Bed Holdings Co., Ltd. 3,000 4,330 Futaba Industrial Co., Ltd. 100 2,574 Gulliver International Co., Ltd. 70 3,311 Gunze Ltd. 1,000 4,921 Hakuto Co., Ltd. 100 1,461 Hanwa Co., Ltd. 1,000 5,060 Heiwa Corp. 700 8,228 Heiwado Co., Ltd. 100 1,592 Hino Motors Ltd. 1,000 7,634 HIS Co., Ltd. 100 1,878 Hitachi High-Technologies Corp. 100 2,287 Hitachi Maxell Ltd. 300 3,234 Honda Motor Co., Ltd. 5,900 198,009 Impact 21 Co., Ltd. 100 2,256 Inaba Denki Sangyo Co., Ltd. 100 3,634 Isetan Co., Ltd. 300 4,040 Isuzu Motors Ltd. 1,000 5,721 ITOCHU Corp. 3,000 36,387 Itochu Enex Co., Ltd. 300 2,029 Izumi Co., Ltd. 200 2,725 JTEKT Corp. 200 3,521 Kanto Auto Works Ltd. 200 2,695 Keihin Corp. 100 1,900 Keiyo Co., Ltd. 400 2,111 Kenwood Corp. 3,000 4,226 Kojima Co., Ltd. 300 1,815 Kokuyo Co., Ltd. 400 4,153 Komeri Co., Ltd. 100 2,687 Konaka Co., Ltd. 400 3,036 Kurabo Industries Ltd. 2,000 4,973 Kuraray Co., Ltd. 500 6,325 Lawson, Inc. 400 12,624 Mars Engineering Corp. 200 3,669 Marubeni Corp. 2,000 18,328 Marui Co., Ltd. 2,500 27,562 Matsumotokiyoshi Co., Ltd. 100 1,848 Mazda Motor Corp. 2,000 10,103 Ministop Co., Ltd. 100 1,782 Mitsubishi Corp. 4,600 145,580 Mitsubishi Rayon Co., Ltd. 1,000 7,077 Mitsui & Co., Ltd. 4,000 97,031 Mitsui Home Co., Ltd. 1,000 5,782 Mitsukoshi Ltd. 1,000 4,530 Mitsuuroko Co., Ltd. 200 1,417 Mizuno Corp. 1,000 5,582 MOS Food Services, Inc. 100 1,371 Namco Bandai Holdings, Inc. 600 8,712 Nidec Sankyo Corp. 1,000 6,695 Nifco, Inc. 200 4,782 Nishimatsuya Chain Co., Ltd. 100 1,267 Nissan Motor Co., Ltd. 20,200 202,149 Nissin Kogyo Co., Ltd. 100 2,878 Nitori Co., Ltd. 50 2,361 NOK Corp. 300 6,417 Noritake Co., Ltd. 1,000 4,765 Noritz Corp. 100 1,396 Onward Kashiyama Co., Ltd. 1,000 10,103 Oriental Land Co., Ltd. 100 5,791 Parco Co., Ltd. 600 7,997 Pioneer Corp. 500 6,125 Plenus Co., Ltd. 200 3,266 Point, Inc. 20 689 RESORTTRUST, Inc. 120 2,551 Ryohin Keikaku Co., Ltd. 100 5,747 Ryoshoku Ltd. 100 2,339 Ryoyo Electro Corp. 100 1,444 Sanei-International Co., Ltd. 200 3,999 Sangetsu Co., Ltd. 400 8,694 Sankyo Seiko Co., Ltd. 500 1,856 Sanrio Co., Ltd. 200 2,066 Seiko Holdings Corp. 1,000 5,895 Seiren Co., Ltd. 500 3,295 Sekisui Chemical Co., Ltd. 2,000 14,659 Sekisui House, Ltd. 2,000 25,145 Seven & I Holdings Co., Ltd. 2,700 69,369 Shimachu Co., Ltd. 100 2,643 Showa Corp. 100 1,190 Sony Corp. 800 38,743 Sumitomo Corp. 3,100 59,836 Sumitomo Rubber Industries, Inc. 600 7,533 Sundrug Co., Ltd. 100 2,274 Suzuki Motor Corp. 300 8,868 Takamatsu Corp. 400 5,631 Takashimaya Co., Ltd. 1,000 11,086 See Notes to Financial Statements. 20 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) (continued) WisdomTree International Consumer Cyclical Sector Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Teijin Ltd. 2,000 $ 9,756 Toei Co., Ltd. 1,000 5,182 Toho Co., Ltd. 100 1,974 Tokai Rika Co., Ltd. 100 2,782 Token Corp. 60 2,947 TOMY Co., Ltd. 200 1,059 Toray Industries, Inc. 4,000 31,719 TOTO Ltd. 1,000 7,243 Toyo Tire & Rubber Co., Ltd. 1,000 5,825 Toyobo Co., Ltd. 3,000 7,016 Toyoda Gosei Co., Ltd. 100 3,617 Toyota Auto Body Co., Ltd. 200 3,309 Toyota Boshoku Corp. 200 6,747 Toyota Motor Corp. 9,200 542,328 Toyota Tsusho Corp. 300 7,955 Trusco Nakayama Corp. 100 1,730 Unitika Ltd. 3,000 3,573 UNY Co., Ltd. 1,000 8,703 USS Co., Ltd. 70 4,595 Wacoal Holdings Corp. 1,000 12,268 Xebio Co., Ltd. 100 2,434 Yamada Denki Co., Ltd. 40 3,954 Yamaha Corp. 400 8,955 Yamaha Motor Co., Ltd. 500 12,737 Yokohama Rubber Co., Ltd. (The) 1,000 7,477 Zensho Co., Ltd. 100 1,009 --------- Total Japan 2,169,617 -------------------------------------------------------------------------------- Netherlands - 0.4% Beter BED Holdings N.V. 118 3,313 Buhrmann N.V. 916 9,953 Macintosh Retail Group N.V. 83 2,911 Univar N.V. 96 7,262 --------- Total Netherlands 23,439 -------------------------------------------------------------------------------- New Zealand - 0.9% Air New Zealand Ltd. 7,584 14,154 Fisher & Paykel Appliances Holdings Ltd. 2,587 6,959 Hallenstein Glasson Holdings Ltd. 970 3,269 Pumpkin Patch Ltd. 784 1,842 Sky City Entertainment Group Ltd. 4,595 18,124 Warehouse Group Ltd. (The) 2,885 11,989 --------- Total New Zealand 56,337 -------------------------------------------------------------------------------- Norway - 0.2% Ekornes ASA 400 8,484 NorGani Hotels ASA 200 3,449 --------- Total Norway 11,933 -------------------------------------------------------------------------------- Portugal - 0.3% SAG GEST-Solucoes Automovel Globais, SGPS, S.A. 1,958 5,820 Sonae SGPS, S.A. 6,273 16,236 --------- Total Portugal 22,056 -------------------------------------------------------------------------------- Singapore - 1.6% Hotel Plaza Ltd. 3,000 4,385 Hotel Properties Ltd. 1,000 3,180 HTL International Holdings Ltd. 2,000 1,132 Jardine Cycle & Carriage Ltd. 1,000 12,463 Robinson & Co., Ltd. 1,000 3,274 Singapore Airlines Ltd. 5,600 70,167 Stamford Land Corp., Ltd. 7,000 2,900 Tat Hong Holdings Ltd. 2,000 3,247 --------- Total Singapore 100,748 -------------------------------------------------------------------------------- Spain - 2.1% Adolfo Dominguez 61 2,911 Cia de Distribucion Integral Logista S.A. 136 10,328 IBERIA, Lineas Aereas de Espana, S.A. 2,804 13,638 Inditex S.A. 1,518 102,026 Tavex Algodonera S.A. 1,553 5,367 --------- Total Spain 134,270 -------------------------------------------------------------------------------- Sweden - 5.1% Bilia AB Class A 300 5,414 Clas Ohlson AB Class B 100 2,435 Electrolux AB Series B 1,526 32,199 H&M Hennes & Mauritz AB Class B 3,550 224,172 New Wave Group AB 200 1,979 Nobia AB 450 4,313 Scania AB Class A 100 2,551 Scania AB Class B 1,900 46,112 SkiStar AB 100 1,812 --------- Total Sweden 320,987 -------------------------------------------------------------------------------- Switzerland - 0.4% Swatch Group AG (The) 181 11,551 Swatch Group AG (The) Class B 45 14,715 --------- Total Switzerland 26,266 -------------------------------------------------------------------------------- United Kingdom - 15.3% Alexon Group PLC 415 1,568 Barratt Developments PLC 2,502 38,129 Bellway PLC 771 16,195 Blacks Leisure Group PLC 976 5,443 Bovis Homes Group PLC 1,044 13,911 Brammer PLC 2,220 12,042 BSS Group PLC 2,021 18,899 Burberry Group PLC 1,318 17,642 Carnival PLC 822 39,087 Carpetright PLC 731 15,667 Carphone Warehouse Group PLC 972 6,901 Christian Salvesen PLC 4,264 5,473 Clinton Cards PLC 2,366 2,555 Compass Group PLC 11,724 72,135 Debenhams PLC 7,053 13,543 Diploma PLC 107 2,405 Domino's Pizza UK & IRL PLC 444 2,067 Enterprise Inns PLC 2,180 26,293 Findel PLC 382 5,012 French Connection Group PLC 709 2,030 See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 21 Schedule of Investments (unaudited) (concluded) WisdomTree International Consumer Cyclical Sector Fund September 30, 2007 -------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------- Game Group PLC 1,819 $ 7,115 Games Workshop Group PLC 1,168 6,050 GKN PLC 5,638 40,662 Halfords Group PLC 1,702 12,293 Headlam Group PLC 811 9,311 Holidaybreak PLC 318 4,827 Home Retail Group PLC 1,282 9,736 IG Group Holdings PLC 385 2,971 Inchcape PLC 2,552 21,889 Intercontinental Hotels Group PLC 1,128 22,303 JJB Sports PLC 2,280 7,154 John Menzies PLC 365 4,164 Kesa Electricals PLC 3,582 20,087 Kier Group PLC 511 19,021 Kingfisher PLC 21,592 78,655 Ladbrokes PLC 3,256 28,641 Land of Leather Holdings PLC 416 1,824 Laura Ashley Holdings PLC 5,585 2,958 Lookers PLC 1,069 2,853 Luminar PLC 387 4,739 Majestic Wine PLC 222 1,506 Marks & Spencer Group PLC 8,094 101,498 Mitchells & Butlers PLC 348 4,332 Mothercare PLC 322 2,501 N. Brown Group PLC 1,325 7,343 Next PLC 1,085 43,415 Pendragon PLC 6,631 8,072 Persimmon PLC 2,490 48,903 Punch Taverns PLC 591 11,872 Raymarine PLC 269 1,398 Redrow PLC 1,269 10,451 Signet Group PLC 12,689 21,651 Ted Baker PLC 344 3,644 Topps Tiles PLC 2,181 8,743 Umbro PLC 2,332 5,286 Wetherspoon (J.D.) PLC 763 8,239 WH Smith PLC 320 2,503 Whitbread PLC 858 28,353 William Hill PLC 1,917 25,133 ---------- Total United Kingdom 969,093 -------------------------------------------------------------------------- TOTAL INVESTMENTS IN SECURITIES - 99.1% (Cost: $5,316,831)(a) 6,280,613 Cash, Foreign Currency and Other Assets in Excess of Liabilites - 0.9% 55,324 ---------- NET ASSETS - 100.0% $6,335,937 ========================================================================== (a) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 22 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) WisdomTree International Consumer Non-Cyclical Sector Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- COMMON STOCKS - 99.4% Australia - 5.9% A.B.C. Learning Centres Ltd. 3,529 $ 20,518 AWB Ltd.(a) 13,126 28,575 Boom Logistics Ltd. 5,147 13,756 Candle Australia Ltd. 1,105 3,207 Chandler Macleod Ltd. 1,187 945 Coates Hire Ltd. 3,764 20,152 Coca-Cola Amatil Ltd. 18,132 144,413 Cochlear Ltd. 484 33,392 Corporate Express Australia Ltd. 2,987 18,662 CSL Ltd. 883 83,845 Foster's Group Ltd. 40,913 236,425 Goodman Fielder Ltd. 10,456 23,873 GrainCorp Ltd. 198 1,717 Healthscope Ltd. 3,724 18,982 Invocare Ltd. 1,880 10,931 Lion Nathan Ltd. 10,980 89,686 Metcash Ltd. 3,521 14,707 Pacific Brands Ltd. 18,458 50,637 Primary Health Care Ltd.(a) 1,884 20,307 Programmed Maintenance Services Ltd. 2,120 10,131 Ramsay Health Care Ltd. 1,988 18,824 Sigma Pharmaceuticals Ltd.(a) 13,561 17,581 Skilled Group Ltd. 2,084 9,959 Sonic Healthcare Ltd. 4,272 58,976 Symbion Health Ltd. 9,260 34,172 Woolworths Ltd. 16,027 421,380 --------- Total Australia 1,405,753 ---------------------------------------------------------------------------------- Belgium - 1.8% Colruyt S.A. 49 10,324 Delhaize Group 763 72,919 InBev N.V. 2,875 259,876 Omega Pharma S.A. 270 23,615 UCB S.A. 1,165 68,559 --------- Total Belgium 435,293 ---------------------------------------------------------------------------------- Denmark - 1.4% Carlsberg A/S Class B 200 27,245 Coloplast A/S Class B 200 18,965 Danisco A/S 200 15,511 H. Lundbeck A/S 1,600 43,348 Novo-Nordisk A/S Class B 1,600 192,622 Novozymes A/S Class B 200 25,070 --------- Total Denmark 322,761 ---------------------------------------------------------------------------------- Finland - 0.7% HK-Ruokatalo Oyj Class A 1,198 24,994 Kemira GrowHow Oyj 1,213 20,718 Kesko OYJ Class B 807 53,470 Orion Oyj Class B 1,349 34,187 Poyry Oyj 807 20,176 Ramirent Oyj 40 864 --------- Total Finland 154,409 ---------------------------------------------------------------------------------- France - 14.8% Assystem 168 2,626 Carrefour S.A. 7,226 504,882 Casino Guichard Perrachon S.A. 1,439 150,498 Christian Dior S.A. 1,377 175,738 Cie Generale D'Optique Essilor International S.A. 1,254 78,469 Clarins 272 20,838 Groupe Danone 4,840 379,953 Groupe Steria SCA 270 13,627 Ipsen 175 10,067 L'Oreal S.A. 4,410 576,994 Pernod-Ricard S.A. 543 118,174 Remy Cointreau S.A. 563 40,674 Sanofi-Aventis 14,487 1,223,387 Societe BIC SA 228 19,494 Societe Des Autoroutes Paris-Rhin-Rhone 2,011 210,777 --------- Total France 3,526,198 ---------------------------------------------------------------------------------- Germany - 4.6% Bayer Schering Pharma AG 2,709 405,101 Beiersdorf AG 1,385 103,447 Celesio AG 1,165 73,330 Fresenius AG 336 25,287 Fresenius Medical Care AG & Co. KGaA 1,548 82,049 Henkel KGaA 1,512 71,411 IDS Scheer AG 128 2,812 Merck KGaA 192 23,100 Metro AG 2,567 231,233 Rhoen-Klinikum AG 416 13,282 Sixt AG 88 4,389 Stada Arzneimittel AG 212 13,787 Suedzucker AG 2,008 40,236 --------- Total Germany 1,089,464 ---------------------------------------------------------------------------------- Hong Kong - 0.0% Cross-Harbour (Holdings) Ltd. 4,000 4,356 ---------------------------------------------------------------------------------- Ireland - 0.4% C&C Group PLC 2,556 20,974 Fyffes PLC 2,609 3,376 Glanbia PLC 2,316 13,899 Greencore Group PLC 2,396 15,589 Iaws Group PLC 424 9,377 Kerry Group PLC Class A 555 16,417 United Drug PLC 1,201 5,560 --------- Total Ireland 85,192 ---------------------------------------------------------------------------------- Italy - 1.2% Autostrada Torino-Milano SpA 1,157 27,347 Autostrade SpA 4,223 142,276 Davide Campari-Milano SpA 1,473 15,083 Fiera Milano SpA 420 3,614 Luxottica Group SpA 1,852 62,869 Recordati SpA 1,621 15,284 Societa Iniziative Autostradali e Servizi SpA 1,828 27,505 --------- Total Italy 293,978 ---------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 23 Schedule of Investments (unaudited) (continued) WisdomTree International Consumer Non-Cyclical Sector Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------- Japan - 7.6% Ajinomoto Co., Inc. 2,000 $ 25,040 Alfresa Holdings Corp. 300 19,119 Asahi Breweries, Ltd. 2,000 30,431 Astellas Pharma, Inc. 3,800 182,046 Chugai Pharmaceutical Co., Ltd. 2,000 32,987 Coca-Cola West Holdings Co., Ltd. 400 9,390 Dai Nippon Printing Co., Ltd. 4,000 57,106 Daiichi Sankyo Co., Ltd 3,700 110,986 Dainippon Sumitomo Pharma Co., Ltd. 1,000 9,286 Eisai Co., Ltd. 1,600 75,538 Fancl Corp. 400 5,203 Fuji Oil Co., Ltd. 400 2,956 Hisamitsu Pharmaceutical Co., Inc. 400 10,851 Hokuto Corp. 400 6,580 House Foods Corp. 400 6,973 ITO EN LTD. 400 9,738 Japan Tobacco, Inc. 24 131,670 Kagome Co., Ltd. 400 7,130 Kao Corp. 3,000 89,467 Katokichi Co., Ltd. 800 3,659 Kikkoman Corp. 1,000 15,076 Kirin Brewery Co., Ltd. 4,000 52,863 Kyodo Printing Co., Ltd. 3,000 9,207 Kyowa Hakko Kogyo Co., Ltd. 4,000 41,142 Mediceo Paltac Holdings Co., Ltd. 1,300 19,848 Meiji Dairies Corp. 2,000 11,285 Meitec Corp. 400 11,720 Mikuni Coca-Cola Bottling Co., Ltd. 400 4,466 Mitsui Sugar Co., Ltd. 4,000 14,120 Nichii Gakkan Co.(a) 400 6,893 Nihon Kohden Corp. 400 7,338 Nippon Meat Packers, Inc. 2,000 22,188 Nippon Parking Development Co., Ltd. 101 5,445 Nippon Suisan Kaisha Ltd. 1,200 6,333 Nissha Printing Co., Ltd. 200 5,808 Nisshin Seifun Group, Inc. 2,000 18,798 Nissin Food Products Co., Ltd. 400 14,259 Nosan Corp. 4,000 10,399 Paramount Bed Co., Ltd. 400 5,363 Paris Miki, Inc.(a) 400 5,425 QP Corp. 800 7,310 Sakata Seed Corp.(a) 400 5,380 Secom Co., Ltd. 800 38,465 Seikagaku Corp. 400 4,612 Shimadzu Corp. 2,000 20,450 Shionogi & Co., Ltd. 1,000 15,398 Shiseido Co., Ltd. 2,000 44,342 Sohgo Security Services Co., Ltd. 400 6,490 Starzen Co., Ltd. 1,000 2,278 Suzuken Co., Ltd. 400 13,459 T. Hasegawa Co., Ltd. 400 7,529 Taisho Pharmaceutical Co., Ltd. 1,000 19,650 Takeda Pharmaceutical Co., Ltd. 5,000 351,259 Tanabe Seiyaku Co., Ltd. 1,000 12,607 Terumo Corp. 400 20,171 TIS, Inc. 400 7,790 Toho Pharmaceutical Co., Ltd. 400 6,869 Tokyu Store Chain Co., Ltd. 1,000 4,321 Topcon Corp. 400 7,130 Toppan Forms Co., Ltd. 800 8,062 Toppan Printing Co., Ltd. 4,000 41,142 Uni-Charm Corp. 400 24,519 Valor Co., Ltd. 400 4,333 Yakult Honsha Co., Ltd. 400 9,094 Zenrin Co., Ltd. 400 10,016 --------- Total Japan 1,806,808 ------------------------------------------------------------------------- Netherlands - 7.6% CSM N.V. 995 33,282 Heineken Holding N.V. 1,317 75,293 Heineken N.V. 2,292 150,005 Koninklijke Wessanen N.V. 1,509 22,168 Nutreco Holding N.V. 160 11,279 Randstad Holdings N.V. 635 34,235 Unilever N.V. 26,381 810,759 Unilever N.V. CVA 20,498 631,125 USG People N.V. 563 16,005 Vedior N.V. 983 21,571 --------- Total Netherlands 1,805,722 ------------------------------------------------------------------------- New Zealand - 0.2% Fisher & Paykel Healthcare Corp. 6,909 17,227 PGG Wrightson Ltd. 6,713 9,790 Port of Tauranga Ltd. 2,751 13,927 Ryman Healthcare Ltd. 3,715 5,839 --------- Total New Zealand 46,783 ------------------------------------------------------------------------- Norway - 0.7% Orkla ASA 9,600 170,497 ------------------------------------------------------------------------- Portugal - 0.4% Brisa-Auto Estradas de Portugal S.A. 6,467 84,613 ------------------------------------------------------------------------- Singapore - 0.7% China Merchants Holdings Pacific Ltd. 12,000 6,710 Fraser and Neave Ltd. 16,000 61,437 OSIM International Ltd. 1,000 404 Parkway Holdings Ltd. 12,000 34,275 Raffles Education Corp., Ltd. 8,000 12,341 SIA Engineering Co., Ltd. 8,000 26,407 Singapore Airport Terminal Services Ltd. 16,000 29,533 Singapore Food Industries Ltd. 12,000 6,548 --------- Total Singapore 177,655 ------------------------------------------------------------------------- Spain - 1.8% Abertis Infraestructuras S.A. 5,357 167,073 Altadis, S.A. 2,536 177,948 Campofrio Alimentacion S.A. 765 13,599 Cintra Concesiones de Infraestructuras de Transporte, S.A. 1,365 20,732 See Notes to Financial Statements. 24 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) (concluded) WisdomTree International Consumer Non-Cyclical Sector Fund September 30, 2007 ------------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------------ Ebro Puleva S.A. 1,189 $ 24,316 Europistas, Concesionaria Espanola, S.A. 1,121 10,936 FAES FARMA, S.A. 560 9,931 Prosegur Cia de Seguridad S.A. 384 13,926 ----------- Total Spain 438,461 ------------------------------------------------------------------------------------ Sweden - 0.7% Axfood AB 1,000 33,622 Getinge AB Class B 1,600 38,584 Q-Med AB 400 5,720 Securitas AB Class B 3,200 42,046 Swedish Match AB 2,400 49,714 ----------- Total Sweden 169,686 ------------------------------------------------------------------------------------ Switzerland - 11.9% Adecco S.A. 911 53,691 Nestle S.A. 2,719 1,217,290 Novartis AG 16,616 913,866 Roche Holding AG 3,369 608,796 SGS S.A. 36 40,986 ----------- Total Switzerland 2,834,629 ------------------------------------------------------------------------------------ United Kingdom - 37.0% Accident Exchange Group PLC 7,152 20,254 Aggreko PLC 2,610 30,735 Associated British Foods PLC 4,982 81,251 AstraZeneca PLC 19,773 986,567 Atkins WS PLC 663 15,426 Babcock International Group PLC 1,233 12,811 Bespak PLC 213 2,853 British American Tobacco PLC 29,136 1,039,990 Bunzl PLC 3,752 53,547 Cadbury Schweppes PLC 19,779 228,482 Capita Group PLC 4,087 60,285 communisis PLC 3,560 5,258 Davis Service Group PLC 2,851 31,104 Dawson Holdings PLC 5,390 11,421 De La Rue PLC 2,281 33,925 Dechra Pharmaceuticals PLC 512 3,635 Diageo PLC 33,988 743,695 Genus PLC 376 5,121 GlaxoSmithKline PLC 83,657 2,210,588 Greene King PLC 1,245 22,372 Hays PLC 12,848 34,814 Hikma Pharmaceuticals PLC 888 7,599 Homeserve PLC 336 11,843 Imperial Tobacco Group PLC 8,616 393,380 Inspace PLC 358 1,050 Interserve PLC 1,736 16,818 Intertek Group PLC 939 18,117 ITE Group PLC 3,110 10,898 J. Sainsbury PLC 13,799 162,355 Michael Page International PLC 1,609 13,522 Premier Foods PLC 14,535 66,037 Rank Group PLC 13,043 42,982 Reckitt Benckiser PLC 5,628 329,309 Rentokil Initial PLC 35,267 119,920 RPS Group PLC 1,879 12,968 SABMiller PLC 12,616 357,788 Scottish & Newcastle PLC 16,162 201,352 Serco Group PLC 1,820 15,388 Shire PLC 955 23,367 Smith & Nephew PLC 5,077 61,803 St. Ives Group PLC 3,341 13,954 Tate & Lyle PLC 7,300 59,862 Tesco PLC 68,646 614,318 Tribal Group PLC 1,442 4,113 Unilever PLC 17,010 535,424 Wm. Morrison Supermarkets PLC 12,814 73,686 ----------- Total United Kingdom 8,801,987 ------------------------------------------------------------------------------------ TOTAL COMMON STOCKS (Cost: $21,537,407) 23,654,245 ==================================================================================== RIGHTS* - 0.0% Belgium - 0.0% Omega Pharma SA, expiring 10/03/07 (Cost: $0) 270 - ==================================================================================== TOTAL LONG-TERM INVESTMENTS (Cost: $21,537,407) 23,654,245 ==================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 0.2% MONEY MARKETS(b) - 0.2% AIM Liquid Assets Portfolio, 5.11% 8 8 UBS Enhanced Yield Portfolio, 5.38% 2,186 2,186 UBS Private Money Market Fund LLC, 5.21% 52,659 52,659 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $54,853)(c) 54,853 ==================================================================================== TOTAL INVESTMENTS IN SECURITIES - 99.6% (Cost: $21,592,260)(d) 23,709,098 Cash, Foreign Currency and Other Assets in Excess of Liabilities - 0.4% 99,080 ----------- NET ASSETS - 100.0% $23,808,178 ==================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $51,521 and the total market value of the collateral held by the Fund was $54,853. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 25 Schedule of Investments (unaudited) WisdomTree International Energy Sector Fund September 30, 2007 ------------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------------- COMMON STOCKS - 99.4% Australia - 11.9% Caltex Australia Ltd.(a) 51,640 $ 1,075,751 MacArthur Coal Ltd.