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, Suite 1100 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, 2006 -------------------- 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(SM) -------------------------------------------------------------------------------- WisdomTree Trust Domestic Equity Funds Semi-Annual Report For the period June 16, 2006 (commencement of investment operations) through September 30, 2006 WisdomTree Total Dividend Fund WisdomTree High-Yielding Equity Fund WisdomTree LargeCap Dividend Fund WisdomTree Dividend Top 100SM Fund WisdomTree MidCap Dividend Fund WisdomTree SmallCap Dividend Fund [LOGO] WISDOMTREE(SM) -------------------------------------------------------------------------------- WisdomTree Trust Domestic Equity Funds Contents Letter to Shareholders.............................................. 1 Management's Discussion of Funds' Performance....................... 2 Performance Summaries............................................... 4 Shareholder Expense Examples........................................10 Schedules of Investments WisdomTree Total Dividend Fund...................................11 WisdomTree High-Yielding Equity Fund.............................20 WisdomTree LargeCap Dividend Fund................................25 WisdomTree Dividend Top 100 Fund.................................29 WisdomTree MidCap Dividend Fund..................................31 WisdomTree SmallCap Dividend Fund................................37 Statements of Assets and Liabilities................................46 Statements of Operations............................................47 Statements of Changes in Net Assets.................................48 Financial Highlights................................................49 Notes to the Financial Statements...................................52 Frequency Distribution of Discounts & Premiums......................56 Board Review and Approval of Investment Advisory Contracts..........58 Family of Funds.....................................................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 Shareholder: Thank you for your confidence in our products and the support you have shown. I am excited to provide you with this update on the first six domestic exchange traded funds (ETFs) launched under the WisdomTree Trust. On June 16, 2006, the WisdomTree Trust listed 20 fundamentally weighted ETFs on the New York Stock Exchange (NYSE). According to the NYSE, this event represented the largest one-day listing by a single issuer in the history of the NYSE. The day also marked an important turning point in the ETF industry. For the first time, a global family of dividend-weighted ETFs offered investors a fundamental alternative to market cap-weighted index funds in every major capitalization segment and across major geographic regions of the developed world. Both domestic and international equity markets have seen sustained rallies since the WisdomTree ETFs were launched. From June 16, 2006 to September 30, 2006, the Russell 3000 Index, a broad measure of the U.S. stock market, advanced 6.62% on a total return basis. Internationally, the MSCI EAFE Index, which measures the performance of stocks in 21 industrialized equity markets outside the United States and Canada, increased by 9.20% on a total return basis over the same period.(1) With the launch of 10 pure international sector ETFs on October 13, 2006, the WisdomTree Trust now has 30 ETFs in the market. Within five months, this dividend-based family has attracted more than $1 billion in assets under management - one indication of how quickly these new tools are being adopted by investment advisors, wirehouses and self-directed investors. On behalf of my colleagues at WisdomTree Asset Management and the Board of Trustees of the WisdomTree Trust, I thank you for your investment in the WisdomTree family of fundamentally weighted ETFs. We look forward to serving you in the future. Best Regards, /s/ Jonathan Steinberg Jonathan Steinberg President, WisdomTree Trust CEO, WisdomTree Asset Management, Inc. (1) Performance information for the Russell 3000 Index assumes the reinvestment of gross dividends and excludes management fees, transaction costs and expenses. Performance information for the MSCI EAFE Index assumes the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. WisdomTree Trust Domestic Equity Funds 1 Management's Discussion of Funds' Performance The six domestic ETFs introduced by the WisdomTree Trust give investors alternatives to market capitalization-weighted index funds in all major market capitalization segments of the U.S. equity market. All of the WisdomTree domestic ETFs discussed in this report track specific indexes that are derived from the WisdomTree Dividend Index, which measures the performance of dividend-paying companies in the United States. Unlike ETFs that track traditional market capitalization-weighted indexes, the WisdomTree domestic ETFs are designed to track indexes that are weighted based on the dividends that companies pay. For ease of comparison, this report provides index performance data on each ETF's underlying WisdomTree Index and a comparable benchmark index. Each of the six WisdomTree domestic ETFs had higher cumulative returns than their comparable capitalization-weighted index for the period from their inception on June 16, 2006 to the close of the period on September 30, 2006. The broadest WisdomTree domestic ETF, the WisdomTree Total Dividend Fund ("DTD"), had a cumulative total return of 8.43% from its inception on June 16, 2006 to September 30, 2006. DTD outperformed the Russell 3000 Index by 1.81% over that period. The WisdomTree High-Yielding Equity Fund ("DHS"), which is comprised of higher dividend-yielding stocks selected from the WisdomTree Dividend Index, returned 10.02% for the period, outperforming the Russell 1000 Value Index by 1.42% since the Fund's inception. The best performing size segment of the WisdomTree Dividend Index for this period was the large-cap portion. The WisdomTree LargeCap Dividend Fund ("DLN") returned 8.92% for the period, surpassing the return of the S&P 500 Index by 1.62%. The WisdomTree MidCap Dividend Fund ("DON") returned 6.45%, surpassing the return of the S&P Mid Cap 400 Index by 4.21% for the period. The WisdomTree SmallCap Dividend Fund ("DES") returned 7.17%, exceeding the return of the Russell 2000 Index by 2.07%. The WisdomTree Dividend Top 100 Fund ("DTN") outperformed the Russell 1000 Value Index by 0.52% for the period, returning 9.12%. Both DTN and DHS, which select stocks based on higher dividend yields, also outperformed a comparable equity income index, the Dow Jones U.S. Select Dividend Index. DTN and DHS returned 9.12% and 10.02%, respectively, while the Dow Jones U.S. Select Dividend Index, returned 6.93%. Fund performance assumes reinvestment of dividends and capital gain distributions. 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. In comparison, the Funds' performance is negatively impacted by these 2 WisdomTree Trust Domestic Equity Funds Management's Discussion of Funds' Performance (concluded) deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares that a shareholder would pay on Fund distributions. Past performance is no guarantee of future results. For the most recent month end performance information visit www.wisdomtree.com. The Dow Jones U.S. Select Dividend Index is an index of 100 stocks selected from the Dow Jones Total Market Index based on high dividend yields and other dividend criteria; the Russell 3000 Index measures the performance of the 3000 largest stocks in the U.S. market by market value; the Russell 2000 Index measures the performance of the smallest 2000 companies in the Russell 3000 Index; the Russell 1000 Value Index measures the performance of Russell 1000 companies with lower price to book ratios and lower forecasted growth values; the S&P 500 Index is the Standards & Poor's composite index of 500 stocks; the S&P MidCap 400 Index is an unmanaged group of 400 domestic stocks chosen for market size, liquidity and industry group representation. WisdomTree Trust Domestic Equity Funds 3 Performance Summary WisdomTree Total Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 33.2% Consumer Non-Cyclical 20.9% Industrial 9.6% Communications 7.7% Energy 7.3% Utilities 6.7% Consumer Cyclical 5.6% Technology 4.2% Basic Materials 4.0% Diversified 0.0%# Short-Term Investment 0.6% Other 0.2% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. # Amount represents less than 0.05%. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree Russell 3000 Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 8.43% 8.23% 8.28% 6.62% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Bank of America Corp. 37,164 $1,990,876 4.1% -------------------------------------------------------------------------------- General Electric Co. 54,539 1,925,226 3.9% -------------------------------------------------------------------------------- Citigroup, Inc. 37,712 1,873,156 3.8% -------------------------------------------------------------------------------- Exxon Mobil Corp. 23,375 1,568,464 3.2% -------------------------------------------------------------------------------- Pfizer, Inc. 51,592 1,463,150 3.0% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,841 WisdomTree $10,662 Russell Total Dividend Fund 3000 Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,940 9,954 6/30/06 10,176 10,189 7/7/06 10,207 10,132 7/14/06 10,004 9,865 7/21/06 10,110 9,869 7/28/06 10,431 10,189 8/4/06 10,472 10,210 8/11/06 10,339 10,081 8/18/06 10,578 10,382 8/25/06 10,535 10,315 9/1/06 10,666 10,479 9/8/06 10,590 10,373 9/15/06 10,726 10,559 9/22/06 10,712 10,502 9/30/06 10,841 10,662 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 Trust Domestic Equity Funds Performance Summary WisdomTree High-Yielding Equity Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 43.0% Consumer Non-Cyclical 21.0% Utilities 10.4% Communications 9.2% Industrial 6.8% Basic Materials 4.2% Energy 3.3% Consumer Cyclical 1.2% Technology 0.2% Short-Term Investment 0.5% Other 0.2% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree Net Asset Market High-Yielding Russell 1000 Value Price Equity Index Value Index -------------------------------------------------------------------------------- Since Inception(1) 10.02% 10.08% 10.07% 8.60% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Bank of America Corp. 73,139 $3,918,057 6.8% -------------------------------------------------------------------------------- General Electric Co. 107,371 3,790,197 6.6% -------------------------------------------------------------------------------- Citigroup, Inc. 74,208 3,685,912 6.4% -------------------------------------------------------------------------------- Pfizer, Inc. 101,549 2,879,929 5.0% -------------------------------------------------------------------------------- Altria Group, Inc. 33,779 2,585,782 4.5% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,001 WisdomTree $10,860 Russell High-Yielding Equity Fund 1000 Value Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,918 9,956 6/30/06 10,158 10,224 7/7/06 10,252 10,262 7/14/06 10,071 10,073 7/21/06 10,258 10,138 7/28/06 10,605 10,484 8/4/06 10,646 10,525 8/11/06 10,488 10,421 8/18/06 10,725 10,629 8/25/06 10,703 10,608 9/1/06 10,827 10,700 9/8/06 10,777 10,604 9/15/06 10,911 10,707 9/22/06 10,927 10,704 9/30/06 11,001 10,860 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 Trust Domestic Equity Funds 5 Performance Summary WisdomTree LargeCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 30.0% Consumer Non-Cyclical 23.3% Industrial 10.1% Communications 8.6% Energy 8.4% Utilities 5.7% Technology 4.9% Consumer Cyclical 4.8% Basic Materials 3.7% Short-Term Investment 0.1% Other 0.4% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree LargeCap S&P 500 Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 8.92% 8.74% 8.71% 7.30% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Bank of America Corp. 94,551 $5,065,096 4.9% -------------------------------------------------------------------------------- General Electric Co. 138,794 4,899,429 4.7% -------------------------------------------------------------------------------- Citigroup, Inc. 95,927 4,764,693 4.6% -------------------------------------------------------------------------------- Exxon Mobil Corp. 59,477 3,990,908 3.8% -------------------------------------------------------------------------------- Pfizer, Inc. 131,271 3,722,846 3.6% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,892 WisdomTree $10,729 S&P LargeCap Dividend Fund 500 Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,939 9,946 6/30/06 10,164 10,154 7/7/06 10,210 10,121 7/14/06 10,015 9,889 7/21/06 10,139 9,923 7/28/06 10,472 10,232 8/4/06 10,502 10,243 8/11/06 10,390 10,149 8/18/06 10,621 10,439 8/25/06 10,598 10,383 9/1/06 10,712 10,518 9/8/06 10,636 10,423 9/15/06 10,753 10,596 9/22/06 10,754 10,558 9/30/06 10,892 10,729 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 Trust Domestic Equity Funds Performance Summary WisdomTree Dividend Top 100 Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 36.6% Utilities 21.5% Consumer Non-Cyclical 16.4% Basic Materials 8.6% Communications 7.0% Consumer Cyclical 3.5% Industrial 2.7% Energy 2.1% Technology 0.8% Short-Term Investment 0.6% Other 0.2% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Dow Jones Net Asset Market WisdomTree Dividend U.S. Select Value Price Top 100 Index Dividend Index -------------------------------------------------------------------------------- Since Inception(1) 9.12% 9.15% 8.42% 6.93% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets -------------------------------------------------------------------------------- Southern Copper Corp. 12,431 $1,149,868 3.8% -------------------------------------------------------------------------------- General Motors Corp. 18,010 599,012 2.0% -------------------------------------------------------------------------------- Lincoln National Corp. 8,853 549,593 1.8% -------------------------------------------------------------------------------- AT&T, Inc. 14,674 477,785 1.6% -------------------------------------------------------------------------------- Progress Energy, Inc. 10,069 456,930 1.5% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,912 WisdomTree $10,693 Dow Jones Dividend Top 100 Fund U.S. Select Dividend Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,904 9,898 6/30/06 10,182 10,112 7/7/06 10,221 10,131 7/14/06 10,076 10,007 7/21/06 10,229 10,182 7/28/06 10,556 10,467 8/4/06 10,564 10,506 8/11/06 10,410 10,375 8/18/06 10,606 10,558 8/25/06 10,587 10,469 9/1/06 10,735 10,597 9/8/06 10,724 10,519 9/15/06 10,806 10,643 9/22/06 10,786 10,707 9/30/06 10,912 10,693 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 Trust Domestic Equity Funds 7 Performance Summary WisdomTree MidCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 46.2% Utilities 13.0% Consumer Non-Cyclical 10.1% Consumer Cyclical 9.0% Industrial 8.2% Basic Materials 6.7% Communications 2.4% Energy 2.2% Technology 1.0% Diversified 0.1% Short-Term Investment 0.8% Other 0.3% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree MidCap S&P 400 Value Price Dividend Index MidCap Index -------------------------------------------------------------------------------- Since Inception(1) 6.45% 4.13% 6.67% 2.24% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ UST, Inc. 5,162 $283,032 1.5% -------------------------------------------------------------------------------- American Capital Strategies Ltd. 6,739 265,988 1.4% -------------------------------------------------------------------------------- iStar Financial, Inc. 5,289 220,551 1.2% -------------------------------------------------------------------------------- DTE Energy Co. 5,310 220,419 1.2% -------------------------------------------------------------------------------- CapitalSource, Inc. 7,879 203,436 1.1% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,645 WisdomTree $10,224 S&P 400 MidCap Dividend Fund MidCap Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,932 10,013 6/30/06 10,206 10,336 7/7/06 10,188 10,183 7/14/06 9,974 9,837 7/21/06 9,992 9,638 7/28/06 10,259 10,021 8/4/06 10,363 10,051 8/11/06 10,147 9,812 8/18/06 10,411 10,160 8/25/06 10,299 9,958 9/1/06 10,493 10,205 9/8/06 10,418 10,016 9/15/06 10,616 10,186 9/22/06 10,548 10,065 9/30/06 10,645 10,224 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 Trust Domestic Equity Funds Performance Summary WisdomTree SmallCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 57.8% Consumer Non-Cyclical 7.9% Utilities 7.6% Consumer Cyclical 7.6% Industrial 6.0% Communications 5.8% Basic Materials 4.4% Energy 0.8% Technology 0.7% Diversified 0.0%# Short-Term Investment 0.8% Other 0.6% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. # Amount represents less than 0.05%. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree SmallCap Russell 2000 Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 7.17% 7.19% 7.42% 5.10% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets -------------------------------------------------------------------------------- American Home Mortgage Investment Corp. 12,571 $438,350 1.5% -------------------------------------------------------------------------------- Apollo Investment Corp. 17,290 354,618 1.2% -------------------------------------------------------------------------------- NovaStar Financial, Inc. 11,842 345,668 1.2% -------------------------------------------------------------------------------- Saxon Capital, Inc. 20,862 292,902 1.0% -------------------------------------------------------------------------------- American Financial Realty Trust 26,082 291,075 1.0% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,716 WisdomTree $10,509 Russell SmallCap Dividend Fund 2000 Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,938 9,958 6/30/06 10,325 10,463 7/7/06 10,228 10,243 7/14/06 9,996 9,839 7/21/06 10,027 9,706 7/28/06 10,351 10,115 8/4/06 10,377 10,134 8/11/06 10,118 9,816 8/18/06 10,433 10,290 8/25/06 10,285 10,111 9/1/06 10,528 10,438 9/8/06 10,427 10,251 9/15/06 10,745 10,555 9/22/06 10,646 10,402 9/30/06 10,716 10,509 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 Trust Domestic Equity Funds 9 Shareholder Expense Examples (unaudited) As a shareholder of a WisdomTree Fund, you incur two types of costs: (1) transaction costs, such as brokerage commissions on purchases and sales of your Fund shares and (2) ongoing Fund 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 June 16, 2006* to September 30, 2006. Actual expenses The first line under each Fund in the table below 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 06/16/06* to 09/30/06" 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 below 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. ==================================================================================================================================== Expenses Paid Beginning Ending During the Period+ Account Value Account Value 06/16/06* to 06/16/06* 09/30/06 09/30/06 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Total Dividend Fund Actual $1,000.00 $1,084.26 $0.86 Hypothetical (5% return before expenses) $1,000.00 $1,013.84 $0.83 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree High-Yielding Equity Fund Actual $1,000.00 $1,100.18 $1.17 Hypothetical (5% return before expenses) $1,000.00 $1,013.54 $1.12 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree LargeCap Dividend Fund Actual $1,000.00 $1,089.19 $0.86 Hypothetical (5% return before expenses) $1,000.00 $1,013.84 $0.83 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Dividend Top 100 Fund Actual $1,000.00 $1,091.18 $1.16 Hypothetical (5% return before expenses) $1,000.00 $1,013.54 $1.12 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree MidCap Dividend Fund Actual $1,000.00 $1,064.53 $1.15 Hypothetical (5% return before expenses) $1,000.00 $1,013.54 $1.12 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree SmallCap Dividend Fund Actual $1,000.00 $1,071.66 $1.15 Hypothetical (5% return before expenses) $1,000.00 $1,013.54 $1.12 ------------------------------------------------------------------------------------------------------------------------------------ * Commencement of investment operations. + Expenses are calculated using each Fund's annualized expense ratio, multiplied by the average account value for the period, multiplied by 107/365 (to reflect the fiscal period). 10 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS--99.3% Consumer Discretionary--6.1% Abercrombie & Fitch Co. Class A 198 $ 13,757 Advance Auto Parts, Inc. 306 10,080 American Eagle Outfitters, Inc. 360 15,779 Barnes & Noble, Inc. 306 11,610 Beazer Homes USA, Inc. 252 9,838 Belo Corp. Class A 666 10,529 Best Buy Co., Inc. 504 26,994 Black & Decker Corp. (The) 234 18,568 BorgWarner Inc. 180 10,291 Boyd Gaming Corp. 270 10,379 Brinker International, Inc. 306 12,268 Brunswick Corp. 324 10,106 CBS Corp. Class A 432 12,191 CBS Corp. Class B 3,410 96,060 Centex Corp. 252 13,260 Choice Hotels International, Inc. 216 8,834 Circuit City Stores, Inc. 396 9,944 Citadel Broadcasting Corp. 1,314 12,352 Claire's Stores, Inc. 432 12,597 Clear Channel Communications, Inc. 2,420 69,817 D.R. Horton, Inc. 666 15,951 Darden Restaurants, Inc. 324 13,760 Dillard's Inc. Class A 396 12,961 Dollar General Corp. 756 10,304 Dow Jones & Co., Inc. 342 11,471 E.W. Scripps Co. (The) Class A 378 18,118 Eastman Kodak Co. 900 20,160 Family Dollar Stores, Inc. 468 13,684 Federated Department Stores, Inc. 1,386 59,889 Foot Locker, Inc. 468 11,817 Fortune Brands, Inc. 468 35,151 Gannett Co., Inc. 828 47,055 Gap, Inc. (The) 2,636 49,952 General Motors Corp. 4,796 159,515 Gentex Corp. 792 11,254 Genuine Parts Co. 954 41,146 H&R Block, Inc. 1,368 29,740 Harley-Davidson, Inc. 666 41,792 Harrah's Entertainment, Inc. 612 40,655 Harte-Hanks, Inc. 432 11,383 Hasbro, Inc. 720 16,380 Hilton Hotels Corp. 432 12,031 Home Depot, Inc. (The) 5,434 197,090 International Game Technology 846 35,109 International Speedway Corp. Class A 234 11,663 J.C. Penney Co., Inc. 486 33,238 John Wiley & Sons, Inc. Class A 324 11,667 Johnson Controls, Inc. 504 36,157 Jones Apparel Group, Inc. 342 11,094 KB Home 252 11,038 Leggett & Platt, Inc. 864 21,626 Lennar Corp. Class A 401 18,145 Limited Brands, Inc. 1,746 46,252 Liz Claiborne, Inc. 306 12,090 Lowe's Cos., Inc. 1,044 29,295 Marriott International Inc. Class A 432 16,692 Mattel, Inc. 1,926 37,942 McClatchy Co. Class A 397 16,749 McDonald's Corp. 4,418 172,832 McGraw-Hill Cos., Inc. (The) 828 48,049 MDC Holdings, Inc. 216 10,033 Men's Wearhouse, Inc. (The) 342 12,726 Meredith Corp. 234 11,543 Michaels Stores, Inc. 288 12,540 New York Times Co. (The) Class A (a) 666 15,305 Newell Rubbermaid, Inc. 1,656 46,898 News Corp. Class A 2,852 56,042 News Corp. Class B 1,062 21,920 NIKE, Inc. Class B 504 44,160 Nordstrom, Inc. 504 21,319 OfficeMax, Inc. 270 11,000 Omnicom Group, Inc. 378 35,381 OSI Restaurant Partners, Inc. 306 9,703 PetSmart, Inc. 414 11,489 Polaris Industries, Inc. 252 10,370 Polo Ralph Lauren Corp. 198 12,809 Pool Corp. 270 10,395 Pulte Homes, Inc. 414 13,190 RadioShack Corp. 756 14,591 Regal Entertainment Group Class A 738 14,627 Ross Stores, Inc. 414 10,520 Ryland Group, Inc. (The) 270 11,667 Service Corp. International 1,404 13,113 ServiceMaster Co. (The) 1,764 19,774 Sherwin-Williams Co. (The) 486 27,109 Snap-On, Inc. 288 12,830 Standard-Pacific Corp. 450 10,575 Stanley Works (The) 342 17,049 Staples, Inc. 1,134 27,590 Station Casinos, Inc. 162 9,368 Target Corp. 1,224 67,626 Thor Industries, Inc. 252 10,375 Tiffany & Co. 546 18,127 Time Warner, Inc. 9,536 173,841 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 11 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- TJX Cos., Inc. (The) 792 $ 22,200 Tribune Co. 1,440 47,117 United Auto Group, Inc. 540 12,636 VF Corp. 396 28,888 Walt Disney Co. (The) 3,374 104,290 Warner Music Group Corp. 630 16,349 Weight Watchers International, Inc. 270 11,972 Wendy's International, Inc. 216 14,472 Whirlpool Corp. 252 21,196 Yum! Brands, Inc. 468 24,359 ------------ Total Consumer Discretionary 2,975,235 -------------------------------------------------------------------------------- Consumer Staples--11.6% Alberto-Culver Co. 234 11,838 Altria Group, Inc. 17,141 1,312,143 Anheuser-Busch Cos., Inc. 3,536 167,995 Archer-Daniels-Midland Co. 1,404 53,184 Avon Products, Inc. 1,818 55,740 Brown-Forman Corp. Class A 144 11,141 Brown-Forman Corp. Class B 162 12,417 Campbell Soup Co. 1,638 59,787 Church & Dwight Co., Inc. 306 11,968 Clorox Co. (The) 522 32,886 Coca-Cola Co. (The) 12,712 567,972 Coca-Cola Enterprises, Inc. 1,008 20,997 Colgate-Palmolive Co. 2,096 130,162 ConAgra Foods, Inc. 3,158 77,308 Corn Products International, Inc. 450 14,643 Costco Wholesale Corp. 720 35,770 CVS Corp. 756 24,283 Del Monte Foods Co. 972 10,157 Estee Lauder Cos., Inc. (The) Class A 457 18,431 Flowers Foods, Inc. 378 10,161 General Mills, Inc. 1,728 97,805 H.J. Heinz Co. Ltd. 1,908 80,002 Hershey Co. (The) 594 31,749 Hormel Foods Corp. 414 14,896 J.M. Smucker Co. (The) 288 13,810 Kellogg Co. 1,836 90,919 Kimberly-Clark Corp. 2,816 184,054 Kraft Foods, Inc. Class A 2,672 95,284 Kroger Co. (The) 1,674 38,736 Loews Corp. 540 29,911 Longs Drug Stores Corp. 252 11,595 McCormick & Co., Inc. 450 17,091 Molson Coors Brewing Co. Class B 216 14,882 Pepsi Bottling Group, Inc. 612 21,726 PepsiAmericas, Inc. 522 11,139 PepsiCo, Inc. 5,398 352,273 Pilgrim's Pride Corp. 432 11,815 Procter & Gamble Co. 12,901 799,603 Reynolds American, Inc. 2,528 156,660 Safeway, Inc. 648 19,667 Sara Lee Corp. 6,064 97,448 Seaboard Corp. 18 21,690 Supervalu, Inc. 864 25,618 Sysco Corp. 2,366 79,143 Tyson Foods, Inc. Class A 1,162 18,453 UST, Inc. 1,602 87,838 Vector Group Ltd. 793 12,862 Walgreen Co. 1,116 49,539 Wal-Mart Stores, Inc. 10,792 532,261 Whole Foods Market, Inc. 216 12,837 Wm. Wrigley Jr. Co. 846 38,967 ------------ Total Consumer Staples 5,709,256 -------------------------------------------------------------------------------- Energy--7.2% Anadarko Petroleum Corp. 594 26,035 Apache Corp. 360 22,752 Arch Coal, Inc. 270 7,806 Baker Hughes, Inc. 468 31,918 BJ Services Co. 342 10,304 Chesapeake Energy Corp. 432 12,519 Chevron Corp. 12,613 818,079 ConocoPhillips 6,208 369,562 Consol Energy, Inc. 288 9,138 Devon Energy Corp. 576 36,374 Diamond Offshore Drilling, Inc. 144 10,421 El Paso Corp. 1,584 21,606 ENSCO International, Inc. 252 11,045 EOG Resources, Inc. 288 18,734 Exxon Mobil Corp. 23,375 1,568,464 Halliburton Co. 1,512 43,016 Hess Corp. 414 17,148 Kinder Morgan, Inc. 900 94,365 Marathon Oil Corp. 1,152 88,589 Murphy Oil Corp. 306 14,550 Noble Energy, Inc. 270 12,309 Occidental Petroleum Corp. 2,420 116,426 Patterson-UTI Energy, Inc. 414 9,837 Peabody Energy Corp. 402 14,786 Pioneer Natural Resources Co. 288 11,267 Smith International, Inc. 306 11,873 Sunoco, Inc. 306 19,030 Tesoro Corp. 180 10,436 Valero Energy Corp. 450 23,162 Williams Cos., Inc. (The) 1,512 36,091 XTO Energy, Inc. 468 19,717 ------------ Total Energy 3,517,359 -------------------------------------------------------------------------------- See Notes to Financial Statements. 12 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Financials--33.4% 21st Century Insurance Group 774 $ 11,571 Advance America Cash Advance Centers, Inc. 756 10,902 Advanta Corp. Class B 306 11,291 Aflac, Inc. 1,044 47,773 AG Edwards, Inc. 342 18,222 Alabama National Bancorp. 162 11,057 Alexandria Real Estate Equities, Inc. 126 11,819 Alfa Corp. 702 12,124 Allstate Corp. (The) 3,140 196,972 AMB Property Corp. 522 28,767 AMBAC Financial Group, Inc. 225 18,619 American Capital Strategies Ltd. (a) 2,096 82,729 American Express Co. 2,042 114,515 American Financial Group, Inc. 270 12,671 American Financial Realty Trust 2,168 24,195 American Home Mortgage Investment Corp. 1,044 36,404 American International Group, Inc. 4,256 282,004 American National Insurance Co. 126 14,603 Ameriprise Financial, Inc. 432 20,261 AmerUs Group Co. 198 13,466 AmSouth Bancorp. 2,402 69,754 Annaly Mortgage Management, Inc. 882 11,589 Anthracite Capital, Inc. 1,062 13,657 AON Corp. 828 28,044 Apartment Investment & Management Co. Class A 882 47,990 Apollo Investment Corp. 1,440 29,534 Archstone-Smith Trust 1,368 74,474 Arthur J. Gallagher & Co. 738 19,682 Associated Banc-Corp 774 25,155 Assurant, Inc. 234 12,498 Astoria Financial Corp. 576 17,752 AvalonBay Communities, Inc. 378 45,511 BancorpSouth, Inc. 450 12,492 Bank of America Corp. 37,164 1,990,876 Bank of Hawaii Corp. 252 12,136 Bank of New York Co., Inc. (The) 3,248 114,524 BankUnited Financial Corp. Class A 360 9,385 BB&T Corp. 3,824 167,415 Bear, Stearns & Co., Inc. 180 25,218 BioMed Realty Trust, Inc. 396 12,015 BlackRock, Inc. Class A 90 13,410 BOK Financial Corp. 234 12,308 Boston Private Financial Holdings, Inc. 378 10,539 Boston Properties, Inc. 594 61,384 Brandywine Realty Trust 864 28,123 BRE Properties, Inc. Class A 342 20,428 Brown & Brown, Inc. 597 18,244 Camden Property Trust 342 25,995 Capital One Financial Corp. 232 18,249 CapitalSource, Inc. 2,438 62,949 Capitol Federal Financial 828 29,444 Cathay General Bancorp 306 11,047 CBL & Associates Properties, Inc. 486 20,368 Central Pacific Financial Corp. 288 10,535 Charles Schwab Corp. (The) 1,350 24,165 Chicago Mercantile Exchange Holdings, Inc. 36 17,217 Chittenden Corp. 414 11,878 Chubb Corp. (The) 1,566 81,369 Cincinnati Financial Corp. 990 47,579 CIT Group, Inc. 540 26,260 Citigroup, Inc. 37,712 1,873,156 Citizens Banking Corp. 414 10,872 City National Corp. 180 12,071 Colonial BancGroup, Inc. (The) 756 18,522 Colonial Properties Trust 432 20,654 Comerica, Inc. 1,206 68,646 Commerce Bancorp, Inc. 432 15,859 Commerce Bancshares, Inc. 234 11,833 Commerce Group, Inc. 396 11,900 Compass Bancshares, Inc. 702 40,000 Corporate Office Properties Trust 270 12,085 Corus Bankshares, Inc. 414 9,257 Countrywide Financial Corp. 1,782 62,441 Cousins Properties, Inc. 396 13,547 Crescent Real Estate Equities Co. 1,314 28,658 Cullen/Frost Bankers, Inc. 216 12,489 CVB Financial Corp. 702 10,369 Delphi Financial Group, Inc. Class A 324 12,921 Developers Diversified Realty Corp. 846 47,173 DiamondRock Hospitality Co. 738 12,258 Downey Financial Corp. 162 10,779 Duke Realty Corp. 1,206 45,044 East West Bancorp, Inc. 288 11,408 EastGroup Properties, Inc. 252 12,565 Eaton Vance Corp. 432 12,468 Entertainment Properties Trust 306 15,092 Equity Lifestyle Properties, Inc. 252 11,519 Equity Office Properties Trust 2,636 104,807 Equity One, Inc. 666 15,964 Equity Residential 1,988 100,553 Erie Indemnity Co. Class A 288 15,083 Essex Property Trust, Inc. 126 15,296 Federal Realty Investment Trust 288 21,398 Federated Investors Inc. Class B 342 11,563 FelCor Lodging Trust, Inc. 540 10,827 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 13 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Fidelity National Financial, Inc. 882 $ 36,735 Fidelity National Title Group, Inc. Class A 540 11,318 Fieldstone Investment Corp. 1,440 12,571 Fifth Third Bancorp 3,878 147,674 First American Corp. 324 13,718 First Citizens BancShares, Inc. Class A 54 10,319 First Community Bancorp 198 11,078 First Horizon National Corp. 972 36,946 First Industrial Realty Trust, Inc. 522 22,968 First Marblehead Corp. (The) 252 17,454 First Midwest Bancorp, Inc. 306 11,594 First Niagara Financial Group, Inc. 792 11,547 First Republic Bank 252 10,725 FirstMerit Corp. 648 15,014 Flagstar Bancorp, Inc. 702 10,214 Forest City Enterprises, Inc. Class A 252 13,684 Forest City Enterprises, Inc. Class B 252 13,638 Franklin Resources, Inc. 234 24,746 Franklin Street Properties Corp. 630 12,512 Freddie Mac 3,842 254,840 Fremont General Corp. 558 7,806 Friedman, Billings, Ramsey Group, Inc. Class A (a) 2,474 19,866 Frontier Financial Corp. 486 12,607 Fulton Financial Corp. 1,062 17,194 GAMCO Investors, Inc. Class A 306 11,646 General Growth Properties, Inc. 1,440 68,616 Genworth Financial, Inc. Class A 738 25,837 Glimcher Realty Trust 450 11,151 Global Signal, Inc. 522 26,403 Golden West Financial Corp. 252 19,467 Goldman Sachs Group, Inc. 390 65,976 Greater Bay Bancorp 378 10,663 Greenhill & Co., Inc. 198 13,270 Hancock Holding Co. 198 10,603 Hartford Financial Services Group, Inc. (The) 1,098 95,252 HCC Insurance Holdings, Inc. 378 12,429 Health Care Property Investors, Inc. 1,476 45,830 Health Care REIT, Inc. 684 27,367 Healthcare Realty Trust, Inc. 594 22,816 Heritage Property Investment Trust, Inc. 450 16,407 Highwoods Properties, Inc. 486 18,084 Hilb Rogal & Hobbs Co. 288 12,283 Home Properties, Inc. 288 16,462 Hospitality Properties Trust 864 40,781 Host Hotels & Resorts, Inc. 1,818 41,687 HRPT Properties Trust 2,708 32,361 Hudson City Bancorp, Inc. 2,384 31,588 Huntington Bancshares, Inc. 1,854 44,366 IMPAC Mortgage Holdings, Inc. (a) 1,422 13,324 IndyMac Bancorp, Inc. 504 20,745 Inland Real Estate Corp. 402 7,043 International Bancshares Corp. 378 11,219 International Securities Exchange, Inc. 306 14,348 Investors Financial Services Corp. 252 10,856 iStar Financial, Inc. 1,638 68,305 Janus Capital Group, Inc. 962 18,971 Jefferies Group, Inc. 414 11,799 Jones Lang LaSalle, Inc. 144 12,309 JPMorgan Chase & Co. 20,727 973,341 Kearny Financial Corp. 792 12,023 KeyCorp 2,744 102,735 Kilroy Realty Corp. 162 12,205 Kimco Realty Corp. 1,332 57,103 KKR Financial Corp. 1,044 25,620 LandAmerica Financial Group, Inc. 180 11,842 LaSalle Hotel Properties 270 11,702 Legg Mason, Inc. 126 12,708 Lehman Brothers Holdings, Inc. 630 46,532 Leucadia National Corp. 610 15,964 Lexington Corporate Properties Trust 666 14,106 Liberty Property Trust 828 39,570 Lincoln National Corp. 1,674 103,922 Loews Corp. 594 22,513 Longview Fibre Co. 571 11,603 M&T Bank Corp. 306 36,708 Macerich Co. (The) 468 35,736 Mack-Cali Realty Corp. 576 29,837 MAF Bancorp, Inc. 270 11,148 Maguire Properties, Inc. 360 14,666 Marsh & McLennan Cos., Inc. 2,294 64,576 Marshall & Ilsley Corp. 954 45,964 MB Financial, Inc. 306 11,282 MBIA, Inc. 486 29,860 MCG Capital Corp. 1,152 18,812 Mellon Financial Corp. 1,674 65,453 Mercantile Bankshares Corp. 594 21,544 Mercury General Corp. 342 16,967 Merrill Lynch & Co., Inc. 2,168 169,581 Metlife, Inc. 1,476 83,660 MGIC Investment Corp. 234 14,033 Mid-America Apartment Communities, Inc. 198 12,122 Mills Corp. (The) 900 15,039 Moody's Corp. 216 14,122 Morgan Stanley 3,284 239,436 Municipal Mortgage & Equity LLC 504 14,319 National City Corp. 4,706 172,240 See Notes to Financial Statements. 14 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- National Financial Partners Corp. 252 $ 10,340 National Retail Properties, Inc. 576 12,442 Nationwide Financial Services, Inc. Class A 252 12,121 Nationwide Health Properties, Inc. 864 23,103 New Century Financial Corp. (a) 1,548 60,852 New Plan Excel Realty Trust, Inc. 900 24,345 New York Community Bancorp, Inc. 2,780 45,536 NewAlliance Bancshares, Inc. 792 11,603 Newcastle Investment Corp. 828 22,695 North Fork Bancorp., Inc. 2,888 82,712 Northern Trust Corp. 684 39,966 Northwest Bancorp, Inc. 450 11,475 NovaStar Financial, Inc. (a) 972 28,373 Nuveen Investments, Inc. Class A 270 13,832 Odyssey Re Holdings Corp. 450 15,201 Ohio Casualty Corp. 378 9,779 Old National Bancorp 576 11,002 Old Republic International Corp. 1,062 23,523 optionsXpress Holdings, Inc. 396 11,040 Pacific Capital Bancorp 324 8,738 Pan Pacific Retail Properties, Inc. 270 18,743 Park National Corp. 108 10,810 Pennsylvania Real Estate Investment Trust 342 14,559 People's Bank 684 27,093 Phoenix Cos., Inc. (The) 810 11,340 Plum Creek Timber Co., Inc. 1,440 49,018 PMI Group, Inc. (The) 252 11,040 PNC Financial Services Group, Inc. (The) 1,584 114,745 Post Properties, Inc. 306 14,541 Potlatch Corp. 324 12,020 Principal Financial Group, Inc. 666 36,150 Progressive Corp. (The) 691 16,957 ProLogis 1,332 76,004 Prosperity Bancshares, Inc. 342 11,642 Protective Life Corp. 252 11,529 Provident Bankshares Corp. 306 11,337 Provident Financial Services, Inc. 612 11,328 Prudential Financial, Inc. 918 69,998 PS Business Parks, Inc. 198 11,939 Public Storage, Inc. 797 68,534 Radian Group, Inc. 291 17,460 RAIT Investment Trust 244 7,039 Raymond James Financial, Inc. 396 11,579 Rayonier, Inc. 558 21,092 Realty Income Corp. 918 22,684 Reckson Associates Realty Corp. 558 23,882 Redwood Trust, Inc. 288 14,507 Regency Centers Corp. 432 29,704 Regions Financial Corp. 3,284 120,818 Reinsurance Group of America, Inc. 234 12,152 RLI Corp. 234 11,885 Safeco Corp. 432 25,458 Saxon Capital, Inc. 1,728 24,261 SEI Investments Co. 252 14,160 Selective Insurance Group, Inc. 198 10,417 Senior Housing Properties Trust 900 19,206 Simon Property Group, Inc. 1,440 130,493 Sky Financial Group, Inc. 666 16,583 SL Green Realty Corp. 180 20,106 SLM Corp. 1,278 66,430 South Financial Group, Inc. (The) 414 10,776 Sovereign Bancorp, Inc. 1,044 22,456 Spirit Finance Corp. 1,008 11,703 St. Joe Co. (The) (a) 252 13,827 St. Paul Travelers Cos., Inc. (The) 2,744 128,666 Stancorp Financial Group, Inc. 234 10,443 State Auto Financial Corp. 324 9,898 State Street Corp. 756 47,174 Sterling Financial Corp./WA 378 12,259 Strategic Hotels & Resorts, Inc. 558 11,093 Student Loan Corp. 72 13,837 Sunstone Hotel Investors, Inc. 432 12,839 SunTrust Banks, Inc. 2,204 170,325 Susquehanna Bancshares, Inc. 486 11,878 Synovus Financial Corp. 1,620 47,579 T. Rowe Price Group, Inc. 684 32,729 Taubman Centers, Inc. 288 12,793 TCF Financial Corp. 846 22,241 TD Banknorth Inc. 1,242 35,869 Texas Regional Bancshares, Inc. Class A 324 12,458 Thornburg Mortgage, Inc. (a) 1,944 49,514 Torchmark Corp. 198 12,496 Transatlantic Holdings, Inc. 198 11,961 Trizec Properties, Inc. 864 24,978 Trustmark Corp. 360 11,315 Trustreet Properties Inc. 1,062 13,286 U.S. Bancorp 14,116 468,935 UCBH Holdings, Inc. 630 11,000 UMB Financial Corp. 342 12,507 Umpqua Holdings Corp. 414 11,840 UnionBanCal Corp. 594 36,175 United Bankshares, Inc. 306 11,389 United Dominion Realty Trust, Inc. 1,062 32,072 Unitrin, Inc. 468 20,672 UnumProvident Corp. 774 15,008 U-Store-It Trust 332 7,125 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 15 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Valley National Bancorp 720 $ 18,410 Ventas, Inc. 882 33,992 Vornado Realty Trust 846 92,214 W.R. Berkley Corp. 534 18,898 Wachovia Corp. 10,815 603,478 Waddell & Reed Financial, Inc. Class A 522 12,920 Washington Federal, Inc. 522 11,714 Washington Mutual, Inc. 8,430 366,453 Washington Real Estate Investment Trust 342 13,612 Webster Financial Corp. 234 11,024 Weingarten Realty Investors 738 31,749 Wells Fargo & Co. 19,923 720,815 Wesco Financial Corp. 36 15,732 Westamerica Bancorp. 234 11,819 Whitney Holding Corp. 342 12,233 Wilmington Trust Corp. 342 15,236 Wintrust Financial Corp. 216 10,832 Zenith National Insurance Corp. 288 11,488 Zions Bancorp. 324 25,858 ------------ Total Financials 16,415,374 -------------------------------------------------------------------------------- Health Care--10.0% Abbott Laboratories 7,746 376,146 Aetna, Inc. 270 10,679 Allergan, Inc. 108 12,162 AmerisourceBergen Corp. 270 12,204 Applera Corp. 378 12,516 Baxter International, Inc. 1,746 79,373 Becton Dickinson & Co. 612 43,250 Biomet, Inc. 324 10,430 Bristol-Myers Squibb Co. 16,194 403,554 Brookdale Senior Living, Inc. 432 20,053 C.R. Bard, Inc. 162 12,150 Cardinal Health, Inc. 234 15,383 Cigna Corp. 126 14,656 DENTSPLY International, Inc. 360 10,840 Eli Lilly & Co. 5,902 336,414 HCA, Inc. 1,044 52,085 Health Management Associates Inc. Class A 540 11,286 Hillenbrand Industries, Inc. 127 7,236 IMS Health, Inc. 414 11,029 Johnson & Johnson 12,098 785,644 Manor Care, Inc. 234 12,234 McKesson Corp. 252 13,285 Medtronic, Inc. 1,656 76,905 Merck & Co., Inc. 17,196 720,512 Mylan Laboratories, Inc. 540 10,870 Omnicare, Inc. 252 10,859 Pfizer, Inc. 51,592 1,463,150 Pharmaceutical Product Development, Inc. 306 10,921 Quest Diagnostics, Inc. 270 16,513 Schering-Plough Corp. 3,104 68,567 Stryker Corp. 252 12,497 UnitedHealth Group, Inc. 252 12,398 Wyeth 5,002 254,302 ------------ Total Health Care 4,920,103 -------------------------------------------------------------------------------- Industrials--9.7% 3M Co. 3,320 247,073 American Power Conversion Corp. 612 13,440 American Standard Cos., Inc. 612 25,686 Ametek, Inc. 270 11,759 Aramark Corp. Class B 342 11,238 Avery Dennison Corp. 522 31,409 Avis Budget Group, Inc. 394 7,206 Boeing Co. (The) 2,222 175,204 Brink's Co. (The) 216 11,461 Burlington Northern Santa Fe Corp. 648 47,589 C.H. Robinson Worldwide, Inc. 324 14,444 Carlisle Cos., Inc. 144 12,110 Caterpillar, Inc. 1,692 111,334 Cintas Corp. 436 17,802 Con-way Inc. 198 8,874 Crane Co. 288 12,038 CSX Corp. 684 22,456 Cummins, Inc. 108 12,877 Deere & Co. 828 69,477 Deluxe Corp. 558 9,542 Donaldson Co., Inc. 360 13,284 Dover Corp. 504 23,910 Eaton Corp. 504 34,700 Emerson Electric Co. 1,584 132,834 Equifax, Inc. 324 11,894 Expeditors International Washington, Inc. 405 18,055 Fastenal Co. 288 11,108 FedEx Corp. 162 17,606 Fluor Corp. 144 11,072 General Dynamics Corp. 1,044 74,823 General Electric Co. 54,539 1,925,226 Goodrich Corp. 396 16,046 Graco, Inc. 252 9,843 Harsco Corp. 144 11,182 HNI Corp. 234 9,730 Honeywell International, Inc. 3,194 130,635 Hubbell, Inc. Class B 234 11,209 IDEX Corp. 252 10,849 Illinois Tool Works, Inc. 1,386 62,231 ITT Industries, Inc. 252 12,920 See Notes to Financial Statements. 16 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- JB Hunt Transport Services, Inc. 468 $ 9,720 Joy Global, Inc. 234 8,801 Kennametal, Inc. 198 11,217 L-3 Communications Holdings, Inc. 198 15,509 Laidlaw International, Inc. 450 12,299 Landstar System, Inc. 252 10,760 Lincoln Electric Holdings, Inc. 198 10,781 Lockheed Martin Corp. 1,278 109,985 Manitowoc Co., Inc. (The) 288 12,900 Manpower, Inc. 180 11,029 Masco Corp. 2,042 55,992 MSC Industrial Direct Co. Class A 252 10,266 Norfolk Southern Corp. 918 40,438 Northrop Grumman Corp. 954 64,939 Oshkosh Truck Corp. 216 10,902 Paccar, Inc. 648 36,949 Pall Corp. 396 12,201 Parker Hannifin Corp. 252 19,588 Pentair, Inc. 342 8,957 Pitney Bowes, Inc. 1,224 54,309 Precision Castparts Corp. 216 13,643 Raytheon Co. 1,692 81,233 Republic Services, Inc. 324 13,028 Robert Half International, Inc. 288 9,783 Rockwell Automation, Inc. 396 23,008 Rockwell Collins, Inc. 270 14,807 Roper Industries, Inc. 252 11,274 RR Donnelley & Sons Co. 1,242 40,936 Ryder System, Inc. 198 10,233 Southwest Airlines Co. 1,130 18,826 SPX Corp. 216 11,543 Steelcase Inc. Class A 648 10,167 Teleflex, Inc. 198 11,017 Textron, Inc. 378 33,075 Timken Co. (The) 396 11,793 Toro Co. (The) 234 9,868 Trinity Industries, Inc. 324 10,423 Union Pacific Corp. 612 53,856 United Parcel Service Inc. Class B 2,240 161,146 United Technologies Corp. 2,780 176,112 W.W. Grainger, Inc. 198 13,270 Waste Management, Inc. 2,456 90,086 ------------ Total Industrials 4,778,845 -------------------------------------------------------------------------------- Information Technology--4.6% Amphenol Corp. Class A 216 13,377 Analog Devices, Inc. 1,116 32,799 Applied Materials, Inc. 3,284 58,225 Automatic Data Processing, Inc. 1,692 80,099 CA, Inc. 612 14,498 CDW Corp. 198 12,213 Diebold, Inc. 270 11,753 Electronic Data Systems Corp. 684 16,772 Fidelity National Information Services, Inc. 306 11,322 First Data Corp. 702 29,484 Global Payments, Inc. 252 11,091 Harris Corp. 288 12,813 Hewlett-Packard Co. 4,966 182,203 Intel Corp. 22,042 453,404 International Business Machines Corp. 2,744 224,843 Intersil Corp. Class A 486 11,931 KLA-Tencor Corp. 360 16,009 Linear Technology Corp. 936 29,128 Maxim Integrated Products, Inc. 774 21,726 Microchip Technology, Inc. 792 25,677 Microsoft Corp. 24,955 682,021 Molex, Inc. 324 12,626 MoneyGram International, Inc. 324 9,415 Motorola, Inc. 3,158 78,950 National Semiconductor Corp. 468 11,012 Paychex, Inc. 1,062 39,135 Qualcomm, Inc. 2,132 77,498 Sabre Holdings Corp. Class A 522 12,210 Symbol Technologies, Inc. 1,008 14,979 Texas Instruments, Inc. 1,080 35,910 Total System Services, Inc. 612 13,972 Xilinx, Inc. 684 15,014 ------------ Total Information Technology 2,272,109 -------------------------------------------------------------------------------- Materials--4.1% Air Products & Chemicals, Inc. 810 53,760 Airgas, Inc. 306 11,068 Albemarle Corp. 252 13,691 Alcoa, Inc. 3,104 87,036 Allegheny Technologies, Inc. 288 17,911 Ashland, Inc. 198 12,628 Ball Corp. 306 12,378 Bemis Co. 450 14,787 Cabot Corp. 342 12,722 Carpenter Technology Corp. 108 11,611 Celanese Corp. Series A 594 10,633 Chemtura Corp. 1,242 10,768 Commercial Metals Co. 504 10,246 Cytec Industries, Inc. 198 11,007 Dow Chemical Co. (The) 6,478 252,511 E.I. du Pont de Nemours & Co. 5,830 249,757 Eagle Materials, Inc. 270 9,094 Eastman Chemical Co. 504 27,226 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 17 Schedule of Investments (unaudited) (continued) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Ecolab, Inc. 486 $ 20,811 Florida Rock Industries, Inc. 234 9,058 FMC Corp. 180 11,533 Freeport-McMoRan Copper & Gold Inc. Class B 702 37,389 International Flavors & Fragrances, Inc. 342 13,523 International Paper Co. 2,564 88,791 Louisiana-Pacific Corp. 504 9,460 Lubrizol Corp. 288 13,170 Lyondell Chemical Co. 2,024 51,349 Martin Marietta Materials, Inc. 126 10,662 MeadWestvaco Corp. 1,098 29,108 Monsanto Co. 900 42,309 Newmont Mining Corp. 612 26,163 Nucor Corp. 432 21,380 Packaging Corp. of America 828 19,210 Phelps Dodge Corp. 342 28,967 PPG Industries, Inc. 882 59,165 Praxair, Inc. 1,062 62,828 Reliance Steel & Aluminum Co. 288 9,256 Rohm & Haas Co. 936 44,320 RPM International, Inc. 756 14,356 Scotts Miracle-Gro Co. (The) Class A 270 12,012 Sealed Air Corp. 216 11,690 Sigma-Aldrich Corp. 162 12,259 Sonoco Products Co. 486 16,349 Southern Copper Corp. (a) 3,464 320,419 Steel Dynamics, Inc. 216 10,897 Temple-Inland, Inc. 450 18,045 United States Steel Corp. 298 17,189 Valhi, Inc. 468 10,881 Valspar Corp. (The) 414 11,012 Vulcan Materials Co. 306 23,945 Weyerhaeuser Co. 1,224 75,313 ------------ Total Materials 1,991,653 -------------------------------------------------------------------------------- Telecommunication Services--5.7% ALLTEL Corp. 1,674 92,907 AT&T, Inc. 34,747 1,131,361 BellSouth Corp. 10,886 465,377 CenturyTel, Inc. 306 12,139 Citizens Communications Co. 4,472 62,787 Commonwealth Telephone Enterprises, Inc. 342 14,101 Consolidated Communications Holdings, Inc. 54 1,010 FairPoint Communications, Inc. 408 7,099 Iowa Telecommunications Services, Inc. 630 12,468 Sprint Nextel Corp. 1,988 34,094 Telephone & Data Systems, Inc. 288 12,125 Telephone & Data Systems, Inc. Special Shares 288 11,765 Verizon Communications, Inc. 25,362 941,691 ------------ Total Telecommunication Services 2,798,924 -------------------------------------------------------------------------------- Utilities--6.9% AGL Resources, Inc. 576 21,024 ALLETE, Inc. 388 16,859 Alliant Energy Corp. 756 27,012 Ameren Corp. 1,890 99,773 American Electric Power Co., Inc. 3,104 112,892 Aqua America Inc. 831 18,232 Atmos Energy Corp. 684 19,528 Avista Corp. 504 11,935 Black Hills Corp. 324 10,890 CenterPoint Energy, Inc. 2,816 40,325 Cleco Corp. 504 12,721 Consolidated Edison, Inc. 2,348 108,478 Constellation Energy Group, Inc. 882 52,214 Dominion Resources, Inc. 2,510 191,990 DPL, Inc. 846 22,944 DTE Energy Co. 1,656 68,741 Duke Energy Corp. 7,926 239,364 Duquesne Light Holdings, Inc. 846 16,632 Edison International 1,548 64,459 Energen Corp. 324 13,566 Energy East Corp. 1,278 30,314 Entergy Corp. 1,188 92,937 Equitable Resources, Inc. 486 17,000 Exelon Corp. 3,644 220,607 FirstEnergy Corp. 2,186 122,110 FPL Group, Inc. 2,654 119,430 Great Plains Energy, Inc. 792 24,568 Hawaiian Electric Industries, Inc. 666 18,022 IDACORP, Inc. 324 12,250 KeySpan Corp. 1,440 59,242 MDU Resources Group, Inc. 733 16,375 National Fuel Gas Co. 540 19,629 New Jersey Resources Corp. 252 12,424 Nicor, Inc. 378 16,163 NiSource, Inc. 2,240 48,698 Northeast Utilities 990 23,037 Northwest Natural Gas Co. 324 12,727 NorthWestern Corp. 516 18,050 NSTAR 810 27,022 OGE Energy Corp. 738 26,649 ONEOK, Inc. 720 27,209 Ormat Technologies, Inc. 324 10,601 See Notes to Financial Statements. 18 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (concluded) WisdomTree Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Peoples Energy Corp. 414 $ 16,829 PG&E Corp. 2,114 88,048 Piedmont Natural Gas Co. Inc. 540 13,667 Pinnacle West Capital Corp. 900 40,545 PNM Resources, Inc. 450 12,407 PPL Corp. 2,564 84,356 Progress Energy, Inc. 2,510 113,904 Public Service Enterprise Group, Inc. 1,620 99,128 Puget Energy, Inc. 972 22,094 Questar Corp. 198 16,190 SCANA Corp. 882 35,518 Sempra Energy 1,224 61,506 Southern Co. 6,100 210,206 Southern Union Co. 706 18,645 Southwest Gas Corp. 378 12,595 TECO Energy, Inc. 1,764 27,607 TXU Corp. 3,068 191,811 UGI Corp. 594 14,523 UniSource Energy Corp. 360 11,999 Vectren Corp. 630 16,916 Westar Energy, Inc. 738 17,350 Wisconsin Energy Corp. 486 20,966 WPS Resources Corp. 324 16,080 Xcel Energy, Inc. 3,464 71,532 ------------ Total Utilities 3,379,065 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $46,794,624) 48,757,923 ================================================================================ SHORT-TERM INVESTMENT--0.6% MONEY MARKET FUND--0.6% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $272,447) 272,447 272,447 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED -1.0% MONEY MARKET FUNDS (c) - 1.0% UBS Enhanced Yield Portfolio, 5.30% 100,000 100,000 UBS Private Money Market Fund LLC, 5.23% 397,150 397,150 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $497,150) (d) 497,150 ================================================================================ TOTAL INVESTMENTS IN SECURITIES--100.9% (Cost: $47,564,221) (e) 49,527,520 Liabilities in Excess of Cash and Other Assets -- (0.9)% (419,419) ------------ NET ASSETS--100.0% $49,108,101 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $481,757 and the total market value of the collateral held by the Fund was $497,150. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 19 Schedule of Investments (unaudited) WisdomTree High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS--99.2% Consumer Discretionary--1.5% American Axle & Manufacturing Holdings, Inc. 630 $ 10,515 Bandag, Inc. Class A 126 4,379 Bassett Furniture Industries, Inc. 168 2,728 Carmike Cinemas, Inc. 126 2,165 Cherokee, Inc. 189 6,919 Citadel Broadcasting Corp. 2,583 24,280 Cooper Tire & Rubber Co. 630 6,338 Entercom Communications Corp. 630 15,876 General Motors Corp. 9,416 313,176 Genuine Parts Co. 1,890 81,516 Hanesbrands, Inc.* 919 20,687 Kimball International, Inc. Class B 378 7,295 Lone Star Steakhouse & Saloon, Inc. 210 5,832 Mattel, Inc. 3,809 75,037 Newell Rubbermaid, Inc. 3,234 91,587 Pier 1 Imports, Inc. 1,050 7,791 Pre-Paid Legal Services, Inc. (a) 189 7,498 Regal Entertainment Group Class A 1,470 29,135 Russ Berrie & Co., Inc. 189 2,880 ServiceMaster Co. (The) 3,494 39,168 Sinclair Broadcast Group, Inc. Class A 819 6,429 Snap-On, Inc. 588 26,195 Sturm Ruger & Co., Inc. 483 3,738 Superior Industries International, Inc. (a) 315 5,289 Tuesday Morning Corp. 504 6,996 Tupperware Brands Corp. 903 17,572 Westwood One, Inc. 1,113 7,880 World Wrestling Entertainment, Inc. 441 7,246 Xerium Technologies, Inc. 1,491 16,520 ------------ Total Consumer Discretionary 852,667 -------------------------------------------------------------------------------- Consumer Staples--9.3% Altria Group, Inc. 33,779 2,585,782 Coca-Cola Co. (The) 25,115 1,122,138 ConAgra Foods, Inc. 6,182 151,335 H.J. Heinz Co. Ltd. 3,767 157,950 Ingles Markets, Inc. Class A 147 3,878 Kimberly-Clark Corp. 5,672 370,722 Kraft Foods, Inc. Class A (a) 5,258 187,500 Lance, Inc. 294 6,474 Loews Corp./Carolina Group 1,140 63,145 Reddy Ice Holdings, Inc. 525 12,705 Reynolds American, Inc. 5,048 312,825 Sara Lee Corp. 11,902 191,265 Universal Corp. 420 15,343 UST, Inc. 3,129 171,563 Vector Group Ltd. 1,565 25,384 WD-40 Co. 168 5,993 ------------ Total Consumer Staples 5,384,002 -------------------------------------------------------------------------------- Energy--3.2% Chevron Corp. 24,765 1,606,258 Crosstex Energy, Inc. 168 15,048 Kinder Morgan, Inc. 1,854 194,392 NGP Capital Resources Co. 294 4,289 ------------ Total Energy 1,819,987 -------------------------------------------------------------------------------- Financials--43.3% Acadia Realty Trust 357 9,104 Advance America Cash Advance Centers, Inc. 882 12,718 Agree Realty Corp. 168 5,519 Alexandria Real Estate Equities, Inc. 273 25,607 AMB Property Corp. 1,139 62,770 American Campus Communities, Inc. 315 8,036 American Capital Strategies Ltd. (a) 4,124 162,774 American Financial Realty Trust 4,250 47,430 American Home Mortgage Investment Corp. 2,058 71,762 American Land Lease, Inc. 105 2,494 AmSouth Bancorp. 4,712 136,836 Annaly Mortgage Management, Inc. 1,596 20,971 Anthracite Capital, Inc. 2,058 26,466 Apartment Investment & Management Co. Class A 1,764 95,979 Apollo Investment Corp. 2,814 57,715 Arbor Realty Trust, Inc. 630 16,103 Archstone-Smith Trust 2,688 146,335 Ares Capital Corp. 1,113 19,388 Arrow Financial Corp. 129 3,271 Arthur J. Gallagher & Co. 1,470 39,205 Ashford Hospitality Trust, Inc. 1,281 15,282 Associated Banc-Corp 1,533 49,823 Astoria Financial Corp. 1,155 35,597 AvalonBay Communities, Inc. 777 93,551 BancorpSouth, Inc. 882 24,484 Bank of America Corp. 73,139 3,918,057 Bank of Granite Corp. 158 2,761 Bank of Hawaii Corp. 504 24,273 BB&T Corp. 7,358 322,133 Beverly Hills Bancorp, Inc. 357 2,913 BioMed Realty Trust, Inc. 651 19,751 Boston Properties, Inc. 1,225 126,592 Brandywine Realty Trust 1,701 55,368 BRE Properties, Inc. Class A 714 42,647 Camden Property Trust 714 54,271 Capital Lease Funding, Inc. 714 7,918 See Notes to Financial Statements. 20 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Capital Trust, Inc. Class A 420 $ 17,107 CapitalSource, Inc. 4,796 123,833 Capitol Federal Financial 1,638 58,247 CBL & Associates Properties, Inc. 966 40,485 Cedar Shopping Centers, Inc. 588 9,508 CentraCore Properties Trust 294 9,335 Charter Financial Corp. 336 13,437 Chemical Financial Corp. 294 8,726 Cincinnati Financial Corp. 1,974 94,870 Citigroup, Inc. 74,208 3,685,912 Citizens Banking Corp. 630 16,544 City Holding Co. 189 7,535 Colonial Properties Trust 861 41,164 Comerica, Inc. 2,440 138,885 Commerce Group, Inc. 798 23,980 Community Bank System, Inc. 357 7,911 Community Banks, Inc. 252 6,754 Community Trust Bancorp, Inc. 168 6,325 Compass Bancshares, Inc. 1,495 85,185 Cousins Properties, Inc. 798 27,300 Crescent Real Estate Equities Co. 2,562 55,877 Developers Diversified Realty Corp. 1,750 97,580 DiamondRock Hospitality Co. 1,218 20,231 Digital Realty Trust, Inc. 357 11,181 Dime Community Bancshares 504 7,424 Duke Realty Corp. 2,373 88,632 EastGroup Properties, Inc. 315 15,706 Education Realty Trust, Inc. 714 10,539 Entertainment Properties Trust 609 30,036 Equity Inns, Inc. 903 14,376 Equity Office Properties Trust 5,174 205,718 Equity One, Inc. 1,323 31,712 Equity Residential 3,914 197,970 Erie Indemnity Co. Class A 588 30,794 Essex Property Trust, Inc. 294 35,692 Extra Space Storage, Inc. 966 16,721 Federal Realty Investment Trust 588 43,688 FelCor Lodging Trust, Inc. 609 12,210 Fidelity National Financial, Inc. 1,743 72,596 Fidelity National Title Group, Inc. Class A 567 11,884 Fieldstone Investment Corp. 2,814 24,566 Fifth Third Bancorp 7,610 289,789 First Bancorp 168 3,424 First Busey Corp. 231 5,246 First Charter Corp. 336 8,084 First Commonwealth Financial Corp. 1,176 15,323 First Community Bancshares, Inc. 126 4,205 First Financial Bancorp 525 8,353 First Financial Bankshares, Inc. 210 8,012 First Financial Corp. 126 4,021 First Financial Holdings, Inc. 126 4,312 First Horizon National Corp. 1,953 74,234 First Indiana Corp. 168 4,370 First Industrial Realty Trust, Inc. 1,029 45,276 First Merchants Corp. 231 5,463 First Midwest Bancorp, Inc. 525 19,892 First Niagara Financial Group, Inc. 1,197 17,452 First Potomac Realty Trust 315 9,519 FirstMerit Corp. 1,302 30,167 Flagstar Bancorp, Inc. 882 12,833 FNB Corp. 1,134 18,892 Franklin Street Properties Corp. 1,260 25,024 Freddie Mac 7,667 508,552 Friedman, Billings, Ramsey Group, Inc. Class A (a) 4,859 39,018 Fulton Financial Corp. 2,079 33,659 General Growth Properties, Inc. 2,835 135,088 Getty Realty Corp. 546 15,987 Gladstone Capital Corp. 294 6,471 Gladstone Investment Corp. 315 4,599 Glenborough Realty Trust Inc. 735 18,912 Glimcher Realty Trust 861 21,336 Global Signal, Inc. 1,050 53,109 GMH Communities Trust 1,113 14,046 Gramercy Capital Corp. 651 16,412 Harbor Florida Bancshares, Inc. 252 11,166 Harleysville National Corp. 334 6,713 Health Care Property Investors, Inc. 2,877 89,331 Health Care REIT, Inc. 1,365 54,614 Healthcare Realty Trust, Inc. 1,197 45,977 Heritage Property Investment Trust, Inc. 882 32,158 Highland Hospitality Corp. 1,050 15,047 Highwoods Properties, Inc. 966 35,945 Home Properties, Inc. 634 36,239 HomeBanc Corp. 2,562 15,756 Hospitality Properties Trust 1,701 80,287 HRPT Properties Trust 5,321 63,586 Huntington Bancshares, Inc. 3,662 87,632 IMPAC Mortgage Holdings, Inc. (a) 2,793 26,170 Independent Bank Corp./MI 227 5,512 IndyMac Bancorp, Inc. 966 39,761 Inland Real Estate Corp. 1,407 24,651 Innkeepers USA Trust 525 8,552 Integra Bank Corp. 168 4,247 Investors Real Estate Trust 1,155 11,273 iStar Financial, Inc. 3,213 133,982 JER Investors Trust Inc. 714 12,252 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 21 Schedule of Investments (unaudited) (continued) WisdomTree High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- JPMorgan Chase & Co. 40,786 $ 1,915,311 KeyCorp 5,384 201,577 Kilroy Realty Corp. 294 22,150 Kimco Realty Corp. 2,604 111,633 Kite Realty Group Trust 462 7,872 KKR Financial Corp. 2,037 49,988 LaSalle Hotel Properties 399 17,293 Lexington Corporate Properties Trust 1,323 28,021 Liberty Property Trust 1,638 78,280 Lincoln National Corp. 3,387 210,265 Longview Fibre Co. 834 16,947 LTC Properties, Inc. 504 12,222 Macerich Co. (The) 966 73,764 Mack-Cali Realty Corp. 1,176 60,917 Maguire Properties, Inc. 714 29,088 MainSource Financial Group, Inc. 147 2,495 MBT Financial Corp. 252 3,740 MCG Capital Corp. 2,247 36,694 Medallion Financial Corp. 294 3,243 Medical Properties Trust, Inc. 1,113 14,903 Mercury General Corp. 672 33,338 MFA Mortgage Investments, Inc. 882 6,571 Mid-America Apartment Communities, Inc. 378 23,141 Mills Corp. (The) 1,785 29,827 Mission West Properties, Inc. 357 4,073 MortgageIT Holdings, Inc. 924 13,010 Municipal Mortgage & Equity LLC 987 28,041 MVC Capital, Inc. 273 3,538 National City Corp. 9,248 338,477 National Health Investors, Inc. 735 20,823 National Penn Bancshares, Inc. 521 10,222 National Retail Properties, Inc. 1,113 24,041 Nationwide Health Properties, Inc. 1,722 46,046 NBT Bancorp, Inc. 399 9,281 New Century Financial Corp. 3,045 119,699 New Plan Excel Realty Trust, Inc. 1,785 48,284 New York Community Bancorp, Inc. 5,489 89,910 Newcastle Investment Corp. 1,638 44,898 Newkirk Realty Trust, Inc. 609 10,036 North Fork Bancorp., Inc. 5,699 163,219 NorthStar Realty Finance Corp. 1,050 13,335 NovaStar Financial, Inc. (a) 1,932 56,395 OceanFirst Financial Corp. 147 3,153 Old National Bancorp 924 17,648 Omega Financial Corp. 168 5,052 Omega Healthcare Investors, Inc. 1,344 20,173 Pan Pacific Retail Properties, Inc. 598 41,513 Park National Corp. 210 21,019 Parkway Properties, Inc. 294 13,668 Pennsylvania Real Estate Investment Trust 672 28,607 Peoples Bancorp, Inc. 105 3,069 Plum Creek Timber Co., Inc. 2,814 95,789 PNC Financial Services Group, Inc. (The) 3,198 231,663 Post Properties, Inc. 588 27,942 Potlatch Corp. 630 23,373 ProLogis 2,671 152,407 Provident Bankshares Corp. 357 13,227 Public Storage, Inc. 256 22,013 RAIT Investment Trust 840 24,234 Ramco-Gershenson Properties Trust 357 11,406 Rayonier, Inc. 1,134 42,865 Realty Income Corp. 1,827 45,145 Reckson Associates Realty Corp. 1,071 45,839 Redwood Trust, Inc. 567 28,560 Regency Centers Corp. 882 60,646 Regions Financial Corp. 6,455 237,479 Republic Bancorp, Inc. 966 12,877 S&T Bancorp, Inc. 294 9,555 Saul Centers, Inc. 231 10,395 Saxon Capital, Inc. 3,410 47,876 Senior Housing Properties Trust 1,806 38,540 Simon Property Group, Inc. 2,912 263,885 Sky Financial Group, Inc. 1,344 33,466 Sovran Self Storage, Inc. 273 15,165 Spirit Finance Corp. 1,995 23,162 Sterling Bancorp 252 4,954 Strategic Hotels & Resorts, Inc. 819 16,282 Sun Communities, Inc. 441 14,094 Sunstone Hotel Investors, Inc. 840 24,965 SunTrust Banks, Inc. 4,421 341,655 Susquehanna Bancshares, Inc. 609 14,884 Synovus Financial Corp. 3,192 93,749 Tanger Factory Outlet Centers, Inc. 399 14,212 Taubman Centers, Inc. 525 23,321 TCF Financial Corp. 1,701 44,719 TD Banknorth Inc. 2,415 69,745 Technology Investment Capital Corp. 567 8,295 Thornburg Mortgage, Inc. (a) 3,830 97,550 Trizec Properties, Inc. 1,743 50,390 TrustCo Bank Corp. 1,407 15,252 Trustreet Properties Inc. 2,079 26,008 U.S. Bancorp 27,918 927,436 United Bankshares, Inc. 420 15,632 United Community Financial Corp. 315 3,881 United Dominion Realty Trust, Inc. 2,079 62,786 Unitrin, Inc. 903 39,886 See Notes to Financial Statements. 