WisdomTree US Quality Dividend Growth Fund
ETF
ETF
ISIN: US97717X6691
Ticker: DGRW
US97717X6691
DGRW
Price
Dividend metrics
Annual payout (TTM)
$1.27Yield (TTM)
1.513%Payout ratio
-Payout frequency
MonthlyDividend growth (3Y)
5.579%Next payment
$0.10Start tracking your dividends in your personal getquin dividend calendar
Dividend history & forecast
$0.94
CHART BY
Status
Ex-date
Pay Date
Yield
% Change
Amount
20251.68%0%$1.27
Forecasted22.12.202528.12.20250.31%+115%$0.215
Forecasted24.11.202529.11.20250.15%+33.33%$0.10
Forecasted28.10.202530.10.20250.09%-48.28%$0.075
Forecasted25.09.202527.09.20250.18%+38.1%$0.145
Forecasted27.08.202529.08.20250.13%+75%$0.105
Forecasted26.07.202530.07.20250.08%-66.67%$0.06
Forecasted25.06.202527.06.20250.23%+157.14%$0.18
Forecasted24.05.202530.05.20250.09%+7.69%$0.07
Forecasted24.04.202529.04.20250.09%-61.76%$0.065
Forecasted22.03.202527.03.20250.22%+112.5%$0.17
Forecasted23.02.202528.02.20250.11%+1,500%$0.08
Forecasted25.01.202530.01.20250.01%-97.67%$0.005
20241.68%+3.67%$1.27
Forecasted22.12.202428.12.20240.31%+115%$0.215
Forecasted24.11.202429.11.20240.15%+33.33%$0.10
Paid28.10.202430.10.20240.09%-48.28%$0.075
Paid25.09.202427.09.20240.18%+38.1%$0.145
Paid27.08.202429.08.20240.13%+75%$0.105
Paid26.07.202430.07.20240.08%-66.67%$0.06
Paid25.06.202427.06.20240.23%+157.14%$0.18
Paid24.05.202430.05.20240.09%+7.69%$0.07
Paid24.04.202429.04.20240.09%-61.76%$0.065
Paid22.03.202427.03.20240.22%+112.5%$0.17
Paid23.02.202428.02.20240.11%+1,500%$0.08
Paid25.01.202430.01.20240.01%-97.67%$0.005
20231.89%-5.78%$1.225
Paid22.12.202328.12.20230.31%+115%$0.215
Paid24.11.202329.11.20230.15%+100%$0.10
Paid25.10.202330.10.20230.08%-67.74%$0.05
Paid25.09.202328.09.20230.24%+82.35%$0.155
Paid25.08.202330.08.20230.13%+6.25%$0.085
Paid25.07.202328.07.20230.12%-33.33%$0.08
Paid26.06.202329.06.20230.18%-4%$0.12
Paid24.05.202330.05.20230.2%+212.5%$0.125
Paid24.04.202327.04.20230.06%-78.95%$0.04
Paid27.03.202330.03.20230.31%+216.67%$0.19
Paid22.02.202327.02.20230.1%+1,100%$0.06
Paid25.01.202330.01.20230.01%-97.83%$0.005
20222.17%+9.13%$1.30
Paid23.12.202229.12.20220.38%+206.89%$0.23
Paid23.11.202229.11.20220.12%+36.36%$0.075
Paid25.10.202228.10.20220.09%-70.27%$0.055
Paid26.09.202229.09.20220.34%+85%$0.185
Paid25.08.202230.08.20220.16%+53.85%$0.10
Paid25.07.202228.07.20220.11%-65.79%$0.065
Paid24.06.202229.06.20220.32%+171.43%$0.19
Paid24.05.202227.05.20220.12%-26.32%$0.07
Paid25.04.202228.04.20220.15%-34.48%$0.095
Paid25.03.202230.03.20220.23%+93.33%$0.145
Paid22.02.202225.02.20220.12%+400%$0.075
Paid25.01.202228.01.20220.02%-92.63%$0.015
20211.99%+14.46%$1.191
Paid27.12.202130.12.20210.31%+171.32%$0.203
Paid23.11.202129.11.20210.12%+15.38%$0.075
Paid25.10.202128.10.20210.1%-56.67%$0.065
Paid24.09.202129.09.20210.25%+100%$0.15
Paid25.08.202130.08.20210.12%+15.38%$0.075
Paid26.07.202129.07.20210.11%-58.06%$0.065
Paid24.06.202129.06.20210.26%+158.33%$0.155
