WisdomTree US Quality Dividend Growth Fund logo

WisdomTree US Quality Dividend Growth Fund

ETF
ETF
Ticker: DGRW
DGRW

Price

Dividend metrics

Annual payout (TTM) 
€1.163
Yield (TTM) 
1.546%
Payout ratio 
-
Payout frequency 
Monthly
Dividend growth (3Y) 
3.406%
Next payment 
€0.0868

Dividend history & forecast

€0.843

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2026
1.49%
-0.56%
€1.066
Forecasted
26.12.2026
30.12.2026
0.19%
+55.25%
€0.137
Forecasted
25.11.2026
27.11.2026
0.12%
-45.49%
€0.0884
Forecasted
25.09.2026
29.09.2026
0.21%
+117.65%
€0.162
Forecasted
26.08.2026
28.08.2026
0.1%
+70%
€0.0745
Forecasted
28.07.2026
30.07.2026
0.06%
-71.43%
€0.0438
Forecasted
25.06.2026
27.06.2026
0.22%
+169.23%
€0.153
Forecasted
27.05.2026
29.05.2026
0.08%
-27.78%
€0.057
Forecasted
25.04.2026
29.04.2026
0.12%
-41.94%
€0.0789
Forecasted
26.03.2026
28.03.2026
0.2%
+40.91%
€0.136
Forecasted
25.02.2026
27.02.2026
0.13%
+3,518.42%
€0.0964
Forecasted
28.01.2026
30.01.2026
0%
-92.53%
€0.002664
Forecasted
31.12.2025
03.01.2026
0.05%
-73.52%
€0.0357
2025
1.46%
-4.46%
€1.072
Forecasted
26.12.2025
30.12.2025
0.19%
+55.25%
€0.135
Forecasted
25.11.2025
27.11.2025
0.12%
-44.96%
€0.0868
Paid
25.09.2025
29.09.2025
0.21%
+116.7%
€0.158
Paid
26.08.2025
28.08.2025
0.1%
+66.26%
€0.0728
Paid
28.07.2025
30.07.2025
0.06%
-70.69%
€0.0438
Paid
25.06.2025
27.06.2025
0.21%
+161.3%
€0.149
Paid
27.05.2025
29.05.2025
0.08%
-27.69%
€0.0571
Paid
25.04.2025
29.04.2025
0.12%
-44.5%
€0.079
Paid
26.03.2025
28.03.2025
0.19%
+34.59%
€0.142
Paid
25.02.2025
27.02.2025
0.13%
+3,515.29%
€0.106
Paid
28.01.2025
30.01.2025
0%
-92.59%
€0.002926
Paid
31.12.2024
03.01.2025
0.05%
-73.54%
€0.0395
2024
1.53%
-0.55%
€1.122
Paid
26.12.2024
30.12.2024
0.19%
+57.67%
€0.149
Paid
25.11.2024
27.11.2024
0.12%
+37%
€0.0946
Paid
28.10.2024
30.10.2024
0.09%
-46.8%
€0.0691
Paid
25.09.2024
27.09.2024
0.18%
+37%
€0.13
Paid
27.08.2024
29.08.2024
0.13%
+70.83%
€0.0948
Paid
26.07.2024
30.07.2024
0.08%
-67.01%
€0.0555
Paid
25.06.2024
27.06.2024
0.23%
+160.22%
€0.168
Paid
24.05.2024
30.05.2024
0.09%
+6.53%
€0.0646
Paid
24.04.2024
29.04.2024
0.09%
-61.41%
€0.0607
Paid
22.03.2024
27.03.2024
0.22%
+112.97%
€0.157
Paid
23.02.2024
28.02.2024
0.11%
+1,501.04%
€0.0738
Paid
25.01.2024
30.01.2024
0.01%
-97.63%
€0.00461
2023
1.89%
-9.23%
€1.128
Paid
22.12.2023
28.12.2023
0.31%
+113.24%
€0.194
Paid
24.11.2023
29.11.2023
0.15%
+93.53%
€0.0911
Paid
25.10.2023
30.10.2023
0.08%
-67.9%