22 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Universal Health Realty Income Trust 252 $ 9,034 Univest Corp. of Pennsylvania 126 3,640 Urstadt Biddle Properties, Inc. Class A 336 6,105 U-Store-It Trust 1,176 25,237 Valley National Bancorp 1,428 36,514 Ventas, Inc. 1,764 67,985 Vornado Realty Trust 1,726 188,134 Wachovia Corp. 21,233 1,184,801 Washington Federal, Inc. 1,008 22,620 Washington Mutual, Inc. 16,672 724,732 Washington Real Estate Investment Trust 651 25,910 Weingarten Realty Investors 1,449 62,336 Wells Fargo & Co. 39,124 1,415,506 WesBanco, Inc. 252 7,363 West Bancorp, Inc. 193 3,302 Whitney Holding Corp. 672 24,037 Willow Grove Bancorp, Inc. 147 2,302 Wilmington Trust Corp. 651 29,002 Windrose Medical Properties Trust 378 6,683 Winston Hotels, Inc. 504 6,209 ------------ Total Financials 25,011,178 -------------------------------------------------------------------------------- Health Care--11.3% Abbott Laboratories 15,304 743,162 Bristol-Myers Squibb Co. 32,012 797,739 Brookdale Senior Living, Inc. 840 38,993 Computer Programs & Systems, Inc. 105 3,441 Eli Lilly & Co. 11,699 666,843 Merck & Co., Inc. 33,803 1,416,346 Pfizer, Inc. 101,549 2,879,929 ------------ Total Health Care 6,546,453 -------------------------------------------------------------------------------- Industrials--7.0% American Ecology Corp. 189 3,731 BlueLinx Holdings, Inc. 336 3,199 Deluxe Corp. 1,113 19,032 Ennis, Inc. 294 6,365 General Electric Co. 107,371 3,790,197 Horizon Lines, Inc. Class A 399 6,663 Hubbell, Inc. Class A 84 3,746 LSI Industries, Inc. 189 3,071 Pitney Bowes, Inc. 2,394 106,222 R.R. Donnelley & Sons Co. 2,436 80,291 Standard Register Co. (The) 504 6,653 Synagro Technologies, Inc. 2,079 8,773 UAP Holding Corp. 609 13,014 ------------ Total Industrials 4,050,957 -------------------------------------------------------------------------------- Information Technology--0.0% Landauer, Inc. 105 5,329 Spectralink Corp.* 70 575 Startek, Inc. 315 3,928 United Online, Inc. 1,407 17,137 ------------ Total Information Technology 26,969 -------------------------------------------------------------------------------- Materials--4.0% Chesapeake Corp. 441 6,311 Compass Minerals International, Inc. 546 15,457 Dow Chemical Co. (The) 12,679 494,227 E.I. du Pont de Nemours & Co. 11,440 490,090 Eastman Chemical Co. 987 53,318 Ferro Corp. 420 7,468 Great Northern Iron Ore Properties 63 6,514 International Paper Co. 5,048 174,812 Kronos Worldwide, Inc. 567 16,324 Lyondell Chemical Co. 3,977 100,896 MeadWestvaco Corp. 2,163 57,341 NL Industries, Inc. (a) 798 7,932 Olin Corp. 945 14,515 Packaging Corp. of America 1,638 38,002 PPG Industries, Inc. 1,819 122,019 Quaker Chemical Corp. 126 2,451 RPM International, Inc. 1,491 28,314 Sensient Technologies Corp. 546 10,685 Southern Copper Corp. (a) 6,891 637,418 Stepan Co. 84 2,455 Wellman, Inc. 357 1,424 Worthington Industries, Inc. 1,050 17,913 ------------ Total Materials 2,305,886 -------------------------------------------------------------------------------- Telecommunication Services--9.0% Alaska Communications Systems Group, Inc. 1,029 13,655 AT&T, Inc. 68,364 2,225,932 BellSouth Corp. 21,551 921,305 Citizens Communications Co. 8,786 123,355 Commonwealth Telephone Enterprises, Inc. 441 18,182 Consolidated Communications Holdings, Inc. 987 18,467 CT Communications, Inc. 189 4,105 FairPoint Communications, Inc. 1,428 24,847 Iowa Telecommunications Services, Inc. 924 18,286 North Pittsburgh Systems, Inc. 168 4,229 SureWest Communications 210 4,089 Verizon Communications, Inc. 49,878 1,851,970 ------------ Total Telecommunication Services 5,228,422 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 23 Schedule of Investments (unaudited) (concluded) WisdomTree High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Utilities--10.6% AGL Resources, Inc. 1,134 $ 41,391 ALLETE, Inc. 336 14,599 Alliant Energy Corp. 1,533 54,774 Ameren Corp. 3,704 195,534 American Electric Power Co., Inc. 6,077 221,020 Atmos Energy Corp. 1,386 39,570 Black Hills Corp. 462 15,528 Cascade Natural Gas Corp. 189 4,931 CenterPoint Energy, Inc. 5,552 79,505 Central Vermont Public Service Corp. 189 4,179 CH Energy Group, Inc. 252 12,970 Cleco Corp. 714 18,021 Connecticut Water Service, Inc. 84 1,855 Consolidated Edison, Inc. 4,607 212,843 Constellation Energy Group, Inc. 1,828 108,218 Dominion Resources, Inc. 5,029 384,668 DPL, Inc. 1,659 44,992 DTE Energy Co. 3,234 134,243 Duke Energy Corp. 14,002 422,860 Duquesne Light Holdings, Inc. 1,680 33,029 Empire District Electric Co. (The) 525 11,750 Energy East Corp. 2,499 59,276 Entergy Corp. 2,352 183,997 Exelon Corp. 7,275 440,429 FirstEnergy Corp. 4,404 246,007 FPL Group, Inc. 5,237 235,665 Great Plains Energy, Inc. 1,575 48,857 Hawaiian Electric Industries, Inc. 1,323 35,800 IDACORP, Inc. 546 20,644 ITC Holdings Corp. 462 14,414 KeySpan Corp. 2,814 115,768 Laclede Group, Inc. (The) 315 10,105 MGE Energy, Inc. 294 9,520 Middlesex Water Co. 147 2,827 National Fuel Gas Co. 1,050 38,168 New Jersey Resources Corp. 315 15,530 Nicor, Inc. 735 31,429 NiSource, Inc. 4,397 95,591 Northeast Utilities 1,953 45,446 Northwest Natural Gas Co. 378 14,848 NorthWestern Corp. 504 17,630 NSTAR 1,617 53,943 OGE Energy Corp. 1,470 53,082 ONEOK, Inc. 1,449 54,758 Otter Tail Corp. 420 12,281 Peoples Energy Corp. 819 33,292 PG&E Corp. 4,166 173,514 Piedmont Natural Gas Co. Inc. 1,071 27,107 Pinnacle West Capital Corp. 1,806 81,360 PNM Resources, Inc. 861 23,738 PPL Corp. 5,048 166,079 Progress Energy, Inc. 4,922 223,360 Public Service Enterprise Group, Inc. 3,275 200,397 Puget Energy, Inc. 1,932 43,914 SCANA Corp. 1,743 70,191 South Jersey Industries, Inc. 336 10,050 Southern Co. 11,965 412,314 Southwest Gas Corp. 399 13,295 TECO Energy, Inc. 3,494 54,681 TXU Corp. 6,182 386,499 UGI Corp. 1,197 29,267 UIL Holdings Corp. 486 18,225 Vectren Corp. 1,260 33,831 Westar Energy, Inc. 1,491 35,053 WPS Resources Corp. 651 32,309 Xcel Energy, Inc. 6,791 140,234 ------------ Total Utilities 6,121,205 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS(Cost: $55,236,051) 57,347,726 ================================================================================ SHORT-TERM INVESTMENT--0.5% MONEY MARKET FUND--0.5% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $282,908) 282,908 282,908 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED -1.5% MONEY MARKET FUNDS (c) - 1.5% UBS Enhanced Yield Portfolio, 5.30% 800,000 800,000 UBS Private Money Market Fund LLC, 5.23% 79,100 79,100 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $879,100) (d) 879,100 ================================================================================ TOTAL INVESTMENTS IN SECURITIES--101.2% (Cost: $56,398,059) (e) 58,509,734 Liabilities in Excess of Cash and Other Assets -- (1.2) % (731,782) ------------ NET ASSETS--100.0% $57,777,952 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $854,248 and the total market value of the collateral held by the Fund was $879,100. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 24 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) WisdomTree LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS--99.4% Consumer Discretionary--5.0% Best Buy Co., Inc. 1,292 $ 69,200 CBS Corp. Class B 8,710 245,361 Centex Corp. 152 7,998 Clear Channel Communications, Inc. 6,123 176,649 D.R. Horton, Inc. 1,710 40,955 Eastman Kodak Co. 2,318 51,923 Federated Department Stores, Inc. 3,536 152,791 Fortune Brands, Inc. 1,249 93,812 Gannett Co., Inc. 2,090 118,775 Gap, Inc. (The) 6,734 127,609 General Motors Corp. 12,249 407,401 Genuine Parts Co. 2,472 106,617 Hanesbrands, Inc.* 1,624 36,556 Harley-Davidson, Inc. 1,710 107,303 Harrah's Entertainment, Inc. 1,634 108,547 Hilton Hotels Corp. 1,102 30,691 Home Depot, Inc. (The) (a) 13,845 502,157 International Game Technology 2,166 89,889 J.C. Penney Co., Inc. 1,331 91,027 Johnson Controls, Inc. 1,367 98,069 Lennar Corp. Class A 608 27,512 Limited Brands, Inc. 4,451 117,907 Lowe's Cos., Inc. 2,662 74,696 Marriott International Inc. Class A 1,140 44,050 McDonald's Corp. 11,258 440,412 McGraw-Hill Cos., Inc. (The) 2,128 123,488 News Corp. Class A 7,304 143,524 News Corp. Class B 2,700 55,728 NIKE, Inc. Class B 1,355 118,725 Nordstrom, Inc. 1,292 54,652 Omnicom Group, Inc. 1,045 97,812 Pulte Homes, Inc. 494 15,739 Staples, Inc. 2,890 70,314 Target Corp. 3,118 172,270 Time Warner Inc. 24,229 441,694 TJX Cos., Inc. 2,052 57,518 Tribune Co. 3,650 119,428 Walt Disney Co. (The) (a) 8,596 265,701 Yum! Brands, Inc. 1,178 61,315 ------------- Total Consumer Discretionary 5,165,815 -------------------------------------------------------------------------------- Consumer Staples--13.0% Altria Group, Inc. 43,647 3,341,177 Anheuser-Busch Cos., Inc. 9,014 428,255 Archer-Daniels-Midland Co. 3,574 135,383 Avon Products, Inc. 4,641 142,293 Campbell Soup Co. 4,185 152,753 Clorox Co. (The) 1,411 88,893 Coca-Cola Co. (The) 32,476 1,451,028 Coca-Cola Enterprises, Inc. 2,586 53,866 Colgate-Palmolive Co. 5,325 330,683 ConAgra Foods, Inc. 8,026 196,476 Costco Wholesale Corp. 1,824 90,616 CVS Corp. 1,938 62,249 General Mills, Inc. 4,413 249,776 H.J. Heinz Co. Ltd. 4,869 204,157 Hershey Co. (The) 1,520 81,244 Kellogg Co. 4,717 233,586 Kimberly-Clark Corp. 7,308 477,651 Kraft Foods, Inc. Class A 6,810 242,845 Kroger Co. (The) 4,261 98,600 PepsiCo, Inc. 13,811 901,306 Procter & Gamble Co. 32,780 2,031,704 Reynolds American, Inc. 6,465 400,636 Safeway, Inc. 1,634 49,592 Sara Lee Corp. 15,443 248,169 Sysco Corp. 6,047 202,272 Walgreen Co. 2,814 124,913 Wal-Mart Stores, Inc. 27,371 1,349,938 Whole Foods Market, Inc. 570 33,875 Wm. Wrigley Jr. Co. 2,166 99,766 ------------- Total Consumer Staples 13,503,702 -------------------------------------------------------------------------------- Energy--8.4% Anadarko Petroleum Corp. 1,482 64,956 Apache Corp. 912 57,638 Baker Hughes, Inc. 1,259 85,864 BJ Services Co. 874 26,334 Chesapeake Energy Corp. 1,102 31,936 Chevron Corp. 32,011 2,076,233 ConocoPhillips 15,861 944,205 Devon Energy Corp. 1,482 93,588 Diamond Offshore Drilling, Inc. 342 24,751 El Paso Corp. 4,033 55,010 ENSCO International, Inc. 152 6,662 EOG Resources, Inc. 380 24,719 Exxon Mobil Corp. 59,477 3,990,908 Halliburton Co. 3,881 110,414 Hess Corp. 1,064 44,071 Kinder Morgan, Inc. 2,367 248,180 Marathon Oil Corp. 3,000 230,700 Murphy Oil Corp. 760 36,138 Noble Energy, Inc. 380 17,324 Occidental Petroleum Corp. 6,273 301,794 Peabody Energy Corp. 570 20,965 Smith International, Inc. 798 30,962 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 25 Schedule of Investments (unaudited) (continued) WisdomTree LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Sunoco, Inc. 798 $ 49,628 Valero Energy Corp. 1,140 58,676 Williams Cos., Inc. (The) 3,843 91,732 XTO Energy, Inc. 1,216 51,230 ------------- Total Energy 8,774,618 -------------------------------------------------------------------------------- Financials--30.0% Aflac, Inc. 2,662 121,813 Allstate Corp. (The) 7,988 501,087 AMBAC Financial Group, Inc. 380 31,445 American Express Co. 5,211 292,233 American International Group, Inc. (a) 10,919 723,493 Ameriprise Financial, Inc. 1,102 51,684 AmSouth Bancorp. 6,085 176,708 AON Corp. 2,128 72,075 Archstone-Smith Trust 3,498 190,431 AvalonBay Communities, Inc. 993 119,557 Bank of America Corp. 94,551 5,065,096 Bank of New York Co., Inc. (The) 8,292 292,376 BB&T Corp. (a) 9,546 417,924 Bear, Stearns & Co., Inc. 456 63,886 Boston Properties, Inc. 1,532 158,317 Capital One Financial Corp. 190 14,945 Charles Schwab Corp. (The) 3,460 61,934 Chicago Mercantile Exchange Holdings Inc. 90 43,043 Chubb Corp. (The) 3,995 207,580 CIT Group, Inc. 1,368 66,526 Citigroup, Inc. 95,927 4,764,693 Comerica, Inc. 3,080 175,314 Countrywide Financial Corp. 4,527 158,626 Equity Office Properties Trust 6,696 266,233 Equity Residential 5,059 255,884 Fifth Third Bancorp 9,888 376,535 Franklin Resources, Inc. 657 69,478 Freddie Mac 9,857 653,815 General Growth Properties, Inc. 3,688 175,733 Genworth Financial, Inc. Class A 1,862 65,189 Golden West Financial Corp. 714 55,157 Goldman Sachs Group, Inc. 1,817 307,382 Hartford Financial Services Group, Inc. (The) 2,837 246,110 Host Hotels & Resorts, Inc. 4,641 106,418 Hudson City Bancorp, Inc. 6,086 80,640 JPMorgan Chase & Co. 52,721 2,475,777 KeyCorp 7,000 262,080 Kimco Realty Corp. 3,422 146,701 Legg Mason, Inc. 342 34,494 Lehman Brothers Holdings, Inc. 1,707 126,079 Lincoln National Corp. 4,261 264,523 Loews Corp. 1,520 57,608 M&T Bank Corp. 841 100,886 Marsh & McLennan Cos., Inc. 5,819 163,805 Marshall & Ilsley Corp. 2,358 113,608 MBIA, Inc. 1,254 77,046 Mellon Financial Corp. 4,299 168,091 Merrill Lynch & Co., Inc. (a) 5,582 436,624 Metlife, Inc. 3,764 213,344 Moody's Corp. 532 34,782 Morgan Stanley 8,401 612,517 National City Corp. (a) 12,021 439,969 North Fork Bancorp., Inc. 7,380 211,363 Northern Trust Corp. 1,748 102,136 PNC Financial Services Group, Inc. (The) 4,104 297,294 Principal Financial Group, Inc. 1,672 90,756 Progressive Corp. (The) 418 10,258 ProLogis 3,384 193,091 Prudential Financial, Inc. 2,388 182,085 Public Storage, Inc. 1,504 129,329 Regions Financial Corp. 8,368 307,859 Simon Property Group, Inc. 3,688 334,207 SLM Corp. 3,232 167,999 Sovereign Bancorp, Inc. 2,662 57,260 St. Paul Travelers Cos., Inc. (The) 7,000 328,230 State Street Corp. 1,938 120,931 SunTrust Banks, Inc. 5,659 437,328 Synovus Financial Corp. 4,147 121,797 T. Rowe Price Group, Inc. 1,748 83,642 U.S. Bancorp 36,094 1,199,043 UnionBanCal Corp. 1,558 94,882 Vornado Realty Trust 2,213 241,217 W.R. Berkley Corp. 380 13,448 Wachovia Corp. 27,457 1,532,100 Washington Mutual, Inc. (a) 21,563 937,344 Wells Fargo & Co. (a) 50,562 1,829,332 Zions Bancorp. 902 71,989 ------------- Total Financials 31,252,214 -------------------------------------------------------------------------------- Health Care--11.6% Abbott Laboratories 19,797 961,342 Aetna, Inc. 114 4,509 Allergan, Inc. 266 29,954 AmerisourceBergen Corp. 190 8,588 Baxter International, Inc. 4,489 204,070 Becton Dickinson & Co. 1,633 115,404 Biomet, Inc. 798 25,688 Bristol-Myers Squibb Co. 41,196 1,026,604 Cardinal Health, Inc. 685 45,032 Cigna Corp. 82 9,538 Eli Lilly & Co. 15,140 862,980 See Notes to Financial Statements. 26 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- HCA, Inc. 2,662 $ 132,807 Johnson & Johnson 30,721 1,995,022 McKesson Corp. 646 34,057 Medtronic, Inc. 4,223 196,116 Merck & Co., Inc. 43,699 1,830,988 Pfizer, Inc. (a) 131,271 3,722,846 Quest Diagnostics, Inc. 722 44,158 Schering-Plough Corp. 7,912 174,776 Stryker Corp. 456 22,613 UnitedHealth Group, Inc. 342 16,826 Wyeth (a) 12,781 649,786 ------------- Total Health Care 12,113,704 -------------------------------------------------------------------------------- Industrials--10.3% 3M Co. 8,514 633,612 American Standard Cos., Inc. 1,558 65,389 Avis Budget Group, Inc. 1,174 21,472 Boeing Co. (The) 5,735 452,205 Burlington Northern Santa Fe Corp. 1,709 125,509 C.H. Robinson Worldwide, Inc. 836 37,269 Caterpillar, Inc. 4,379 288,138 CSX Corp. 1,747 57,354 Deere & Co. 2,194 184,099 Dover Corp. 1,292 61,292 Eaton Corp. 1,368 94,187 Emerson Electric Co. 4,098 343,658 Expeditors International Washington, Inc. 304 13,552 FedEx Corp. 429 46,624 Fluor Corp. 380 29,218 General Dynamics Corp. 2,734 195,946 General Electric Co. (a) 138,794 4,899,429 Honeywell International, Inc. 8,140 332,926 Illinois Tool Works, Inc. 3,536 158,766 ITT Industries, Inc. 646 33,120 Joy Global, Inc. 418 15,721 L-3 Communications Holdings, Inc. 494 38,695 Lockheed Martin Corp. 3,295 283,568 Masco Corp. 5,173 141,844 Norfolk Southern Corp. 2,358 103,870 Northrop Grumman Corp. 2,548 173,442 Paccar, Inc. 1,661 94,710 Parker Hannifin Corp. 676 52,545 Pitney Bowes, Inc. 3,118 138,346 Precision Castparts Corp. 114 7,200 Raytheon Co. 4,299 206,395 Rockwell Automation, Inc. 1,026 59,611 Rockwell Collins, Inc. 684 37,511 Southwest Airlines Co. 380 6,331 Textron, Inc. 1,050 91,875 Union Pacific Corp. 1,621 142,648 United Parcel Service Inc. Class B 5,778 415,669 United Technologies Corp. 7,158 453,459 Waste Management, Inc. 6,275 230,167 ------------- Total Industrials 10,767,372 -------------------------------------------------------------------------------- Information Technology--5.2% Analog Devices, Inc. 2,814 82,703 Applied Materials, Inc. 8,368 148,365 Automatic Data Processing, Inc. 4,337 205,314 CA, Inc. 1,558 36,909 Electronic Data Systems Corp. 1,748 42,861 Fidelity National Information Services, Inc. 418 15,466 First Data Corp. 1,786 75,012 Hewlett-Packard Co. (a) 12,667 464,752 Intel Corp. 56,320 1,158,502 International Business Machines Corp. 7,063 578,742 KLA-Tencor Corp. 912 40,557 Linear Technology Corp. 2,434 75,746 Maxim Integrated Products, Inc. 1,976 55,466 Microchip Technology, Inc. 2,052 66,526 Microsoft Corp. (a) 63,315 1,730,399 Motorola, Inc. 8,064 201,600 National Semiconductor Corp. 646 15,200 Paychex, Inc. 2,700 99,495 Qualcomm, Inc. 5,401 196,326 Texas Instruments, Inc. 2,738 91,039 Xilinx, Inc. 1,748 38,369 ------------- Total Information Technology 5,419,349 -------------------------------------------------------------------------------- Materials--3.7% Air Products & Chemicals, Inc. 2,132 141,501 Alcoa, Inc. 7,874 220,787 Dow Chemical Co. (The) 16,431 640,479 E.I. du Pont de Nemours & Co. 14,833 635,446 Ecolab, Inc. 1,216 52,069 Freeport-McMoRan Copper & Gold Inc. Class B 1,786 95,122 International Paper Co. 6,541 226,515 Monsanto Co. 2,358 110,850 Newmont Mining Corp. 1,558 66,605 Nucor Corp. 1,102 54,538 Phelps Dodge Corp. 936 79,279 PPG Industries, Inc. 2,320 155,626 Praxair, Inc. 2,700 159,732 Rohm & Haas Co. 2,434 115,250 Southern Copper Corp. (a) 8,883 821,677 Vulcan Materials Co. 798 62,444 Weyerhaeuser Co. 3,118 191,851 ------------- Total Materials 3,829,771 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 27 Schedule of Investments (unaudited) (concluded) WisdomTree LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Telecommunication Services--6.5% ALLTEL Corp. 4,261 $ 236,486 AT&T, Inc. (a) 88,376 2,877,522 BellSouth Corp. 27,872 1,191,528 Sprint Nextel Corp. 5,059 86,762 Verizon Communications, Inc. 64,469 2,393,734 ------------- Total Telecommunication Services 6,786,032 -------------------------------------------------------------------------------- Utilities--5.7% Ameren Corp. 4,793 253,022 American Electric Power Co., Inc. 7,912 287,759 Consolidated Edison, Inc. 5,971 275,860 Constellation Energy Group, Inc. 2,242 132,726 Dominion Resources, Inc. 6,456 493,820 Duke Energy Corp. 20,123 607,716 Edison International 3,957 164,769 Entergy Corp. 3,071 240,244 Exelon Corp. 9,280 561,811 FirstEnergy Corp. 5,591 312,313 FPL Group, Inc. 6,772 304,740 PG&E Corp. 5,401 224,952 PPL Corp. 6,541 215,199 Progress Energy, Inc. 6,389 289,933 Public Service Enterprise Group, Inc. 4,109 251,430 Sempra Energy 3,118 156,680 Southern Co. (a) 15,519 534,785 TXU Corp. 7,874 492,282 Xcel Energy, Inc. 8,824 182,216 ------------- Total Utilities 5,982,257 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $99,509,834) 103,594,834 ================================================================================ SHORT-TERM INVESTMENT--0.1% MONEY MARKET FUND--0.1% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $86,157) 86,157 86,157 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED--16.0% MONEY MARKET FUNDS (c)--16.0% AIM Liquid Assets Portfolio, 5.21% 267,200 267,200 AIM Prime Portfolio, 5.22% 15,605 15,605 UBS Enhanced Yield Portfolio, 5.30% 5,700,000 5,700,000 UBS Private Money Market Fund LLC, 5.23% 10,647,400 10,647,400 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $16,630,205) (d) 16,630,205 ================================================================================ TOTAL INVESTMENTS IN SECURITIES--115.5% (Cost: $116,226,196) (e) 120,311,196 Liabilities in Excess of Cash and Other Assets -- (15.5)% (16,132,142) ------------- NET ASSETS--100.0% $104,179,054 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $16,096,155 and the total market value of the collateral held by the Fund was $16,630,205. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 28 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) WisdomTree Dividend Top 100 Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS--99.1% Consumer Discretionary--5.8% CBS Corp. Class B 8,739 $ 246,178 Clear Channel Communications, Inc. 7,009 202,210 General Motors Corp. (a) 18,010 599,012 Genuine Parts Co. 5,710 246,272 Limited Brands, Inc. 7,995 211,788 Tribune Co. 7,586 248,214 ------------ Total Consumer Discretionary 1,753,674 -------------------------------------------------------------------------------- Consumer Staples--10.9% Altria Group, Inc. 5,077 388,644 Anheuser-Busch Cos., Inc. 4,812 228,618 Coca-Cola Co. (The) 5,695 254,453 ConAgra Foods, Inc. 12,515 306,367 General Mills, Inc. 4,320 244,512 H.J. Heinz Co. Ltd. 6,809 285,501 Kellogg Co. 4,642 229,872 Kimberly-Clark Corp. 4,716 308,238 Kraft Foods, Inc. Class A 7,995 285,102 Reynolds American, Inc. 7,187 445,379 Sara Lee Corp. 19,463 312,770 ------------ Total Consumer Staples 3,289,456 -------------------------------------------------------------------------------- Energy--2.1% Chevron Corp. 4,319 280,130 Kinder Morgan, Inc. 3,332 349,361 ------------ Total Energy 629,491 -------------------------------------------------------------------------------- Financials--36.6% Allstate Corp. (The) 4,200 263,466 AmSouth Bancorp. 11,276 327,455 Archstone-Smith Trust 5,954 324,136 AvalonBay Communities, Inc. 2,152 259,101 Bank of America Corp. 7,776 416,560 Bank of New York Co., Inc. (The) 5,160 181,942 BB&T Corp. 7,988 349,715 Boston Properties, Inc. 2,446 252,770 Citigroup, Inc. 7,087 352,011 Comerica, Inc. 5,678 323,192 Equity Office Properties Trust 9,397 373,625 Equity Residential 6,547 331,147 Fifth Third Bancorp 7,941 302,393 Freddie Mac 4,005 265,652 General Growth Properties, Inc. 5,499 262,027 Host Hotels & Resorts, Inc. 9,768 223,980 JPMorgan Chase & Co. 6,354 298,384 KeyCorp 8,198 306,933 Kimco Realty Corp. 6,527 279,812 Lincoln National Corp. 8,853 549,593 Marsh & McLennan Cos., Inc. 6,281 176,810 Mellon Financial Corp. 5,202 203,398 National City Corp. 9,831 359,815 North Fork Bancorp., Inc. 9,535 273,082 PNC Financial Services Group, Inc. (The) 3,599 260,712 ProLogis 4,562 260,308 Public Storage, Inc. 2,467 212,137 Regions Financial Corp. 9,165 337,180 Simon Property Group, Inc. 3,473 314,723 SunTrust Banks, Inc. 3,717 287,250 Synovus Financial Corp. 8,472 248,823 U.S. Bancorp 11,397 378,608 UnionBanCal Corp. 2,772 168,815 Vornado Realty Trust 2,830 308,470 Wachovia Corp. 5,272 294,178 Washington Mutual, Inc. 8,952 389,143 Wells Fargo & Co. 8,192 296,387 ------------ Total Financials 11,013,733 -------------------------------------------------------------------------------- Health Care--5.4% Abbott Laboratories 5,297 257,222 Bristol-Myers Squibb Co. 14,498 361,290 Eli Lilly & Co. 4,186 238,602 Merck & Co., Inc. 9,776 409,615 Pfizer, Inc. 12,136 344,177 ------------ Total Health Care 1,610,906 -------------------------------------------------------------------------------- Industrials--3.6% 3M Co. 2,600 193,492 Avis Budget Group, Inc. 1,171 21,418 General Electric Co. 6,600 232,980 Masco Corp. 6,677 183,083 Pitney Bowes, Inc. 5,639 250,202 Waste Management, Inc. 5,669 207,939 ------------ Total Industrials 1,089,114 -------------------------------------------------------------------------------- Materials--8.6% Dow Chemical Co. (The) 7,279 283,735 E.I. du Pont de Nemours & Co. 6,676 286,000 International Paper Co. 6,644 230,082 PPG Industries, Inc. 3,816 255,977 Rohm & Haas Co. 3,994 189,116 Southern Copper Corp. (a) 12,431 1,149,868 Weyerhaeuser Co. 3,104 190,989 ------------ Total Materials 2,585,767 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 29 Schedule of Investments (unaudited) (concluded) WisdomTree Dividend Top 100 Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Telecommunication Services--4.6% ALLTEL Corp. 3,031 $ 168,221 AT&T Inc. 14,674 477,785 BellSouth Corp. 7,817 334,177 Verizon Communications, Inc. 11,131 413,294 ------------ Total Telecommunication Services 1,393,477 -------------------------------------------------------------------------------- Utilities--21.5% Ameren Corp. 8,176 431,611 American Electric Power Co., Inc. 10,243 372,538 Consolidated Edison, Inc. 9,753 450,588 Constellation Energy Group, Inc. 4,092 242,246 Dominion Resources, Inc. 4,636 354,608 Duke Energy Corp. 11,419 344,854 Edison International 5,108 212,697 Entergy Corp. 3,661 286,400 Exelon Corp. 4,614 279,332 FirstEnergy Corp. 5,949 332,311 FPL Group, Inc. 7,512 338,040 PG&E Corp. 6,978 290,634 PPL Corp. 10,024 329,790 Progress Energy, Inc. 10,069 456,930 Public Service Enterprise Group, Inc. 4,475 273,825 Sempra Energy 4,530 227,633 Southern Co. 11,321 390,122 TXU Corp. 6,524 407,880 Xcel Energy, Inc. 21,106 435,839 ------------ Total Utilities 6,457,878 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $29,265,754) 29,823,496 ================================================================================ SHORT-TERM INVESTMENT--0.6% MONEY MARKET FUND--0.6% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $186,466) 186,466 186,466 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED -4.9% MONEY MARKET FUNDS (c) - 4.9% UBS Enhanced Yield Portfolio, 5.30% 900,000 900,000 UBS Private Money Market Fund LLC, 5.23% 577,500 577,500 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $1,477,500) (d) 1,477,500 ================================================================================ TOTAL INVESTMENTS IN SECURITIES --104.6% (Cost: $30,929,720) (e) 31,487,462 Liabilities in Excess of Cash and Other Assets -- (4.6)% (1,403,699) ------------ NET ASSETS--100.0% $30,083,763 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $1,416,600 and the total market value of the collateral held by the Fund was $1,477,500. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 30 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) WisdomTree MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS--98.9% Consumer Discretionary--11.6% Abercrombie & Fitch Co. Class A 625 $ 43,425 Advance Auto Parts, Inc. 364 11,990 American Eagle Outfitters, Inc. 869 38,088 Applebee's International, Inc. 350 7,529 Barnes & Noble, Inc. 497 18,856 Beazer Homes USA, Inc. 140 5,466 bebe stores, inc. 455 11,275 Belo Corp. Class A 1,058 16,727 Black & Decker Corp. (The) 800 63,480 Borders Group, Inc. 609 12,424 BorgWarner, Inc. 372 21,267 Boyd Gaming Corp. 518 19,912 Brinker International, Inc. 469 18,802 Brunswick Corp. 834 26,012 CBRL Group, Inc. 322 13,018 Choice Hotels International, Inc. 449 18,364 Circuit City Stores, Inc. 294 7,382 Claire's Stores, Inc. 595 17,350 Darden Restaurants, Inc. 855 36,312 Dillard's, Inc. Class A 259 8,477 Dollar General Corp. 2,060 28,078 Domino's Pizza, Inc. 651 16,698 Dow Jones & Co., Inc. 925 31,025 E.W. Scripps Co. (The) Class A 715 34,270 Family Dollar Stores, Inc. 1,408 41,170 Foot Locker, Inc. 1,345 33,961 Gentex Corp. 1,821 25,876 H&R Block, Inc. 4,398 95,613 Harte-Hanks, Inc. 413 10,883 Hasbro, Inc. 2,355 53,576 John Wiley & Sons, Inc. Class A 252 9,075 Jones Apparel Group, Inc. 897 29,099 KB Home 820 35,916 Leggett & Platt, Inc. 2,786 69,734 Lennar Corp. Class B 217 9,118 Liz Claiborne, Inc. 336 13,275 Mattel, Inc. 6,227 122,672 MDC Holdings, Inc. 399 18,534 Men's Wearhouse, Inc. (The) 168 6,251 Meredith Corp. 259 12,776 Michaels Stores, Inc. 806 35,093 New York Times Co. Class A 2,172 49,913 Newell Rubbermaid, Inc. 5,324 150,776 OfficeMax, Inc. 806 32,836 OSI Restaurant Partners, Inc. 511 16,204 PetSmart, Inc. 350 9,713 Phillips-Van Heusen Corp. 91 3,801 Polaris Industries, Inc. 546 22,468 Polo Ralph Lauren Corp. 190 12,291 Pool Corp. 231 8,894 RadioShack Corp. 1,016 19,609 Ross Stores, Inc. 679 17,253 Ruby Tuesday, Inc. 49 1,381 Ryland Group, Inc. (The) 182 7,864 Service Corp. International 2,201 20,557 ServiceMaster Co. (The) 5,709 63,998 Sherwin-Williams Co. (The) 1,576 87,909 Snap-On, Inc. 953 42,456 Speedway Motorsports, Inc. 210 7,646 Standard-Pacific Corp. 182 4,277 Stanley Works (The) 1,100 54,835 Station Casinos, Inc. 506 29,262 Thor Industries, Inc. 168 6,917 Tiffany & Co. 700 23,240 United Auto Group, Inc. 602 14,087 VF Corp. 1,379 100,598 Warner Music Group Corp. 2,053 53,275 Weight Watchers International, Inc. 785 34,807 Wendy's International, Inc. 744 49,848 Whirlpool Corp. 849 71,409 ------------ Total Consumer Discretionary 2,166,973 -------------------------------------------------------------------------------- Consumer Staples--5.2% Alberto-Culver Co. 553 27,976 Brown-Forman Corp. Class A 492 38,066 Brown-Forman Corp. Class B 569 43,614 Church & Dwight Co., Inc. 238 9,308 Corn Products International, Inc. 462 15,033 Del Monte Foods Co. 1,555 16,250 Estee Lauder Cos., Inc. (The) Class A 785 31,659 Flowers Foods, Inc. 469 12,607 Hormel Foods Corp. 1,317 47,386 J.M. Smucker Co. (The) 918 44,018 Loews Corp. 1,752 97,043 Longs Drug Stores Corp. 259 11,917 McCormick & Co., Inc. 1,450 55,071 Molson Coors Brewing Co. Class B 695 47,886 Pepsi Bottling Group, Inc. 1,998 70,929 PepsiAmericas, Inc. 1,562 33,333 Seaboard Corp. 7 8,435 Supervalu, Inc. 1,653 49,011 Tyson Foods, Inc. Class A 1,702 27,028 UST, Inc. 5,162 283,032 ------------ Total Consumer Staples 969,602 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 31 Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Energy--0.9% Arch Coal, Inc. 315 $ 9,107 Cabot Oil & Gas Corp. 91 4,362 Cimarex Energy Co. 175 6,158 Consol Energy, Inc. 792 25,130 Foundation Coal Holdings, Inc. 126 4,079 Frontier Oil Corp. 168 4,465 Helmerich & Payne, Inc. 280 6,448 Holly Corp. 182 7,886 Massey Energy Co. 203 4,251 Overseas Shipholding Group, Inc. 418 25,819 Patterson-UTI Energy, Inc. 497 11,809 Pioneer Natural Resources Co. 406 15,883 Pogo Producing Co. 196 8,026 Range Resources Corp. 217 5,477 St. Mary Land & Exploration Co. 77 2,827 Tesoro Corp. 253 14,669 Tidewater, Inc. 364 16,085 W&T Offshore, Inc. 112 3,272 ------------ Total Energy 175,753 -------------------------------------------------------------------------------- Financials--47.7% AG Edwards, Inc. 693 36,923 Alexandria Real Estate Equities, Inc. 407 38,177 AMB Property Corp. 1,798 99,088 American Capital Strategies, Ltd. (a) 6,739 265,988 American Financial Group, Inc. 595 27,923 American National Insurance Co. 457 52,966 AmerUs Group Co. 169 11,494 Apartment Investment & Management Co. Class A 2,870 156,157 Arthur J. Gallagher & Co. 2,397 63,928 Associated Banc-Corp 2,509 81,543 Assurant, Inc. 490 26,171 Astoria Financial Corp. 1,856 57,202 BancorpSouth, Inc. 1,450 40,252 Bank of Hawaii Corp. 813 39,154 BlackRock, Inc. 155 23,095 BOK Financial Corp. 329 17,305 Brandywine Realty Trust 2,793 90,912 BRE Properties, Inc. Class A 1,115 66,599 Brown & Brown, Inc. 483 14,760 Camden Property Trust 1,122 85,283 CapitalSource, Inc. 7,879 203,436 Capitol Federal Financial 2,674 95,087 Cathay General Bancorp 273 9,855 CBL & Associates Properties, Inc. 1,590 66,637 Cincinnati Financial Corp. 3,220 154,753 City National Corp. 632 42,382 Colonial BancGroup, Inc. (The) 2,439 59,756 Colonial Properties Trust 1,408 67,316 Commerce Bancorp, Inc. (a) 1,366 50,146 Commerce Bancshares, Inc. 729 36,866 Commerce Group, Inc. 1,331 39,997 Compass Bancshares, Inc. 2,394 136,410 Corporate Office Properties Trust 567 25,379 Corus Bankshares, Inc. 869 19,431 Cousins Properties, Inc. 1,289 44,097 Crescent Real Estate Equities Co. 4,194 91,471 Cullen/Frost Bankers, Inc. 723 41,804 Developers Diversified Realty Corp. 2,752 153,452 Downey Financial Corp. 113 7,519 Duke Realty Corp. 3,872 144,619 East West Bancorp, Inc. 168 6,654 Eaton Vance Corp. 1,086 31,342 Equity One, Inc. 2,137 51,224 Erie Indemnity Co. Class A 953 49,909 Essex Property Trust, Inc. 428 51,959 Federal Realty Investment Trust 926 68,802 Federated Investors Inc. Class B 946 31,984 Fidelity National Financial, Inc. 2,849 118,661 First American Corp. 1,016 43,017 First Citizens BancShares, Inc. Class A 50 9,555 First Horizon National Corp. 3,185 121,062 First Industrial Realty Trust, Inc. 1,674 73,656 First Marblehead Corp. (The) 484 33,522 First Midwest Bancorp, Inc. 855 32,396 First Niagara Financial Group, Inc. 1,949 28,416 FirstMerit Corp. 2,095 48,541 Forest City Enterprises, Inc. Class A 217 11,783 Fremont General Corp. 911 12,745 Fulton Financial Corp. 3,403 55,095 Global Signal, Inc. 1,709 86,441 Greenhill & Co., Inc. 183 12,265 HCC Insurance Holdings, Inc. 553 18,183 Health Care Property Investors, Inc. 4,742 147,239 Health Care REIT, Inc. 2,200 88,022 Healthcare Realty Trust, Inc. 1,940 74,515 Heritage Property Investment Trust, Inc. 1,464 53,377 Highwoods Properties, Inc. 1,569 58,382 Home Properties, Inc. 926 52,930 Hospitality Properties Trust 2,800 132,160 HRPT Properties Trust 8,727 104,288 Huntington Bancshares, Inc. 5,982 143,149 IndyMac Bancorp, Inc. 1,597 65,733 International Bancshares Corp. 813 24,130 Investors Financial Services Corp. 70 3,016 See Notes to Financial Statements. 32 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- iStar Financial, Inc. 5,289 $ 220,551 Janus Capital Group, Inc. 210 4,141 Jefferies Group, Inc. 700 19,950 Jones Lang LaSalle, Inc. 155 13,249 Kilroy Realty Corp. 492 37,067 KKR Financial Corp. 3,332 81,767 LaSalle Hotel Properties 665 28,821 Leucadia National Corp. 541 14,158 Liberty Property Trust 2,669 127,552 Macerich Co. (The) 1,602 122,329 Mack-Cali Realty Corp. 1,877 97,229 Maguire Properties, Inc. 1,156 47,095 Mercantile Bankshares Corp. 1,919 69,602 Mercury General Corp. 1,122 55,662 MGIC Investment Corp. 779 46,717 Mills Corp. (The) 2,926 48,893 National Financial Partners Corp. 224 9,191 Nationwide Financial Services, Inc. Class A 693 33,333 New Century Financial Corp. (a) 4,993 196,275 New Plan Excel Realty Trust, Inc. 2,926 79,148 New York Community Bancorp, Inc. 8,958 146,732 NewAlliance Bancshares, Inc. 967 14,167 Nuveen Investments, Inc. Class A 792 40,574 Ohio Casualty Corp. 413 10,684 Old Republic International Corp. 3,424 75,842 optionsXpress Holdings, Inc. 245 6,831 Pacific Capital Bancorp 700 18,879 Pan Pacific Retail Properties, Inc. 877 60,881 Pennsylvania Real Estate Investment Trust 1,093 46,529 People's Bank 2,200 87,142 Phoenix Cos., Inc. (The) 637 8,918 Plum Creek Timber Co., Inc. 4,629 157,571 PMI Group, Inc. (The) 231 10,120 Post Properties, Inc. 981 46,617 Protective Life Corp. 630 28,823 Radian Group, Inc. 85 5,100 Raymond James Financial, Inc. 700 20,468 Rayonier, Inc. 1,814 68,569 Realty Income Corp. 2,982 73,685 Reckson Associates Realty Corp. 1,772 75,842 Regency Centers Corp. 1,483 101,971 Reinsurance Group of America, Inc. 266 13,813 Safeco Corp. 1,517 89,397 SEI Investments Co. 315 17,700 Sky Financial Group, Inc. 2,172 54,083 SL Green Realty Corp. 604 67,467 South Financial Group, Inc. (The) 1,121 29,180 St. Joe Co. (The) (a) 441 24,198 Stancorp Financial Group, Inc. 364 16,245 Student Loan Corp. 232 44,586 Sunstone Hotel Investors, Inc. 1,373 40,806 Taubman Centers, Inc. 862 38,290 TCF Financial Corp. 2,772 72,876 TD Banknorth Inc. 3,963 114,451 Texas Regional Bancshares, Inc. Class A 595 22,878 Thornburg Mortgage, Inc. (a) 6,234 158,780 Torchmark Corp. 478 30,167 Transatlantic Holdings, Inc. 396 23,922 Trizec Properties, Inc. 2,842 82,162 Trustmark Corp. 855 26,873 UCBH Holdings, Inc. 343 5,989 United Bankshares, Inc. 679 25,272 United Dominion Realty Trust, Inc. 3,417 103,193 Unitrin, Inc. 1,499 66,211 UnumProvident Corp. 2,537 49,192 Valley National Bancorp 2,312 59,118 Ventas, Inc. 2,870 110,610 Waddell & Reed Financial, Inc. Class A 1,254 31,037 Washington Federal, Inc. 1,660 37,250 Webster Financial Corp. 630 29,679 Weingarten Realty Investors 2,376 102,216 Wesco Financial Corp. 36 15,732 Westamerica Bancorp. 448 22,628 Whitney Holding Corp. 1,114 39,848 Wilmington Trust Corp. 1,086 48,381 Zenith National Insurance Corp. 497 19,825 ------------ Total Financials 8,922,216 -------------------------------------------------------------------------------- Health Care--2.2% Applera Corp. 658 21,786 Bausch & Lomb, Inc. 252 12,633 Beckman Coulter, Inc. 421 24,233 Brookdale Senior Living, Inc. 1,387 64,386 C.R. Bard, Inc. 485 36,375 Cooper Cos., Inc. (The) 28 1,498 Dade Behring Holdings, Inc. 287 11,526 DENTSPLY International, Inc. 479 14,423 Health Management Associates, Inc. Class A 1,541 32,207 Hillenbrand Industries, Inc. 811 46,211 IMS Health, Inc. 532 14,172 Manor Care, Inc. 658 34,400 Medicis Pharmaceutical Corp. Class A 112 3,623 Mentor Corp. 406 20,458 Mylan Laboratories, Inc. 1,240 24,961 Omnicare, Inc. 112 4,826 PerkinElmer, Inc. 876 16,583 Pharmaceutical Product Development, Inc. 189 6,745 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 33 Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- STERIS Corp. 252 $ 6,063 Universal Health Services, Inc. Class B 268 16,061 ------------ Total Health Care 413,170 -------------------------------------------------------------------------------- Industrials--7.2% Actuant Corp. Class A 21 1,052 Acuity Brands, Inc. 392 17,797 Adesa, Inc. 581 13,427 Alexander & Baldwin, Inc. 483 21,431 American Power Conversion Corp. 1,954 42,910 Ametek, Inc. 217 9,450 Aramark Corp. Class B 651 21,392 Avery Dennison Corp. 1,795 108,004 Brady Corp. Class A 364 12,798 Briggs & Stratton Corp. 743 20,470 Brink's Co. (The) 85 4,510 Carlisle Cos., Inc. 232 19,511 Cintas Corp. 792 32,337 Clarcor, Inc. 224 6,830 Con-way, Inc. 260 11,653 Crane Co. 427 17,849 Cummins, Inc. 330 39,346 Donaldson Co., Inc. 448 16,531 DRS Technologies, Inc. 49 2,140 Equifax, Inc. 322 11,821 Fastenal Co. 736 28,388 Florida East Coast Industries, Inc. 173 9,875 GATX Corp. 595 24,615 Goodrich Corp. 1,296 52,513 Graco, Inc. 504 19,686 Granite Construction Inc. 196 10,457 Harsco Corp. 400 31,060 Heartland Express, Inc. 203 3,183 Herman Miller, Inc. 385 13,171 HNI Corp. 364 15,135 Hubbell, Inc. Class B 771 36,931 IDEX Corp. 287 12,355 IKON Office Solutions, Inc. 862 11,585 JB Hunt Transport Services, Inc. 1,317 27,354 JLG Industries, Inc. 42 832 Kennametal, Inc. 287 16,259 Knight Transportation, Inc. 196 3,322 Laidlaw International, Inc. 1,275 34,846 Landstar System, Inc. 77 3,288 Lennox International, Inc. 602 13,786 Lincoln Electric Holdings, Inc. 365 19,874 Manitowoc Co., Inc. (The) 210 9,406 Manpower, Inc. 499 30,574 MSC Industrial Direct Co., Inc. Class A 273 11,122 Nordson Corp. 252 10,045 Oshkosh Truck Corp. 266 13,425 Pall Corp. 1,016 31,303 Pentair, Inc. 799 20,926 Republic Services, Inc. 1,044 41,979 Robert Half International, Inc. 813 27,618 Roper Industries, Inc. 238 10,648 RR Donnelley & Sons Co. 3,984 131,312 Ryder System, Inc. 583 30,129 Simpson Manufacturing Co., Inc. (a) 203 5,487 Skywest, Inc. 140 3,433 SPX Corp. 667 35,644 Teleflex, Inc. 336 18,695 Timken Co. (The) 1,002 29,840 Toro Co. (The) 182 7,675 Trinity Industries, Inc. 224 7,206 W.W. Grainger, Inc. 681 45,641 Wabtec Corp. 35 950 Walter Industries, Inc. 56 2,390 Watsco, Inc. 176 8,098 ------------ Total Industrials 1,353,320 -------------------------------------------------------------------------------- Information Technology--1.6% Acxiom Corp. 385 9,494 Adtran, Inc. 609 14,519 Amphenol Corp. Class A 200 12,386 AVX Corp. 841 14,877 CDW Corp. 343 21,156 Diebold, Inc. 820 35,694 Factset Research Systems, Inc. 126 6,120 Fair Isaac Corp. 77 2,816 Global Payments, Inc. 70 3,081 Harris Corp. 525 23,357 Intersil Corp. Class A 560 13,748 Jack Henry & Associates, Inc. 504 10,972 Molex, Inc. 350 13,640 Molex, Inc. Class A 329 10,827 MoneyGram International, Inc. 252 7,323 National Instruments Corp. 336 9,186 Plantronics, Inc. 154 2,700 Reynolds & Reynolds Co. (The) Class A 553 21,849 Sabre Holdings Corp. Class A 1,289 30,150 Symbol Technologies, Inc. 273 4,057 Tektronix, Inc. 315 9,113 Total System Services, Inc. 1,366 31,186 ------------ Total Information Technology 308,251 -------------------------------------------------------------------------------- See Notes to Financial Statements. 34 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Materials--6.8% Airgas, Inc. 273 $ 9,874 Albemarle Corp. 399 21,678 Allegheny Technologies, Inc. 459 28,545 Aptargroup, Inc. 294 14,959 Ashland, Inc. 653 41,648 Ball Corp. 546 22,086 Bemis Co. 1,457 47,877 Bowater, Inc. 876 18,019 Cabot Corp. 686 25,519 Carpenter Technology Corp. 113 12,149 Celanese Corp. Series A 693 12,405 Chemtura Corp. 2,369 20,539 Cleveland-Cliffs, Inc. 224 8,537 Commercial Metals Co. 504 10,246 Cytec Industries, Inc. 175 9,728 Eagle Materials, Inc. 322 10,845 Eastman Chemical Co. 1,618 87,403 Florida Rock Industries, Inc. 406 15,716 FMC Corp. 281 18,004 International Flavors & Fragrances, Inc. 1,128 44,601 Louisiana-Pacific Corp. 1,345 25,246 Lubrizol Corp. 960 43,901 Lyondell Chemical Co. 6,494 164,752 Martin Marietta Materials, Inc. 246 20,817 MeadWestvaco Corp. 3,529 93,553 Packaging Corp. of America 2,669 61,921 Quanex Corp. 231 7,011 Reliance Steel & Aluminum Co. 198 6,364 RPM International, Inc. 2,439 46,317 Scotts Miracle-Gro Co. (The) Class A 427 18,997 Sealed Air Corp. 490 26,519 Sigma-Aldrich Corp. 513 38,819 Sonoco Products Co. 1,548 52,075 Steel Dynamics, Inc. 239 12,058 Temple-Inland, Inc. 1,436 57,584 United States Steel Corp. 435 25,091 Valhi, Inc. 1,513 35,177 Valspar Corp. (The) 925 24,605 Westlake Chemical Corp. 119 3,809 Worthington Industries, Inc. 1,723 29,394 ------------ Total Materials 1,274,388 -------------------------------------------------------------------------------- Telecommunication Services--1.3% CenturyTel, Inc. 427 16,939 Citizens Communications Co. 14,409 202,302 Telephone & Data Systems, Inc. 273 11,493 Telephone & Data Systems, Inc. Special Shares 329 13,440 ------------ Total Telecommunication Services 244,174 -------------------------------------------------------------------------------- Utilities--14.4% AGL Resources, Inc. 1,842 67,233 Alliant Energy Corp. 2,488 88,896 Aqua America Inc. (a) 1,142 25,055 Atmos Energy Corp. 2,235 63,809 CenterPoint Energy, Inc. 9,084 130,083 DPL, Inc. 2,730 74,038 DTE Energy Co. 5,310 220,419 Energen Corp. 532 22,275 Energy East Corp. 4,089 96,991 Equitable Resources, Inc. 1,590 55,618 Great Plains Energy, Inc. 2,558 79,349 Hawaiian Electric Industries, Inc. 2,137 57,827 KeySpan Corp. 4,623 190,191 MDU Resources Group, Inc. 2,354 52,588 National Fuel Gas Co. 1,723 62,631 Nicor, Inc. 1,198 51,226 NiSource, Inc. 7,201 156,550 Northeast Utilities 3,199 74,441 NSTAR 2,606 86,936 OGE Energy Corp. 2,411 87,061 ONEOK, Inc. 2,347 88,693 Piedmont Natural Gas Co., Inc. (a) 1,758 44,495 Pinnacle West Capital Corp. 2,947 132,762 PNM Resources, Inc. 1,429 39,398 Puget Energy, Inc. 3,178 72,236 Questar Corp. 653 53,396 SCANA Corp. 2,863 115,293 Southern Union Co. 1,037 27,387 TECO Energy, Inc. 5,709 89,346 UGI Corp. 1,956 47,824 Vectren Corp. 2,032 54,559 Westar Energy, Inc. 2,425 57,012 Wisconsin Energy Corp. 1,555 67,083 WPS Resources Corp. 1,065 52,856 ------------ Total Utilities 2,685,557 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $17,630,825) 18,513,404 ================================================================================ See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 35 Schedule of Investments (unaudited) (concluded) WisdomTree MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- SHORT-TERM INVESTMENT--0.8% MONEY MARKET FUND--0.8% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $143,253) 143,253 $ 143,253 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED--3.1% MONEY MARKET FUNDS (c)--3.1% AIM Prime Portfolio, 5.22% 15,600 15,600 UBS Enhanced Yield Portfolio, 5.30% 200,000 200,000 UBS Private Money Market Fund LLC, 5.23% 371,150 371,150 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $586,750) (d) 586,750 ================================================================================ TOTAL INVESTMENTS IN SECURITIES-- 102.8% (Cost: $18,360,828) (e) 19,243,407 Liabilities in Excess of Cash and Other Assets -- (2.8) % (530,957) ------------ NET ASSETS--100.0% $18,712,450 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $563,760 and the total market value of the collateral held by the Fund was $586,750. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 36 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS--98.6% Consumer Discretionary--11.6% Aaron Rents, Inc. 187 $ 4,297 Advo, Inc. 938 26,245 Aldila, Inc. 209 3,229 Ambassadors Group, Inc. 605 17,110 American Axle & Manufacturing Holdings, Inc. 3,869 64,574 American Greetings Corp. Class A 1,906 44,067 Ameristar Casinos, Inc. 1,763 38,275 Arbitron, Inc. 795 29,423 Arctic Cat, Inc. 319 5,295 ArvinMeritor, Inc. 4,101 58,398 Bandag, Inc. 638 26,184 Bandag, Inc. Class A 759 26,375 Bassett Furniture Industries, Inc. 1,026 16,662 Big 5 Sporting Goods Corp. 704 16,051 Blair Corp. 242 6,244 Blyth, Inc. 1,950 47,444 Bob Evans Farms, Inc. 1,257 38,062 Bon-Ton Stores, Inc. (The) 99 2,944 Books-A-Million, Inc. (a) 993 17,725 Brookfield Homes Corp. (a) 462 13,010 Brown Shoe Co., Inc. 550 19,712 Buckle, Inc. (The) 704 26,710 Building Material Holding Corp. 704 18,318 Cadmus Communications Corp. 286 4,273 Callaway Golf Co. 2,701 35,410 Carmike Cinemas, Inc. 770 13,229 Catalina Marketing Corp. 1,345 36,988 Cato Corp. (The) Class A 1,444 31,638 CBS Corp. Class A 3,737 105,458 Cherokee, Inc. 1,136 41,589 Christopher & Banks Corp. 539 15,890 Churchill Downs, Inc. 374 15,730 Citadel Broadcasting Corp. 15,854 149,028 CKE Restaurants, Inc. 1,191 19,914 Coachmen Industries, Inc. 715 7,729 Collegiate Pacific, Inc. 198 1,936 Cooper Tire & Rubber Co. (a) 3,891 39,143 Courier Corp. 286 10,622 CPI Corp. 657 31,891 CSS Industries, Inc. 330 9,808 Cutter & Buck, Inc. 539 5,212 DEB Shops, Inc. 528 13,538 Delta Apparel, Inc. 165 3,219 Dover Downs Gaming & Entertainment, Inc. 342 4,155 Entercom Communications Corp. 3,947 99,464 Escalade, Inc. 506 5,060 Ethan Allen Interiors, Inc. 1,224 42,424 Finish Line Class A 561 7,080 Fred's, Inc. 528 6,663 Frisch's Restaurants, Inc. 231 5,553 Furniture Brands International, Inc. (a) 2,811 53,521 Gray Television, Inc. 1,334 8,551 Group 1 Automotive, Inc. 689 34,381 Handleman Co. 1,455 11,043 Haverty Furniture Cos., Inc. 737 11,755 Hearst-Argyle Television, Inc. 1,334 30,615 IHOP Corp. 943 43,708 International Speedway Corp. Class A 77 3,838 Jackson Hewitt Tax Service, Inc. 770 23,108 Journal Communications, Inc. Class A 1,994 22,472 Journal Register Co. 572 3,243 Kellwood Co. 1,136 32,751 Kenneth Cole Productions, Inc. Class A 682 16,620 Kimball International, Inc. Class B 2,291 44,216 K-Swiss, Inc. Class A 374 11,242 Landry's Restaurants, Inc. 264 7,960 La-Z-Boy Inc. (a) 2,899 40,470 Lee Enterprises, Inc. 1,829 46,164 Levitt Corp. Class A 143 1,682 Lifetime Brands, Inc. 242 4,482 Lithia Motors, Inc. Class A 473 11,693 Lone Star Steakhouse & Saloon, Inc. 1,301 36,129 M/I Homes, Inc. 66 2,333 Marcus Corp. 715 16,424 Marine Products Corp. 1,499 14,570 Matthews International Corp. Class A 363 13,362 McClatchy Co. Class A 660 27,845 Media General, Inc. Class A 960 36,211 Modine Manufacturing Co. 1,719 41,823 Monaco Coach Corp. 1,158 12,900 Monro Muffler, Inc. 165 5,612 Movado Group, Inc. 341 8,668 National Presto Industries, Inc. 351 19,400 Nautilus, Inc. (a) 1,906 26,208 Noble International Ltd. 484 6,055 Oakley, Inc. 1,411 24,058 Orleans Homebuilders, Inc. 154 1,806 Oxford Industries, Inc. 451 19,352 PEP Boys-Manny, Moe & Jack (The) 2,093 26,895 Pier 1 Imports, Inc. 6,482 48,096 Pre-Paid Legal Services, Inc. (a) 1,114 44,192 Reader's Digest Association, Inc. (The) 5,699 73,859 Regal Entertainment Group Class A (a) 8,965 177,686 Regis Corp. 462 16,563 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 37 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Russ Berrie & Co., Inc. 1,191 $ 18,151 Sauer-Danfoss, Inc. 2,536 60,813 Sinclair Broadcast Group, Inc. Class A 5,038 39,548 Skyline Corp. 308 11,769 Sonic Automotive, Inc. 1,136 26,230 Spartan Motors, Inc. 528 9,942 Stage Stores, Inc. 187 5,487 Standard Motor Products, Inc. 1,620 19,424 Stanley Furniture Co., Inc. 286 6,095 Stein Mart, Inc. 1,367 20,792 Stewart Enterprises, Inc. Class A 4,002 23,452 Stride Rite Corp. 1,323 18,469 Sturm Ruger & Co., Inc. 2,921 22,609 Sun-Times Media Group, Inc. Class A 3,925 25,827 Superior Industries International, Inc. (a) 1,906 32,002 Talbots, Inc. 2,082 56,735 Tarragon Corp. 308 3,206 Technical Olympic USA, Inc. 385 3,785 Triarc Cos., Inc. Class A 905 15,014 Triarc Cos., Inc. Class B 2,335 35,305 Tuesday Morning Corp. 3,108 43,139 Tupperware Brands Corp. 5,622 109,404 Unifirst Corp. 88 2,749 Value Line, Inc. 703 32,767 Westwood One, Inc. 6,747 47,769 Weyco Group, Inc. 242 5,414 Winnebago Industries, Inc. (a) 839 26,328 Wolverine World Wide, Inc. 1,598 45,239 World Wrestling Entertainment, Inc. 2,745 45,100 Xerium Technologies, Inc. 9,097 100,795 Yankee Candle Co., Inc. 861 25,201 ------------ Total Consumer Discretionary 3,431,120 -------------------------------------------------------------------------------- Consumer Staples--3.7% Alico, Inc. 417 24,399 American Italian Pasta Co. Class A (a) 4,794 37,297 Andersons Inc. (The) 154 5,259 Arden Group, Inc. Class A 77 8,963 Cal-Maine Foods, Inc. 308 2,042 Casey's General Stores, Inc. 861 19,174 Chiquita Brands International, Inc. 1,972 26,385 Coca-Cola Bottling Co. Consolidated 384 23,800 Delta & Pine Land Co. 1,543 62,492 Farmer Bros. Co. 660 13,556 Imperial Sugar Co. 176 5,477 Ingles Markets, Inc. Class A 971 25,615 Inter Parfums, Inc. 363 6,912 J&J Snack Foods Corp. 363 11,289 Lancaster Colony Corp. 2,043 91,445 Lance, Inc. 1,862 41,001 Mannatech, Inc. (a) 1,059 18,765 MGP Ingredients, Inc. 319 6,785 Nash Finch Co. 693 16,306 Nu Skin Enterprises, Inc. Class A 3,471 60,812 Pilgrim's Pride Corp. 605 16,547 Premium Standard Farms, Inc. 938 17,869 Reddy Ice Holdings, Inc. 3,240 78,408 Reliv' International, Inc. 209 1,881 Ruddick Corp. 1,862 48,468 Sanderson Farms, Inc. (a) 927 29,998 Spartan Stores, Inc. 704 11,898 Tootsie Roll Industries, Inc. 806 23,624 Topps Co., Inc. (The) 1,576 14,121 Universal Corp. 2,613 95,453 Vector Group Ltd. (a) 9,532 154,609 WD-40 Co. 1,026 36,597 Weis Markets, Inc. 1,521 60,536 ------------ Total Consumer Staples 1,097,783 -------------------------------------------------------------------------------- Energy--0.9% Adams Resources & Energy, Inc. 121 4,217 Alon USA Energy, Inc. 660 19,463 Barnwell Industries, Inc. 154 2,986 Berry Petroleum Co. Class A 693 19,515 CARBO Ceramics, Inc. 374 13,475 Crosstex Energy, Inc. 867 77,656 Gulf Island Fabrication, Inc. 385 10,045 Lufkin Industries, Inc. 329 17,411 Maritrans, Inc. 473 17,312 MarkWest Hydrocarbon, Inc. 561 15,708 NGP Capital Resources Co. 1,774 25,883 Panhandle Royalty Co. Class A 121 2,178 Penn Virginia Corp. 329 20,862 RPC, Inc. 1,235 22,625 World Fuel Services Corp. 220 8,899 ------------ Total Energy 278,235 -------------------------------------------------------------------------------- Financials--58.5% 1st Source Corp. 921 27,188 1st State Bancorp., Inc. 462 11,998 21st Century Holding Co. (a) 451 8,325 21st Century Insurance Group 3,770 56,362 Abington Community Bancorp, Inc. (a) 506 7,600 Acadia Realty Trust 2,159 55,055 Advance America, Cash Advance Centers, Inc. 5,468 78,849 Advanta Corp. Class A 275 9,342 Advanta Corp. Class B 605 22,325 Affirmative Insurance Holdings, Inc. 187 2,740 See Notes to Financial Statements. 38 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Agree Realty Corp. 1,015 $ 33,343 Alabama National Bancorp. 890 60,743 Alfa Corp. 4,068 70,254 AMCORE Financial, Inc. 1,257 38,075 American Bancorp of New Jersey, Inc. 451 5,344 American Campus Communities, Inc. 1,939 49,464 American Equity Investment Life Holding Co. 330 4,049 American Financial Realty Trust 26,082 291,075 American First Apartment Investors, Inc. 1,653 27,605 American Home Mortgage Investment Corp. 12,571 438,350 American Land Lease, Inc. 616 14,630 American Mortgage Acceptance Co. 1,796 32,400 American River Bankshares 253 6,274 Ameris Bancorp 671 18,258 Anchor Bancorp Wisconsin, Inc. 993 28,360 Annaly Mortgage Management, Inc. 9,725 127,787 Anthracite Capital, Inc. 12,604 162,087 Anworth Mortgage Asset Corp. 993 8,292 Apollo Investment Corp. 17,290 354,618 Arbor Realty Trust, Inc. 3,847 98,329 Ares Capital Corp. 6,791 118,299 Arrow Financial Corp. 818 20,744 Ashford Hospitality Trust, Inc. 7,838 93,507 Associated Estates Realty Corp. 2,236 34,591 Asta Funding, Inc. 143 5,361 Baldwin & Lyons, Inc. Class B 396 9,591 BancFirst Corp. 611 28,546 Bancorp Rhode Island, Inc. 297 13,142 BancTrust Financial Group, Inc. 572 15,953 Bank Mutual Corp. 3,185 38,634 Bank of Granite Corp. 963 16,881 Bank of the Ozarks, Inc. 396 13,413 BankAtlantic Bancorp, Inc. Class A 1,301 18,500 BankUnited Financial Corp. Class A 55 1,434 Banner Corp. 561 23,023 Berkshire Hills Bancorp, Inc. 297 10,570 Beverly Hills Bancorp, Inc. 2,181 17,797 BioMed Realty Trust, Inc. 3,980 120,753 BKF Capital Group, Inc. 693 2,703 BNP Residential Properties, Inc. 1,400 33,250 Boston Private Financial Holdings, Inc. 715 19,934 Bristol West Holdings, Inc. 960 13,968 Brooke Corp. 1,587 20,631 Brookline Bancorp, Inc. 2,932 40,315 BRT Realty Trust 1,389 39,406 Bryn Mawr Bank Corp. 374 8,265 BWC Financial Corp. 99 4,107 Cadence Financial Corp. 770 15,608 Calamos Asset Management, Inc. Class A 484 14,191 Camden National Corp. 374 15,035 Capital Bank Corp. 385 6,764 Capital City Bank Group, Inc. 737 22,921 Capital Corp of the West 121 3,753 Capital Lease Funding, Inc. 4,354 48,286 Capital Southwest Corp. 142 16,919 Capital Trust, Inc. Class A 2,569 104,635 Capitol Bancorp Ltd. 838 37,291 Capstead Mortgage Corp. 473 4,082 Cardinal Financial Corp. 154 1,688 Cash America International, Inc. 209 8,168 Cedar Shopping Centers, Inc. 3,693 59,716 Center Bancorp, Inc. 883 14,481 Center Financial Corp. 231 5,493 CentraCore Properties Trust 1,752 55,626 Central Pacific Financial Corp. 1,510 55,236 CFS Bancorp, Inc. 828 12,246 Charter Financial Corp. 2,038 81,500 Chemical Financial Corp. 1,862 55,264 Chittenden Corp. 2,536 72,758 Citizens Banking Corp. 3,958 103,937 Citizens First Bancorp, Inc. 231 5,881 City Holding Co. 1,191 47,485 Clark, Inc. 770 8,678 Clifton Savings Bancorp, Inc. 1,235 13,857 CoBiz, Inc. 473 10,813 Cogdell Spencer Inc. 1,103 22,887 Cohen & Steers, Inc. 1,400 45,304 Columbia Banking System, Inc. 539 17,253 Commercial Bankshares, Inc. 297 10,594 Commercial Capital Bancorp, Inc. 2,723 43,405 Commonwealth Bankshares 87 2,368 Community Bancorp, Inc. 176 7,195 Community Bank System, Inc. 2,203 48,818 Community Banks, Inc. 2,844 76,219 Community Trust Bancorp, Inc. 993 37,386 Consolidated-Tomoka Land Co. 66 4,235 Crawford & Co. Class B 2,137 14,510 CVB Financial Corp. 2,789 41,194 Delphi Financial Group, Inc. Class A 715 28,514 Delta Financial Corp. 927 8,491 Desert Community Bank 88 1,592 DiamondRock Hospitality Co. 7,409 123,063 Digital Realty Trust, Inc. 2,225 69,687 Dime Community Bancshares 3,119 45,943 Direct General Corp. 418 5,626 Donegal Group, Inc. Class A 473 9,564 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 39 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Eagle Hospitality Properties Trust, Inc. 2,624 $ 24,403 EastGroup Properties, Inc. 2,086 104,008 Education Realty Trust, Inc. 4,453 65,726 EMC Insurance Group, Inc. 682 19,669 Entertainment Properties Trust 3,850 189,882 Equity Inns, Inc. 5,545 88,276 Equity Lifestyle Properties, Inc. 340 15,541 Extra Space Storage, Inc. 5,941 102,839 FBL Financial Group, Inc. Class A 817 27,345 FelCor Lodging Trust, Inc. 3,704 74,265 Feldman Mall Properties, Inc. 2,027 22,358 Fidelity Bankshares, Inc. 517 20,168 Fidelity National Title Group, Inc. Class A 3,438 72,060 Fidelity Southern Corp. 363 6,630 Fieldstone Investment Corp. 17,301 151,038 Financial Federal Corp. 806 21,601 Financial Institutions, Inc. 418 9,764 First Bancorp 993 20,237 First Busey Corp. 1,411 32,044 First Charter Corp. 2,060 49,564 First Commonwealth Financial Corp. 7,088 92,357 First Community Bancorp 1,025 57,349 First Community Bancshares, Inc. 795 26,529 First Defiance Financial Corp. 572 16,319 First Financial Bancorp 3,306 52,598 First Financial Bankshares, Inc. 1,312 50,053 First Financial Corp. 817 26,070 First Financial Holdings, Inc. 795 27,205 First Indiana Corp. 1,059 27,545 First Merchants Corp. 1,389 32,850 First Place Financial Corp. 737 16,700 First Potomac Realty Trust 1,950 58,929 First Republic Bank 759 32,303 First Security Group, Inc. 341 3,928 First United Corp. 440 9,381 Firstbank Corp. 506 11,992 FirstBank NW Corp. 275 7,656 Flag Financial Corp. 495 12,395 Flagstar Bancorp, Inc. 5,446 79,239 Flushing Financial Corp. 1,059 18,533 FNB Corp./PA 6,857 114,238 FNB Corp./VA 374 13,468 FNB Financial Services Corp. 462 6,815 FNB United Corp. 407 7,582 Forest City Enterprises, Inc. Class B 362 19,591 Franklin Street Properties Corp. 7,607 151,075 Friedman, Billings, Ramsey Group, Inc. Class A (a) 29,775 239,093 Frontier Financial Corp. 2,067 53,618 GAMCO Investors, Inc. Class A 33 1,256 Gateway Financial Holdings, Inc. 154 2,199 GB&T Bancshares, Inc. 429 9,030 German American Bancorp, Inc. 993 14,011 Getty Realty Corp. 3,350 98,088 Glacier Bancorp, Inc. 1,444 49,341 Gladstone Capital Corp. (a) 1,851 40,741 Gladstone Investment Corp. 1,994 29,112 Glenborough Realty Trust Inc. 4,508 115,991 Glimcher Realty Trust 5,368 133,019 GMH Communities Trust 6,724 84,857 Government Properties Trust, Inc. 2,822 25,454 Gramercy Capital Corp. 3,969 100,058 Great American Financial Resources, Inc. 517 10,821 Great Southern Bancorp, Inc. 583 16,382 Greater Bay Bancorp 2,470 69,679 Greene County Bancshares, Inc. 341 12,467 Hancock Holding Co. 1,294 69,294 Hanmi Financial Corp. 1,411 27,656 Harbor Florida Bancshares, Inc. 1,759 77,941 Harleysville Group, Inc. 1,565 54,759 Harleysville National Corp. 2,093 42,069 Heartland Financial USA, Inc. 550 14,124 Hercules Technology Growth Capital, Inc. 2,256 28,944 Heritage Commerce Corp. 198 4,582 Heritage Financial Corp. 374 9,739 Hersha Hospitality Trust 3,251 31,210 Highland Hospitality Corp. 6,449 92,414 Hilb Rogal & Hobbs Co. 872 37,191 HMN Financial, Inc. 264 9,177 Home Federal Bancorp 220 6,105 Home Federal Bancorp, Inc. 528 8,210 HomeBanc Corp. 15,722 96,690 Horace Mann Educators Corp. 2,082 40,037 Horizon Financial Corp. 495 14,781 IBERIABANK Corp. 418 25,498 IMPAC Mortgage Holdings, Inc. (a) 17,199 161,155 Independence Holding Co. 66 1,436 Independent Bank Corp./MA 660 21,463 Independent Bank Corp./MI 1,389 33,725 Infinity Property & Casualty Corp. 319 13,120 Inland Real Estate Corp. 8,622 151,057 Innkeepers USA Trust 3,295 53,676 Integra Bank Corp. 1,059 26,772 Interchange Financial Services Corp. 927 20,969 International Securities Exchange, Inc. 643 30,150 Investors Real Estate Trust 6,945 67,783 Irwin Financial Corp. 1,411 27,599 See Notes to Financial Statements. 