(a) 13,847 83,327 Origin Energy Ltd. 139,355 1,270,219 Santos Ltd. 101,076 1,346,181 Woodside Petroleum Ltd. 46,193 2,052,101 ----------- Total Australia 5,827,579 ------------------------------------------------------------------------------------- Austria - 2.6% OMV AG 18,979 1,263,987 Schoeller-Bleckmann Oilfield Equipment AG 70 5,943 ----------- Total Austria 1,269,930 ------------------------------------------------------------------------------------- Finland - 2.1% Neste Oil Oyj 28,022 1,022,987 ------------------------------------------------------------------------------------- France - 11.4% Etablissements Maurel et Prom 459 9,778 Technip S.A. 14,539 1,296,424 TOTAL S.A. 53,224 4,315,986 ----------- Total France 5,622,188 ------------------------------------------------------------------------------------- Hong Kong - 6.3% CNOOC Ltd. 1,852,000 3,113,426 ------------------------------------------------------------------------------------- Italy - 11.1% Eni SpA 106,730 3,944,918 Saipem SpA 35,235 1,499,273 ----------- Total Italy 5,444,191 ------------------------------------------------------------------------------------- Japan - 8.6% Cosmo Oil Co., Ltd. 6,000 28,588 Nippon Mining Holdings Inc. 104,500 1,048,498 Nippon Oil Corp. 118,000 1,094,692 Showa Shell Sekiyu K.K. 81,600 1,047,891 TonenGeneral Sekiyu K.K. 100,000 1,004,217 ----------- Total Japan 4,223,886 ------------------------------------------------------------------------------------- Netherlands - 2.2% Fugro N.V. 1,088 88,088 SBM Offshore N.V. 25,793 1,011,309 ----------- Total Netherlands 1,099,397 ------------------------------------------------------------------------------------- New Zealand - 2.0% New Zealand Refining Co., Ltd. (The) 170,717 980,352 ------------------------------------------------------------------------------------- Norway - 8.4% Norsk Hydro ASA 46,250 2,000,207 ProSafe ASA 2,800 49,677 Statoil ASA 61,800 2,094,287 ----------- Total Norway 4,144,171 ------------------------------------------------------------------------------------- Singapore - 0.2% CH Offshore Ltd. 35,000 21,456 KS Energy Services Ltd. 7,000 18,768 Singapore Petroleum Co., Ltd. 8,000 36,647 ----------- Total Singapore 76,871 ------------------------------------------------------------------------------------- Spain - 6.6% Cia Espanola de Petroleos S.A.(a) 14,282 1,433,966 Repsol YPF, S.A. 50,636 1,803,900 ----------- Total Spain 3,237,866 ------------------------------------------------------------------------------------- United Kingdom - 26.0% BG Group PLC 86,389 1,488,998 BP PLC 368,585 4,261,563 Burren Energy PLC 1,074 18,380 Expro International Group PLC 1,387 27,778 John Wood Group PLC 4,898 39,542 Royal Dutch Shell PLC Class A 84,994 3,492,686 Royal Dutch Shell PLC Class B 80,577 3,302,969 Tullow Oil PLC 12,592 152,900 ----------- Total United Kingdom 12,784,816 ------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $43,454,128) 48,847,660 ===================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.4% MONEY MARKET FUNDS(b) - 3.4% UBS Enhanced Yield Portfolio, 5.38% 2,342 2,342 UBS Private Money Market Fund LLC, 5.21% 1,644,396 1,644,396 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $1,646,738)(c) 1,646,738 ===================================================================================== TOTAL INVESTMENTS IN SECURITIES - 102.8% (Cost: $45,100,866)(d) 50,494,398 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (2.8)% (1,356,885) ----------- NET ASSETS - 100.0% $49,137,513 ===================================================================================== (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $1,567,818 and the total market value of the collateral held by the Fund was $1,646,738. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 26 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) WisdomTree International Financial Sector Fund September 30, 2007 ----------------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------------- COMMON STOCKS - 99.1% Australia - 12.9% AMP Ltd. 19,516 $ 182,033 ASX Ltd. 1,270 60,409 Australia & New Zealand Banking Group Ltd. 17,824 468,469 AXA Asia Pacific Holdings Ltd. 6,778 46,786 Cabcharge Australia Ltd. 723 6,411 Challenger Financial Services Group Ltd. 2,663 14,611 Commonwealth Bank of Australia 11,814 589,546 Insurance Australia Group Ltd. 18,558 86,220 IOOF Holdings Ltd. 200 1,752 Lend Lease Corp. Ltd. 3,809 63,708 Macquarie Bank Ltd. 1,960 146,393 MFS Ltd. 1,501 6,230 National Australia Bank Ltd. 13,315 467,907 Peet Ltd. 1,174 3,948 Perpetual Ltd. 359 23,214 Port Bouvard Ltd. 5,020 7,863 QBE Insurance Group Ltd. 4,791 143,305 St. George Bank Ltd. 3,136 98,214 Suncorp-Metway Ltd. 6,562 117,883 Timbercorp Ltd. 1,254 2,097 Westpac Banking Corp. 17,520 441,873 --------- Total Australia 2,978,872 ----------------------------------------------------------------------------------- Austria - 0.6% Bank Austria Creditanstalt AG 571 117,747 Raiffeisen International Bank Holding AG 68 9,912 Wiener Staedtische AG 188 13,101 --------- Total Austria 140,760 ----------------------------------------------------------------------------------- Belgium - 2.9% Dexia N.V. 5,194 156,892 Fortis N.V. 8,202 240,871 KBC Ancora 349 38,982 KBC Groep N.V. 1,701 233,392 --------- Total Belgium 670,137 ----------------------------------------------------------------------------------- Denmark - 0.8% Amagerbanken A/S 50 2,862 Danske Bank A/S 4,100 166,031 Hannover Rueckversicherung AG 59 2,985 Sydbank A/S 50 2,170 TrygVesta A/S 250 19,985 --------- Total Denmark 194,033 ----------------------------------------------------------------------------------- Finland - 0.6% Citycon Oyj 1,006 6,395 OKO Bank PLC Class A 1,250 25,776 Sampo Oyj Class A 3,521 107,209 Technopolis Oyj 486 4,230 --------- Total Finland 143,610 ----------------------------------------------------------------------------------- France - 10.8% AXA S.A. 14,637 653,205 BNP Paribas 6,410 699,561 CNP Assurances S.A. 615 78,462 Credit Agricole S.A. 13,080 503,176 Euler Hermes S.A. 149 19,806 Fonciere Des Regions 263 38,435 Klepierre 840 48,059 SCOR 219 5,852 Societe Generale 2,733 457,391 Societe Immobiliere de Location pour l'Industrie et le Commerce 14 2,347 --------- Total France 2,506,294 ----------------------------------------------------------------------------------- Germany - 5.1% Allianz SE 1,615 376,326 AMB Generali Holding AG 125 19,496 AWD Holding AG 256 8,530 Commerzbank AG 1,749 70,616 Deutsche Bank AG 2,752 353,725 Deutsche Boerse AG 265 35,991 Deutsche Postbank AG 559 40,934 Deutsche Wohnen AG 186 7,970 Hypo Real Estate Holding AG 431 24,444 MLP AG 196 2,609 MPC Munchmeyer Petersen Capital AG 108 9,203 Muenchener Ruckversicherungs Gesellschaft AG 1,245 238,621 --------- Total Germany 1,188,465 ----------------------------------------------------------------------------------- Hong Kong - 5.2% Bank of East Asia Ltd. 9,600 53,878 BOC Hong Kong (Holdings) Ltd. 76,000 192,723 Cheung Kong (Holdings) Ltd. 8,000 132,019 China Overseas Land & Investment Ltd. 16,000 36,537 CITIC International Financial Holdings Ltd. 20,000 16,013 Hang Seng Bank Ltd. 15,500 275,537 Henderson Investment Ltd. 8,000 13,284 Hong Kong Exchanges and Clearing Ltd. 6,500 198,800 Hopewell Holdings Ltd. 4,000 19,102 New World Development Ltd. 12,000 33,210 Shun TAK Holdings Ltd. 8,000 12,893 Sino Land Co. 8,000 19,916 Sun Hung Kai Properties Ltd. 11,000 185,490 --------- Total Hong Kong 1,189,402 ----------------------------------------------------------------------------------- Ireland - 0.9% Anglo Irish Bank Corp. PLC 8,462 156,445 FBD Holdings PLC 88 2,753 Irish Life & Permanent PLC 1,473 32,637 McInerney Holdings PLC 3,475 6,584 --------- Total Ireland 198,419 ----------------------------------------------------------------------------------- Italy - 10.6% Alleanza Assicurazioni SpA 5,030 66,777 Apulia Prontoprestito SpA 2,694 4,318 Assicurazioni Generali SpA 5,418 237,783 Banca Carige SpA 3,230 15,411 Banca CR Firenze 1,959 18,388 Banca Intermobiliare SpA 159 1,639 See Notes to Financial Statements WisdomTree International Dividend Sector Funds 27 Schedule of Investments (unaudited) (continued) WisdomTree International Financial Sector Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- Banca Intesa SpA 116,107 $ 894,134 Banca Italease SpA 885 16,488 Banca Monte dei Paschi di Siena SpA 6,998 42,819 Banca Popolare dell'Etruria e del Lazio 655 11,346 Banca Popolare di Milano S.c.r.l. 1,216 17,916 Banca Popolare di Sondrio Scarl 579 9,881 Banca Profilo SpA 661 1,889 Banche Popolari Unite S.c.r.l. 3,081 82,594 Banco di Desio e della Brianza SpA 854 9,655 Capitalia SpA 12,950 123,393 Credito Artigiano SpA 2,039 11,541 Credito Emiliano SpA 963 13,175 Ergo Previdenza SpA 1,009 5,740 Fondiaria-SAI SpA 671 31,424 Intek SpA 9,772 11,118 Mediobanca SpA(a) 3,749 81,787 Mediolanum SpA(a) 2,555 18,023 Milano Assicurazioni SpA 3,086 25,762 Piccolo Credito Valtellinese Scarl 883 12,532 Premafin Finanziaria SpA 1,701 5,128 Risanamento SpA 651 4,902 Societa Cattolica di Assicurazioni S.c.r.l. 252 15,823 UniCredito Italiano SpA 54,029 461,024 Unipol SpA 10,734 36,408 Vittoria Assicurazioni SpA 64 1,209 Zurich Financial Services AG 494 147,688 --------- Total Italy 2,437,715 ---------------------------------------------------------------------------- Japan - 3.3% Aioi Insurance Co., Ltd. 2,000 11,616 Atrium Co., Ltd. 300 8,242 Bank of Kyoto Ltd. (The) 3,000 36,334 Bank of Yokohama Ltd. (The) 2,000 13,790 Century Leasing System, Inc. 400 4,406 Cosmo Securities Co., Ltd.(a) 4,000 5,912 Daito Trust Construction Co., Ltd. 400 19,267 Eighteenth Bank Ltd. (The) 2,000 8,016 Hiroshima Bank Ltd. (The) 4,000 21,806 Hokuhoku Financial Group, Inc. 4,000 11,303 Hyakujushi Bank Ltd. (The) 3,000 14,737 Iwai Securities Co., Ltd. 700 8,113 Jafco Co., Ltd. 400 14,815 Leopalace21 Corp. 400 13,111 Millea Holdings, Inc. 1,100 44,186 Mitsubishi UFJ Financial Group, Inc. 3,060 26,765 Mitsui Sumitomo Insurance Co., Ltd. 3,000 35,187 Mizuho Investors Securities Co., Ltd.(a) 11,000 19,128 Mizuho Trust & Banking Co., Ltd. 4,000 6,782 Nikko Cordial Corp. 4,500 56,458 Nishi-Nippon City Bank Ltd. (The) 5,000 14,042 Oita Bank Ltd. (The) 6,000 33,648 Okasan Holdings, Inc. 3,000 17,398 OMC Card, Inc. 1,900 7,533 Resona Holdings, Inc. 28 47,959 SFCG Co., Ltd. 110 15,388 Shinko Securities Co., Ltd. 2,000 9,251 Shinsei Bank Ltd. 11,000 34,622 Sompo Japan Insurance, Inc. 1,000 11,459 Sumitomo Mitsui Financial Group, Inc. 6 46,690 Sumitomo Real Estate Sales Co., Ltd. 40 3,102 Suruga Bank Ltd. 2,832 34,546 T&D Holdings, Inc. 450 27,662 Takagi Securities Co., Ltd. 3,000 9,781 Tokai Tokyo Securities Co., Ltd. 4,000 20,345 Tokyo Leasing Co., Ltd. 400 3,843 Tokyu Land Corp. 3,000 30,074 Toyo Securities Co., Ltd. 2,000 7,043 Urban Corp. 400 6,479 Yamaguchi Financial Group, Inc. 1,000 10,433 --------- Total Japan 771,272 ---------------------------------------------------------------------------- Netherlands - 5.4% ABN AMRO Holding N.V. 9,686 508,984 AEGON N.V. 8,647 165,153 ING Groep N.V. 13,109 580,355 --------- Total Netherlands 1,254,492 ---------------------------------------------------------------------------- New Zealand - 0.0% Infratil Ltd. 2,564 5,754 ---------------------------------------------------------------------------- Norway - 1.0% ABG Sundal Collier ASA 4,000 10,549 Acta Holding ASA 4,000 17,926 DnB NOR ASA 9,200 140,318 Sparebanken Midt-Norge 600 7,746 Sparebanken Nord-Norge 350 8,553 Sparebanken 1 SR Bank 300 9,129 Storebrand ASA 2,400 37,092 --------- Total Norway 231,313 ---------------------------------------------------------------------------- Portugal - 0.6% Banco BPI, S.A. 2,495 20,935 Banco Comercial Portugues, S.A. Class R 12,516 51,797 Banco Espirito Santo, S.A. 2,421 54,744 --------- Total Portugal 127,476 ---------------------------------------------------------------------------- Singapore - 1.7% Ascott Group Ltd. (The) 8,000 8,784 DBS Group Holdings Ltd. 8,466 123,187 Guocoland Ltd. 4,000 13,742 MCL Land Ltd. 8,000 14,227 Oversea-Chinese Banking Corp. Ltd. 8,000 47,964 Singapore Exchange Ltd. 4,000 34,760 Straits Trading Co., Ltd. 4,000 12,180 United Overseas Bank Ltd. 8,139 121,171 UOB Kay Hian Holdings Ltd. 8,000 11,587 Wing Tai Holdings Ltd. 4,000 10,401 --------- Total Singapore 398,003 ---------------------------------------------------------------------------- See Notes to Financial Statements 28 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) (continued) WisdomTree International Financial Sector Fund September 30, 2007 -------------------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------------------- Spain - 8.0% Banco Bilbao Vizcaya Argentaria, Chile, S.A. 25,988 $ 607,603 Banco Espanol de Credito S.A. 1,025 19,052 Banco Pastor S.A. 204 3,371 Banco Popular Espanol, S.A. 6,092 104,398 Banco Sabadell S.A. (a) 4,728 45,386 Banco Santander Central Hispano S.A. 47,777 926,105 Bankinter, S.A. 1,340 19,266 Corporacion Mapfre S.A. 6,964 31,395 Metrovacesa, S.A. 722 81,888 Montebalito S.A. 121 1,903 ---------- Total Spain 1,840,367 -------------------------------------------------------------------------------------------- Sweden - 2.9% D. Carnegie & Co. AB 800 16,757 Fabege AB 1,600 18,983 Intrum Justitia AB 800 12,397 Investment AB Kinnevik Class B 400 8,378 Kungsleden AB 2,000 25,661 Nordea Bank AB 16,000 277,753 Ratos AB Class B 800 23,496 Skandinaviska Enskilda Banken AB Class A 2,400 77,724 Svenska Handelsbanken AB Class A 3,600 111,299 Swedbank AB Class A 3,200 106,600 ---------- Total Sweden 679,048 -------------------------------------------------------------------------------------------- Switzerland - 3.7% Baloise Holding AG 216 21,781 Bellevue Group AG 31 2,375 Converium Holding AG 156 2,898 Credit Suisse Group 3,996 264,417 Swiss Reinsurance Co. 1,577 139,989 UBS AG 7,573 405,813 Vontobel Holding AG 197 10,059 ---------- Total Switzerland 847,332 -------------------------------------------------------------------------------------------- United Kingdom - 22.1% Aberdeen Asset Management PLC 1,877 6,998 Admiral Group PLC 703 12,890 A & J Mucklow Group PLC 1,032 6,602 Alliance & Leicester PLC 3,525 56,879 Amlin PLC 3,250 21,817 Amvescap PLC 2,623 35,350 Atrium Underwriting PLC 407 3,020 Aviva PLC 15,397 230,876 Barclays PLC 47,585 577,321 Beazley Group PLC 2,324 8,665 Bradford & Bingley PLC 2,755 17,007 Brewin Dolphin Holdings PLC 919 3,440 Brit Insurance Holdings PLC 4,084 28,415 Capital & Regional PLC 192 2,879 Charles Taylor Consulting PLC 354 2,600 Chesnara PLC 3,183 11,397 Close Brothers Group PLC 715 11,843 Davenham Group PLC 1,220 6,947 Dawnay, Day Treveria PLC 4,007 5,699 Development Securities PLC 216 2,368 Domestic & General Group PLC 180 5,083 DTZ Holdings PLC 419 4,031 Erinaceous Group PLC 2,773 3,107 F&C Asset Management PLC 4,268 17,391 Friends Provident PLC 9,483 33,231 Hardy Underwriting Group PLC 1,002 6,752 HBOS PLC 26,035 485,073 Helical Bar PLC 635 5,909 Highway Insurance Holdings PLC 4,146 5,976 HSBC Holdings PLC 81,768 1,506,807 ICAP PLC 1,877 20,153 Intermediate Capital Group PLC 391 12,276 Investec PLC 1,777 18,536 Jardine Lloyd Thompson Group PLC 2,080 15,828 Liontrust Asset Management PLC 156 1,201 Lloyds TSB Group PLC 58,579 647,451 London Scottish Bank PLC 6,116 9,906 London Stock Exchange Group PLC 304 10,176 Man Group PLC 5,797 65,371 McKay Securities PLC 959 6,643 Northern Rock PLC 1,672 6,104 Numis Corp. PLC 168 931 Old Mutual PLC 37,875 123,695 Provident Financial PLC 1,301 23,696 Prudential PLC 11,398 174,511 RAB Capital PLC 2,942 5,784 Resolution PLC 663 9,219 Royal & Sun Alliance Insurance Group 8,178 25,742 Royal Bank of Scotland Group (The) PLC 59,541 636,855 Schroders PLC 823 23,256 Segro PLC 1,014 10,319 St. James's Place PLC 715 5,506 Standard Chartered PLC 3,731 121,622 Terrace Hill Group PLC 1,076 1,907 Unite Group PLC 567 4,173 Warner Estate Holdings PLC 648 6,179 ---------- Total United Kingdom 5,113,413 -------------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $21,980,751) 22,916,177 ============================================================================================ RIGHTS* - 0.0% Austria - 0.0% Raiffeisen International Bank Holding AG, expiring 10/04/07 68 - Italy - 0.0% Capitalia SpA, expiring 10/03/07 12,950 - ---------- TOTAL RIGHTS (Cost: $0) - ============================================================================================ TOTAL LONG-TERM INVESTMENTS (Cost: $21,980,751) 22,916,177 ============================================================================================ See Notes to Financial Statements WisdomTree International Dividend Sector Funds 29 Schedule of Investments (unaudited) (concluded) WisdomTree International Financial Sector Fund September 30, 2007 ----------------------------------------------------------------------------- Investments Shares U.S. $ Value ----------------------------------------------------------------------------- INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 0.6% MONEY MARKET FUNDS(b) - 0.6% UBS Enhanced Yield Portfolio, 5.38% 1,054 $ 1,054 UBS Private Money Market Fund LLC, 5.21% 135,981 135,981 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $137,035)(c) 137,035 ----------------------------------------------------------------------------- TOTAL INVESTMENTS IN SECURITIES - 99.7% (Cost: $22,117,786)(d) 23,053,212 Cash, Foreign Currency and Other Assets in Excess of Liabilities - 0.3% 65,612 ----------- NET ASSETS - 100.0% $23,118,824 ============================================================================= * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $130,055 and the total market value of the collateral held by the Fund was $137,035. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements 30 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) WisdomTree International Health Care Sector Fund September 30, 2007 ---------------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------------- COMMON STOCKS - 99.4% Australia - 8.6% Cochlear Ltd. 4,881 $ 336,744 CSL Ltd. 4,087 388,082 Healthscope Ltd.(a) 48,622 247,842 Primary Health Care Ltd.(a) 14,025 151,171 Ramsay Health Care Ltd.(a) 14,101 133,522 Sigma Pharmaceuticals Ltd.(a) 95,169 123,382 Sonic Healthcare Ltd. 21,237 293,182 Symbion Health Ltd. 66,632 245,888 --------- Total Australia 1,919,813 ---------------------------------------------------------------------------------- Belgium - 1.5% Omega Pharma S.A. 128 11,195 UCB S.A. 5,342 314,369 --------- Total Belgium 325,564 ---------------------------------------------------------------------------------- Denmark - 5.1% Coloplast A/S Class B 1,350 128,011 H. Lundbeck A/S 8,100 219,447 Novo-Nordisk A/S Class B 4,450 535,730 Novozymes A/S Class B 2,000 250,699 --------- Total Denmark 1,133,887 ---------------------------------------------------------------------------------- Finland - 1.2% Orion Oyj Class B 10,258 259,965 ---------------------------------------------------------------------------------- France - 10.7% BioMerieux 1,359 142,034 Cie Generale D'Optique Essilor International S.A. 5,978 374,071 Ipsen 3,431 197,372 Sanofi-Aventis 19,769 1,669,437 --------- Total France 2,382,914 ---------------------------------------------------------------------------------- Germany - 10.4% Bayer Schering Pharma AG 6,271 937,759 Celesio AG 3,373 212,311 Fresenius AG 3,347 251,896 Fresenius Medical Care AG & Co. KGaA 7,191 381,147 Merck KGaA 1,844 221,859 Rhoen-Klinikum AG 5,760 183,901 Stada Arzneimittel AG 2,229 144,963 --------- Total Germany 2,333,836 ---------------------------------------------------------------------------------- Ireland - 0.1% United Drug PLC 3,277 15,172 ---------------------------------------------------------------------------------- Italy - 2.6% Luxottica Group SpA 9,623 326,669 Recordati SpA 26,604 250,845 --------- Total Italy 577,514 ---------------------------------------------------------------------------------- Japan - 20.1% Alfresa Holdings Corp. 400 25,492 Astellas Pharma, Inc. 9,200 440,743 Chugai Pharmaceutical Co., Ltd. 15,200 250,701 Daiichi Sankyo Co., Ltd 13,100 392,949 Dainippon Sumitomo Pharma Co., Ltd. 16,000 148,572 Eisai Co., Ltd. 7,200 339,921 Hisamitsu Pharmaceutical Co., Inc. 4,800 130,209 Hogy Medical Co., Ltd. 100 4,704 Kaken Pharmaceutical Co., Ltd. 2,000 14,485 Kobayashi Pharmaceutical Co., Ltd. 400 14,189 Kyowa Hakko Kogyo Co., Ltd. 22,000 226,284 Mediceo Paltac Holdings Co., Ltd. 12,200 186,264 Miraca Holdings, Inc. 400 9,060 Mochida Pharmaceutical Co., Ltd. 1,000 9,468 Nihon Kohden Corp. 800 14,676 Nipro Corp. 7,000 138,156 Paramount Bed Co., Ltd. 800 10,726 Paris Miki, Inc.(a) 10,800 146,485 Seikagaku Corp. 800 9,223 Shimadzu Corp. 3,000 30,674 Shionogi & Co., Ltd. 11,000 169,378 SSP Co., Ltd. 3,000 13,929 Suzuken Co., Ltd. 4,000 134,591 Sysmex Corp. 300 11,555 Taisho Pharmaceutical Co., Ltd. 12,000 235,795 Takeda Pharmaceutical Co., Ltd. 12,600 885,172 Tanabe Seiyaku Co., Ltd. 16,000 201,713 Terumo Corp. 5,200 262,227 Toho Pharmaceutical Co., Ltd. 400 6,869 Topcon Corp. 400 7,130 Tsumura & Co. 300 5,334 --------- Total Japan 4,476,674 ---------------------------------------------------------------------------------- Netherlands - 0.5% OPG Groep N.V. 3,601 116,762 ---------------------------------------------------------------------------------- New Zealand - 0.9% Fisher & Paykel Healthcare Corp. 75,683 188,714 Ryman Healthcare Ltd. 10,460 16,439 --------- Total New Zealand 205,153 ---------------------------------------------------------------------------------- Singapore - 1.1% Parkway Holdings Ltd. 87,000 248,496 ---------------------------------------------------------------------------------- Spain - 0.4% FAES FARMA, S.A.