€0.0471
Paid
25.09.2023
28.09.2023
0.24%
+88.6%
€0.147
Paid
25.08.2023
30.08.2023
0.13%
+7.26%
€0.0778
Paid
25.07.2023
28.07.2023
0.12%
-34.33%
€0.0725
Paid
26.06.2023
29.06.2023
0.18%
-5.18%
€0.11
Paid
24.05.2023
30.05.2023
0.2%
+221.05%
€0.116
Paid
24.04.2023
27.04.2023
0.06%
-79.18%
€0.0363
Paid
27.03.2023
30.03.2023
0.31%
+208.16%
€0.174
Paid
22.02.2023
27.02.2023
0.1%
+1,127.14%
€0.0566
Paid
25.01.2023
30.01.2023
0.01%
-97.87%
€0.004609
2022
2.17%
+22.49%
€1.243
Paid
23.12.2022
29.12.2022
0.38%
+197.12%
€0.216
Paid
23.11.2022
29.11.2022
0.12%
+31.64%
€0.0727
Paid
25.10.2022
28.10.2022
0.09%
-70.67%
€0.0552
Paid
26.09.2022
29.09.2022
0.34%
+88.68%
€0.188
Paid
25.08.2022
30.08.2022
0.16%
+56.41%
€0.0998
Paid
25.07.2022
28.07.2022
0.11%
-64.94%
€0.0638
Paid
24.06.2022
29.06.2022
0.32%
+178.94%
€0.182
Paid
24.05.2022
27.05.2022
0.12%
-27.91%
€0.0652
Paid
25.04.2022
28.04.2022
0.15%
-30.37%
€0.0905
Paid
25.03.2022
30.03.2022
0.23%
+95.27%
€0.13
Paid
22.02.2022
25.02.2022
0.12%
+394.47%
€0.0665
Paid
25.01.2022
28.01.2022
0.02%
-92.51%
€0.0135
2021
1.99%
+11.82%
€1.015
Paid
27.12.2021
30.12.2021
0.31%
+170.57%
€0.18
Paid
23.11.2021
29.11.2021
0.12%
+19.4%
€0.0664
Paid
25.10.2021
28.10.2021
0.1%
-56.97%
€0.0556
Paid
24.09.2021
29.09.2021
0.25%
+103.33%
€0.129
Paid
25.08.2021
30.08.2021
0.12%
+16.3%
€0.0636
Paid
26.07.2021
29.07.2021
0.11%
-58.03%
€0.0547
Paid
24.06.2021
29.06.2021
0.26%
+164.66%
€0.13
Paid
24.05.2021
27.05.2021
0.1%
-33.7%
€0.0492
Paid
26.04.2021
29.04.2021
0.15%
-30.53%
€0.0742
Paid
25.03.2021
30.03.2021
0.22%
+99.89%
€0.107
Paid
22.02.2021
25.02.2021
0.12%
+43.96%
€0.0535
Paid
25.01.2021
28.01.2021
0.08%
+158.75%
€0.0371
Paid
30.12.2020
05.01.2021
0.03%
-88.72%
€0.0143
2020
2.21%
-3.45%
€0.907
Paid
21.12.2020
24.12.2020
0.29%
+134.15%
€0.127
Paid
23.11.2020
27.11.2020
0.13%
-39.58%
€0.0543
Paid
27.10.2020
30.10.2020
0.21%
+49.43%
€0.0899
Paid
22.09.2020
25.09.2020
0.14%
+2.36%
€0.0602
Paid
25.08.2020
28.08.2020
0.14%
+25.92%
€0.0588
Paid
28.07.2020
31.07.2020
0.12%
-56.35%
€0.0467
Paid
23.06.2020
26.06.2020
0.27%
+69.69%
€0.107
Paid
26.05.2020
29.05.2020
0.15%
-24.18%
€0.063
Paid
21.04.2020
24.04.2020
0.21%
-7.16%
€0.0831
Paid
24.03.2020
27.03.2020
0.27%
+16.18%
€0.0896
Paid
25.02.2020
28.02.2020
0.17%
+112.45%
€0.0771
Paid
21.01.2020
24.01.2020
0.08%
+154.81%
€0.0363
Paid
30.12.2019
03.01.2020
0.03%
-84.71%
€0.0142
2019
2.38%
+18.47%
€0.94
Paid
23.12.2019
27.12.2019
0.21%
-6.73%
€0.0931
Paid