40 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- ITLA Capital Corp. 219 $ 11,773 JER Investors Trust Inc. 4,420 75,847 Kearny Financial Corp. 2,291 34,777 K-Fed Bancorp 693 11,088 Kite Realty Group Trust 2,910 49,586 KNBT Bancorp, Inc. 1,092 17,559 Lakeland Bancorp, Inc. 1,237 17,664 Lakeland Financial Corp. 517 12,155 LandAmerica Financial Group, Inc. 496 32,632 Leesport Financial Corp. 319 7,401 Legacy Bancorp, Inc. 176 2,737 Lexington Corporate Properties Trust (a) 8,025 169,970 LNB Bancorp, Inc. 528 9,053 Longview Fibre Co. 4,705 95,606 LTC Properties, Inc. 3,119 75,636 Luminent Mortgage Capital, Inc. 2,192 22,556 Macatawa Bank Corp. 675 15,451 MAF Bancorp, Inc. 1,686 69,615 MainSource Financial Group, Inc. 927 15,731 MB Financial, Inc. 1,237 45,608 MBT Financial Corp. 1,499 22,245 MCG Capital Corp. 13,784 225,093 Medallion Financial Corp. 1,774 19,567 Medical Properties Trust, Inc. 6,735 90,182 Mercantile Bancorp 165 3,597 Mercantile Bank Corp. 209 8,266 Merchants Bancshares, Inc. 627 14,863 MetroCorp Bancshares, Inc. 210 4,765 MFA Mortgage Investments, Inc. 5,468 40,737 Mid-America Apartment Communities, Inc. 2,169 132,786 Midland Co. (The) 286 12,390 Mid-State Bancshares 1,191 32,586 Midwest Banc Holdings, Inc. 883 21,563 Mission West Properties, Inc. 2,181 24,885 Monmouth REIT Class A 2,998 23,984 MortgageIT Holdings, Inc. 5,765 81,171 Municipal Mortgage & Equity LLC 6,150 174,722 MVC Capital, Inc. 1,620 20,995 Nara Bancorp, Inc. 341 6,237 National Health Investors, Inc. 4,552 128,958 National Health Realty, Inc. 1,444 28,750 National Penn Bancshares, Inc. (a) 3,225 63,275 National Retail Properties, Inc. 6,746 145,714 Nationwide Health Properties, Inc. 10,508 280,984 NBT Bancorp, Inc. 2,437 56,685 Netbank, Inc. 1,125 6,806 Newcastle Investment Corp. 9,958 272,949 Newkirk Realty Trust, Inc. 3,715 61,223 NorthStar Realty Finance Corp. 6,537 83,020 Northwest Bancorp, Inc. 2,811 71,681 NovaStar Financial, Inc. (a) 11,842 345,668 NYMAGIC, Inc. 154 4,882 Oak Hill Financial, Inc. 297 7,354 OceanFirst Financial Corp. 894 19,176 Odyssey Re Holdings Corp. (a) 861 29,085 Old National Bancorp 5,688 108,641 Old Second Bancorp, Inc. 462 13,842 Omega Financial Corp. 1,004 30,190 Omega Healthcare Investors, Inc. 8,147 122,286 One Liberty Properties, Inc. 1,433 32,099 Opteum, Inc. Class A 2,602 20,946 Origen Financial, Inc. 2,181 12,366 Pacific Continental Corp. 440 8,008 Park National Corp. 1,124 112,501 Parkway Properties, Inc. 1,946 90,470 Partners Trust Financial Group, Inc. 2,591 27,750 Patriot Capital Funding, Inc. 2,437 32,461 Peapack-Gladstone Financial Corp. 396 9,690 Pennfed Financial Services, Inc. 418 7,010 Peoples Bancorp, Inc. 605 17,684 PFF Bancorp, Inc. 1,059 39,225 Placer Sierra Bancshares 550 12,216 PMC Commercial Trust 2,049 28,686 Potlatch Corp. 3,836 142,316 Preferred Bank 296 17,751 Presidential Life Corp. 1,004 22,459 PrivateBancorp, Inc. 506 23,134 Prospect Energy Corp. 1,125 17,483 Prosperity Bancshares, Inc. 795 27,062 Provident Bankshares Corp. 2,236 82,844 Provident Financial Holdings, Inc. 264 7,957 Provident Financial Services, Inc. 2,976 55,086 Provident New York Bancorp 1,433 19,603 Prudential Bancorp, Inc. of Pennsylvania 319 4,201 PS Business Parks, Inc. 1,036 62,471 Public Storage, Inc. Class A 1,708 46,663 Pulaski Financial Corp. 396 6,514 Rainier Pacific Financial Group, Inc. 209 3,804 RAIT Investment Trust 5,225 150,741 Ramco-Gershenson Properties Trust 2,159 68,980 Redwood Trust, Inc. 3,558 179,216 Renasant Corp. 844 23,691 Republic Bancorp, Inc. 5,930 79,047 Republic Bancorp, Inc. Class A 616 13,028 Republic Cos. Group, Inc. 839 16,696 Resource America, Inc. Class A 462 9,610 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 41 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Riverview Bancorp, Inc. 638 $ 8,613 RLI Corp. 769 39,058 Rome Bancorp, Inc. 539 6,926 Royal Bancshares of Pennsylvania Class A 1,037 28,092 S&T Bancorp, Inc. 1,807 58,728 S.Y. Bancorp, Inc. 671 19,909 Safety Insurance Group, Inc. 615 29,926 Sanders Morris Harris Group, Inc. 462 5,780 Sandy Spring Bancorp, Inc. 737 26,060 Saul Centers, Inc. 1,389 62,505 Saxon Capital, Inc. 20,862 292,902 SCBT Financial Corp. 374 13,988 Seacoast Banking Corp. of Florida 759 22,922 Security Bank Corp. 374 8,456 Selective Insurance Group, Inc. 1,091 57,398 Senior Housing Properties Trust 11,004 234,825 Sierra Bancorp (a) 429 13,406 Simmons First National Corp. Class A 660 19,147 Sizeler Property Investors, Inc. 1,268 19,058 Southern Community Financial Corp. 495 4,811 Southside Bancshares, Inc. 550 14,680 Southwest Bancorp, Inc. 462 11,929 Sovran Self Storage, Inc. 1,773 98,490 Spirit Finance Corp. 12,228 141,967 State Auto Financial Corp. 938 28,656 State Bancorp, Inc. 938 19,191 State National Bancshares, Inc. 385 14,626 Sterling Bancorp 1,499 29,470 Sterling Bancshares, Inc. 1,532 31,023 Sterling Financial Corp./PA 1,598 35,140 Sterling Financial Corp./WA 627 20,334 Stewart Information Services Corp. 594 20,653 Strategic Hotels & Resorts, Inc. 5,060 100,593 Suffolk Bancorp 572 18,258 Summit Bancshares, Inc. 451 12,682 Summit Bank Corp. 407 9,512 Sun Communities, Inc. 2,789 89,136 Susquehanna Bancshares, Inc. 3,781 92,408 SWS Group, Inc. 638 15,880 Synergy Financial Group, Inc. 341 5,490 Tanger Factory Outlet Centers, Inc. 2,503 89,157 Taylor Capital Group, Inc. 143 4,226 Technology Investment Capital Corp. 3,460 50,620 Texas United Bancshares, Inc. 297 9,798 Thomas Properties Group, Inc. 550 7,068 TIB Financial Corp. 198 6,322 TierOne Corp. 275 9,331 Tompkins Trustco, Inc. 660 29,997 Tower Group, Inc. 187 6,236 Trico Bancshares 583 14,429 TrustCo Bank Corp. 8,532 92,487 Trustreet Properties Inc. 12,703 158,915 UMB Financial Corp. 1,323 48,382 UMH Properties, Inc. 1,378 21,290 Umpqua Holdings Corp. 1,928 55,141 Union Bankshares Corp. 374 16,576 United Community Financial Corp. 2,005 24,702 United Fire & Casualty Co. 748 23,412 United Security Bancshares (a) 495 11,157 Universal Health Realty Income Trust 1,565 56,105 Univest Corp. of Pennsylvania (a) 839 24,239 Urstadt Biddle Properties, Inc. Class A 2,038 37,030 USB Holding Co., Inc. 1,158 25,545 U-Store-It Trust 7,121 152,817 Vineyard National Bancorp 220 5,711 Virginia Financial Group, Inc. 513 14,087 Washington Real Estate Investment Trust 4,057 161,469 Washington Trust Bancorp, Inc. 781 20,704 WesBanco, Inc. 1,532 44,765 West Bancorp, Inc. 1,225 20,960 West Coast Bancorp 484 14,781 Westfield Financial, Inc. 517 16,425 Willow Grove Bancorp, Inc. 872 13,656 Wilshire Bancorp, Inc. 671 12,776 Windrose Medical Properties Trust 2,291 40,505 Winston Hotels, Inc. 3,064 37,748 Wintrust Financial Corp. 318 15,948 WSFS Financial Corp. 66 4,105 Yardville National Bancorp 286 10,199 ------------ Total Financials 17,350,426 -------------------------------------------------------------------------------- Health Care--1.6% Alpharma, Inc. Class A 616 14,408 Analogic Corp. 272 13,959 Arrow International, Inc. 2,016 64,129 Cambrex Corp. 363 7,518 Chemed Corp. 231 7,452 Clinical Data, Inc. 132 1,847 CNS, Inc. 341 9,626 Computer Programs & Systems, Inc. 671 21,989 Datascope Corp. 220 7,363 Invacare Corp. 110 2,587 LCA-Vision Inc. 505 20,862 Meridian Bioscience, Inc. 960 22,570 National Healthcare Corp. 407 21,868 Option Care, Inc. 407 5,450 Owens & Minor, Inc. 1,587 52,196 See Notes to Financial Statements. 42 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Perrigo Co. 2,104 $ 35,705 PolyMedica Corp. 704 30,138 Utah Medical Products, Inc. 187 5,999 Valeant Pharmaceuticals International 3,936 77,854 Vital Signs, Inc. 219 12,398 West Pharmaceutical Services, Inc. 960 37,699 Young Innovations, Inc. 88 3,164 ------------ Total Health Care 476,781 -------------------------------------------------------------------------------- Industrials--6.5% A.O. Smith Corp. 583 22,988 AAON, Inc. 451 10,287 ABM Industries, Inc. 2,448 45,923 Aceto Corp. 1,081 7,610 Administaff, Inc. 396 13,345 Alamo Group, Inc. 220 5,003 Albany International Corp. Class A 583 18,551 Ambassadors International, Inc. 517 16,332 American Ecology Corp. 1,136 22,425 American Woodmark Corp. 121 4,076 Ameron International Corp. 371 24,649 Ampco-Pittsburgh Corp. 429 13,269 Angelica Corp. 440 7,484 Apogee Enterprises, Inc. 927 14,100 Applied Industrial Technologies, Inc. 1,290 31,476 Applied Signal Technology, Inc. 638 9,468 Arkansas Best Corp. 839 36,102 Badger Meter, Inc. 308 7,759 Baldor Electric Co. 1,356 41,804 Banta Corp. 842 40,079 Barnes Group, Inc. 2,280 40,037 BlueLinx Holdings, Inc. 2,060 19,611 Bowne & Co., Inc. 927 13,238 Bucyrus International, Inc. Class A 209 8,866 C&D Technologies, Inc. 319 2,265 Cascade Corp. 418 19,082 CDI Corp. 605 12,530 Central Parking Corp. 253 4,175 CIRCOR International, Inc. 176 5,377 Comfort Systems USA, Inc. 905 10,371 Cubic Corp. 440 8,615 Curtiss-Wright Corp. 682 20,699 Deluxe Corp. 6,757 115,544 EDO Corp. 165 3,775 ElkCorp. 253 6,869 Ennis, Inc. 1,752 37,931 Federal Signal Corp. 1,356 20,679 Forward Air Corp. 517 17,108 Franklin Electric Co., Inc. 576 30,609 Freightcar America, Inc. 55 2,915 G&K Services, Inc. Class A 77 2,805 Gorman-Rupp Co. (The) 539 17,625 Greenbrier Cos., Inc. 264 7,659 Hardinge Inc. 143 1,902 Healthcare Services Group Inc. 1,004 25,261 Heico Corp. 55 1,887 Heico Corp. Class A 88 2,556 Horizon Lines, Inc. Class A 2,470 41,249 Hubbell, Inc. Class A 528 23,549 Insteel Industries, Inc. 154 3,060 International Aluminum Corp. 264 9,860 Interpool, Inc. 971 21,809 John H. Harland Co. 894 32,586 Kaman Corp. 1,026 18,478 Kaydon Corp. 726 26,877 Kelly Services, Inc. Class A 1,026 28,123 Knoll, Inc. 2,159 43,611 Lawson Products 385 16,139 Lindsay Manufacturing Co. 220 6,325 LSI Industries, Inc. 1,224 19,890 McGrath Rentcorp 1,158 29,645 Met-Pro Corp. 462 6,066 Mine Safety Appliances Co. 1,048 37,351 Mueller Industries, Inc. 894 31,442 Multi-Color Corp. 88 2,530 NACCO Industries, Inc. Class A 241 32,754 Pacer International, Inc. 1,488 41,307 Portec Rail Products, Inc. 308 2,957 Preformed Line Products Co. 286 10,222 PW Eagle, Inc. (a) 264 7,923 Quixote Corp. 275 4,901 Raven Industries, Inc. 363 10,894 Regal-Beloit Corp. 817 35,540 Robbins & Myers, Inc. 319 9,863 Rollins, Inc. 1,840 38,842 Schawk, Inc. 275 5,011 Standard Register Co. (The) 3,097 40,880 Standex International Corp. 715 19,934 Steelcase Inc. Class A 3,251 51,007 Sun Hydraulics Corp. 451 9,250 Synagro Technologies, Inc. 12,748 53,796 Sypris Solutions, Inc. 506 4,225 Tennant Co. 812 19,764 Titan International, Inc. 44 796 Todd Shipyards Corp. 220 3,973 Tredegar, Corp. 839 14,045 Twin Disc, Inc. 176 5,745 See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 43 Schedule of Investments (unaudited) (continued) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- UAP Holding Corp. 3,814 $ 81,504 United Industrial Corp. 259 13,857 Universal Forest Products, Inc. 142 6,965 Valmont Industries, Inc. 646 33,754 Viad Corp. 220 7,790 Vicor Corp. 396 4,570 Wabash National Corp. 616 8,433 Waste Industries USA, Inc. 220 5,947 Watts Water Technologies, Inc. Class A 539 17,119 Werner Enterprises, Inc. 1,510 28,252 Woodward Governor Co. 894 29,985 ------------ Total Industrials 1,913,116 -------------------------------------------------------------------------------- Information Technology--1.9% Agilysys, Inc. 528 7,413 American Software, Inc. Class A 1,730 11,851 Bel Fuse, Inc. Class B 110 3,530 Belden CDT, Inc. 682 26,073 Black Box Corp. 187 7,278 Blackbaud, Inc. 1,246 27,400 Cognex Corp. 1,103 27,862 Cohu, Inc. 550 9,807 CTS Corp. 693 9,550 Daktronics, Inc. 220 4,552 Frequency Electronics, Inc. 264 3,424 Gevity HR, Inc. 850 19,363 Imation Corp. 850 34,127 Integral Systems, Inc. 176 5,502 Inter-Tel, Inc. 850 18,360 Keithley Instruments, Inc. 297 3,787 Landauer, Inc. 818 41,513 MAXIMUS, Inc. 517 13,494 Methode Electronics, Inc. 1,488 14,151 MTS Systems Corp. 407 13,162 Park Electrochemical Corp. 473 14,985 QAD, Inc. 938 7,579 Renaissance Learning, Inc. (a) 726 10,389 Richardson Electronics Ltd. 528 4,768 Spectralink Corp.* 726 5,960 Startek, Inc. 1,939 24,179 Syntel, Inc. 1,136 25,730 Talx Corp. 396 9,710 Technitrol, Inc. 1,290 38,506 TheStreet.com, Inc. 759 8,076 United Online, Inc. 8,554 104,187 X-Rite, Inc. 341 3,662 ------------ Total Information Technology 559,930 -------------------------------------------------------------------------------- Materials--3.9% A. Schulman, Inc. 1,565 36,793 AMCOL International Corp. 982 24,462 American Vanguard Corp. 253 3,542 Arch Chemicals, Inc. 1,367 38,891 Balchem Corp. 99 1,959 Calgon Carbon Corp.*(a) 918 4,058 CF Industries Holdings, Inc. 561 9,576 Chesapeake Corp. 2,723 38,966 Compass Minerals International, Inc. 3,372 95,460 Deltic Timber Corp. 208 9,913 Empire Resources, Inc. (a) 154 1,355 Ferro Corp. 2,635 46,850 Georgia Gulf Corp. 916 25,117 Gibraltar Industries, Inc. 440 9,759 Great Northern Iron Ore Properties 263 27,194 Greif, Inc. Class A 417 33,406 H.B. Fuller Co. 1,213 28,433 Hawkins, Inc. 627 8,916 Kronos Worldwide, Inc. 3,493 100,562 MacDermid, Inc. 495 16,147 Metal Management, Inc. 528 14,700 Minerals Technologies, Inc. 219 11,695 Myers Industries, Inc. 949 16,133 Neenah Paper, Inc. 396 13,555 NewMarket Corp. 396 23,031 NL Industries, Inc. (a) 4,950 49,203 NN, Inc. 927 10,966 Olin Corp. 5,831 89,564 Olympic Steel, Inc. 88 2,188 P.H. Glatfelter Co. 1,884 25,528 Penford Corp. 286 4,330 Quaker Chemical Corp. 839 16,319 Rock-Tenn Co. Class A 1,906 37,739 Royal Gold, Inc. (a) 308 8,356 Ryerson, Inc. 418 9,150 Schnitzer Steel Industries, Inc. Class A 77 2,429 Schweitzer-Mauduit International, Inc. 839 15,924 Sensient Technologies Corp. 3,328 65,129 Silgan Holdings, Inc. 960 36,058 Spartech Corp. 1,444 38,656 Steel Technologies, Inc. 341 6,694 Stepan Co. 572 16,720 Texas Industries, Inc. 318 16,555 Tronox, Inc. Class A 462 5,891 Wausau Paper Corp. 2,657 35,870 Wellman, Inc. 2,225 8,878 ------------ Total Materials 1,142,620 -------------------------------------------------------------------------------- See Notes to Financial Statements. 44 WisdomTree Trust Domestic Equity Funds Schedule of Investments (unaudited) (concluded) WisdomTree SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Telecommunication Services--2.4% Alaska Communications Systems Group, Inc. 6,416 $ 85,140 Commonwealth Telephone Enterprises, Inc. 2,756 113,630 Consolidated Communications Holdings, Inc. 6,163 115,310 CT Communications, Inc. 1,213 26,346 D&E Communications, Inc. 1,389 17,515 FairPoint Communications, Inc. 8,745 152,164 Hector Communications Corp. 121 4,364 HickoryTech Corp. 1,620 11,340 Iowa Telecommunications Services, Inc. 5,765 114,089 North Pittsburgh Systems, Inc. 1,059 26,655 Shenandoah Telecommunications Co. 165 7,173 SureWest Communications 1,312 25,545 Warwick Valley Telephone Co. 429 8,623 ------------ Total Telecommunication Services 707,894 -------------------------------------------------------------------------------- Utilities--7.6% ALLETE, Inc. 2,114 91,853 American States Water Co. 872 33,354 Avista Corp. 2,855 67,606 Black Hills Corp. 2,800 94,108 California Water Service Group 1,015 37,484 Cascade Natural Gas Corp. 1,213 31,647 Central Vermont Public Service Corp. 1,158 25,603 CH Energy Group, Inc. 1,608 82,764 Chesapeake Utilities Corp. 473 14,214 Cleco Corp. 4,376 110,450 Connecticut Water Service, Inc. 572 12,630 Duquesne Light Holdings, Inc. 10,266 201,830 Empire District Electric Co. (The) 3,273 73,250 EnergySouth, Inc. 462 15,593 Green Mountain Power Corp. 440 14,683 IDACORP, Inc. 3,383 127,911 ITC Holdings Corp. 2,888 90,106 Laclede Group, Inc. (The) 1,906 61,144 MGE Energy, Inc. 1,851 59,935 Middlesex Water Co. 905 17,403 New Jersey Resources Corp. 1,982 97,713 Northwest Natural Gas Co. 2,324 91,287 NorthWestern Corp. 3,064 107,179 Ormat Technologies, Inc. 209 6,838 Otter Tail Corp. 2,569 75,118 Pennichuck Corp. 231 4,280 Peoples Energy Corp. 5,082 206,582 SJW Corp. 828 24,765 South Jersey Industries, Inc. 2,071 61,944 Southwest Gas Corp. 2,525 84,133 Southwest Water Co. (a) 638 7,803 UIL Holdings Corp. 2,921 109,538 UniSource Energy Corp. 2,082 69,393 Unitil Corp. 649 15,771 York Water Co. 579 11,013 ------------ Total Utilities 2,236,925 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $28,393,810) 29,194,830 ================================================================================ SHORT-TERM INVESTMENT--0.8% MONEY MARKET FUND--0.8% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $239,034) 239,034 239,034 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED--5.6% MONEY MARKET FUNDS (c)--5.6% AIM Liquid Assets Portfolio, 5.21% 64,600 64,600 AIM Prime Portfolio, 5.22% 82,909 82,909 UBS Enhanced Yield Portfolio, 5.30% 900,000 900,000 UBS Private Money Market Fund LLC, 5.23% 606,000 606,000 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $1,653,509) (d) 1,653,509 ================================================================================ TOTAL INVESTMENTS IN SECURITIES--105.0% (Cost: $30,286,353) (e) 31,087,373 Liabilities in Excess of Cash and Other Assets -- (5.0) % (1,469,625) ------------ NET ASSETS--100.0% $29,617,748 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $1,562,928 and the total market value of the collateral held by the Fund was $1,653,509. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 45 Statements of Assets and Liabilities (unaudited) WisdomTree Domestic Equity Funds September 30, 2006 ==================================================================================================================================== 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: $ 47,564,221 $ 56,398,059 $ 116,226,196 $ 30,929,720 $ 18,360,828 $ 30,286,353 ------------------------------------------------------------------------------------------------------------------------------------ Investments in securities, at value (including securities on loan) (Note 2): 49,527,520 58,509,734 120,311,196 31,487,462 19,243,407 31,087,373 Cash 15,471 32,336 342,725 5,458 14,952 50,036 Receivables: Capital shares sold -- -- 2,744,664 2,745,256 -- 2,718,979 Dividends and interest 70,081 127,752 165,014 59,893 45,830 115,315 ------------------------------------------------------------------------------------------------------------------------------------ Total Assets 49,613,072 58,669,822 123,563,599 34,298,069 19,304,189 33,971,703 ==================================================================================================================================== LIABILITIES: ------------------------------------------------------------------------------------------------------------------------------------ Payables: Investment securities purchased -- -- 2,733,334 2,730,186 -- 2,693,037 Collateral for securities on loan (Note 2) 497,150 879,100 16,630,205 1,477,500 586,750 1,653,509 Investment advisory fees (Note 3) 7,821 12,770 21,006 6,620 4,989 7,409 ------------------------------------------------------------------------------------------------------------------------------------ Total Liabilities 504,971 891,870 19,384,545 4,214,306 591,739 4,353,955 ==================================================================================================================================== NET ASSETS $ 49,108,101 $ 57,777,952 $ 104,179,054 $ 30,083,763 $ 18,712,450 $ 29,617,748 ==================================================================================================================================== NET ASSETS: ------------------------------------------------------------------------------------------------------------------------------------ Paid-in capital $ 46,513,164 $ 54,866,337 $ 98,944,888 $ 28,660,280 $ 17,692,316 $ 28,564,948 Undistributed net investment income 210,309 318,557 420,155 153,895 128,538 274,553 Accumulated net realized gain (loss) on investments 421,329 481,383 729,011 711,846 9,017 (22,773) Net unrealized appreciation on investments 1,963,299 2,111,675 4,085,000 557,742 882,579 801,020 ------------------------------------------------------------------------------------------------------------------------------------ NET ASSETS $ 49,108,101 $ 57,777,952 $ 104,179,054 $ 30,083,763 $ 18,712,450 $ 29,617,748 ==================================================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 900,100 1,050,100 1,900,100 550,100 350,100 550,100 ==================================================================================================================================== Net asset value per share $ 54.56 $ 55.02 $ 54.83 $ 54.69 $ 53.45 $ 53.84 ==================================================================================================================================== See Notes to Financial Statements. 46 WisdomTree Trust Domestic Equity Funds Statements of Operations (unaudited) WisdomTree Domestic Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== 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 $ 229,993 $ 347,609 $ 459,427 $ 167,885 $ 140,558 $ 286,316 Interest 1,567 1,479 3,511 1,734 950 1,585 Securities lending income (Note 2) 500 1,188 2,593 1,693 527 3,442 ------------------------------------------------------------------------------------------------------------------------------------ Total investment income 232,060 350,276 465,531 171,312 142,035 291,343 ==================================================================================================================================== EXPENSES: Investment advisory fees (Note 3) 21,751 31,719 45,376 17,417 13,497 16,790 Trustee fees 3,655 3,655 3,655 3,655 3,655 3,655 Chief compliance officer fees 2,083 2,083 2,083 2,083 2,083 2,083 Legal fees 1,501 1,501 1,501 1,501 1,501 1,501 Miscellaneous fees 416 242 358 199 284 521 ------------------------------------------------------------------------------------------------------------------------------------ Total expenses 29,406 39,200 52,973 24,855 21,020 24,550 Expense reimbursements (Note 3) (7,655) (7,481) (7,597) (7,438) (7,523) (7,760) ==================================================================================================================================== Net expenses 21,751 31,719 45,376 17,417 13,497 16,790 ==================================================================================================================================== Net investment income 210,309 318,557 420,155 153,895 128,538 274,553 ==================================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions 7,400 2,970 25,747 28,603 9,017 (22,773) In-kind redemptions 413,929 478,413 703,264 683,243 -- -- ------------------------------------------------------------------------------------------------------------------------------------ Net realized gain (loss) 421,329 481,383 729,011 711,846 9,017 (22,773) ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation on investments 1,963,299 2,111,675 4,085,000 557,742 882,579 801,020 ------------------------------------------------------------------------------------------------------------------------------------ Net realized and unrealized gain on investments 2,384,628 2,593,058 4,814,011 1,269,588 891,596 778,247 ==================================================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $ 2,594,937 $ 2,911,615 $ 5,234,166 $ 1,423,483 $ 1,020,134 $1,052,800 ==================================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. WisdomTree Trust Domestic Equity Funds 47 Statements of Changes in Net Assets (unaudited) WisdomTree Domestic Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== 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 ------------------------------------------------------------------------------------------------------------------------------------ INCREASE IN NET ASSETS ------------------------------------------------------------------------------------------------------------------------------------ OPERATIONS: Net investment income $ 210,309 $ 318,557 $ 420,155 $ 153,895 $ 128,538 $ 274,553 Net realized gain (loss) on investments 421,329 481,383 729,011 711,846 9,017 (22,773) Net change unrealized appreciation on investments 1,963,299 2,111,675 4,085,000 557,742 882,579 801,020 ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from operations 2,594,937 2,911,615 5,234,166 1,423,483 1,020,134 1,052,800 ==================================================================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 54,364,655 62,796,607 109,434,947 49,645,724 17,692,316 28,564,948 Cost of shares redeemed (7,851,491) (7,930,270) (10,490,059) (20,985,444) -- -- ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets from capital share transactions 46,513,164 54,866,337 98,944,888 28,660,280 17,692,316 28,564,948 ==================================================================================================================================== Net Increase in Net Assets 49,108,101 57,777,952 104,179,054 30,083,763 18,712,450 29,617,748 ==================================================================================================================================== NET ASSETS: Beginning of period -- -- -- -- -- -- End of period $ 49,108,101 $ 57,777,952 $104,179,054 $ 30,083,763 $18,712,450 $29,617,748 ==================================================================================================================================== Undistributed net investment income included in net assets at end of period $ 210,309 $ 318,557 $ 420,155 $ 153,895 $ 128,538 $ 274,553 ==================================================================================================================================== SHARES CREATED AND REDEEMED: Shares created 1,050,100 1,200,100 2,100,100 950,100 350,100 550,100 Shares redeemed (150,000) (150,000) (200,000) (400,000) -- -- ------------------------------------------------------------------------------------------------------------------------------------ Net increase in shares outstanding 900,100 1,050,100 1,900,100 550,100 350,100 550,100 ==================================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. 48 WisdomTree Trust Domestic Equity Funds Financial Highlights (unaudited) WisdomTree Domestic Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree Total Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.32 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.37 Net realized and unrealized gain 3.87 -------------------------------------------------------------------------------- Total from investment operations 4.24 -------------------------------------------------------------------------------- Net asset value, end of period $ 54.56 ================================================================================ TOTAL RETURN:(3) 8.43% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 49,108 Ratio to average net assets of: Expenses, net of expense reimbursements 0.28%(4) Expenses, prior to expense reimbursements 0.38%(4) Net investment income 2.71%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree High-Yielding Equity Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.01 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.53 Net realized and unrealized gain 4.48 -------------------------------------------------------------------------------- Total from investment operations 5.01 -------------------------------------------------------------------------------- Net asset value, end of period $ 55.02 ================================================================================ TOTAL RETURN:(3) 10.02% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 57,778 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) Expenses, prior to expense reimbursements 0.47%(4) Net investment income 3.82%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 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. WisdomTree Trust Domestic Equity Funds 49 Financial Highlights (unaudited) (continued) WisdomTree Domestic Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree LargeCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.34 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.35 Net realized and unrealized gain 4.14 -------------------------------------------------------------------------------- Total from investment operations 4.49 -------------------------------------------------------------------------------- Net asset value, end of period $ 54.83 ================================================================================ TOTAL RETURN:(3) 8.92% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 104,179 Ratio to average net assets of: Expenses, net of expense reimbursements 0.28%(4) Expenses, prior to expense reimbursements 0.33%(4) Net investment income 2.59%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree Dividend Top 100 Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.12 Investment operations: Net investment income(2) 0.51 Net realized and unrealized gain 4.06 -------------------------------------------------------------------------------- Total from investment operations 4.57 -------------------------------------------------------------------------------- Net asset value, end of period $ 54.69 ================================================================================ TOTAL RETURN:(3) 9.12% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 30,084 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) Expenses, prior to expense reimbursements 0.54%(4) Net investment income 3.36%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 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. See Notes to Financial Statements. 50 WisdomTree Trust Domestic Equity Funds Financial Highlights (unaudited) (concluded) WisdomTree Domestic Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree MidCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.21 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.51 Net realized and unrealized gain 2.73 -------------------------------------------------------------------------------- Total from investment operations 3.24 -------------------------------------------------------------------------------- Net asset value, end of period $ 53.45 ================================================================================ TOTAL RETURN:(3) 6.45% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 18,712 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) Expenses, prior to expense reimbursements 0.59%(4) Net investment income 3.62%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree SmallCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.24 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.84 Net realized and unrealized gain 2.76 -------------------------------------------------------------------------------- Total from investment operations 3.60 -------------------------------------------------------------------------------- Net asset value, end of period $ 53.84 ================================================================================ TOTAL RETURN:(3) 7.17% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 29,618 Ratio to average net assets of: Expenses, net of expense reimbursements 0.38%(4) Expenses, prior to expense reimbursements 0.56%(4) Net investment income 6.21%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 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. WisdomTree Trust Domestic Equity Funds 51 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, 2006, the Trust offered 20 investment funds (each a "Fund", collectively, the "Funds"). Each Fund is considered to be non-diversified. The Funds commenced operations on June 16, 2006. These financial statements relate only to the WisdomTree Dividend Top 100 Fund ("Dividend Top 100 Fund"), WisdomTree High-Yielding Equity Fund ("High-Yielding Equity Fund"), WisdomTree LargeCap Dividend Fund ("LargeCap Dividend Fund"), WisdomTree MidCap Dividend Fund ("MidCap Dividend Fund"), WisdomTree SmallCap Dividend Fund ("SmallCap Dividend Fund"), and WisdomTree Total Dividend Fund ("Total Dividend Fund"), together the "Domestic Equity 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. Each Index consists of dividend paying securities in the market suggested by its name that meet specific criteria developed by WisdomTree Investments, Inc. ("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. 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 - 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. 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 (the "NAV Calculation Time"). NAV per share is calculated by dividing a Fund's net assets by the number of Fund shares outstanding. Unlisted equity securities are valued at 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, Inc. ("WTA") 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 WTA. Pursuant to a separate contractual arrangement WTA has agreed to pay 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 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 52 WisdomTree Trust Domestic Equity Funds Notes to Financial Statements (unaudited) (continued) 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) 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 following distributions from net investment income were declared on October 4, 2006, and paid on October 10, 2006 to shareholders of record on October 6, 2006: ========================================================= Net Investment Fund Income --------------------------------------------------------- Total Dividend Fund $ 201,558 --------------------------------------------------------- High-Yielding Equity Fund 229,667 --------------------------------------------------------- LargeCap Dividend Fund 416,717 --------------------------------------------------------- Dividend Top 100 Fund 147,905 --------------------------------------------------------- MidCap Dividend Fund 110,164 --------------------------------------------------------- SmallCap Dividend Fund 240,696 --------------------------------------------------------- (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. 3. ADVISER FEES AND TRANSACTIONS Adviser Fees - WTA provides investment management services to each Fund pursuant to an Investment Advisory Agreement between the Trust and WTA. As compensation for services rendered, facilities furnished, and expenses borne by WTA, each Fund pays WTA 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 (bps) --------------------------------------------------------- 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% --------------------------------------------------------- WisdomTree Trust Domestic Equity Funds 53 Notes to Financial Statements (unaudited) (continued) For the period ended September 30, 2006, the advisory expense reimbursements were as follows: ========================================================== Advisory Expense Fund Reimbursements ---------------------------------------------------------- Total Dividend Fund $7,655 ---------------------------------------------------------- High-Yielding Equity Fund 7,481 ---------------------------------------------------------- LargeCap Dividend Fund 7,597 ---------------------------------------------------------- Dividend Top 100 Fund 7,438 ---------------------------------------------------------- MidCap Dividend Fund 7,523 ---------------------------------------------------------- SmallCap Dividend Fund 7,760 ---------------------------------------------------------- 4. CAPITAL SHARE TRANSACTIONS As of September 30, 2006, there were an unlimited number of $0.001 par value capital shares of beneficial interest authorized by the Trust. Capital 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 capital 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 pay 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 transactions and short-term investments) for the period ended September 30, 2006 were as follows: ================================================================================ Fund Purchases Sales -------------------------------------------------------------------------------- Total Dividend Fund $307,595 $233,966 -------------------------------------------------------------------------------- High-Yielding Equity Fund 451,376 319,507 -------------------------------------------------------------------------------- LargeCap Dividend Fund 599,424 432,340 -------------------------------------------------------------------------------- Dividend Top 100 Fund 403,418 397,620 -------------------------------------------------------------------------------- MidCap Dividend Fund 161,533 161,600 -------------------------------------------------------------------------------- SmallCap Dividend Fund 223,348 190,106 -------------------------------------------------------------------------------- For the period ended September 30, 2006, the cost of in-kind purchases and the proceeds from in-kind sales were as follows: ================================================================================ Fund Purchases Sales -------------------------------------------------------------------------------- Total Dividend Fund $ 54,108,780 $ 7,809,113 -------------------------------------------------------------------------------- High-Yielding Equity Fund 62,513,898 7,891,098 -------------------------------------------------------------------------------- LargeCap Dividend Fund 109,059,263 10,445,524 -------------------------------------------------------------------------------- Dividend Top 100 Fund 49,373,461 20,825,352 -------------------------------------------------------------------------------- MidCap Dividend Fund 17,621,875 -- -------------------------------------------------------------------------------- SmallCap Dividend Fund 28,383,341 -- -------------------------------------------------------------------------------- Gains and losses on in-kind redemptions are not recognized at the Fund level for tax purposes. 54 WisdomTree Trust Domestic Equity Funds Notes to Financial Statements (unaudited) (concluded) 6. FEDERAL INCOME TAXES At September 30, 2006, the aggregate gross unrealized appreciation and depreciation of investments for Federal income tax purposes were substantially the same as for book purposes, as indicated below: =================================================================================================== Tax Cost Gross Gross Net (Including Securities Unrealized Unrealized Unrealized Fund on Loan) Appreciation Depreciation Appreciation --------------------------------------------------------------------------------------------------- Total Dividend Fund $ 47,564,221 $2,122,913 $(159,614) $1,963,299 --------------------------------------------------------------------------------------------------- High-Yielding Equity Fund 56,398,059 2,245,573 (133,898) 2,111,675 --------------------------------------------------------------------------------------------------- LargeCap Dividend Fund 116,226,196 4,675,878 (590,878) 4,085,000 --------------------------------------------------------------------------------------------------- Dividend Top 100 Fund 30,929,720 683,451 (125,709) 557,742 --------------------------------------------------------------------------------------------------- MidCap Dividend Fund 18,360,828 1,020,468 (137,889) 882,579 --------------------------------------------------------------------------------------------------- SmallCap Dividend Fund 30,286,353 1,123,432 (322,412) 801,020 --------------------------------------------------------------------------------------------------- 7. NEW ACCOUNTING PRONOUNCEMENTS On July 13, 2006, the Financial Accounting Standards Board ("FASB") released FASB Interpretation No. 48, "Accounting for Uncertainty in Income Taxes" ("FIN 48"). FIN 48 provides guidance for how uncertain tax positions should be recognized, measured, presented and disclosed in the financial statements. FIN 48 requires the evaluation of tax positions taken or expected to be taken in the course of preparing the Fund's tax returns to determine whether the tax positions are "more-likely-than-not" of being sustained by the applicable tax authority. Tax positions not deemed to meet the more-likely-than-not threshold would be recorded as a tax benefit or expense in the current year. Adoption of FIN 48 is required for fiscal years beginning after December 15, 2006 and is to be applied to all open tax years as of the effective date. At this time, management is evaluating the implications of FIN 48 and its impact in the financial statements has not yet been determined. 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. At this time, management is evaluating the implications of FAS 157 and its impact in the financial statements has not yet been determined. 8. SUBSEQUENT EVENT Effective October 13, 2006, the Trust added ten international sector ETFs. Each ETF focuses on a specific industry sector consisting of only international equity securities. Each has an expense ratio of 0.58% and represents the international sector specified in its name: 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 Trust Domestic Equity Funds 55 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 (generally 4:15 p.m.) 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. The gap in time between the calculation of per share NAV and market price (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between a Fund's NAV and the market price of its shares. Other factors that contribute to such differences are the supply and demand for Fund shares and investors' assessments of the underlying value of a Fund's portfolio securities. ======================================================================================================================== Market Price Above or Equal to Market Price Below Net Asset Value Net Asset Value ------------------------------ -------------------------- Basis Point Number Percentage of Number Percentage of Differential* of Days Total Days of Days Total Days ------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree Total Dividend Fund 0-24.9 24 33.80% 44 61.97% --------------------------------------------------------------------------------- 25-49.9 1 1.41% 2 2.82% --------------------------------------------------------------------------------- 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 25 35.21% 46 64.79% ------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree High-Yielding Equity Fund 0-24.9 36 50.70% 34 47.89% --------------------------------------------------------------------------------- 25-49.9 1 1.41% 0 0.00% --------------------------------------------------------------------------------- 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 37 52.11% 34 47.89% ------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree LargeCap Dividend Fund 0-24.9 33 46.48% 31 43.66% --------------------------------------------------------------------------------- 25-49.9 4 5.63% 2 2.82% --------------------------------------------------------------------------------- 50-74.9 0 0.00% 0 0.00% --------------------------------------------------------------------------------- 75-100.0 0 0.00% 0 0.00% --------------------------------------------------------------------------------- >100.0 1 1.41% 0 0.00% --------------------------------------------------------------------------------- Total 38 53.52% 33 46.48% ------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree Dividend Top 100 Fund 0-24.9 35 49.30% 29 40.84% --------------------------------------------------------------------------------- 25-49.9 4 5.63% 2 2.82% --------------------------------------------------------------------------------- 50-74.9 0 0.00% 0 0.00% --------------------------------------------------------------------------------- 75-100.0 1 1.41% 0 0.00% --------------------------------------------------------------------------------- >100.0 0 0.00% 0 0.00% --------------------------------------------------------------------------------- Total 40 56.34% 31 43.66% ------------------------------------------------------------------------------------------------------------------------ 56 WisdomTree Trust Domestic Equity Funds Frequency Distribution of Discounts & Premiums (unaudited) (concluded) ======================================================================================================================== Market Price Above or Equal to Market Price Below Net Asset Value Net Asset Value ------------------------------ -------------------------- Basis Point Number Percentage of Number Percentage of Differential* of Days Total Days of Days Total Days ------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree MidCap Dividend Fund 0-24.9 20 28.17% 39 54.93% --------------------------------------------------------------------------------- 25-49.9 1 1.41% 0 0.00% --------------------------------------------------------------------------------- 50-74.9 2 2.81% 0 0.00% --------------------------------------------------------------------------------- 75-100.0 1 1.41% 0 0.00% --------------------------------------------------------------------------------- >100.0 8 11.27% 0 0.00% --------------------------------------------------------------------------------- Total 32 45.07% 39 54.93% ------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree SmallCap Dividend Fund 0-24.9 12 16.90% 46 64.79% --------------------------------------------------------------------------------- 25-49.9 1 1.41% 1 1.41% --------------------------------------------------------------------------------- 50-74.9 0 0.00% 0 0.00% --------------------------------------------------------------------------------- 75-100.0 1 1.41% 0 0.00% --------------------------------------------------------------------------------- >100.0 10 14.08% 0 0.00% --------------------------------------------------------------------------------- Total 24 33.80% 47 66.20% ------------------------------------------------------------------------------------------------------------------------ * A basis point equals one-hundredth of one percent (0.01%). ** Commencement of investment operations. WisdomTree Trust Domestic Equity Funds 57 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 receives, reviews and evaluates information concerning the services and personnel of WTA, the investment adviser, and BNY Investment Advisors ("BNYIA"), 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, total expenses, the Trust's investment performance, and other relevant factors at any future meeting at which a renewal of the Investment Advisory Agreements is considered, the process of evaluating WTA and BNYIA 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 WTA and BNYIA under the Investment Advisory Agreements includes deliberations at quarterly meetings. Initial Approval of Investment Advisory Agreement. The Trust and WTA have entered into an investment advisory agreement (the "Advisory Agreement"). At a meeting held on February 21, 2006 the Board of Trustees, including a majority of the Independent Trustees, approved the Advisory Agreement with WTA with respect to the Funds. In approving the Advisory Agreement with WTA, the Board reviewed and analyzed the factors it deemed relevant, including: (1) the nature, quality and extent of the services to be provided to the Funds by WTA; (2) WTA's personnel and operations; (3) WTA's financial condition; (4) the level and method of computing each Fund's advisory fee; (5) the possibility of "fall-out" benefits to WTA and its affiliates (i.e., ancillary benefits that may be realized by WTA or its affiliates from WTA's relationship with the Funds); (6) the anticipated effect of growth and size on each Fund's performance and expenses; and (7) possible conflicts of interest. The Board also considered the nature and quality of the services to be provided by WTA to the Funds, recognizing WTA's operational capabilities and resources. The Board also noted the extensive responsibilities that WTA 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 WTA, the Board concluded that the level of the fees paid to WTA with respect to each Fund is fair and reasonable. The Board also approved the Sub-Advisory Agreement with the sub-adviser to the Funds, BNYIA, using the same criteria it used for WTA. 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 ("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 WTA, 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 WTA 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. 58 WisdomTree Trust Domestic Equity Funds 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 each Fund's proxies during the period ended June 30, 2006, is available without charge, upon request, (i) by calling 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 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 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 publicinfo@sec.gov. Information about each Fund's portfolio holdings is available daily at www.wisdomtree.com. WisdomTree Trust Domestic Equity 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. 1625 Broadway Denver, CO 80202 Independent Registered Public Accountant Ernst & Young LLP 5 Times Square New York, NY 10036 Legal Counsel Kirkpatrick & Lockhart Nicholson Graham LLP 599 Lexington Avenue New York, NY 10022 60 WisdomTree Trust Domestic Equity Funds The WisdomTree Family of Funds The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols: WisdomTree Domestic Equity 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 Equity Funds WisdomTree DIEFA Fund (DWM) WisdomTree DIEFA 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 Sector Funds WisdomTree International Basic Material Sector Fund (DBN) WisdomTree International Communication Sector Fund (DGG) 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 Consumer Cyclical Sector Fund (DPC) WisdomTree International Consumer Non-Cyclical Sector Fund (DPN) WisdomTree International Technology Sector Fund (DBT) WisdomTree International Utilities Sector Fund (DBU) 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 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. 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. WisdomTree Trust Domestic Equity Funds 61 [LOGO] WISDOMTREE(SM) 48 Wall Street, Suite 1100 New York, NY 10005 1.866.900.WISE (9473) wisdomtree.com WisdomTree Domestic Equity ETFs WisdomTree Total Dividend Fund WisdomTree High-Yielding Equity Fund WisdomTree Large Cap Dividend Fund WisdomTree Dividend Top 100 Fund WisdomTree MidCap Dividend Fund WisdomTree SmallCap Dividend Fund This report when not used for the general information of shareholders of the Fund, is to be distributed only if preceded or accompanied by a current Fund Prospectus. WisdomTree Fund shares are distributed by ALPS Distributors, Inc. WST-0906 [LOGO] WISDOMTREE(SM) -------------------------------------------------------------------------------- WisdomTree Trust International Equity Funds Semi-Annual Report For the period June 16, 2006 (commencement of investment operations) through September 30, 2006 WisdomTree DIEFA(SM) Fund WisdomTree DIEFA 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 [LOGO] WISDOMTREE(SM) -------------------------------------------------------------------------------- WisdomTree Trust International Equity Funds -------------------------------------------------------------------------------- Contents Letter to Shareholders............................................ 1 Management's Discussion of Funds' Performance..................... 2 Performance Summaries............................................. 4 Shareholder Expense Examples...................................... 18 Schedules of Investments WisdomTree DIEFA Fund.......................................... 20 WisdomTree DIEFA High-Yielding Equity Fund..................... 27 WisdomTree Europe Total Dividend Fund.......................... 32 WisdomTree Europe High-Yielding Equity Fund.................... 36 WisdomTree Europe SmallCap Dividend Fund....................... 40 WisdomTree Japan Total Dividend Fund........................... 45 WisdomTree Japan High-Yielding Equity Fund..................... 49 WisdomTree Japan SmallCap Dividend Fund........................ 52 WisdomTree Pacific ex-Japan Total Dividend Fund................ 58 WisdomTree Pacific ex-Japan High-Yielding Equity Fund.......... 61 WisdomTree International LargeCap Dividend Fund................ 63 WisdomTree International Dividend Top 100 Fund................. 67 WisdomTree International MidCap Dividend Fund.................. 69 WisdomTree International SmallCap Dividend Fund................ 74 Statements of Assets and Liabilities.............................. 81 Statements of Operations.......................................... 84 Statements of Changes in Net Assets............................... 87 Financial Highlights.............................................. 90 Notes to the Financial Statements................................. 97 Frequency Distribution of Discounts & Premiums....................103 Board Review and Approval of Investment Advisory Contracts........106 Family of Funds...................................................109 "WisdomTree", "WisdomTree Investments", "WisdomTree DIEFA" and "Dividend Top 100" are service marks of WisdomTree Investments, Inc. and are licensed for use by the Trust. Letter to Shareholders Dear Shareholder: Thank you for your confidence in our products and the support you have shown. I am excited to provide you with this update on the first 14 international exchange traded funds (ETFs) launched under the WisdomTree Trust. On June 16, 2006, the WisdomTree Trust listed 20 fundamentally weighted ETFs on the New York Stock Exchange (NYSE). According to the NYSE, this event represented the largest one-day listing by a single issuer in the history of the NYSE. The day also marked an important turning point in the ETF industry. For the first time, a global family of dividend-weighted ETFs offered investors a fundamental alternative to market cap-weighted index funds in every major capitalization segment and across major geographic regions of the developed world. Several other important firsts were achieved in connection with this listing. WisdomTree introduced the first ETFs that track international small-cap stocks, including small capitalization companies listed in Europe and Japan. The WisdomTree Trust is also the first ETF provider to offer exchange-traded funds tracking high-yielding stocks trading in Europe, Japan and the Pacific Region. Both domestic and international equity markets have seen sustained rallies since the WisdomTree ETFs were launched. From June 16, 2006 to September 30, 2006, the Russell 3000 Index, a broad measure of the U.S. stock market, advanced 6.61% on a total return basis. Internationally, the MSCI EAFE Index, which measures the performance of stocks in 21 developed equity markets outside the United States and Canada, increased by 9.20% on a total return basis over the same period.(1) With the launch of 10 pure international sector ETFs on October 13, 2006, the WisdomTree Trust now has 30 ETFs in the market. Within five months, this dividend-based family has attracted more than $1 billion in assets under management - one indication of how quickly these new tools are being adopted by investment advisors, wirehouses and self-directed investors. On behalf of my colleagues at WisdomTree Asset Management and the Board of Trustees of the WisdomTree Trust, I thank you for your investment in the WisdomTree family of fundamentally weighted ETFs. We look forward to serving you in the future. Best Regards, Jonathan Steinberg President, WisdomTree Trust CEO, WisdomTree Asset Management, Inc. (1) Performance information for the Russell 3000 Index assumes the reinvestment of gross dividends and excludes management fees, transaction costs and expenses. Performance information for the MSCI EAFE Index assumes the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. WisdomTree Trust International Equity Funds 1 Management's Discussion of Funds' Performance The 14 international ETFs introduced by the WisdomTree Trust give investors alternatives to market capitalization-weighted index funds in major areas of the developed world. All of the WisdomTree international ETFs discussed in this report track specific indexes that are derived from the WisdomTree Dividend Index of Europe, Far East Asia and Australasia ("WisdomTree DIEFA"), which measures the performance of dividend-paying companies in 21 developed equity markets outside the United States and Canada. Unlike ETFs that track traditional market capitalization-weighted indexes, the WisdomTree international ETFs are designed to track indexes that are weighted based on the dividends that companies pay. For ease of comparison, this report provides index performance data on each ETF's underlying WisdomTree Index and a comparable market capitalization-weighted index. WisdomTree's broadest international fund, the WisdomTree DIEFA Fund ("DWM"), had a cumulative total return of 10.35% from its inception on June 16, 2006 to the close of the period on September 30, 2006. DWM outperformed the MSCI EAFE Index by 1.15% over that period. The WisdomTree DIEFA High-Yielding Equity Fund ("DTH"), which is comprised of higher dividend-yielding stocks selected from the WisdomTree DIEFA Index, returned 10.49% for the period, slightly less than the MSCI EAFE Value Index, which returned 10.52%. The best performing size segment of the WisdomTree DIEFA Index for this period was the mid-cap portion. WisdomTree's International MidCap Dividend Fund ("DIM") returned 11.99% since inception, surpassing the MSCI EAFE Index by 2.79% from June 16, 2006 to September 30, 2006. The best performing region of the industrialized world since the inception of the WisdomTree ETFs has been Europe. The WisdomTree Europe Total Dividend Fund ("DEB") generated a total return of 11.05% from its launch on June 16, 2006 to September 30, 2006. While this Fund lagged the performance of the MSCI Europe Index by 0.33% for the same period, the WisdomTree Europe SmallCap Dividend Fund ("DFE") outperformed the MSCI Europe Small Cap Index by 1.96% from June 16, 2006 to September 30, 2006, generating a total return of 10.37% for the period. As was the case in Europe, the dividend-paying portion of the small-cap market in Japan outperformed a broader index of Japanese small-cap stocks. Whereas the MSCI Japan Small Cap Index declined 4.51% from June 16, 2006 to September 30, 2006, the WisdomTree Japan SmallCap Dividend Fund ("DFJ") lost only 1.40% of its value for the same period. WisdomTree's broadest small-cap fund -- the WisdomTree International SmallCap Dividend Fund ("DLS") -- returned 8.10% from June 16, 2006 to September 30, 2006, surpassing the MSCI EAFE SmallCap Index by 4.30% for the period. Returns on equity securities in the Pacific Region, excluding Japan, were generally higher than equity returns in Japan. WisdomTree's Pacific ex-Japan Total Dividend Fund ("DND") returned 8.47% from June 16, 2006 to September 30, 2006, outperforming the MSCI Pacific ex-Japan Index by 1.41% for the period. 2 WisdomTree Trust International Equity Funds Management's Discussion of Funds' Performance (concluded) The MSCI value indexes for Europe, Japan and the Pacific Region ex-Japan had higher returns than the corresponding WisdomTree High-Yielding Equity Funds for this period, as value stocks outperformed the broader market generally. However, the WisdomTree International Dividend Top 100 ("DOO"), which returned 12.24% from June 16, 2006 to September 30, 2006, outperformed the MSCI EAFE Value Index by 1.72% over the same time frame. Fund performance assumes reinvestment of dividends and capital gain distributions. 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. In comparison, the Funds' performance is negatively impacted by these deductions. Fund returns do not reflect brokerage commissions or taxes on transactions in Fund shares that a shareholder would pay on Fund distributions. Past performance is no guarantee of future results. For the most recent month end performance information visit www.wisdomtree.com. The MSCI EAFE Index is a market cap-weighted index composed of companies representative of the developed market structure of 21 developed countries in Europe, Australasia and Japan; the MSCI EAFE Value Index measures the performance of value stocks in the MSCI EAFE Index; the MSCI EAFE Small Cap Index measures the performance of small cap stocks in the MSCI EAFE Index; the MSCI Europe Index is a subset of the MSCI EAFE Index and represents the performance of Western Europe, developed market equity performance; the MSCI Europe Small Cap Index measures the performance of small cap stocks in the MSCI Europe Index; the MSCI Europe Value Index measures the performance of value stocks within the MSCI Europe Index; the MSCI Japan Index is a market cap-weighted index that measures the performance of the Japanese equity markets; the MSCI Japan Value Index measures the performance of value stocks in the MSCI Japan Index; the MSCI Japan Small Cap Index measures the performance of small cap stocks in the MSCI Japan Index; the MSCI Pacific ex-Japan Index is a market cap-weighted index that measures the performance of stocks in Australia, Hong Kong, Singapore, and New Zealand; the MSCI Pacific ex-Japan Value Index measures the performance of value stocks in the MSCI Pacific ex-Japan Index. Performance information for the MSCI indexes assumes the reinvestment of net dividends and excludes management fees, transaction costs and expenses. You cannot invest directly in an index. 