(a) 5,864 103,993 ---------------------------------------------------------------------------------- Sweden - 0.2% Getinge AB Class B 400 9,646 Meda AB Class A 900 14,469 Q-Med AB 850 12,154 --------- Total Sweden 36,269 ---------------------------------------------------------------------------------- Switzerland - 15.5% Nobel Biocare Holding AG 757 204,284 Novartis AG 27,375 1,505,602 Phonak Holding AG 1,167 116,680 Roche Holding AG 7,813 1,411,851 Straumann Holding AG 777 217,496 --------- Total Switzerland 3,455,913 ---------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 31 Schedule of Investments (unaudited) (concluded) WisdomTree International Health Care Sector Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- United Kingdom - 20.5% AstraZeneca PLC 31,027 $ 1,548,082 Dechra Pharmaceuticals PLC 1,410 10,011 GlaxoSmithKline PLC 86,830 2,294,432 Shire PLC 9,865 241,382 Smith & Nephew PLC 21,304 259,337 SSL International PLC 25,724 222,737 ----------- Total United Kingdom 4,575,981 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $21,212,532) 22,167,906 ================================================================================ RIGHTS* - 0.0% Belgium - 0.0% Omega Pharma S.A., expiring on 10/03/07 (Cost: $0) 128 - ================================================================================ TOTAL LONG-TERM INVESTMENTS (Cost: $22,212,532) 22,167,906 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 4.1% MONEY MARKET FUNDS(b) - 4.1% UBS Enhanced Yield Portfolio, 5.38% 114,258 114,258 UBS Private Money Market Fund LLC, 5.21% 789,283 789,283 ----------- TOTAL INVETMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $903,541)(c) 903,541 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 103.5% (Cost: $22,116,073)(d) 23,071,447 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (3.5)% (772,340) ----------- NET ASSETS - 100.0% $22,299,107 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $853,809 and the total market value of the collateral held by the Fund was $903,541. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 32 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) WisdomTree International Industrial Sector Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.8% Australia - 9.5% Adelaide Brighton Ltd. 34,778 $ 121,568 Amcor Ltd. 51,819 338,426 Ansell Ltd. 2,877 31,825 Austal Ltd. 16,062 48,186 Boral Ltd. 39,828 253,417 Bradken Ltd.(a) 6,304 59,246 Brickworks Ltd. 3,520 43,299 Campbell Brothers Ltd. 764 19,877 Cardno Ltd. 2,681 18,862 Coffey International Ltd. 4,851 14,682 Crane Group Ltd. 4,319 65,243 CSR Ltd.(a) 85,424 235,104 Devine Ltd. 11,597 13,752 Futuris Corp., Ltd. 39,548 74,546 GUD Holdings Ltd. 6,381 58,445 GWA International Ltd.(a) 24,022 83,120 Hills Industries Ltd.(a) 14,419 74,647 Leighton Holdings Ltd.(a) 9,351 426,171 Macmahon Holdings Ltd. 7,919 11,703 Monadelphous Group Ltd.(a) 3,775 48,440 RCR Tomlinson Ltd. 7,086 16,241 Sedgman Ltd. 19,663 54,464 Sims Group Ltd. 10,105 288,661 Toll Holdings Ltd. 18,731 217,311 Transfield Services Ltd. 7,683 90,020 Transpacific Industries Group Ltd. 1,795 17,950 United Group Ltd.(a) 5,650 92,649 Wesfarmers Ltd.(a) 42,324 1,573,094 WorleyParsons Ltd. 4,186 157,104 --------- Total Australia 4,548,053 -------------------------------------------------------------------------------- Austria - 0.7% Andritz AG 868 59,808 AT&S Austria Technologie & Systemtechnik AG 511 13,248 Flughafen Wien AG 728 74,999 Semperit AG Holding 651 28,562 Wienerberger AG 2,457 153,257 --------- Total Austria 329,874 -------------------------------------------------------------------------------- Belgium - 1.0% Agfa-Gevaert N.V. 5,004 96,072 Barco N.V. 612 52,578 Bekaert S.A. 567 75,806 Euronav N.V. 4,552 142,743 EVS Broadcast Equipment S.A. 413 41,173 Exmar N.V. 1,981 60,571 --------- Total Belgium 468,943 -------------------------------------------------------------------------------- Denmark - 0.9% D/S Norden 650 69,200 Dalhoff Larsen & Horneman A/S Class B 900 16,313 DSV A/S 1,490 35,037 FLSmidth & Co. A/S 700 74,256 NKT Holding A/S 525 58,697 TORM Dampskibsselskabet A/S 4,200 170,681 --------- Total Denmark 424,184 -------------------------------------------------------------------------------- Finland - 2.9% Ahlstrom Oyj 2,944 83,234 Aspo Oyj 5,716 54,546 Huhtamaki Oyj 3,173 48,148 KCI Konecranes Oyj 1,057 42,406 Kone Oyj 1,727 125,627 Lassila & Tikanoja Oyj 1,022 32,891 Metso Oyj 7,129 489,689 Uponor Corp. 3,213 99,475 Wartsila Oyj Class B 4,168 284,817 YIT Oyj 3,523 104,413 --------- Total Finland 1,365,246 -------------------------------------------------------------------------------- France - 15.3% Bacou Dalloz 91 11,321 Bouygues S.A. 10,739 923,832 Cie de Saint-Gobain S.A. 10,443 1,086,981 Ciments Francais 819 143,589 EIFFAGE S.A. 1,683 190,234 Haulotte Group 637 23,961 Imerys S.A. 2,366 215,381 Lafarge S.A. 5,252 811,520 Legrand S.A. 5,914 198,238 Manitou BF S.A. 1,078 58,257 Nexans S.A. 553 90,717 Safran S.A. 4,709 113,379 Schneider Electric S.A. 10,047 1,265,947 Ste Industrielle d'Aviation Latecoere S.A. 1,139 32,883 Thales S.A. 6,346 371,016 Vallourec S.A. 1,099 315,714 VINCI S.A. 17,808 1,387,593 Zodiac S.A. 1,321 94,384 --------- Total France 7,334,947 -------------------------------------------------------------------------------- Germany - 10.5% Bilfinger Berger AG 854 67,163 Demag Cranes AG 768 36,087 Deutsche Post AG 47,628 1,381,775 Elexis AG 614 17,770 Fraport AG Frankfurt Airport Services Worldwide 2,315 159,642 HeidelbergCement AG 1,019 149,265 Heidelberger Druckmaschinen AG 810 35,342 HOCHTIEF AG 1,565 189,337 Indus Holding AG 826 30,542 Koenig & Bauer AG 36 1,293 KRONES AG 441 35,573 Leoni AG 405 24,646 MAN AG 2,854 414,201 MTU Aero Engines Holding AG 271 16,457 See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 33 Schedule of Investments (unaudited) (continued) WisdomTree International Industrial Sector Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- Norddeutsche Affinerie AG 1,974 $ 86,466 Rheinmetall AG 588 46,586 Siemens AG 16,641 2,281,875 Techem AG 960 64,113 --------- Total Germany 5,038,133 ---------------------------------------------------------------------------- Hong Kong - 1.0% Hong Kong Aircraft Engineering Co. Ltd. 2,800 63,398 MTR Corp. 130,500 388,880 Singamas Container Holdings Ltd. 28,000 17,012 --------- Total Hong Kong 469,290 ---------------------------------------------------------------------------- Ireland - 0.9% CRH PLC 10,603 416,785 Kingspan Group PLC 1,500 32,788 --------- Total Ireland 449,573 ---------------------------------------------------------------------------- Italy - 1.3% Astaldi SpA 1,605 12,851 BUZZI UNICEM SpA 4,109 106,587 Caltagirone SpA 1,116 11,665 Cembre SpA 1,883 18,370 Cementir-Cementerie del Tirreno SpA 2,485 25,056 Finmeccanica SpA 8,483 246,469 Gewiss SpA 1,598 12,067 GranitiFiandre SpA 1,167 16,356 I.M.A. Industria Macchine Automatiche SpA 1,437 32,698 Marazzi Group SpA 1,423 17,768 Navigazione Montanari SpA 8,939 42,937 Panariagroup Industrie Ceramiche SpA 2,441 20,690 Premuda SpA 14,973 34,411 SAES Getters SpA 625 23,225 SAVE SpA 157 5,660 --------- Total Italy 626,810 ---------------------------------------------------------------------------- Japan - 17.8% Advantest Corp. 1,200 37,352 Aichi Corp. 4,900 59,687 Alps Electric Co., Ltd. 2,800 33,644 Amada Co., Ltd. 7,000 78,146 Amano Corp. 1,400 16,907 Anritsu Corp. 2,000 8,416 Asahi Glass Co., Ltd. 19,000 255,228 Asahi Organic Chemicals Industry Co., Ltd. 7,000 25,927 Asahi Pretec Corp. 700 22,823 Asunaro Aoki Construction Co., Ltd. 1,500 8,216 Casio Computer Co., Ltd. 2,400 34,347 Chofu Seisakusho Co., Ltd. 700 12,172 CKD Corp. 4,900 45,372 Cleanup Corp. 11,700 81,076 CMK Corp. 4,200 44,916 Cosel Co., Ltd. 700 10,395 Daifuku Co., Ltd. 1,500 17,111 Daiichi Chuo Kisen Kaisha 7,000 68,104 Daiken Corp. 2,000 5,704 Daikin Industries Ltd. 1,400 67,313 Dainippon Screen Manufacturing Co., Ltd. 3,000 18,050 Ebara Corp. 7,000 32,318 Eizo Nanao Corp. 100 3,287 Fanuc Ltd. 4,000 407,252 FUJIFILM Holdings Corp. 3,500 161,588 Furukawa Co., Ltd. (The) 4,000 8,799 Furukawa Electric Co., Ltd. 3,000 14,659 Hakudo Co., Ltd. 1,300 19,610 Hamamatsu Photonics K.K. 700 20,206 Hankyu Hanshin Holdings, Inc. 20,000 102,074 Hitachi Cable Ltd. 7,000 43,333 Hitachi Construction Machinery Co., Ltd. 1,400 55,871 Hitachi Koki Co., Ltd. 800 13,772 Hitachi Ltd. 36,000 239,447 Hitachi Tool Engineering Ltd. 900 11,346 Hoya Corp. 9,500 323,784 Ibiden Co., Ltd. 700 58,853 Icom, Inc. 200 5,721 Idec Corp.(a) 700 8,764 Iino Kaiun Kaisha Ltd. 2,100 29,670 JGC Corp. 4,000 77,033 JS Group Corp. 6,300 109,441 Kaga Electronics Co., Ltd. 700 10,833 Kajima Corp. 14,000 48,081 Kandenko Co., Ltd. 5,000 31,909 Kawasaki Heavy Industries Ltd. 7,000 27,388 Kawasaki Kisen Kaisha Ltd. 14,000 205,347 Keihin Electric Express Railway Co., Ltd. 5,000 32,387 Keio Corp. 7,000 43,577 Kintetsu Corp. 14,000 43,455 Komatsu Ltd. 10,100 338,964 Kubota Corp. 24,000 197,400 Kurita Water Industries Ltd. 1,400 47,472 Kyocera Corp. 2,300 215,372 Mabuchi Motor Co., Ltd. 700 45,585 Maeda Corp. 3,000 11,581 Makita Corp. 1,400 61,349 Marubun Corp. 800 8,987 Maruzen Showa Unyu Co., Ltd. 5,000 17,172 Matsushita Electric Works Ltd. 7,000 84,293 Minebea Co., Ltd. 7,000 47,837 MISUMI Group, Inc. 700 11,868 Mitsubishi Electric Corp. 27,000 338,043 Mitsubishi Heavy Industries Ltd. 47,000 306,890 Mitsui Engineering & Shipbuilding Co., Ltd. 7,000 39,621 Mitsui O.S.K. Lines Ltd. 22,000 355,971 Mitsumi Electric Co., Ltd. 1,400 57,088 Miura Co., Ltd. 700 22,458 Nagoya Railroad Co., Ltd. 7,000 20,450 NEC Corp. 21,000 101,882 See Notes to Financial Statements. 34 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) (continued) WisdomTree International Industrial Sector Fund September 30, 2007 ------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------- NEC Networks & System Integration Corp. 700 $ 7,711 Neturen Co., Ltd. 300 4,113 NGK Insulators Ltd. 1,000 32,170 Nichicon Corp. 1,400 17,747 Nichiha Corp. 800 8,667 Nidec Copal Corp. 1,400 15,909 Nidec Copal Electronics Corp. 1,900 10,738 Nihon Yamamura Glass Co., Ltd. 7,000 16,920 Nikkiso Co., Ltd. 1,000 8,242 Nippon Densetsu Kogyo Co., Ltd. 7,000 50,759 Nippon Koei Co., Ltd. 7,000 19,719 Nippon Sheet Glass Co., Ltd. 7,000 42,725 Nippon Signal Co., Ltd. 1,400 8,703 Nippon Valqua Industries Ltd. 7,000 24,101 Nippon Yusen K.K. 29,000 282,902 Nishimatsu Construction Co., Ltd. 7,000 21,119 Nishi-Nippon Railroad Co., Ltd. 7,000 25,075 Nitto Kogyo Corp. 700 10,773 Nitto Kohki Co., Ltd. 700 16,189 NTN Corp. 7,000 62,383 Obayashi Corp. 7,000 32,378 Odakyu Electric Railway Co., Ltd. 7,000 45,098 OKUMA Corp. 7,000 102,004 Okumura Corp. 7,000 35,604 Onoken Co., Ltd. 4,200 58,172 OSG Corp. 1,400 14,558 PanaHome Corp. 8,000 50,637 Rinnai Corp. 700 20,876 Ryosan Co., Ltd. 700 17,498 Sanshin Electronics Co., Ltd. 3,500 49,267 Sanwa Shutter Corp. 7,000 39,195 Sanyo Denki Co., Ltd. 7,000 37,430 Sato Corp. 1,400 26,110 Sato Shoji Corp. 5,000 39,995 Sekisui Plastics Co., Ltd. 1,000 3,278 Sharp Corp. 16,000 290,049 Shimizu Corp. 14,000 76,077 Shin-Etsu Polymer Co., Ltd. 700 7,602 Shinko Electric Co., Ltd.(a) 2,000 5,756 Shinwa Kaiun Kaisha Ltd. 7,000 72,608 Sodick Co Ltd. 3,400 22,821 Stanley Electric Co., Ltd. 2,100 50,576 Star Micronics Co., Ltd. 700 21,667 Sumida Corp. 1,300 21,758 Sumitomo Electric Industries Ltd. 5,600 89,101 Taihei Dengyo Kaisha Ltd. 1,000 7,338 Taiheiyo Cement Corp. 7,000 26,597 Taikisha Ltd. 1,400 18,904 Taisei Corp. 14,000 40,534 Takuma Co., Ltd. 1,000 5,730 Teikoku Tsushin Kogyo Co., Ltd. 3,000 12,833 THK Co., Ltd. 1,400 29,518 Tobu Railway Co., Ltd. 7,000 32,865 Tocalo Co., Ltd. 700 13,116 Toda Corp. 7,000 36,882 Tokai Rubber Industries, Inc. 1,400 29,396 Tokyo Kikai Seisakusho Ltd.(a) 7,000 20,267 Tokyo Seimitsu Co., Ltd. 600 12,468 Tokyu Construction Co., Ltd. 3,260 16,298 Tokyu Corp. 7,000 45,646 Tori Holdings Co., Ltd 231,000 40,169 Toshiba Corp. 41,000 382,498 Toshiba TEC Corp. 7,000 43,212 Toyo Seikan Kaisha Ltd. 1,400 26,353 Tsukishima Kikai Co., Ltd. 2,000 18,154 Ulvac, Inc. 400 12,937 Union Tool Co. 300 12,937 Ushio Inc. 1,400 25,440 Yamatake Corp. 700 23,432 Yamato Holdings Co., Ltd. 7,000 104,865 Yokogawa Electric Corp. 2,100 25,525 Yurtec Corp. 7,000 40,838 --------- Total Japan 8,492,526 ------------------------------------------------------------------------- Netherlands - 5.1% Aalberts Industries N.V. 1,556 36,999 Arcadis N.V. 280 20,030 Ballast Nedam N.V. 905 41,520 Boskalis Westminster 1,888 94,942 European Aeronautic Defence and Space Co. EADS N.V. 7,367 225,884 Heijmans N.V. 945 43,530 Koninklijke BAM Groep N.V. 3,159 83,966 Koninklijke Philips Electronics N.V. 26,157 1,177,354 Koninklijke Vopak N.V. 1,458 82,940 Smit Internationale N.V. 702 61,109 Stork N.V. 945 61,418 Ten Cate N.V. 609 24,675 TKH Group N.V. 1,216 29,866 TNT N.V. 11,260 470,793 --------- Total Netherlands 2,455,026 ------------------------------------------------------------------------- New Zealand - 1.1% Auckland International Airport Ltd. 76,772 181,568 Fletcher Building Ltd. 28,917 277,272 Freightways Ltd. 9,181 26,361 Mainfreight Ltd. 2,548 12,899 --------- Total New Zealand 498,100 ------------------------------------------------------------------------- Norway - 0.7% Aker Kvaerner ASA 1,400 44,345 BW Gas ASA 8,300 113,657 Camillo Eitzen & Co. ASA 4,500 60,169 Tomra Systems ASA 5,200 37,401 Veidekke ASA 7,000 63,903 --------- Total Norway 319,475 ------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 35 Schedule of Investments (unaudited) (continued) WisdomTree International Industrial Sector Fund September 30, 2007 ------------------------------------------------------------------------------ Investments Shares U.S. $ Value ------------------------------------------------------------------------------ Portugal - 0.3% Mota Engil, SGPS S.A. 5,118 $ 38,940 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 6,568 106,764 --------- Total Portugal 145,704 ------------------------------------------------------------------------------ Singapore - 3.4% ComfortDelgro Corp., Ltd. 91,000 118,926 Cosco Corp (Singapore) Ltd. 21,000 84,173 Hong Leong Asia Ltd. 14,000 36,593 Inter-Roller Engineering Ltd. 7,000 3,961 Jaya Holdings Ltd. 42,000 56,587 Jurong Technologies Industrial Corp., Ltd. 72,000 36,620 Labroy Marine Ltd. 7,000 11,506 NatSteel Ltd. 62,000 70,167 Neptune Orient Lines Ltd. 14,000 49,985 Pan-United Corp., Ltd. 28,000 17,165 Pan-United Marine Ltd. 21,000 33,103 SBS Transit Ltd. 17,500 36,074 SembCorp Industries Ltd. 73,000 317,188 SembCorp Marine Ltd. 98,000 303,681 Singapore Post Ltd. 119,000 97,801 Singapore Technologies Engineering Ltd. 42,000 110,344 SMRT Corp., Ltd. 91,000 104,827 Unisteel Technology Ltd. 8,000 11,587 United Engineers Ltd. 7,000 18,391 Venture Corp., Ltd. 7,000 77,807 WBL Corp., Ltd. 7,000 18,579 --------- Total Singapore 1,615,065 ------------------------------------------------------------------------------ Spain - 5.0% Abengoa S.A. 630 24,916 Acciona, S.A. 1,589 430,943 ACS, Actividades Cons y Servicious, S.A. 8,107 446,186 Cementos Portland Valderrivas S.A. 608 65,974 Duro Felguera S.A. 1,493 17,029 Fomento de Construcciones y Contratas S.A.(a) 6,124 494,250 Gamesa Corp. Tecnologica S.A. 2,443 99,539 Grupo Ferrovial S.A.(a) 2,226 187,885 Obrascon Huarte Lain, S.A. 1,029 38,429 Sacyr Vallehermoso S.A(a) 7,123 248,589 Tubacex S.A. 1,906 18,649 Uralita S.A. 3,198 31,336 Zardoya Otis S.A.(a) 9,473 293,286 --------- Total Spain 2,397,011 ------------------------------------------------------------------------------ Sweden - 8.0% AB Volvo Class B 64,550 1,120,061 Alfa Laval AB 2,800 179,408 Assa Abloy AB Class B 9,800 202,619 Atlas Copco AB Class A 19,600 337,824 Brostrom AB Class B 4,200 45,123 Gunnebo AB 282 3,466 Hexagon AB Class B 4,200 84,889 Hoganas AB Class B 1,400 37,007 JM AB 2,800 67,305 NCC AB Class B 2,100 52,427 Nolato AB Class B 2,800 24,671 Peab AB 4,200 45,285 Peab Industri AB Class B* 2,100 19,477 Rederi AB Transatlantic 2,800 20,343 Saab AB Class B 2,800 66,007 Sandvik AB 38,600 824,921 Seco Tools Class B 2,800 50,641 Skanska AB Class B 16,800 331,764 SKF AB Class B 15,400 323,162 --------- Total Sweden 3,836,400 ------------------------------------------------------------------------------ Switzerland - 3.3% ABB Ltd. 22,876 600,392 Geberit AG 332 43,283 Holcim Ltd. 4,361 480,075 Inficon Holding AG 240 41,109 Kuehne + Nagel International AG 1,661 162,944 Panalpina Welttransport Holding AG 441 73,236 Rieter Holding AG 100 53,929 Schindler Holding AG Participating Shares 1,097 69,114 Sulzer AG 49 70,048 --------- Total Switzerland 1,594,130 ------------------------------------------------------------------------------ United Kingdom - 11.1% Abbot Group PLC 3,649 22,024 Acal PLC 1,871 11,950 Aga Foodservice Group PLC 3,068 26,315 Alfred McAlpine PLC 3,491 34,691 Amec PLC 12,130 183,124 Arriva PLC 8,490 133,620 Avon Rubber PLC 10,049 31,734 BAE SYSTEMS PLC 115,822 1,164,510 Balfour Beatty PLC 10,912 105,489 BBA Aviation PLC 22,872 106,477 British Polythene Industries PLC 2,246 17,320 Business Post Group PLC 3,516 32,163 Carillion PLC 8,175 63,707 Castings PLC 2,100 12,151 Chemring Group PLC 392 14,415 Chloride Group PLC 5,851 21,457 Clarkson PLC 1,295 25,592 Cobham PLC 25,590 101,143 Delta PLC 4,915 13,168 E2V Technologies PLC 1,563 9,123 Electrocomponents PLC 38,240 198,471 Ennstone PLC 11,850 9,657 Fenner PLC 5,739 29,611 Firstgroup PLC 15,527 217,800 Galliford Try PLC 6,430 19,257 Go-Ahead Group PLC 1,759 85,579 See Notes to Financial Statements. 36 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) (concluded) WisdomTree International Industrial Sector Fund September 30, 2007 ------------------------------------------------------------------------------------- Investments Shares U.S. $ Value ------------------------------------------------------------------------------------- Halma PLC 16,001 $ 73,431 Hill & Smith Holdings PLC 2,247 17,797 Hornby PLC 2,289 11,169 IMI PLC 13,831 150,614 James Fisher & Sons PLC 1,230 15,950 Keller Group PLC 1,584 31,771 Laird Group PLC 4,673 51,411 Low & Bonar PLC 15,611 42,857 Marshalls PLC 6,666 39,487 Meggitt PLC 12,270 79,307 MJ Gleeson Group PLC 2,061 14,885 Morgan Sindall PLC 1,146 36,540 National Express Group PLC 4,765 120,088 Photo-Me International PLC 34,887 36,782 Premier Farnell PLC 21,192 68,325 Renishaw PLC 3,739 50,734 Rexam PLC 24,463 274,866 Ricardo PLC 1,927 11,493 ROK PLC 4,058 15,791 Rotork PLC 2,254 46,381 RPC Group PLC 3,684 21,166 Senior PLC 13,287 31,537 Severfield-Rowen PLC 581 24,881 Shanks Group PLC 9,881 44,943 SIG PLC 2,569 54,433 Smiths Group PLC 16,679 363,256 Spectris PLC 3,558 63,645 Spirax-Sarco Engineering PLC 2,212 46,013 Stagecoach Group PLC 26,901 124,548 T. Clarke PLC 8,032 30,969 TDG PLC 6,451 30,524 Titan Europe PLC 2,618 11,868 Tomkins PLC 45,398 210,187 Travis Perkins PLC 3,236 101,794 Ultra Electronics Holdings PLC 1,279 28,872 UMECO PLC 1,486 18,967 Vitec Group (The) PLC 1,458 18,209 VT Group PLC 4,608 53,888 Weir Group (The) PLC 7,128 119,736 Whatman PLC 3,169 12,025 White Young Green PLC 1,514 14,004 WSP Group PLC 1,167 16,821 ----------- Total United Kingdom 5,322,513 ------------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $45,132,748) 47,731,003 ===================================================================================== RIGHTS* - 0.0% Austria - 0.0% Winerberger AG, expiring on 10/08/07 (Cost: $0) 2,457 - ----------- TOTAL LONG-TERM INVESTMENTS (Cost: $45,132,748) 47,731,003 ===================================================================================== INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 6.3% MONEY MARKET FUNDS(b) - 6.3% UBS Enhanced Yield Portfolio, 5.38% 508,404 $ 508,404 UBS Private Money Market Fund LLC, 5.21% 2,510,616 2,510,616 ----------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $3,019,020)(c) 3,019,020 ===================================================================================== TOTAL INVESTMENTS IN SECURITIES - 106.1% (Cost: $48,151,768)(d) 50,750,023 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (6.1)% (2,919,704) ----------- NET ASSETS - 100.0% $47,830,319 ===================================================================================== * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $2,872,182 and the total market value of the collateral held by the Fund was $3,019,020. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 37 Schedule of Investments (unaudited) WisdomTree International Technology Sector Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.6% Australia - 3.7% Bravura Solutions Ltd. 5,231 $ 8,101 Computershare Ltd. 18,896 155,348 HPAL Ltd. 21,907 48,854 IBA Health Ltd. 10,189 8,431 MYOB Ltd. 11,848 13,421 Salmat Ltd. 19,842 82,177 Technology One Ltd. 33,655 32,761 UXC Ltd. 27,653 58,732 --------- Total Australia 407,825 -------------------------------------------------------------------------------- Belgium - 0.7% Econocom Group S.A./N.V. 953 10,260 Melexis N.V. 3,900 71,715 --------- Total Belgium 81,975 -------------------------------------------------------------------------------- Finland - 0.4% Comptel PLC 11,814 32,931 Tekla Oyj 1,086 15,753 --------- Total Finland 48,684 -------------------------------------------------------------------------------- France - 8.3% CapGemini S.A. 5,760 354,040 Dassault Systemes S.A. 3,479 227,691 GFI Informatique 2,327 23,695 Neopost S.A. 1,889 265,743 Oberthur Card Systems S.A. 5,777 51,348 --------- Total France 922,517 -------------------------------------------------------------------------------- Germany - 20.9% SAP AG 36,169 2,111,517 Software AG 838 78,466 Wincor Nixdorf AG 1,554 128,181 --------- Total Germany 2,318,164 -------------------------------------------------------------------------------- Japan - 41.3% Canon Finetech, Inc. 800 13,744 Canon, Inc. 34,700 1,891,657 Capcom Co., Ltd. 2,400 55,297 CSK Holdings Corp. 2,000 78,077 FUJI SOFT, Inc. 200 4,086 Fujitsu Ltd. 34,000 240,038 Hitachi Information Systems Ltd. 1,400 30,005 Hitachi Software Engineering Co., Ltd. 1,600 30,466 Hitachi Systems & Services Ltd. 600 11,738 Information Services International-Dentsu, Ltd. 1,000 10,233 Koei Co., Ltd. 3,000 57,384 Konami Corp. 6,600 179,611 Melco Holdings, Inc. 100 2,026 Mimasu Semiconductor Industry Co., Ltd. 700 15,702 NEC Fielding Ltd. 2,600 30,020 NEC Mobiling Ltd. 1,800 28,593 Nihon Unisys Ltd. 600 7,408 Nomura Research Institute Ltd. 5,600 190,375 NS Solutions Corp. 1,000 27,649 NSD Co., Ltd. 800 12,645 OBIC Business Consultants Ltd. 500 28,909 Obic Co., Ltd. 140 27,120 Oracle Corp. Japan 8,800 401,687 Otsuka Corp. 400 39,195 Ricoh Co., Ltd. 14,000 295,788 Seiko Epson Corp. 4,400 108,838 Shindengen Electric Manufacturing Co., Ltd. 2,000 8,799 Shinkawa Ltd. 500 9,151 Shinko Electric Industries Co., Ltd. 1,300 28,822 Square Enix Co., Ltd. 3,000 99,118 Sumco Corp. 2,400 97,657 Sumisho Computer Systems Corp. 1,600 31,300 TDK Corp. 2,600 227,866 Tokyo Electron Ltd. 3,600 227,866 Trans Cosmos, Inc. 2,500 40,929 --------- Total Japan 4,589,799 -------------------------------------------------------------------------------- Netherlands - 9.1% Exact Holding N.V. 2,544 106,006 ICT Automatisering N.V. 1,789 29,996 OCE N.V. 8,299 173,968 STMicroelectronics N.V. 42,113 706,114 --------- Total Netherlands 1,016,084 -------------------------------------------------------------------------------- Norway - 0.6% EDB Business Partner ASA 3,200 26,203 SuperOffice ASA 5,400 34,458 --------- Total Norway 60,661 -------------------------------------------------------------------------------- Singapore - 0.2% CSE Global Ltd. 30,000 25,868 -------------------------------------------------------------------------------- Spain - 2.4% Indra Sistemas S.A. 9,887 266,733 -------------------------------------------------------------------------------- Sweden - 0.5% Axis Communications AB 800 17,190 HIQ International AB 6,400 40,068 --------- Total Sweden 57,258 -------------------------------------------------------------------------------- United Kingdom - 11.5% Aero Inventory PLC 3,610 42,401 ARM Holdings PLC 26,888 84,362 Domino Printing Sciences PLC 7,626 49,096 LogicaCMG PLC 137,773 424,547 Micro Focus International PLC 8,362 50,811 Misys PLC 39,920 179,741 Morse PLC 20,216 36,656 Northgate Information Solution PLC 3,243 4,675 Phoenix IT Group Ltd. 2,460 19,170 Psion PLC 5,292 12,992 RM PLC 6,613 25,801 Royalblue Group PLC 994 20,049 Sage Group PLC (The) 44,831 227,656 Xansa PLC 38,446 100,847 --------- Total United Kingdom 1,278,804 -------------------------------------------------------------------------------- See Notes to Financial Statements. 38 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) (concluded) WisdomTree International Technology Sector Fund September 30, 2007 --------------------------------------------------------------------------- Investments Shares U.S. $ Value --------------------------------------------------------------------------- TOTAL INVESTMENTS IN SECURITES - 99.6% (Cost: $10,664,330)(a) $11,074,372 Cash, Foreign Currency and Other Assets in Excess of Liabilities - 0.4% 44,719 ----------- NET ASSETS - 100.0% $11,119,091 =========================================================================== (a) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 39 Schedule of Investments (unaudited) WisdomTree International Utilities Sector Fund September 30, 2007 ---------------------------------------------------------------------------- Investments Shares U.S. $ Value ---------------------------------------------------------------------------- COMMON STOCKS - 99.3% Australia - 0.1% AGL Energy Ltd. 1,730 $ 24,296 ---------------------------------------------------------------------------- Austria - 1.0% EVN AG 415 53,412 Verbund (Oesterreichische Elektrizitatswirtschafts-AG) Class A 4,745 272,758 ---------- Total Austria 326,170 ---------------------------------------------------------------------------- Finland - 2.8% Fortum Oyj 24,682 903,512 ---------------------------------------------------------------------------- France - 19.5% Electricite de France 19,649 2,072,034 Gaz de France S.A.(a) 32,976 1,708,919 Suez S.A. 32,854 1,929,672 Veolia Environnement S.A. 8,021 688,872 ---------- Total France 6,399,497 ---------------------------------------------------------------------------- Germany - 12.9% E.ON AG 11,583 2,135,858 MVV Energie AG 1,524 63,915 RWE AG 16,151 2,025,878 ---------- Total Germany 4,225,651 ---------------------------------------------------------------------------- Hong Kong - 5.2% China Power International Development Ltd. 76,000 39,816 China Resources Power Holdings Co. 50,000 155,432 CLP Holdings Ltd. 101,500 702,915 Hong Kong & China Gas Co.(a) 141,600 329,911 HongKong Electric Holdings Ltd. 93,500 486,236 ---------- Total Hong Kong 1,714,310 ---------------------------------------------------------------------------- Italy - 12.6% AcegasAps SpA 3,950 42,159 AEM SpA 67,398 251,606 ASM Brescia SpA 42,005 258,962 Edison SpA 102,670 334,368 Enel SpA 180,747 2,040,971 Hera SpA 50,571 208,207 Iride SpA 15,673 57,507 Snam Rete Gas SpA(a) 90,271 560,053 Terna Rete Elettrica Nazionale SpA 103,297 380,848 ---------- Total Italy 4,134,681 ---------------------------------------------------------------------------- Japan - 9.1% Chubu Electric Power Co., Inc. 17,400 450,072 Chugoku Electric Power Co., Inc. (The) 13,900 282,194 Hokuriku Electric Power Co. 5,100 99,548 Kansai Electric Power Co., Inc. (The) 23,900 545,472 Kyushu Electric Power Co., Inc. 13,400 354,180 Okinawa Electric Power Co., Inc. (The) 500 31,778 Osaka Gas Co., Ltd. 71,000 248,776 Saibu Gas Co., Ltd. 10,000 23,388 Shikoku Electric Power Co., Inc. 9,400 235,787 Toho Gas Co., Ltd. 10,000 49,298 Tohoku Electric Power Co., Inc. 16,200 345,790 Tokyo Gas Co., Ltd. 65,000 302,352 ---------- Total Japan 2,968,635 ---------------------------------------------------------------------------- New Zealand - 1.5% Contact Energy Ltd. 34,910 242,414 TrustPower Ltd. 5,849 37,566 Vector Ltd. 118,192 218,799 ---------- Total New Zealand 498,779 ---------------------------------------------------------------------------- Norway - 0.1% Hafslund ASA Class B 1,000 27,756 ---------------------------------------------------------------------------- Portugal - 1.8% Energias de Portugal S.A. 102,442 597,320 ---------------------------------------------------------------------------- Singapore - 0.1% XP Power Ltd. 4,871 35,776 ---------------------------------------------------------------------------- Spain - 17.2% Enagas 10,385 268,501 Endesa S.A. 33,559 1,913,332 Gas Natural SDG S.A. 12,394 697,994 Iberdrola S.A. 30,112 1,764,339 Red Electrica de Espana, S.A. 5,235 270,624 Sociedad General de Aguas de Barcelona S.A. Class A 5,812 220,276 Union Fenosa S.A. 8,603 507,620 ---------- Total Spain 5,642,686 ---------------------------------------------------------------------------- United Kingdom - 15.4% Centrica PLC 110,549 856,988 International Power PLC 24,675 226,851 National Grid PLC 90,527 1,445,971 Northumbrian Water Group PLC 34,046 236,356 Pennon Group PLC 18,353 226,966 Scottish & Southern Energy PLC 28,846 888,005 Severn Trent PLC 14,548 417,915 United Utilities PLC 53,372 761,163 ---------- Total United Kingdom 5,060,215 ---------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $29,319,532) 32,559,284 ============================================================================ See Notes to Financial Statements. 40 WisdomTree International Dividend Sector Funds Schedule of Investments (unaudited) (concluded) WisdomTree International Utilities Sector Fund September 30, 2007 -------------------------------------------------------------------------------- Investments Shares U.S. $ Value -------------------------------------------------------------------------------- INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 5.0% MONEY MARKET FUNDS(b) - 5.0% UBS Enhanced Yield Portfolio, 5.38% 523,903 $ 523,903 UBS Private Money Market Fund LLC, 5.21% 1,114,117 1,114,117 ---------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $1,638,020)(c) 1,638,020 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 104.3% (Cost: $30,957,552)(d) 34,197,304 Liabilities in Excess of Cash, Foreign Currency and Other Assets - (4.3)% (1,427,589) ---------- NET ASSETS - 100.0% $32,769,715 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2007 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2007. (c) At September 30, 2007, the total market value of the Fund's securities on loan was $1,558,291 and the total market value of the collateral held by the Fund was $1,638,020. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 41 Statements of Assets and Liabilities (unaudited) WisdomTree International Dividend Sector Funds September 30, 2007 -------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International International Basic Materials Communications Sector Fund Sector Fund -------------------------------------------------------------------------------------------------------------- ASSETS: -------------------------------------------------------------------------------------------------------------- Investments, at cost $ 111,438,087 $ 24,253,769 Foreign currency, at cost - 122,905 -------------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 121,448,073 28,491,754 Cash 11,367 11,236 Foreign currency, at value - 126,375 Receivables: Investment securities sold 3,338,034 37,573 Dividends and interest 231,138 19,569 Foreign tax reclaims 3,631 10,882 -------------------------------------------------------------------------------------------------------------- Total Assets 125,032,243 28,697,389 ============================================================================================================== LIABILITIES: Due to foreign custodian 3,081,955 - Payables: Collateral for securities on loan (Note 2) 11,178,057 669,077 Advisory fees (Note 3) 48,688 12,604 Other accrued expenses 369 95 -------------------------------------------------------------------------------------------------------------- Total Liabilities 14,309,069 681,776 ============================================================================================================== NET ASSETS $ 110,723,174 $ 28,015,613 ============================================================================================================== NET ASSETS: Paid-in capital $ 99,070,652 $ 22,705,470 Undistributed net investment income 599,259 807,645 Accumulated net realized gain on investments and foreign currency related transactions 1,037,505 260,032 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 10,015,758 4,242,466 ============================================================================================================== NET ASSETS $ 110,723,174 $ 28,015,613 ============================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 2,800,000 800,000 -------------------------------------------------------------------------------------------------------------- Net asset value per share $ 39.54 $ 35.02 ============================================================================================================== -------------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International WisdomTree International Consumer International Consumer Cyclical Non-Cyclical Energy Sector Fund Sector Fund Sector Fund -------------------------------------------------------------------------------------------------------------------------------- ASSETS: -------------------------------------------------------------------------------------------------------------------------------- Investments, at cost $ 5,316,831 $ 21,592,260 $ 45,100,866 Foreign currency, at cost 22,927 63,830 216,433 -------------------------------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 6,280,613 23,709,098 50,494,398 Cash 3,864 9,330 41,896 Foreign currency, at value 23,296 65,301 219,095 Receivables: Investment securities sold 6,707 - - Dividends and interest 23,966 74,723 46,024 Foreign tax reclaims 411 15,754 5,177 -------------------------------------------------------------------------------------------------------------------------------- Total Assets 6,338,857 23,874,206 50,806,590 ================================================================================================================================ LIABILITIES: Due to foreign custodian - - - Payables: Collateral for securities on loan (Note 2) - 54,853 1,646,738 Advisory fees (Note 3) 2,898 11,091 22,171 Other accrued expenses 22 84 168 -------------------------------------------------------------------------------------------------------------------------------- Total Liabilities 2,920 66,028 1,669,077 ================================================================================================================================ NET ASSETS $ 6,335,937 $ 23,808,178 $ 49,137,513 ================================================================================================================================ NET ASSETS: Paid-in capital $ 5,001,029 $ 20,899,161 $ 42,390,977 Undistributed net investment income 112,210 453,132 567,883 Accumulated net realized gain on investments and foreign currency related transactions 258,097 335,420 779,882 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 964,601 2,120,465 5,398,771 ================================================================================================================================ NET ASSETS $ 6,335,937 $ 23,808,178 $ 49,137,513 ================================================================================================================================ Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 200,000 800,000 1,400,000 -------------------------------------------------------------------------------------------------------------------------------- Net asset value per share $ 31.68 $ 29.76 $ 35.10 ================================================================================================================================ See Notes to Financial Statements. 42 WisdomTree International Dividend Sector Funds Statements of Assets and Liabilities (unaudited) (concluded) WisdomTree International Dividend Sector Funds September 30, 2007 -------------------------------------------------------------------------------- ----------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International International Financial Health Care Sector Fund Sector Fund ----------------------------------------------------------------------------------------------------------- ASSETS: ----------------------------------------------------------------------------------------------------------- Investments, at cost $ 22,117,786 $ 22,116,073 Foreign currency, at cost 50,240 45,625 ----------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 23,053,212 23,071,447 Cash 6,047 14,936 Foreign currency, at value 51,661 47,211 Receivables: Investment securities sold 43,266 - Dividends and interest 98,044 66,099 Foreign tax reclaims 14,246 13,365 ----------------------------------------------------------------------------------------------------------- Total Assets 23,266,476 23,213,058 =========================================================================================================== LIABILITIES: Payables: Collateral for securities on loan (Note 2) 137,035 903,541 Advisory fees (Note 3) 10,537 10,332 Other accrued expenses 80 78 ----------------------------------------------------------------------------------------------------------- Total Liabilities 147,652 913,951 =========================================================================================================== NET ASSETS $ 23,118,824 $ 22,299,107 =========================================================================================================== NET ASSETS: Paid-in capital $ 21,530,574 $ 20,615,472 Undistributed net investment income 523,388 537,803 Accumulated net realized gain (loss) on investments and foreign currency related transactions 123,998 187,858 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 940,864 957,974 =========================================================================================================== NET ASSETS $ 23,118,824 $ 22,299,107 =========================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 800,000 800,000 ----------------------------------------------------------------------------------------------------------- Net asset value per share $ 28.90 $ 27.87 =========================================================================================================== ---------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree WisdomTree International International International Industrial Technology Utilities Sector Fund Sector Fund Sector Fund ---------------------------------------------------------------------------------------------------------------------------- ASSETS: ---------------------------------------------------------------------------------------------------------------------------- Investments, at cost $ 48,151,768 $10,664,330 $ 30,957,552 Foreign currency, at cost 14,828 22,922 29,301 ---------------------------------------------------------------------------------------------------------------------------- Investments in securities, at value (including securities on loan) (Note 2) 50,750,023 11,074,372 34,197,304 Cash 90 4,118 152,205 Foreign currency, at value 15,222 23,375 29,707 Receivables: Investment securities sold - - - Dividends and interest 93,121 21,739 34,140 Foreign tax reclaims 12,969 728 6,771 ---------------------------------------------------------------------------------------------------------------------------- Total Assets 50,871,425 11,124,332 34,420,127 ============================================================================================================================ LIABILITIES: Payables: Collateral for securities on loan (Note 2) 3,019,020 - 1,638,020 Advisory fees (Note 3) 21,920 5,202 12,299 Other accrued expenses 166 39 93 ---------------------------------------------------------------------------------------------------------------------------- Total Liabilities 3,041,106 5,241 1,650,412 ============================================================================================================================ NET ASSETS $ 47,830,319 $11,119,091 $ 32,769,715 ============================================================================================================================ NET ASSETS: Paid-in capital $ 43,884,838 $10,643,933 $ 28,164,012 Undistributed net investment income 531,373 71,390 573,534 Accumulated net realized gain (loss) on investments and foreign currency related transactions 813,536 (6,911) 791,729 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 2,600,572 410,679 3,240,440 ============================================================================================================================ NET ASSETS $ 47,830,319 $11,119,091 $ 32,769,715 ============================================================================================================================ Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 1,400,000 400,000 1,000,000 ---------------------------------------------------------------------------------------------------------------------------- Net asset value per share $ 34.16 $ 27.80 $ 32.77 ============================================================================================================================ See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 43 Statements of Operations (unaudited) WisdomTree International Dividend Sector Funds For the Six Months Ended September 30, 2007 ---------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International International Basic Materials Communications Sector Fund Sector Fund ---------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: Dividends(1) $ 726,626 $ 805,206 Securities lending income (Note 2) 13,105 31,224 ---------------------------------------------------------------------------------------------------------- Total investment income 739,731 836,430 ---------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 190,018 73,096 Service fees (Note 3) 729 188 ---------------------------------------------------------------------------------------------------------- Total expenses 190,747 73,284 ---------------------------------------------------------------------------------------------------------- Net investment income 548,984 763,146 ========================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (616,331) (3,986) In-kind redemptions 1,644,150 259,483 Foreign currency related transactions 7,388 2,387 ---------------------------------------------------------------------------------------------------------- Net realized gain 1,035,207 257,884 ---------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions 8,671,637 3,817,065 Translation of assets and liabilities denominated in foreign currencies 5,189 4,074 ---------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) 8,676,826 3,821,139 ---------------------------------------------------------------------------------------------------------- Net realized and unrealized gain on investments 9,712,033 4,079,023 ========================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $10,261,017 $4,842,169 ========================================================================================================== --------------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International WisdomTree International Consumer International Consumer Cyclical Non-Cyclical Energy Sector Fund Sector Fund Sector Fund --------------------------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: Dividends(1) $ 107,066 $ 371,676 $ 547,048 Securities lending income (Note 2) - 7,885 17,081 --------------------------------------------------------------------------------------------------------------------------- Total investment income 107,066 379,561 564,129 --------------------------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 18,258 67,304 98,258 Service fees (Note 3) 45 168 329 --------------------------------------------------------------------------------------------------------------------------- Total expenses 18,303 67,472 98,587 --------------------------------------------------------------------------------------------------------------------------- Net investment income 88,763 312,089 465,542 =========================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (17,276) (10,899) 7,355 In-kind redemptions 263,281 339,782 760,937 Foreign currency related transactions 4,141 827 3,481 --------------------------------------------------------------------------------------------------------------------------- Net realized gain 250,146 329,710 771,773 --------------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions (92,080) 581,830 4,324,908 Translation of assets and liabilities denominated in foreign currencies 273 1,950 3,417 --------------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) (91,807) 583,780 4,328,325 --------------------------------------------------------------------------------------------------------------------------- Net realized and unrealized gain on investments 158,339 913,490 5,100,098 =========================================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $ 247,102 $1,225,579 $5,565,640 =========================================================================================================================== (1) Net of foreign withholding tax of $42,251, $92,282, $10,504, $34,263 and $49,597, respectively. See Notes to Financial Statements. 44 WisdomTree International Dividend Sector Funds Statements of Operations (unaudited) (concluded) WisdomTree International Dividend Sector Funds For the Six Months Ended September 30, 2007 -------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree International International Financial Health Care Sector Fund Sector Fund -------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: Dividends(1) $ 532,355 $ 447,018 Securities lending income (Note 2) 10,133 34,945 -------------------------------------------------------------------------------------------------------- Total investment income 542,488 481,963 -------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 66,724 63,318 Service fees (Note 3) 162 157 -------------------------------------------------------------------------------------------------------- Total expenses 66,886 63,475 -------------------------------------------------------------------------------------------------------- Net investment income 475,602 418,488 ======================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (90,660) (219,740) In-kind redemptions 163,402 395,500 Foreign currency related transactions 3,220 1,739 -------------------------------------------------------------------------------------------------------- Net realized gain (loss) 75,962 177,499 -------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions 241,438 166,240 Translation of assets and liabilities denominated in foreign currencies 4,752 1,025 -------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation 246,190 167,265 -------------------------------------------------------------------------------------------------------- Net realized and unrealized gain on investments 322,152 344,764 ======================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $ 797,754 $ 763,252 ======================================================================================================== ----------------------------------------------------------------------------------------------------------------------- WisdomTree WisdomTree WisdomTree International International International Industrial Technology Utilities Sector Fund Sector Fund Sector Fund ----------------------------------------------------------------------------------------------------------------------- INVESTMENT INCOME: Dividends(1) $ 548,733 $ 80,677 $ 549,339 Securities lending income (Note 2) 12,652 - 14,577 ----------------------------------------------------------------------------------------------------------------------- Total investment income 561,385 80,677 563,916 ----------------------------------------------------------------------------------------------------------------------- EXPENSES: Advisory fees (Note 3) 116,274 23,551 72,211 Service fees (Note 3) 335 79 183 ----------------------------------------------------------------------------------------------------------------------- Total expenses 116,609 23,630 72,394 ----------------------------------------------------------------------------------------------------------------------- Net investment income 444,776 57,047 491,522 ======================================================================================================================= NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (109,478) (76,391) (16,411) In-kind redemptions 885,015 69,210 805,442 Foreign currency related transactions (1,827) (22) (145) ----------------------------------------------------------------------------------------------------------------------- Net realized gain (loss) 773,710 (7,203) 788,886 ----------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation (depreciation) from: Investment transactions 1,143,401 180,480 1,305,310 Translation of assets and liabilities denominated in foreign currencies 1,796 450 (248) ----------------------------------------------------------------------------------------------------------------------- Net change in unrealized appreciation 1,145,197 180,930 1,305,062 ----------------------------------------------------------------------------------------------------------------------- Net realized and unrealized gain on investments 1,918,907 173,727 2,093,948 ======================================================================================================================= NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $2,363,683 $ 230,774 $2,585,470 ======================================================================================================================= (1) Net of foreign withholding tax of $60,711, $60,365, $58,799, $7,332 and $63,089, respectively. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 45 Statements of Changes in Net Assets WisdomTree International Dividend Sector Funds ----------------------------------------------------------------------------------------- WisdomTree International Basic Materials Sector Fund ----------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, October 13, 2006* 2007 through (unaudited) March 31,2007 ----------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 548,984 $ 50,006 Net realized gain on investments and foreign currency related transactions 1,035,207 2,567 Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies 8,676,826 1,338,932 ----------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 10,261,017 1,391,505 ========================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income - - Capital gains - - ----------------------------------------------------------------------------------------- Total dividends and distributions - - ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 108,581,000 5,014,128 Cost of shares redeemed (14,524,576) - ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions 94,056,424 5,014,128 ========================================================================================= Net Increase in Net Assets 104,317,441 6,405,633 ========================================================================================= NET ASSETS: Beginning of period $ 6,405,733 $ 100 End of period $ 110,723,174 $6,405,733 ========================================================================================= Undistributed net investment income included in net assets at end of period $ 599,259 $ 50,275 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 200,004 - Shares created 3,000,000 200,004 Shares redeemed (400,004) - ----------------------------------------------------------------------------------------- Shares outstanding, end of period 2,800,000 200,004 ========================================================================================= ----------------------------------------------------------------------------------------------------------------------------- WisdomTree International WisdomTree International Communications Sector Fund Consumer Cyclical Sector Fund ----------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, October 13, 2006* September 30, October 13, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: $ 30,725 Net investment income $ 763,146 $ 80,088 $ 88,763 Net realized gain on investments and foreign 8,623 currency related transactions 257,884 2,884 250,146 Net change in unrealized appreciation (depreciation) on investments and translation of assets and liabilities denominated in foreign currencies 3,821,139 421,327 (91,807) 1,056,408 ----------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 4,842,169 504,299 247,102 1,095,756 ============================================================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income - (36,267) - (7,824) Capital gains - (58) - (126) ----------------------------------------------------------------------------------------------------------------------------- Total dividends and distributions - (36,325) - (7,950) ============================================================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 6,332,147 22,705,492 6,514,367 5,001,056 Cost of shares redeemed (6,332,269) - (6,514,494) - ----------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (122) 22,705,492 (127) 5,001,056 ============================================================================================================================= Net Increase in Net Assets 4,842,047 23,173,466 246,975 6,088,862 ============================================================================================================================= NET ASSETS: Beginning of period $ 23,173,566 $ 100 $ 6,088,962 $ 100 End of period $ 28,015,613 $23,173,566 $ 6,335,937 $6,088,962 ============================================================================================================================= Undistributed net investment income included in net assets at end of period $ 807,645 $ 44,499 $ 112,210 $ 23,447 ============================================================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 800,004 - 200,004 - Shares created 200,000 800,004 200,000 200,004 Shares redeemed (200,004) - (200,004) - ----------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 800,000 800,004 200,000 200,004 ============================================================================================================================= * Commencement of investment operations. See Notes to Financial Statements. 46 WisdomTree International Dividend Sector Funds Statements of Changes in Net Assets (continued) WisdomTree International Dividend Sector Funds -------------------------------------------------------------------------------- ----------------------------------------------------------------------------------------- WisdomTree International Consumer Non-Cyclical Sector Fund ----------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, October 13, 2006* 2007 through (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 312,089 $ 152,805 Net realized gain on investments and foreign currency related transactions 329,710 7,308 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 583,780 1,536,685 ----------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 1,225,579 1,696,798 ========================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income - (13,272) Capital gains - (88) ----------------------------------------------------------------------------------------- Total dividends and distributions - (13,360) ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 5,814,900 20,899,179 Cost of shares redeemed (5,815,018) - ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (118) 20,899,179 ========================================================================================= Net Increase in Net Assets 1,225,461 22,582,617 ========================================================================================= NET ASSETS: Beginning of period $ 22,582,717 $ 100 End of period $ 23,808,178 $22,582,717 ========================================================================================= Undistributed net investment income included in net assets at end of period $ 453,132 $ 141,043 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 800,004 - Shares created 200,000 800,004 Shares redeemed (200,004) - ----------------------------------------------------------------------------------------- Shares outstanding, end of period 800,000 800,004 ========================================================================================= ------------------------------------------------------------------------------------------------------------------------------ WisdomTree International WisdomTree International Energy Sector Fund Financial Sector Fund ------------------------------------------------------------------------------------------------------------------------------ For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, October 13, 2006* September 30, October 13, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------------------------------------------ INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 465,542 $ 129,950 $ 475,602 $ 57,944 Net realized gain on investments and foreign currency related transactions 771,773 7,724 75,962 65,963 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 4,328,325 1,070,446 246,190 694,674 ------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from operations 5,565,640 1,208,120 797,754 818,581 ============================================================================================================================== DIVIDENDS AND DISTRIBUTIONS: Net investment income - (27,224) - (10,644) Capital gains - - - (14) ------------------------------------------------------------------------------------------------------------------------------ Total dividends and distributions - (27,224) - (10,658) ============================================================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 27,212,718 21,659,004 5,885,784 27,077,940 Cost of shares redeemed (6,480,845) - (5,885,903) (5,564,774) ------------------------------------------------------------------------------------------------------------------------------ Net increase (decrease) in net assets resulting from capital share transactions 20,731,873 21,659,004 (119) 21,513,166 ============================================================================================================================== Net Increase in Net Assets 26,297,513 22,839,900 797,635 22,321,089 ============================================================================================================================== NET ASSETS: Beginning of period $ 22,840,000 $ 100 $ 22,321,189 $ 100 End of period $ 49,137,513 $22,840,000 $ 23,118,824 $ 22,321,189 ============================================================================================================================== Undistributed net investment income included in net assets at end of period $ 567,883 $ 102,341 $ 523,388 $ 47,786 ============================================================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 800,004 - 800,004 - Shares created 800,000 800,004 200,000 1,000,004 Shares redeemed (200,004) - (200,004) (200,000) ------------------------------------------------------------------------------------------------------------------------------ Shares outstanding, end of period 1,400,000 800,004 800,000 800,004 ============================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 47 Statements of Changes in Net Assets (continued) WisdomTree International Dividend Sector Funds ----------------------------------------------------------------------------------------- WisdomTree International Health Care Sector Fund ----------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, October 13, 2006* 2007 through (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 418,488 $ 131,016 Net realized gain (loss) on investments and foreign currency related transactions 177,499 8,730 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 167,265 790,709 ----------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 763,252 930,455 ========================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income - (10,072) Capital gains - - ----------------------------------------------------------------------------------------- Total dividends and distributions - (10,072) ========================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 5,416,302 20,615,484 Cost of shares redeemed (5,416,414) - ----------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions (112) 20,615,484 ========================================================================================= Net Increase in Net Assets 763,140 21,535,867 ========================================================================================= NET ASSETS: Beginning of period $ 21,535,967 $ 100 End of period $ 22,299,107 $21,535,967 ========================================================================================= Undistributed net investment income included in net assets at end of period $ 537,803 $ 119,315 ========================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 800,004 - Shares created 200,000 800,004 Shares redeemed (200,004) - ----------------------------------------------------------------------------------------- Shares outstanding, end of period 800,000 800,004 ========================================================================================= ----------------------------------------------------------------------------------------------------------------------------- WisdomTree International WisdomTree International Industrial Sector Fund Technology Sector Fund ----------------------------------------------------------------------------------------------------------------------------- For the For the Six Months Ended For the Period Six Months Ended For the Period September 30, October 13, 2006* September 30, October 13, 2006* 2007 through 2007 through (unaudited) March 31, 2007 (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 444,776 $ 90,402 $ 57,047 $ 21,023 Net realized gain (loss) on investments and foreign currency related transactions 773,710 40,739 (7,203) 152 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 1,145,197 1,455,375 180,930 229,749 ----------------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 2,363,683 1,586,516 230,774 250,924 ============================================================================================================================= DIVIDENDS AND DISTRIBUTIONS: Net investment income - (4,624) - (6,540) Capital gains - (94) - - ----------------------------------------------------------------------------------------------------------------------------- Total dividends and distributions - (4,718) - (6,540) ============================================================================================================================= CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 27,471,373 23,327,752 11,130,405 5,001,914 Cost of shares redeemed (6,914,387) - (5,488,486) - ----------------------------------------------------------------------------------------------------------------------------- Net increase (decrease) in net assets resulting from capital share transactions 20,556,986 23,327,752 5,641,919 5,001,914 ============================================================================================================================= Net Increase in Net Assets 22,920,669 24,909,550 5,872,693 5,246,298 ============================================================================================================================= NET ASSETS: Beginning of period $ 24,909,650 $ 100 $ 5,246,398 $ 100 End of period $ 47,830,319 $24,909,650 $ 11,119,091 $5,246,398 ============================================================================================================================= Undistributed net investment income included in net assets at end of period $ 531,373 $ 86,597 $ 71,390 $ 14,343 ============================================================================================================================= SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 800,004 - 200,004 - Shares created 800,000 800,004 400,000 200,004 Shares redeemed (200,004) - (200,004) - ----------------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 1,400,000 800,004 400,000 200,004 ============================================================================================================================= * Commencement of investment operations. See Notes to Financial Statements. 