
WisdomTree Europe Defense Fund (WDEF) ETF Ticker
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About WisdomTree Europe Defense Fund
The WisdomTree Europe Defense Fund (WDEF) utilizes a passive management approach, aiming to invest in companies operating within the European defense industry. Instead of holding every single constituent, the fund employs a representative sampling methodology to closely mirror the risk and return characteristics of its underlying index. For a company to be eligible for inclusion, it must be listed in a European country, satisfy specific minimum requirements for size and liquidity, and generate at least 10% of its total revenue from defense-related activities. Eligible securities are then classified into three distinct categories based on their percentage of defense revenue: Category 1 represents 12-25% exposure, Category 2 covers 25-50%, and Category 3 includes those with over 50%. The index imposes individual concentration limits, setting a maximum of 12.5% for companies in the highest exposure Category 3 and 4.5% for those in Categories 1 and 2. Portfolio holdings are predominantly weighted by their free-float market capitalization, with a further adjustment based on their specific level of defense revenue exposure. The underlying index is subject to rebalancing twice per year, specifically in March and September.
WDEF etf facts
| Ticker symbol | WDEF |
| Exchange | New York Stock Exchange Arca |
| Sector | Financial Services |
| Industry | Asset Management - Global |
| Market cap | $92.7M |
| Headquarters | New York, NY, US |
| IPO date | 2025-07-17 |
| Website | www.wisdomtree.eu/en-gb/etfs/thematic/wdef---wisdomtree-europe-defence-ucits-etf---eur-acc |
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What is the ticker symbol for WisdomTree Europe Defense Fund?
The ticker symbol for WisdomTree Europe Defense Fund is WDEF, listed on the New York Stock Exchange Arca.
What is WDEF?
The WisdomTree Europe Defense Fund (WDEF) utilizes a passive management approach, aiming to invest in companies operating within the European defense industry. Instead of holding every single constituent, the fund employs a representative sampling methodology to closely mirror the risk and return characteristics of its underlying index. For a company to be eligible for inclusion, it must be…