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 of 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. WisdomTree Trust International Equity Funds 3 Performance Summary WisdomTree DIEFA Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 33.8% Consumer Non-Cyclical 13.4% Communications 13.2% Energy 9.2% Industrial 8.2% Consumer Cyclical 7.5% Utilities 6.9% Basic Materials 4.9% Technology 1.1% Diversified 1.1% Short-Term Investment 0.5% Other 0.2% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree MSCI EAFE Value Price DIEFA Index Index -------------------------------------------------------------------------------- Since Inception(1) 10.35% 11.17% 10.61% 9.20% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ HSBC Holdings PLC 36,198 $658,920 2.4% -------------------------------------------------------------------------------- BP PLC 49,291 535,867 1.9% -------------------------------------------------------------------------------- Eni SpA 16,145 477,956 1.7% -------------------------------------------------------------------------------- TOTAL S.A. 7,190 471,335 1.7% -------------------------------------------------------------------------------- GlaxoSmithKline PLC 13,014 345,680 1.3% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,034 WisdomTree $10,928 MSCI DIEFA Fund EAFE Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 10,040 10,048 6/30/06 10,486 10,509 7/7/06 10,563 10,549 7/14/06 10,120 10,077 7/21/06 10,231 10,168 7/28/06 10,672 10,617 8/4/06 10,782 10,735 8/11/06 10,613 10,565 8/18/06 10,855 10,869 8/25/06 10,789 10,758 9/1/06 10,990 10,945 9/8/06 10,759 10,736 9/15/06 10,847 10,755 9/22/06 10,981 10,800 9/30/06 11,034 10,928 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 Trust International Equity Funds Performance Summary WisdomTree DIEFA High-Yielding Equity Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 43.2% Communications 15.0% Energy 11.2% Utilities 9.4% Consumer Non-Cyclical 8.3% Consumer Cyclical 5.1% Industrial 3.8% Basic Materials 2.1% Diversified 0.5% Technology 0.4% Short-Term Investment 0.6% Other 0.4% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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.. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree DIEFA Net Asset Market High-Yielding MSCI EAFE Value Price Equity Index Value Index -------------------------------------------------------------------------------- Since Inception(1) 10.49% 10.53% 11.00% 10.52% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ HSBC Holdings PLC 46,986 $855,296 3.9% -------------------------------------------------------------------------------- BP PLC 63,998 695,753 3.2% -------------------------------------------------------------------------------- Eni SpA 20,968 620,735 2.8% -------------------------------------------------------------------------------- TOTAL S.A. 9,373 614,440 2.8% -------------------------------------------------------------------------------- GlaxoSmithKline PLC 16,884 448,478 2.0% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,049 DIEFA $11,064 MSCI High-Yielding Equity Fund EAFE Value Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 10,014 10,031 6/30/06 10,437 10,476 7/7/06 10,544 10,530 7/14/06 10,115 10,060 7/21/06 10,255 10,169 7/28/06 10,672 10,652 8/4/06 10,792 10,799 8/11/06 10,638 10,654 8/18/06 10,829 10,932 8/25/06 10,795 10,824 9/1/06 10,984 11,000 9/8/06 10,746 10,809 9/15/06 10,879 10,892 9/22/06 10,941 10,935 9/30/06 11,049 11,064 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 Trust International Equity Funds 5 Performance Summary WisdomTree Europe Total Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 33.4% Consumer Non-Cyclical 14.4% Communications 13.7% Energy 11.1% Utilities 7.4% Industrial 7.1% Consumer Cyclical 5.6% Basic Materials 4.5% Technology 0.9% Diversified 0.7% Short-Term Investment 0.9% Other 0.3% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree Europe MSCI Europe Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 11.05% 11.14% 12.01% 11.48% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ HSBC Holdings PLC 18,707 $340,528 3.1% -------------------------------------------------------------------------------- BP PLC 25,481 277,015 2.5% -------------------------------------------------------------------------------- Eni SpA 8,345 247,044 2.2% -------------------------------------------------------------------------------- TOTAL S.A. 3,713 243,403 2.2% -------------------------------------------------------------------------------- Telefonica S. A. 10,616 183,831 1.7% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,106 WisdomTree $11,154 MSCI Europe Total Dividend Fund Europe Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 10,060 10,092 6/30/06 10,525 10,556 7/7/06 10,591 10,618 7/14/06 10,125 10,152 7/21/06 10,266 10,282 7/28/06 10,742 10,763 8/4/06 10,875 10,895 8/11/06 10,653 10,683 8/18/06 10,897 10,953 8/25/06 10,855 10,909 9/1/06 11,053 11,116 9/8/06 10,767 10,832 9/15/06 10,908 10,954 9/22/06 11,017 11,061 9/30/06 11,106 11,154 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 Trust International Equity Funds Performance Summary WisdomTree Europe High-Yielding Equity Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 43.2% Communications 18.2% Energy 11.8% Utilities 9.4% Consumer Non-Cyclical 7.1% Consumer Cyclical 5.3% Industrial 2.9% Basic Materials 1.3% Technology 0.1% Health Care 0.1% Short-Term Investment 0.4% Other 0.2% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree Europe Net Asset Market High-Yielding MSCI Europe Value Price Equity Index Value Index -------------------------------------------------------------------------------- Since Inception(1) 11.20% 11.03% 11.74% 12.91% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ HSBC Holdings PLC 71,159 $1,295,319 5.8% -------------------------------------------------------------------------------- BP PLC 96,912 1,053,575 4.8% -------------------------------------------------------------------------------- Eni SpA 31,746 939,807 4.2% -------------------------------------------------------------------------------- Vodafone Group PLC 283,979 648,485 2.9% -------------------------------------------------------------------------------- France Telecom S.A. 27,904 639,788 2.9% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,119 WisdomTree Europe $11,303 MSCI High-Yielding Equity Fund Europe Value Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 10,024 10,059 6/30/06 10,442 10,517 7/7/06 10,534 10,590 7/14/06 10,088 10,113 7/21/06 10,245 10,261 7/28/06 10,708 10,787 8/4/06 10,853 10,951 8/11/06 10,632 10,760 8/18/06 10,834 11,017 8/25/06 10,806 10,976 9/1/06 10,968 11,162 9/8/06 10,719 10,908 9/15/06 10,884 11,088 9/22/06 11,000 11,195 9/30/06 11,119 11,303 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 Trust International Equity Funds 7 Performance Summary WisdomTree Europe SmallCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 27.2% Industrial 26.4% Consumer Cyclical 16.5% Consumer Non-Cyclical 15.4% Basic Materials 4.3% Communications 3.3% Technology 3.0% Diversified 1.8% Utilities 1.0% Energy 0.3% Short-Term Investment 0.1% Other 0.7% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree Europe MSCI Europe Net Asset Market SmallCap Dividend Small Cap Value Price Index Index -------------------------------------------------------------------------------- Since Inception(1) 10.37% 9.96% 11.20% 8.41% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Compagnie Maritime Belge S.A. 12,672 $431,486 1.6% -------------------------------------------------------------------------------- A/S Dampskibsselskabet TORM 8,077 417,097 1.5% -------------------------------------------------------------------------------- Brit Insurance Holdings PLC 62,834 354,461 1.3% -------------------------------------------------------------------------------- Euronav N.V. 10,350 335,507 1.2% -------------------------------------------------------------------------------- Songbird Estates PLC Class B 76,561 333,576 1.2% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a pie chart in the printed material.] $11,036 WisdomTree Europe $10,845 MSCI Europe SmallCap Dividend Fund Small Cap Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,991 10,042 6/30/06 10,422 10,477 7/7/06 10,509 10,525 7/14/06 10,109 10,046 7/21/06 10,220 10,001 7/28/06 10,475 10,324 8/4/06 10,689 10,518 8/11/06 10,531 10,319 8/18/06 10,692 10,520 8/25/06 10,724 10,517 9/1/06 10,878 10,741 9/8/06 10,653 10,500 9/15/06 10,837 10,628 9/22/06 10,997 10,766 9/30/06 11,036 10,845 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 Trust International Equity Funds Performance Summary WisdomTree Japan Total Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Consumer Cyclical 26.8% Industrial 18.4% Financial 15.0% Consumer Non-Cyclical 10.9% Utilities 8.5% Basic Materials 7.3% Communications 6.8% Technology 5.3% Energy 1.5% Other (0.5)% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree Japan MSCI Japan Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 3.44% 4.04% 3.14% 3.72% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Toyota Motor Corp. 33,300 $1,810,747 7.0% -------------------------------------------------------------------------------- NTT DoCoMo, Inc. 575 886,376 3.4% -------------------------------------------------------------------------------- Nissan Motor Co., Ltd. 62,000 694,752 2.7% -------------------------------------------------------------------------------- Canon Inc. 12,200 636,532 2.5% -------------------------------------------------------------------------------- Nippon Telegraph & Telephone Corp. 125 614,069 2.4% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,343 WisdomTree Japan $10,375 MSCI Total Dividend Fund Japan Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,961 9,971 6/30/06 10,403 10,447 7/7/06 10,317 10,381 7/14/06 9,784 9,843 7/21/06 9,767 9,851 7/28/06 10,197 10,295 8/4/06 10,298 10,409 8/11/06 10,204 10,285 8/18/06 10,640 10,726 8/25/06 10,365 10,439 9/1/06 10,469 10,537 9/8/06 10,434 10,489 9/15/06 10,233 10,264 9/22/06 10,164 10,174 9/30/06 10,343 10,375 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 Trust International Equity Funds 9 Performance Summary WisdomTree Japan High-Yielding Equity Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Consumer Cyclical 32.2% Utilities 16.6% Consumer Non-Cyclical 11.2% Industrial 8.1% Financial 7.6% Communications 7.4% Technology 7.1% Basic Materials 6.6% Energy 2.6% Other 0.6% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree Japan Net Asset Market High-Yielding MSCI Japan Value Price Equity Index Value Index -------------------------------------------------------------------------------- Since Inception(1) 4.13% 4.79% 4.32% 4.77% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Toyota Motor Corp. 70,000 $3,806,378 14.6% -------------------------------------------------------------------------------- NTT DoCoMo, Inc. 1,225 1,888,367 7.2% -------------------------------------------------------------------------------- Nissan Motor Co., Ltd. 132,500 1,484,754 5.7% -------------------------------------------------------------------------------- Canon Inc. 24,750 1,291,323 5.0% -------------------------------------------------------------------------------- Tokyo Electric Power Co., Inc. (The) 43,000 1,238,301 4.7% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,411 WisdomTree Japan $10,482 MSCI High-Yielding Equity Fund Japan Value Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,934 9,977 6/30/06 10,356 10,425 7/7/06 10,327 10,383 7/14/06 9,867 9,884 7/21/06 9,818 9,892 7/28/06 10,213 10,350 8/4/06 10,311 10,470 8/11/06 10,270 10,364 8/18/06 10,649 10,765 8/25/06 10,390 10,496 9/1/06 10,505 10,605 9/8/06 10,459 10,535 9/15/06 10,359 10,382 9/22/06 10,302 10,302 9/30/06 10,411 10,482 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 Trust International Equity Funds Performance Summary WisdomTree Japan SmallCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Industrial 27.1% Consumer Cyclical 24.4% Consumer Non-Cyclical 18.0% Financial 14.5% Basic Materials 9.2% Technology 4.0% Communications 1.4% Utilities 0.9% Energy 0.1% Other 0.4% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- Net Asset Market WisdomTree Japan MSCI Japan Value Price SmallCap Index Small Cap Index -------------------------------------------------------------------------------- Since Inception(1) (1.40)% 0.10% (1.80)% (4.51)% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Maruichi Steel Tube Ltd. 3,100 $73,649 0.7% -------------------------------------------------------------------------------- Hitachi Capital Corp. 3,700 70,511 0.7% -------------------------------------------------------------------------------- Bosch Corp. 12,000 63,930 0.6% -------------------------------------------------------------------------------- Daiwa House Industry Co., Ltd. 3,684 63,809 0.6% -------------------------------------------------------------------------------- TOHO Gas Co., Ltd. 14,000 60,328 0.6% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a pie chart in the printed material.] $9,858 WisdomTree Japan $9,551 MSCI Japan SmallCap Dividend Fund Small Cap Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,910 9,869 6/30/06 10,206 10,183 7/7/06 10,169 10,082 7/14/06 9,584 9,308 7/21/06 9,438 9,090 7/28/06 9,700 9,305 8/4/06 9,922 9,661 8/11/06 9,836 9,532 8/18/06 10,223 10,013 8/25/06 9,978 9,807 9/1/06 10,011 9,781 9/8/06 10,023 9,898 9/15/06 9,717 9,442 9/22/06 9,718 9,419 9/30/06 9,858 9,551 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 Trust International Equity Funds 11 Performance Summary WisdomTree Pacific ex-Japan Total Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 44.4% Communications 15.4% Industrial 8.0% Consumer Non-Cyclical 6.8% Consumer Cyclical 5.9% Basic Materials 5.9% Diversifed 4.5% Utilities 3.7% Energy 3.2% Technology 0.4% Short-Term Investment 1.1% Other 0.7% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree Net Asset Market Pacific ex-Japan MSCI Pacific Value Price Dividend Index ex-Japan Index -------------------------------------------------------------------------------- Since Inception(1) 8.47% 9.13% 8.70% 7.06% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ China Mobile Ltd. 84,613 $597,766 5.5% -------------------------------------------------------------------------------- Commonwealth Bank of Australia 16,853 575,376 5.3% -------------------------------------------------------------------------------- National Australia Bank Ltd. 19,795 542,133 5.0% -------------------------------------------------------------------------------- Australia & New Zealand Banking Group Ltd. 21,895 438,869 4.1% -------------------------------------------------------------------------------- Westpac Banking Corp. 22,231 376,756 3.5% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,846 WisdomTree Pacific $10,739 MSCI Pacific ex-Japan Total Dividend Fund ex-Japan Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,934 9,921 6/30/06 10,287 10,307 7/7/06 10,478 10,488 7/14/06 10,182 10,164 7/21/06 10,249 10,188 7/28/06 10,456 10,380 8/4/06 10,459 10,392 8/11/06 10,526 10,440 8/18/06 10,632 10,598 8/25/06 10,523 10,476 9/1/06 10,825 10,772 9/8/06 10,741 10,684 9/15/06 10,714 10,604 9/22/06 10,681 10,548 9/30/06 10,846 10,739 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 Trust International Equity Funds Performance Summary WisdomTree Pacific ex-Japan High-Yielding Equity Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 49.3% Communications 16.0% Industrial 11.9% Consumer Cyclical 9.7% Consumer Non-Cyclical 4.3% Basic Materials 3.8% Energy 2.6% Utilities 0.8% Technology 0.1% Short-Term Investment 0.8% Other 0.7% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree Pacific ex-Japan MSCI Pacific Net Asset Market High-Yielding ex-Japan Value Price Equity Index Value Index -------------------------------------------------------------------------------- Since Inception(1) 7.55% 7.96% 7.68% 8.55% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Commonwealth Bank of Australia 40,009 $1,365,945 8.6% -------------------------------------------------------------------------------- National Australia Bank Ltd. 48,676 1,333,108 8.4% -------------------------------------------------------------------------------- Australia & New Zealand Banking Group Ltd. 61,540 1,233,525 7.8% -------------------------------------------------------------------------------- Westpac Banking Corp. 66,418 1,125,608 7.1% -------------------------------------------------------------------------------- Telstra Corp. Ltd. 397,592 1,100,768 7.0% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $10,756 WisdomTree Pacific $10,895 MSCI Pacific ex-Japan High-Yielding Equity Fund ex-Japan Value Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,903 9,966 6/30/06 10,183 10,296 7/7/06 10,457 10,490 7/14/06 10,169 10,166 7/21/06 10,220 10,255 7/28/06 10,339 10,465 8/4/06 10,391 10,562 8/11/06 10,439 10,671 8/18/06 10,473 10,745 8/25/06 10,432 10,585 9/1/06 10,742 10,886 9/8/06 10,651 10,831 9/15/06 10,666 10,845 9/22/06 10,534 10,752 9/30/06 10,756 10,895 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 Trust International Equity Funds 13 Performance Summary WisdomTree International LargeCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 37.3% Communications 14.1% Consumer Non-Cyclical 13.2% Energy 11.7% Utilities 7.6% Industrial 5.7% Consumer Cyclical 4.8% Basic Materials 3.6% Diversified 0.8% Technology 0.5% Short-Term Investment 0.9% Other (0.2)% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree International Net Asset Market LargeCap MSCI EAFE Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 10.23% 9.80% 10.49% 9.20% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ HSBC Holdings PLC 49,209 $895,761 3.3% -------------------------------------------------------------------------------- BP PLC 67,022 728,628 2.7% -------------------------------------------------------------------------------- Eni SpA 22,051 652,796 2.4% -------------------------------------------------------------------------------- TOTAL S.A. 9,770 640,465 2.3% -------------------------------------------------------------------------------- GlaxoSmithKline PLC 17,693 469,966 1.7% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,021 WisdomTree International $10,928 MSCI LargeCap Dividend Fund EAFE Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 10,052 10,048 6/30/06 10,498 10,509 7/7/06 10,581 10,549 7/14/06 10,123 10,077 7/21/06 10,255 10,168 7/28/06 10,709 10,617 8/4/06 10,825 10,735 8/11/06 10,657 10,565 8/18/06 10,900 10,869 8/25/06 10,830 10,758 9/1/06 11,008 10,945 9/8/06 10,766 10,736 9/15/06 10,844 10,755 9/22/06 10,918 10,800 9/30/06 11,021 10,928 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 Trust International Equity Funds Performance Summary WisdomTree International Dividend Top 100 Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 47.4% Communications 18.4% Utilities 15.3% Consumer Non-Cyclical 8.9% Energy 4.0% Industrial 3.3% Basic Materials 1.8% Short-Term Investment 0.7% Other 0.2% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree International Net Asset Market Dividend MSCI EAFE Value Price Top 100 Index Value Index -------------------------------------------------------------------------------- Since Inception(1) 12.24% 11.70% 12.40% 10.52% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Telstra Corp. Ltd. 220,816 $611,348 2.2% -------------------------------------------------------------------------------- Lloyds TSB Group PLC 49,741 501,269 1.8% -------------------------------------------------------------------------------- Scottish Power PLC 37,710 458,920 1.7% -------------------------------------------------------------------------------- Belgacom S.A. 11,301 440,060 1.6% -------------------------------------------------------------------------------- BT Group PLC 85,610 428,573 1.5% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,223 WisdomTree International $11,064 MSCI Dividend Top 100 Fund EAFE Value Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 10,021 10,031 6/30/06 10,457 10,476 7/7/06 10,546 10,530 7/14/06 10,111 10,060 7/21/06 10,271 10,169 7/28/06 10,653 10,652 8/4/06 10,801 10,799 8/11/06 10,658 10,654 8/18/06 10,868 10,932 8/25/06 10,842 10,824 9/1/06 11,055 11,000 9/8/06 10,883 10,809 9/15/06 11,015 10,892 9/22/06 11,076 10,935 9/30/06 11,223 11,064 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 Trust International Equity Funds 15 Performance Summary WisdomTree International MidCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Financial 24.4% Consumer Cyclical 17.6% Consumer Non-Cyclical 13.9% Industrial 12.9% Communications 9.6% Basic Materials 7.7% Utilities 7.2% Diversified 2.4% Energy 1.9% Technology 1.0% Short-Term Investment 0.6% Other 0.8% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree International Net Asset Market MidCap MSCI EAFE Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 11.99% 11.58% 12.26% 9.20% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ United Utilities PLC 23,803 $313,685 1.1% -------------------------------------------------------------------------------- Wesfarmers Ltd. 10,432 271,927 1.0% -------------------------------------------------------------------------------- Telecom Corp. of New Zealand Ltd. 84,213 239,175 0.9% -------------------------------------------------------------------------------- Coles Myer Ltd. 20,716 222,459 0.8% -------------------------------------------------------------------------------- Suncorp-Metway Ltd. 13,270 217,265 0.8% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a line chart in the printed material.] $11,199 WisdomTree International $10,928 MSCI MidCap Dividend Fund EAFE Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,996 10,048 6/30/06 10,435 10,509 7/7/06 10,492 10,549 7/14/06 10,105 10,077 7/21/06 10,188 10,168 7/28/06 10,571 10,617 8/4/06 10,676 10,735 8/11/06 10,548 10,565 8/18/06 10,802 10,869 8/25/06 10,729 10,758 9/1/06 11,009 10,945 9/8/06 10,833 10,736 9/15/06 10,977 10,755 9/22/06 11,061 10,800 9/30/06 11,199 10,928 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 Trust International Equity Funds Performance Summary WisdomTree International SmallCap Dividend Fund Sector Breakdown* % of the Fund's Net Assets as of 09/30/06+ [The following table was depicted as a pie chart in the printed material.] Industrial 24.5% Financial 23.1% Consumer Non-Cyclical 16.7% Consumer Cyclical 14.9% Basic Materials 7.1% Communications 5.2% Technology 2.0% Diversified 1.7% Utilities 1.7% Energy 1.7% Short-Term Investment 1.0% Other 0.4% * A sector may comprise several industries. + The Fund's sector breakdown is expressed as a percentage of net assets and may change over time. Performance Summary 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 bid and ask for Fund shares as of the close of trading (generally 4:15 p.m.) 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. The gap in time between the calculation of NAV returns and market price returns (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between NAV returns and market price returns. 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. Performance as of 9/30/06 ================================================================================ Cumulative Total Return -------------------------------------------------------------------------------- WisdomTree International MSCI EAFE Net Asset Market SmallCap Small Cap Value Price Dividend Index Index -------------------------------------------------------------------------------- Since Inception(1) 8.10% 8.02% 7.84% 3.80% -------------------------------------------------------------------------------- (1) Total returns are calculated based on the commencement of trading on the NYSE, June 16, 2006. Top Five Holdings(2) as of 9/30/06 ================================================================================ Description Shares Market Value % of Net Assets ================================================================================ Electrocomponents PLC 34,627 $179,975 0.7% -------------------------------------------------------------------------------- Compagnie Maritime Belge S.A. 5,042 171,680 0.6% -------------------------------------------------------------------------------- A/S Dampskibsselskabet TORM 3,272 168,966 0.6% -------------------------------------------------------------------------------- Brit Insurance Holdings PLC 25,335 142,921 0.5% -------------------------------------------------------------------------------- Sims Group Ltd. 9,151 141,360 0.5% -------------------------------------------------------------------------------- (2) The five largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company. Comparison of Change in Value of a $10,000 Investment Based on Net Asset Value as of 9/30/06 [The following table was depicted as a pie chart in the printed material.] $10,809 WisdomTree International $10,387 MSCI EAFE SmallCap Dividend Fund Small Cap Index -------------------------------------------------------------------------------- 6/16/06 10,000 10,000 6/23/06 9,941 9,957 6/30/06 10,343 10,339 7/7/06 10,420 10,359 7/14/06 10,016 9,803 7/21/06 10,053 9,691 7/28/06 10,304 9,952 8/4/06 10,437 10,181 8/11/06 10,329 10,029 8/18/06 10,527 10,317 8/25/06 10,484 10,243 9/1/06 10,672 10,389 9/8/06 10,539 10,302 9/15/06 10,606 10,206 9/22/06 10,679 10,265 9/30/06 10,809 10,387 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 Trust International Equity Funds 17 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 June 16, 2006* to September 30, 2006. 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 06/16/06* to 09/30/06" 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. * Commencement of investment operations. 18 WisdomTree Trust International Equity Funds Shareholder Expense Examples (unaudited) (concluded) ==================================================================================================================================== Expenses Paid Beginning Ending During the Period+ Account Value Account Value 06/16/06* to 06/16/06* 09/30/06 09/30/06 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree DIEFA Fund Actual $1,000.00 $1,103.52 $1.48 Hypothetical (5% return before expenses) $1,000.00 $1,013.25 $1.42 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree DIEFA High-Yielding Equity Fund Actual $1,000.00 $1,104.88 $1.79 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Europe Total Dividend Fund Actual $1,000.00 $1,110.51 $1.48 Hypothetical (5% return before expenses) $1,000.00 $1,013.25 $1.42 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Europe High-Yielding Equity Fund Actual $1,000.00 $1,111.98 $1.80 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Europe SmallCap Dividend Fund Actual $1,000.00 $1,103.73 $1.79 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Japan Total Dividend Fund Actual $1,000.00 $1,034.38 $1.43 Hypothetical (5% return before expenses) $1,000.00 $1,013.25 $1.42 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Japan High-Yielding Equity Fund Actual $1,000.00 $1,041.28 $1.74 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Japan SmallCap Dividend Fund Actual $1,000.00 $ 985.99 $1.69 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Pacific ex-Japan Total Dividend Fund Actual $1,000.00 $1,084.69 $1.47 Hypothetical (5% return before expenses) $1,000.00 $1,013.25 $1.42 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree Pacific ex-Japan High-Yielding Equity Fund Actual $1,000.00 $1,075.48 $1.76 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree International LargeCap Dividend Fund Actual $1,000.00 $1,102.29 $1.48 Hypothetical (5% return before expenses) $1,000.00 $1,013.25 $1.42 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree International Dividend Top 100 Fund Actual $1,000.00 $1,122.36 $1.80 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree International MidCap Dividend Fund Actual $1,000.00 $1,119.89 $1.80 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ WisdomTree International SmallCap Dividend Fund Actual $1,000.00 $1,081.03 $1.77 Hypothetical (5% return before expenses) $1,000.00 $1,012.96 $1.71 ------------------------------------------------------------------------------------------------------------------------------------ * Commencement of investment operations. + Expenses are calculated using each Fund's annualized expense ratio, multiplied by the average account value for the period, multiplied by 107/365 (to reflect the fiscal period). WisdomTree Trust International Equity Funds 19 Schedule of Investments (unaudited) WisdomTree DIEFA Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.3% Australia - 7.8% Alumina Ltd. 5,258 $ 24,288 Amcor Ltd. 5,373 29,791 AMP Ltd. 5,975 39,862 Aristocrat Leisure Ltd. 2,620 27,568 Australia & New Zealand Banking Group Ltd. 7,545 151,234 Australian Gas Light Co., Ltd. 1,927 30,846 Australian Stock Exchange Ltd. 1,118 27,115 AXA Asia Pacific Holdings Ltd. 5,905 28,643 BHP Billiton Ltd. 5,049 96,568 Billabong International Ltd. (a) 2,476 27,069 BlueScope Steel Ltd. 4,457 21,553 Brambles Industries Ltd. (a) 3,241 30,837 Caltex Australia Ltd. 1,709 30,481 Coca-Cola Amatil Ltd. 4,885 24,388 Coles Myer Ltd. 4,047 43,459 Commonwealth Bank of Australia 5,809 198,325 CSL Ltd. 650 26,208 Foster's Group Ltd. 7,265 34,914 Harvey Norman Holdings Ltd. 8,836 23,342 Insurance Australia Group Ltd. 8,115 31,975 John Fairfax Holdings Ltd. 9,165 28,862 Leighton Holdings Ltd. 1,974 28,490 Lend Lease Corp. Ltd. 2,482 29,672 Lion Nathan Ltd. 4,519 27,316 Macquarie Bank Ltd. 618 31,891 National Australia Bank Ltd. 6,823 186,864 Newcrest Mining Ltd. 1,757 29,501 Orica Ltd. 1,600 26,829 Perpetual Ltd. (a) 520 28,366 Promina Group Ltd. 6,190 27,392 Publishing & Broadcasting Ltd. 1,933 26,888 Qantas Airways Ltd. 12,014 35,055 QBE Insurance Group Ltd. 2,094 38,285 Rinker Group Ltd. 2,090 21,679 Rio Tinto Ltd. (a) 604 31,597 Santos Ltd. 3,179 26,546 Sonic Healthcare Ltd. 2,502 24,609 St.George Bank Ltd. 2,389 53,912 Suncorp-Metway Ltd. 2,592 42,438 TABCORP Holdings Ltd. 2,827 32,974 Telstra Corp. Ltd. (a) 43,111 119,357 Toll Holdings Ltd. 2,379 27,322 Wesfarmers Ltd. 2,036 53,071 Westpac Banking Corp. 7,663 129,867 Woodside Petroleum Ltd. 1,411 41,329 Woolworths Ltd. 3,357 50,755 ------------ Total Australia 2,149,333 -------------------------------------------------------------------------------- Austria - 0.4% Andritz AG 14 2,133 AT&S Austria Technologie & Systemtechnik AG 64 1,621 Bank Austria Creditanstalt AG 249 33,277 BOEHLER-UDDEHOLM AG 92 5,170 Erste Bank der oesterreichischen Sparkassen AG 227 14,119 Flughafen Wien AG 46 3,806 Oesterreichische Elektrizitatswirtschafts AG Class A 130 6,282 OMV AG 215 11,128 Semperit AG Holding 46 1,467 Telekom Austria AG 443 11,167 UNIQA Versicherungen AG 68 2,153 voestalpine AG 144 5,941 Wiener Staedtische AG 82 5,142 Wienerberger AG 158 7,453 ------------ Total Austria 110,859 -------------------------------------------------------------------------------- Belgium - 2.1% Ackermans & van Haaren N.V. 88 6,332 Agfa-Gevaert N.V. 321 7,604 Almancora SCA 118 15,247 Barco N.V. 72 6,581 Bekaert S.A. 66 6,492 Belgacom S.A. 1,496 58,254 Compagnie Maritime Belge S.A. 357 12,156 Delhaize Group 142 11,917 Dexia N.V. 2,271 58,773 Euronav N.V. 291 9,433 Fortis N.V. 4,989 202,297 Groep Colruyt S.A. 50 8,525 Groupe Bruxelles Lambert S.A. 209 22,279 InBev N.V. 534 29,371 KBC Groep N.V. 743 78,166 Mobistar S.A. 172 14,228 Solvay S.A. 174 22,482 UCB S.A. 217 13,785 Umicore 46 6,800 ------------ Total Belgium 590,722 -------------------------------------------------------------------------------- Denmark - 0.5% A/S Dampskibsselskabet TORM 201 10,380 Amagerbanken A/S 50 3,194 Auriga Industries A/S Class B 100 2,684 Bang & Olufsen A/S Class B 10 1,072 Codan A/S 50 3,546 Danske Bank A/S 1,807 70,983 DSV A/S 50 8,731 FLSmidth & Co. A/S 100 4,629 GN Store Nord 402 6,146 H. Lundbeck A/S 201 4,678 See Notes to Financial Statements. 20 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree DIEFA Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Novo Nordisk A/S Class B 301 $ 22,344 Spar Nord Bank A/S 150 3,261 Sydbank A/S 100 3,678 ------------ Total Denmark 145,326 -------------------------------------------------------------------------------- Finland - 1.7% Amer Sports Oyj 301 6,749 Elisa Oyj Class A 502 11,065 Finnair Oyj 402 6,564 Fortum Oyj 3,615 96,211 Huhtamaki Oyj 301 5,205 KCI Konecranes PLC 301 5,708 Kemira Oyj 402 7,486 Kesko Oyj Class B 201 8,443 Metso Oyj 201 7,389 Nokia Oyj 6,376 126,483 Nokian Renkaat Oyj 402 7,226 OKO Bank PLC Class A 602 9,593 Oriola-KD Oyj* 202 617 Orion Oyj Class B* 201 3,819 Outokumpu Oyj 402 10,251 Perlos Oyj 602 3,302 Rautaruukki Oyj 602 17,273 Sampo Oyj Class A 1,607 33,466 Sanoma-WSOY Oyj 522 13,377 Sponda Oyj 402 4,532 Stora Enso Oyj Class R 1,607 24,347 TietoEnator Oyj 201 5,902 UPM-Kymmene Corp. 1,607 38,148 Uponor Corp. 201 5,444 Wartsila Oyj Class B 201 8,148 YIT Oyj 201 4,652 ------------ Total Finland 471,400 -------------------------------------------------------------------------------- France - 12.5% Accor S.A. 737 50,181 Assurances Generales de France 463 58,240 AXA S.A. 5,584 205,698 BNP Paribas 2,253 242,161 Bouygues S.A. 803 42,905 Carrefour S.A. 1,464 92,411 Casino Guichard Perrachon S.A. 540 43,471 Christian Dior S.A. 437 45,448 Cie de Saint-Gobain S.A. 747 54,126 CNP Assurances S.A. 437 42,348 Compagnie Generale des Etablissements Michelin Class B 662 48,470 Credit Agricole S.A. 1,644 72,139 France Telecom S.A. 14,195 325,465 Gaz de France 1,204 47,890 Gecina S.A. 341 45,442 Groupe Danone 449 62,963 Hermes International 486 44,880 Lafarge S.A. 407 52,485 Lagardere SCA 544 39,210 L'Air Liquide S.A. 267 54,420 L'Oreal S.A. 887 90,001 LVMH Moet Hennessy Louis Vuitton S.A. 658 67,724 Natexis Banques Populaires 168 46,479 Peugeot S.A. 656 36,954 PPR S.A. 357 52,866 Renault S.A. 714 81,808 Sanofi-Aventis 2,034 180,875 Schneider Electric S.A. 568 63,281 Societe Des Autoroutes Paris-Rhin-Rhone 498 37,030 Societe Generale 1,092 173,603 Suez S.A. 3,957 173,834 TOTAL S.A. 7,190 471,335 Vallourec S.A. 201 46,824 Veolia Environnement S.A. 729 43,966 VINCI S.A. 558 62,061 Vivendi S.A. 3,788 136,420 ------------ Total France 3,435,414 -------------------------------------------------------------------------------- Germany - 6.8% adidas AG 443 20,819 Allianz SE 451 77,972 ALTANA AG 363 20,030 AMB Generali Holding AG 148 20,137 BASF AG 1,096 87,675 Bayer AG 1,415 72,057 Bayerische Motoren Werke AG 684 36,599 Beiersdorf AG 451 23,978 Commerzbank AG 763 25,661 Continental AG 209 24,209 DaimlerChrysler AG 2,598 129,699 Deutsche Bank AG 1,501 180,936 Deutsche Boerse AG 166 24,939 Deutsche Lufthansa AG 1,182 25,020 Deutsche Post AG 2,785 73,027 Deutsche Postbank AG 315 23,882 Deutsche Telekom AG 18,952 301,053 E.ON AG 1,522 180,229 Fraport AG Frankfurt Airport Services Worldwide 321 22,064 Fresenius Medical Care AG & Co. KGaA 189 24,526 Hypo Real Estate Holding AG 355 22,125 Linde AG 267 25,127 MAN AG 317 26,800 Metro AG 508 29,659 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 21 Schedule of Investments (unaudited) (continued) WisdomTree DIEFA Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Muenchener Rueckversicherungs AG 457 $ 72,195 RWE AG 992 91,419 SAP AG 193 38,237 Siemens AG 1,206 105,106 ThyssenKrupp AG 955 32,143 Volkswagen AG 411 34,976 ------------ Total Germany 1,872,299 -------------------------------------------------------------------------------- Hong Kong - 3.5% Bank of East Asia Ltd. 4,418 20,156 BOC Hong Kong (Holdings) Ltd. 33,140 74,427 Cheung Kong (Holdings) Ltd. 4,016 43,112 China Merchants Holdings (International) Co., Ltd. 4,016 11,777 China Mobile Ltd. 29,124 205,753 China Overseas Land & Investment Ltd. 8,034 6,196 China Resources Enterprise, Ltd. 4,016 8,700 China Resources Power Holdings Co. 4,016 4,247 China Travel International Investment Hong Kong Ltd. 16,067 3,547 China Unicom Ltd. 12,051 11,877 CITIC International Financial Holdings Ltd. (a) 14,060 8,084 CITIC Pacific Ltd. 6,025 18,557 CLP Holdings Ltd. 8,034 48,664 CNOOC Ltd. 36,153 30,065 Dah Sing Financial Holdings Ltd. 803 7,229 Denway Motors Ltd. 12,051 4,361 Guangdong Investment Ltd. 12,051 4,872 Guangzhou Investment Co., Ltd. 16,067 3,155 Hang Lung Group Ltd. 4,016 10,333 Hang Lung Properties Ltd. 8,034 17,156 Hang Seng Bank Ltd. 6,829 86,280 Henderson Investment Ltd. 4,016 7,246 Henderson Land Development Co., Ltd. 2,008 11,287 Hong Kong & China Gas Co. Ltd. (The) 4,016 9,411 Hong Kong Aircraft Engineering Co. Ltd. 803 11,408 Hongkong Electric Holdings Ltd. 6,025 28,183 Hopewell Holdings Ltd. 2,008 5,721 Hutchison Whampoa Ltd. 6,025 53,196 Hysan Development Co., Ltd. 4,016 10,297 Industrial & Commercial Bank of China Ltd. 4,016 6,999 Lenovo Group Ltd. (a) 12,051 4,732 MTR Corp. 8,034 20,167 New World Development Ltd. 6,025 10,376 PCCW Ltd. 14,060 8,589 Shanghai Industrial Holdings Ltd. 2,008 3,793 Shun TAK Holdings Ltd. 4,016 4,731 Singamas Container Holdings Ltd. 8,034 4,227 Sino Land Co. (a) 4,016 7,112 Sun Hung Kai Properties Ltd. 4,016 43,833 Swire Pacific Ltd. Class A 2,008 20,976 Swire Pacific Ltd. Class B 5,021 9,395 Television Broadcasts Ltd. 2,008 10,823 Wharf Holdings Ltd. 4,016 13,761 Wheelock & Co., Ltd. 4,016 7,030 Wing Hang Bank Ltd. 1,005 9,815 Wing Lung Bank Ltd. 803 7,909 ------------ Total Hong Kong 959,565 -------------------------------------------------------------------------------- Ireland - 0.6% Allied Irish Banks PLC 2,179 57,882 Anglo Irish Bank Corp. PLC 532 8,734 Bank of Ireland 2,231 43,607 C&C Group PLC 486 6,587 CRH PLC 548 18,528 DCC PLC 116 2,902 FBD Holdings PLC 42 2,006 Fyffes PLC 1,247 2,417 Greencore Group PLC 449 2,221 IAWS Group PLC 108 2,007 Independent News & Media PLC 2,191 6,578 Irish Life & Permanent PLC 556 13,945 Kerry Group PLC Class A 102 2,416 Kingspan Group PLC 118 2,422 McInerney Holdings PLC 124 2,007 United Drug PLC 439 1,950 ------------ Total Ireland 176,209 -------------------------------------------------------------------------------- Italy - 7.1% AEM SpA 10,145 27,373 Alleanza Assicurazioni SpA 2,199 25,683 Assicurazioni Generali SpA 1,339 50,037 Autostrade SpA 823 24,385 Banca Carige SpA 5,078 25,859 Banca Intesa SpA 20,002 131,502 Banca Lombarda e Piemontese SpA 1,391 28,598 Banca Monte dei Paschi di Siena SpA 4,065 24,614 Banca Popolare di Milano S.c.r.l. 1,946 25,711 Banca Popolare di Verona e Novara S.c.r.l. 851 23,490 Banche Popolari Unite S.c.r.l. 899 24,166 Capitalia SpA 5,664 46,852 Enel SpA 22,759 207,431 Eni SpA 16,145 477,956 Finmeccanica SpA 1,072 23,914 Fondiaria-Sai SpA 644 28,218 Ifil Investments SpA 4,236 28,601 Italcementi SpA 1,022 25,854 Luxottica Group SpA 929 27,337 Mediaset SpA 2,767 29,706 See Notes to Financial Statements. 22 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree DIEFA Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Mediobanca SpA 1,638 $ 35,689 Mediolanum SpA 3,486 25,877 RAS Holding SpA 1,821 49,734 RCS MediaGroup SpA (a) 4,387 20,381 Saipem SpA 1,096 23,796 Sanpaolo IMI SpA 3,490 73,609 Snam Rete Gas SpA 7,513 36,450 Telecom Italia SpA 59,730 169,485 Terna SpA 8,374 24,345 UniCredito Italiano SpA 23,630 195,913 ------------ Total Italy 1,962,566 -------------------------------------------------------------------------------- Japan - 8.8% AEON Co., Ltd. 1,400 34,329 Asahi Glass Co., Ltd. 2,000 24,681 Astellas Pharma, Inc. 800 32,186 Bridgestone Corp. 1,400 28,281 Canon Inc. 1,200 62,610 Chubu Electric Power Co., Inc. 1,200 31,203 Chugai Pharmaceutical Co., Ltd. 1,400 30,119 Dai Nippon Printing Co., Ltd. 2,000 30,881 Daiwa Securities Group, Inc. 2,000 23,343 DENSO CORP 800 28,120 East Japan Railway Co. 4 27,985 Eisai Co., Ltd. 600 29,018 Fanuc Ltd. 400 31,237 Fuji Photo Film Co., Ltd. 800 29,204 Hitachi Ltd. 4,000 23,343 Honda Motor Co., Ltd. 1,200 40,351 Hoya Corp. 800 30,153 ITOCHU Corp. 4,000 31,000 Japan Tobacco, Inc. 8 31,102 JFE Holdings, Inc. 800 31,373 Kansai Electric Power Co., Inc. (The) 1,400 32,313 Kao Corp. 2,000 53,360 Kirin Brewery Co., Ltd. 2,000 26,714 Komatsu Ltd. 2,000 34,557 Kyocera Corp. 400 34,252 Kyushu Electric Power Co., Inc. 1,400 33,083 Matsushita Electric Industrial Co., Ltd. 2,000 42,350 Mitsubishi Corp. 1,600 30,085 Mitsubishi Electric Corp. 4,000 33,710 Mitsubishi Estate Co., Ltd. 2,000 43,705 Mitsubishi Heavy Industries Ltd. 8,000 33,134 Mitsubishi UFJ Financial Group, Inc. 4 51,497 Mitsui & Co., Ltd. 2,000 25,444 Mitsui Fudosan Co., Ltd. 2,000 45,483 Mitsui Sumitomo Insurance Co., Ltd. 2,000 25,020 Mizuho Financial Group, Inc. 4 31,034 Nippon Oil Corp. 4,000 29,475 Nippon Steel Corp. 8,000 32,931 Nippon Telegraph & Telephone Corp. 12 58,951 Nissan Motor Co., Ltd. 5,800 64,993 Nitto Denko Corp. 400 23,716 Nomura Holdings, Inc. 1,600 28,188 NTT DoCoMo, Inc. 54 83,242 ORIX Corp. 120 33,185 Ricoh Co., Ltd. 2,000 39,809 Secom Co., Ltd. 1,000 49,549 Sega Sammy Holdings, Inc. 800 25,749 Sekisui House, Ltd. 2,000 30,271 Sharp Corp. 2,000 34,303 Shin-Etsu Chemical Co., Ltd. 600 38,318 Sony Corp. 600 24,292 Sumitomo Chemical Co., Ltd. 4,000 29,882 Sumitomo Corp. 2,000 24,952 Sumitomo Metal Industries Ltd. 8,000 30,695 Sumitomo Mitsui Financial Group, Inc. 2 21,005 Sumitomo Trust & Banking Co., Ltd. (The) 4,000 41,875 Suzuki Motor Corp. 1,400 35,574 T&D Holdings, Inc. 400 28,967 Takeda Pharmaceutical Co., Ltd. 800 49,939 Tohoku Electric Power Co., Inc. 1,400 30,653 Tokyo Electric Power Co., Inc. (The) 1,800 51,836 Tokyo Gas Co., Ltd. 6,000 30,085 Toshiba Corp. 4,000 25,952 Toyota Industries Corp. 800 33,947 Toyota Motor Corp. 3,000 163,129 Yahoo Japan Corp. 62 23,342 ------------ Total Japan 2,425,065 -------------------------------------------------------------------------------- Netherlands - 4.3% ABN AMRO Holding N.V. 6,076 177,026 Aegon N.V. 3,782 70,857 Akzo Nobel N.V. 556 34,216 Buhrmann N.V. 835 12,576 Corio N.V. 247 17,975 CSM N.V. 429 13,640 Eurocommercial Properties N.V. 317 14,958 Euronext N.V. 453 43,985 European Aeronautic Defence & Space Co. N.V. 1,377 39,561 Heineken Holding N.V. 329 12,915 Heineken N.V. 421 19,236 Hunter Douglas N.V. 176 12,329 ING Groep N.V. 5,732 251,884 Koninklijke DSM N.V. 417 18,272 Koninklijke Philips Electronics N.V. 1,646 57,694 Mittal Steel Co. N.V. 385 13,421 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 23 Schedule of Investments (unaudited) (continued) WisdomTree DIEFA Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Randstad Holding N.V. 207 $ 11,776 Reed Elsevier N.V. 1,636 27,252 Rodamco Europe N.V. 271 31,531 Royal KPN N.V. 7,436 94,761 STMicroelectronics N.V. 2,626 45,473 TNT N.V. 716 27,128 Unilever N.V. 4,140 101,740 Vedior N.V. 576 10,777 Wereldhave N.V. 126 13,742 Wolters Kluwer N.V. 630 16,416 ------------ Total Netherlands 1,191,141 -------------------------------------------------------------------------------- New Zealand - 0.4% Air New Zealand Ltd. 4,084 3,573 Auckland International Airport Ltd. 4,902 6,497 CanWest MediaWorks (NZ) Ltd. 1,454 1,339 Contact Energy Ltd. 1,500 7,002 Fisher & Paykel Appliances Holdings Ltd. 1,118 2,635 Fisher & Paykel Healthcare Corp. 1,303 3,531 Fletcher Building Ltd. 1,845 10,335 Freightways Ltd. 626 1,516 Infratil Ltd. 576 1,549 Mainfreight Ltd. 431 1,843 New Zealand Refining Co., Ltd. (The) 1,178 4,845 Nuplex Industries Ltd. 361 1,508 PGG Wrightson Ltd. 1,233 1,336 Port of Tauranga Ltd. 512 1,655 Pumpkin Patch Ltd. 570 1,507 Sanford Ltd. 459 1,423 Sky City Entertainment Group Ltd. 1,955 6,765 Steel & Tube Holdings Ltd. 614 1,844 Telecom Corp. of New Zealand Ltd. 16,361 46,467 Vector Ltd. 2,281 3,530 ------------ Total New Zealand 110,700 -------------------------------------------------------------------------------- Norway - 1.0% Acta Holding ASA 2,008 8,132 Aker ASA Class A 121 5,736 Aker Yards AS 40 3,068 Aktiv Kapital ASA 201 2,713 DnB NOR ASA 4,016 49,225 EDB Business Partner ASA 402 3,176 Ekornes ASA 201 4,147 Norsk Hydro ASA 2,209 49,391 Norske Skogindustrier ASA 803 12,084 Orkla ASA 362 17,243 Schibsted ASA 100 3,007 Sparebanken Midt-Norge 402 4,795 Statoil ASA 2,811 66,516 Storebrand ASA 1,105 11,679 Telenor ASA 2,209 28,838 Tomra Systems ASA 402 2,454 Wilh. Wilhelmsen ASA Class A 100 3,160 Yara International ASA 602 9,143 ------------ Total Norway 284,507 -------------------------------------------------------------------------------- Portugal - 0.7% Banco BPI, S.A. 1,092 8,134 Banco Comercial Portugues S.A. Class R 7,788 24,170 Banco Espirito Santo, S.A. 1,146 17,493 Brisa-Auto-estradas de Portugal S.A. 1,225 13,562 CIMPOR-Cimentos de Portugal SGPS, S.A. 1,576 11,280 EDP-Energias de Portugal S.A. 8,862 38,393 Jeronimo Martins, SGPS, S.A. 269 4,798 Mota-Engil, SGPS, S.A. 437 2,458 Portucel-Empresa Produtora De Pasta E Papel, S.A. 1,303 3,582 Portugal Telecom, SGPS, S.A. 3,927 48,999 PT Multimedia-Servicos de Telecomunicacoes e Multimedia, SGPS, S.A. 662 8,009 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 943 2,031 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 419 4,299 Sonae SGPS, S.A. 2,707 4,698 ------------ Total Portugal 191,906 -------------------------------------------------------------------------------- Singapore - 1.5% Ascendas Real Estate Investment Trust 4,000 5,421 CapitaCommercial Trust 4,000 5,572 CapitaLand Ltd. 2,000 6,367 CapitaMall Trust Management Ltd. 4,000 6,404 City Developments Ltd. 2,000 13,490 ComfortDelgro Corp., Ltd. 6,000 6,392 Cosco Corp. (Singapore) Ltd. 6,000 6,278 DBS Group Holdings Ltd. 4,000 48,412 Guocoland Ltd. 2,000 3,013 Haw Par Corp., Ltd. 2,000 8,006 Hi-P International Ltd. 8,000 4,211 Jaya Holdings Ltd. 6,000 5,257 Keppel Land Ltd. 2,000 6,253 Keppel Telecommunications & Transportation Ltd. 4,000 3,984 Labroy Marine Ltd. 6,000 6,430 MobileOne Ltd. 4,000 5,320 Oversea-Chinese Banking Corp. Ltd. 8,000 33,031 Parkway Holdings Ltd. 4,000 7,060 SBS Transit Ltd. 3,000 4,160 SembCorp Industries Ltd. 2,000 4,236 SembCorp Marine Ltd. 2,000 4,211 SIA Engineering Co., Ltd. 2,000 4,438 Singapore Airlines Ltd. 2,000 18,406 See Notes to Financial Statements. 24 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree DIEFA Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Singapore Airport Terminal Services Ltd. 4,000 $ 5,497 Singapore Exchange Ltd. 2,000 5,598 Singapore Land Ltd. 2,000 9,897 Singapore Post Ltd. 8,000 5,093 Singapore Press Holdings Ltd. 4,000 10,338 Singapore Technologies Engineering Ltd. 2,000 3,593 Singapore Telecommunications Ltd. 32,150 49,449 SMRT Corp. Ltd. 6,000 4,198 StarHub Ltd. 5,571 7,901 Straits Trading Co., Ltd. 2,000 3,719 Suntec Real Estate Investment Trust 6,000 5,598 United Industrial Corp., Ltd. 6,000 6,165 United Overseas Bank Ltd. 4,000 41,099 UOL Group Ltd. 2,000 4,413 Venture Corp., Ltd. 2,000 15,885 Want Want Holdings Ltd. 4,000 6,200 Wheelock Properties (Singapore) Ltd. 6,000 6,770 ------------ Total Singapore 407,765 -------------------------------------------------------------------------------- Spain - 5.1% Abertis Infraestructuras S.A. (a) 996 26,117 Acciona, S.A. 100 15,201 Acerinox S.A. (a) 903 17,398 ACS, Actividades Construccion y Servicios, S.A. 387 18,335 Altadis, S.A. 473 22,433 Antena 3 de Television, S.A. 638 13,036 Banco Bilbao Vizcaya Argentaria, S.A. 7,557 174,704 Banco Popular Espanol, S.A. 2,663 43,617 Banco Sabadell S.A. 516 18,524 Banco Santander Central Hispano S.A. 15,674 247,592 Bankinter, S.A. 227 16,103 Cia Espanola De Petroleos, S.A. (a) 427 31,940 Enagas 716 17,333 Endesa S.A. 2,152 91,459 Fadesa Inmobiliaria S.A. (a) 469 20,823 Fomento de Construcciones y Contratas S.A. 215 17,158 Gas Natural SDG, S.A. 1,002 36,492 Gestevision Telecinco S.A. 1,082 27,550 Grupo Ferrovial S.A. (a) 217 17,428 Iberdrola, S.A. 2,038 91,132 Inditex S.A. 409 19,045 Inmobiliaria Colonial, S.A. 94 7,281 Metrovacesa, S.A. (a) 154 18,562 Repsol YPF, S.A. 2,263 67,280 Sacyr Vallehermoso, S.A. (a) 508 23,070 Telefonica S.A. 16,016 277,341 Union Fenosa S.A. 453 23,114 Zardoya-Otis S.A. 403 11,614 ------------ Total Spain 1,411,682 -------------------------------------------------------------------------------- Sweden - 3.2% AB Volvo Class A 402 24,904 AB Volvo Class B 1,005 59,859 Alfa Laval AB 402 13,494 Assa Abloy AB Class B 803 14,929 Atlas Copco AB Class A 803 21,093 Atlas Copco AB Class B 402 10,066 Axfood AB 301 9,139 Electrolux AB Series B 803 13,039 Fabege AB 602 13,307 H&M Hennes & Mauritz AB Class B 1,807 75,574 Holmen AB Class B 201 8,393 Industrivarden AB Class A 402 12,150 Investment AB Kinnevik Class B 803 9,478 Investor AB Class A 402 8,338 Investor AB Class B 803 16,710 JM AB 803 14,107 L E Lundbergforetagen AB Class B 201 10,326 Nordea Bank AB 7,129 93,386 Ratos AB Class B 803 15,093 Sandvik AB 2,410 27,623 Scania AB Class A 402 24,959 Scania AB Class B 402 23,971 Securitas AB Class B 803 10,081 Securitas Direct AB Class B* 803 2,016 Securitas Systems AB Class B* 803 3,013 Skandinaviska Enskilda Banken AB 1,206 32,419 Skanska AB Class B 1,206 20,406 SKF AB Class B 803 11,752 SSAB Svenskt Stal AB Series A 702 13,075 Svenska Cellulosa Aktiebolaget SCA Class B 402 18,431 Svenska Handelsbanken AB Class A 1,607 43,417 Swedbank AB 1,406 41,728 Swedish Match AB 402 6,541 Tele2 AB Class B 1,005 10,148 Telefonaktiebolaget LM Ericsson Class A 4,016 13,946 Telefonaktiebolaget LM Ericsson Class B 20,086 69,616 TeliaSonera AB 9,038 57,963 ------------ Total Sweden 874,490 -------------------------------------------------------------------------------- Switzerland - 4.2% Adecco S.A. 221 13,298 Ciba Specialty Chemicals Holding Inc. 233 14,029 Credit Suisse Group 2,426 139,975 Givaudan S.A. 16 12,772 Holcim Ltd. 273 22,250 Julius Baer Holding Ltd. 160 15,937 Kuehne + Nagel International AG 185 12,762 Nestle S.A. 694 241,306 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 25 Schedule of Investments (unaudited) (concluded) WisdomTree DIEFA Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Novartis AG 3,183 $ 185,302 Pargesa Holding S.A. 142 13,691 Roche Holding AG 634 109,311 Serono S.A. 20 17,226 SGS S.A. 14 14,056 Swatch Group Ltd. (The) Class B 82 15,799 Swiss Reinsurance Co. 688 52,507 Swisscom AG 170 56,432 UBS AG 3,446 205,559 ------------ Total Switzerland 1,142,212 -------------------------------------------------------------------------------- United Kingdom - 27.1% Anglo American PLC 2,709 112,995 AstraZeneca PLC 2,976 185,559 Aviva PLC 6,734 98,492 BAE SYSTEMS PLC 13,360 98,638 Barclays PLC 21,494 270,609 BG Group PLC 7,005 84,922 BHP Billiton PLC 5,061 87,163 BP PLC 49,291 535,867 British American Tobacco PLC 5,662 152,722 British Sky Broadcasting PLC 8,468 86,365 BT Group PLC 30,846 154,418 Cable & Wireless PLC 19,119 49,463 Cadbury Schweppes PLC 9,412 99,949 Centrica PLC 16,973 103,120 Diageo PLC 7,498 132,146 GlaxoSmithKline PLC 13,014 345,680 GUS PLC 5,349 96,520 HBOS PLC 11,711 231,225 HSBC Holdings PLC 36,198 658,920 Imperial Tobacco Group PLC 2,879 95,725 Kingfisher PLC 21,476 98,385 Land Securities Group PLC 2,755 101,277 Legal & General Group PLC 38,977 103,750 Lloyds TSB Group PLC 29,311 295,384 Man Group PLC 12,450 104,187 Marks & Spencer Group PLC 8,794 105,542 National Grid PLC 9,252 115,359 Old Mutual PLC 30,852 96,530 Pearson PLC 6,630 94,184 Prudential PLC 8,569 106,203 Reckitt Benckiser PLC 2,411 99,710 Reed Elsevier PLC 8,924 98,767 Rio Tinto PLC 1,833 86,523 Royal Bank of Scotland Group (The) PLC 8,677 298,070 Royal Dutch Shell PLC Class A 9,758 321,168 Royal Dutch Shell PLC Class B 6,853 232,083 SABMiller PLC 5,112 95,299 Sage Group PLC 22,179 104,091 Scottish & Southern Energy PLC 4,200 103,402 Scottish Power PLC 8,452 102,858 Smiths Group PLC 5,616 94,047 Standard Chartered PLC 3,814 97,461 Tesco PLC 14,683 98,738 Unilever PLC 4,120 101,356 Vodafone Group PLC 144,447 329,855 Wolseley PLC 4,298 90,400 WPP Group PLC 7,427 91,841 Xstrata PLC 2,608 107,516 ------------ Total United Kingdom 7,454,484 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $25,801,565) 27,367,645 ================================================================================ RIGHTS* - 0.0% United Kingdom - 0.0% Experian Group Npv, expiring 10/05/06 (Cost: $0) 2,663 -- WARRANTS* - 0.0% Hong Kong - 0.0% China Overseas Land & Investment Ltd., expiring 07/18/07 (Cost: $0) 1,010 218 ------------ TOTAL LONG-TERM INVESTMENTS (Cost: $25,801,565) 27,367,863 ================================================================================ SHORT-TERM INVESTMENT - 0.5% MONEY MARKET FUND - 0.5% United States - 0.5% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $146,892) 146,892 146,892 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 0.7% MONEY MARKET FUNDS (c) - 0.7% UBS Enhanced Yield Portfolio, 5.30% 100,000 100,000 UBS Private Money Market Fund LLC, 5.23% 95,116 95,116 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $195,116) (d) 195,116 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 100.5% (Cost: $26,143,573) (e) 27,709,871 Liabilities in Excess of Cash, Foreign Cash and Other Assets - (0.5)% (150,539) ------------ NET ASSETS - 100.0% $27,559,332 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $184,275 and the total market value of the collateral held by the Fund was $195,116. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 26 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree DIEFA High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.0% Australia - 11.4% Alinta Ltd. 2,094 $ 17,814 Alumina Ltd. 4,118 19,022 Amcor Ltd. 4,292 23,798 AMP Ltd. 7,750 51,704 APN News & Media Ltd. 4,448 16,862 Aristocrat Leisure Ltd. 1,686 17,740 Australia & New Zealand Banking Group Ltd. 9,794 196,314 Australian Gas Light Co., Ltd. 2,130 34,095 Australian Stock Exchange Ltd. 1,934 46,906 Baycorp Advantage Ltd. 6,994 15,867 Billabong International Ltd. (a) 1,594 17,427 BlueScope Steel Ltd. 5,246 25,368 Boral Ltd. 2,742 14,794 Brambles Industries Ltd. (a) 2,698 25,671 Caltex Australia Ltd. 1,098 19,583 Coates Hire Ltd. 3,708 15,772 Coca-Cola Amatil Ltd. 4,348 21,707 Coles Myer Ltd. 5,254 56,420 Commonwealth Bank of Australia 7,534 257,218 CSR Ltd. 6,502 14,459 Downer EDI Ltd. 2,862 12,815 Foster's Group Ltd. 9,430 45,319 Futuris Corp., Ltd. 10,208 15,464 Iluka Resources Ltd. 3,422 18,157 Insurance Australia Group Ltd. 10,534 41,506 John Fairfax Holdings Ltd. 5,894 18,561 Leighton Holdings Ltd. 1,268 18,300 Lend Lease Corp. Ltd. 2,166 25,894 Lion Nathan Ltd. 2,910 17,590 Macquarie Bank Ltd. 800 41,283 National Australia Bank Ltd. 8,850 242,378 Nufarm Ltd. (a) 2,182 15,958 OneSteel Ltd. 5,964 18,693 Orica Ltd. 1,030 17,271 Origin Energy Ltd. 3,256 16,207 Perpetual Ltd. (a) 338 18,438 Promina Group Ltd. 5,362 23,728 Publishing & Broadcasting Ltd. 2,484 34,553 Qantas Airways Ltd. 15,592 45,495 QBE Insurance Group Ltd. 2,718 49,694 Record Investments Ltd. 2,068 16,420 Rural Press Ltd. 2,094 17,345 Santos Ltd. 2,552 21,311 Seven Network Ltd. (a) 2,680 17,620 Sigma Pharmaceuticals Ltd. 8,926 17,385 Sims Group Ltd. 1,240 19,155 Sonic Healthcare Ltd. 1,610 15,835 St.George Bank Ltd. 3,100 69,956 Suncorp-Metway Ltd. 3,366 55,111 TABCORP Holdings Ltd. 3,676 42,876 Telstra Corp. Ltd. 55,972 154,963 UNiTAB Ltd. 760 8,451 United Group Ltd. 1,690 17,909 Washington H. Soul Pattinson & Co., Ltd. 2,676 16,635 Wesfarmers Ltd. 2,644 68,919 West Australian Newspapers Holdings Ltd. 2,596 17,571 Westpac Banking Corp. 9,946 168,558 Woodside Petroleum Ltd. 1,832 53,660 Woolworths Ltd. 4,356 65,858 ----------- Total Australia 2,511,383 -------------------------------------------------------------------------------- Austria - 0.1% BOEHLER-UDDEHOLM AG 121 6,799 Flughafen Wien AG 61 5,086 Semperit AG Holding 52 1,658 Wienerberger AG 206 9,718 ----------- Total Austria 23,261 -------------------------------------------------------------------------------- Belgium - 2.8% Agfa-Gevaert N.V. 370 8,765 Almancora SCA 152 19,640 Belgacom S.A. 1,936 75,388 Compagnie Maritime Belge S.A. 462 15,731 Cumerio N.V. 182 3,799 Dexia N.V. 2,946 76,242 Euronav N.V. 378 12,253 Fortis N.V. 6,474 262,512 Gimv N.V. 136 8,123 KBC Groep N.V. 966 101,627 Melexis N.V. 230 3,881 Mobistar S.A. 226 18,694 Tessenderlo Chemie N.V. 112 4,248 ----------- Total Belgium 610,903 -------------------------------------------------------------------------------- Denmark - 0.5% A/S Dampskibsselskabet TORM 402 20,759 Danske Bank A/S 2,404 94,434 ----------- Total Denmark 115,193 -------------------------------------------------------------------------------- Finland - 1.8% Amer Sports Oyj 402 9,013 Elisa Oyj Class A 602 13,269 Fortum Oyj 4,812 128,069 Kesko Oyj Class B 402 16,886 OKO Bank PLC Class A 800 12,749 Oriola-KD Oyj* 404 1,233 Orion Oyj Class B* 402 7,639 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 27 Schedule of Investments (unaudited) (continued) WisdomTree DIEFA High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Rautaruukki Oyj 800 $ 22,954 Sampo Oyj Class A 2,004 41,734 Sanoma-WSOY Oyj 682 17,477 Sponda Oyj 800 9,019 Stora Enso Oyj Class R 2,404 36,421 TietoEnator Oyj 242 7,106 UPM-Kymmene Corp. 3,008 71,407 Uponor Corp. 402 10,887 ----------- Total Finland 405,863 -------------------------------------------------------------------------------- France - 12.1% Assurances Generales de France 604 75,976 AXA S.A. 7,248 266,995 Bail Investissement 262 19,067 BNP Paribas 2,922 314,067 Casino Guichard Perrachon S.A. 402 32,362 Credit Agricole S.A. 2,138 93,816 Euler Hermes S.A. 164 19,507 France Telecom S.A. 18,422 422,383 Gecina S.A. 286 38,113 Klepierre 168 25,133 M6, Metropole Television S.A. 632 19,374 PagesJaunes Groupe S.A. 1,686 47,841 Rallye S.A. 386 18,238 Societe Generale 1,416 225,112 Suez S.A. 5,138 225,717 TOTAL S.A. 9,373 614,440 Unibail 164 34,424 Vivendi S.A. 4,924 177,332 ----------- Total France 2,669,897 -------------------------------------------------------------------------------- Germany - 4.7% AWD Holding AG 222 8,012 BASF AG 1,424 113,912 DaimlerChrysler AG 3,374 168,439 Deutsche Euroshop AG 100 6,925 Deutsche Lufthansa AG 1,498 31,709 Deutsche Post AG 3,616 94,817 Deutsche Telekom AG 21,518 341,814 E.ON AG 1,972 233,516 MVV Energie AG 266 7,827 Norddeutsche Affinerie AG 306 7,365 TUI AG 1,086 22,396 Vossloh AG 132 7,770 ----------- Total Germany 1,044,502 -------------------------------------------------------------------------------- Hong Kong - 2.3% Bank of East Asia Ltd. 5,612 25,603 BOC Hong Kong (Holdings) Ltd. 44,106 99,054 Cathay Pacific Airways Ltd. 12,000 24,578 China Netcom Group Corp. Ltd. 2,004 3,595 China Travel International Investment Hong Kong Ltd. 24,058 5,310 CITIC International Financial Holdings Ltd. (a) 12,028 6,915 CITIC Pacific Ltd. 8,018 24,695 CLP Holdings Ltd. 10,024 60,718 Dah Sing Banking Group Ltd. 1,604 3,429 Dah Sing Financial Holdings Ltd. 1,604 14,440 Fountain Set (Holdings) Ltd. 8,018 2,161 Hang Lung Group Ltd. 4,008 10,313 Hang Lung Properties Ltd. 12,028 25,685 Hang Seng Bank Ltd. 8,818 111,410 Hongkong Electric Holdings Ltd. 8,018 37,506 Hopewell Holdings Ltd. 4,008 11,419 i-CABLE Communications Ltd. 16,038 3,149 Industrial & Commercial Bank of China Ltd. 4,008 6,985 Liu Chong Hing Bank Ltd. 4,008 8,898 Oriental Press Group Ltd. 16,038 2,881 PCCW Ltd. 20,048 12,247 Shenzhen Investment Ltd. 8,018 2,830 Wing Lung Bank Ltd. 800 7,880 ----------- Total Hong Kong 511,701 -------------------------------------------------------------------------------- Ireland - 0.8% Abbey PLC 84 1,001 Allied Irish Banks PLC 2,865 76,105 Bank of Ireland 2,894 56,566 Fyffes PLC 1,618 3,136 Greencore Group PLC 588 2,909 Independent News & Media PLC 2,842 8,532 Irish Life & Permanent PLC 724 18,159 ----------- Total Ireland 166,408 -------------------------------------------------------------------------------- Italy - 10.1% ACEA SpA 1,078 17,588 AEM SpA 6,346 17,123 Alleanza Assicurazioni SpA 2,854 33,333 Arnoldo Mondadori Editore SpA 1,646 15,231 Autostrada Torino-Milano SpA 716 15,419 Banca Fideuram SpA 1,574 10,019 Banca Intesa SpA 25,966 170,712 Banca Lombarda e Piemontese SpA 878 18,051 Banca Popolare di Verona e Novara S.c.r.l. 760 20,978 Banca Popolare Italiana 1,582 19,088 Banche Popolari Unite S.c.r.l. 1,018 27,364 Benetton Group SpA 1,018 17,499 Capitalia SpA 7,348 60,782 Enel SpA 29,544 269,273 Eni SpA 20,968 620,735 Fondiaria-Sai SpA 406 17,790 See Notes to Financial Statements. 