48 WisdomTree International Dividend Sector Funds Statements of Changes in Net Assets (concluded) WisdomTree International Dividend Sector Funds ---------------------------------------------------------------------------------------------------------------------- WisdomTree International Utilities Sector Fund ---------------------------------------------------------------------------------------------------------------------- For the Six Months Ended For the Period September 30, October 13, 2006* 2007 through (unaudited) March 31, 2007 ---------------------------------------------------------------------------------------------------------------------- INCREASE IN NET ASSETS OPERATIONS: Net investment income $ 491,522 $ 110,908 Net realized gain on investments and foreign currency related transactions 788,886 2,515 Net change in unrealized appreciation on investments and translation of assets and 1,305,062 1,935,378 liabilities denominated in foreign currencies ---------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from operations 2,585,470 2,048,801 ====================================================================================================================== DIVIDENDS: Net investment income - (28,568) ---------------------------------------------------------------------------------------------------------------------- Total dividends - (28,568) ====================================================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sale of shares 12,643,550 21,748,118 Cost of shares redeemed (6,227,720) (36) ---------------------------------------------------------------------------------------------------------------------- Net increase in net assets resulting from capital share transactions 6,415,830 21,748,082 ====================================================================================================================== Net Increase in Net Assets 9,001,300 23,768,315 ====================================================================================================================== NET ASSETS: Beginning of period $ 23,768,415 $ 100 End of period $ 32,769,715 $23,768,415 ====================================================================================================================== Undistributed net investment income included in net assets at end of period $ 573,534 $ 82,012 ====================================================================================================================== SHARES CREATED AND REDEEMED: Shares outstanding, beginning of period 800,004 - Shares created 400,000 800,004 Shares redeemed (200,004) - ---------------------------------------------------------------------------------------------------------------------- Shares outstanding, end of period 1,000,000 800,004 ====================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 49 Financial Highlights WisdomTree International Dividend Sector Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------------ For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Basic Materials Sector Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------------ Net asset value, beginning of period $ 32.03 $ 25.46 ------------------------------------------------------------------------------------------------ Investment operations: Net investment income(2) 0.31 0.25 Net realized and unrealized gain 7.20 6.32 ------------------------------------------------------------------------------------------------ Total from investment operations 7.51 6.57 ------------------------------------------------------------------------------------------------ Net asset value, end of period $ 39.54 $ 32.03 =============================================================================================== TOTAL RETURN(3) 23.45% 25.81% ------------------------------------------------------------------------------------------------ RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $110,723 $ 6,406 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.88%(4) Net investment income 1.68%(4) 1.89%(4) ------------------------------------------------------------------------------------------------ Portfolio turnover rate(5) 11% 0%(6) =============================================================================================== ----------------------------------------------------------------------------------------------- For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Communications Sector Fund (unaudited) March 31, 2007 ----------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 28.97 $ 25.38 ----------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.95 0.16 Net realized and unrealized gain 5.10 3.61 ----------------------------------------------------------------------------------------------- Total from investment operations 6.05 3.77 ----------------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income - (0.18) Capital gains - (0.00)(7) ----------------------------------------------------------------------------------------------- Total dividends and distributions to shareholders - (0.18) ----------------------------------------------------------------------------------------------- Net asset value, end of period $ 35.02 $ 28.97 =============================================================================================== TOTAL RETURN(3) 20.88% 14.87% ----------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 28,016 $ 23,174 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.72%(4) Net investment income 6.06%(4) 1.43%(4) ----------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% 0%(6) =============================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount represents less than 1%. (7) Amount is less than $0.005. See Notes to Financial Statements. 50 WisdomTree International Dividend Sector Funds Financial Highlights (continued) WisdomTree International Dividend Sector Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: -------------------------------------------------------------------------------------------------- For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Consumer Cyclical Sector Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 30.44 $ 25.27 -------------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.44 0.15 Net realized and unrealized gain 0.80 5.06 -------------------------------------------------------------------------------------------------- Total from investment operations 1.24 5.21 -------------------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income - (0.04) Capital gains - (0.00)(6) -------------------------------------------------------------------------------------------------- Total dividends and distributions to shareholders - (0.04) -------------------------------------------------------------------------------------------------- Net asset value, end of period $ 31.68 $ 30.44 ================================================================================================== TOTAL RETURN(3) 4.07% 20.63% -------------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 6,336 $ 6,089 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.89%(4) Net investment income 2.82%(4) 1.18%(4) -------------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 12% 3% ================================================================================================== ------------------------------------------------------------------------------------------------------ For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Consumer Non-Cyclical Sector Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------------------ Net asset value, beginning of period $ 28.23 $ 24.89 ------------------------------------------------------------------------------------------------------ Investment operations: Net investment income(2) 0.39 0.25 Net realized and unrealized gain 1.14 3.11 ------------------------------------------------------------------------------------------------------ Total from investment operations 1.53 3.36 ------------------------------------------------------------------------------------------------------ Dividends and distributions to shareholders: Net investment income - (0.02) Capital gains - (0.00)(6) ------------------------------------------------------------------------------------------------------ Total dividends and distributions to shareholders - (0.02) ------------------------------------------------------------------------------------------------------ Net asset value, end of period $ 29.76 $ 28.23 ====================================================================================================== TOTAL RETURN(3) 5.42% 13.49% ------------------------------------------------------------------------------------------------------ RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 23,808 $ 22,583 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.69%(4) Net investment income 2.69%(4) 2.08%(4) ------------------------------------------------------------------------------------------------------ Portfolio turnover rate(5) 2% 2% ====================================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount is less than $0.005. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 51 Financial Highlights (continued) WisdomTree International Dividend Sector Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: --------------------------------------------------------------------------------------- For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Energy Sector Fund (unaudited) March 31, 2007 --------------------------------------------------------------------------------------- Net asset value, beginning of period $ 28.55 $ 25.44 --------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.44 0.22 Net realized and unrealized gain 6.11 2.92 --------------------------------------------------------------------------------------- Total from investment operations 6.55 3.14 --------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.03) --------------------------------------------------------------------------------------- Total dividends to shareholders - (0.03) --------------------------------------------------------------------------------------- Net asset value, end of period $ 35.10 $ 28.55 ======================================================================================= TOTAL RETURN(3) 22.94% 12.36% --------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 49,138 $ 22,840 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.69%(4) Net investment income 2.75%(4) 1.82%(4) --------------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) 1% ======================================================================================= --------------------------------------------------------------------------------------------- For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Financial Sector Fund (unaudited) March 31, 2007 --------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 27.90 $ 25.34 --------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.59 0.19 Net realized and unrealized gain 0.41 2.42 --------------------------------------------------------------------------------------------- Total from investment operations 1.00 2.61 --------------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income - (0.05) Capital gains - (0.00)(7) --------------------------------------------------------------------------------------------- Total dividends and distributions to shareholders - (0.05) --------------------------------------------------------------------------------------------- Net asset value, end of period $ 28.90 $ 27.90 ============================================================================================= TOTAL RETURN(3) 3.58% 10.32% --------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 23,119 $ 22,321 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.86%(4) Net investment income 4.13%(4) 1.98%(4) --------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 8% 5% ============================================================================================= (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount represents less than 1%. (7) Amount is less than $0.005. See Notes to Financial Statements. 52 WisdomTree International Dividend Sector Funds Financial Highlights (continued) WisdomTree International Dividend Sector Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: -------------------------------------------------------------------------------------------- For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Health Care Sector Fund (unaudited) March 31, 2007 -------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 26.92 $ 24.93 -------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.52 0.22 Net realized and unrealized gain 0.43 1.78 -------------------------------------------------------------------------------------------- Total from investment operations 0.95 2.00 -------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.01) -------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.01) -------------------------------------------------------------------------------------------- Net asset value, end of period $ 27.87 $ 26.92 ============================================================================================ TOTAL RETURN(3) 3.53% 8.03% -------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 22,299 $ 21,536 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.69%(4) Net investment income 3.83%(4) 1.81%(4) -------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 2% 3% ============================================================================================ --------------------------------------------------------------------------------------------- For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Industrial Sector Fund (unaudited) March 31, 2007 --------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 31.14 $ 25.39 --------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.38 0.23 Net realized and unrealized gain 2.64 5.54 --------------------------------------------------------------------------------------------- Total from investment operations 3.02 5.77 --------------------------------------------------------------------------------------------- Dividends and distributions to shareholders: Net investment income - (0.02) Capital gains - (0.00)(6) --------------------------------------------------------------------------------------------- Total dividends and distributions to shareholders - (0.02) --------------------------------------------------------------------------------------------- Net asset value, end of period $ 34.16 $ 31.14 ============================================================================================= TOTAL RETURN(3) 9.70% 22.75% --------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 47,830 $ 24,910 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.76%(4) Net investment income 2.22%(4) 1.98%(4) --------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 8% 1% ============================================================================================= (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. (6) Amount is less than $0.005. See Notes to Financial Statements. WisdomTree International Dividend Sector Funds 53 Financial Highlights (concluded) WisdomTree International Dividend Sector Funds September 30, 2007 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ------------------------------------------------------------------------------------------- For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Technology Sector Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------- Net asset value, beginning of period $ 26.23 $ 25.13 ------------------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.20 0.11 Net realized and unrealized gain 1.37 1.02 ------------------------------------------------------------------------------------------- Total from investment operations 1.57 1.13 ------------------------------------------------------------------------------------------- Dividends to shareholders: Net investment income - (0.03) ------------------------------------------------------------------------------------------- Total dividends to shareholders - (0.03) ------------------------------------------------------------------------------------------- Net asset value, end of period $ 27.80 $ 26.23 =========================================================================================== TOTAL RETURN(3) 5.99% 4.51% ------------------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 11,119 $ 5,246 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.91%(4) Net investment income 1.40%(4) 0.87%(4) ------------------------------------------------------------------------------------------- Portfolio turnover rate(5) 6% 2% =========================================================================================== ------------------------------------------------------------------------------------------ For the For the Period Six Months Ended October 13, 2006(1) September 30, 2007 through WisdomTree International Utilities Sector Fund (unaudited) March 31, 2007 ------------------------------------------------------------------------------------------ Net asset value, beginning of period $ 29.71 $ 24.96 ------------------------------------------------------------------------------------------ Investment operations: Net investment income(2) 0.59 0.18 Net realized and unrealized gain 2.47 4.61 ------------------------------------------------------------------------------------------ Total from investment operations 3.06 4.79 ------------------------------------------------------------------------------------------ Dividends to shareholders: Net investment income - (0.04) ------------------------------------------------------------------------------------------ Total dividends to shareholders - (0.04) ------------------------------------------------------------------------------------------ Net asset value, end of period $ 32.77 $ 29.71 ========================================================================================== TOTAL RETURN(3) 10.30% 19.18% ------------------------------------------------------------------------------------------ RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 32,770 $ 23,768 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) 0.58%(4) Expenses, prior to expense reimbursements 0.58%(4) 0.68%(4) Net investment income 3.95%(4) 1.38%(4) ------------------------------------------------------------------------------------------ Portfolio turnover rate(5) 11% 1% ========================================================================================== (1) Commencement of investment operations. (2) Based on average shares outstanding. (3) Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period and redemption on the last day of the period. Total return calculated for a period of less than one year is not annualized. The total return would have been lower if certain expenses had not been reimbursed by the investment advisor (Note 3). (4) Annualized. (5) Portfolio turnover rate is not annualized and excludes the value of portfolio securities received or delivered as a result of in-kind creations or redemptions of the Fund's capital shares. See Notes to Financial Statements. 