Paid24.05.202127.05.20210.1%-33.33%$0.06
Paid26.04.202129.04.20210.15%-28.15%$0.09
Paid25.03.202130.03.20210.22%+92.71%$0.125
Paid22.02.202125.02.20210.12%+44.44%$0.065
Paid25.01.202128.01.20210.08%+154.96%$0.045
Paid30.12.202005.01.20210.03%-88.61%$0.0177
20202.21%-0.78%$1.041
Paid21.12.202024.12.20200.29%+138.46%$0.155
Paid23.11.202027.11.20200.13%-38.1%$0.065
Paid27.10.202030.10.20200.21%+50%$0.105
Paid22.09.202025.09.20200.14%0%$0.07
Paid25.08.202028.08.20200.14%+27.27%$0.07
Paid28.07.202031.07.20200.12%-54.17%$0.055
Paid23.06.202026.06.20200.27%+71.43%$0.12
Paid26.05.202029.05.20200.15%-22.22%$0.07
Paid21.04.202024.04.20200.21%-10%$0.09
Paid24.03.202027.03.20200.27%+17.65%$0.10
Paid25.02.202028.02.20200.17%+112.5%$0.085
Paid21.01.202024.01.20200.08%+151.73%$0.04
Paid30.12.201903.01.20200.03%-84.73%$0.0159
20192.38%+12.86%$1.049
Paid23.12.201927.12.20190.21%-5.43%$0.104
Paid25.11.201929.11.20190.23%+57.14%$0.11
Paid22.10.201925.10.20190.15%+16.67%$0.07
Paid24.09.201927.09.20190.13%-57.14%$0.06
Paid27.08.201930.08.20190.32%+133.33%$0.14
Paid23.07.201926.07.20190.14%-25%$0.06
Paid24.06.201928.06.20190.18%-36%$0.08
Paid28.05.201931.05.20190.29%+56.25%$0.125
Paid23.04.201926.04.20190.18%-5.88%$0.08
Paid26.03.201929.03.20190.2%+6.25%$0.085
Paid19.02.201922.02.20190.19%+45.45%$0.08
Paid22.01.201925.01.20190.14%-64.81%$0.055
20182.25%+29.58%$0.929
Paid24.12.201828.12.20180.41%+469.4%$0.156
Paid04.12.201807.12.20180.07%-57.77%$0.0275
Paid20.11.201823.11.20180.16%+333.33%$0.065
Paid23.10.201826.10.20180.04%-89.61%$0.015
Paid25.09.201828.09.20180.32%+122.06%$0.144
Paid21.08.201824.08.20180.15%-23.53%$0.065
Paid24.07.201827.07.20180.2%-26.09%$0.085
Paid25.06.201828.06.20180.28%+187.5%$0.115
Paid22.05.201825.05.20180.1%+100%$0.04
Paid24.04.201827.04.20180.05%-85.85%$0.02
Paid20.03.201823.03.20180.35%+253.48%$0.141
Paid20.02.201823.02.20180.1%+166.67%$0.04
Paid23.01.201826.01.20180.04%-88.66%$0.015
20171.91%+1.08%$0.717
Paid26.12.201729.12.20170.32%+561.5%$0.132
Paid21.11.201727.11.20170.05%-55.56%$0.02
Paid24.10.201727.10.20170.12%-55%$0.045
Paid26.09.201729.09.20170.26%+100%$0.10
Paid21.08.201725.08.20170.14%0%$0.05
Paid24.07.201728.07.20170.13%-41.18%$0.05
Paid26.06.201730.06.20170.23%+112.5%$0.085
Paid22.05.201726.05.20170.11%+14.29%$0.04
Paid24.04.201728.04.20170.1%-66.67%$0.035
Paid27.03.201731.03.20170.3%+200%$0.105
Paid17.02.201724.02.20170.1%+75%$0.035
Paid23.01.201727.01.20170.06%-80.9%$0.02
20162.24%+5.8%$0.71
Paid23.12.201630.12.20160.31%+109.42%$0.105
Paid21.11.201628.11.20160.15%+42.86%$0.05
Paid24.10.201628.10.20160.11%-63.16%$0.035
Paid26.09.201630.09.20160.3%+111.11%$0.095
Paid22.08.201626.08.20160.14%-35.71%$0.045
Paid25.07.201629.07.20160.21%+16.67%$0.07
Paid20.06.201624.06.20160.19%+20%$0.06
Paid23.05.201627.05.20160.16%-17.11%$0.05
Paid25.04.201629.04.20160.19%-7.2%$0.0603
Paid21.03.201628.03.20160.21%+30%$0.065
Paid22.02.201626.02.20160.17%+103.25%$0.05
Paid25.01.201629.01.20160.09%-74.97%$0.0246