28 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree DIEFA High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Mediaset SpA 3,596 $ 38,606 Milano Assicurazioni SpA 2,020 14,931 Pirelli & C. Real Estate SpA 226 13,421 RAS Holding SpA 2,366 64,618 Reti Bancarie Holding SpA 306 18,548 Sanpaolo IMI SpA 4,530 95,544 Snam Rete Gas SpA 9,748 47,294 Societa Cattolica di Assicurazioni S.c.r.l. 286 16,955 Telecom Italia SpA 77,538 220,016 Terna SpA 10,232 29,746 Toro Assicurazioni SpA 1,190 31,641 UniCredito Italiano SpA 30,676 254,331 Unipol SpA 6,092 20,392 ----------- Total Italy 2,217,028 -------------------------------------------------------------------------------- Japan - 0.3% Hokuto Corp. 400 6,640 Nikko Cordial Corp. 2,000 23,208 Oracle Corp. Japan 400 17,313 Takefuji Corp. 280 12,854 Yushiro Chemical Industry Co., Ltd. 400 8,013 ----------- Total Japan 68,028 -------------------------------------------------------------------------------- Netherlands - 4.9% ABN AMRO Holding N.V. 7,888 229,819 Aegon N.V. 4,912 92,027 Corio N.V. 322 23,433 CSM N.V. 246 7,822 Eurocommercial Properties N.V. 178 8,399 Heijmans N.V. 140 6,443 Hunter Douglas N.V. 100 7,005 ING Groep N.V. 7,436 326,764 Nieuwe Steen Investments N.V. 270 7,087 Nutreco Holding N.V. 112 6,881 OCE N.V. 446 7,153 Reed Elsevier N.V. 2,126 35,414 Rodamco Europe N.V. (a) 354 41,188 Royal KPN N.V. 9,656 123,051 SBM Offshore N.V. 270 7,330 Unilever N.V. 5,372 132,017 Vastned Retail N.V. 84 6,885 Wereldhave N.V. 72 7,853 ----------- Total Netherlands 1,076,571 -------------------------------------------------------------------------------- New Zealand - 0.6% Air New Zealand Ltd. 5,302 4,639 Auckland International Airport Ltd. 6,364 8,435 CanWest MediaWorks (NZ) Ltd. 1,260 1,160 Contact Energy Ltd. 1,944 9,075 Fisher & Paykel Appliances Holdings Ltd. 1,452 3,422 Fisher & Paykel Healthcare Corp. 1,690 4,579 Fletcher Building Ltd. 2,392 13,400 Freightways Ltd. 760 1,841 Infratil Ltd. 728 1,958 New Zealand Refining Co., Ltd. (The) 1,530 6,293 Nuplex Industries Ltd. 466 1,947 Sanford Ltd. 572 1,774 Sky City Entertainment Group Ltd. 2,541 8,793 Telecom Corp. of New Zealand Ltd. 21,378 60,716 Vector Ltd. 2,960 4,580 Warehouse Group Ltd. (The) 1,758 7,380 ----------- Total New Zealand 139,992 -------------------------------------------------------------------------------- Norway - 0.8% Acta Holding ASA 2,004 8,116 Aker Yards AS 80 6,136 Aktiv Kapital ASA 402 5,427 DnB NOR ASA 7,824 95,900 Ekornes ASA 402 8,295 Norske Skogindustrier ASA 1,202 18,089 Storebrand ASA 1,804 19,068 Veidekke ASA 202 6,353 ----------- Total Norway 167,384 -------------------------------------------------------------------------------- Portugal - 1.0% Banco Comercial Portugues S.A. Class R 10,215 31,703 Banco Espirito Santo, S.A. 1,488 22,713 Brisa-Auto-estradas de Portugal S.A. 1,590 17,604 CIMPOR-Cimentos de Portugal SGPS, S.A. 2,044 14,629 EDP-Energias de Portugal S.A. 11,577 50,155 Jeronimo Martins, SGPS, S.A. 350 6,243 Portugal Telecom, SGPS, S.A. 5,135 64,072 PT Multimedia-Servicos de Telecomunicacoes e Multimedia, SGPS, S.A. 856 10,355 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 1,094 2,356 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 548 5,623 ----------- Total Portugal 225,453 -------------------------------------------------------------------------------- Singapore - 1.9% Allgreen Properties Ltd. 4,000 4,009 Ascendas Real Estate Investment Trust 4,000 5,421 CapitaCommercial Trust 4,000 5,572 CapitaMall Trust Management Ltd. 4,000 6,404 Chuan Hup Holdings Ltd. 16,000 3,227 ComfortDelgro Corp., Ltd. 8,000 8,522 Creative Technology Ltd. 600 3,933 DBS Group Holdings Ltd. 5,000 60,514 Delong Holdings Ltd. 36,000 2,383 Elec & Eltek International Co., Ltd. 4,000 10,640 GES International Ltd. 4,000 3,101 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 29 Schedule of Investments (unaudited) (continued) WisdomTree DIEFA High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Haw Par Corp., Ltd. 4,000 $ 16,011 Hong Leong Finance Ltd. 4,000 8,220 Inter-Roller Engineering Ltd. 8,000 4,186 Jaya Holdings Ltd. 4,000 3,505 Jurong Technologies Industrial Corp., Ltd. 4,000 2,925 Macquarie MEAG Prime Real Estate Investment Trust 4,000 2,458 MobileOne Ltd. 4,000 5,320 Oversea-Chinese Banking Corp. Ltd. 8,000 33,031 Parkway Holdings Ltd. 4,000 7,060 Robinson & Co., Ltd. 4,000 16,768 SembCorp Marine Ltd. 4,000 8,422 Singapore Airlines Ltd. 4,000 36,813 Singapore Airport Terminal Services Ltd. 4,000 5,497 Singapore Post Ltd. 8,000 5,093 Singapore Press Holdings Ltd. 4,000 10,338 Singapore Telecommunications Ltd. 42,900 65,983 SMRT Corp. Ltd. 8,000 5,598 StarHub Ltd. 7,428 10,535 Suntec Real Estate Investment Trust 8,000 7,463 United Overseas Bank Ltd. 4,000 41,099 UOB Kay Hian Holdings Ltd. 4,000 3,253 ----------- Total Singapore 413,304 -------------------------------------------------------------------------------- Spain - 5.0% Antena 3 de Television, S.A. 820 16,755 Banco Bilbao Vizcaya Argentaria, S.A. 9,808 226,743 Banco Popular Espanol, S.A. 3,458 56,639 Banco Santander Central Hispano S.A. 20,346 321,393 Endesa S.A. 2,794 118,743 Gas Natural SDG, S.A. 1,296 47,199 Gestevision Telecinco S.A. 1,404 35,748 Iberdrola, S.A. 2,644 118,230 Telefonica S.A. 9,125 158,013 ----------- Total Spain 1,099,463 -------------------------------------------------------------------------------- Sweden - 2.8% AB Volvo Class A 402 24,904 Axfood AB 202 6,133 Cardo AB 402 12,315 Castellum AB 402 4,525 D Carnegie AB 402 8,475 Electrolux AB Series B 800 12,990 Fabege AB 402 8,886 H&M Hennes & Mauritz AB Class B 2,404 100,542 Holmen AB Class B 402 16,785 Intrum Justitia AB 800 7,860 Klovern AB 2,004 6,289 Kungsleden AB 402 4,580 Nordea Bank AB 8,018 105,031 Oresund Investment AB 402 7,433 Ratos AB Class B 800 15,037 Sandvik AB 3,206 36,747 Scania AB Class A 402 24,959 Skanska AB Class B 1,604 27,140 SKF AB Class B 1,604 23,474 SkiStar AB 54 960 Svenska Cellulosa Aktiebolaget SCA Class B 800 36,678 Svenska Handelsbanken AB Class A 2,004 54,143 Swedbank AB 2,004 59,476 ----------- Total Sweden 605,362 -------------------------------------------------------------------------------- Switzerland - 0.5% Ciba Specialty Chemicals Holding Inc. 262 15,775 EMS-Chemie Holding AG 68 7,858 Swisscom AG 235 78,008 Vontobel Holding AG 202 8,296 ----------- Total Switzerland 109,937 -------------------------------------------------------------------------------- United Kingdom - 34.6% Alliance & Leicester PLC 2,358 47,834 Aviva PLC 10,981 160,609 BAE SYSTEMS PLC 8,274 61,087 Barclays PLC 27,902 351,286 Boots Group PLC 3,772 54,606 BP PLC 63,998 695,753 British American Tobacco PLC 7,348 198,199 BT Group PLC 40,042 200,455 Cable & Wireless PLC 25,634 66,318 Centrica PLC 12,502 75,956 Compass Group PLC 11,758 58,917 Diageo PLC 9,736 171,588 DSG International PLC 14,440 59,071 Friends Provident PLC 16,054 58,027 Gallaher Group PLC 3,358 54,822 GlaxoSmithKline PLC 16,884 448,478 GUS PLC 3,080 55,577 Hanson PLC 4,380 63,285 HBOS PLC 15,204 300,191 HSBC Holdings PLC 46,986 855,296 Imperial Tobacco Group PLC 2,354 78,269 ITV PLC 26,500 47,892 Kelda Group PLC 3,644 57,892 Kingfisher PLC 12,374 56,687 Ladbrokes PLC 7,176 52,143 Legal & General Group PLC 22,470 59,811 Liberty International PLC 2,718 62,194 Lloyds TSB Group PLC 38,052 383,474 LogicaCMG PLC 17,440 50,493 National Grid PLC 12,008 149,723 See Notes to Financial Statements. 30 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (concluded)) WisdomTree DIEFA High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Northern Rock PLC 2,818 $ 61,482 Old Mutual PLC 17,778 55,624 Pearson PLC 3,824 54,323 Persimmon PLC 2,480 61,983 Prudential PLC 6,382 79,098 Reed Elsevier PLC 5,146 56,954 Rentokil Initial PLC 19,186 52,503 Royal & Sun Alliance Insurance Group 21,886 60,914 Royal Bank of Scotland Group (The) PLC 11,262 386,869 Royal Dutch Shell PLC Class A 12,668 416,946 Scottish & Newcastle PLC 5,532 58,901 Scottish & Southern Energy PLC 3,458 85,135 Scottish Power PLC 6,466 78,689 Severn Trent PLC 2,302 57,448 Smiths Group PLC 3,232 54,123 Standard Chartered PLC 3,386 86,524 Tesco PLC 19,052 128,118 Tomkins PLC 10,498 46,426 Unilever PLC 4,808 118,281 United Utilities PLC 6,040 79,597 Vodafone Group PLC 187,521 428,218 Yell Group PLC 5,436 60,468 ----------- Total United Kingdom 7,604,557 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $20,496,249) 21,786,190 ================================================================================ RIGHTS* - 0.0% United Kingdom - 0.0% Experian Group Npv, expiring on 10/05/06 (Cost: $0) 1,530 -- ------------ TOTAL LONG-TERM INVESTMENTS (Cost: $20,496,249) 21,786,190 ================================================================================ SHORT-TERM INVESTMENT - 0.6% MONEY MARKET FUND - 0.6% United States - 0.6% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $126,468) 126,468 126,468 ================================================================================ INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.4% MONEY MARKET FUND (c) - 0.4% UBS Private Money Market Fund LLC, 5.23% (Cost: $81,050) (d) 81,050 81,050 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 100.0% (Cost: $20,703,767) (e) 21,993,708 Foreign Cash and Other Assets in Excess of Liabilities - 0.0% 7,985 ----------- NET ASSETS - 100.0% $22,001,693 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $76,824 and the total market value of the collateral held by the Fund was $81,050. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 31 Schedule of Investments (unaudited) WisdomTree Europe Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 98.9% Austria - 0.5% Andritz AG 8 $ 1,219 Bank Austria Creditanstalt AG 130 17,373 BOEHLER-UDDEHOLM AG 48 2,697 Erste Bank der oesterreichischen Sparkassen AG 118 7,339 Flughafen Wien AG 24 1,986 Oesterreichische Elektrizitatswirtschafts AG Class A 66 3,190 OMV AG 112 5,797 Semperit AG Holding 34 1,084 Telekom Austria AG 230 5,798 UNIQA Versicherungen AG 36 1,140 voestalpine AG 72 2,971 Wiener Staedtische AG 42 2,634 Wienerberger AG 80 3,774 ------------- Total Austria 57,002 -------------------------------------------------------------------------------- Belgium - 2.8% Ackermans & van Haaren N.V. 64 4,605 Agfa-Gevaert N.V. 234 5,543 Almancora SCA 60 7,753 Belgacom S.A. 771 30,023 Compagnie Maritime Belge S.A. 184 6,265 Delhaize Group 74 6,210 Dexia N.V. 1,176 30,435 Euronav N.V. 182 5,900 Fortis N.V. 2,580 104,616 Groep Colruyt S.A. 30 5,115 Groupe Bruxelles Lambert S.A. 108 11,512 InBev N.V. 276 15,181 KBC Groep N.V. 386 40,609 Mobistar S.A. 88 7,279 Solvay S.A. 90 11,629 UCB S.A. 114 7,242 Umicore 34 5,026 ------------- Total Belgium 304,943 -------------------------------------------------------------------------------- Denmark - 0.6% A/S Dampskibsselskabet TORM 100 5,164 Auriga Industries A/S Class B 100 2,684 Bang & Olufsen A/S Class B 10 1,072 Danske Bank A/S 1,003 39,400 H. Lundbeck A/S 201 4,678 Novo Nordisk A/S Class B 201 14,921 Spar Nord Bank A/S 150 3,261 ------------- Total Denmark 71,180 -------------------------------------------------------------------------------- Finland - 2.2% Elisa Oyj Class A 301 6,634 Fortum Oyj 2,006 53,389 Kemira Oyj 201 3,743 Metso Oyj 201 7,389 Nokia Oyj 3,208 63,638 Nokian Renkaat Oyj 301 5,411 OKO Bank PLC Class A 201 3,203 Oriola-KD Oyj* 303 925 Orion Oyj Class B* 201 3,819 Outokumpu Oyj 402 10,251 Rautaruukki Oyj 301 8,636 Sampo Oyj Class A 802 16,702 Sanoma-WSOY Oyj 261 6,688 Sponda Oyj 402 4,532 Stora Enso Oyj Class R 802 12,151 TietoEnator Oyj 161 4,727 UPM-Kymmene Corp. 802 19,039 Wartsila Oyj Class B 201 8,148 YIT Oyj 201 4,652 ------------- Total Finland 243,677 -------------------------------------------------------------------------------- France - 16.2% Accor S.A. 537 36,563 Assurances Generales de France 256 32,202 AXA S.A. 2,889 106,422 BNP Paribas 1,166 125,326 Bouygues S.A. 585 31,257 Carrefour S.A. 755 47,657 Casino Guichard Perrachon S.A. 392 31,557 Christian Dior S.A. 318 33,072 Cie de Saint-Gobain S.A. 467 33,838 CNP Assurances S.A. 318 30,816 Credit Agricole S.A. 849 37,254 France Telecom S.A. 7,337 168,224 Gaz de France 869 34,565 Groupe Danone 252 35,338 Lafarge S.A. 270 34,818 Lagardere SCA 396 28,543 L'Air Liquide S.A. 160 32,611 L'Oreal S.A. 461 46,776 LVMH Moet Hennessy Louis Vuitton S.A. 342 35,200 Natexis Banques Populaires 122 33,752 Peugeot S.A. 479 26,983 PPR S.A. 258 38,205 Renault S.A. 372 42,623 Sanofi-Aventis 1,051 93,461 Schneider Electric S.A. 312 34,760 Societe Generale 567 90,140 See Notes to Financial Statements. 32 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Europe Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Suez S.A. 2,045 $ 89,839 TOTAL S.A. 3,713 243,403 Vallourec S.A. 140 32,614 VINCI S.A. 322 35,813 Vivendi S.A. 1,959 70,551 ------------- Total France 1,794,183 -------------------------------------------------------------------------------- Germany - 8.3% adidas AG 322 15,133 Allianz SE 234 40,455 BASF AG 569 45,517 Bayer AG 731 37,225 Bayerische Motoren Werke AG 356 19,049 Beiersdorf AG 330 17,545 Commerzbank AG 447 15,034 Continental AG 152 17,606 DaimlerChrysler AG 1,344 67,096 Deutsche Bank AG 346 41,708 Deutsche Boerse AG 120 18,028 Deutsche Lufthansa AG 855 18,098 Deutsche Post AG 1,440 37,759 Deutsche Postbank AG 230 17,437 Deutsche Telekom AG 8,527 135,452 E.ON AG 785 92,956 Fresenius Medical Care AG & Co. KGaA 138 17,908 Hypo Real Estate Holding AG 256 15,955 Linde AG 194 18,257 MAN AG 230 19,445 Metro AG 272 15,881 Muenchener Rueckversicherungs AG 236 37,282 RWE AG 515 47,460 SAP AG 98 19,416 Siemens AG 623 54,296 ThyssenKrupp AG 497 16,728 Volkswagen AG 226 19,233 ------------- Total Germany 917,959 -------------------------------------------------------------------------------- Ireland - 0.8% Allied Irish Banks PLC 1,128 29,964 Anglo Irish Bank Corp. PLC 276 4,531 Bank of Ireland 1,154 22,556 C&C Group PLC 252 3,416 CRH PLC 284 9,602 DCC PLC 56 1,401 FBD Holdings PLC 30 1,433 Greencore Group PLC 276 1,365 IAWS Group PLC 78 1,449 Independent News & Media PLC 1,134 3,404 Irish Life & Permanent PLC 288 7,224 Kerry Group PLC Class A 64 1,516 Kingspan Group PLC 84 1,724 McInerney Holdings PLC 88 1,424 ------------- Total Ireland 91,009 -------------------------------------------------------------------------------- Italy - 9.1% AEM SpA 7,341 19,807 Alleanza Assicurazioni SpA 1,506 17,589 Assicurazioni Generali SpA 689 25,747 Autostrade SpA 599 17,748 Banca Carige SpA 3,673 18,704 Banca Fideuram SpA 1,632 10,388 Banca Intesa SpA 10,337 67,960 Banca Lombarda e Piemontese SpA 1,005 20,662 Banca Monte dei Paschi di Siena SpA 2,947 17,844 Banca Popolare di Verona e Novara S.c.r.l. 619 17,086 Banche Popolari Unite S.c.r.l. 649 17,445 Capitalia SpA 2,929 24,228 Enel SpA 11,765 107,229 Eni SpA 8,345 247,044 Finmeccanica SpA 775 17,288 Ifil Investments SpA 3,063 20,681 Luxottica Group SpA 671 19,745 Mediaset SpA 1,500 16,104 Mediobanca SpA 859 18,716 RAS Holding SpA 941 25,700 Sanpaolo IMI SpA 1,807 38,112 Snam Rete Gas SpA 3,882 18,834 Telecom Italia SpA 30,869 87,591 Terna SpA 6,060 17,618 UniCredito Italiano SpA 12,212 101,248 ------------- Total Italy 1,011,118 -------------------------------------------------------------------------------- Netherlands - 5.4% ABN AMRO Holding N.V. 3,135 91,339 Aegon N.V. 1,955 36,627 Akzo Nobel N.V. 288 17,723 Corio N.V. 146 10,625 Euronext N.V. 330 32,042 European Aeronautic Defence & Space Co. N.V. 885 25,426 Heineken Holding N.V. 240 9,422 Heineken N.V. 218 9,961 Hunter Douglas N.V. 128 8,967 ING Groep N.V. 2,965 130,293 Koninklijke DSM N.V. 216 9,464 Koninklijke Philips Electronics N.V. 851 29,828 Mittal Steel Co. N.V. 278 9,691 Randstad Holdings N.V. 150 8,533 Reed Elsevier N.V. 845 14,076 Rodamco Europe N.V. 142 16,522 Royal KPN N.V. 3,841 48,948 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 33 Schedule of Investments (unaudited) (continued) WisdomTree Europe Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- TNT N.V. 372 $ 14,095 Unilever N.V. 2,139 52,566 Vedior N.V. 418 7,821 Wereldhave N.V. 90 9,816 Wolters Kluwer N.V. 370 9,641 ------------- Total Netherlands 603,426 -------------------------------------------------------------------------------- Norway - 1.3% Acta Holding ASA 1,003 4,062 Aker ASA Class A 40 1,896 Aker Yards AS 40 3,068 Aktiv Kapital ASA 201 2,713 DnB NOR ASA 2,006 24,588 Ekornes ASA 100 2,063 Norsk Hydro ASA 1,103 24,662 Norske Skogindustrier ASA 402 6,050 Orkla ASA 201 9,574 ProSafe ASA 40 2,455 Schibsted ASA 100 3,007 Statoil ASA 1,505 35,613 Storebrand ASA 603 6,374 Telenor ASA 1,204 15,718 Tomra Systems ASA 402 2,454 Yara International ASA 201 3,053 ------------- Total Norway 147,350 -------------------------------------------------------------------------------- Portugal - 0.9% Banco BPI, S.A. 567 4,223 Banco Comercial Portugues S.A. Class R 4,024 12,489 Banco Espirito Santo, S.A. 595 9,082 Brisa-Auto-estradas de Portugal S.A. 631 6,986 CIMPOR-Cimentos de Portugal SGPS, S.A. 813 5,819 EDP-Energias de Portugal, S.A. 4,579 19,838 Jeronimo Martins, SGPS, S.A. 140 2,497 Portucel-Empresa Produtora De Pasta E Papel, S.A. 671 1,844 Portugal Telecom, SGPS, S.A. 2,031 25,342 PT Multimedia-Servicos de Telecomunicacoes e Multimedia, SGPS, S.A. 344 4,162 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 681 1,467 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 218 2,237 Sonae SGPS, S.A. 1,403 2,435 ------------- Total Portugal 98,421 -------------------------------------------------------------------------------- Spain - 6.9% Abertis Infraestructuras S.A. (a) 517 13,557 Acciona, S.A. 74 11,249 ACS, Actividades Construccion y Servicios, S.A. 280 13,265 Altadis, S.A. 246 11,667 Antena 3 de Television, S.A. 465 9,501 Banco Bilbao Vizcaya Argentaria Chile, S.A. 3,904 90,253 Banco Popular Espanol, S.A. 1,378 22,570 Banco Sabadell S.A. 312 11,201 Banco Santander Central Hispano S.A. 8,104 128,014 Bankinter, S.A. 166 11,776 Cia Espanola De Petroleos, S.A. (a) 222 16,606 Enagas 523 12,661 Endesa S.A. 1,112 47,259 Fomento de Construcciones y Contratas S.A. 152 12,130 Gas Natural SDG, S.A. 519 18,901 Gestevision Telecinco S.A. 561 14,284 Grupo Ferrovial S.A. (a) 156 12,529 Iberdrola, S.A. 1,053 47,086 Inditex S.A. 282 13,132 Metrovacesa, S.A. (a) 112 13,500 Repsol YPF, S.A. 1,170 34,785 Telefonica S.A. 10,616 183,831 Union Fenosa S.A. 276 14,083 ------------- Total Spain 763,840 -------------------------------------------------------------------------------- Sweden - 4.1% AB Volvo Class A 201 12,452 AB Volvo Class B 402 23,944 Alfa Laval AB 201 6,747 Assa Abloy AB Class B 402 7,474 Atlas Copco AB Class A 402 10,559 Atlas Copco AB Class B 402 10,066 Electrolux AB Series B 603 9,791 Eniro AB 603 7,405 H&M Hennes & Mauritz AB Class B 902 37,724 Hexagon AB Class B 201 6,939 Industrivarden AB Class A 201 6,075 Investment AB Kinnevik Class B 603 7,117 Investor AB Class A 402 8,338 Investor AB Class B 402 8,365 L E Lundbergforetagen AB Class B 100 5,137 Nordea Bank AB 4,012 52,555 Sandvik AB 1,204 13,800 Scania AB Class A 201 12,479 Scania AB Class B 201 11,986 Securitas AB Class B 402 5,047 Securitas Direct AB Class B* 402 1,009 Securitas Systems AB Class B* 402 1,508 Skandinaviska Enskilda Banken AB 802 21,559 Skanska AB Class B 402 6,802 SKF AB Class B 402 5,883 SSAB Svenskt Stal AB Series A 703 13,094 Svenska Cellulosa Aktiebolaget SCA Class B 201 9,215 Svenska Handelsbanken AB Class A 802 21,668 See Notes to Financial Statements. 34 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (concluded) WisdomTree Europe Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Swedbank AB 802 $ 23,802 Swedish Match AB 402 6,541 Telefonaktiebolaget LM Ericsson Class A 2,006 6,966 Telefonaktiebolaget LM Ericsson Class B 10,030 34,763 TeliaSonera AB 5,015 32,163 ------------- Total Sweden 448,973 -------------------------------------------------------------------------------- Switzerland - 5.3% Adecco S.A. 162 9,748 Ciba Specialty Chemicals Holding Inc. 170 10,236 Credit Suisse Group 1,254 72,353 Givaudan S.A. 12 9,579 Holcim Ltd. 142 11,573 Julius Baer Holding Ltd. 118 11,753 Kuehne + Nagel International AG 134 9,244 Nestle S.A. 362 125,867 Novartis AG 1,646 95,824 Roche Holding AG 330 56,897 Serono S.A. 14 12,058 Swiss Reinsurance Co. 358 27,322 Swisscom AG 88 29,212 UBS AG 1,783 106,359 ------------- Total Switzerland 588,025 -------------------------------------------------------------------------------- United Kingdom - 34.5% Anglo American PLC 1,859 77,541 AstraZeneca PLC 1,540 96,022 Aviva PLC 4,803 70,249 BAE SYSTEMS PLC 9,663 71,342 Barclays PLC 11,108 139,850 BG Group PLC 5,068 61,439 BHP Billiton PLC 3,661 63,052 BP PLC 25,481 277,015 British American Tobacco PLC 2,927 78,951 British Sky Broadcasting PLC 6,128 62,500 BT Group PLC 15,939 79,792 Centrica PLC 12,282 74,619 Diageo PLC 3,873 68,258 GlaxoSmithKline PLC 6,727 178,684 GUS PLC 3,869 69,814 HBOS PLC 6,053 119,512 HSBC Holdings PLC 18,707 340,528 Land Securities Group PLC 1,995 73,339 Lloyds TSB Group PLC 15,152 152,697 Marks & Spencer Group PLC 6,362 76,353 National Grid PLC 5,759 71,807 Nichols PLC 64 299 Old Mutual PLC 22,322 69,841 Prudential PLC 6,202 76,867 Reckitt Benckiser PLC 1,749 72,332 Reed Elsevier PLC 6,458 71,475 Rio Tinto PLC 1,330 62,780 Royal Bank of Scotland Group (The) PLC 4,483 153,999 Royal Dutch Shell PLC Class A 5,044 166,015 Royal Dutch Shell PLC Class B 3,538 119,818 SABMiller PLC 3,697 68,920 Sage Group PLC 16,048 75,317 Scottish & Southern Energy PLC 3,043 74,917 Standard Chartered PLC 2,764 70,630 Tesco PLC 10,462 70,353 Unilever PLC 2,985 73,434 Vodafone Group PLC 74,661 170,494 Wolseley PLC 3,109 65,391 WPP Group PLC 5,376 66,479 ------------- Total United Kingdom 3,832,725 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $10,241,442) 10,973,831 ================================================================================ RIGHTS* - 0.0% United Kingdom - 0.0% Experian Group Npv, expiring on 10/05/06 (Cost: $0) 3,869 -- ------------- TOTAL LONG-TERM INVESTMENTS (Cost: $10,241,442) 10,973,831 ================================================================================ SHORT-TERM INVESTMENT - 0.9% MONEY MARKET FUND - 0.9% United States - 0.9% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $99,387) 99,387 99,387 ================================================================================ INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.2% MONEY MARKET FUND (c) - 0.2% UBS Private Money Market Fund LLC, 5.23% (Cost: $25,717) (d) 25,717 25,717 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 100.0% (Cost: $10,366,546) (e) 11,098,935 Foreign Cash and Other Assets in Excess of Liabilities - 0.0% 1,126 ------------- NET ASSETS - 100.0% $ 11,100,061 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $24,476 and the total market value of the collateral held by the Fund was $25,717. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 35 Schedule of Investments (unaudited) WisdomTree Europe High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.4% Austria - 0.0% BOEHLER-UDDEHOLM AG 180 $ 10,115 -------------------------------------------------------------------------------- Belgium - 3.6% Almancora SCA 511 66,026 Belgacom S.A. 2,936 114,328 Compagnie Maritime Belge S.A. 700 23,835 Dexia N.V. 4,468 115,630 Euronav N.V. 572 18,542 Fortis N.V. 9,804 397,539 Gimv N.V. 204 12,184 Mobistar S.A. 340 28,124 Tessenderlo Chemie N.V. 320 12,136 ------------- Total Belgium 788,344 -------------------------------------------------------------------------------- Denmark - 0.9% A/S Dampskibsselskabet TORM 901 46,528 Danske Bank A/S 3,708 145,658 ------------- Total Denmark 192,186 -------------------------------------------------------------------------------- Finland - 2.5% Elisa Oyj Class A 1,002 22,086 Fiskars Oyj Abp Class A 601 7,956 Fortum Oyj 7,217 192,076 Kesko Oyj Class B 401 16,844 OKO Bank PLC Class A 1,203 19,171 Oriola-KD Oyj* 303 925 Orion Oyj Class B* 401 7,619 Poyry Oyj 802 9,733 Rautaruukki Oyj 1,203 34,516 Sampo Oyj Class A 2,806 58,436 Sanoma-WSOY Oyj 1,002 25,678 Sponda Oyj 802 9,042 Stora Enso Oyj Class R 3,207 48,587 TietoEnator Oyj 401 11,775 UPM-Kymmene Corp. 3,207 76,131 Uponor Corp. 401 10,860 ------------- Total Finland 551,435 -------------------------------------------------------------------------------- France - 9.8% Assurances Generales de France 912 114,719 BNP Paribas 4,428 475,938 Casino Guichard Perrachon S.A. 604 48,623 Euler Hermes S.A. 340 40,442 France Telecom S.A. 27,904 639,788 Gecina S.A. 428 57,036 M6, Metropole Television 1,136 34,824 PagesJaunes Groupe S.A. 2,556 72,527 Rallye S.A. 792 37,422 Societe Generale 2,148 341,483 Unibail 252 52,895 Vivendi S.A. 7,452 268,374 ------------- Total France 2,184,071 -------------------------------------------------------------------------------- Germany - 4.2% AWD Holding AG 1,537 55,470 DaimlerChrysler AG 5,108 255,005 Deutsche Lufthansa AG 2,268 48,008 Deutsche Telekom AG 32,540 516,899 Norddeutsche Affinerie AG 668 16,078 TUI AG 1,648 33,986 ------------- Total Germany 925,446 -------------------------------------------------------------------------------- Ireland - 0.6% Allied Irish Banks PLC 4,319 114,729 Fyffes PLC 2,452 4,752 Independent News & Media PLC 4,308 12,933 ------------- Total Ireland 132,414 -------------------------------------------------------------------------------- Italy - 13.9% AEM SpA 22,259 60,059 Alleanza Assicurazioni SpA 4,560 53,258 Arnoldo Mondadori Editore SpA 5,776 53,449 Banca Fideuram SpA 7,422 47,244 Banca Intesa SpA 39,323 258,526 Banche Popolari Unite S.c.r.l. 1,972 53,008 Enel SpA 44,742 407,791 Eni SpA 31,746 939,807 Mediaset SpA 5,440 58,402 RAS Holding SpA 3,580 97,774 Sanpaolo IMI SpA 6,864 144,771 Snam Rete Gas SpA 14,768 71,649 Telecom Italia SpA 117,421 333,184 Terna SpA 18,372 53,411 Toro Assicurazioni SpA 2,636 70,089 UniCredito Italiano SpA 46,457 385,169 ------------- Total Italy 3,087,591 -------------------------------------------------------------------------------- Netherlands - 7.0% ABN AMRO Holding N.V. 11,948 348,108 Aegon N.V. 7,436 139,315 Corio N.V. 484 35,223 Eurocommercial Properties N.V. 640 30,199 Heijmans N.V. 500 23,011 ING Groep N.V. 11,274 495,420 Rodamco Europe N.V. (a) 536 62,364 Royal KPN N.V. 14,620 186,310 Unilever N.V. 8,136 199,942 Wereldhave N.V. 252 27,485 ------------- Total Netherlands 1,547,377 -------------------------------------------------------------------------------- See Notes to Financial Statements. 36 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Europe High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Norway - 1.0% ABG Sundal Collier ASA 4,009 $ 17,103 Acta Holding ASA 4,009 16,236 Aker Yards AS 80 6,136 Aktiv Kapital ASA 2,100 28,349 Camillo Eitzen & Co. AS 411 4,603 DnB NOR ASA 7,617 93,363 Ekornes ASA 401 8,274 Norske Skogindustrier ASA 1,604 24,139 Sparebanken Midt-Norge 401 4,783 Storebrand ASA 2,005 21,192 Veidekke ASA 200 6,290 ------------- Total Norway 220,468 -------------------------------------------------------------------------------- Portugal - 0.9% CIMPOR-Cimentos de Portugal SGPS, S.A. 3,100 22,187 EDP-Energias de Portugal S.A. 17,556 76,058 Portugal Telecom, SGPS, S.A. 7,787 97,162 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 1,664 3,583 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 824 8,455 ------------- Total Portugal 207,445 -------------------------------------------------------------------------------- Spain - 5.6% Antena 3 de Television, S.A. 1,248 25,500 Banco Santander Central Hispano S.A. 31,049 490,461 Endesa S.A. 4,232 179,858 Gas Natural SDG, S.A. 1,964 71,527 Gestevision Telecinco S.A. 2,128 54,182 Iberdrola, S.A. 4,008 179,223 Telefonica S.A. 13,842 239,695 ------------- Total Spain 1,240,446 -------------------------------------------------------------------------------- Sweden - 3.7% AB Industrivarden Class C 401 11,545 AB Volvo Class A 802 49,684 Axfood AB 401 12,175 Castellum AB 1,203 13,543 Electrolux AB Series B 1,604 26,046 Fabege AB 802 17,728 H&M Hennes & Mauritz AB Class B 3,608 150,896 Holmen AB Class B 401 16,744 Kungsleden AB 1,203 13,707 Nordea Bank AB 14,332 187,741 Ratos AB Class B 802 15,075 Scania AB Class A 802 49,793 Skanska AB Class B 2,406 140,710 Svenska Cellulosa Aktiebolaget SCA Class B 802 36,770 Svenska Handelsbanken AB Class A 3,207 186,646 Swedbank AB 2,806 83,278 ------------- Total Sweden 812,081 -------------------------------------------------------------------------------- Switzerland - 0.7% Ciba Specialty Chemicals Holding Inc. 396 23,843 EMS-Chemie Holding AG 100 11,555 Swisscom AG 367 121,826 ------------- Total Switzerland 157,224 -------------------------------------------------------------------------------- United Kingdom - 45.0% Alliance & Leicester PLC 7,608 154,335 Aviva PLC 13,240 193,649 Barclays PLC 42,254 531,977 BP PLC 96,912 1,053,575 British American Tobacco PLC 11,134 300,320 BT Group PLC 60,638 303,560 Centrica PLC 31,562 191,755 Compass Group PLC 37,915 189,984 Diageo PLC 14,744 259,850 Gallaher Group PLC 10,834 176,875 GUS PLC 9,948 179,506 Hanson PLC 13,176 190,375 HBOS PLC 23,023 454,572 HSBC Holdings PLC 71,159 1,295,319 Imperial Tobacco Group PLC 5,356 178,084 Kingfisher PLC 39,935 182,948 Legal & General Group PLC 72,481 192,932 Lloyds TSB Group PLC 57,614 580,611 National Grid PLC 18,188 226,778 Old Mutual PLC 57,366 179,488 Pearson PLC 12,332 175,186 Rentokil Initial PLC 61,911 169,422 Royal Bank of Scotland Group (The) PLC 17,060 586,039 Royal Dutch Shell PLC Class A 19,184 631,409 Scottish & Southern Energy PLC 7,812 192,328 Scottish Power PLC 15,724 191,356 Smiths Group PLC 10,444 174,896 Unilever PLC 7,660 188,443 Vodafone Group PLC 283,979 648,485 ------------- Total United Kingdom 9,974,057 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $21,138,826) 22,030,700 ================================================================================ See Notes to Financial Statements. WisdomTree Trust International Equity Funds 37 Schedule of Investments (unaudited) (concluded) WisdomTree Europe High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- RIGHTS* - 0.0% United Kingdom - 0.0% Experian Group Npv, expiring on 10/05/06 (Cost: $0) 4,974 $ -- ------------- TOTAL LONG-TERM INVESTMENTS (Cost: $21,138,826) 22,030,700 ================================================================================ SHORT-TERM INVESTMENT - 0.4% MONEY MARKET FUND - 0.4% United States - 0.4% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $95,561) 95,561 95,561 ================================================================================ INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 0.2% MONEY MARKET FUND (c) - 0.2% UBS Private Money Market Fund LLC, 5.23% (Cost: $48,420) (d) 48,420 48,420 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 100.0% (Cost: $21,282,807) (e) 22,174,681 Liabilities in Excess of Foreign Cash and Other Assets - (0.0)% (4,669) ------------- NET ASSETS - 100.0% $ 22,170,012 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $46,110 and the total market value of the collateral held by the Fund was $48,420. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 38 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree Europe SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.2% Austria - 0.8% AT&S Austria Technologie & Systemtechnik AG 1,141 $ 28,907 Flughafen Wien AG 1,641 135,762 Schoeller-Bleckmann Oilfield Equipment AG 390 14,984 Semperit AG Holding 1,466 46,742 ------------- Total Austria 226,395 -------------------------------------------------------------------------------- Belgium - 4.9% Barco N.V. 881 80,520 Compagnie Maritime Belge S.A. 12,672 431,486 Cumerio N.V. 2,197 45,865 Econocom Group S.A./N.V. 1,616 11,709 Euronav N.V. 10,350 335,507 EVS Broadcast Equipment S.A. 936 52,051 Gimv N.V. 3,756 224,336 Melexis N.V. 3,818 64,422 Tessenderlo Chemie N.V. 3,069 116,396 ------------- Total Belgium 1,362,292 -------------------------------------------------------------------------------- Denmark - 2.4% A/S Dampskibsselskabet TORM 8,077 417,097 Amagerbanken A/S 380 24,271 Auriga Industries A/S Class B (a) 1,011 27,134 Bang & Olufsen A/S Class B 505 54,130 NKT Holding A/S 1,261 95,107 Spar Nord Bank A/S 2,017 43,856 ------------- Total Denmark 661,595 -------------------------------------------------------------------------------- Finland - 5.2% Amer Sports Oyj 5,300 118,834 Aspo Oyj 3,788 30,134 CapMan Oyj Class B 5,049 17,589 Citycon Oyj 15,143 79,607 Comptel PLC 5,680 10,937 Elcoteq SE 2,017 28,080 Elektrobit Group Oyj 9,593 25,154 Finnair Oyj 5,049 82,442 Finnlines Oyj 2,017 40,881 Fiskars Oyj Abp Class A 5,805 76,844 Hk-Ruokatalo Oyj Class A 2,017 27,850 KCI Konecranes PLC 2,522 47,825 Kemira GrowHow Oyj 9,088 63,547 Kyro Oyj Abp 4,038 20,307 Lassila & Tikanoja Oyj 2,522 49,966 M-real Oyj Class B 20,192 102,057 Perlos Oyj 1,767 9,692 PKC Group Oyj 1,516 19,588 Ponsse Oyj 2,222 36,310 Poyry Oyj 5,555 67,412 Raisio PLC Class V 10,094 18,668 Rakentajain Konevuokraam Class B 1,516 25,637 Ramirent Oyj 1,011 43,556 Rapala VMC Oyj 1,516 11,330 Scanfil Oyj 4,544 16,290 Sponda Oyj 12,115 136,585 Stockmann Oyj Abp Class B 2,422 101,645 Talentum Oyj 9,593 43,625 Technopolis PLC 2,017 15,969 Vacon PLC 1,405 44,744 Vaisala Oyj Class A 1,011 35,219 ------------- Total Finland 1,448,324 -------------------------------------------------------------------------------- France - 2.8% Acanthe Developpement S.A. 17,464 72,783 Alain Afflelou S.A. 1,031 45,436 Assystem 886 19,248 Bacou Dalloz 160 18,738 Canal Plus S.A. 12,106 122,375 CFF RECYCLING 966 31,632 FONCIA Groupe 1,016 47,594 Groupe Steria SCA 345 18,355 Haulotte Group 505 13,056 Ingenico 656 14,251 Kaufman & Broad S.A. 1,006 59,576 Lectra 2,672 15,976 Manitou BF S.A. 2,494 109,690 Oberthur Card Systems S.A. 5,275 31,540 Provimi S.A. 651 24,204 Rodriguez Group 465 22,684 Ste Industrielle d'Aviation Latecoere S.A. 821 27,342 Trigano S.A. 841 37,862 Viel et Compagnie 6,421 36,927 ------------- Total France 769,269 -------------------------------------------------------------------------------- Germany - 5.8% AWD Holding AG 4,224 152,443 Balda AG 2,057 16,494 BayWa AG 991 26,864 Bechtle AG 1,196 25,453 Comdirect Bank AG (a) 9,693 103,754 Curanum AG 1,256 12,219 DAB Bank AG 4,519 42,189 Deutsche Beteiligungs AG 2,203 49,422 Deutsche Euroshop AG 1,536 106,373 ElringKlinger AG 966 49,559 Gerry Weber International AG 1,086 23,112 Grammer AG 1,201 32,283 H&R WASAG AG 651 36,532 IDS Scheer AG 841 17,951 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 39 Schedule of Investments (unaudited) (continued) WisdomTree Europe SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Indus Holding AG 1,857 $ 66,148 Kloeckner-Werke AG 10,192 148,602 Krones AG 335 44,168 Leoni AG 1,406 48,979 Medion AG 2,112 23,436 MPC Muenchmeyer Petersen Capital AG 1,757 146,116 MVV Energie AG 4,393 129,271 Norddeutsche Affinerie AG 4,449 107,080 Sixt AG (a) 565 26,052 Software AG 1,326 81,096 Takkt AG 2,152 31,077 Vossloh AG 1,111 65,400 ------------- Total Germany 1,612,073 -------------------------------------------------------------------------------- Ireland - 1.2% Abbey PLC 2,297 27,375 Fyffes PLC 43,838 84,964 Glanbia PLC 16,870 57,325 Greencore Group PLC 15,839 78,350 McInerney Holdings PLC 1,556 25,185 Paddy Power PLC 1,822 34,089 United Drug PLC 7,772 34,516 ------------- Total Ireland 341,804 -------------------------------------------------------------------------------- Italy - 6.7% Aedes SPA 7,607 49,530 AEM Torino SpA 21,098 61,269 Amga SpA 15,218 36,801 Astaldi SpA 3,618 24,932 Azimut Holding SpA 2,062 23,508 Banca IFIS SpA 1,316 17,837 Banca Intermobiliare SpA 11,029 116,518 Banca Popolare dell'Etruria e del Lazio 1,967 38,970 Banca Popolare di Intra Scarl 1,696 30,443 Banca Profilo SpA 18,726 54,796 Banco di Desio e della Brianza SpA 3,618 30,798 Brembo SpA 4,564 48,506 Caltagirone Editore SpA 8,707 72,906 Caltagirone SpA 1,787 18,868 Cam Finanziara SpA 14,147 24,999 Cementir SpA 5,585 43,121 COFIDE - Compagnia Finanziaria De Benedeth SpA 24,411 32,160 Credito Artigiano SpA 12,991 56,980 Cremonini SpA 36,667 102,766 Ergo Previdenza SpA 7,727 45,319 Fiera Milano SpA 2,777 31,889 Gewiss SpA 3,598 27,347 GranitiFiandre SpA 1,246 11,348 IMMSI SpA (a) 8,918 23,385 Indesit Co. SpA 9,453 103,760 Industria Macchine Automatiche SpA 3,238 45,734 Interpump Group SpA 4,379 38,885 Isagro SpA 1,251 12,519 Marzotto SpA 4,249 19,632 Mirato SpA 1,261 13,905 Mittel SpA 3,923 27,009 Monrif SpA 9,493 13,348 Navigazione Montanari SpA 6,370 27,698 Permasteelisa SpA 1,376 23,705 Piccolo Credito Valtellinese Scarl 7,962 116,593 Premafin Finanziaria SpA 17,559 52,271 Premuda SpA 13,902 26,028 Recordati SpA 10,775 75,344 Societa Iniziative Autostradali e Servizi SpA 12,010 157,919 Sogefi SpA 8,342 58,648 Sol SpA 3,203 18,502 Vittoria Assicurazioni SpA 1,046 15,609 ------------- Total Italy 1,872,105 -------------------------------------------------------------------------------- Netherlands - 5.4% Arcadis N.V. 636 27,924 Beter BED Holdings N.V. 1,802 34,742 Binck N.V. 2,977 43,292 Eurocommercial Properties N.V. 4,604 217,246 Getronics N.V. 2,557 17,232 Heijmans N.V. 2,122 97,657 Imtech N.V. 1,797 94,127 Koninklijke Wessanen N.V. 10,122 140,017 Macintosh Retail Group N.V. 1,266 38,168 Nieuwe Steen Investments N.V. 5,975 156,826 OCE N.V. 9,924 159,152 Smit Internationale N.V. 776 62,470 Telegraaf Media Groep N.V. 2,557 60,733 Ten Cate N.V. 1,371 33,206 Univar N.V. 1,471 61,585 Van der Moolen Holding N.V. (a) 2,307 15,021 Vastned Offices 2,993 105,780 Vastned Retail N.V. 1,666 136,543 Wegener N.V. 1,091 13,544 ------------- Total Netherlands 1,515,265 -------------------------------------------------------------------------------- Norway - 3.9% ABG Sundal Collier ASA 75,720 134,164 Acta Holding ASA 55,528 224,884 Aker Yards AS 2,057 157,778 Aktiv Kapital ASA 4,038 54,512 Camillo Eitzen & Co. AS 4,444 49,767 EDB Business Partner ASA 2,017 15,935 Ekornes ASA 5,555 114,617 See Notes to Financial Statements. 40 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Europe SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Expert ASA 2,017 $ 23,516 Hafslund ASA Class B 2,522 44,105 Leroy Seafood Group ASA 505 8,018 P4 Radio Hele Norge ASA 2,522 10,833 Solstad Offshore ASA 1,705 30,210 Sparebanken Midt-Norge 9,388 111,974 Tomra Systems ASA (a) 3,028 18,488 Veidekke ASA 3,028 95,225 ------------- Total Norway 1,094,026 -------------------------------------------------------------------------------- Portugal - 1.2% Corticeira Amorim S.A. 8,607 21,043 Finibanco Holding SGPS S.A. 6,075 22,240 Mota-Engil, SGPS, S.A. 11,495 64,652 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 29,766 64,100 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 14,763 151,478 ------------- Total Portugal 323,513 -------------------------------------------------------------------------------- Spain - 1.7% Campofrio Alimentacion S.A. 4,839 89,189 Dinamia Capital Privado S.C.R., S.A. 836 25,427 Europistas, Concesionaria Espanola S.A. 7,421 64,488 Faes Farma S.A. (a) 1,847 51,637 Grupo Duro Felguera S.A. 2,943 17,671 Grupo Empresarial Ence S.A. 1,721 85,699 Miquel y Costas & Miquel, S.A. 460 13,839 Prosegur Cia de Seguridad S.A. 2,412 72,352 Tubacex S.A. 2,657 14,877 Tubos Reunidos, S.A. 1,456 29,566 ------------- Total Spain 464,745 -------------------------------------------------------------------------------- Sweden - 10.3% AB Industrivarden Class C 5,049 145,368 AddTech AB Class B 2,017 29,174 Avanza AB 4,311 74,707 Axfood AB 6,055 183,834 Bergman & Beving AB Class B 1,011 20,693 Bilia AB Class A 4,038 53,722 Billerud AB 4,038 61,436 Brostrom AB Class B (a) 4,038 82,925 Cardo AB 2,522 77,258 Castellum AB 16,154 181,851 Clas Ohlson AB Class B 2,522 51,534 Concordia Maritime AB Class B 2,017 13,073 D Carnegie AB 11,105 234,115 Fabege AB 13,126 290,155 Gunnebo AB 2,017 19,679 Haldex AB 1,011 19,451 HIQ International AB 7,066 35,482 Hoganas AB Class B 4,038 106,893 Hufvudstaden AB Class A 12,621 106,774 Intrum Justitia AB 6,055 59,488 Invik & Co. AB 1,011 17,141 JM AB 4,043 71,029 Klovern AB 12,621 39,610 Kungsleden AB 16,154 184,055 Munters AB 1,261 48,867 NCC AB Class B 4,544 97,656 Nibe Industrier AB Class B 2,022 26,763 Nolato AB Class B 2,017 19,128 Novestra AB 7,572 20,664 ORC Software AB 2,017 18,853 Oresund Investment AB 5,555 102,708 Peab AB 5,049 82,329 Q-Med AB 2,017 28,761 SkiStar AB 3,028 53,817 SSAB Svenskt Stal AB Series B 4,549 80,694 Svenska Handelsbanken Class B 1,516 41,372 Wallenstam Byggnads AB Class B 3,028 44,830 WM-data AB Class B 15,143 52,691 ------------- Total Sweden 2,878,580 -------------------------------------------------------------------------------- Switzerland - 0.3% Ascom Holding AG 1,356 15,464 Kudelski S.A. 1,156 34,110 Swiss Steel AG 500 29,048 ------------- Total Switzerland 78,622 -------------------------------------------------------------------------------- United Kingdom - 46.6% Abacus Group PLC 8,527 26,520 Abbot Group PLC 8,207 43,116 Aero Inventory PLC 3,533 25,639 Aga Foodservice Group PLC 7,777 55,348 Aggreko PLC 16,649 104,183 Alba PLC 5,940 27,878 Alexon Group PLC 6,310 14,822 Alfred McAlpine PLC 7,732 72,359 Alphameric PLC 10,374 13,758 Amstrad PLC 8,362 28,740 Anglo Pacific Group PLC 8,272 21,980 Arla Foods UK PLC 43,307 44,088 Atkins WS PLC 4,309 70,348 Atrium Underwriting PLC 6,631 26,197 Babcock International Group PLC 8,137 53,008 Beazley Group PLC 38,043 80,656 Bespak PLC 2,362 27,134 Big Yellow Group PLC 2,332 21,268 Blacks Leisure Group PLC 2,102 15,784 Bodycote International PLC 20,618 91,469 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 41 Schedule of Investments (unaudited) (continued) WisdomTree Europe SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Bovis Homes Group PLC 9,043 $ 156,503 BPP Holdings PLC 4,509 37,080 Brewin Dolphin Holdings PLC 15,068 46,371 Brit Insurance Holdings PLC 62,834 354,461 British Polythene Industries 2,647 20,544 BSS Group PLC 4,254 28,448 Business Post Group PLC 7,922 61,855 Capital & Regional PLC 3,178 70,405 Carillion PLC 18,381 125,665 Carpetright PLC 6,886 148,564 Castings PLC 3,963 19,821 Centaur Media PLC 6,901 16,887 Charles Taylor Consulting PLC 2,642 19,864 Chaucer Holdings PLC 38,468 52,455 Chemring Group PLC 896 25,105 Chesnara PLC 21,228 70,483 Chloride Group PLC 13,136 31,776 Christian Salvesen PLC 42,011 58,267 Clarkson PLC 1,306 21,431 Clinton Cards PLC 35,946 44,652 communisis PLC 23,505 33,369 Computacenter PLC 14,725 68,833 Cranswick PLC 2,847 39,620 Crest Nicholson PLC 7,967 80,660 Croda International PLC 9,253 88,236 Dairy Crest Group PLC 15,683 172,255 Dart Group PLC 6,804 13,409 Datamonitor PLC 3,153 24,030 Davis Service Group PLC 18,316 164,396 Dawson Holdings PLC 10,259 17,534 De La Rue PLC 16,059 171,586 Dechra Pharmaceuticals PLC 3,348 15,807 Delta PLC 11,034 27,928 Derwent Valley Holdings PLC 1,256 42,817 Devro PLC 16,809 38,777 Diploma PLC 1,636 23,088 Domestic & General Group PLC 2,963 52,718 Domino Printing Sciences PLC 7,466 41,838 Domino's Pizza UK & IRL PLC 2,117 18,359 DS Smith PLC 59,866 172,214 DTZ Holdings PLC 1,812 22,136 E2V Technologies PLC 3,843 20,441 Elementis PLC 16,259 26,954 Ennstone PLC 23,120 20,514 Enterprise PLC 3,893 33,451 Erinaceous Group PLC 5,615 33,091 Euromoney Institutional Investor PLC 9,919 84,906 European Motor Holdings PLC 3,528 27,893 Expro International Group PLC 3,043 37,885 Fenner PLC 12,881 48,483 Filtrona PLC 12,621 61,885 Findel PLC 7,021 74,230 FKI PLC 65,967 111,209 Forth Ports PLC 3,208 116,013 French Connection Group PLC 7,266 25,856 Future PLC 38,553 23,225 Galliford Try PLC 14,462 32,957 Game Group PLC 27,649 45,578 Games Workshop Group PLC 5,590 41,324 GCAP Media PLC 17,765 67,945 Genus PLC 2,497 22,505 Go-Ahead Group PLC 3,963 146,277 Grainger Trust PLC 3,368 39,509 Great Portland Estates PLC 10,694 120,854 Greggs PLC 936 72,734 Halfords Group PLC 25,882 162,202 Halma PLC 35,936 128,212 Hardy Underwriting Group PLC 3,828 17,251 Headlam Group PLC 7,737 73,851 Helical Bar PLC 2,507 19,200 Helphire PLC 5,795 42,163 Highway Insurance Holdings PLC 40,540 47,708 Hill & Smith Holdings PLC 3,743 18,109 Hiscox PLC 27,889 118,256 Hitachi Capital UK PLC 5,840 25,363 HMV Group PLC 45,214 136,821 Holidaybreak PLC 4,844 63,610 Homeserve PLC 2,334 72,503 Hornby PLC 3,323 15,611 House of Fraser PLC 28,915 78,992 Hunting PLC 4,999 41,554 Huntleigh Technology PLC 3,098 21,166 IG Group Holdings PLC 5,860 28,351 Interior Services Group PLC 2,522 12,154 Intermediate Capital Group PLC 6,395 170,224 Interserve PLC 11,135 74,879 iSOFT Group PLC 17,975 16,872 ITE Group PLC 14,763 33,643 J D Wetherspoon PLC 4,984 47,550 James Fisher & Sons PLC 2,767 25,404 James Halstead PLC 7,091 61,327 Jardine Lloyd Thompson Group PLC 32,553 237,149 JJB Sports PLC 34,655 121,052 John Laing PLC 7,466 50,380 John Menzies PLC 5,565 46,102 Johnson Service Group PLC 7,141 50,355 See Notes to Financial Statements. 42 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Europe SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Keller Group PLC 3,568 $ 44,588 Kensington Group PLC 2,832 43,802 Kier Group PLC 1,516 51,992 Kiln PLC 28,640 49,486 Laird Group PLC 11,800 82,877 Liontrust Asset Management PLC 2,587 17,034 London Merchant Securities 22,705 101,894 London Scottish Bank PLC 19,962 44,746 Lookers PLC 8,007 25,426 Luminar PLC 5,885 62,385 Majestic Wine PLC 3,378 18,867 Marshalls PLC 14,973 91,318 Matalan PLC 57,534 200,434 Mcbride PLC 14,152 45,469 McCarthy & Stone PLC 7,051 141,192 McKay Securities PLC 3,338 26,811 Metal Bulletin PLC 2,897 22,106 Metalrax Group PLC 26,082 32,399 Minerva PLC 3,593 20,269 Mitie Group PLC 15,869 59,952 MJ Gleeson Group PLC 2,727 18,414 Morgan Sindall PLC 2,582 55,803 Morse PLC 19,787 37,331 Mothercare PLC 4,904 30,687 MP Evans Group PLC 4,369 22,729 N Brown Group PLC 22,264 98,252 Nichols PLC 4,544 21,220 Northern Foods PLC 127,880 214,985 Northgate PLC 3,733 70,811 Numis Corp PLC 2,792 13,951 Office2office PLC 3,703 17,811 Paragon Group of Cos. (The) PLC 6,185 77,869 Pendragon PLC 8,202 76,451 Photo-Me International PLC 23,901 47,325 Premier Farnell PLC 47,621 161,005 Premier Foods PLC 29,290 145,398 Primary Health Properties PLC 1,912 17,072 Psion PLC 5,179 11,319 PZ Cussons PLC 30,530 89,107 Quintain Estates & Development PLC 6,095 79,696 RAB Capital PLC 10,474 17,608 Rathbone Brothers PLC 3,153 68,320 Redrow PLC 10,569 116,184 Renishaw PLC 4,334 63,551 Rensburg Sheppards PLC 1,977 26,072 Restaurant Group PLC 13,602 60,979 Ricardo PLC 4,329 24,502 RM PLC 6,471 21,758 Robert Walters PLC 2,687 12,661 Robert Wiseman Dairies PLC 4,924 40,033 ROK PLC 1,681 21,760 Rotork PLC 5,084 72,934 royalblue group PLC 976 15,433 RPC Group PLC 8,282 40,532 RPS Group PLC 5,910 25,281 Savills PLC 7,937 78,948 Schroders PLC 4,324 69,907 ScS Upholstery PLC 3,248 29,274 Senior PLC 28,384 29,426 Severfield-Rowen PLC 1,306 36,593 Shaftesbury PLC 3,608 40,471 Shanks Group PLC 22,194 77,007 SMG PLC 24,361 31,057 Smiths News PLC* 14,027 31,508 Songbird Estates PLC Class B 76,561 333,576 Spectris PLC 8,012 94,361 Speedy Hire PLC 1,877 32,905 Spirax-Sarco Engineering PLC 4,984 85,744 SSL International PLC 11,245 73,518 St. Ives Group PLC 21,814 102,378 St. Modwen Properties PLC 6,150 58,818 Stanley Leisure PLC 4,744 76,342 T. Clarke PLC 4,489 19,831 TDG PLC 14,507 58,261 Ted Baker PLC 2,587 23,896 Thorntons PLC 10,734 30,677 Titan Europe PLC 5,084 20,370 Topps Tiles PLC 19,528 94,476 Tribal Group PLC 3,408 11,061 TT electronics PLC 26,738 98,267 Ultra Electronics Holdings PLC 2,867 56,285 Umbro PLC 11,585 31,324 Umeco PLC 3,348 28,330 Uniq PLC 16,359 54,698 UNITE Group PLC 2,012 17,420 UTV PLC 4,394 28,809 Victrex PLC 4,084 60,381 Vitec Group (The) PLC 3,293 33,401 Vp PLC 2,612 14,015 VT Group PLC 10,364 93,603 Wagon PLC 13,006 49,379 Warner Estate Holdings PLC 4,204 61,645 Wellington Underwriting PLC 53,911 91,892 WH Smith PLC* 14,027 94,261 Whatman PLC 5,335 29,897 White Young Green PLC 2,192 15,201 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 43 Schedule of Investments (unaudited) (concluded) WisdomTree Europe SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Wilmington Group PLC 4,634 $ 17,139 Wincanton PLC 11,765 68,347 Woolworths Group PLC 199,857 132,530 Workspace Group PLC 5,325 40,508 WSP Group PLC 2,532 22,655 Xansa PLC 37,632 57,466 XP Power PLC 1,912 13,643 Yule Catto & Co. PLC 18,276 75,020 Zetex PLC 11,210 15,024 ------------- Total United Kingdom 12,957,711 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $25,371,762) 27,606,319 ================================================================================ RIGHTS* - 0.0% Italy - 0.0% IMMSI SpA, expiring 10/13/06 (a) (Cost: $0) 8,918 1,491 ------------- TOTAL LONG-TERM INVESTMENTS (Cost: $25,371,762) 27,607,810 ================================================================================ SHORT-TERM INVESTMENT - 0.1% MONEY MARKET FUND - 0.1% United States - 0.1% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $18,902) 18,902 18,902 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED -1.1% MONEY MARKET FUNDS (c) - 1.1% UBS Enhanced Yield Portfolio, 5.30% 200,000 200,000 UBS Private Money Market Fund LLC, 5.23% 118,505 118,505 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $318,505) (d) 318,505 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 100.4% (Cost: $25,709,169) (e) 27,945,217 Liabilities in Excess of Foreign Cash and Other Assets - (0.4)% (114,737) ------------- NET ASSETS - 100.0% $ 27,830,480 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $302,469 and the total market value of the collateral held by the Fund was $318,505. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 44 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree Japan Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Japan - 100.5% COMMON STOCKS - 100.5% Consumer Discretionary - 23.9% Aisin Seiki Co., Ltd. 1,500 $ 43,832 Bridgestone Corp. 5,500 111,104 Canon Marketing Japan, Inc. 2,000 47,940 Casio Computer Co., Ltd. 2,500 50,396 Daihatsu Motor Co., Ltd. 5,000 45,780 Daimaru, Inc. 5,000 61,788 Daito Trust Construction Co., Ltd. 1,000 54,292 Daiwa House Industry Co., Ltd. 5,000 86,605 DENSO CORP. 6,000 210,901 Fast Retailing Co., Ltd. 1,000 93,931 Fuji Heavy Industries Ltd. 10,000 56,918 Fuji Photo Film Co., Ltd. 2,500 91,263 Hakuhodo DY Holdings, Inc. 500 32,652 Hikari Tsushin, Inc. 500 26,130 Honda Motor Co., Ltd. 14,000 470,757 Isetan Co., Ltd. 2,000 33,761 Isuzu Motors Ltd. (a) 15,000 49,168 Makita Corp. 1,500 44,086 Marui Co., Ltd. 3,000 43,933 Matsushita Electric Industrial Co., Ltd. 15,000 317,621 Mazda Motor Corp. 5,000 30,322 NGK Spark Plug Co., Ltd. 5,000 99,310 NHK Spring Co., Ltd. 5,000 57,892 Nikon Corp. 5,000 103,333 Nippon Television Network Corp. 300 41,011 Nissan Motor Co., Ltd. 62,000 694,752 Nitori Co., Ltd. 750 33,986 NOK Corp. 1,500 37,035 Onward Kashiyama Co., Ltd. 5,000 71,910 Oriental Land Co., Ltd. 500 28,078 Pioneer Corp. (a) 2,500 44,044 Sankyo Co., Ltd. 500 26,723 Sega Sammy Holdings, Inc. 2,500 80,464 Sekisui Chemical Co., Ltd. 5,000 42,180 Sekisui House, Ltd. 7,000 105,950 Sharp Corp. 10,000 171,516 Shimamura Co., Ltd. 500 48,871 Sony Corp. 3,500 141,702 Stanley Electric Co., Ltd. 2,000 41,333 Sumitomo Rubber Industries, Inc. 3,500 38,538 Suzuki Motor Corp. 2,000 50,819 Takashimaya Co., Ltd. 5,000 63,524 Toho Co., Ltd. 2,500 50,819 Tokyo Broadcasting System, Inc. (a) 1,500 35,002 Toyoda Gosei Co., Ltd. 2,000 44,044 Toyota Boshoku Corp. 2,500 46,373 Toyota Industries Corp. 2,000 84,869 Toyota Motor Corp. 33,300 1,810,747 Yamada Denki Co., Ltd. 500 50,142 Yamaha Corp. 2,000 42,095 Yamaha Motor Co., Ltd. 1,500 39,766 ------------- Total Consumer Discretionary 6,230,008 -------------------------------------------------------------------------------- Consumer Staples - 5.6% AEON Co., Ltd. 3,000 73,561 Ajinomoto Co., Inc. 5,000 53,869 Asahi Breweries, Ltd. 4,000 58,341 Coca-Cola West Japan Co., Ltd. 1,500 29,983 FamilyMart Co., Ltd. 1,500 41,037 ITO EN, Ltd. 1,000 34,473 Japan Tobacco, Inc. 50 194,385 Kao Corp. 6,000 160,082 Kikkoman Corp. 5,000 58,315 Kirin Brewery Co., Ltd. 5,000 66,785 KOSE Corp. 1,000 32,270 Lawson, Inc. 1,500 52,725 Lion Corp. (a) 5,000 26,934 Meiji Dairies Corp. 5,000 33,795 Meiji Seika Kaisha Ltd. 10,000 50,819 Nippon Meat Packers, Inc. 5,000 56,198 Nisshin Seifun Group, Inc. 2,500 26,087 Nissin Food Products Co., Ltd. 1,000 31,847 Shiseido Co., Ltd. 5,000 99,946 Toyo Suisan Kaisha Ltd. 5,000 72,121 UniCharm Corp. 500 27,781 UNY Co., Ltd. 5,000 66,319 Yakult Honsha Co., Ltd. 2,000 58,781 Yamazaki Baking Co., Ltd. 5,000 48,490 ------------- Total Consumer Staples 1,454,944 -------------------------------------------------------------------------------- Energy - 1.5% Cosmo Oil Co., Ltd. 5,000 20,624 Japan Petroleum Exploration Co. 500 30,407 Nippon Mining Holdings, Inc. 5,000 35,362 Nippon Oil Corp. 15,000 110,532 Showa Shell Sekiyu K.K. 6,000 66,878 TonenGeneral Sekiyu K.K. (a) 15,000 135,562 ------------- Total Energy 399,365 -------------------------------------------------------------------------------- Financials - 15.0% Acom Co., Ltd. 2,150 91,780 Aeon Credit Service Co., Ltd. 1,500 35,891 Aiful Corp. 1,000 38,707 Aioi Insurance Co., Ltd. 5,000 34,430 Bank of Fukuoka Ltd. (The) 5,000 36,717 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 45 Schedule of Investments (unaudited) (continued) WisdomTree Japan Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Bank of Kyoto Ltd. (The) 5,000 $ 50,565 Bank of Yokohama Ltd. (The) 10,000 78,770 Chiba Bank Ltd. (The) 5,000 44,594 Chugoku Bank Ltd. (The) 5,000 70,427 Credit Saison Co., Ltd. 1,000 42,180 Daiwa Securities Group, Inc. 15,000 175,073 Diamond Lease Co., Ltd. 1,000 48,194 Gunma Bank Ltd. (The) 5,000 36,971 Hachijuni Bank Ltd. (The) 5,000 36,251 Hiroshima Bank Ltd. (The) 5,000 29,475 Hokuhoku Financial Group, Inc. 10,000 37,691 Iyo Bank Ltd. (The) 5,000 50,692 Joyo Bank Ltd. (The) 5,000 29,687 Leopalace21 Corp. 1,000 36,505 Mitsubishi Estate Co., Ltd. 5,000 109,262 Mitsubishi UFJ Financial Group, Inc. 40 514,972 Mitsubishi UFJ Securities Co. 5,000 62,677 Mitsui Fudosan Co., Ltd. 2,000 45,483 Mitsui Sumitomo Insurance Co., Ltd. 10,000 125,101 Mitsui Trust Holdings, Inc. 5,000 56,918 Mizuho Financial Group, Inc. 35 271,546 Mizuho Trust & Banking Co., Ltd. (a) 15,000 33,541 Nikko Cordial Corp. 15,000 174,057 Nipponkoa Insurance Co., Ltd. 5,000 39,893 Nishi-Nippon City Bank Ltd. (The) 10,000 49,041 Nomura Holdings, Inc. 13,500 237,836 OMC Card, Inc. 2,500 29,391 ORIX Corp. 150 41,481 Promise Co., Ltd. 1,500 59,713 SBI Holdings, Inc. 100 35,785 Shinko Securities Co., Ltd. 10,000 39,554 Shinsei Bank Ltd. 5,000 30,492 Shizuoka Bank Ltd. (The) 5,000 54,377 Sompo Japan Insurance, Inc. 5,000 65,515 Sumitomo Mitsui Financial Group, Inc. 15 157,540 Sumitomo Realty & Development Co., Ltd. 2,000 58,781 Sumitomo Trust & Banking Co., Ltd. (The) 20,000 209,376 Suruga Bank Ltd. 5,000 62,508 T&D Holdings, Inc. 1,000 72,418 Takefuji Corp. 2,500 114,767 Tokyo Tatemono Co., Ltd. 5,000 56,240 Tokyu Land Corp. 5,000 47,432 UFJ NICOS Co., Ltd. 5,000 32,101 ------------- Total Financials 3,892,398 -------------------------------------------------------------------------------- Health Care - 5.5% Astellas Pharma, Inc. 4,500 181,044 Chugai Pharmaceutical Co., Ltd. 4,000 86,054 Dainippon Sumitomo Pharma Co., Ltd. 5,000 60,094 Eisai Co., Ltd. 3,000 145,090 Mediceo Paltac Holdings Co., Ltd. 2,000 40,994 Olympus Corp. 5,000 147,376 Shionogi & Co., Ltd. 5,000 91,899 Taisho Pharmaceutical Co., Ltd. 5,000 95,922 Takeda Pharmaceutical Co., Ltd. 8,800 549,325 Terumo Corp. 1,000 37,945 ------------- Total Health Care 1,435,743 -------------------------------------------------------------------------------- Industrials - 16.3% All Nippon Airways Co., Ltd. (a) 10,000 40,486 Amada Co., Ltd. 5,000 50,227 Asahi Glass Co., Ltd. 10,000 123,407 Chiyoda Corp. 5,000 97,827 Dai Nippon Printing Co., Ltd. 7,000 108,085 Daikin Industries Ltd. 1,000 29,645 East Japan Railway Co. 25 174,903 Fanuc Ltd. 1,000 78,093 Fuji Electric Holdings Co., Ltd. 10,000 51,582 Fujikura Ltd. 5,000 54,758 Hankyu Holdings, Inc. 10,000 62,762 Hino Motors Ltd. 5,000 27,061 Hitachi Construction Machinery Co., Ltd. 2,000 44,721 Hitachi High-Technologies Corp. 1,500 42,434 ITOCHU Corp. 15,000 116,250 Japan Steel Works Ltd. (The) 5,000 34,218 JGC Corp. 5,000 83,598 JS Group Corp. 4,000 83,683 JTEKT Corp. 2,000 38,792 Kajima Corp. 10,000 45,738 Kamigumi Co., Ltd. 5,000 39,004 Kawasaki Heavy Industries Ltd. (a) 15,000 49,676 Kawasaki Kisen Kaisha Ltd. (a) 10,000 63,186 Keihin Electric Express Railway Co., Ltd. (a) 5,000 36,548 Keio Corp. 5,000 33,371 Kintetsu Corp. 10,000 31,339 Kokuyo Co., Ltd. 2,500 39,766 Komatsu Ltd. 5,000 86,393 Kubota Corp. 10,000 82,158 Kurita Water Industries Ltd. 2,000 38,792 Marubeni Corp. 10,000 49,803 Matsushita Electric Works Ltd. 5,000 52,852 MINEBEA CO. LTD. 5,000 27,358 Mitsubishi Corp. 12,500 235,039 Mitsubishi Electric Corp. 10,000 84,276 Mitsubishi Heavy Industries Ltd. 20,000 82,836 Mitsubishi Logistics Corp. 5,000 79,871 Mitsui & Co., Ltd. 15,000 190,826 Mitsui Engineering & Shipbuilding Co., Ltd. 15,000 48,787 See Notes to Financial Statements. 