54 WisdomTree International Dividend Sector Funds Notes to Financial Statements (unaudited) 1. ORGANIZATION WisdomTree Trust (the "Trust") is registered under the Investment Company Act of 1940, as amended (the "1940 Act"), as an open-end management investment company. The Trust was established as a Delaware statutory trust pursuant to a Trust Instrument dated December 15, 2005. As of September 30, 2007, the Trust offered 38 investment funds (each a "Fund", collectively, the "Funds"). Each Fund is considered to be non-diversified. The Funds commenced operations on June 16, 2006, with the exception of the international dividend sector funds, domestic earnings funds, International Real Estate Fund and Emerging Markets High-Yielding Equity Fund that commenced operations on October 13, 2006, February 23, 2007, June 5, 2007 and July 13, 2007, respectively. These financial statements relate only to the WisdomTree International Basic Materials Sector Fund ("International Basic Materials Sector Fund"), WisdomTree International Communications Sector Fund ("International Communications Sector Fund"), WisdomTree International Consumer Cyclical Sector Fund ("International Consumer Cyclical Sector Fund"), WisdomTree International Consumer Non-Cyclical Sector Fund ("International Consumer Non-Cyclical Sector Fund"), WisdomTree International Energy Sector Fund ("International Energy Sector Fund"), WisdomTree International Financial Sector Fund ("International Financial Sector Fund"), WisdomTree International Health Care Sector Fund ("International Health Care Sector Fund"), WisdomTree International Industrial Sector Fund ("International Industrial Sector Fund"), WisdomTree International Technology Sector Fund ("International Technology Sector Fund") and WisdomTree International Utilities Sector Fund ("International Utilities Sector Fund"), together the "International Dividend Sector Funds." Each Fund seeks investment returns that closely correspond to the price and yield performance, before fees and expenses, of a particular index ("Index") developed by WisdomTree Investments, Inc. ("Wisdom Tree Investments"). Each Index consists of dividend paying securities in the market suggested by its name that meet specific criteria developed by WisdomTree Investments. "WisdomTree" and "WisdomTree Investments" are service marks of WisdomTree Investments licensed for use by the Trust. WisdomTree Investments has patent applications pending on the methodology and operation of its Indexes and the Funds. In the normal course of business the Funds may enter into contracts that contain a variety of representations or that provide indemnification for certain liabilities. The Funds' maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, the Funds have not had prior claims or losses pursuant to these contracts and expect the risk of loss to be remote. The preparation of financial statements in conformity with U.S. Generally Accepted Accounting Principles ("U.S. GAAP"), requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in the net assets from operations during the reporting period. Actual results could differ from those estimates. 2. SIGNIFICANT ACCOUNTING POLICIES (a) Investment Valuation - The Net Asset Value ("NAV") of each Fund's shares is calculated each day the national securities exchanges are open for trading as of the close of regular trading on the New York Stock Exchange, generally 4:00 p.m. New York time. NAV per share is calculated by dividing a Fund's net assets by the number of Fund shares outstanding. Securities traded on any recognized U.S. or non-U.S. exchange are valued at the last sale price or official closing price on the exchange or system on which they are principally traded. Events occurring after the close of trading on non-U.S. exchanges may result in adjustments to the valuation of foreign securities to more accurately reflect their fair value as of the close of regular trading on the New York Stock Exchange. The Fund may rely on an independent fair valuation service in adjusting the valuations of foreign securities. Unlisted equity securities are valued at the last quoted sale price or, if no sale price is available, at the mean between the most recently quoted bid and asked prices. Securities for which market quotations are not readily available are valued at fair value as determined by management and in accordance with procedures approved by the Board of Trustees. Short-term securities with 60 days or less remaining to maturity are valued using the amortized cost method, which approximates current market value. (b) Investment Transactions - Investment transactions are recorded as of the date that the securities are purchased or sold (trade date). Realized gains and losses on sales of portfolio securities are calculated using the identified-cost method. (c) Foreign Currency Translation - The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies, as well as investment securities and other assets and liabilities denominated in foreign currencies, are translated into U.S. dollars using exchange rates deemed appropriate by the investment adviser. Realized and unrealized foreign exchange gains or losses on investments are included as a component of net realized and unrealized gain or loss on foreign currency transactions in the Statements of Operations. Certain foreign exchange gains and losses included in realized and unrealized gains or losses are included in, or are a reduction of, ordinary income in accordance with U.S. Federal income tax regulations. WisdomTree International Dividend Sector Funds 55 Notes to Financial Statements (unaudited) (continued) (d) Investment Income - Dividend income is recognized on the ex-dividend date, net of any foreign taxes withheld. Interest income is accrued daily. The value of additional securities received as dividend payments is recorded as income and as an increase to the cost basis of such securities. (e) Expenses/Reimbursements - WisdomTree Asset Management ("WTAM") has agreed to pay all expenses of the Trust, except for: (i) brokerage expenses and other expenses (such as stamp taxes) connected with the execution of portfolio transactions or in connection with creation and redemption transactions; (ii) legal fees or expenses in connection with any arbitration, litigation or pending or threatened arbitration or litigation, including any settlements in connection therewith; (iii) compensation and expenses of each Independent Trustee; (iv) compensation and expenses of counsel to the Independent Trustees; (v) compensation and expenses of the Trust's chief compliance officer; (vi) extraordinary expenses; (vii) distribution fees and expenses paid by the Trust under any distribution plan adopted pursuant to Rule 12b-1 under the 1940 Act; and (viii) the advisory fee payable to WTAM. Pursuant to a separate contractual arrangement, WTAM has paid the expenses described in (iii), (iv) and (v) through July 31, 2007. (f) Security Lending - Each Fund may lend portfolio securities to certain creditworthy borrowers, including the Funds' securities lending agent. The loans are collateralized at all times by cash and/or high grade debt obligations in an amount at least equal to 102% of the market value of domestic securities loaned (105% in the case of foreign securities loaned) as determined at the close of business on the preceding business day. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash or U.S. government securities held as collateral, net of fee rebates paid to the borrower plus reasonable administrative and custody fees. The dividend and interest income earned on the securities loaned is accounted for in the same manner as other dividend and interest income. The borrower pays to the Funds an amount equal to any dividends or interest received on loaned securities. The Funds retain all or a portion of the interest received on investment of cash collateral or receives a fee from the borrower. Lending portfolio securities could result in a loss or delay in recovering each Fund's securities if the borrower defaults. The securities lending income earned by the Funds is disclosed on the Statements of Operations. (g) Tax Information and Dividends and Distributions to Shareholders - It is each Fund's policy to comply with all requirements of the Internal Revenue Code of 1986, as amended ("the Code"). Each Fund intends to qualify for and to elect treatment as a separate Regulated Investment Company ("RIC") under Subchapter M of the Code. It is the policy of each Fund to pay out dividends, if any, to investors at least annually. Taxable net realized gains from investment transactions, reduced by capital loss carryforwards, if any, are declared and distributed to shareholders at least annually. The capital loss carryforward amount, if any, is available to offset future net capital gains. The Funds may occasionally be required to make supplemental distributions at some other time during the year. The Trust reserves the right to declare special distributions if, in its reasonable discretion, such action is necessary or advisable to preserve the status of each Fund as a RIC or to avoid imposition of income or excise taxes on undistributed income. Dividends and distributions to shareholders are recorded on the ex-dividend date. The amount of dividends and distributions from net investment income and net realized capital gains are determined in accordance with Federal income tax regulations which may differ from U.S. GAAP. These book/tax differences are either considered temporary or permanent in nature. To the extent these differences are permanent in nature, such amounts are reclassified within the components of net assets based on their federal tax basis treatment; temporary differences do not require reclassification. Dividends and distributions, which exceed earnings and profit for tax purposes, are reported as a tax return of capital. The Funds adopted the provisions of Financial Accounting Standards Board (FASB) Interpretation No. 48, Accounting for Uncertainty in Income Taxes. This interpretation prescribes a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. Foreign taxes are provided for based on each Fund's understanding of the tax rules and rates that exist in the foreign markets in which it invests. Taxes are accrued and applied to net investment income, net realized capital gains and net unrealized appreciation, as applicable, as the income is earned or capital gains are recorded. If applicable, the Funds will recognize interest accrued related to unrecognized tax benefits in interest expense and penalties in "Other" expenses on the Statements of Operations. Management has evaluated the application of FIN 48 to the Funds, and has determined that there is no impact resulting from the adoption of this interpretation on the Funds' financial statements. (h) Short-Term Investments - Each Fund may invest a portion of its assets in high-quality money market instruments on an ongoing basis to provide liquidity or for other reasons. The instruments in which a Fund may invest include short-term obligations issued by the U.S. Government, negotiable certificates of deposit ("CDs"), fixed time deposits and bankers' acceptances of U.S. and foreign banks and similar institutions, commercial papers, repurchase agreements and money market funds. CDs are short-term negotiable obligations of commercial banks. Time deposits are non-negotiable deposits maintained in banking institutions for specified periods of time at stated interest rates. Banker's acceptances are time drafts drawn on commercial banks by borrowers, usually in connection with international transactions. 56 WisdomTree International Dividend Sector Funds Notes to Financial Statements (unaudited) (continued) 3. ADVISER FEES AND TRANSACTIONS Adviser Fees - WTAM provides investment management services to each Fund pursuant to an Investment Advisory Agreement between the Trust and WTAM. As compensation for services rendered, facilities furnished, and expenses borne by WTAM, each Fund pays WTAM a fee, as listed below, which is accrued daily and paid monthly, based on the average daily net assets of the Fund. ------------------------------------------------------------ Fund Fee Rate ------------------------------------------------------------ International Basic Materials Sector Fund 0.58% ------------------------------------------------------------ International Communications Sector Fund 0.58% ------------------------------------------------------------ International Consumer Cyclical Sector Fund 0.58% ------------------------------------------------------------ International Consumer Non-Cyclical Sector Fund 0.58% ------------------------------------------------------------ International Energy Sector Fund 0.58% ------------------------------------------------------------ International Financial Sector Fund 0.58% ------------------------------------------------------------ International Health Care Sector Fund 0.58% ------------------------------------------------------------ International Industrial Sector Fund 0.58% ------------------------------------------------------------ International Technology Sector Fund 0.58% ------------------------------------------------------------ International Utilities Sector Fund 0.58% ------------------------------------------------------------ Each Fund may purchase shares of an affiliated exchange traded fund(s) in secondary market transactions. For the six months ended September 30, 2007, there were no transactions in affiliated ETFs. Pursuant to a separate contractual arrangement, effective August 1, 2007, WTAM has arranged for the provision of chief compliance officer ("CCO") services to the Trust, and is liable and responsible for, and administers, payments to the CCO, the Independent Trustees and counsel to the Independent Trustees, in exchange for a fee paid by each Fund of up to 0.0044% of the Fund's average daily net assets. 4. CAPITAL SHARE TRANSACTIONS As of September 30, 2007, there was an unlimited number of $0.001 par value shares of beneficial interest authorized by the Trust. Shares are issued and redeemed by each Fund only in Creation Units or multiples thereof. Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets. The consideration for the purchase of Creation Units of a Fund generally consists of the in-kind contribution of a designated portfolio of equity securities constituting a portfolio sampling representation of the securities included in the relevant Fund's underlying index and an amount of cash. Investors purchasing and redeeming Creation Units may be charged a purchase transaction fee and a redemption transaction fee to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units. 5. INVESTMENT PORTFOLIO TRANSACTIONS Purchases and sales of investments (excluding in-kind purchases and redemptions and short-term investments) for the six months ended September 30, 2007 were as follows: ------------------------------------------------------------------------------- Fund Purchases Sales ------------------------------------------------------------------------------- International Basic Materials Sector Fund $ 7,550,127 $7,087,809 ------------------------------------------------------------------------------- International Communications Sector Fund 1,838,535 220,631 ------------------------------------------------------------------------------- International Consumer Cyclical Sector Fund 780,062 1,176,761 ------------------------------------------------------------------------------- International Consumer Non-Cyclical Sector Fund 1,105,886 443,212 ------------------------------------------------------------------------------- International Energy Sector Fund 1,154,555 60,752 ------------------------------------------------------------------------------- International Financial Sector Fund 1,749,083 1,938,671 ------------------------------------------------------------------------------- International Health Care Sector Fund 1,041,669 529,331 ------------------------------------------------------------------------------- International Industrial Sector Fund 3,652,257 3,109,817 ------------------------------------------------------------------------------- International Technology Sector Fund 537,617 499,611 ------------------------------------------------------------------------------- International Utilities Sector Fund 3,472,414 2,776,627 ------------------------------------------------------------------------------- WisdomTree International Dividend Sector Funds 57 Notes to Financial Statements (unaudited) (concluded) For the six months ended September 30, 2007, the cost of in-kind purchases and the proceeds from in-kind redemptions were as follows: --------------------------------------------------------------------------------- Fund Purchases Redemptions --------------------------------------------------------------------------------- International Basic Materials Sector Fund $ 101,196,137 $7,431,283 --------------------------------------------------------------------------------- International Communications Sector Fund 2,238,942 3,230,050 --------------------------------------------------------------------------------- International Consumer Cyclical Sector Fund 1,156,230 691,712 --------------------------------------------------------------------------------- International Consumer Non-Cyclical Sector Fund 2,008,667 2,339,692 --------------------------------------------------------------------------------- International Energy Sector Fund 22,763,137 2,796,691 --------------------------------------------------------------------------------- International Financial Sector Fund 1,890,442 1,338,958 --------------------------------------------------------------------------------- International Health Care Sector Fund 2,546,593 2,664,438 --------------------------------------------------------------------------------- International Industrial Sector Fund 25,370,370 4,866,118 --------------------------------------------------------------------------------- International Technology Sector Fund 6,180,110 528,805 --------------------------------------------------------------------------------- International Utilities Sector Fund 10,229,809 4,108,436 --------------------------------------------------------------------------------- Gains and losses on in-kind redemptions are not recognized at the Fund level for tax purposes. 6. FEDERAL INCOME TAXES At September 30, 2007, the cost of investments (including securities on loan) for Federal income tax purposes was substantially the same as for book purposes, as indicated below: ----------------------------------------------------------------------------------------------------------------------- Gross Unrealized Gross Unrealized Net Unrealized Fund Tax Cost Appreciation Depreciation Appreciation ----------------------------------------------------------------------------------------------------------------------- International Basic Materials Sector Fund $11,438,087 $11,346,620 $ (1,336,634) $10,009,986 ----------------------------------------------------------------------------------------------------------------------- International Communications Sector Fund 24,253,769 4,632,963 (394,978) 4,237,985 ----------------------------------------------------------------------------------------------------------------------- International Consumer Cyclical Sector Fund 5,316,831 1,158,160 (194,378) 963,782 ----------------------------------------------------------------------------------------------------------------------- International Consumer Non-Cyclical Sector Fund 21,592,260 2,702,250 (585,412) 2,116,838 ----------------------------------------------------------------------------------------------------------------------- International Energy Sector Fund 45,100,866 5,631,114 (237,582) 5,393,532 ----------------------------------------------------------------------------------------------------------------------- International Financial Sector Fund 22,117,786 1,722,912 (787,486) 935,426 ----------------------------------------------------------------------------------------------------------------------- International Health Care Sector Fund 22,116,073 1,864,288 (908,914) 955,374 ----------------------------------------------------------------------------------------------------------------------- International Industrial Sector Fund 48,151,768 4,334,174 (1,735,919) 2,598,255 ----------------------------------------------------------------------------------------------------------------------- International Technology Sector Fund 10,664,330 736,199 (326,157) 410,042 ----------------------------------------------------------------------------------------------------------------------- International Utilities Sector Fund 30,957,552 3,425,914 (186,162) 3,239,752 ----------------------------------------------------------------------------------------------------------------------- 7. NEW ACCOUNTING PRONOUNCEMENTS On September 15, 2006, the FASB released Statement of Financial Accounting Standards No. 157, Fair Value Measurements ("FAS 157") which provides enhanced guidance for measuring fair value. The standard requires companies to provide expanded information about the assets and liabilities measured at fair value and the potential effect of these fair valuations on an entity's financial performance. The standard does not expand the use of fair value in any new circumstances, but provides clarification on acceptable fair valuation methods and applications. Adoption of FAS 157 is required for fiscal years beginning after November 15, 2007 and interim periods within those fiscal years. At this time, management does not believe the adoption of FAS 157 will impact the amounts reported in the financial statements; however, additional disclosures will be required about the inputs used to develop the measurements of fair value and the effect of certain measurements reported in the Statements of Operations for the fiscal period. 