20152.18%+22.45%$0.671
Paid21.12.201528.12.20150.32%+52.37%$0.0983
Paid23.11.201530.11.20150.21%+120.06%$0.0645
Paid26.10.201530.10.20150.1%-63.36%$0.0293
Paid21.09.201525.09.20150.27%+33.33%$0.08
Paid24.08.201528.08.20150.2%+102.29%$0.06
Paid27.07.201531.07.20150.09%-60.2%$0.0297
Paid22.06.201526.06.20150.24%+25.43%$0.0745
Paid22.05.201529.05.20150.19%+197.99%$0.0594
Paid20.04.201524.04.20150.06%-68.55%$0.0199
Paid23.03.201527.03.20150.2%-4.65%$0.0634
Paid23.02.201527.02.20150.21%+322.22%$0.0665
Paid26.01.201530.01.20150.05%+67.55%$0.0158
Paid29.12.201405.01.20150.03%-84.45%$0.0094
20141.88%+86.47%$0.548
Paid19.12.201426.12.20140.2%-1.76%$0.0604
Paid21.11.201428.11.20140.2%+171.61%$0.0615
Paid27.10.201431.10.20140.08%-67.64%$0.0227
Paid22.09.201426.09.20140.24%+40%$0.07
Paid25.08.201429.08.20140.17%+4.17%$0.05
Paid21.07.201425.07.20140.16%0%$0.048
Paid23.06.201427.06.20140.17%+34.72%$0.048
Paid23.05.201430.05.20140.12%-4.99%$0.0356
Paid21.04.201425.04.20140.13%-1.32%$0.0375
Paid24.03.201428.03.20140.14%0%$0.038
Paid24.02.201428.02.20140.14%0%$0.038
Paid27.01.201431.01.20140.14%-42.2%$0.038
20131.14%-$0.294
Paid24.12.201331.12.20130.24%+73%$0.0657
Paid22.11.201329.11.20130.14%0%$0.038
Paid21.10.201325.10.20130.15%0%$0.038
Paid23.09.201327.09.20130.15%0%$0.038
Paid26.08.201330.08.20130.15%0%$0.038
Paid22.07.201326.07.20130.15%0%$0.038
Paid24.06.201328.06.20130.16%-$0.038
Frequently asked questions
When does WisdomTree US Quality Dividend Growth Fund pay dividends?
WisdomTree US Quality Dividend Growth Fund's dividends are paid out in January, February, March, April, May, June, July, August, September, October, November, and December.
How often does WisdomTree US Quality Dividend Growth Fund pay dividends?
Monthly.
What is the dividend yield of WisdomTree US Quality Dividend Growth Fund?
The dividend yield is currently 1.51% and distributions have increased by 5.58% in the last 3 years.
When was WisdomTree US Quality Dividend Growth Fund's last dividend payout date?
The last payment was made on 30.10.2024.
When do you have to have WisdomTree US Quality Dividend Growth Fund in your portfolio to receive the last dividend?
If you had WisdomTree US Quality Dividend Growth Fund in your securities account on 28.10.2024, you received the distribution.
How much was WisdomTree US Quality Dividend Growth Fund's dividend in 2023?
WisdomTree US Quality Dividend Growth Fund paid out a dividend of $1.225 in 2023.
How much was WisdomTree US Quality Dividend Growth Fund's dividend in 2022?
WisdomTree US Quality Dividend Growth Fund paid out a dividend of $1.30 in 2022.
What is WisdomTree US Quality Dividend Growth Fund's next dividend?
WisdomTree US Quality Dividend Growth Fund has not yet announced a next dividend payment yet.
Dividend growth
1 Year | Negative growth | -5.782% |
3 Year | Moderate growth | 5.579% |
5 Year | Moderate growth | 5.677% |
10 Year | Strong growth | 15.35% |