46 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Japan Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Mitsui O.S.K. Lines Ltd. 20,000 $ 147,885 Nagoya Railroad Co., Ltd. 10,000 32,270 NGK Insulators Ltd. 5,000 70,300 Nippon Express Co., Ltd. 10,000 53,615 Nippon Sheet Glass Co., Ltd. (a) 5,000 23,504 Nippon Yusen K.K. 20,000 121,797 NSK Ltd. 5,000 42,223 NTN Corp. 5,000 39,554 Obayashi Corp. 5,000 35,235 Odakyu Electric Railway Co., Ltd. 5,000 31,805 Secom Co., Ltd. 2,500 123,872 Seino Holdings Corp. 5,000 58,824 Shimizu Corp. 5,000 28,586 SMC Corp. 500 66,192 Sumitomo Corp. 10,000 124,762 Sumitomo Electric Industries Ltd. 3,500 47,402 Sumitomo Heavy Industries Ltd. 5,000 41,884 Taisei Corp. 10,000 35,912 THK Co., Ltd. 1,500 35,447 Tobu Railway Co., Ltd. 10,000 50,481 Tokyu Corp. 5,000 34,388 Toppan Printing Co., Ltd. 5,000 55,478 TOTO Ltd. 5,000 47,177 Toyota Tsusho Corp. 2,000 52,683 USHIO INC. 2,000 43,112 Yamato Holdings Co., Ltd. 5,000 72,375 ------------- Total Industrials 4,256,914 -------------------------------------------------------------------------------- Information Technology - 10.1% Advantest Corp. 1,000 49,634 Canon, Inc. 12,200 636,532 Citizen Watch Co., Ltd. 4,000 32,931 CSK Holdings Corp. 1,000 41,841 Fujitsu Ltd. 10,000 82,497 Hirose Electric Co., Ltd. 500 66,277 Hitachi Ltd. 35,000 204,252 Hoya Corp. 4,000 150,764 IBIDEN Co., Ltd. (a) 1,000 52,852 Keyence Corp. 500 115,191 Konami Corp. 2,000 50,819 Kyocera Corp. 1,500 128,446 NEC Corp. 15,000 82,455 Nippon Electric Glass Co., Ltd. 5,000 110,321 Nomura Research Institute Ltd. 500 69,453 Oracle Corp. Japan (a) 2,500 108,203 Otsuka Corp. 500 53,191 Ricoh Co., Ltd. 5,000 99,521 Seiko Epson Corp. 1,500 40,910 Sumco Corp. 500 37,056 TDK Corp. 1,000 80,125 Tokyo Electron Ltd. 1,000 73,942 Toshiba Corp. (a) 20,000 129,759 Trend Micro, Inc. 2,500 73,265 Yahoo Japan Corp. 80 30,119 Yokogawa Electric Corp. 3,000 39,436 ------------- Total Information Technology 2,639,792 -------------------------------------------------------------------------------- Materials - 8.3% Asahi Kasei Corp. 10,000 64,033 Daicel Chemical Industries Ltd. 5,000 34,684 Daido Steel Co., Ltd. 5,000 36,548 Dainippon Ink & Chemicals, Inc. 10,000 36,421 Hitachi Chemical Co., Ltd. 1,500 36,336 Hitachi Metals Ltd. 5,000 47,220 JFE Holdings, Inc. 4,000 156,862 JSR Corp. 1,500 33,033 Kaneka Corp. 5,000 47,347 Kobe Steel Ltd. 20,000 62,847 Kuraray Co., Ltd. 2,500 27,824 Mitsubishi Gas Chemical Co., Inc. 5,000 54,334 Mitsubishi Materials Corp. (a) 10,000 41,248 Mitsubishi Rayon Co., Ltd. 5,000 33,033 Mitsui Chemicals, Inc. 5,000 35,997 Mitsui Mining & Smelting Co., Ltd. 5,000 25,791 Nippon Steel Corp. 60,000 246,982 Nisshin Steel Co., Ltd. 15,000 44,467 Nitto Denko Corp. 1,000 59,289 OJI Paper Co., Ltd. 15,000 82,200 Shin-Etsu Chemical Co., Ltd. 1,500 95,795 Showa Denko K.K. 10,000 43,112 Sumitomo Chemical Co., Ltd. 10,000 74,705 Sumitomo Metal Industries Ltd. 55,000 211,027 Sumitomo Metal Mining Co., Ltd. 5,000 65,557 Taiheiyo Cement Corp. 10,000 37,014 Taiyo Nippon Sanso Corp. 5,000 42,477 Teijin Ltd. 5,000 26,934 Tokuyama Corp. 5,000 66,912 Tokyo Steel Manufacturing Co., Ltd. 2,000 31,491 Toray Industries, Inc. 10,000 75,298 Tosoh Corp. 10,000 40,571 Toyo Seikan Kaisha Ltd. 2,000 38,284 Ube Industries Ltd. 15,000 42,561 Zeon Corp. 5,000 50,608 ------------- Total Materials 2,148,842 -------------------------------------------------------------------------------- Telecommunication Services - 5.8% Nippon Telegraph & Telephone Corp. 125 614,069 NTT DoCoMo, Inc. 575 886,376 ------------- Total Telecommunication Services 1,500,445 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Trust International Equity Funds 47 Schedule of Investments (unaudited) (concluded) WisdomTree Japan Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Utilities - 8.5% Chubu Electric Power Co., Inc. 11,500 $ 299,030 Chugoku Electric Power Co., Inc. (The) 6,000 126,540 Electric Power Development Co. 2,000 71,317 Hokkaido Electric Power Co., Inc. 3,000 72,799 Hokuriku Electric Power Co. 3,000 62,762 Kansai Electric Power Co., Inc. (The) 13,500 311,587 Kyushu Electric Power Co., Inc. 8,500 200,864 Osaka Gas Co., Ltd. 25,000 87,240 Saibu Gas Co., Ltd. 2,000 4,540 Shikoku Electric Power Co., Inc. 3,500 76,335 TOHO GAS Co., Ltd. 10,000 43,027 Tohoku Electric Power Co., Inc. 7,000 153,263 Tokyo Electric Power Co., Inc. (The) 20,000 575,954 Tokyo Gas Co., Ltd. 25,000 125,355 ------------- Total Utilities 2,210,613 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS - 100.5% (Cost: $25,233,556) 26,169,064 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.4% MONEY MARKET FUNDS (b) - 3.4% UBS Enhanced Yield Portfolio, 5.30% 400,000 400,000 UBS Private Money Market Fund LLC, 5.23% 489,415 489,415 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $889,415) (c) 889,415 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 103.9% (Cost: $26,122,971) (d) 27,058,479 Liabilities in Excess of Cash, Foreign Cash and Other Assets - (3.9)% (1,029,734) ------------- NET ASSETS - 100.0% $ 26,028,745 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2006. (c) At September 30, 2006, the total market value of the Fund's securities on loan was $769,973 and the total market value of the collateral held by the Fund was $889,415. (d) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 48 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree Japan High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Japan -- 99.4% COMMON STOCKS -- 99.4% Consumer Discretionary -- 27.7% Arnest One Corp. 1,000 $ 14,704 Best Denki Co., Ltd. 5,000 31,042 Bosch Corp. 10,000 53,276 Cleanup Corp. 1,500 11,371 Daidoh Ltd. 1,000 14,196 Daikoku Denki Co., Ltd. 500 12,133 Daiwa House Industry Co., Ltd. 1,684 29,169 Doshisha Co., Ltd. 500 8,915 France Bed Holdings Co., Ltd. 5,000 10,799 Heiwa Corp. 2,000 26,020 Honda Motor Co., Ltd. 30,000 1,008,766 Ichikoh Industries Ltd. 5,000 15,458 Iida Home Max 1,000 16,703 Impact 21 Co., Ltd. 500 8,872 Inaba Seisakusho Co., Ltd. 500 7,750 Japan General Estate Co., Ltd. (The) 500 11,964 Kanto Auto Works Ltd. 1,500 17,787 Kojima Co., Ltd. (a) 1,000 11,917 Marui Co., Ltd. 6,500 95,189 MOS Food Services, Inc. 500 7,144 Nissan Motor Co., Ltd. 132,500 1,484,754 PanaHome Corp. (a) 5,000 35,701 Paris Miki, Inc. 2,500 43,302 Plenus Co., Ltd. 1,000 27,019 Ryowa Life Create Co., Ltd. 2,000 13,552 Sanden Corp. 5,000 20,540 Sangetsu Co., Ltd. 1,500 35,065 Sankyo Seiko Co., Ltd. 1,500 6,505 Sega Sammy Holdings, Inc. 5,000 160,928 Shaddy Co., Ltd. 500 6,873 T RAD Co., Ltd. 5,000 21,768 Touei Housing Corp. 1,000 20,243 Toyo Tire & Rubber Co., Ltd. 5,000 21,429 Toyobo Co., Ltd. 15,000 39,512 Toyota Auto Body Co., Ltd. 2,500 43,514 Toyota Motor Corp. 70,000 3,806,378 Yokohama Rubber Co., Ltd. (The) 10,000 48,024 ------------- Total Consumer Discretionary 7,248,282 -------------------------------------------------------------------------------- Consumer Staples -- 3.8% Aderans Co., Ltd. 1,000 25,918 Arcs Co., Ltd. 1,500 17,672 Circle K Sunkus Co. Ltd. 2,000 37,606 Coca-Cola West Japan Co., Ltd. 2,000 39,978 FamilyMart Co., Ltd. 2,000 54,716 Hokuto Corp. 1,000 16,601 Kao Corp. (a) 15,000 400,204 Lawson, Inc. 3,000 105,450 Mandom Corp. 1,000 24,393 Mikuni Coca-Cola Bottling Co., Ltd. 1,500 15,843 Ministop Co., Ltd. 1,000 16,982 Morinaga & Co., Ltd. 5,000 12,239 Nippon Beet Sugar Manufacturing Co., Ltd. 5,000 14,949 Shiseido Co., Ltd. 10,000 199,890 Showa Sangyo Co., Ltd. 5,000 12,663 ------------- Total Consumer Staples 995,104 -------------------------------------------------------------------------------- Energy -- 2.7% Cosmo Oil Co., Ltd. 15,000 61,873 Itochu Enex Co., Ltd. 2,500 14,484 Mitsuuroko Co., Ltd. 1,500 10,418 Nippon Oil Corp. 35,000 257,908 Showa Shell Sekiyu K.K. 13,000 144,903 TonenGeneral Sekiyu K.K. (a) 25,000 225,935 ------------- Total Energy 715,521 -------------------------------------------------------------------------------- Financials -- 7.4% Acom Co., Ltd. 4,650 198,501 Bank of Yokohama Ltd. (The) 20,000 157,540 Daiwa Securities Group, Inc. (a) 30,000 350,146 Ehime Bank Ltd. (The) 5,000 20,582 Fuji Fire & Marine Insurance Co., Ltd. (The) 10,000 40,147 Hitachi Capital Corp. 3,500 66,701 Hokuetsu Bank Ltd. (The) 10,000 25,749 Ichiyoshi Securities Co., Ltd. 1,500 20,086 Japan Securities Finance Co., Ltd. 2,500 29,602 Marusan Securities Co., Ltd. (a) 1,500 20,201 Matsui Securities Co., Ltd. 4,000 33,371 Meiwa Estate Co., Ltd. 500 7,686 Nikko Cordial Corp. 32,500 377,124 Okasan Holdings, Inc. 5,000 44,128 Promise Co., Ltd. 3,250 129,378 Sanyo Electric Credit Co., Ltd. 1,000 17,744 Shinki Co., Ltd. 2,500 13,764 Shinko Securities Co., Ltd. 10,000 39,554 Sumitomo Mitsui Financial Group, Inc. 4 42,011 Takefuji Corp. 5,350 245,602 Tokai Tokyo Securities Co., Ltd. 5,000 25,706 Urban Corp. 1,500 18,778 ------------- Total Financials 1,924,101 -------------------------------------------------------------------------------- Health Care -- 7.9% Astellas Pharma, Inc. 9,500 382,205 Eisai Co., Ltd. 7,000 338,542 Kaken Pharmaceutical Co., Ltd. 5,000 34,049 Nagaileben Co., Ltd. 500 9,656 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 49 Schedule of Investments (unaudited) (continued) WisdomTree Japan High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Nihon Kohden Corp. 1,000 $ 17,702 Paramount Bed Co., Ltd. 1,000 17,194 Seikagaku Corp. 1,000 10,774 SSP Co., Ltd. 5,000 28,417 Takeda Pharmaceutical Co., Ltd. 18,500 1,154,829 Tanabe Seiyaku Co., Ltd. 5,000 62,677 ------------- Total Health Care 2,056,045 -------------------------------------------------------------------------------- Industrials -- 10.5% Advan Co., Ltd. (a) 500 5,700 Aica Kogyo Co., Ltd. 1,500 19,400 Airport Facilities Co., Ltd. 1,500 8,919 Amano Corp. 2,000 25,647 Central Glass Co., Ltd. 5,000 27,697 Daiichi Chuo Kisen Kaisha 10,000 19,227 Fukuyama Transporting Co., Ltd. (a) 5,000 16,728 Futaba Corp. 1,000 26,596 Hanwa Co., Ltd. 10,000 36,336 Hibiya Engineering Ltd. 5,000 43,366 Hino Motors Ltd. 10,000 54,123 Hitachi Plant Technologies Ltd. 5,000 27,739 Idec Corp. 1,000 15,932 Inaba Denki Sangyo Co., Ltd. 500 15,627 Japan Pulp & Paper Co., Ltd. 5,000 19,269 JS Group Corp. 9,000 188,286 Kawasaki Kisen Kaisha Ltd. (a) 25,000 157,964 Maruzen Showa Unyu Co., Ltd. 5,000 17,406 Matsushita Electric Works Ltd. 10,000 105,704 Meitec Corp. 1,000 30,746 Mitsui & Co. Ltd. 35,000 445,264 Mitsui O.S.K. Lines Ltd. 40,000 295,769 Miura Co., Ltd. (a) 1,000 24,139 NEC Leasing Ltd. 500 10,291 Nippon Denwa Shisetsu Co., Ltd. 5,000 18,295 Nippon Koei Co., Ltd. 5,000 13,975 Nippon Sharyo Ltd. 5,000 12,366 Nippon Yusen K.K. (a) 45,000 274,044 Nishimatsu Construction Co., Ltd. 10,000 37,352 Nitto Kogyo Corp. 1,000 17,956 Nitto Kohki Co., Ltd. 500 10,693 Oiles Corp. 500 11,413 Okumura Corp. 5,000 27,485 Onoken Co., Ltd. 500 5,963 Raito Kogyo Co., Ltd. 2,500 8,279 Sankyo-Tateyama Holdings, Inc. 10,000 22,784 Sanwa Shutter Corp. 10,000 56,748 Senko Co., Ltd. 5,000 15,119 Shinmaywa Industries Ltd. 5,000 23,970 Shinwa Kaiun Kaisha Ltd. 5,000 15,119 Sumitomo Corp. 25,000 311,904 Taikisha Ltd. (a) 1,500 18,333 Takara Standard Co., Ltd. 5,000 28,671 Toa Corp. 5,000 5,887 Toda Corp. 5,000 23,419 Toenec Corp. 5,000 20,836 Tokyo Kikai Seisakusho Ltd. 5,000 15,754 Tonami Transportation Co., Ltd. 5,000 13,382 Toppan Forms Co., Ltd. 2,500 31,614 Toshiba Plant Systems & Services Corp. 5,000 23,970 Trusco Nakayama Corp. 1,000 19,015 Tsubaki Nakashima Co., Ltd. 1,000 14,712 ------------- Total Industrials 2,736,933 -------------------------------------------------------------------------------- Information Technology -- 8.2% Canon Inc. 24,750 1,291,323 Capcom Co., Ltd. (a) 1,500 21,802 Daiwabo Information System Co., Ltd. (a) 2,500 31,995 Eizo Nanao Corp. 500 12,917 Hakuto Co., Ltd. 1,000 13,738 Hitachi Systems & Services Ltd. (a) 500 9,719 Information Services International-Dentsu, Ltd. (a) 1,000 9,893 Kaga Electronics Co., Ltd. 500 9,380 Koei Co., Ltd. (a) 2,000 32,660 Konami Corp. 4,500 114,344 NEC Fielding Ltd. (a) 1,500 19,527 Nidec Copal Electronics Corp. 1,500 10,011 Nomura Research Institute Ltd. 500 69,453 Oracle Corp. Japan (a) 5,000 216,406 Ryosan Co., Ltd. 1,500 38,496 Ryoyo Electro Corp. 1,500 20,988 Sanshin Electronics Co., Ltd. 5,000 51,370 Square Enix Co., Ltd. 2,000 48,533 Sumida Corp. 500 10,143 Toa Corp. 5,000 39,936 Toshiba TEC Corp. 5,000 23,377 Toyo Corp. (a) 500 6,818 Yamatake Corp. 1,500 36,971 ------------- Total Information Technology 2,139,800 -------------------------------------------------------------------------------- Materials -- 7.4% Asahi Kasei Corp. 25,000 160,081 Asahi Organic Chemicals Industry Co., Ltd. 5,000 19,269 Chuetsu Pulp & Paper Co., Ltd. 5,000 10,841 Daiken Corp. 5,000 17,617 Earth Chemical Co., Ltd. 500 10,884 Hokuetsu Paper Mills Ltd. 5,000 30,365 JFE Holdings, Inc. 9,000 352,941 Kobe Steel Ltd. 40,000 125,693 Kureha Corp. 5,000 22,488 See Notes to Financial Statements. 50 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (concluded) WisdomTree Japan High-Yielding Equity Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Maruichi Steel Tube Ltd. 3,000 $ 71,274 Nifco, Inc. 1,500 32,524 Nihon Yamamura Glass Co., Ltd. 5,000 14,314 Nippon Kayaku Co., Ltd. 5,000 42,392 Nippon Light Metal Co., Ltd. 10,000 25,156 Nippon Metal Industry Co., Ltd. (a) 5,000 11,731 Nippon Steel Corp. 125,000 514,548 Nisshin Steel Co., Ltd. 25,000 74,112 NOF Corp. 5,000 31,339 OJI Paper Co., Ltd. 30,000 164,401 Okamoto Industries, Inc. 5,000 18,253 Sanyo Chemical Industries Ltd. (a) 5,000 34,091 Toagosei Co., Ltd. 5,000 19,989 Topy Industries Ltd. 5,000 19,184 Toyo Ink Manufacturing Co., Ltd. 5,000 19,565 Wood One Co., Ltd. (a) 5,000 46,966 Yodogawa Steel Works Ltd. 5,000 24,012 Yushiro Chemical Industry Co., Ltd. (a) 500 10,016 ------------- Total Materials 1,924,046 -------------------------------------------------------------------------------- Telecommunication Services -- 7.2% NTT DoCoMo, Inc. 1,225 1,888,367 -------------------------------------------------------------------------------- Utilities -- 16.6% Chubu Electric Power Co., Inc. 25,000 650,066 Chugoku Electric Power Co., Inc. (The) 12,500 263,626 Hokkaido Electric Power Co., Inc. 6,500 157,731 Hokuriku Electric Power Co. 7,000 146,445 Kansai Electric Power Co., Inc. (The) 28,500 657,794 Kyushu Electric Power Co., Inc. 18,500 437,174 Osaka Gas Co., Ltd. 55,000 191,928 Saibu Gas Co., Ltd. 10,000 22,699 Shikoku Electric Power Co., Inc. 8,000 174,480 TOHO GAS Co., Ltd. 15,000 64,541 Tohoku Electric Power Co., Inc. 15,000 328,421 Tokyo Electric Power Co., Inc. (The) (a) 43,000 1,238,301 ------------- Total Utilities 4,333,206 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $25,018,617) 25,961,405 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED -- 10.6% MONEY MARKET FUNDS (b) -- 10.6% AIM Liquid Assets Portfolio, 5.21% 10,800 10,800 AIM Prime Portfolio, 5.22% 40,200 40,200 UBS Enhanced Yield Portfolio, 5.30% 1,200,000 1,200,000 UBS Private Money Market Fund LLC, 5.23% 1,509,525 1,509,525 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $2,760,525) (c) 2,760,525 ================================================================================ TOTAL INVESTMENTS IN SECURITIES -- 110.0% (Cost: $27,779,142) (d) 28,721,930 Liabilities in Excess of Cash, Foreign Cash and Other Assets -- (10.0)% (2,611,957) ------------- NET ASSETS -- 100.0% $26,109,973 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2006. (c) At September 30, 2006, the total market value of the Fund's securities on loan was $2,582,126 and the total market value of the collateral held by the Fund was $2,760,525. (d) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 51 Schedule of Investments (unaudited) WisdomTree Japan SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.6% Consumer Discretionary - 21.0% ABC-Mart, Inc. 1,000 $ 22,361 Aisan Industry Co., Ltd. 1,200 11,526 Akebono Brake Industry Co., Ltd. 2,000 16,838 Alpine Electronics, Inc. 1,600 22,442 AOKI Holdings, Inc. 800 13,789 Arnest One Corp. 1,200 17,645 Asatsu-DK, Inc. 800 24,326 ASICS Corp. 2,000 26,070 Avex Group Holdings, Inc. 1,000 21,132 Belluna Co., Ltd. 500 8,428 Best Denki Co., Ltd. 5,000 31,042 Bosch Corp. 12,000 63,930 Calsonic Kansei Corp. 4,000 25,173 Chiyoda Co., Ltd. 1,200 26,477 Chofu Seisakusho Co., Ltd. 600 12,171 Cleanup Corp. 1,600 12,129 Culture Convenience Club Co., Ltd. 800 7,799 Daidoh Ltd. (a) 1,000 14,196 Daikoku Denki Co., Ltd. 200 4,853 Daiwa House Industry Co., Ltd. 3,684 63,809 DCM Japan Holdings Co., Ltd. 560 7,039 Don Quijote Co., Ltd. 600 12,705 Doshisha Co., Ltd. 400 7,132 Edion Corp. 1,400 24,012 Exedy Corp. 600 16,262 FCC Co., Ltd. 600 14,382 France Bed Holdings Co., Ltd. 8,000 17,279 Futaba Industrial Co., Ltd. 1,000 21,598 Gigas K's Denki Corp. 400 9,842 Goldcrest Co., Ltd. 370 20,088 Gulliver International Co., Ltd. 270 24,355 Gunze Ltd. 4,000 22,632 Hankyu Department Stores, Inc. 4,000 33,846 Heiwa Corp. 2,500 32,524 HIS Co., Ltd. 400 10,130 Hitachi Koki Co., Ltd. 2,000 26,697 Ichikoh Industries Ltd. 2,000 6,183 Iida Home Max 1,200 20,043 Impact 21 Co., Ltd. 800 14,196 Inaba Seisakusho Co., Ltd. 600 9,300 Japan General Estate Co., Ltd. (The) 800 19,142 Japan Wool Textile Co., Ltd. (The) 2,000 16,855 Kanto Auto Works Ltd. 1,800 21,344 Kato Sangyo Co., Ltd. 1,000 13,476 Kayaba Industry Co., Ltd. 6,000 27,036 Keihin Corp. 1,000 25,579 Kenwood Corp. 6,000 11,434 Koito Manufacturing Co., Ltd. 2,000 25,799 Kojima Co., Ltd. (a) 800 9,534 Komeri Co., Ltd. 800 26,697 Konaka Co., Ltd. (a) 420 5,969 Kurabo Industries Ltd. 6,000 16,313 Mars Engineering Corp. (a) 400 8,080 Matsuzakaya Holdings Co., Ltd. 1,000 6,454 Mitsui Home Co., Ltd. 2,000 15,347 Mizuno Corp. 2,000 14,162 MOS Food Services, Inc. 800 11,431 Musashi Seimitsu Industry Co., Ltd. (a) 600 15,551 Nice Corp. 2,000 8,233 Nidec Copal Corp. (a) 1,400 15,676 Nishimatsuya Chain Co., Ltd. 600 11,333 Nissan Shatai Co., Ltd. 2,000 10,825 Nisshinbo Industries, Inc. 4,000 42,248 Nissin Kogyo Co., Ltd. 1,000 22,361 Noritake Co., Ltd. 4,000 22,293 PanaHome Corp. (a) 4,000 28,561 Parco Co., Ltd. 1,400 17,467 Paris Miki, Inc. 2,700 46,767 Pentax Corp. (a) 2,000 8,775 Plenus Co., Ltd. 1,200 32,423 Point, Inc. 200 10,570 Press Kogyo Co., Ltd. 2,000 8,741 RESORTTRUST, Inc. 800 23,377 Right On Co., Ltd. (a) 400 13,247 Riken Corp. 2,000 13,603 Rinnai Corp. 800 22,903 Ryowa Life Create Co., Ltd. 2,300 15,585 Sanden Corp. 4,000 16,432 Sangetsu Co., Ltd. 1,800 42,079 Sankyo Seiko Co., Ltd. 2,000 8,673 Sanyo Shokai Ltd. 4,000 28,798 Seiko Corp. 2,000 14,704 Senshukai Co., Ltd. 2,000 22,530 Shaddy Co., Ltd. 600 8,248 Shimachu Co., Ltd. 600 17,634 Showa Corp. 1,200 21,751 T RAD Co., Ltd. 2,000 8,707 Tenma Corp. 600 11,384 Toei Co., Ltd. 2,000 13,823 Tokai Rika Co., Ltd. 1,400 27,214 Tokai Rubber Industries, Inc. 1,400 20,277 Tokyo Dome Corp. 2,000 10,079 Tokyo Style Co., Ltd. 2,000 24,105 Tokyotokeiba Co., Ltd. 4,000 12,061 See Notes to Financial Statements. 52 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- TOMY Co., Ltd. (a) 2,100 $ 14,603 Touei Housing Corp. 1,000 20,243 Toyo Tire & Rubber Co., Ltd. 6,000 25,715 Toyobo Co., Ltd. 18,000 47,414 Toyota Auto Body Co., Ltd. 2,700 46,995 Unitika Ltd. (a) 8,000 11,045 USS Co., Ltd. 520 33,429 Wacoal Holdings Corp. 2,000 25,206 Xebio Co., Ltd. 400 12,366 Yellow Hat Ltd. 800 9,012 Yokohama Reito Co., Ltd. 2,000 15,195 Yokohama Rubber Co., Ltd. (The) 12,000 57,628 Zenrin Co., Ltd. (a) 400 8,368 ------------- Total Consumer Discretionary 2,097,290 -------------------------------------------------------------------------------- Consumer Staples - 11.7% Aderans Co., Ltd. 1,000 25,918 Arcs Co., Ltd. 1,800 21,207 Ariake Japan Co., Ltd. 600 12,095 Asahi Soft Drinks Co., Ltd. 1,000 14,822 Calpis Co., Ltd. 2,000 14,992 Circle K Sunkus Co. Ltd. 2,100 39,487 Coca-Cola West Japan Co., Ltd. 2,100 41,977 Dydo Drinco, Inc. 200 7,826 Ezaki Glico Co., Ltd. 2,000 19,430 Fancl Corp. 1,000 14,594 Fuji Oil Co., Ltd. 2,100 19,014 Heiwado Co., Ltd. (a) 1,000 17,617 Hokuto Corp. 1,200 19,921 House Foods Corp. 2,700 44,595 Inageya Co. Ltd. 2,000 14,907 Itoham Foods, Inc. (a) 6,000 24,800 Izumiya Co., Ltd. 2,000 13,450 J-Oil Mills, Inc. 2,000 8,402 Kagome Co., Ltd. 1,600 24,014 Kasumi Co., Ltd. 2,000 11,485 Katokichi Co., Ltd. 3,500 28,607 Kobayashi Pharmaceutical Co., Ltd. 600 22,920 KOSE Corp. 800 25,816 Life Corp. 800 11,661 Lion Corp. (a) 6,000 32,321 Mandom Corp. 1,000 24,393 Maruha Group, Inc. (a) 6,000 14,534 Matsumotokiyoshi Co., Ltd. 1,000 24,055 Meiji Dairies Corp. 4,000 27,036 Meiji Seika Kaisha Ltd. 8,000 40,656 Mercian Corp. 4,000 10,130 Mikuni Coca-Cola Bottling Co., Ltd. 1,400 14,787 Ministop Co., Ltd. 800 13,586 Mitsui Sugar Co., Ltd. 2,000 6,623 Morinaga & Co., Ltd. 8,000 19,582 Morinaga Milk Industry Co., Ltd. 6,000 22,970 Myojo Foods Co., Ltd. 2,000 10,486 Nagatanien Co., Ltd. 2,000 15,144 Nichirei Corp. 6,000 31,661 Nippon Beet Sugar Manufacturing Co., Ltd. 4,000 11,960 Nippon Flour Mills Co., Ltd. 4,000 16,838 Nippon Suisan Kaisha Ltd. 7,100 39,089 Nisshin Oillio Group Ltd. (The) 2,000 11,604 Nosan Corp. 2,000 5,726 QP Corp. 3,500 33,083 Ryoshoku Ltd. 400 9,385 Sakata Seed Corp. 1,200 14,819 Sapporo Holdings Ltd. (a) 6,000 28,510 Seven & I Holdings Co., Ltd. 440 14,162 Showa Sangyo Co., Ltd. 6,000 15,195 Sundrug Co., Ltd. 1,000 22,953 T. Hasegawa Co., Ltd. (a) 1,000 14,788 Takara Holdings, Inc. 4,000 23,512 Tokyu Store Chain Co., Ltd. 2,000 11,858 Toyo Suisan Kaisha Ltd. 2,000 28,849 Valor Co., Ltd. 400 6,945 Yamazaki Baking Co., Ltd. 4,000 38,792 Yaoko Co., Ltd. 400 9,486 ------------- Total Consumer Staples 1,165,075 -------------------------------------------------------------------------------- Energy - 0.6% AOC Holdings, Inc. 600 10,596 Itochu Enex Co., Ltd. 3,300 19,117 Mitsuuroko Co., Ltd. 2,000 13,891 San-Ai Oil Co., Ltd. 2,000 7,877 Sinanen Co., Ltd. 2,000 9,961 ------------- Total Energy 61,442 -------------------------------------------------------------------------------- Financials - 13.0% Akita Bank Ltd. (The) 2,000 10,537 Aomori Bank Ltd. (The) 4,000 16,127 Awa Bank Ltd. (The) 4,000 22,157 Bank of Ikeda Ltd. (The) 400 20,599 Bank of Iwate Ltd. (The) 300 17,660 Bank of Nagoya Ltd. (The) 2,000 15,229 Bank of Okinawa Ltd. (The) 400 15,720 Bank of Saga Ltd. (The) 4,000 14,229 Central Finance Co., Ltd. 2,000 12,027 Century Leasing System, Inc. 1,000 12,840 Chukyo Bank Ltd. (The) 4,000 11,960 Cosmo Securities Co., Ltd. (a) 8,000 13,484 Daisan Bank Ltd. (The) 4,000 13,111 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 53 Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Daishi Bank Ltd. (The) 8,000 $ 34,828 Diamond City Co., Ltd. 800 37,876 Ehime Bank Ltd. (The) 4,000 16,466 Eighteenth Bank Ltd. (The) 2,000 10,079 Fuji Fire & Marine Insurance Co., Ltd. (The) 10,000 40,146 Fukui Bank Ltd. (The) 4,000 13,078 Fuyo General Lease Co., Ltd. 400 11,248 Heiwa Real Estate Co., Ltd. 3,000 18,702 Higo Bank Ltd. (The) 4,000 28,018 Hitachi Capital Corp. 3,700 70,511 Hokkoku Bank Ltd. (The) 8,000 35,845 Hokuetsu Bank Ltd. (The) 10,000 25,749 Hyakugo Bank Ltd. (The) 4,000 25,816 Hyakujushi Bank Ltd. (The) 4,000 25,037 Ichiyoshi Securities Co., Ltd. 1,400 18,747 JACCS Co., Ltd. 2,000 21,243 Japan Securities Finance Co., Ltd. 3,100 36,707 Juroku Bank Ltd. (The) 6,000 35,624 Kagoshima Bank Ltd. (The) 2,000 14,704 Keiyo Bank Ltd. (The) 4,000 22,530 Marusan Securities Co., Ltd. (a) 1,600 21,547 Meiwa Estate Co., Ltd. 600 9,224 Michinoku Bank Ltd. (The) 2,000 7,996 Mie Bank Ltd. (The) 2,000 10,113 Millea Holdings, Inc. 252 8,794 Mito Securities Co., Ltd. 2,000 10,249 Miyazaki Bank Ltd. (The) 2,000 10,147 Musashino Bank Ltd. (The) 400 22,191 Nissin Co., Ltd. 57,300 35,914 Ogaki Kyoritsu Bank Ltd. (The) 4,000 18,261 Oita Bank Ltd. (The) 2,000 14,365 Okasan Holdings, Inc. 4,000 35,303 Pocket Card Co., Ltd. 1,200 10,825 Ricoh Leasing Co., Ltd. 400 10,164 San-In Godo Bank Ltd. (The) 2,000 18,295 Sanyo Electric Credit Co., Ltd. 1,000 17,744 Sanyo Shinpan Finance Co., Ltd. 820 32,782 Shiga Bank Ltd. (The) 2,000 12,739 Shikoku Bank Ltd. (The) 4,000 18,261 Shinki Co., Ltd. 2,900 15,966 Shoei Co., Ltd. 440 13,603 Sumisho Lease Co., Ltd. 400 22,564 Sumitomo Real Estate Sales Co., Ltd. 290 24,710 TOC Co., Ltd. 2,000 10,537 Tochigi Bank Ltd. (The) 2,000 12,434 Toho Bank Ltd. (The) 4,000 17,313 Tokai Tokyo Securities Co., Ltd. 6,000 30,847 Tokyo Tomin Bank Ltd. (The) 800 33,609 Tomato Bank Ltd. 4,000 9,249 Towa Bank Ltd. (The) 4,000 9,385 Toyo Securities Co., Ltd. 2,000 9,554 Yamagata Bank Ltd. (The) 2,000 10,638 Yamanashi Chuo Bank Ltd. (The) 2,000 14,162 ------------- Total Financials 1,298,119 -------------------------------------------------------------------------------- Health Care - 4.5% Alfresa Holdings Corp. 700 44,408 Fuso Pharmaceutical Industries, Ltd. 2,000 6,064 Hitachi Medical Corp. 2,000 21,293 Hogy Medical Co., Ltd. 200 8,843 Kaken Pharmaceutical Co., Ltd. 2,000 13,620 Kissei Pharmaceutical Co., Ltd. 2,000 34,473 Miraca Holdings, Inc. 400 9,927 Mochida Pharmaceutical Co., Ltd. 2,000 16,466 Nagaileben Co., Ltd. 800 15,449 Nichii Gakkan Co. (a) 600 9,386 Nihon Kohden Corp. 1,200 21,243 Nikkiso Co., Ltd. 2,000 18,871 Nippon Shinyaku Co., Ltd. 2,000 16,313 Nipro Corp. 2,000 36,505 Paramount Bed Co., Ltd. 1,200 20,633 Seikagaku Corp. 1,400 15,083 SSP Co., Ltd. 4,000 22,733 Sysmex Corp. 400 15,246 Toho Pharmaceutical Co., Ltd. 400 7,149 Topcon Corp. (a) 600 8,639 Torii Pharmaceutical Co., Ltd. 600 11,053 Towa Pharmaceutical Co., Ltd. 400 10,164 Tsumura & Co. 2,000 46,245 ZERIA Pharmaceutical Co., Ltd. 2,000 18,261 ------------- Total Health Care 448,067 -------------------------------------------------------------------------------- Industrials - 24.2% Advan Co., Ltd. (a) 600 6,840 Aica Kogyo Co., Ltd. 1,800 23,280 Aichi Corp. 1,200 11,221 Aida Engineering Ltd. 2,000 12,400 Airport Facilities Co., Ltd. 1,600 9,513 Amano Corp. 2,300 29,494 Asahi Diamond Industrial Co., Ltd. 2,000 14,179 Asahi Pretec Corp. 600 13,848 Bando Chemical Industries Ltd. 2,000 9,029 Bunka Shutter Co., Ltd. 2,000 11,113 Central Glass Co., Ltd. 6,000 33,236 Chudenko Corp. 1,200 18,447 CKD Corp. 1,000 11,409 COMSYS Holdings Corp. 2,000 21,954 See Notes to Financial Statements. 54 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Cosel Co., Ltd. 600 $ 10,494 Daifuku Co., Ltd. 1,000 12,612 Daiichi Chuo Kisen Kaisha 10,000 19,227 Ebara Corp. (a) 10,000 36,251 Fujitec Co., Ltd. 2,000 12,519 Fukuyama Transporting Co., Ltd. (a) 8,000 26,765 Futaba Corp. 1,400 37,234 Goodwill Group, Inc. (The) 29 17,538 Hanwa Co., Ltd. 10,000 36,336 Hibiya Engineering Ltd. 2,000 17,346 Hitachi Cable Ltd. 8,000 36,116 Hitachi Plant Technologies Ltd. 6,000 33,287 Hitachi Transport System Ltd. 2,500 24,457 IBJ Leasing Co., Ltd. 400 9,978 Idec Corp. 1,200 19,118 Iino Kaiun Kaisha Ltd. 3,500 32,461 Inaba Denki Sangyo Co., Ltd. 800 25,003 Iseki & Co., Ltd. (a) 2,000 5,980 Iwatani International Corp. (a) 4,000 11,688 Japan Airport Terminal Co., Ltd. 1,400 15,297 Japan Foundation Engineering Co., Ltd. 2,700 10,634 Japan Pulp & Paper Co., Ltd. 4,000 15,415 Kamigumi Co., Ltd. 4,000 31,203 Kandenko Co., Ltd. 4,000 27,476 Keisei Electric Railway Co., Ltd. 4,000 24,529 Kintetsu World Express, Inc. 400 9,232 Kitz Corp. 2,000 15,991 Kokuyo Co., Ltd. 1,800 28,632 Komori Corp. 2,000 40,740 Kyodo Printing Co., Ltd. 2,000 7,166 Kyowa Exeo Corp. 2,000 20,904 Kyudenko Corp. 2,000 10,367 Maeda Corp. 4,000 17,482 Maeda Road Construction Co., Ltd. 2,000 14,500 Makino Milling Machine Co., Ltd. 2,000 17,025 Maruzen Showa Unyu Co., Ltd. 2,000 6,962 Max Co., Ltd. 2,000 27,849 Meidensha Corp. (a) 4,000 14,433 Meitec Corp. 1,200 36,895 Minebea Co., Ltd. 6,000 32,829 MISUMI Group, Inc. 1,000 17,152 Mitsuboshi Belting Co., Ltd. 2,000 12,620 Mitsui-Soko Co., Ltd. 2,000 10,960 Miura Co., Ltd. 1,000 24,139 Moshi Moshi Hotline, Inc. 200 7,538 Nabtesco Corp. 2,000 22,699 Nachi-Fujikoshi Corp. 4,000 19,278 Nagase & Co., Ltd. 2,000 24,902 NEC Leasing Ltd. 400 8,233 NEC Networks & System Integration Corp. 800 8,463 Nichias Corp. 2,000 14,077 Nichiha Corp. 600 8,065 Nippo Corp. 2,000 16,279 Nippon Densetsu Kogyo Co., Ltd. 2,000 12,976 Nippon Denwa Shisetsu Co., Ltd. 2,000 7,318 Nippon Kanzai Co., Ltd. 400 8,758 Nippon Koei Co., Ltd. 2,000 5,590 Nippon Konpo Unyu Soko Co., Ltd. 2,000 25,935 Nippon Sharyo Ltd. 4,000 9,893 Nippon Signal Co., Ltd. (The) 2,100 14,443 Nippon Thompson Co., Ltd. 2,000 19,430 Nishimatsu Construction Co., Ltd. (a) 10,000 37,352 Nishi-Nippon Railroad Co., Ltd. 8,000 29,950 Nissan Diesel Motor Co., Ltd. 2,000 7,894 Nissha Printing Co., Ltd. 600 27,239 Nissin Corp. 2,000 7,742 Nitto Boseki Co., Ltd. 4,000 13,213 Nitto Kogyo Corp. 1,000 17,956 Nitto Kohki Co., Ltd. 600 12,832 Nomura Co., Ltd. 2,000 11,113 Noritz Corp. 1,200 20,887 Oiles Corp. 400 9,131 Okamura Corp. 2,000 23,343 Okuma Holdings, Inc. 2,000 17,702 Okumura Corp. 6,000 32,982 Onoken Co., Ltd. 800 9,541 OSG Corp. 2,100 29,917 Raito Kogyo Co., Ltd. 2,500 8,279 Ryobi Ltd. 2,000 14,975 Sagami Railway Co., Ltd. 10,000 34,473 Sanki Engineering Co., Ltd. 2,000 11,892 Sankyo-Tateyama Holdings, Inc. 12,000 27,341 Sankyu, Inc. 2,000 11,502 Sanwa Shutter Corp. 8,000 45,398 Sanyo Denki Co., Ltd. 2,000 13,162 Sato Corp. 600 12,070 Secom Techno Service Co., Ltd. 1,000 44,043 Seino Holdings Corp. 4,000 47,058 Senko Co., Ltd. 4,000 12,095 Shinmaywa Industries Ltd. 2,000 9,588 Shinwa Kaiun Kaisha Ltd. 8,000 24,190 Sohgo Security Services Co., Ltd. 2,500 44,254 Sumitomo Warehouse Co., Ltd. (The) 4,000 28,594 Tadano Ltd. 2,000 18,414 Taikisha Ltd. (a) 1,400 17,111 Takara Standard Co., Ltd. 4,000 22,937 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 55 Schedule of Investments (unaudited) (continued) WisdomTree Japan SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Takasago Thermal Engineering Co., Ltd. 2,000 $ 16,940 Takuma Co., Ltd. 2,000 10,520 Toa Corp. 6,000 7,064 Toda Corp. 8,000 37,471 Toenec Corp. 4,000 16,669 Tokyo Kikai Seisakusho Ltd. 2,000 6,302 Tokyo Leasing Co., Ltd. 1,000 12,857 Tonami Transportation Co., Ltd. 2,000 5,353 Toppan Forms Co., Ltd. 3,100 39,201 Toshiba Machine Co., Ltd. 2,000 15,873 Toshiba Plant Systems & Services Corp. 4,000 19,176 Trusco Nakayama Corp. 1,000 19,015 Tsubaki Nakashima Co., Ltd. 1,400 20,597 Tsubakimoto Chain Co. 4,000 18,464 Tsukishima Kikai Co., Ltd. (a) 2,000 21,768 UFJ Central Leasing Co., Ltd. 200 9,164 Union Tool Co. 200 8,317 Yurtec Corp. 2,000 9,300 ------------- Total Industrials 2,424,903 -------------------------------------------------------------------------------- Information Technology - 11.9% Anritsu Corp. 2,000 10,706 Arisawa Manufacturing Co., Ltd. (a) 1,400 17,135 Canon Electronics, Inc. 600 21,039 Canon Finetech, Inc. 600 10,545 Capcom Co., Ltd. (a) 1,800 26,162 CMK Corp. 600 6,276 Daiwabo Information System Co., Ltd. 1,000 12,798 Denki Kogyo Co., Ltd. 2,000 17,346 Disco Corp. 300 18,422 Eizo Nanao Corp. 600 15,500 Fuji Soft ABC, Inc. 400 10,435 Fujitsu Devices, Inc. 2,000 25,579 Hakuto Co., Ltd. 1,000 13,738 Hamamatsu Photonics K.K. 1,000 30,661 Hitachi Information Systems Ltd. 1,000 18,930 Hitachi Kokusai Electric, Inc. 2,000 23,275 Hitachi Maxell Ltd. 2,300 29,845 Hitachi Software Engineering Co., Ltd. 1,200 21,395 Hitachi Systems & Services Ltd. 400 7,775 Horiba Ltd. 400 12,197 Information Services International-Dentsu Ltd. (a) 1,000 9,893 Invoice, Inc. (a) 562 19,278 Japan Aviation Electronics Industry Ltd. 2,000 28,323 Japan Digital Laboratory Co., Ltd. 800 12,434 Kaga Electronics Co., Ltd. 800 15,009 Koei Co., Ltd. (a) 2,300 37,560 Mimasu Semiconductor Industry Co., Ltd. 400 8,334 Mitsumi Electric Co., Ltd. 1,400 19,328 NEC Fielding Ltd. 2,100 27,338 NEC Mobiling Ltd. 600 11,739 Nichicon Corp. 1,600 21,195 Nidec Copal Electronics Corp. 1,200 8,009 Nihon Unisys Ltd. 800 14,331 Nippon Chemi-Con Corp. 2,000 14,297 Nippon System Development Co., Ltd. 400 16,296 NS Solutions Corp. 800 20,802 OBIC Business Consultants Ltd. 400 29,814 Obic Co., Ltd. 110 23,264 Oki Electric Industry Co., Ltd. 10,000 22,530 Roland DG Corp. 400 12,840 Ryoden Trading Co., Ltd. 2,000 14,229 Ryosan Co., Ltd. 1,400 35,930 Ryoyo Electro Corp. 1,600 22,388 Sanken Electric Co., Ltd. 2,000 25,884 Sanshin Electronics Co., Ltd. 2,000 20,548 Shimadzu Corp. 4,000 30,797 SMK Corp. 2,000 13,738 Star Micronics Co., Ltd. 2,100 39,932 Sumida Corp. 600 12,171 Sumisho Computer Systems Corp. 1,200 24,241 Taiyo Yuden Co., Ltd. 2,000 30,051 TIS, Inc. 800 18,871 TKC Corp. 600 11,409 Toa Corp. 2,000 15,974 Tokyo Seimitsu Co., Ltd. 400 21,005 Toshiba TEC Corp. 8,000 37,404 Toyo Corp. (a) 800 10,909 Trans Cosmos, Inc. 600 11,816 ULVAC, Inc. 400 14,060 Uniden Corp. 2,000 21,090 Yamatake Corp. 1,600 39,437 ------------- Total Information Technology 1,194,257 -------------------------------------------------------------------------------- Materials - 11.7% Achilles Corp. 4,000 7,420 ADEKA Corp. 1,800 19,286 Aichi Steel Corp. 2,000 13,941 Air Water, Inc. 4,000 37,573 Asahi Organic Chemicals Industry Co., Ltd. 2,000 7,708 Chuetsu Pulp & Paper Co., Ltd. 4,000 8,673 Daiken Corp. 4,000 14,094 Dainichiseika Color & Chemicals Manufacturing Co., Ltd. 2,000 10,570 Daio Paper Corp. 2,000 17,753 Denki Kagaku Kogyo K.K. 10,000 38,792 Earth Chemical Co., Ltd. 600 13,061 Fuji Seal International, Inc. 400 10,503 See Notes to Financial Statements. 56 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (concluded) WisdomTree Japan SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Godo Steel Ltd. 4,000 $ 21,547 Gun-Ei Chemical Industry Co., Ltd. 2,000 5,997 Hokuetsu Paper Mills Ltd. 6,000 36,438 Koatsu Gas Kogyo Co., Ltd. 2,000 11,943 Kureha Corp. 6,000 26,985 Lintec Corp. 800 18,532 Maruichi Steel Tube Ltd. 3,100 73,649 Mitsubishi Plastics, Inc. 4,000 11,587 Mitsubishi Steel Manufacturing Co., Ltd. 2,000 10,113 Nakayama Steel Works Ltd. 4,000 13,654 Nifco, Inc. 2,100 45,533 Nihon Parkerizing Co., Ltd. 2,000 33,371 Nihon Yamamura Glass Co., Ltd. 4,000 11,451 Nippon Denko Co., Ltd. 4,000 16,432 Nippon Kayaku Co., Ltd. 4,000 33,914 Nippon Light Metal Co., Ltd. 12,000 30,187 Nippon Metal Industry Co., Ltd. (a) 6,000 14,077 Nippon Paint Co., Ltd. (a) 8,000 41,672 Nippon Valqua Industries Ltd. 4,000 13,382 NOF Corp. 4,000 25,071 Okamoto Industries, Inc. 4,000 14,602 Pacific Metals Co., Ltd. 4,000 31,339 Rengo Co., Ltd. 4,000 26,629 S.T. Chemical Co., Ltd. (a) 800 10,428 Sanyo Chemical Industries Ltd. (a) 4,000 27,273 Sanyo Special Steel Co., Ltd. 2,000 15,483 Shin-Etsu Polymer Co., Ltd. 800 11,506 Sumitomo Bakelite Co., Ltd. 4,000 30,221 Sumitomo Light Metal Industries Ltd. 6,000 12,552 Sumitomo Osaka Cement Co., Ltd. 8,000 23,716 Sumitomo Seika Chemicals Co., Ltd. 2,000 11,672 Taiyo Ink Manufacturing Co., Ltd. 200 11,113 Takasago International Corp. 2,000 9,639 Toagosei Co., Ltd. 8,000 31,982 Toho Zinc Co., Ltd. 2,000 15,449 Tokai Carbon Co., Ltd. 2,000 12,739 Tokyo Ohka Kogyo Co., Ltd. 800 21,276 Tomoku Co., Ltd. 4,000 9,080 Topy Industries Ltd. 4,000 15,347 Toyo Ink Manufacturing Co., Ltd. 8,000 31,305 Wood One Co., Ltd. (a) 2,000 18,786 Yamato Kogyo Co., Ltd. 1,600 34,489 Yodogawa Steel Works Ltd. 8,000 38,420 Yushiro Chemical Industry Co., Ltd. (a) 600 12,019 ------------- Total Materials 1,171,974 -------------------------------------------------------------------------------- Utilities - 1.0% Saibu Gas Co., Ltd. 12,000 27,239 TOHO GAS Co., Ltd. 14,000 60,238 Tokai Corp. 2,000 7,369 ------------- Total Utilities 94,846 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $9,780,328) 9,955,973 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.7% MONEY MARKET FUNDS (b) - 3.7% UBS Enhanced Yield Portfolio, 5.30% 200,000 200,000 UBS Private Money Market Fund LLC, 5.23% 177,744 177,744 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $377,744) (c) 377,744 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 103.3% (Cost: $10,158,072) (d) 10,333,717 Liabilities in Excess of Cash, Foreign Cash and Other Assets - (3.3)% (332,917) ------------- NET ASSETS - 100.0% 10,000,800 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Interest rates shown reflect yields as of September 30, 2006. (c) At September 30, 2006, the total market value of the Fund's securities on loan was $350,799 and the total market value of the collateral held by the Fund was $377,744. (d) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 57 Schedule of Investments (unaudited) WisdomTree Pacific ex-Japan Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 98.2% Australia - 58.3% A.B.C. Learning Centres Ltd. (a) 4,786 $ 22,358 Adelaide Bank Ltd. (a) 2,606 24,990 Adelaide Brighton Ltd. 12,876 22,677 Alinta Ltd. 3,178 27,036 Allco Finance Group Ltd. 2,984 23,693 Alumina Ltd. 9,216 42,571 Amcor Ltd. 9,603 53,245 AMP Ltd. 17,342 115,697 APN News & Media Ltd. 6,414 24,315 Aristocrat Leisure Ltd. 2,974 31,292 Australia & New Zealand Banking Group Ltd. 21,895 438,869 Australian Gas Light Co., Ltd. 4,758 76,162 Australian Pipeline Trust 1,714 6,229 Australian Stock Exchange Ltd. 4,560 110,594 AXA Asia Pacific Holdings Ltd. 8,600 41,715 Bank of Queensland Ltd. (a) 2,408 27,799 Baycorp Advantage Ltd. 10,087 22,883 Bendigo Bank Ltd. 2,649 28,565 BHP Billiton Ltd. 14,655 280,296 Billabong International Ltd. (a) 2,300 25,145 BlueScope Steel Ltd. 11,723 56,689 Boral Ltd. 6,127 33,058 Brambles Industries Ltd. (a) 6,028 57,355 Caltex Australia Ltd. 1,860 33,174 Challenger Financial Services Group Ltd. 9,866 25,548 Coates Hire Ltd. 5,346 22,740 Coca-Cola Amatil Ltd. 9,726 48,556 Cochlear Ltd. 628 24,838 Coles Myer Ltd. 11,745 126,124 Commonwealth Bank of Australia 16,853 575,376 Computershare Ltd. 4,164 23,959 Corporate Express Australia Ltd. 5,255 20,588 CSL Ltd. 606 24,434 CSR Ltd. 9,378 20,855 David Jones Ltd. (a) 11,329 29,505 Downer EDI Ltd. 4,125 18,470 Energy Resources of Australia Ltd. 2,717 25,345 Foster's Group Ltd. 21,078 101,298 Futuris Corp., Ltd. 14,712 22,287 Harvey Norman Holdings Ltd. 8,201 21,665 Iluka Resources Ltd. 4,935 26,184 Insurance Australia Group Ltd. 23,552 92,800 John Fairfax Holdings Ltd. 12,772 40,220 Leighton Holdings Ltd. 2,340 33,772 Lend Lease Corp. Ltd. 4,834 57,790 Lion Nathan Ltd. 5,910 35,724 Macquarie Bank Ltd. 1,800 92,886 Metcash Ltd. 7,653 24,786 National Australia Bank Ltd. 19,795 542,133 Newcrest Mining Ltd. 1,633 27,419 Nufarm Ltd. (a) 3,140 22,964 OneSteel Ltd. 8,596 26,942 Orica Ltd. 2,097 35,163 Origin Energy Ltd. 5,473 27,242 PaperlinX Ltd. 10,276 29,524 Perpetual Ltd. (a) 483 26,348 Promina Group Ltd. 11,991 53,063 Publishing & Broadcasting Ltd. 5,557 77,297 Qantas Airways Ltd. 34,856 101,703 QBE Insurance Group Ltd. 6,075 111,070 Rinker Group Ltd. 3,339 34,635 Rio Tinto Ltd. (a) 1,756 91,860 Rural Press Ltd. 3,019 25,008 Santos Ltd. 5,703 47,623 Seek Ltd. 7,287 27,462 Seven Network Ltd. (a) 3,869 25,437 Sigma Pharmaceuticals Ltd. 12,876 25,079 Sims Group Ltd. 1,868 28,856 Sonic Healthcare Ltd. 2,324 22,858 St.George Bank Ltd. 6,934 156,477 Suncorp-Metway Ltd. 7,526 123,221 Symbion Health Ltd. 10,585 27,015 TABCORP Holdings Ltd. 8,211 95,771 Telstra Corp. Ltd. (a) 125,078 346,289 Ten Network Holdings Ltd. (a) 10,982 23,930 Toll Holdings Ltd. 2,207 25,347 Transfield Services Ltd. 4,246 26,774 United Group Ltd. 2,434 25,792 Washington H. Soul Pattinson & Co., Ltd. 3,865 24,026 Wesfarmers Ltd. 5,914 154,156 West Australian Newspapers Holdings Ltd. 3,740 25,314 Westpac Banking Corp. 22,231 376,756 Woodside Petroleum Ltd. 4,096 119,973 Woolworths Ltd. 9,746 147,350 WorleyParsons Ltd. 1,641 20,573 ------------- Total Australia 6,290,607 -------------------------------------------------------------------------------- Hong Kong - 26.0% Bank of East Asia Ltd. 13,216 60,294 Beijing Enterprises Holdings Ltd. 4,004 7,554 BOC Hong Kong (Holdings) Ltd. 96,626 217,005 Cheung Kong (Holdings) Ltd. 10,015 107,511 China Merchants Holdings (International) Co., Ltd. 8,009 23,486 China Mobile Ltd. 84,613 597,766 See Notes to Financial Statements. 58 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree Pacific ex-Japan Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- China National Aviation Co., Ltd. 12,017 $ 4,241 China Netcom Group Corp. Ltd. 4,004 7,184 China Overseas Land & Investment Ltd. 20,026 15,446 China Resources Enterprise, Ltd. 8,009 17,350 China Resources Power Holdings Co. 12,017 12,708 China Travel International Investment Hong Kong Ltd. 40,052 8,841 China Unicom Ltd. 36,047 35,528 CITIC International Financial Holdings Ltd. (a) 28,039 16,120 CITIC Pacific Ltd. 20,026 61,680 CLP Holdings Ltd. 24,031 145,562 CNOOC Ltd. 107,140 89,097 Dah Sing Banking Group Ltd. 4,004 8,561 Dah Sing Financial Holdings Ltd. 799 7,193 Denway Motors Ltd. 40,052 14,495 Guangdong Investment Ltd. 28,039 11,335 Guangzhou Investment Co., Ltd. 16,022 3,146 Hang Lung Group Ltd. 8,009 20,608 Hang Lung Properties Ltd. 26,033 55,592 Hang Seng Bank Ltd. 19,927 251,765 Henderson Investment Ltd. 12,017 21,683 Henderson Land Development Co., Ltd. 8,009 45,018 Hong Kong & China Gas Co. Ltd. (The) 8,009 18,768 Hong Kong Aircraft Engineering Co. Ltd. 799 11,351 Hong Kong Exchanges and Clearing Ltd. 4,004 29,212 Hongkong & Shanghai Hotels Ltd. (The) 6,006 7,631 Hongkong Electric Holdings Ltd. 19,025 88,994 Hopewell Holdings Ltd. 6,006 17,111 Hung Hing Printing Group Ltd. 12,017 6,477 Hutchison Whampoa Ltd. 20,026 176,814 Hysan Development Co., Ltd. 4,004 10,267 i-CABLE Communications Ltd. 34,045 6,685 Industrial & Commercial Bank of China Ltd. 10,015 17,454 Lenovo Group Ltd. (a) 32,043 12,583 MTR Corp. 23,030 57,810 New World Development Ltd. 16,022 27,593 Oriental Press Group Ltd. 36,047 6,476 PCCW Ltd. 42,054 25,689 Shanghai Industrial Holdings Ltd. 6,006 11,346 Shaw Brothers (Hong Kong) Ltd. 6,006 11,099 Shenzhen Investment Ltd. 12,017 4,241 Shun TAK Holdings Ltd. 4,004 4,717 Silver Grant International Industries Ltd. 12,017 2,853 Singamas Container Holdings Ltd. 8,009 4,214 Sino Land Co. (a) 16,022 28,375 Sun Hung Kai & Co., Ltd. 10,015 9,806 Sun Hung Kai Properties Ltd. 14,019 153,013 Swire Pacific Ltd. Class A 5,006 52,294 Swire Pacific Ltd. Class B 15,020 28,104 Techtronic Industries Co. 5,006 7,388 Television Broadcasts Ltd. 2,002 10,791 Wharf Holdings Ltd. 12,017 41,176 Wheelock & Co., Ltd. 4,004 7,009 Wheelock Properties Ltd. 10,015 7,686 Wing Hang Bank Ltd. 2,002 19,552 Wing Lung Bank Ltd. 1,804 17,769 ------------- Total Hong Kong 2,809,117 -------------------------------------------------------------------------------- New Zealand - 3.0% Air New Zealand Ltd. 11,841 10,360 Auckland International Airport Ltd. 14,226 18,855 CanWest MediaWorks (NZ) Ltd. 2,813 2,590 Contact Energy Ltd. 4,351 20,311 Fisher & Paykel Appliances Holdings Ltd. 3,245 7,648 Fisher & Paykel Healthcare Corp. 3,779 10,239 Fletcher Building Ltd. 5,360 30,026 Freightways Ltd. 1,702 4,123 Hallenstein Glasson Holdings Ltd. 1,218 4,191 Infratil Ltd. 1,629 4,382 Mainfreight Ltd. 471 2,014 New Zealand Refining Co., Ltd. (The) 3,414 14,043 Nuplex Industries Ltd. 1,041 4,350 PGG Wrightson Ltd. 3,573 3,872 Port of Tauranga Ltd. 1,485 4,799 Pumpkin Patch Ltd. 982 2,597 Ryman Healthcare Ltd. 406 2,359 Sanford Ltd. 1,282 3,976 Sky City Entertainment Group Ltd. 5,674 19,634 Steel & Tube Holdings Ltd. 1,790 5,376 Telecom Corp. of New Zealand Ltd. 47,472 134,826 Tourism Holdings Ltd. 1,826 2,325 Vector Ltd. 6,622 10,247 ------------- Total New Zealand 323,143 -------------------------------------------------------------------------------- Singapore - 10.9% Allgreen Properties Ltd. 10,000 10,023 Ascendas Real Estate Investment Trust 14,000 18,974 Ascott Group Ltd. (The) 8,000 5,144 CapitaCommercial Trust 4,000 5,572 CapitaLand Ltd. 6,000 19,100 CapitaMall Trust Management Ltd. 12,000 19,213 Cerebos Pacific Ltd. 2,000 3,694 Chuan Hup Holdings Ltd. 36,000 7,262 City Developments Ltd. 2,000 13,490 ComfortDelgro Corp., Ltd. 16,000 17,045 Cosco Corp. (Singapore) Ltd. 6,000 6,278 Creative Technology Ltd. 800 5,245 DBS Group Holdings Ltd. 14,000 169,440 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 59 Schedule of Investments (unaudited) (concluded) WisdomTree Pacific ex-Japan Total Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Elec & Eltek International Co., Ltd. 2,000 $ 5,320 Fraser and Neave Ltd. 10,000 26,097 Guocoland Ltd. 4,000 6,026 Haw Par Corp., Ltd. 2,000 8,006 Hi-P International Ltd. 6,000 3,158 Hong Leong Finance Ltd. 4,000 8,220 Jardine Cycle & Carriage Ltd. 2,000 15,129 Jaya Holdings Ltd. 8,000 7,010 Keppel Corp. Ltd. 2,000 18,659 Keppel Land Ltd. 2,000 6,253 Keppel Telecommunications & Transportation Ltd. 4,000 3,984 Labroy Marine Ltd. 6,000 6,430 MFS Technology Ltd. 6,000 4,009 MobileOne Ltd. 12,000 15,961 Oversea-Chinese Banking Corp. Ltd. 22,000 90,835 Overseas Union Enterprise Ltd. 4,000 25,719 Parkway Holdings Ltd. 6,000 10,590 Petra Foods Ltd. 6,000 6,089 Raffles Education Corp., Ltd. 2,000 3,202 Raffles Holdings Ltd. 12,000 5,522 SBS Transit Ltd. 3,000 4,160 SembCorp Industries Ltd. 8,000 16,944 SembCorp Marine Ltd. 8,000 16,843 SIA Engineering Co., Ltd. 4,000 8,875 Singapore Airlines Ltd. 8,000 73,626 Singapore Airport Terminal Services Ltd. 8,000 10,993 Singapore Exchange Ltd. 4,000 11,195 Singapore Land Ltd. 2,000 9,897 Singapore Petroleum Co., Ltd. 2,000 5,925 Singapore Post Ltd. 22,000 14,007 Singapore Press Holdings Ltd. 12,000 31,014 Singapore Technologies Engineering Ltd. 8,000 14,372 Singapore Telecommunications Ltd. 97,450 149,885 SMRT Corp. Ltd. 18,000 12,595 StarHub Ltd. 15,714 22,287 Straits Trading Co., Ltd. 2,000 3,719 Suntec Real Estate Investment Trust 14,000 13,061 United Industrial Corp., Ltd. 4,000 4,110 United Overseas Bank Ltd. 12,000 123,298 UOB Kay Hian Holdings Ltd. 8,000 6,505 UOL Group Ltd. 4,000 8,825 Venture Corp., Ltd. 2,000 15,885 Want Want Holdings Ltd. 4,000 6,200 WBL Corp., Ltd. (a) 2,000 6,278 Wheelock Properties (Singapore) Ltd. 4,000 4,513 ------------- Total Singapore 1,171,711 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $10,109,419) 10,594,578 ================================================================================ WARRANTS* - 0.0% Hong Kong - 0.0% China Overseas Land & Investment Ltd., expiring 07/18/07 (Cost: $0) 5,071 1,093 ------------- TOTAL LONG-TERM INVESTMENTS (Cost: $10,109,419) 10,595,671 ================================================================================ SHORT-TERM INVESTMENT - 1.1% MONEY MARKET FUND - 1.1% United States - 1.1% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $119,055) 119,055 119,055 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.6% MONEY MARKET FUNDS (c) - 3.6% UBS Enhanced Yield Portfolio, 5.30% 100,000 100,000 UBS Private Money Market Fund LLC, 5.23% 289,768 289,768 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $389,768) (d) 389,768 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 102.9% (Cost: $10,618,242) (e) 11,104,494 Liabilities in Excess of Cash, Foreign Cash and Other Assets - (2.9)% (315,793) ------------- NET ASSETS - 100.0% $10,788,701 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $366,897 and the total market value of the collateral held by the Fund was $389,768. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 60 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree Pacific ex-Japan High-Yielding Equity Fund September 30, 2006 (unaudited) ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 98.6% Australia - 86.2% Adelaide Bank Ltd. (a) 8,167 $ 78,316 Adelaide Brighton Ltd. 40,563 71,438 Alesco Corp., Ltd. (a) 8,203 57,542 Alinta Ltd. 15,424 131,216 Amcor Ltd. 40,071 222,179 Austereo Group Ltd. 45,087 61,909 Australia & New Zealand Banking Group Ltd. 61,540 1,233,525 Australian Pharmaceutical Industries Ltd. 33,196 55,243 Australian Pipeline Trust (a) 23,032 83,704 AWB Ltd. 35,680 87,068 Baycorp Advantage Ltd. 4,480 10,164 BlueScope Steel Ltd. 46,786 226,242 Bradken Ltd. 4,237 18,971 City Pacific Ltd. 27,978 97,085 Coca-Cola Amatil Ltd. 40,356 201,473 Colorado Group Ltd. 6,613 20,677 Commonwealth Bank of Australia 40,009 1,365,945 Consolidated Minerals Ltd. (a) 34,912 45,593 Crane Group Ltd. (a) 6,346 56,544 CSR Ltd. 41,673 92,673 David Jones Ltd. (a) 39,270 102,275 Excel Coal Ltd. 13,582 96,288 Flight Centre Ltd. (a) 9,169 92,303 Futuris Corp., Ltd. 45,027 68,211 Galileo Shopping America Trust 94,900 87,107 Great Southern Plantations Ltd. (a) 23,690 44,020 GUD Holdings Ltd. 9,991 52,340 Gunns Ltd. 29,511 56,378 GWA International Ltd. 29,739 72,348 Hills Industries Ltd. (a) 19,397 67,454 Insurance Australia Group Ltd. 90,112 355,059 IWL Ltd. 2,629 10,084 John Fairfax Holdings Ltd. 55,878 175,971 Jubilee Mines NL 12,551 95,535 Just Group Ltd. (a) 22,183 62,078 Lend Lease Corp. Ltd. 20,060 239,816 Lion Nathan Ltd. 26,057 157,505 MacArthur Coal Ltd. (a) 22,096 75,850 McGuigan Simeon Wines Ltd. 7,513 13,736 Mortgage Choice Ltd. 5,482 10,636 National Australia Bank Ltd. 48,676 1,333,108 New Hope Corp. Ltd. 66,317 67,800 Oakton Ltd. 3,301 9,730 OAMPS Ltd. 7,546 25,340 Pacific Brands Ltd. 56,064 105,849 Perpetual Ltd. (a) 3,295 179,745 Prime Television Ltd. 4,846 12,368 Programmed Maintenance Services Ltd. 3,031 9,432 Promina Group Ltd. 49,438 218,776 Qantas Airways Ltd. 134,483 392,400 Repco Corp., Ltd. (a) 39,186 35,968 Ridley Corp., Ltd. 13,489 11,425 Rural Press Ltd. 9,742 80,697 Salmat Ltd. 6,577 15,362 Sims Group Ltd. 8,932 137,976 Skilled Group Ltd. 4,063 16,797 Smorgon Steel Group Ltd. 88,497 109,958 Southern Cross Broadcasting Australia Ltd. (a) 7,726 74,375 Spotless Group Ltd. (a) 19,385 66,833 St.George Bank Ltd. (a) 25,583 577,321 STW Communications Group Ltd. 24,026 50,023 Suncorp-Metway Ltd. 28,440 465,640 Sunland Group Ltd. 31,837 56,307 TABCORP Holdings Ltd. 31,423 366,515 Telstra Corp. Ltd. (a) 397,592 1,100,768 Ten Network Holdings Ltd. (a) 41,538 90,513 Tishman Speyer Office Fund 36,583 64,974 Wesfarmers Ltd. 21,811 568,537 West Australian Newspapers Holdings Ltd. 16,003 108,316 Westpac Banking Corp. 66,418 1,125,608 ------------- Total Australia 13,630,962 -------------------------------------------------------------------------------- Hong Kong - 0.5% Fubon Bank (Hong Kong) Ltd. 48,208 18,684 Hung Hing Printing Group Ltd. 30,130 16,240 Oriental Press Group Ltd. 269,146 48,356 ------------- Total Hong Kong 83,280 -------------------------------------------------------------------------------- New Zealand - 7.3% Air New Zealand Ltd. 85,531 74,830 Auckland International Airport Ltd. 75,937 100,646 CanWest MediaWorks (NZ) Ltd. 10,225 9,413 Fisher & Paykel Appliances Holdings Ltd. 24,011 56,593 Fletcher Building Ltd. 24,521 137,364 Freightways Ltd. 6,169 14,943 New Zealand Refining Co., Ltd. (The) 20,080 82,594 Nuplex Industries Ltd. 3,775 15,774 Sanford Ltd. 4,642 14,396 Sky City Entertainment Group Ltd. 29,892 103,436 Telecom Corp. of New Zealand Ltd. 177,025 502,771 Warehouse Group Ltd. (The) 9,398 39,454 ------------- Total New Zealand 1,152,214 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Trust International Equity Funds 61 Schedule of Investments (unaudited) (concluded) WisdomTree Pacific ex-Japan High-Yielding Equity Fund September 30, 2006 (unaudited) ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Singapore - 4.6% Ascendas Real Estate Investment Trust 72,000 $ 97,579 Chuan Hup Holdings Ltd. 291,000 58,699 Fortune Real Estate Investment Trust 15,000 11,357 Hong Leong Finance Ltd. 33,000 67,814 Jaya Holdings Ltd. 65,000 56,953 Macquarie MEAG Prime Real Estate Investment Trust 12,000 7,375 MobileOne Ltd. 69,000 91,774 Robinson & Co., Ltd. 3,000 12,576 SMRT Corp. Ltd. 108,000 75,567 StarHub Ltd. 75,857 107,588 Suntec Real Estate Investment Trust 90,000 83,964 UOB Kay Hian Holdings Ltd. 72,000 58,548 ------------- Total Singapore 729,794 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $15,235,992) 15,596,250 ================================================================================ SHORT-TERM INVESTMENT - 0.8% MONEY MARKET FUND - 0.8% United States - 0.8% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $120,739) 120,739 120,739 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 15.5% MONEY MARKET FUNDS (c) - 15.5% UBS Enhanced Yield Portfolio, 5.30 % 100,000 100,000 UBS Private Money Market Fund LLC, 5.23% 2,358,154 2,358,154 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $2,458,154) (d) 2,458,154 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 114.9% (Cost: $17,814,885) (e) 18,175,143 Liabilities in Excess of Foreign Cash and Other Assets - (14.9) % (2,353,021) ------------- NET ASSETS - 100.0% 15,822,122 ================================================================================ (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $2,321,341 and the total market value of the collateral held by the Fund was $2,458,154. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 62 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree International LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 99.3% Australia - 5.8% AMP Ltd. 8,124 $ 54,199 Australia & New Zealand Banking Group Ltd. 10,265 205,754 BHP Billiton Ltd. 6,864 131,283 Commonwealth Bank of Australia 7,894 269,508 Macquarie Bank Ltd. 840 43,347 National Australia Bank Ltd. 9,270 253,881 QBE Insurance Group Ltd. 2,846 52,034 Rinker Group Ltd. 1,566 16,244 Rio Tinto Ltd. (a) 820 42,896 St.George Bank Ltd. 3,246 73,251 Telstra Corp. Ltd. 58,623 162,303 Westpac Banking Corp. 10,420 176,591 Woodside Petroleum Ltd. 1,916 56,120 Woolworths Ltd. 4,567 69,049 ------------- Total Australia 1,606,460 -------------------------------------------------------------------------------- Austria - 0.3% Bank Austria Creditanstalt AG 341 45,572 Erste Bank der oesterreichischen Sparkassen AG 310 19,281 OMV AG 295 15,269 Telekom Austria AG 600 15,125 ------------- Total Austria 95,247 -------------------------------------------------------------------------------- Belgium - 2.2% Belgacom S.A. 2,031 79,087 Dexia N.V. 3,086 79,865 Fortis N.V. 6,784 275,082 Groupe Bruxelles Lambert S.A. 280 29,847 InBev N.V. 725 39,877 KBC Groep N.V. 1,015 106,782 ------------- Total Belgium 610,540 -------------------------------------------------------------------------------- Denmark - 0.5% Danske Bank A/S 2,521 99,030 Novo Nordisk A/S Class B 505 37,488 ------------- Total Denmark 136,518 -------------------------------------------------------------------------------- Finland - 1.3% Fortum Oyj 5,052 134,456 Nokia Oyj 8,584 170,284 UPM-Kymmene Corp. 2,021 47,976 ------------- Total Finland 352,716 -------------------------------------------------------------------------------- France - 15.1% Accor S.A. 665 45,278 Assurances Generales de France 630 79,247 AXA S.A. 7,589 279,557 BNP Paribas 3,061 329,008 Bouygues S.A. 875 46,753 Carrefour S.A. 1,986 125,361 Christian Dior S.A. 340 35,360 Cie de Saint-Gobain S.A. 1,020 73,907 CNP Assurances S.A. 375 36,340 Credit Agricole S.A. 2,236 98,116 France Telecom S.A. 19,299 442,490 Gaz de France (a) 1,616 64,278 Groupe Danone 610 85,540 Lafarge S.A. 555 71,570 Lagardere SCA 320 23,065 L'Air Liquide S.A. 365 74,394 L'Oreal S.A. 1,205 122,267 LVMH Moet Hennessy Louis Vuitton S.A. 900 92,631 Natexis Banques Populaires 105 29,049 Peugeot S.A. 785 44,221 PPR S.A. 385 57,012 Renault S.A. 975 111,713 Sanofi-Aventis 2,766 245,969 Schneider Electric S.A. 770 85,786 Societe Generale 1,486 236,240 Suez S.A. 5,382 236,436 TOTAL S.A. 9,770 640,465 Vallourec S.A. 50 11,648 Veolia Environnement S.A. 770 46,439 VINCI S.A. 760 84,528 Vivendi S.A. 5,157 185,723 ------------- Total France 4,140,391 -------------------------------------------------------------------------------- Germany - 7.4% adidas AG 165 7,754 Allianz SE 615 106,325 BASF AG 1,491 119,273 Bayer AG 1,921 97,824 Bayerische Motoren Werke AG 935 50,030 Beiersdorf AG 345 18,342 Commerzbank AG 1,040 34,977 Continental AG 160 18,533 DaimlerChrysler AG 3,531 176,277 Deutsche Bank AG 905 109,092 Deutsche Boerse AG 60 9,014 Deutsche Post AG 3,792 99,433 Deutsche Postbank AG 335 25,398 Deutsche Telekom AG 22,837 362,767 E.ON AG 2,066 244,647 Metro AG 690 40,285 Muenchener Rueckversicherungs AG 620 97,945 RWE AG 1,346 124,042 SAP AG 260 51,511 Siemens AG 1,641 143,017 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 63 Schedule of Investments (unaudited) (continued) WisdomTree International LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- ThyssenKrupp AG 1,301 $ 43,788 Volkswagen AG 560 47,656 ------------- Total Germany 2,027,930 -------------------------------------------------------------------------------- Hong Kong - 3.2% BOC Hong Kong (Holdings) Ltd. 45,471 102,120 Cheung Kong (Holdings) Ltd. 5,052 54,233 China Mobile Ltd. 40,419 285,549 China Netcom Group Corp. Ltd. 2,521 4,523 China Unicom Ltd. 10,110 9,964 CLP Holdings Ltd. 10,110 61,239 CNOOC Ltd. 50,529 42,020 Hang Seng Bank Ltd. 9,595 121,227 Hong Kong & China Gas Co. Ltd. (The) 5,052 11,839 Hutchison Whampoa Ltd. 10,110 89,264 MTR Corp. 10,110 25,378 Sun Hung Kai Properties Ltd. 6,052 66,056 ------------- Total Hong Kong 873,412 -------------------------------------------------------------------------------- Ireland - 0.6% Allied Irish Banks PLC 2,961 78,655 Anglo Irish Bank Corp. PLC 720 11,820 Bank of Ireland 3,031 59,244 CRH PLC 750 25,357 ------------- Total Ireland 175,076 -------------------------------------------------------------------------------- Italy - 7.5% Assicurazioni Generali SpA 1,816 67,862 Autostrade SpA 725 21,481 Banca Intesa SpA 27,198 178,811 Banca Monte dei Paschi di Siena SpA 4,162 25,201 Capitalia SpA 7,694 63,644 Enel SpA 30,955 282,132 Eni SpA 22,051 652,796 Luxottica Group SpA 465 13,683 Mediaset SpA 3,767 40,441 Mediobanca SpA 2,231 48,609 RAS Holding SpA 2,471 67,486 Sanpaolo IMI SpA 4,747 100,121 Telecom Italia SpA 81,209 230,432 UniCredito Italiano SpA 32,135 266,427 ------------- Total Italy 2,059,126 -------------------------------------------------------------------------------- Japan - 7.0% AEON Co., Ltd. 500 12,260 Astellas Pharma, Inc. 500 20,116 Bridgestone Corp. 500 10,100 Canon, Inc. 1,500 78,262 Chubu Electric Power Co., Inc. 1,500 39,004 Chugai Pharmaceutical Co., Ltd. 500 10,757 DENSO CORP 1,000 35,150 East Japan Railway Co. 5 34,981 Eisai Co., Ltd. 500 24,182 Fuji Photo Film Co., Ltd. 500 18,253 Hitachi Ltd. 5,000 29,179 Honda Motor Co., Ltd. 2,000 67,251 Hoya Corp. 500 18,846 Japan Tobacco, Inc. 5 19,438 JFE Holdings, Inc. 500 19,608 Kansai Electric Power Co., Inc. (The) 1,500 34,621 Keyence Corp. 500 115,191 Kyushu Electric Power Co., Inc. 1,000 23,631 Mitsubishi Corp. 1,500 28,205 Mitsubishi UFJ Financial Group, Inc. 5 64,371 Mitsui Fudosan Co., Ltd. 5,000 113,709 Mizuho Financial Group, Inc. 5 38,792 Mizuho Trust & Banking Co., Ltd. 5,000 11,180 Nikko Cordial Corp. 2,500 29,009 Nippon Steel Corp. 5,000 20,582 Nippon Telegraph & Telephone Corp. 15 73,688 Nissan Motor Co., Ltd. 8,000 89,646 Nomura Holdings, Inc. 1,500 26,426 NTT DoCoMo, Inc. 70 107,907 ORIX Corp. 50 13,827 SMC Corp. 500 66,192 SOFTBANK CORP. (a) 500 10,354 Sony Corp. 500 20,243 Sumitomo Electric Industries Ltd. 500 6,772 Sumitomo Metal Industries Ltd. 5,000 19,184 Sumitomo Realty & Development Co., Ltd. 5,000 146,953 Suzuki Motor Corp. 500 12,705 T&D Holdings, Inc. 250 18,104 Takeda Pharmaceutical Co., Ltd. 1,000 62,423 Tohoku Electric Power Co., Inc. 1,000 21,895 Tokyo Electric Power Co., Inc. (The) 2,500 71,994 Tokyo Gas Co., Ltd. 5,000 25,071 Toyota Motor Corp. 4,000 217,507 Yahoo Japan Corp. 15 5,647 ------------- Total Japan 1,933,216 -------------------------------------------------------------------------------- Netherlands - 4.4% ABN AMRO Holding N.V. 8,254 240,482 Aegon N.V. 5,142 96,337 Akzo Nobel N.V. 755 46,462 European Aeronautic Defence & Space Co. N.V. 1,871 53,754 Heineken N.V. 575 26,273 ING Groep N.V. 7,794 342,496 Koninklijke Philips Electronics N.V. 2,241 78,549 Royal KPN N.V. 10,115 128,901 See Notes to Financial Statements. 64 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree International LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- STMicroelectronics N.V. 835 $ 14,459 TNT N.V. 975 36,941 Unilever N.V. 5,627 138,283 ------------- Total Netherlands 1,202,937 -------------------------------------------------------------------------------- Norway - 1.0% DnB NOR ASA 5,557 68,113 Norsk Hydro ASA 3,026 67,658 Statoil ASA 3,792 89,730 Telenor ASA 3,026 39,504 ------------- Total Norway 265,005 -------------------------------------------------------------------------------- Portugal - 0.4% EDP-Energias de Portugal, S.A. 12,051 52,208 Portugal Telecom, SGPS, S.A. 5,342 66,655 ------------- Total Portugal 118,863 -------------------------------------------------------------------------------- Singapore - 0.8% DBS Group Holdings Ltd. 5,000 60,514 Oversea-Chinese Banking Corp. Ltd. 10,000 41,288 Singapore Telecommunications Ltd. 47,500 73,059 United Overseas Bank Ltd. 5,000 51,374 ------------- Total Singapore 226,235 -------------------------------------------------------------------------------- Spain - 5.5% Abertis Infraestructuras S.A. (a) 1,351 35,426 ACS, Actividades Construccion y Servicios, S.A. 465 22,030 Altadis, S.A. 645 30,590 Banco Bilbao Vizcaya Argentaria Chile, S.A. 10,280 237,655 Banco Popular Espanol, S.A. 3,621 59,309 Banco Santander Central Hispano S.A. 21,311 336,636 Cia Espanola De Petroleos, S.A. (a) 580 43,385 Endesa S.A. 2,926 124,353 Gas Natural SDG, S.A. 1,356 49,384 Grupo Ferrovial S.A. (a) 190 15,259 Iberdrola, S.A. 2,771 123,909 Inditex S.A. 555 25,844 Repsol YPF, S.A. 3,076 91,451 Telefonica S.A. 15,692 271,730 Union Fenosa S.A. 615 31,380 ------------- Total Spain 1,498,341 -------------------------------------------------------------------------------- Sweden - 2.7% AB Volvo Class B 1,010 60,157 Atlas Copco AB Class A 2,810 73,811 H&M Hennes & Mauritz AB Class B 2,521 105,435 Nordea Bank AB 10,110 132,435 Sandvik AB 3,026 34,684 Skandinaviska Enskilda Banken AB 2,021 54,327 Svenska Handelsbanken AB Class A 2,021 54,603 Swedbank AB 2,021 59,980 Telefonaktiebolaget LM Ericsson Class B 25,262 87,555 TeliaSonera AB 12,631 81,006 ------------- Total Sweden 743,993 -------------------------------------------------------------------------------- Switzerland - 5.4% Adecco S.A. 225 13,538 Credit Suisse Group 3,301 190,460 Holcim Ltd. 375 30,563 Nestle S.A. 952 331,012 Novartis AG 4,332 252,192 Roche Holding AG 860 148,277 Swiss Reinsurance Co. 940 71,740 Swisscom AG 492 163,320 UBS AG 4,682 279,288 ------------- Total Switzerland 1,480,390 -------------------------------------------------------------------------------- United Kingdom - 28.2% Anglo American PLC 3,686 153,749 Associated British Foods PLC 1,956 30,326 AstraZeneca PLC 4,047 252,339 Aviva PLC 9,155 133,902 BAE SYSTEMS PLC 8,660 63,937 Barclays PLC 29,224 367,930 BG Group PLC 3,291 39,897 BHP Billiton PLC 4,287 73,833 BP PLC 67,022 728,628 British American Tobacco PLC 7,694 207,532 British Land Co. PLC 710 18,090 British Sky Broadcasting PLC 3,802 38,777 BT Group PLC 41,935 209,931 Cadbury Schweppes PLC 5,432 57,684 Centrica PLC 13,096 79,565 Diageo PLC 10,200 179,766 GlaxoSmithKline PLC 17,693 469,966 GUS PLC 3,106 56,046 HBOS PLC 15,922 314,368 HSBC Holdings PLC 49,209 895,761 Imperial Tobacco Group PLC 2,461 81,827 Land Securities Group PLC 1,396 51,319 Legal & General Group PLC 8,584 22,849 Lloyds TSB Group PLC 39,849 401,582 Man Group PLC 3,450 28,871 Marks & Spencer Group PLC 3,742 44,910 National Grid PLC 12,581 156,867 Old Mutual PLC 18,013 56,359 Prudential PLC 6,689 82,903 Reckitt Benckiser PLC 1,401 57,940 Reed Elsevier PLC 3,712 41,083 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 65 Schedule of Investments (unaudited) (concluded) WisdomTree International LargeCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Rio Tinto PLC 1,791 $ 84,541 Royal Bank of Scotland Group (The) PLC 11,801 405,384 Royal Dutch Shell PLC Class A 13,266 436,628 Royal Dutch Shell PLC Class B 9,310 315,292 SABMiller PLC 3,146 58,648 Scottish & Southern Energy PLC 3,621 89,148 Scottish Power PLC 6,779 82,498 Shire PLC 230 3,815 Standard Chartered PLC 3,546 90,613 Tesco PLC 19,965 134,257 Unilever PLC 5,032 123,792 Vodafone Group PLC 196,392 448,474 Wolseley PLC 1,341 28,205 WPP Group PLC 1,656 20,478 Xstrata PLC 570 23,499 ------------- Total United Kingdom 7,743,809 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $25,140,574) 27,290,205 ================================================================================ RIGHTS* - 0.0% United Kingdom - 0.0% Experian Group Npv, expiring on 10/05/06 (Cost: $0) 3,106 -- ------------- TOTAL LONG-TERM INVESTMENTS (Cost: $25,140,574) 27,290,205 ================================================================================ SHORT-TERM INVESTMENT - 0.9% MONEY MARKET FUND - 0.9% United States - 0.9% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $243,789) 243,789 243,789 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 0.7% MONEY MARKET FUNDS (c) - 0.7% UBS Enhanced Yield Portfolio, 5.30% 100,000 100,000 UBS Private Money Market Fund LLC, 5.23% 103,989 103,989 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $203,989) (d) 203,989 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 100.9% (Cost: $25,588,352) (e) 27,737,983 Liabilities in Excess of Cash, Foreign Cash and Other Assets - (0.9)% (253,586) ------------- NET ASSETS - 100.0% $27,484,397 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $185,585 and the total market value of the collateral held by the Fund was $203,989. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 66 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree International Dividend Top 100 Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS -- 99.1% Australia -- 13.6% AMP Ltd. 39,650 $ 264,524 Australia & New Zealand Banking Group Ltd. 19,261 386,072 Commonwealth Bank of Australia 11,741 400,848 Macquarie Bank Ltd. 5,323 274,684 National Australia Bank Ltd. 13,847 379,233 QBE Insurance Group Ltd. 13,392 244,848 St.George Bank Ltd. (a) 18,990 428,539 Telstra Corp. Ltd. (a) 220,816 611,348 Westpac Banking Corp. 22,316 378,197 Woodside Petroleum Ltd. 5,808 170,118 Woolworths Ltd. 17,709 267,743 ------------ Total Australia 3,806,154 -------------------------------------------------------------------------------- Belgium -- 3.4% Belgacom S.A. 11,301 440,060 Dexia N.V. 7,999 207,012 Fortis N.V. 7,349 297,992 ------------ Total Belgium 945,064 -------------------------------------------------------------------------------- Denmark -- 1.0% Danske Bank A/S 6,789 266,686 -------------------------------------------------------------------------------- Finland -- 2.6% Fortum Oyj 15,158 403,421 UPM-Kymmene Corp. 13,137 311,857 ------------ Total Finland 715,278 -------------------------------------------------------------------------------- France -- 7.9% Assurances Generales de France 1,821 229,060 AXA S.A. 5,798 213,581 BNP Paribas 2,332 250,653 Credit Agricole S.A. 5,052 221,683 France Telecom S.A. 16,944 388,495 Societe Generale 1,555 247,209 Suez S.A. 5,563 244,387 TOTAL S.A. 2,987 195,811 Vivendi S.A. 6,213 223,753 ------------ Total France 2,214,632 -------------------------------------------------------------------------------- Germany -- 4.2% BASF AG 2,382 190,549 DaimlerChrysler AG 4,367 218,012 Deutsche Post AG 7,729 202,668 Deutsche Telekom AG 21,666 344,165 E.ON AG 1,771 209,714 ------------ Total Germany 1,165,108 -------------------------------------------------------------------------------- Hong Kong -- 4.2% BOC Hong Kong (Holdings) Ltd. 156,632 351,768 China Netcom Group Corp. Ltd. 128,843 231,156 CLP Holdings Ltd. 53,053 321,358 Hang Seng Bank Ltd. 20,716 261,733 ------------ Total Hong Kong 1,166,015 -------------------------------------------------------------------------------- Ireland -- 1.7% Allied Irish Banks PLC 9,555 253,817 Bank of Ireland 11,276 220,400 ------------ Total Ireland 474,217 -------------------------------------------------------------------------------- Italy -- 9.7% Banca Intesa SpA 51,907 341,258 Capitalia SpA 24,908 206,036 Enel SpA 46,784 426,402 Eni SpA 10,015 296,483 Mediaset SpA 23,398 251,194 RAS Holding SpA 10,390 283,763 Sanpaolo IMI SpA 12,587 265,477 Telecom Italia SpA 144,621 410,365 UniCredito Italiano SpA 28,300 234,632 ------------ Total Italy 2,715,610 -------------------------------------------------------------------------------- Netherlands -- 5.1% ABN AMRO Holding N.V. 11,386 331,734 Aegon N.V. 12,807 239,942 ING Groep N.V. 5,903 259,399 Royal KPN N.V. 27,214 346,802 Unilever N.V. 10,405 255,702 ------------ Total Netherlands 1,433,579 -------------------------------------------------------------------------------- Norway -- 0.9% DnB NOR ASA 20,716 253,919 -------------------------------------------------------------------------------- Portugal -- 2.1% EDP-Energias de Portugal, S.A. 58,536 253,595 Portugal Telecom, SGPS, S.A. 25,913 323,329 ------------ Total Portugal 576,924 -------------------------------------------------------------------------------- Singapore -- 3.1% DBS Group Holdings Ltd. 20,000 242,057 Oversea-Chinese Banking Corp. Ltd. 50,000 206,442 Singapore Telecommunications Ltd. 104,500 160,729 United Overseas Bank Ltd. 25,000 256,872 ------------ Total Singapore 866,100 -------------------------------------------------------------------------------- Spain -- 6.8% Banco Bilbao Vizcaya Argentaria, Chile, S.A. 9,610 222,166 Banco Popular Espanol, S.A. 13,502 221,150 Banco Santander Central Hispano S.A. 15,413 243,469 Endesa S.A. 8,014 340,591 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 67 Schedule of Investments (unaudited) (concluded) WisdomTree International Dividend Top 100 Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Gas Natural SDG, S.A. 7,544 $ 274,745 Iberdrola, S.A. 7,009 313,416 Telefonica S.A. 16,379 283,626 ------------ Total Spain 1,899,163 -------------------------------------------------------------------------------- Sweden -- 5.6% AB Volvo Class B 6,063 361,122 H&M Hennes & Mauritz AB Class B 6,313 264,027 Nordea Bank AB 20,211 264,753 Sandvik AB 15,158 173,741 Svenska Handelsbanken AB Class A 8,084 218,410 Swedbank AB 9,600 284,914 ------------ Total Sweden 1,566,967 -------------------------------------------------------------------------------- Switzerland -- 0.9% Swisscom AG 755 250,623 -------------------------------------------------------------------------------- United Kingdom -- 26.3% Aviva PLC 18,149 265,448 BAE SYSTEMS PLC 26,214 193,540 Barclays PLC 25,678 323,286 BP PLC 19,876 216,081 British American Tobacco PLC 9,705 261,775 BT Group PLC 85,610 428,573 Centrica PLC 53,588 325,574 Diageo PLC 14,522 255,937 GlaxoSmithKline PLC 7,074 187,901 GUS PLC 12,862 232,087 HBOS PLC 16,139 318,652 HSBC Holdings PLC 13,067 237,861 Imperial Tobacco Group PLC 7,854 261,142 Legal & General Group PLC 114,110 303,741 Lloyds TSB Group PLC 49,741 501,269 National Grid PLC 29,340 365,828 Old Mutual PLC 69,301 216,830 Prudential PLC 16,534 204,920 Reed Elsevier PLC 19,851 219,703 Royal Bank of Scotland Group (The) PLC 9,215 316,550 Royal Dutch Shell PLC Class A 7,414 244,020 Scottish & Southern Energy PLC 13,297 327,367 Scottish Power PLC 37,710 458,920 Standard Chartered PLC 7,514 192,010 Unilever PLC 11,981 294,744 Vodafone Group PLC 93,205 212,840 ------------ Total United Kingdom 7,366,599 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $25,096,687) 27,682,638 ================================================================================ RIGHTS* -- 0.0% United Kingdom -- 0.0% Experian Group Npv, expiring on 10/05/06 (Cost: $0) 12,862 -- ------------ TOTAL LONG-TERM INVESTMENTS (Cost: $25,096,687) 27,682,638 ================================================================================ SHORT-TERM INVESTMENT -- 0.7% MONEY MARKET FUND -- 0.7% United States -- 0.7% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $202,842) 202,842 202,842 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR ECURITIES LOANED -- 3.6% MONEY MARKET FUNDS (c) -- 3.6% AIM Liquid Assets Portfolio, 5.21% 10,000 10,000 AIM Prime Portfolio, 5.22% 80,000 80,000 UBS Enhanced Yield Portfolio, 5.30% 600,000 600,000 UBS Private Money Market Fund LLC, 5.23% 303,750 303,750 ------------ TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $993,750) (d) 993,750 ================================================================================ TOTAL INVESTMENTS IN SECURITIES -- 103.4% (Cost: $26,293,279) (e) 28,879,230 Liabilities in Excess of Foreign Cash and Other Assets -- (3.4)% (943,848) ------------ NET ASSETS -- 100.0% $ 27,935,382 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan at September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $939,109 and the total market value of the collateral held by the Fund was $993,750. (e) Aggregate cost for Federal income tax purposes was substantially the same as for book purposes. See Notes to Financial Statements. 68 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) WisdomTree International MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 98.6% Australia - 11.8% Alumina Ltd. 16,257 $ 75,096 Amcor Ltd. 16,932 93,882 Aristocrat Leisure Ltd. 7,195 75,707 Australian Gas Light Co., Ltd. 8,386 134,235 Australian Stock Exchange Ltd. 3,067 74,384 AXA Asia Pacific Holdings Ltd. 16,217 78,663 BlueScope Steel Ltd. 20,681 100,007 Brambles Industries Ltd. (a) 10,638 101,217 Caltex Australia Ltd. 4,704 83,898 Coca-Cola Amatil Ltd. 17,153 85,635 Coles Myer Ltd. 20,716 222,459 CSL Ltd. 1,786 72,011 Foster's Group Ltd. 37,178 178,672 Harvey Norman Holdings Ltd. 24,258 64,083 Insurance Australia Group Ltd. 41,532 163,644 John Fairfax Holdings Ltd. 25,164 79,246 Lend Lease Corp. Ltd. 8,521 101,868 Lion Nathan Ltd. 12,420 75,074 Newcrest Mining Ltd. 4,829 81,082 Orica Ltd. 4,394 73,680 Origin Energy Ltd. 13,916 69,267 Promina Group Ltd. 21,146 93,577 Publishing & Broadcasting Ltd. 9,807 136,416 Qantas Airways Ltd. 61,476 179,378 Santos Ltd. 10,067 84,065 Suncorp-Metway Ltd. 13,270 217,265 TABCORP Holdings Ltd. 14,486 168,963 Toll Holdings Ltd. 6,535 75,053 Wesfarmers Ltd. 10,432 271,927 ------------ Total Australia 3,310,454 -------------------------------------------------------------------------------- Austria - 0.6% BOEHLER-UDDEHOLM AG 475 26,692 Oesterreichische Elektrizitatswirtschafts AG Class A 665 32,137 UNIQA Versicherungen AG 525 16,626 voestalpine AG 740 30,531 Wiener Staedtische AG 420 26,336 Wienerberger AG 800 37,739 ------------ Total Austria 170,061 -------------------------------------------------------------------------------- Belgium - 1.9% Ackermans & van Haaren N.V. 145 10,433 Agfa-Gevaert N.V. 1,441 34,135 Almancora SCA 600 77,525 Bekaert S.A. 180 17,705 Delhaize Group 725 60,844 Groep Colruyt S.A. 260 44,331 Mobistar S.A. 876 72,462 Solvay S.A. 891 115,125 UCB S.A. 1,116 70,897 Umicore 150 22,174 ------------ Total Belgium 525,631 -------------------------------------------------------------------------------- Denmark - 0.5% Codan A/S 375 26,595 Coloplast A/S Class B 350 28,092 Danisco A/S 300 24,308 H. Lundbeck A/S 1,200 27,926 Novozymes AS Class B 350 26,665 ------------ Total Denmark 133,586 -------------------------------------------------------------------------------- Finland - 2.7% Elisa Oyj Class A 2,537 55,919 Kesko Oyj Class B 1,016 42,678 Metso Oyj 1,016 37,349 OKO Bank PLC Class A 3,047 48,556 Outokumpu Oyj 2,031 51,790 Rautaruukki Oyj 3,047 87,424 Sampo Oyj Class A 7,616 158,606 Sanoma-WSOY Oyj 2,637 67,577 Stora Enso Oyj Class R 8,636 130,838 TietoEnator Oyj 1,016 29,833 Wartsila Oyj Class B 505 20,471 YIT Oyj 1,271 29,415 ------------ Total Finland 760,456 -------------------------------------------------------------------------------- France - 7.7% Air France-KLM 2,186 65,850 Bail Investissement 690 50,215 Capgemini S.A. 871 46,153 Casino Guichard Perrachon S.A. 1,576 126,871 Cie Generale d'Optique Essilor International S.A. 585 59,840 Ciments Francais 290 45,956 Clarins 685 49,070 Compagnie Generale des Etablissements Michelin Class B 1,781 130,401 Dassault Systemes S.A. 906 50,922 EIFFAGE 620 62,949 Eramet 345 53,623 Euler Hermes S.A. 440 52,337 Eurazeo 465 53,485 Gecina S.A. 1,116 148,720 Hermes International 545 50,329 Imerys S.A. 775 64,794 Klepierre 665 99,486 M6, Metropole Television 2,482 76,087 PagesJaunes Groupe S.A. 6,655 188,836 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 69 Schedule of Investments (unaudited) (continued) WisdomTree International MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Publicis Groupe 1,156 $ 45,483 Societe Des Autoroutes Paris-Rhin-Rhone 765 56,884 Societe Television Francaise 1 2,517 80,316 Sodexho Alliance S.A. 1,591 88,073 Technip S.A. 1,091 61,942 Thales S.A. 2,076 92,016 Thomson 2,492 39,112 Unibail 645 135,386 Valeo S.A. 1,231 43,865 Wendel Investissement 405 50,072 ------------ Total France 2,169,073 -------------------------------------------------------------------------------- Germany - 3.9% ALTANA AG 1,206 66,547 AMB Generali Holding AG 380 51,703 Celesio AG 1,080 56,242 Deutsche Lufthansa AG 5,900 124,888 Fraport AG Frankfurt Airport Services Worldwide 450 30,930 Fresenius AG 145 25,357 Fresenius Medical Care AG & Co. KGaA 480 62,288 Heidelberger Druckmaschinen AG 550 22,650 Henkel KGaA 475 58,720 Hochtief AG 455 28,455 Hypo Real Estate Holding AG 966 60,205 IKB Deutsche Industriebank AG 866 30,036 IVG Immobilien AG 775 28,019 K+S AG 405 32,424 Linde AG 906 85,261 MAN AG 881 74,482 Merck KGaA 245 25,952 Puma AG Rudolf Dassler Sport 65 22,149 Rheinmetall AG 345 25,085 Salzgitter AG 295 27,694 Suedzucker AG 1,891 46,663 TUI AG 4,289 88,451 United Internet AG 1,721 23,654 ------------ Total Germany 1,097,855 -------------------------------------------------------------------------------- Hong Kong - 5.6% Bank of East Asia Ltd. 23,367 106,606 Cathay Pacific Airways Ltd. 81,000 165,903 China Merchants Holdings (International) Co., Ltd. 20,321 59,589 China Overseas Land & Investment Ltd. 40,636 31,342 China Resources Enterprise, Ltd. 10,162 22,013 China Resources Power Holdings Co. 20,321 21,489 CITIC Pacific Ltd. 35,562 109,530 Denway Motors Ltd. 71,129 25,741 Guangdong Investment Ltd. 50,808 20,539 Hang Lung Group Ltd. 15,241 39,216 Hang Lung Properties Ltd. 45,724 97,642 Henderson Investment Ltd. 20,321 36,666 Henderson Land Development Co., Ltd. 15,241 85,669 Hong Kong Exchanges and Clearing Ltd. 10,162 74,139 Hongkong Electric Holdings Ltd. 33,020 154,458 Hopewell Holdings Ltd. 10,162 28,951 Hysan Development Co., Ltd. 10,162 26,056 Lenovo Group Ltd. (a) 60,961 23,939 New World Development Ltd. 30,483 52,499 PCCW Ltd. 76,202 46,549 Sino Land Co. (a) 20,321 35,988 Swire Pacific Ltd. Class A 10,162 106,155 Swire Pacific Ltd. Class B 25,399 47,524 Television Broadcasts Ltd. 5,084 27,403 Wharf Holdings Ltd. 20,321 69,630 Wheelock & Co., Ltd. 15,241 26,679 Wing Hang Bank Ltd. 2,537 24,777 ------------ Total Hong Kong 1,566,692 -------------------------------------------------------------------------------- Ireland - 0.8% C&C Group PLC 2,487 33,709 Depfa Bank PLC 2,376 43,823 IAWS Group PLC 395 7,340 Independent News & Media PLC 11,219 33,682 Irish Life & Permanent PLC 2,871 72,009 Kerry Group PLC Class A 525 12,436 Kingspan Group PLC 490 10,055 ------------ Total Ireland 213,054 -------------------------------------------------------------------------------- Italy - 7.3% ACEA SpA 3,182 51,917 AEM SpA 19,730 53,235 Alleanza Assicurazioni SpA 11,259 131,499 Autogrill SpA 2,817 44,784 Banca Carige SpA 9,355 47,639 Banca CR Firenze 15,462 47,008 Banca Lombarda e Piemontese SpA 3,477 71,485 Banca Popolare dell'Emilia Romagna S.c.r.l. 2,191 49,486 Banca Popolare di Milano S.c.r.l. 3,582 47,326 Banca Popolare di Sondrio S.c.r.l 2,617 43,428 Banca Popolare di Verona e Novara S.c.r.l. 3,002 82,863 Banca Popolare Italiana 5,865 70,766 Banche Popolari Unite S.c.r.l. 4,013 107,871 Bulgari SpA 3,998 50,847 CIR-Compagnie Industriali Riunite SpA 15,236 45,211 Finmeccanica SpA 2,241 49,991 Fondiaria-SAI SpA 1,506 65,988 Geox SpA 3,943 49,049 Hera SpA (a) 13,330 49,729 See Notes to Financial Statements. 70 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree International MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Ifil Investments SpA 7,801 $ 52,671 Italcementi SpA 1,876 47,457 Mediolanum SpA 6,430 47,731 Milano Assicurazioni SPA 7,356 54,372 Pirelli & C SpA 50,383 43,304 RCS MediaGroup SpA (a) 8,076 37,520 Reti Bancarie Holding SpA 896 54,310 Saipem SpA 2,021 43,880 Snam Rete Gas SpA 38,434 186,468 Terna SpA 40,326 117,235 Toro Assicurazioni SpA 4,704 125,075 Unipol SpA 24,018 80,398 ------------ Total Italy 2,050,543 -------------------------------------------------------------------------------- Japan - 12.5% Acom Co., Ltd. 1,350 57,629 Advantest Corp. 2,000 99,267 Aisin Seiki Co., Ltd. 2,500 73,053 Ajinomoto Co., Inc. 5,000 53,869 All Nippon Airways Co., Ltd. (a) 20,000 80,972 Asahi Breweries, Ltd. 5,500 80,219 Asahi Kasei Corp. 15,000 96,049 Bank of Yokohama Ltd. (The) 10,000 78,770 Chugoku Electric Power Co., Inc. (The) 4,000 84,360 Credit Saison Co., Ltd. 1,500 63,270 Daikin Industries Ltd. 2,500 74,112 Daiwa House Industry Co., Ltd. 5,000 86,605 Electric Power Development Co. 2,000 71,317 Fast Retailing Co., Ltd. 1,000 93,931 Ibiden Co., Ltd. 1,500 79,278 JS Group Corp. 4,000 83,683 JSR Corp. 3,000 66,065 Kobe Steel Ltd. 25,000 78,558 Marubeni Corp. (a) 15,000 74,705 Matsushita Electric Works Ltd. 5,000 52,852 Mazda Motor Corp. 15,000 90,967 Mitsubishi UFJ Securities Co. 5,000 62,677 Mitsui O.S.K. Lines Ltd. 10,000 73,942 Mitsui Trust Holdings, Inc. 5,000 56,918 Nippon Mining Holdings, Inc. 10,000 70,724 Nippon Oil Corp. 10,000 73,688 Nippon Yusen K.K. 10,000 60,899 OJI Paper Co., Ltd. 15,000 82,200 Olympus Corp. 5,000 147,376 Osaka Gas Co., Ltd. (a) 25,000 87,240 Promise Co., Ltd. 1,250 49,761 Sega Sammy Holdings, Inc. 2,000 64,371 Sekisui House, Ltd. 5,000 75,679 Shinsei Bank Ltd. 10,000 60,983 Shiseido Co., Ltd. 5,000 99,945 Sumco Corp. 1,500 111,168 Sumitomo Metal Mining Co., Ltd. 5,000 65,557 Takefuji Corp. 1,250 57,384 Teijin Ltd. 10,000 53,869 Tokyu Corp. 15,000 103,164 Toppan Printing Co., Ltd. 5,000 55,478 Toyota Tsusho Corp. 3,500 92,195 UFJ NICOS Co., Ltd. 5,000 32,101 Yamada Denki Co., Ltd. 1,000 100,284 Yamaha Motor Co., Ltd. 3,000 79,532 Yamato Holdings Co., Ltd. 5,000 72,375 ------------ Total Japan 3,509,041 -------------------------------------------------------------------------------- Netherlands - 3.2% Buhrmann N.V. 1,231 18,541 Corio N.V. 1,266 92,133 CSM N.V. 956 30,396 Euronext N.V. 500 48,548 Fugro N.V. 455 19,153 Heineken Holding N.V. 1,246 48,914 Hunter Douglas N.V. 360 25,218 Koninklijke BAM Groep N.V. 1,036 18,294 Koninklijke DSM N.V. 2,131 93,374 Koninklijke Vopak N.V. 500 19,299 Mittal Steel Co. N.V. 1,181 41,171 Randstad Holding N.V. 580 32,996 Reed Elsevier N.V. 8,381 139,609 Rodamco Europe N.V. (a) 1,391 161,844 SBM Offshore N.V. 775 21,038 Vedior N.V. 926 17,325 Wolters Kluwer N.V. 3,227 84,086 ------------ Total Netherlands 911,939 -------------------------------------------------------------------------------- New Zealand - 1.2% Contact Energy Ltd. 7,666 35,787 Fletcher Building Ltd. 9,447 52,921 Telecom Corp. of New Zealand Ltd. (a) 84,213 239,175 ------------ Total New Zealand 327,883 -------------------------------------------------------------------------------- Norway - 1.0% Aker ASA Class A 605 28,678 Norske Skogindustrier ASA 4,064 61,160 Orkla ASA 1,826 86,977 Storebrand ASA 5,589 59,074 Wilh. Wilhelmsen ASA Class A 255 8,058 Yara International ASA 3,047 46,275 ------------ Total Norway 290,222 -------------------------------------------------------------------------------- See Notes to Financial Statements. WisdomTree Trust International Equity Funds 71 Schedule of Investments (unaudited) (continued) WisdomTree International MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Portugal - 1.6% Banco BPI, S.A. 5,584 $ 41,592 Banco Comercial Portugues S.A. Class R 39,850 123,676 Banco Espirito Santo, S.A. 5,865 89,525 Brisa-Auto-estradas de Portugal S.A. 6,260 69,307 CIMPOR-Cimentos de Portugal SGPS, S.A. 8,061 57,694 PT Multimedia-Servicos de Telecomunicacoes e Multimedia, SGPS, S.A. 3,397 41,095 Sonae SGPS, S.A. 13,871 24,072 ------------ Total Portugal 446,961 -------------------------------------------------------------------------------- Singapore - 1.7% CapitaLand Ltd. 10,000 31,833 City Developments Ltd. 5,000 33,724 Fraser and Neave Ltd. 25,000 65,242 Keppel Corp. Ltd. 5,000 46,647 SembCorp Industries Ltd. 4,000 8,472 SembCorp Marine Ltd. 15,000 31,581 Singapore Airlines Ltd. 15,000 138,048 Singapore Press Holdings Ltd. 20,000 51,689 Singapore Technologies Engineering Ltd. 15,000 26,948 StarHub Ltd. 25,714 36,470 ------------ Total Singapore 470,654 -------------------------------------------------------------------------------- Spain - 4.0% Acciona, S.A. 330 50,163 Acerinox S.A. (a) 1,826 35,182 Antena 3 de Television, S.A. 3,247 66,345 Banco de Valencia S.A. (a) 640 33,094 Banco Sabadell S.A. 2,642 94,847 Bankinter, S.A. 635 45,046 Cintra Concesiones de Infraestructuras de Transporte, S.A. 1,931 27,176 Corporacion Financiera Alba, S.A. 480 28,724 Corporacion Mapfre S.A. 1,716 35,823 Ebro Puleva S.A. 1,281 26,158 Enagas 1,841 44,566 Fadesa Inmobiliaria S.A. (a) 775 34,410 Fomento de Construcciones y Contratas S.A. 1,091 87,068 Gamesa Corp Tecnologica S.A. 1,256 27,493 Gestevision Telecinco S.A. 5,539 141,032 Indra Sistemas S.A. 1,311 28,498 Metrovacesa, S.A. (a) 575 69,305 Promotora de Informaciones S.A. 1,531 25,038 Red Electrica de Espana 1,136 44,049 Sacyr Vallehermoso, S.A. (a) 1,656 75,204 Sociedad General de Aguas de Barcelona S.A. Class A 996 32,312 Zardoya-Otis S.A. 2,318 66,801 ------------ Total Spain 1,118,334 -------------------------------------------------------------------------------- Sweden - 4.7% AB Volvo Class A 2,537 157,166 Alfa Laval AB 1,016 34,104 Assa Abloy AB Class B 3,047 56,649 Atlas Copco AB Class B 2,031 50,854 Electrolux AB Series B 4,064 65,991 Hexagon AB Class B 1,016 35,075 Holmen AB Class B 1,016 42,423 Industrivarden AB Class A 1,521 45,971 Investment AB Kinnevik Class B 2,031 23,972 Investor AB Class A 3,047 63,197 Investor AB Class B 4,064 84,568 Scania AB Class A 1,521 94,433 Scania AB Class B 1,521 90,697 Securitas AB Class B 3,047 38,251 Securitas Direct AB Class B* 3,047 7,650 Securitas Systems AB Class B* 3,047 11,434 Skanska AB Class B 6,095 103,128 SKF AB Class B 5,084 74,402 SSAB Svenskt Stal AB Series A 1,516 28,237 Svenska Cellulosa Aktiebolaget SCA Class B 2,537 116,317 Swedish Match AB 2,031 33,048 Tele2 AB Class B 3,047 30,767 Telefonaktiebolaget LM Ericsson Class A 10,162 35,290 ------------ Total Sweden 1,323,624 -------------------------------------------------------------------------------- Switzerland - 2.1% Baloise Holding AG 485 47,458 Ciba Specialty Chemicals Holding Inc. 1,031 62,076 EMS-Chemie Holding AG 270 31,200 Givaudan S.A. 45 35,922 Julius Baer Holding Ltd. 355 35,360 Kuehne + Nagel International AG 540 37,250 Lonza Group AG 280 19,337 Nobel Biocare Holding AG 105 25,770 Panalpina Welttransport Holding AG 145 15,553 Pargesa Holding S.A. 505 48,690 Phonak Holding AG 205 12,932 Schindler Holding AG 360 18,962 Schindler Holding AG Participating Shares 255 13,259 Serono S.A. 45 38,758 SGS S.A. 70 70,282 Straumann Holding AG 45 9,662 Swatch Group Ltd. (The) 400 15,471 Swatch Group Ltd. (The) Class B 100 19,267 Vontobel Holding AG 790 32,445 ------------ Total Switzerland 589,654 -------------------------------------------------------------------------------- See Notes to Financial Statements. 72 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (concluded) WisdomTree International MidCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- United Kingdom - 23.8% 3I Group PLC 7,395 $ 129,225 Alliance & Leicester PLC 8,106 164,437 Amvescap PLC 15,602 169,033 Antofagasta PLC 19,715 168,666 AWG PLC 6,545 188,888 Boots Group PLC 11,954 173,054 Brambles Industries PLC 17,293 154,729 Cable & Wireless PLC 68,336 176,793 Capita Group PLC 16,637 170,148 Carnival PLC 3,517 167,853 Carphone Warehouse Group PLC 22,427 128,715 Compass Group PLC 35,722 178,995 DSG International PLC 38,509 157,533 Enterprise Inns PLC 7,926 156,197 Friends Provident PLC 42,808 154,729 Gallaher Group PLC 9,837 160,598 Hammerson PLC 6,645 162,852 Hanson PLC 11,694 168,962 Hays PLC 46,505 125,526 Imperial Chemical Industries PLC 21,551 159,918 Intercontinental Hotels Group PLC 6,870 120,051 ITV PLC 70,664 127,707 J. Sainsbury PLC 23,217 162,848 Kelda Group PLC 9,717 154,373 Kingfisher PLC 42,617 195,234 Liberty International PLC 7,245 165,782 Next PLC 4,519 160,046 Northern Rock PLC 7,516 163,981 Pearson PLC 11,839 168,182 Persimmon PLC 6,630 165,705 Rentokil Initial PLC 51,164 140,013 Reuters Group PLC 19,965 162,041 Royal & Sun Alliance Insurance Group PLC 58,344 162,386 Scottish & Newcastle PLC 16,272 173,253 Severn Trent PLC 6,135 153,104 Smith & Nephew PLC 17,498 160,566 Smiths Group PLC 8,631 144,536 United Utilities PLC 23,803 313,685 Whitbread & Co. PLC 6,010 145,382 WM Morrison Supermarkets PLC 37,228 169,156 Yell Group PLC 14,501 161,304 ------------ Total United Kingdom 6,686,186 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $25,084,016) 27,671,903 ================================================================================ RIGHTS* - 0.0% Germany - 0.0% Suedzucker AG, expiring 10/30/06 (Cost: $0) 1,891 -- ------------- WARRANTS* - 0.0% Hong Kong - 0.0% China Overseas Land & Investment Ltd., expiring 07/18/07 (Cost: $0) 4,060 875 ------------- TOTAL LONG-TERM INVESTMENTS (Cost: $25,084,016) 27,672,778 ================================================================================ SHORT-TERM INVESTMENT - 0.6% MONEY MARKET FUND - 0.6% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $169,901) 169,901 169,901 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 3.5% MONEY MARKET FUNDS (c) - 3.5% AIM Liquid Assets Portfolio, 5.21% 1,100 1,100 AIM Prime Portfolio, 5.22% 50 50 UBS Enhanced Yield Portfolio, 5.30% 500,000 500,000 UBS Private Money Market Fund LLC, 5.23% 488,216 488,216 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $989,366) (d) 989,366 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 102.7% (Cost: $26,243,283) (e) 28,832,045 Liabilities in Excess of Cash, Foreign Cash and Other Assets - (2.7)% (754,444) ------------- NET ASSETS - 100.0% $28,077,601 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, was on loan on September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $937,543 and the total market value of the collateral held by the Fund was $989,366. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 73 Schedule of Investments (unaudited) WisdomTree International SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- COMMON STOCKS - 98.6% Australia - 16.8% A.B.C. Learning Centres Ltd. (a) 13,271 $ 61,996 ABB Grain Ltd. 12,213 61,063 Adelaide Bank Ltd. (a) 7,227 69,302 Adelaide Brighton Ltd. 35,719 62,906 Alinta Ltd. 15,522 132,049 Allco Finance Group Ltd. 9,733 77,281 Ansell Ltd. 9,423 74,468 APN News & Media Ltd. (a) 24,468 92,757 Austereo Group Ltd. 54,729 75,148 Australian Pipeline Trust 21,586 78,449 Australian Stock Exchange Ltd. 1,925 46,687 AWB Ltd. 34,396 83,934 Bank of Queensland Ltd. (a) 6,681 77,129 Baycorp Advantage Ltd. 27,971 63,455 Bendigo Bank Ltd. (a) 7,342 79,171 Boom Logistics Ltd. 20,594 59,475 Challenger Financial Services Group Ltd. 27,365 70,861 City Pacific Ltd. 13,508 46,874 Coates Hire Ltd. 14,825 63,060 Corporate Express Australia Ltd. 14,585 57,141 Crane Group Ltd. (a) 7,112 63,370 David Jones Ltd. (a) 31,469 81,958 Downer EDI Ltd. 11,447 51,254 Energy Resources of Australia Ltd. 7,533 70,269 Excel Coal Ltd. 11,548 81,868 Flight Centre Ltd. (a) 8,986 90,461 Futuris Corp., Ltd. 40,791 61,794 Galileo Shopping America Trust 79,367 72,850 Great Southern Plantations Ltd. (a) 23,786 44,198 Gunns Ltd. 30,887 59,007 GWA International Ltd. 28,417 69,132 Hills Industries Ltd. (a) 19,336 67,241 Iluka Resources Ltd. 13,677 72,568 Iress Market Technology Ltd. (a) 15,602 73,002 Just Group Ltd. (a) 25,856 72,356 MFS Ltd. 21,481 63,960 Minara Resources Ltd. 39,884 121,436 Nufarm Ltd. (a) 8,716 63,742 OneSteel Ltd. 28,693 89,931 Pacific Brands Ltd. 48,920 92,362 PaperlinX Ltd. 28,507 81,902 Peet & Co. Ltd. 22,237 68,701 Primary Health Care Ltd. 7,673 69,571 Ramsay Health Care Ltd. 9,031 67,731 Rural Press Ltd. 8,379 69,406 Seek Ltd. 20,207 76,151 Seven Network Ltd. (a) 10,725 70,511 Sigma Pharmaceuticals Ltd. (a) 35,799 69,726 Sims Group Ltd. 9,151 141,360 Smorgon Steel Group Ltd. 77,492 96,284 Southern Cross Broadcasting Australia Ltd. (a) 8,039 77,388 Spotless Group Ltd. (a) 18,374 63,348 STW Communications Group Ltd. 30,667 63,850 Sunland Group Ltd. 40,060 70,851 Symbion Health Ltd. 29,354 74,917 Ten Network Holdings Ltd. (a) 37,664 82,072 Timbercorp Ltd. (a) 22,744 47,354 Tishman Speyer Office Fund 39,178 69,583 Transfield Services Ltd. (a) 11,778 74,270 United Group Ltd. 6,761 71,645 Washington H. Soul Pattinson & Co., Ltd. 10,715 66,607 West Australian Newspapers Holdings Ltd. (a) 15,105 102,237 ------------- Total Australia 4,571,430 -------------------------------------------------------------------------------- Austria - 0.5% Andritz AG 195 29,716 AT&S Austria Technologie & Systemtechnik AG 456 11,553 Flughafen Wien AG 673 56,306 Schoeller-Bleckmann Oilfield Equipment AG 155 5,955 Semperit AG Holding 597 19,035 ------------- Total Austria 122,565 -------------------------------------------------------------------------------- Belgium - 2.0% Barco N.V. 350 31,989 Compagnie Maritime Belge S.A. 5,042 171,680 Cumerio N.V. 887 18,517 Euronav N.V. 4,125 133,717 EVS Broadcast Equipment S.A. 376 20,909 Gimv N.V. 1,494 89,233 Melexis N.V. 1,539 25,968 Omega Pharma S.A. 210 12,096 Tessenderlo Chemie N.V. 1,218 46,194 ------------- Total Belgium 550,303 -------------------------------------------------------------------------------- Denmark - 1.1% A/S Dampskibsselskabet TORM 3,272 168,966 Amagerbanken A/S 125 7,984 Auriga Industries A/S Class B (a) 502 13,473 Bang & Olufsen A/S Class B 200 21,437 FLSmidth & Co. A/S 757 35,041 NKT Holding A/S 502 37,862 Spar Nord Bank A/S 757 16,460 ------------- Total Denmark 301,223 -------------------------------------------------------------------------------- See Notes to Financial Statements. 74 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Finland - 3.3% Amer Sports Oyj 2,010 $ 45,067 Citycon Oyj 5,032 26,453 Finnair Oyj 2,010 32,820 Finnlines Oyj 1,509 30,584 Fiskars Oyj Abp Class A 2,265 29,983 Hk-Ruokatalo Oyj Class A 2,265 31,274 Huhtamaki Oyj 2,772 47,931 KCI Konecranes PLC 1,509 28,616 Kemira GrowHow Oyj 4,531 31,683 Kemira Oyj 3,524 65,621 Lassila & Tikanoja Oyj 1,007 19,951 M-real Oyj Class B 8,054 40,708 Nokian Renkaat Oyj 2,516 45,226 Oriola-KD Oyj* 3,216 9,818 Orion Oyj Class B* 4,029 76,556 Perlos Oyj 2,516 13,800 Poyry Oyj 2,516 30,533 Rakentajain Konevuokraam Class B 1,509 25,519 Ramirent Oyj 502 21,627 Rapala VMC Oyj 3,022 22,586 Sponda Oyj 5,032 56,731 Stockmann Oyj Abp Class B 1,007 42,261 Technopolis PLC 3,022 23,926 Uponor Corp. 3,022 81,845 Vaisala Oyj Class A 757 26,371 ------------- Total Finland 907,490 -------------------------------------------------------------------------------- France - 2.1% Acanthe Developpement S.A. 6,841 28,511 Alain Afflelou S.A. 416 18,333 April Group 386 16,551 Bacou-Dalloz S.A. 150 17,567 Canal Plus S.A. 4,746 47,976 CFF RECYCLING 481 15,751 FONCIA Groupe S.A. 406 19,019 Generale de Sante 752 25,501 Groupe Steria SCA 325 17,291 Haulotte Group 662 17,116 Havas S.A. 10,314 47,949 Ingenico S.A. 787 17,097 Kaufman & Broad S.A. 401 23,747 Manitou BF S.A. 977 42,970 Mercialys 617 20,735 Nexans S.A. 497 43,157 Provimi S.A. 260 9,667 Rallye S.A. 2,310 109,148 Trigano S.A. 335 15,082 Viel et Compagnie 3,192 18,357 ------------- Total France 571,525 -------------------------------------------------------------------------------- Germany - 2.7% AWD Holding AG 1,699 61,316 BayWa AG 717 19,437 Comdirect Bank AG 3,909 41,842 DAB Bank AG 2,195 20,492 Deutsche Euroshop AG 617 42,729 Douglas Holding AG 1,062 49,641 ElringKlinger AG 386 19,803 H&R WASAG AG 1,232 69,136 IDS Scheer AG 962 20,534 Indus Holding AG 752 26,787 Kloeckner-Werke AG 4,009 58,452 Krones AG 150 19,776 Leoni AG 567 19,752 Medion AG (a) 1,468 16,290 MPC Muenchmeyer Petersen Capital AG 707 58,796 MVV Energie AG 1,744 51,320 Norddeutsche Affinerie AG 1,789 43,058 Sixt AG (a) 381 17,568 Software AG 532 32,536 Takkt AG 1,208 17,445 Vossloh AG 446 26,254 ------------- Total Germany 732,964 -------------------------------------------------------------------------------- Hong Kong - 3.3% Beijing Enterprises Holdings Ltd. 10,074 19,005 China National Aviation Co., Ltd. 30,222 10,666 China Power International Development Ltd. 85,622 35,052 China Travel International Investment Hong Kong Ltd. 211,533 46,692 CITIC International Financial Holdings Ltd. (a) 135,986 78,182 Cross-Harbour Holdings Ltd. 25,189 18,652 Dah Sing Banking Group Ltd. 14,103 30,153 Dah Sing Financial Holdings Ltd. 2,010 18,095 Fountain Set (Holdings) Ltd. 50,364 13,573 Fubon Bank Ltd. 60,432 23,421 Guangzhou Investment Co., Ltd. (a) 80,585 15,823 Hong Kong Aircraft Engineering Co. Ltd. 4,029 57,238 Hongkong & Shanghai Hotels Ltd. (The) 20,142 25,590 Hung Hing Printing Group Ltd. 40,290 21,716 i-CABLE Communications Ltd. 90,654 17,800 Industrial & Commercial Bank of China Ltd. 50,364 87,772 Kowloon Development Co., Ltd. 20,142 35,051 Liu Chong Hing Bank Ltd. 15,110 33,547 Oriental Press Group Ltd. 141,017 25,336 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 75 Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Shanghai Industrial Holdings Ltd. 35,248 $ 66,585 Shaw Brothers (Hong Kong) Ltd. 15,110 27,923 Shenzhen Investment Ltd. 50,364 17,774 Silver Grant International Industries Ltd. 40,290 9,565 Singamas Container Holdings Ltd. 20,142 10,598 Sun Hung Kai & Co., Ltd. 25,189 24,665 Tianjin Development Holdings Ltd. 10,074 6,335 Vitasoy International Holdings Ltd. 50,364 19,842 Wheelock Properties Ltd. 25,189 19,331 Wing Lung Bank Ltd. 8,566 84,371 ------------- Total Hong Kong 900,353 -------------------------------------------------------------------------------- Ireland - 0.7% Abbey PLC 927 11,048 DCC PLC 1,624 40,630 FBD Holdings PLC 577 27,555 Fyffes PLC 17,667 34,241 Glanbia PLC 7,073 24,034 Greencore Group PLC 6,380 31,560 McInerney Holdings PLC 627 10,149 United Drug PLC 3,132 13,909 ------------- Total Ireland 193,126 -------------------------------------------------------------------------------- Italy - 3.2% Aedes SPA 3,859 25,126 AEM Torino SpA 10,033 29,136 Astaldi SpA 4,170 28,736 Autostrada Torino-Milano SpA 3,027 65,186 Azimut Holding SpA 2,526 28,798 Banca Intermobiliare SpA 4,445 46,960 Banca Popolare dell'Etruria e del Lazio 1,408 27,895 Banca Popolare di Intra 1,599 28,702 Banco di Desio e della Brianza SpA 3,167 26,959 Beni Stabili SpA 38,039 42,404 Caltagirone Editore SpA 3,509 29,382 Caltagirone SpA 2,305 24,337 Cam Finanziara SpA 11,196 19,785 Cementir SpA 3,824 29,524 COFIDE - Compagnia Finanziaria De Benedeth SpA 19,120 25,189 Cremonini SpA 14,785 41,438 Gewiss SpA 3,192 24,261 IMMSI SpA (a) 8,901 23,340 Indesit Co. SpA 3,814 41,864 Interpump Group SpA 2,997 26,613 Piccolo Credito Valtellinese Scarl 3,207 46,962 Premafin Finanziaria SpA 9,793 29,152 Recordati SpA 4,290 29,998 Risanamento SpA 4,004 30,432 Societa Iniziative Autostradali e Servizi SpA 4,836 63,588 Sogefi SpA 3,874 27,236 ------------- Total Italy 863,003 -------------------------------------------------------------------------------- Japan - 17.2% ABC-Mart, Inc. 1,500 33,541 ADEKA Corp. 2,500 26,786 Aichi Steel Corp. 5,000 34,854 Air Water, Inc. (a) 5,000 46,966 AOC Holdings, Inc. 2,000 35,320 Asatsu-DK, Inc. 1,000 30,407 Awa Bank Ltd. (The) 5,000 27,697 Calsonic Kansei Corp. 5,000 31,466 Central Glass Co., Ltd. 5,000 27,697 Circle K Sunkus Co. Ltd. 1,500 28,205 Coca-Cola West Japan Co., Ltd. 1,500 29,983 COMSYS Holdings Corp. 5,000 54,885 Daifuku Co., Ltd. 2,500 31,529 Daio Paper Corp. (a) 5,000 44,382 Daishi Bank Ltd. (The) 5,000 21,768 Diamond City Co., Ltd. 1,000 47,347 Disco Corp. 500 30,703 Don Quijote Co., Ltd. 1,500 31,762 Ebara Corp. (a) 10,000 36,251 Exedy Corp. 1,000 27,104 Ezaki Glico Co., Ltd. 5,000 48,575 Fuji Fire & Marine Insurance Co., Ltd. (The) 10,000 40,147 Futaba Corp. 1,000 26,596 Futaba Industrial Co., Ltd. 1,500 32,397 Gigas K's Denki Corp. 1,000 24,605 Goldcrest Co., Ltd. 600 32,575 Goodwill Group, Inc. (The) 40 24,190 Gunze Ltd. 5,000 28,290 Hankyu Department Stores, Inc. 5,000 42,307 Heiwa Corp. 2,000 26,020 Higo Bank Ltd. (The) 5,000 35,023 Hitachi Cable Ltd. 5,000 22,572 Hitachi Koki Co., Ltd. 5,000 66,743 Hitachi Maxell Ltd. 2,500 32,440 Hokkoku Bank Ltd. (The) 5,000 22,403 Horiba Ltd. 1,000 30,492 House Foods Corp. 2,000 33,033 Hyakugo Bank Ltd. (The) 5,000 32,270 Hyakujushi Bank Ltd. (The) 5,000 31,296 JACCS Co., Ltd. 5,000 53,106 Japan Aviation Electronics Industry Ltd. 5,000 70,808 Kagoshima Bank Ltd. (The) 5,000 36,759 Kandenko Co., Ltd. 5,000 34,345 See Notes to Financial Statements. 76 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Katokichi Co., Ltd. 3,500 $ 28,607 Keihin Corp. 1,500 38,369 Keisei Electric Railway Co., Ltd. 5,000 30,661 Keiyo Bank Ltd. (The) 5,000 28,162 Kobayashi Pharmaceutical Co., Ltd. 1,000 38,199 Koei Co., Ltd. (a) 1,500 24,495 Komeri Co., Ltd. 1,000 33,371 Komori Corp. 5,000 101,850 KOSE Corp. 1,000 32,270 Kyowa Exeo Corp. 5,000 52,259 Lintec Corp. 1,000 23,165 Lion Corp. (a) 5,000 26,934 Makino Milling Machine Co., Ltd. 5,000 42,561 Meiji Dairies Corp. (a) 5,000 33,795 Meiji Seika Kaisha Ltd. 5,000 25,410 Meitec Corp. 1,000 30,746 MISUMI Group, Inc. 2,000 34,303 Musashino Bank Ltd. (The) 500 27,739 Nabtesco Corp. 5,000 56,748 Nachi-Fujikoshi Corp. 5,000 24,097 Nagase & Co., Ltd. 5,000 62,254 Nichirei Corp. 5,000 26,384 Nihon Unisys Ltd. 2,000 35,828 Nippon Kayaku Co., Ltd. 5,000 42,392 Nippon Light Metal Co., Ltd. 10,000 25,156 Nippon Paint Co., Ltd. 5,000 26,045 Nippon Suisan Kaisha Ltd. 6,000 33,033 Nishimatsuya Chain Co., Ltd. 2,000 37,776 Nishi-Nippon Railroad Co., Ltd. 10,000 37,437 Nissan Diesel Motor Co., Ltd. 5,000 19,735 Nissha Printing Co., Ltd. 1,000 45,399 Obic Co., Ltd. 150 31,724 Ogaki Kyoritsu Bank Ltd. (The) 5,000 22,826 Oki Electric Industry Co., Ltd. 15,000 33,795 Okumura Corp. 5,000 27,485 OSG Corp. 2,000 28,493 PanaHome Corp. (a) 5,000 35,701 Paris Miki, Inc. 1,500 25,981 Plenus Co., Ltd. 1,000 27,019 Point, Inc. 500 26,426 QP Corp. 3,500 33,083 Rengo Co., Ltd. 5,000 33,287 Rinnai Corp. 1,000 28,628 Sagami Railway Co., Ltd. 10,000 34,473 Saibu Gas Co., Ltd. 15,000 34,049 San-In Godo Bank Ltd. (The) 5,000 45,738 Sanken Electric Co., Ltd. 5,000 64,710 Sankyu, Inc. (a) 5,000 28,755 Sanwa Shutter Corp. 5,000 28,374 Sanyo Shinpan Finance Co., Ltd. 600 23,987 Sanyo Special Steel Co., Ltd. 5,000 38,707 Sapporo Holdings Ltd. (a) 5,000 23,758 Seven & I Holdings Co., Ltd. 880 28,323 Shiga Bank Ltd. (The) 5,000 31,847 Shimachu Co., Ltd. 1,000 29,391 Shimadzu Corp. 5,000 38,496 Shin-Etsu Polymer Co., Ltd. 2,500 35,955 Showa Corp. 2,000 36,251 Sohgo Security Services Co., Ltd. 1,500 26,553 Sumitomo Osaka Cement Co., Ltd. 10,000 29,645 Sumitomo Real Estate Sales Co., Ltd. 450 38,343 Sumitomo Warehouse Co., Ltd. (The) 5,000 35,743 Sundrug Co., Ltd. 1,500 34,430 Sysmex Corp. 1,000 38,115 Taiyo Yuden Co., Ltd. 5,000 75,128 Toda Corp. 5,000 23,419 Tokai Carbon Co., Ltd. 5,000 31,847 Tokai Rubber Industries, Inc. 2,000 28,967 Tokai Tokyo Securities Co., Ltd. 5,000 25,706 Tokyo Dome Corp. 5,000 25,198 Tokyo Ohka Kogyo Co., Ltd. 1,000 26,596 Tokyo Style Co., Ltd. 5,000 60,263 Tokyo Tomin Bank Ltd. (The) 1,000 42,011 Toppan Forms Co., Ltd. 2,500 31,614 Toshiba Machine Co., Ltd. 5,000 39,682 Toshiba TEC Corp. 5,000 23,377 Toyo Ink Manufacturing Co., Ltd. 5,000 19,565 Toyo Suisan Kaisha Ltd. 5,000 72,121 Toyobo Co., Ltd. 10,000 26,341 Toyota Auto Body Co., Ltd. 2,000 34,811 Tsubakimoto Chain Co. 5,000 23,081 Tsumura & Co. 5,000 115,614 UFJ Central Leasing Co., Ltd. 500 22,911 ULVAC, Inc. 1,000 35,150 Union Tool Co. 500 20,794 Xebio Co., Ltd. 1,000 30,915 Yamatake Corp. 1,500 36,971 Yamato Kogyo Co., Ltd. 1,500 32,334 Yamazaki Baking Co., Ltd. 5,000 48,490 Yokohama Rubber Co., Ltd. (The) 5,000 24,012 ------------- Total Japan 4,687,834 -------------------------------------------------------------------------------- Netherlands - 3.1% Aalberts Industries N.V. 749 55,457 Arcadis N.V. 537 23,577 Binck N.V. 1,494 21,726 Eurocommercial Properties N.V. 1,854 87,484 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 77 Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- Getronics N.V. 2,100 $ 14,152 Heijmans N.V. 857 39,440 Imtech N.V. 722 37,818 Konin Klijke Boskalis Westminster N.V. 572 37,171 Koninklijke Wessanen N.V. 4,034 55,802 Macintosh Retail Group N.V. 757 22,823 Nieuwe Steen Investments N.V. 2,410 63,255 Nutreco Holding N.V. 426 26,172 OCE N.V. 3,999 64,132 Stork N.V. 857 43,316 Telegraaf Media Groep N.V. 1,032 24,512 Univar N.V. 587 24,575 Vastned Offices/Industrial N.V. 1,208 42,694 Vastned Retail N.V. 667 54,666 Wegener N.V. 1,413 17,541 Wereldhave N.V. 812 88,563 ------------- Total Netherlands 844,876 -------------------------------------------------------------------------------- New Zealand - 2.8% Air New Zealand Ltd. 57,997 50,741 Auckland International Airport Ltd. 69,508 92,125 CanWest MediaWorks (NZ) Ltd. 22,593 20,799 Fisher & Paykel Appliances Holdings Ltd. 15,852 37,363 Fisher & Paykel Healthcare Corp. 18,469 50,042 Freightways Ltd. 9,748 23,612 Infratil Ltd. 8,981 24,158 Mainfreight Ltd. 6,706 28,678 New Zealand Refining Co., Ltd. (The) 16,704 68,708 Nuplex Industries Ltd. 5,614 23,458 PGG Wrightson Ltd. 17,471 18,935 Port of Tauranga Ltd. 7,262 23,470 Pumpkin Patch Ltd. 8,876 23,470 Sanford Ltd. 7,127 22,103 Sky City Entertainment Group Ltd. 28,124 97,321 Steel & Tube Holdings Ltd. 8,736 26,237 Vector Ltd. 32,366 50,082 Warehouse Group Ltd. (The) 19,004 79,782 ------------- Total New Zealand 761,084 -------------------------------------------------------------------------------- Norway - 1.9% ABG Sundal Collier ASA 30,222 53,549 Acta Holding ASA 22,663 91,783 Aker Yards AS 807 61,899 Aktiv Kapital ASA 1,509 20,371 Camillo Eitzen & Co. A/S 1,659 18,579 Ekornes ASA 2,265 46,734 Expert ASA 1,007 11,740 Hafslund ASA Class B 1,007 17,611 ProSafe ASA 502 30,804 Schibsted ASA 1,258 37,825 Solstad Offshore ASA 1,007 17,842 Sparebanken Midt-Norge 3,524 42,032 Tomra Systems ASA (a) 2,010 12,272 Veidekke ASA 1,258 39,562 ------------- Total Norway 502,603 -------------------------------------------------------------------------------- Portugal - 0.9% Corticeira Amorim S.A. 3,469 8,481 Finibanco Holding, SGPS, S.A. 2,465 9,024 Jeronimo Martins, SGPS, S.A. 3,869 69,007 Mota-Engil, SGPS, S.A. 4,684 26,345 Portucel-Empresa Produtora De Pasta E Papel, S.A. (a) 18,454 50,727 SAG Gest-Solucoes Automovel Globais, SGPS, S.A. 12,131 26,124 Semapa-Sociedade de Investimento e Gestao, SGPS, S.A. 5,949 61,041 ------------- Total Portugal 250,749 -------------------------------------------------------------------------------- Singapore - 6.7% Ascendas Real Estate Investment Trust 65,000 88,093 CapitaCommercial Trust 40,000 55,724 CapitaMall Trust Management Ltd. 60,000 96,067 ComfortDelgro Corp., Ltd. 80,000 85,224 Cosco Corp. (Singapore) Ltd. 65,000 68,016 Creative Technology Ltd. (a) 9,500 62,279 Fortune Real Estate Investment Trust 25,000 18,929 Guocoland Ltd. 30,000 45,197 Haw Par Corp., Ltd. 15,000 60,042 Hi-P International Ltd. 80,000 42,108 Jardine Cycle & Carriage Ltd. 10,000 75,643 Jaya Holdings Ltd. 60,000 52,572 Keppel Land Ltd. 20,000 62,532 Labroy Marine Ltd. 65,000 69,655 MFS Technology Ltd. 65,000 43,432 MobileOne Ltd. 60,000 79,803 Overseas Union Enterprise Ltd. 8,000 51,437 Parkway Holdings Ltd. 35,000 61,775 Raffles Holdings Ltd. 110,000 50,618 Singapore Airport Terminal Services Ltd. 45,000 61,838 Singapore Land Ltd. 10,000 49,483 Singapore Petroleum Co., Ltd. 15,000 44,440 Singapore Post Ltd. 110,000 70,033 SMRT Corp. Ltd. 85,000 59,474 Suntec Real Estate Investment Trust 65,000 60,640 United Industrial Corp., Ltd. 50,000 51,374 UOL Group Ltd. 25,000 55,156 Venture Corp., Ltd. 5,000 39,713 Want Want Holdings Ltd. 40,000 62,000 See Notes to Financial Statements. 78 WisdomTree Trust International Equity Funds Schedule of Investments (unaudited) (continued) WisdomTree International SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- WBL Corp., Ltd. (a) 15,000 $ 47,088 Wheelock Properties (Singapore) Ltd. 55,000 62,059 ------------- Total Singapore 1,832,444 -------------------------------------------------------------------------------- Spain - 0.8% Campofrio Alimentacion S.A. 1,945 35,849 Dinamia Capital Privado S.C.R., S.A. 335 10,189 Europistas, Concesionaria Espanola S.A. 2,992 26,000 Faes Farma S.A. (a) 742 20,744 Grupo Duro Felguera S.A. 1,173 7,043 Grupo Empresarial Ence S.A. 692 34,459 Miquel y Costas & Miquel, S.A. 195 5,867 Obrascon Huarte Lain, S.A. 937 20,534 Prosegur Cia de Seguridad S.A. 972 29,157 Tubacex S.A. 1,067 5,974 Tubos Reunidos, S.A. 582 11,818 ------------- Total Spain 207,634 -------------------------------------------------------------------------------- Sweden - 5.3% AB Industrivarden Class C 2,010 57,871 Axfood AB 2,516 76,388 Cardo AB 1,007 30,848 Castellum AB 6,541 73,634 Clas Ohlson AB Class B 2,010 41,072 D Carnegie & Co. AB 4,531 95,522 Eniro AB 5,032 61,797 Fabege AB 5,538 122,420 Hoganas AB Class B 1,509 39,946 Hufvudstaden AB Class A 5,032 42,571 Intrum Justitia AB 4,029 39,583 JM AB 2,005 35,224 Kungsleden Fastighets AB 6,541 74,527 L E Lundbergforetagen AB Class B 757 38,890 Meda AB Class A 2,010 46,214 Munters AB 1,258 48,751 NCC AB Class B 2,010 43,197 Nibe Industrier AB Class B 4,029 53,327 Nobia AB 1,509 50,447 Oresund Investment AB 2,516 46,519 Peab AB 2,010 32,775 Ratos AB Class B 5,032 94,583 SSAB Svenskt Stal AB Series B 3,022 53,607 Trelleborg AB Class B 3,022 56,906 Wallenstam Byggnads AB Class B 3,022 44,741 WM-data AB Class B 15,110 52,576 ------------- Total Sweden 1,453,936 -------------------------------------------------------------------------------- Switzerland - 0.2% Ascom Holding AG 547 6,238 Converium Holding AG 967 11,722 Kudelski S.A. 461 13,603 Swiss Steel AG 200 11,619 ------------- Total Switzerland 43,182 -------------------------------------------------------------------------------- United Kingdom - 24.0% Aberdeen Asset Management PLC 27,575 84,346 Aero Inventory PLC 1,423 10,327 Aggreko PLC 16,283 101,892 Arriva PLC 7,904 97,444 Atkins WS PLC 5,212 85,091 Babcock International Group PLC 13,015 84,786 Bodycote International PLC 16,604 73,662 Bovis Homes Group PLC 5,182 89,683 Brit Insurance Holdings PLC 25,335 142,921 Burren Energy PLC 5,493 86,343 Capital & Regional PLC 4,160 92,160 Carillion PLC 13,767 94,121 Carpetright PLC 3,448 74,390 Cattles PLC 15,852 112,447 Crest Nicholson PLC 8,274 83,768 Croda International PLC 9,638 91,907 Dairy Crest Group PLC 8,871 97,436 Davis Service Group PLC 9,111 81,776 De La Rue PLC 7,708 82,358 Derwent Valley Holdings PLC 2,922 99,611 DS Smith PLC 27,018 77,721 Electrocomponents PLC 34,627 179,975 F&C Asset Management PLC 28,161 106,916 Filtrona PLC 13,742 67,382 Findel PLC 7,372 77,941 First Choice Holidays PLC 18,399 68,565 FKI PLC 37,153 62,633 Forth Ports PLC 2,420 87,516 Go-Ahead Group PLC 2,375 87,663 Great Portland Estates PLC 8,886 100,422 Greene King PLC 5,443 91,810 Halfords Group PLC 13,888 87,036 Halma PLC 22,418 79,983 Hiscox PLC 19,701 83,537 HMV Group PLC 24,833 75,147 Homeserve PLC 2,762 85,799 Intermediate Capital Group PLC 3,358 89,384 Intertek Group PLC 6,064 88,353 See Notes to Financial Statements. WisdomTree Trust International Equity Funds 79 Schedule of Investments (unaudited) (concluded) WisdomTree International SmallCap Dividend Fund September 30, 2006 ================================================================================ Investments Shares U.S. $ Value -------------------------------------------------------------------------------- J D Wetherspoon PLC 10,179 $ 97,113 Jardine Lloyd Thompson Group PLC 13,116 95,550 Laird Group PLC 10,931 76,774 London Merchant Securities 16,795 75,372 Matalan PLC 23,581 82,150 McCarthy & Stone PLC 4,826 96,638 Millennium & Copthorne Hotels PLC 10,219 91,912 Misys PLC 21,836 92,283 N Brown Group PLC 19,250 84,951 Northern Foods PLC 51,536 86,640 Northgate PLC 4,145 78,627 Paragon Group of Cos. (The) PLC 6,199 78,045 Pendragon PLC 7,598 70,822 Premier Farnell PLC 23,651 79,964 Premier Foods PLC 13,923 69,115 PZ Cussons PLC 27,970 81,635 Quintain Estates & Development PLC 6,866 89,777 Redrow PLC 9,256 101,750 Renishaw PLC 4,826 70,766 Savills PLC 7,643 76,024 Schroders PLC 4,385 70,893 SIG PLC 4,952 90,743 Smiths News PLC * 9,352 21,007 Songbird Estates PLC Class B 30,862 134,467 Spectris PLC 7,222 85,057 Spirax-Sarco Engineering PLC 4,821 82,940 SSL International PLC 14,520 94,929 Stagecoach Group PLC 41,948 99,513 Taylor Nelson Sofres PLC 17,707 70,782 Topps Tiles PLC 14,058 68,013 Ultra Electronics Holdings PLC 4,325 84,909 Victrex PLC 5,473 80,917 Viridian Group PLC 5,543 110,892 VT Group PLC 8,666 78,267 Weir Group (The) PLC 9,848 88,437 WH Smith PLC * 9,352 62,845 Wolverhampton & Dudley Breweries (The) PLC 3,232 86,936 Woolworths Group PLC 127,505 84,551 ------------- Total United Kingdom 6,536,258 -------------------------------------------------------------------------------- TOTAL COMMON STOCKS (Cost: $25,029,621) 26,834,582 ================================================================================ RIGHTS* - 0.0% Italy - 0.0% IMMSI SpA, expiring 10/13/06 (a) (Cost: $0) 8,901 $ 1,488 ------------- TOTAL LONG-TERM INVESTMENTS (Cost: $25,029,621) 26,836,070 ================================================================================ SHORT-TERM INVESTMENT - 1.0% MONEY MARKET FUND - 1.0% United States - 1.0% Columbia Cash Reserves Fund, 4.92% (b) (Cost: $285,535) 285,535 285,535 ================================================================================ INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED - 8.1% MONEY MARKET FUNDS (c) - 8.1% UBS Enhanced Yield Portfolio, 5.30% 1,300,000 1,300,000 UBS Private Money Market Fund LLC, 5.23% 894,751 894,751 ------------- TOTAL INVESTMENTS OF CASH COLLATERAL FOR SECURITIES LOANED (Cost: $2,194,751) (d) 2,194,751 ================================================================================ TOTAL INVESTMENTS IN SECURITIES - 107.7% (Cost: $27,509,907) (e) 29,316,356 ------------- Liabilities in Excess of Cash, Foreign Cash and Other Assets - (7.7)% (2,096,949) ------------- NET ASSETS - 100.0% $ 27,219,407 ================================================================================ * Non-income producing security. (a) Security, or portion thereof, were on loan on September 30, 2006 (See Note 2). (b) Rate shown represents annualized 7-day yield as of September 30, 2006. (c) Interest rates shown reflect yields as of September 30, 2006. (d) At September 30, 2006, the total market value of the Fund's securities on loan was $2,007,001 and the total market value of the collateral held by the Fund was $2,194,751. (e) Aggregate cost for Federal income tax purposes is substantially the same as for book purposes. See Notes to Financial Statements. 80 WisdomTree Trust International Equity Funds Statements of Assets and Liabilities (unaudited) WisdomTree International Equity Funds September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree DIEFA WisdomTree Europe Europe WisdomTree High-Yielding Europe Total High-Yielding SmallCap DIEFA Fund Equity Fund Dividend Fund Equity Fund Dividend Fund ----------- ------------- ------------- ------------- ------------- ASSETS: ------------------------------------------------------------------------------------------------------------------------------------ Investments, at cost $26,143,573 $20,703,767 $10,366,546 $21,282,807 $25,709,169 Foreign currency, at cost 30,466 43,191 8,533 9,163 159,602 ------------------------------------------------------------------------------------------------------------------------------------ Investments in securities, at value (including securities on loan) (Note 2): 27,709,871 21,993,708 11,098,935 22,174,681 27,945,217 Foreign currency, at value 30,264 42,910 8,525 9,156 160,042 Receivables: Investment securities sold 14,219 9,843 10,305 15,670 -- Dividends and interest 40,827 43,213 10,852 24,358 55,412 Foreign tax reclaims 478 338 482 830 1,367 ------------------------------------------------------------------------------------------------------------------------------------ Total Assets 27,795,659 22,090,012 11,129,099 22,224,695 28,162,038 ==================================================================================================================================== LIABILITIES: Due to custodian 34,748 -- -- -- -- Payables: Collateral for securities on loan (Note 2) 195,116 81,050 25,717 48,420 318,505 Investment advisory fees (Note 3) 6,463 7,269 3,321 6,263 13,053 ------------------------------------------------------------------------------------------------------------------------------------ Total Liabilities 236,327 88,319 29,038 54,683 331,558 ==================================================================================================================================== NET ASSETS $27,559,332 $22,001,693 $11,100,061 $22,170,012 $27,830,480 ==================================================================================================================================== NET ASSETS: Paid-in capital $24,759,381 $19,752,410 $ 9,392,791 $20,330,461 $25,432,196 Undistributed net investment income 108,783 116,260 51,456 77,555 146,260 Accumulated net realized gain on investments and foreign currency related transactions 1,125,670 844,014 923,618 870,528 16,007 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 1,565,498 1,289,009 732,196 891,468 2,236,017 ------------------------------------------------------------------------------------------------------------------------------------ NET ASSETS $27,559,332 $22,001,693 $11,100,061 $22,170,012 $27,830,480 ==================================================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 500,100 400,100 200,100 400,100 500,100 ------------------------------------------------------------------------------------------------------------------------------------ Net asset value per share $ 55.11 $ 54.99 $ 55.47 $ 55.41 $ 55.65 ==================================================================================================================================== See Notes to Financial Statements. WisdomTree Trust International Equity Funds 81 Statements of Assets and Liabilities (unaudited) (continued) WisdomTree International Equity Funds September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree WisdomTree Pacific WisdomTree Japan Japan Pacific ex- ex-Japan Japan Total High-Yielding SmallCap Japan Total High-Yielding Dividend Fund Equity Fund Dividend Fund Dividend Fund Equity Fund ------------- ------------- ------------- ------------- ------------- ASSETS: ------------------------------------------------------------------------------------------------------------------------------------ Investments, at cost $ 26,122,971 $ 27,779,142 $ 10,158,072 $ 10,618,242 $ 17,814,885 Foreign currency, at cost 108,415 24,818 56,398 44,027 37,268 ------------------------------------------------------------------------------------------------------------------------------------ Investments in securities, at value (including securities on loan) (Note 2): 27,058,479 28,721,930 10,333,717 11,104,494 18,175,143 Foreign currency, at value 107,771 24,671 56,031 43,900 37,138 Receivables: Dividends and interest 107,310 146,552 46,555 32,611 72,493 ------------------------------------------------------------------------------------------------------------------------------------ Total Assets 27,273,560 28,893,153 10,436,303 11,181,005 18,284,774 ==================================================================================================================================== LIABILITIES: Due to custodian 345,154 10,214 54,903 -- -- Payables: Collateral for securities on loan (Note 2) 889,415 2,760,525 377,744 389,768 2,458,154 Investment advisory fees (Note 3) 10,246 12,441 2,856 2,536 4,498 ------------------------------------------------------------------------------------------------------------------------------------ Total Liabilities 1,244,815 2,783,180 435,503 392,304 2,462,652 ==================================================================================================================================== NET ASSETS $ 26,028,745 $ 26,109,973 $ 10,000,800 $ 10,788,701 $ 15,822,122 ==================================================================================================================================== NET ASSETS: Paid-in capital $ 25,011,494 $ 25,045,340 $ 9,653,791 $ 9,091,147 $ 14,632,812 Undistibuted net investment income 87,051 123,140 36,885 86,818 133,215 Accumulated net realized gain (loss) on investments and foreign currency related transactions (3,721) 132 135,254 1,125,116 696,992 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 933,921 941,361 174,870 485,620 359,103 ------------------------------------------------------------------------------------------------------------------------------------ NET ASSETS $ 26,028,745 $ 26,109,973 $ 10,000,800 $ 10,788,701 $ 15,822,122 ==================================================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 500,100 500,100 200,100 200,100 300,100 ------------------------------------------------------------------------------------------------------------------------------------ Net asset value per share $ 52.05 $ 52.21 $ 49.98 $ 53.92 $ 52.72 ==================================================================================================================================== See Notes to Financial Statements. 82 WisdomTree Trust International Equity Funds Statements of Assets and Liabilities (unaudited) (concluded) WisdomTree International Equity Funds September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree WisdomTree International International International International LargeCap Dividend MidCap SmallCap Dividend Fund Top 100 Fund Dividend Fund Dividend Fund ------------- ------------- ------------- ------------- ASSETS: ------------------------------------------------------------------------------------------------------------------------------------ Investments, at cost $25,588,352 $26,293,279 $26,243,283 $27,509,907 Foreign currency, at cost 81,901 3,973 76,797 159,323 ------------------------------------------------------------------------------------------------------------------------------------ Investments in securities, at value (including securities on loan) (Note 2): 27,737,983 28,879,230 28,832,045 29,316,356 Foreign currency, at value 81,646 3,936 77,081 160,562 Receivables: Investment securities sold -- -- 78,190 -- Dividends and interest 51,965 58,642 92,028 102,956 Foreign tax reclaims 436 432 765 242 ------------------------------------------------------------------------------------------------------------------------------------ Total Assets 27,872,030 28,942,240 29,080,109 29,580,116 ==================================================================================================================================== LIABILITIES: Due to custodian 172,910 -- -- 153,185 Payables: Collateral for securities on loan (Note 2) 203,989 993,750 989,366 2,194,751 Investment advisory fees (Note 3) 10,734 13,108 13,142 12,773 ------------------------------------------------------------------------------------------------------------------------------------ Total Liabilities 387,633 1,006,858 1,002,508 2,360,709 ==================================================================================================================================== NET ASSETS $27,484,397 $27,935,382 $28,077,601 $27,219,407 ==================================================================================================================================== NET ASSETS Paid-in capital $25,219,271 $25,188,222 $25,273,677 $25,195,007 Undistributed net investment income 112,218 159,485 164,476 202,599 Accumulated net realized gain on investments and foreign currency related transactions 4,311 2,680 51,971 14,995 Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 2,148,597 2,584,995 2,587,477 1,806,806 ------------------------------------------------------------------------------------------------------------------------------------ NET ASSETS $27,484,397 $27,935,382 $28,077,601 $27,219,407 ==================================================================================================================================== Beneficial interest shares of $0.001 par value (unlimited number of shares authorized) 500,100 500,100 500,100 500,100 ------------------------------------------------------------------------------------------------------------------------------------ Net asset value per share $ 54.96 $ 55.86 $ 56.14 $ 54.43 ==================================================================================================================================== See Notes to Financial Statements. WisdomTree Trust International Equity Funds 83 Statements of Operations (unaudited) WisdomTree International Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree WisdomTree DIEFA Europe Europe Europe WisdomTree High-Yielding Total High-Yielding SmallCap DIEFA Fund Equity Fund Dividend Fund Equity Fund Dividend Fund ----------- ------------- ------------- ------------- ------------- INVESTMENT INCOME: ------------------------------------------------------------------------------------------------------------------------------------ Dividends(1) $ 137,283 $ 144,594 $ 67,025 $ 98,684 $ 183,567 Interest 516 609 548 510 782 Securities lending income (Note 2) -- 43 10 5 -- ------------------------------------------------------------------------------------------------------------------------------------ Total investment income 137,799 145,246 67,583 99,199 184,349 ==================================================================================================================================== EXPENSES: Investment advisory fees (Note 3) 29,016 28,986 16,127 21,644 38,089 Trustee fees 3,655 3,655 3,655 3,655 3,655 Chief compliance officer fees 2,083 2,083 2,083 2,083 2,083 Legal fees 1,501 1,501 1,501 1,501 1,501 Miscellaneous fees 296 179 156 73 230 ------------------------------------------------------------------------------------------------------------------------------------ Total expenses 36,551 36,404 23,522 28,956 45,558 ------------------------------------------------------------------------------------------------------------------------------------ Expense reimbursements (Note 3) (7,535) (7,418) (7,395) (7,312) (7,469) ------------------------------------------------------------------------------------------------------------------------------------ Net expenses 29,016 28,986 16,127 21,644 38,089 ------------------------------------------------------------------------------------------------------------------------------------ Net investment income 108,783 116,260 51,456 77,555 146,260 ==================================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions 14,384 10,392 9,342 1,542 16,654 In-kind redemptions 1,111,660 833,653 914,803 868,861 -- Foreign currency related transactions (374) (31) (527) 125 (647) ------------------------------------------------------------------------------------------------------------------------------------ Net realized gain 1,125,670 844,014 923,618 870,528 16,007 ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation (depreciation) from: Investment transactions 1,566,298 1,289,941 732,389 891,874 2,236,048 Translation of assets and liabilities denominated in foreign currencies (800) (932) (193) (406) (31) ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation 1,565,498 1,289,009 732,196 891,468 2,236,017 ------------------------------------------------------------------------------------------------------------------------------------ Net realized and unrealized gain on investments 2,691,168 2,133,023 1,655,814 1,761,996 2,252,024 ==================================================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $ 2,799,951 $ 2,249,283 $ 1,707,270 $ 1,839,551 $ 2,398,284 ==================================================================================================================================== * Commencement of investment operations 1. Net of foreign withholding tax of $14,674, $14,552, $9,910, $14,629 and $4,462, respectively. See Notes to Financial Statements. 