8. SUBSEQUENT EVENT Effective October 30, 2007, the Trust launched the WisdomTree Emerging Markets SmallCap Dividend Fund (DGS). The Fund has an expense ratio of 0.63%. 58 WisdomTree International Dividend Sector Funds Frequency Distribution of Discounts & Premiums (unaudited) The chart below presents information about differences between the per share net asset value ("NAV") of each Fund and the market trading price of shares of each Fund. For these purposes, the "market price" is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. The term "premium" is sometimes used to describe a market price in excess of NAV and the term "discount" is sometimes used to describe a market price below NAV. The chart presents information about the size and frequency of premiums or discounts. As with other exchange traded funds, the market price of Fund shares is typically slightly higher or lower than the Fund's per share NAV. Factors that contribute to the differences between market price and NAV include the supply and demand for Fund shares and investors' assessments of the underlying value of a Fund's portfolio securities. Differences between the closing times of U.S. and non-U.S. markets may contribute to differences between the NAV and market price of Fund shares. Many non-U.S. markets close prior to the close of the U.S. securities exchanges. Developments after the close of such markets as a result of ongoing price discovery may be reflected in a Fund's market price but not in its NAV (or vice versa). ------------------------------------------------------------------------------------------------------------------------------ Market Price Above or Market Price Below Equal to Net Asset Value Net Asset Value ------------------------------------------------------------------------------------------------------------------------------ Basis Point Number Percentage of Number Percentage of Differential of Days Total Days of Days Total Days ------------------------------------------------------------------------------------------------------------------------------ WisdomTree International Basic Materials Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 14 11.11% 9 7.14% ----------------------------------------------------------------- 25 - 49.9 18 14.29% 5 3.97% ----------------------------------------------------------------- 50 - 74.9 25 19.84% 8 6.35% ----------------------------------------------------------------- 75 - 100.0 18 14.29% 1 0.79% ----------------------------------------------------------------- >100.0 20 15.87% 8 6.35% ----------------------------------------------------------------- Total 95 75.40% 31 24.60% ============================================================================================================================== WisdomTree International Communications Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 12 9.53% 8 6.35% ----------------------------------------------------------------- 25 - 49.9 21 16.67% 6 4.76% ----------------------------------------------------------------- 50 - 74.9 27 21.43% 3 2.38% ----------------------------------------------------------------- 75 - 100.0 23 18.25% 1 0.79% ----------------------------------------------------------------- >100.0 20 15.87% 5 3.97% ----------------------------------------------------------------- Total 103 81.75% 23 18.25% ============================================================================================================================== WisdomTree International Consumer Cyclical Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 35 27.78% 21 16.67% ----------------------------------------------------------------- 25 - 49.9 22 17.46% 9 7.14% ----------------------------------------------------------------- 50 - 74.9 10 7.94% 7 5.56% ----------------------------------------------------------------- 75 - 100.0 4 3.17% 6 4.76% ----------------------------------------------------------------- >100.0 4 3.17% 8 6.35% ----------------------------------------------------------------- Total 75 59.52% 51 40.48% ============================================================================================================================== WisdomTree International Consumer Non-Cyclical Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 21 16.67% 9 7.15% ----------------------------------------------------------------- 25 - 49.9 17 13.49% 4 3.17% ----------------------------------------------------------------- 50 - 74.9 29 23.02% 4 3.17% ----------------------------------------------------------------- 75 - 100.0 19 15.08% 2 1.59% ----------------------------------------------------------------- >100.0 17 13.49% 4 3.17% ----------------------------------------------------------------- Total 103 81.75% 23 18.25% ============================================================================================================================== WisdomTree International Energy Sector Funds April 1, 2007 - September 30, 2007 0 - 24.9 11 8.73% 13 10.32% ----------------------------------------------------------------- 25 - 49.9 15 11.90% 6 4.77% ----------------------------------------------------------------- 50 - 74.9 13 10.32% 4 3.17% ----------------------------------------------------------------- 75 - 100.0 17 13.49% 4 3.17% ----------------------------------------------------------------- >100.0 38 30.16% 5 3.97% ----------------------------------------------------------------- Total 94 74.60% 32 25.40% ============================================================================================================================== WisdomTree International Dividend Sector Funds 59 Frequency Distribution of Discounts & Premiums (unaudited) (concluded) -------------------------------------------------------------------------------------------------------------------- Market Price Above or Market Price Below Equal to Net Asset Value Net Asset Value -------------------------------------------------------------------------------------------------------------------- Basis Point Number Percentage of Number Percentage of Differential of Days Total Days of Days Total Days -------------------------------------------------------------------------------------------------------------------- WisdomTree International Financial Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 12 9.53% 6 4.77% ----------------------------------------------------------------- 25 - 49.9 15 11.90% 4 3.17% ----------------------------------------------------------------- 50 - 74.9 33 26.19% 4 3.17% ----------------------------------------------------------------- 75 - 100.0 19 15.08% 3 2.38% ----------------------------------------------------------------- >100.0 21 16.67% 9 7.14% ----------------------------------------------------------------- Total 100 79.37% 26 20.63% ==================================================================================================================== WisdomTree International Health Care Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 13 10.32% 4 3.17% ----------------------------------------------------------------- 25 - 49.9 18 14.29% 6 4.76% ----------------------------------------------------------------- 50 - 74.9 36 28.57% 3 2.38% ----------------------------------------------------------------- 75 - 100.0 16 12.70% 6 4.76% ----------------------------------------------------------------- >100.0 24 19.05% 0 0.00% ----------------------------------------------------------------- Total 107 84.93% 19 15.07% ==================================================================================================================== WisdomTree International Industrial Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 10 7.94% 8 6.35% ----------------------------------------------------------------- 25 - 49.9 23 18.25% 6 4.76% ----------------------------------------------------------------- 50 - 74.9 34 26.98% 2 1.59% ----------------------------------------------------------------- 75 - 100.0 14 11.11% 5 3.97% ----------------------------------------------------------------- >100.0 17 13.49% 7 5.56% ----------------------------------------------------------------- Total 98 77.77% 28 22.23% ==================================================================================================================== WisdomTree International Technology Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 12 9.52% 8 6.35% ----------------------------------------------------------------- 25 - 49.9 22 17.46% 2 1.59% ----------------------------------------------------------------- 50 - 74.9 17 13.49% 5 3.97% ----------------------------------------------------------------- 75 - 100.0 22 17.46% 5 3.97% ----------------------------------------------------------------- >100.0 27 21.43% 6 4.76% ----------------------------------------------------------------- Total 100 79.36% 26 20.64% ==================================================================================================================== WisdomTree International Utilities Sector Fund April 1, 2007 - September 30, 2007 0 - 24.9 7 5.56% 10 7.94% ----------------------------------------------------------------- 25 - 49.9 19 15.07% 3 2.38% ----------------------------------------------------------------- 50 - 74.9 22 17.46% 7 5.56% ----------------------------------------------------------------- 75 - 100.0 24 19.05% 3 2.38% ----------------------------------------------------------------- >100.0 22 17.46% 9 7.14% ----------------------------------------------------------------- Total 94 74.60% 32 25.40% ==================================================================================================================== 60 WisdomTree International Dividend Sector Funds General Information (unaudited) Proxy Voting Policies, Procedures and Record A description of the policies and procedures that the Trust uses to determine how to vote proxies related to each Fund's portfolio securities, and information on how the Trust voted proxies during the period ended June 30, 2007, is available without charge, upon request, (i) by calling 1-866-909-WISE; (ii) on the Trust's website at www.wisdomtree.com; and (iii) on the Securities and Exchange Commission's ("SEC") website at www.sec.gov. Shareholder Reports and Quarterly Portfolio Disclosure The Funds are required to file their complete schedule of portfolio holdings with the SEC for their first and third fiscal quarters on Form N-Q. Copies of the filings are available without charge, upon request on the SEC's website at www.sec.gov and are available by calling the Trust at 1-866-909-WISE. You can also obtain copies of Form N-Q by (i) visiting the SEC's Public Reference Room in Washington, DC (information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330); (ii) sending your request and a duplicating fee to the SEC's Public Reference Room, Washington, DC 20549-0102; or (iii) sending your request electronically to publicinfosec.gov. Information about each Fund's portfolio holdings is available daily at www.wisdomtree.com. The Fund's Statement of Additional Information ("SAI") has additional information about the Funds' Trustees and Officers and is available without charge upon request. Contact your financial representative for a free prospectus or SAI. WisdomTree International Dividend Sector Funds 61 The WisdomTree Trust Investment Adviser WisdomTree Asset Management, Inc. 48 Wall Street, Suite 1100 New York, NY 10005 Investment Sub-Adviser BNY Investment Advisors 1633 Broadway New York, NY 10019 Administrator, Custodian & Transfer Agent The Bank of New York 101 Barclay Street New York, NY 10286 Distributor ALPS Distributors, Inc. 1290 Broadway Suite 1100 Denver, CO 80203 Independent Registered Public Accounting Firm Ernst & Young LLP 5 Times Square New York, NY 10036 Legal Counsel Ropes & Gray LLP 1211 Avenue of the Americas New York, NY 10036 The WisdomTree Family of Funds The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols as of September 30, 2007: WisdomTree Domestic Dividend Funds WisdomTree Total Dividend Fund (DTD) WisdomTree High-Yielding Equity Fund (DHS) WisdomTree Large Cap Dividend Fund (DLN) WisdomTree Dividend Top 100 Fund (DTN) WisdomTree MidCap Dividend Fund (DON) WisdomTree SmallCap Dividend Fund (DES) WisdomTree International Dividend Funds WisdomTree DEFA Fund (DWM) WisdomTree DEFA High-Yielding Equity Fund (DTH) WisdomTree Europe Total Dividend Fund (DEB) WisdomTree Europe High-Yielding Equity Fund (DEW) WisdomTree Europe SmallCap Dividend Fund (DFE) WisdomTree Japan Total Dividend Fund (DXJ) WisdomTree Japan High-Yielding Equity Fund (DNL) WisdomTree Japan SmallCap Dividend Fund (DFJ) WisdomTree Pacific ex-Japan Total Dividend Fund (DND) WisdomTree Pacific ex-Japan High-Yielding Equity Fund (DNH) WisdomTree International LargeCap Dividend Fund (DOL) WisdomTree International Dividend Top 100 Fund (DOO) WisdomTree International MidCap Dividend Fund (DIM) WisdomTree International SmallCap Dividend Fund (DLS) WisdomTree International Real Estate Fund (DRW) WisdomTree Emerging Markets High-Yielding Equity Fund (DEM) WisdomTree International Dividend Sector Funds WisdomTree International Basic Material Sector Fund (DBN) WisdomTree International Communications Sector Fund (DGG) WisdomTree International Consumer Cyclical Sector Fund (DPC) WisdomTree International Consumer Non-Cyclical Sector Fund (DPN) WisdomTree International Energy Sector Fund (DKA) WisdomTree International Financial Sector Fund (DRF) WisdomTree International Health Care Sector Fund (DBR) WisdomTree International Industrial Sector Fund (DDI) WisdomTree International Technology Sector Fund (DBT) WisdomTree International Utilities Sector Fund (DBU) WisdomTree Domestic Earnings Funds WisdomTree Total Earnings Fund (EXT) WisdomTree Earnings 500 Fund (EPS) WisdomTree MidCap Earnings Fund (EZM) WisdomTree SmallCap Earnings Fund (EES) WisdomTree Earnings Top 100 Fund (EEZ) WisdomTree Low P/E Fund (EZY) The WisdomTree Funds are exchange traded funds ("ETFs") registered with the United States Securities and Exchange Commission ("SEC") as series of WisdomTree Trust ("Trust"). WisdomTree Asset Management, Inc., a wholly owned subsidiary of WisdomTree Investments, Inc., serves as the investment adviser to the WisdomTree Trust. None of the WisdomTree entities are affiliated with ALPS Distributors, Inc., the Funds' distributor. WisdomTree Investments, its affiliates and their independent providers are not liable for any informational errors, incompleteness, or delays, or for any actions taken in reliance on information contained herein. Investors should consider the investment objectives, risks, charges and expenses of the funds carefully before investing. A prospectus, containing this and other information, is available at www.wisdomtree.com, or by calling 1-866-909-WISE (9473). Investors should read the prospectus carefully before investing. There are risks associated with investing, including possible loss of principal. Past performance dose not guarantee future results. Indexes are unmanaged and you can not invest directly in an index. In addition to the normal risks associated with investing, foreign investing involves special risks, such as risk of loss from currency fluctuation or political or economic uncertainty. Fund focusing on a single country, sector, and/or funds that emphasize investments in smaller companies may experience greater price volatility. Investments in real estate involve additional special risks, such as credit risk, interest rate fluctuations and the effect of varied economic conditions. Transactions in fund shares will result in brokerage commissions and will generate tax consequences. Shares may be sold through brokerage accounts, but may be redeemed from the funds only in large amounts of 50,000 shares or more. [LOGO] WISDOMTREE Fundamental ETFs 48 Wall Street, Suite 1100 New York, NY 10005 1.866.909.WISE (9473) www.wisdomtree.com WisdomTree International Dividend Sector ETFs WisdomTree International Basic Materials Sector Fund WisdomTree International Communications Sector Fund WisdomTree International Consumer Cyclical Sector Fund WisdomTree International Consumer Non-Cyclical Sector Fund WisdomTree International Energy Sector Fund WisdomTree International Financial Sector Fund WisdomTree International Health Care Sector Fund WisdomTree International Industrial Sector Fund WisdomTree International Technology Sector Fund WisdomTree International Utilities Sector Fund WisdomTree Fund shares are distributed by ALPS Distributors, Inc. WIS000887 (11/2008) Item 2. Code of Ethics. Not applicable for a semi-annual reporting period. Item 3. Audit Committee Financial Expert. Not applicable for a semi-annual reporting period. Item 4. Principal Accountant Fees and Services. Not applicable for a semi-annual reporting period. Item 5. Audit Committee of Listed Registrants. Not applicable for a semi-annual reporting period. Item 6. Schedule of Investments. The schedule is included as part of the report to shareholders filed under Item 1 of this form. Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies. Not applicable. Item 8. Portfolio Managers of Closed-End Management Investment Companies. Not applicable. Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers. Not applicable. Item 10. Submission of Matters to a Vote of Security Holders. Not applicable. Item 11. Controls and Procedures. (a) Based on their evaluation of the Registrant's disclosure controls and procedures (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) as of a date within 90 days prior to the filing date of this report, the President and Treasurer of the Registrant have concluded that such disclosure controls and procedures are reasonably designed and effective to ensure that material information relating to the Registrant, is made known to them by others within those entities. (b) There were no changes in the Registrant's internal control over financial reporting (as defined in Rule 30 a-3(d) under the Investment Company Act of 1940) that occurred during the Registrant's second fiscal quarter that have materially affected, or are reasonably likely to materially affect, the Registrant's internal control over financial reporting. Item 12. Exhibits. (a)(1) Not applicable. (a)(2) Certification of each principal executive officer and principal financial officer of the Registrant as required by Rule 30a-2 under the Act (17 CFR 270.30a-2) is attached hereto as a part of EX-99.CERT. (a)(3) Not applicable. (b) Certification of each principal executive officer and principal financial officer of the Registrant as required by Section 906 of the Sarbanes-Oxley Act of 2002 is attached hereto as a part of EX-99.906CERT. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. (Registrant) WisdomTree Trust By: /s/ Jonathan L. Steinberg ----------------------------------- Name: Jonathan L. Steinberg Title: President Date: November 29, 2007 By: /s/ Bruce Lavine ----------------------------------- Name: Bruce Lavine Title: Treasurer Date: November 29, 2007 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed by the following persons on behalf of the registrant and in the capacities and on the dates indicated. By: /s/ Jonathan L. Steinberg ----------------------------------- Name: Jonathan L. Steinberg Title: President Date: November 29, 2007 By: /s/ Bruce Lavine ----------------------------------- Name: Bruce Lavine Title: Treasurer Date: November 29, 2007