84 WisdomTree Trust International Equity Funds Statements of Operations (unaudited) (continued) WisdomTree International Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== WisdomTree Pacific WisdomTree WisdomTree WisdomTree WisdomTree ex-Japan Japan Japan Japan Pacific High- Total High-Yielding SmallCap ex-Japan Total Yielding Dividend Fund Equity Fund Dividend Fund Dividend Fund Equity Fund ------------- ------------- ------------- -------------- ----------- INVESTMENT INCOME: ------------------------------------------------------------------------------------------------------------------------------------ Dividends(1) $ 117,254 $ 158,887 $ 49,887 $ 105,225 $ 156,792 Interest 9 30 172 90 185 Securities lending income (Note 2) -- 770 156 282 -- ------------------------------------------------------------------------------------------------------------------------------------ Total investment income 117,263 159,687 50,215 105,597 156,977 ------------------------------------------------------------------------------------------------------------------------------------ EXPENSES: Investment advisory fees (Note 3) 30,212 36,547 13,330 18,779 23,762 Trustee fees 3,655 3,655 3,655 3,655 3,655 Chief compliance officer fees 2,083 2,083 2,083 2,083 2,083 Legal fees 1,501 1,501 1,501 1,501 1,501 Miscellaneous fees 141 103 255 114 48 ------------------------------------------------------------------------------------------------------------------------------------ Total expenses 37,592 43,889 20,824 26,132 31,049 ------------------------------------------------------------------------------------------------------------------------------------ Expenses reimbursements (Note 3) (7,380) (7,342) (7,494) (7,353) (7,287) ------------------------------------------------------------------------------------------------------------------------------------ Net expenses 30,212 36,547 13,330 18,779 23,762 ------------------------------------------------------------------------------------------------------------------------------------ Net investment income 87,051 123,140 36,885 86,818 133,215 ==================================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions (2,496) 831 (27) 7,334 (665) In-kind redemptions -- -- 136,379 1,116,793 694,801 Foreign currency related transactions (1,225) (699) (1,098) 989 2,856 ------------------------------------------------------------------------------------------------------------------------------------ Net realized gain (loss) (3,721) 132 135,254 1,125,116 696,992 ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation (depreciation) from: Investment transactions 935,508 942,788 175,645 486,252 360,258 Translation of assets and liabilities denominated in foreign currencies (1,587) (1,427) (775) (632) (1,155) ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation 933,921 941,361 174,870 485,620 359,103 ------------------------------------------------------------------------------------------------------------------------------------ Net realized and unrealized gain on investments 930,200 941,493 310,124 1,610,736 1,056,095 ==================================================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $ 1,017,251 $ 1,064,633 $ 347,009 $ 1,697,554 $ 1,189,310 ==================================================================================================================================== * Commencement of investment operations. 1. Net of foreign withholding tax of $8,826, $11,959, $3,755, $1,087 and $4,125, respectively. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 85 Statements of Operations (unaudited) (concluded) WisdomTree International Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree WisdomTree International International International International LargeCap Dividend MidCap SmallCap Dividend Fund Top 100 Fund Dividend Fund Dividend Fund ------------- ------------- ------------- ------------- INVESTMENT INCOME: ------------------------------------------------------------------------------------------------------------------------------------ Dividends(1) $ 142,659 $ 195,973 $ 201,010 $ 237,863 Interest 993 1,147 1,079 815 Securities lending income (Note 2) -- 407 476 1,094 Total investment income 143,652 197,527 202,565 239,772 ------------------------------------------------------------------------------------------------------------------------------------ EXPENSES: Investment advisory fees (Note 3) 31,434 38,042 38,089 37,173 Trustee fees 3,655 3,655 3,655 3,655 Chief compliance officer fees 2,083 2,083 2,083 2,083 Legal fees 1,501 1,501 1,501 1,501 Miscellaneous fees 130 49 184 275 ------------------------------------------------------------------------------------------------------------------------------------ Total expenses 38,803 45,330 45,512 44,687 ------------------------------------------------------------------------------------------------------------------------------------ Expense reimbursements (Note 3) (7,369) (7,288) (7,423) (7,514) ------------------------------------------------------------------------------------------------------------------------------------ Net expenses 31,434 38,042 38,089 37,173 ------------------------------------------------------------------------------------------------------------------------------------ Net investment income 112,218 159,485 164,476 202,599 ==================================================================================================================================== NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS: Net realized gain (loss) from: Investment transactions 5,595 3,127 53,061 12,803 Foreign currency related transactions (1,284) (447) (1,090) 2,192 ------------------------------------------------------------------------------------------------------------------------------------ Net realized gain 4,311 2,680 51,971 14,995 ------------------------------------------------------------------------------------------------------------------------------------ Net change unrealized appreciation (depreciation) from: Investment transactions 2,149,631 2,585,951 2,588,762 1,806,449 Translation of assets and liabilities denominated in foreign currencies (1,034) (956) (1,285) 357 ------------------------------------------------------------------------------------------------------------------------------------ Net change in unrealized appreciation 2,148,597 2,584,995 2,587,477 1,806,806 ------------------------------------------------------------------------------------------------------------------------------------ Net realized and unrealized gain on investments 2,152,908 2,587,675 2,639,448 1,821,801 ==================================================================================================================================== NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS $ 2,265,126 $ 2,747,160 $ 2,803,924 $ 2,024,400 ==================================================================================================================================== * Commencement of investment operations 1. Net of foreign withholding tax of $8,667, $11,020, $5,499 and $7,683, respectively. See Notes to Financial Statements. 86 WisdomTree Trust International Equity Funds Statements of Changes in Net Assets (unaudited) WisdomTree International Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree WisdomTree DIEFA Europe Europe Europe WisdomTree High-Yielding Europe Total High-Yielding SmallCap DIEFA Fund Equity Fund Dividend Fund Equity Fund Dividend Fund ------------------------------------------------------------------------------------------------------------------------------------ INCREASE IN NET ASSETS ------------------------------------------------------------------------------------------------------------------------------------ OPERATIONS: Net investment income $ 108,783 $ 116,260 $ 51,456 $ 77,555 $ 146,260 Net realized gain on investments and foreign currency related transactions 1,125,670 844,014 923,618 870,528 16,007 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 1,565,498 1,289,009 732,196 891,468 2,236,017 ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from operations 2,799,951 2,249,283 1,707,270 1,839,551 2,398,284 ==================================================================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 38,073,768 30,385,492 20,099,718 31,006,218 25,432,196 Cost of shares redeemed (13,314,387) (10,633,082) (10,706,927) (10,675,757) -- ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from capital share transactions 24,759,381 19,752,410 9,392,791 20,330,461 25,432,196 ==================================================================================================================================== Net Increase in Net Assets 27,559,332 22,001,693 11,100,061 22,170,012 27,830,480 ==================================================================================================================================== NET ASSETS: Beginning of period -- -- -- -- -- End of period $ 27,559,332 $ 22,001,693 $ 11,100,061 $ 22,170,012 $ 27,830,480 ==================================================================================================================================== Undistributed net investment income included in net assets at end of period $ 108,783 $ 116,260 $ 51,456 $ 77,555 $ 146,260 ==================================================================================================================================== SHARES CREATED AND REDEEMED: Shares created 750,100 600,100 400,100 600,100 500,100 Shares redeemed (250,000) (200,000) (200,000) (200,000) -- ------------------------------------------------------------------------------------------------------------------------------------ Net increase in shares outstanding 500,100 400,100 200,100 400,100 500,100 ==================================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 87 Statements of Changes in Net Assets (unaudited) (continued) WisdomTree International Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree WisdomTree Pacific Pacific WisdomTree Japan Japan ex-Japan ex-Japan Japan Total High-Yielding SmallCap Dividend High-Yielding Dividend Fund Equity Fund Total Dividend Fund Equity Fund ------------------------------------------------------------------------------------------------------------------------------------ INCREASE IN NET ASSETS ------------------------------------------------------------------------------------------------------------------------------------ OPERATIONS: Net investment income $ 87,051 $ 123,140 $ 36,885 $ 86,818 $ 133,215 Net realized gain (loss) on investments and foreign currency related transactions (3,721) 132 135,254 1,125,116 696,992 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 933,921 941,361 174,870 485,620 359,103 ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from operations 1,017,251 1,064,633 347,009 1,697,554 1,189,310 ==================================================================================================================================== CAPITAL SHARE TRANSACTIONS: Net proceeds from sales of shares 25,011,494 25,045,340 14,613,414 24,791,727 29,982,131 Cost of shares redeemed -- -- (4,959,623) (15,700,580) (15,349,319) ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from capital share transactions 25,011,494 25,045,340 9,653,791 9,091,147 14,632,812 ==================================================================================================================================== Net Increase in Net Assets 26,028,745 26,109,973 10,000,800 10,788,701 15,822,122 ==================================================================================================================================== NET ASSETS: Beginning of period -- -- -- -- -- End of period $ 26,028,745 $ 26,109,973 $ 10,000,800 $ 10,788,701 $ 15,822,122 ==================================================================================================================================== Undistributed net investment income included in net assets at end of period $ 87,051 $ 123,140 $ 36,885 $ 86,818 $ 133,215 ==================================================================================================================================== SHARES CREATED AND REDEEMED: Shares created 500,100 500,100 300,100 500,100 600,100 Shares redeemed -- -- (100,000) (300,000) (300,000) ------------------------------------------------------------------------------------------------------------------------------------ Net increase in shares outstanding 500,100 500,100 200,100 200,100 300,100 ==================================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. 88 WisdomTree Trust International Equity Funds Statements of Changes in Net Assets (unaudited) (concluded) WisdomTree International Equity Funds For the Period June 16, 2006* through September 30, 2006 ==================================================================================================================================== WisdomTree WisdomTree WisdomTree WisdomTree International International International International LargeCap Dividend MidCap SmallCap Dividend Fund Top 100 Fund Dividend Fund Dividend Fund ------------------------------------------------------------------------------------------------------------------------------------ INCREASE IN NET ASSETS ==================================================================================================================================== OPERATIONS: Net investment income $ 112,218 $ 159,485 $ 164,476 $ 202,599 Net realized gain on investments and foreign currency related transactions 4,311 2,680 51,971 14,995 Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies 2,148,597 2,584,995 2,587,477 1,806,806 ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from operations 2,265,126 2,747,160 2,803,924 2,024,400 ==================================================================================================================================== CAPITAL SHARE TRANSACTIONS: Proceeds from shares sold 25,219,271 25,188,222 25,273,677 25,195,007 ------------------------------------------------------------------------------------------------------------------------------------ Net increase in net assets resulting from capital share transactions 25,219,271 25,188,222 25,273,677 25,195,007 ==================================================================================================================================== Net Increase in Net Assets 27,484,397 27,935,382 28,077,601 27,219,407 ==================================================================================================================================== NET ASSETS: Beginning of period -- -- -- -- End of period $ 27,484,397 $ 27,935,382 $ 28,077,601 $ 27,219,407 ==================================================================================================================================== Undistributed net investment income included in net assets at end of period $ 112,218 $ 159,485 $ 164,476 $ 202,599 ==================================================================================================================================== SHARES CREATED AND REDEEMED: Shares created 500,100 500,100 500,100 500,100 ------------------------------------------------------------------------------------------------------------------------------------ Net increase in shares outstanding 500,100 500,100 500,100 500,100 ==================================================================================================================================== * Commencement of investment operations. See Notes to Financial Statements. WisdomTree Trust International Equity Funds 89 Financial Highlights (unaudited) WisdomTree International Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree DIEFA Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.94 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.25 Net realized and unrealized gain 4.92 -------------------------------------------------------------------------------- Total from investment operations 5.17 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 55.11 ================================================================================ TOTAL RETURN(3) 10.35% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 27,559 Ratio to average net assets of: Expenses, net of expense reimbursements 0.48%(4) Expenses, prior to expense reimbursements 0.60%(4) Net investment income 1.80%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree DIEFA High-Yielding Equity Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.77 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.33 Net realized and unrealized gain 4.89 -------------------------------------------------------------------------------- Total from investment operations 5.22 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 54.99 ================================================================================ TOTAL RETURN(3) 10.49% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 22,002 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.73%(4) Net investment income 2.33%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 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. 90 WisdomTree Trust International Equity Funds Financial Highlights (unaudited) (continued) WisdomTree International Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree Europe Total Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.95 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.23 Net realized and unrealized gain 5.29 -------------------------------------------------------------------------------- Total from investment operations 5.52 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 55.47 ================================================================================ TOTAL RETURN(3) 11.05% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 11,100 Ratio to average net assets of: Expenses, net of expense reimbursements 0.48%(4) Expenses, prior to expense reimbursements 0.70%(4) Net investment income 1.53%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree Europe High-Yielding Equity Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.83 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.28 Net realized and unrealized gain 5.30 -------------------------------------------------------------------------------- Total from investment operations 5.58 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 55.41 ================================================================================ TOTAL RETURN(3) 11.20% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 22,170 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.78%(4) Net investment income 2.08%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 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 Trust International Equity Funds 91 Financial Highlights (unaudited) (continued) WisdomTree International Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree Europe SmallCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.42 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.32 Net realized and unrealized gain 4.91 -------------------------------------------------------------------------------- Total from investment operations 5.23 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 55.65 ================================================================================ TOTAL RETURN(3) 10.37% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 27,830 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.69%(4) Net investment income 2.23%(4) Portfolio turnover rate(5) 1% ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree Japan Total Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.32 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.19 Net realized and unrealized gain 1.54 -------------------------------------------------------------------------------- Total from investment operations 1.73 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 52.05 ================================================================================ TOTAL RETURN(3) 3.44% RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 26,029 Ratio to average net assets of: Expenses, net of expense reimbursements 0.48%(4) Expenses, prior to expense reimbursements 0.60%(4) Net investment income 1.38%(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. 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. 92 WisdomTree Trust International Equity Funds Financial Highlights (unaudited) (continued) WisdomTree International Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree Japan High-Yielding Equity Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.14 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.27 Net realized and unrealized gain 1.80 -------------------------------------------------------------------------------- Total from investment operations 2.07 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 52.21 ================================================================================ TOTAL RETURN(3) 4.13% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 26,110 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.70%(4) Net investment income 1.95%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree Japan SmallCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.69 Investment operations: Net investment income(2) 0.21 Net realized and unrealized loss (0.92) -------------------------------------------------------------------------------- Total from investment operations (0.71) -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.98 ================================================================================ TOTAL RETURN(3) (1.40)% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 10,001 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.91%(4) Net investment income 1.61%(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. 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 Trust International Equity Funds 93 Financial Highlights (unaudited) (continued) WisdomTree International Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree Pacific ex-Japan Total Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.71 -------------------------------------------------------------------------------- Investment operations: Net investment income(2) 0.32 Net realized and unrealized gain 3.89 -------------------------------------------------------------------------------- Total from investment operations 4.21 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 53.92 ================================================================================ TOTAL RETURN(3) 8.47% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 10,789 Ratio to average net assets of: Expenses, net of expense reimbursements 0.48%(4) Expenses, prior to expense reimbursements 0.67%(4) Net investment income 2.22%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 0%(6) ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree Pacific ex-Japan High-Yielding Equity Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.02 Investment operations: Net investment income(2) 0.44 Net realized and unrealized gain 3.26 -------------------------------------------------------------------------------- Total from investment operations 3.70 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 52.72 ================================================================================ TOTAL RETURN(3) 7.55% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 15,822 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.76%(4) Net investment income 3.25%(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. 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. 94 WisdomTree Trust International Equity Funds Financial Highlights (unaudited) (continued) WisdomTree International Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree International LargeCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.86 Investment operations: Net investment income(2) 0.25 Net realized and unrealized gain 4.85 -------------------------------------------------------------------------------- Total from investment operations 5.10 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 54.96 ================================================================================ TOTAL RETURN(3) 10.23% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 27,484 Ratio to average net assets of: Expenses, net of expense reimbursements 0.48%(4) Expenses, prior to expense reimbursements 0.59%(4) Net investment income 1.71%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 1% ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree International Dividend Top 100 Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 49.77 Investment operations: Net investment income(2) 0.35 Net realized and unrealized gain 5.74 -------------------------------------------------------------------------------- Total from investment operations 6.09 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 55.86 ================================================================================ TOTAL RETURN(3) 12.24% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 27,935 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.69%(4) Net investment income 2.43%(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. 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 Trust International Equity Funds 95 Financial Highlights (unaudited) (concluded) WisdomTree International Equity Funds September 30, 2006 Selected data for a share of beneficial interest outstanding throughout the period is presented below: ================================================================================ For the period June 16, 2006(1) through WisdomTree International MidCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.13 Investment operations: Net investment income(2) 0.37 Net realized and unrealized gain 5.64 -------------------------------------------------------------------------------- Total from investment operations 6.01 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 56.14 ================================================================================ TOTAL RETURN(3) 11.99% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 28,078 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.69%(4) Net investment income 2.50%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 2% ================================================================================ ================================================================================ For the period June 16, 2006(1) through WisdomTree International SmallCap Dividend Fund September 30, 2006 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 50.35 Investment operations: Net investment income(2) 0.45 Net realized and unrealized gain 3.63 -------------------------------------------------------------------------------- Total from investment operations 4.08 -------------------------------------------------------------------------------- Net asset value, beginning of period $ 54.43 ================================================================================ TOTAL RETURN(3) 8.10% -------------------------------------------------------------------------------- RATIOS/SUPPLEMENTAL DATA: Net assets, end of period (000's omitted) $ 27,219 Ratio to average net assets of: Expenses, net of expense reimbursements 0.58%(4) Expenses, prior to expense reimbursements 0.70%(4) Net investment income 3.16%(4) -------------------------------------------------------------------------------- Portfolio turnover rate(5) 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. 96 WisdomTree Trust International Equity 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, 2006, the Trust offered 20 investment funds (each a "Fund", collectively, the "Funds"). Each Fund is considered to be non-diversified. The Funds commenced operations on June 16, 2006. These financial statements relate only to the WisdomTree DIEFA Fund ("DIEFA Fund"), WisdomTree DIEFA High-Yielding Equity Fund ("DIEFA 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 Dividend Top 100 Fund ("International Dividend Top 100 Fund"), WisdomTree International LargeCap Dividend Fund ("International LargeCap Dividend Fund"), WisdomTree International MidCap Dividend Fund ("International MidCap Dividend Fund"), and WisdomTree International SmallCap Dividend Fund ("International SmallCap Dividend Fund"), together the "International Equity 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. Each Index consists of dividend paying securities in the market suggested by its name that meet specific criteria developed by WisdomTree Investments, Inc. ("WisdomTree Investments"). "WisdomTree", "WisdomTree Investments", "WisdomTree DIEFA", 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. 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 -- 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. 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 (the "NAV Calculation Time"). NAV per share is calculated by dividing a Fund's net assets by the number of Fund shares outstanding. 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 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. Eastern time. 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 Statement 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. WisdomTree Trust International Equity Funds 97 Notes to Financial Statements (unaudited) (continued) (e) Expenses/Reimbursements -- WisdomTree Asset Management, Inc. ("WTA") 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 WTA. Pursuant to a separate contractual arrangement WTA has agreed to pay 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) 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. (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. 98 WisdomTree Trust International Equity Funds Notes to Financial Statements (unaudited) (continued) 3. ADVISER FEES AND TRANSACTIONS Adviser Fees -- WTA provides investment management services to each Fund pursuant to an Investment Advisory Agreement between the Trust and WTA. As compensation for services rendered, facilities furnished, and expenses borne by WTA, each Fund pays WTA 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 (bps) ----------------------------------------------------------------- DIEFA Fund 0.48% ----------------------------------------------------------------- DIEFA 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% ----------------------------------------------------------------- For the period ended September 30, 2006, the advisory expense reimbursements were as follows: ================================================================= Fund Advisory Expense Reimbursements ----------------------------------------------------------------- DIEFA Fund $7,535 ----------------------------------------------------------------- DIEFA High-Yielding Equity Fund 7,418 ----------------------------------------------------------------- Europe Total Dividend Fund 7,395 ----------------------------------------------------------------- Europe High-Yielding Equity Fund 7,312 ----------------------------------------------------------------- Europe SmallCap Dividend Fund 7,469 ----------------------------------------------------------------- Japan Total Dividend Fund 7,380 ----------------------------------------------------------------- Japan High-Yielding Equity Fund 7,342 ----------------------------------------------------------------- Japan SmallCap Dividend Fund 7,494 ----------------------------------------------------------------- Pacific ex-Japan Total Dividend Fund 7,353 ----------------------------------------------------------------- Pacific ex-Japan High-Yielding Equity Fund 7,287 ----------------------------------------------------------------- International LargeCap Dividend Fund 7,369 ----------------------------------------------------------------- International Dividend Top 100 Fund 7,288 ----------------------------------------------------------------- International MidCap Dividend Fund 7,423 ----------------------------------------------------------------- International SmallCap Dividend Fund 7,514 ----------------------------------------------------------------- 4. CAPITAL SHARE TRANSACTIONS As of September 30, 2006, there were an unlimited number of $0.001 par value capital shares of beneficial interest authorized by the Trust. Capital 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 capital 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 involved in the relevant Fund's underlying index and an amount of cash. Investors purchasing and redeeming Creation Units pay 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. WisdomTree Trust International Equity Funds 99 Notes to Financial Statements (unaudited) (continued) 5. INVESTMENT PORTFOLIO TRANSACTIONS Purchases and sales of investments (excluding in-kind transactions and short-term investments) for the period ended September 30, 2006 were as follows: ================================================================================ Fund Purchases Sales -------------------------------------------------------------------------------- DIEFA Fund $ 99,482 $ 219,404 -------------------------------------------------------------------------------- DIEFA High-Yielding Equity Fund 164,223 226,092 -------------------------------------------------------------------------------- Europe Total Dividend Fund -- 198,521 -------------------------------------------------------------------------------- Europe High-Yielding Equity Fund 149,616 103,285 -------------------------------------------------------------------------------- Europe SmallCap Dividend Fund 246,590 237,456 -------------------------------------------------------------------------------- Japan Total Dividend Fund 333,400 107,315 -------------------------------------------------------------------------------- Japan High-Yielding Equity Fund 4,300 22,073 -------------------------------------------------------------------------------- Japan SmallCap Dividend Fund 20,354 79,439 -------------------------------------------------------------------------------- Pacific ex-Japan Total Dividend Fund 44,840 96,942 -------------------------------------------------------------------------------- Pacific ex-Japan High-Yielding Equity Fund 100,015 32,981 -------------------------------------------------------------------------------- International LargeCap Dividend Fund 180,591 147,187 -------------------------------------------------------------------------------- International Dividend Top 100 Fund -- 36,059 -------------------------------------------------------------------------------- International MidCap Dividend Fund 381,262 413,739 -------------------------------------------------------------------------------- International SmallCap Dividend Fund 289,744 371,219 -------------------------------------------------------------------------------- For the period ended September 30, 2006, the cost of in-kind purchases and the proceeds from in-kind sales were as follows: ================================================================================ Fund Purchases Sales -------------------------------------------------------------------------------- DIEFA Fund $37,951,770 $13,156,325 -------------------------------------------------------------------------------- DIEFA High-Yielding Equity Fund 30,277,958 10,563,886 -------------------------------------------------------------------------------- Europe Total Dividend Fund 20,050,082 10,534,265 -------------------------------------------------------------------------------- Europe High-Yielding Equity Fund 30,810,679 10,588,587 -------------------------------------------------------------------------------- Europe SmallCap Dividend Fund 25,345,974 -- -------------------------------------------------------------------------------- Japan Total Dividend Fund 25,009,967 -- -------------------------------------------------------------------------------- Japan High-Yielding Equity Fund 25,035,558 -- -------------------------------------------------------------------------------- Japan SmallCap Dividend Fund 14,617,638 4,914,578 -------------------------------------------------------------------------------- Pacific ex-Japan Total Dividend Fund 24,710,407 15,673,013 -------------------------------------------------------------------------------- Pacific ex-Japan High-Yielding Equity Fund 29,788,957 15,314,135 -------------------------------------------------------------------------------- International LargeCap Dividend Fund 25,101,575 -- -------------------------------------------------------------------------------- International Dividend Top 100 Fund 25,129,619 -- -------------------------------------------------------------------------------- International MidCap Dividend Fund 25,063,431 -- -------------------------------------------------------------------------------- International SmallCap Dividend Fund 25,098,292 -- -------------------------------------------------------------------------------- Gains and losses on in-kind redemptions are not recognized at the Fund level for tax purposes. 100 WisdomTree Trust International Equity Funds Notes to Financial Statements (unaudited) (continued) 6. FEDERAL INCOME TAXES At September 30, 2006, the aggregate gross unrealized appreciation and depreciation of investments for Federal income tax purposes were substantially the same as for book purposes, as indicated below: ======================================================================================================================= Tax Cost Gross Gross Net (Including Securities Unrealized Unrealized Unrealized Fund on Loan) Appreciation Depreciation Appreciation ----------------------------------------------------------------------------------------------------------------------- DIEFA Fund $26,143,573 $1,609,013 $ (42,715) $1,566,298 ----------------------------------------------------------------------------------------------------------------------- DIEFA High-Yielding Equity Fund 20,703,767 1,332,444 (42,503) 1,289,941 ----------------------------------------------------------------------------------------------------------------------- Europe Total Dividend Fund 10,366,546 753,863 (21,474) 732,389 ----------------------------------------------------------------------------------------------------------------------- Europe High-Yielding Equity Fund 21,282,807 929,027 (37,153) 891,874 ----------------------------------------------------------------------------------------------------------------------- Europe SmallCap Dividend Fund 25,709,169 2,531,850 (295,802) 2,236,048 ----------------------------------------------------------------------------------------------------------------------- Japan Total Dividend Fund 26,122,971 1,331,348 (395,840) 935,508 ----------------------------------------------------------------------------------------------------------------------- Japan High-Yielding Equity Fund 27,779,142 1,370,935 (428,147) 942,788 ----------------------------------------------------------------------------------------------------------------------- Japan SmallCap Dividend Fund 10,158,072 337,897 (162,252) 175,645 ----------------------------------------------------------------------------------------------------------------------- Pacific ex-Japan Total Dividend Fund 10,618,242 514,005 (27,753) 486,252 ----------------------------------------------------------------------------------------------------------------------- Pacific ex-Japan High-Yielding Equity Fund 17,814,885 447,375 (87,117) 360,258 ----------------------------------------------------------------------------------------------------------------------- International LargeCap Dividend Fund 25,588,352 2,240,433 (90,802) 2,149,631 ----------------------------------------------------------------------------------------------------------------------- International Dividend Top 100 Fund 26,293,279 2,617,172 (31,221) 2,585,951 ----------------------------------------------------------------------------------------------------------------------- International MidCap Dividend Fund 26,243,283 2,768,633 (179,871) 2,588,762 ----------------------------------------------------------------------------------------------------------------------- International SmallCap Dividend Fund 27,509,907 2,260,890 (454,441) 1,806,449 ----------------------------------------------------------------------------------------------------------------------- 7. NEW ACCOUNTING PRONOUNCEMENTS On July 13, 2006, the Financial Accounting Standards Board ("FASB") released FASB Interpretation No. 48, "Accounting for Uncertainty in Income Taxes" ("FIN 48"). FIN 48 provides guidance for how uncertain tax positions should be recognized, measured, presented and disclosed in the financial statements. FIN 48 requires the evaluation of tax positions taken or expected to be taken in the course of preparing the Fund's tax returns to determine whether the tax positions are "more-likely-than-not" of being sustained by the applicable tax authority. Tax positions not deemed to meet the more-likely-than-not threshold would be recorded as a tax benefit or expense in the current year. Adoption of FIN 48 is required for fiscal years beginning after December 15, 2006 and is to be applied to all open tax years as of the effective date. At this time, management is evaluating the implications of FIN 48 and its impact in the financial statements has not yet been determined. 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. At this time, management is evaluating the implications of FAS 157 and its impact in the financial statements has not yet been determined. WisdomTree Trust International Equity Funds 101 Notes to Financial Statements (unaudited) (concluded) 8. SUBSEQUENT EVENT Effective October 13, 2006, the Trust added ten international sector ETFs. Each ETF focuses on a specific industry sector consisting of only international equity securities. Each has an expense ratio of 0.58% and represents the international sector specified in its name: 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) 102 WisdomTree Trust International Equity 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 (generally 4:15 p.m.) 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. The gap in time between the calculation of per share NAV and market price (4:00 p.m. and 4:15 p.m., respectively) is one factor that contributes to differences between a Fund's NAV and the market price of its shares. Other factors that contribute to such differences are 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 Equal to Market Price Below Net Asset Value Net Asset Value ------------------------------ -------------------------- Basis Point Number Percentage of Number Percentage of Differential* of Days Total Days of Days Total Days ------------------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree DIEFA Fund 0-24.9 14 19.72% 8 11.27% -------------------------------------------------------------------------------- 25-49.9 11 15.49% 7 9.86% -------------------------------------------------------------------------------- 50-74.9 7 9.86% 4 5.63% -------------------------------------------------------------------------------- 75-100.0 7 9.86% 0 0.00% -------------------------------------------------------------------------------- >100.0 12 16.90% 1 1.41% -------------------------------------------------------------------------------- Total 51 71.83% 20 28.17% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree DIEFA High-Yielding Equity Fund 0-24.9 11 15.49% 8 11.27% -------------------------------------------------------------------------------- 25-49.9 13 18.31% 7 9.86% -------------------------------------------------------------------------------- 50-74.9 6 8.45% 3 4.22% -------------------------------------------------------------------------------- 75-100.0 8 11.27% 1 1.41% -------------------------------------------------------------------------------- >100.0 13 18.31% 1 1.41% -------------------------------------------------------------------------------- Total 51 71.83% 20 28.17% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree Europe Total Dividend Fund 0-24.9 14 19.72% 11 15.49% -------------------------------------------------------------------------------- 25-49.9 7 9.86% 5 7.04% -------------------------------------------------------------------------------- 50-74.9 9 12.68% 5 7.04% -------------------------------------------------------------------------------- 75-100.0 8 11.27% 2 2.82% -------------------------------------------------------------------------------- >100.0 9 12.67% 1 1.41% -------------------------------------------------------------------------------- Total 47 66.20% 24 33.80% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree Europe High-Yielding Equity Fund 0-24.9 18 25.35% 7 9.86% -------------------------------------------------------------------------------- 25-49.9 8 11.27% 5 7.04% -------------------------------------------------------------------------------- 50-74.9 9 12.68% 3 4.22% -------------------------------------------------------------------------------- 75-100.0 9 12.68% 2 2.82% -------------------------------------------------------------------------------- >100.0 10 14.08% 0 0.00% -------------------------------------------------------------------------------- Total 54 76.06% 17 23.94% ==================================================================================================================================== WisdomTree Trust International Equity Funds 103 Frequency Distribution of Discounts & Premiums (unaudited) (continued) ==================================================================================================================================== Market Price Above or Equal to Market Price Below Net Asset Value Net Asset Value ------------------------------ -------------------------- Basis Point Number Percentage of Number Percentage of Differential* of Days Total Days of Days Total Days ------------------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree Europe SmallCap Dividend Fund 0-24.9 8 11.27% 0 0.00% -------------------------------------------------------------------------------- 25-49.9 16 22.54% 0 0.00% -------------------------------------------------------------------------------- 50-74.9 13 18.31% 0 0.00% -------------------------------------------------------------------------------- 75-100.0 10 14.08% 0 0.00% -------------------------------------------------------------------------------- >100.0 24 33.80% 0 0.00% -------------------------------------------------------------------------------- Total 71 100.00% 0 0.00% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree Japan Total Dividend Fund 0-24.9 7 9.86% 5 7.04% -------------------------------------------------------------------------------- 25-49.9 5 7.04% 6 8.45% -------------------------------------------------------------------------------- 50-74.9 6 8.45% 5 7.04% -------------------------------------------------------------------------------- 75-100.0 11 15.50% 0 0.00% -------------------------------------------------------------------------------- >100.0 25 35.21% 1 1.41% -------------------------------------------------------------------------------- Total 54 76.06% 17 23.94% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree Japan High-Yielding Equity Fund 0-24.9 5 7.04% 8 11.27% -------------------------------------------------------------------------------- 25-49.9 6 8.45% 4 5.63% -------------------------------------------------------------------------------- 50-74.9 8 11.27% 6 8.45% -------------------------------------------------------------------------------- 75-100.0 10 14.09% 0 0.00% -------------------------------------------------------------------------------- >100.0 23 32.39% 1 1.41% -------------------------------------------------------------------------------- Total 52 73.24% 19 26.76% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree Japan SmallCap Dividend Fund 0-24.9 5 7.04% 10 14.09% -------------------------------------------------------------------------------- 25-49.9 10 14.08% 10 14.08% -------------------------------------------------------------------------------- 50-74.9 4 5.63% 5 7.04% -------------------------------------------------------------------------------- 75-100.0 8 11.27% 2 2.82% -------------------------------------------------------------------------------- >100.0 9 12.68% 8 11.27% -------------------------------------------------------------------------------- Total 36 50.70% 35 49.30% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree Pacific ex-Japan Total Dividend Fund 0-24.9 12 16.90% 9 12.68% -------------------------------------------------------------------------------- 25-49.9 6 8.45% 10 14.08% -------------------------------------------------------------------------------- 50-74.9 5 7.04% 7 9.86% -------------------------------------------------------------------------------- 75-100.0 7 9.86% 4 5.63% -------------------------------------------------------------------------------- >100.0 5 7.05% 6 8.45% -------------------------------------------------------------------------------- Total 35 49.30% 36 50.70% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree Pacific ex-Japan High-Yielding Equity Fund 0-24.9 10 14.09% 8 11.27% -------------------------------------------------------------------------------- 25-49.9 10 14.09% 11 15.49% -------------------------------------------------------------------------------- 50-74.9 4 5.63% 8 11.27% -------------------------------------------------------------------------------- 75-100.0 4 5.63% 3 4.22% -------------------------------------------------------------------------------- >100.0 7 9.86% 6 8.45% -------------------------------------------------------------------------------- Total 35 49.30% 36 50.70% ==================================================================================================================================== 104 WisdomTree Trust International Equity Funds Frequency Distribution of Discounts & Premiums (unaudited) (concluded) ==================================================================================================================================== Market Price Above or Equal to Market Price Below Net Asset Value Net Asset Value ------------------------------ -------------------------- Basis Point Number Percentage of Number Percentage of Differential* of Days Total Days of Days Total Days ------------------------------------------------------------------------------------------------------------------------------------ June 16, 2006** - September 30, 2006 WisdomTree International LargeCap Dividend Fund 0-24.9 6 8.45% 1 1.41% -------------------------------------------------------------------------------- 25-49.9 18 25.35% 0 0.00% -------------------------------------------------------------------------------- 50-74.9 13 18.31% 0 0.00% -------------------------------------------------------------------------------- 75-100.0 9 12.68% 0 0.00% -------------------------------------------------------------------------------- >100.0 24 33.80% 0 0.00% -------------------------------------------------------------------------------- Total 70 98.59% 1 1.41% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree International Dividend Top 100 Fund 0-24.9 7 9.86% 1 1.41% -------------------------------------------------------------------------------- 25-49.9 11 15.49% 0 0.00% -------------------------------------------------------------------------------- 50-74.9 17 23.95% 0 0.00% -------------------------------------------------------------------------------- 75-100.0 11 15.49% 0 0.00% -------------------------------------------------------------------------------- >100.0 24 33.80% 0 0.00% -------------------------------------------------------------------------------- Total 70 98.59% 1 1.41% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree International MidCap Dividend Fund 0-24.9 11 15.49% 2 2.82% -------------------------------------------------------------------------------- 25-49.9 12 16.90% 0 0.00% -------------------------------------------------------------------------------- 50-74.9 11 15.49% 0 0.00% -------------------------------------------------------------------------------- 75-100.0 10 14.09% 0 0.00% -------------------------------------------------------------------------------- >100.0 25 35.21% 0 0.00% -------------------------------------------------------------------------------- Total 69 97.18% 2 2.82% ==================================================================================================================================== June 16, 2006** - September 30, 2006 WisdomTree International SmallCap Dividend Fund 0-24.9 4 5.63% 3 4.23% -------------------------------------------------------------------------------- 25-49.9 15 21.13% 0 0.00% -------------------------------------------------------------------------------- 50-74.9 13 18.31% 0 0.00% -------------------------------------------------------------------------------- 75-100.0 9 12.67% 0 0.00% -------------------------------------------------------------------------------- >100.0 27 38.03% 0 0.00% -------------------------------------------------------------------------------- Total 68 95.77% 3 4.23% ==================================================================================================================================== * A basis point equals one-hundredth of one percent (0.01%). ** Commencement of investment operations. WisdomTree Trust International Equity Funds 105 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 receives, reviews and evaluates information concerning the services and personnel of WTA, the investment adviser, and BNY Investment Advisors ("BNYIA"), 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, total expenses, the Trust's investment performance, and other relevant factors at any future meeting at which a renewal of the Investment Advisory Agreements is considered, the process of evaluating WTA and BNYIA 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 WTA and BNYIA under the Investment Advisory Agreements includes deliberations at quarterly meetings. Initial Approval of Investment Advisory Agreement. The Trust and WTA have entered into an investment advisory agreement (the "Advisory Agreement"). At a meeting held on February 21, 2006 the Board of Trustees, including a majority of the Independent Trustees, approved the Advisory Agreement with WTA with respect to the Funds. In approving the Advisory Agreement with WTA, the Board reviewed and analyzed the factors it deemed relevant, including: (1) the nature, quality and extent of the services to be provided to the Funds by WTA; (2) WTA's personnel and operations; (3) WTA's financial condition; (4) the level and method of computing each Fund's advisory fee; (5) the possibility of "fall-out" benefits to WTA and its affiliates (i.e., ancillary benefits that may be realized by WTA or its affiliates from WTA's relationship with the Funds); (6) the anticipated effect of growth and size on each Fund's performance and expenses; and (7) possible conflicts of interest. The Board also considered the nature and quality of the services to be provided by WTA to the Funds, recognizing WTA's operational capabilities and resources. The Board also noted the extensive responsibilities that WTA 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 WTA, the Board concluded that the level of the fees paid to WTA with respect to each Fund is fair and reasonable. The Board also approved the Sub-Advisory Agreement with the sub-adviser to the Funds, BNYIA, using the same criteria it used for WTA. 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 ("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 WTA, 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 WTA 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. 106 WisdomTree Trust International Equity Funds 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 each Fund's proxies during the period ended June 30, 2006, is available without charge, upon request, (i) by calling 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 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 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 publicinfo@sec.gov. Information about each Fund's portfolio holdings is available daily at www.wisdomtree.com. WisdomTree Trust Domestic Equity Funds 107 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. 1625 Broadway Denver, CO 80202 Independent Registered Public Accountant Ernst & Young LLP 5 Times Square New York, NY 10036 Legal Counsel Kirkpatrick & Lockhart Nicholson Graham LLP 599 Lexington Avenue New York, NY 10022 108 WisdomTree Trust International Equity Funds The WisdomTree Family of Funds The following is a list of WisdomTree Funds being offered, along with their respective ticker symbols: WisdomTree Domestic Equity 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 Equity Funds WisdomTree DIEFA Fund (DWM) WisdomTree DIEFA 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 Sector Funds WisdomTree International Basic Material Sector Fund (DBN) WisdomTree International Communication Sector Fund (DGG) 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 Consumer Cyclical Sector Fund (DPC) WisdomTree International Consumer Non-Cyclical Sector Fund (DPN) WisdomTree International Technology Sector Fund (DBT) WisdomTree International Utilities Sector Fund (DBU) 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 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. 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. WisdomTree Trust International Equity Funds 109 [LOGO] WISDOMTREE(SM) 48 Wall Street, Suite 1100 New York, NY 10005 1.866.900.WISE (9473) wisdomtree.com WisdomTree International Equity ETFs WisdomTree DIEFA Fund WisdomTree DIEFA 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 Fund WisdomTree International MidCap Dividend Fund WisdomTree International SmallCap Dividend Fund This report when not used for the general information of shareholders of the Fund, is to be distributed only if preceded or accompanied by a current Fund Prospectus. WisdomTree Fund shares are distributed by ALPS Distributors, Inc. WST-0906 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, 2006 By: /s/ Marc J. Ruskin ----------------------------- Name: Marc J. Ruskin Title: Treasurer Date: November 29, 2006 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, 2006 By: /s/ Marc J. Ruskin ----------------------------- Name: Marc J. Ruskin Title: Treasurer Date: November 29, 2006