25.11.2019
29.11.2019
0.23%
+58.03%
€0.0998
Paid
22.10.2019
25.10.2019
0.15%
+15.2%
€0.0632
Paid
24.09.2019
27.09.2019
0.13%
-56.87%
€0.0548
Paid
27.08.2019
30.08.2019
0.32%
+136.24%
€0.127
Paid
23.07.2019
26.07.2019
0.14%
-23.37%
€0.0538
Paid
24.06.2019
28.06.2019
0.18%
-37.07%
€0.0702
Paid
28.05.2019
31.05.2019
0.29%
+55.76%
€0.112
Paid
23.04.2019
26.04.2019
0.18%
-5.31%
€0.0717
Paid
26.03.2019
29.03.2019
0.2%
+7.29%
€0.0757
Paid
19.02.2019
22.02.2019
0.19%
+46.21%
€0.0705
Paid
22.01.2019
25.01.2019
0.14%
-64.69%
€0.0482
2018
2.25%
+26.47%
€0.793
Paid
24.12.2018
28.12.2018
0.41%
+466.61%
€0.137
Paid
04.12.2018
07.12.2018
0.07%
-57.92%
€0.0241
Paid
20.11.2018
23.11.2018
0.16%
+336.46%
€0.0573
Paid
23.10.2018
26.10.2018
0.04%
-89.43%
€0.0131
Paid
25.09.2018
28.09.2018
0.32%
+122.27%
€0.124
Paid
21.08.2018
24.08.2018
0.15%
-23.39%
€0.0559
Paid
24.07.2018
27.07.2018
0.2%
-26.64%
€0.0729
Paid
25.06.2018
28.06.2018
0.28%
+189.98%
€0.0994
Paid
22.05.2018
25.05.2018
0.1%
+107.98%
€0.0343
Paid
24.04.2018
27.04.2018
0.05%
-85.59%
€0.0165
Paid
20.03.2018
23.03.2018
0.35%
+251.61%
€0.114
Paid
20.02.2018
23.02.2018
0.1%
+169.55%
€0.0325
Paid
23.01.2018
26.01.2018
0.04%
-89.05%
€0.0121
2017
1.91%
-2.57%
€0.627
Paid
26.12.2017
29.12.2017
0.32%
+556.3%
€0.11
Paid
21.11.2017
27.11.2017
0.05%
-56.66%
€0.0168
Paid
24.10.2017
27.10.2017
0.12%
-54.2%
€0.0387
Paid
26.09.2017
29.09.2017
0.26%
+101.88%
€0.0846
Paid
21.08.2017
25.08.2017
0.14%
-1.46%
€0.0419
Paid
24.07.2017
28.07.2017
0.13%
-42.79%
€0.0425
Paid
26.06.2017
30.06.2017
0.23%
+107.84%
€0.0743
Paid
22.05.2017
26.05.2017
0.11%
+11.36%
€0.0358
Paid
24.04.2017
28.04.2017
0.1%
-67.36%
€0.0321
Paid
27.03.2017
31.03.2017
0.3%
+196.86%
€0.0984
Paid
17.02.2017
24.02.2017
0.1%
+77.38%
€0.0332
Paid
23.01.2017
27.01.2017
0.06%
-81.22%
€0.0187
2016
2.24%
+5.9%
€0.644
Paid
23.12.2016
30.12.2016
0.31%
+111.42%
€0.0995
Paid
21.11.2016
28.11.2016
0.15%
+47.8%
€0.0471
Paid
24.10.2016
28.10.2016
0.11%
-62.3%
€0.0318
Paid
26.09.2016
30.09.2016
0.3%
+110.28%
€0.0845
Paid
22.08.2016
26.08.2016
0.14%
-35.84%
€0.0402
Paid
25.07.2016
29.07.2016
0.21%
+15.97%
€0.0626
Paid
20.06.2016
24.06.2016
0.19%
+20.04%
€0.054
Paid
23.05.2016
27.05.2016
0.16%
-14.62%
€0.045
Paid
25.04.2016
29.04.2016
0.19%
-9.24%
€0.0527
Paid
21.03.2016
28.03.2016
0.21%
+26.92%
€0.058
Paid
22.02.2016
26.02.2016
0.17%
+101.36%
€0.0457
Paid
25.01.2016
29.01.2016
0.09%
-74.65%
€0.0227
2015
2.18%
+45.52%
€0.608
Paid
21.12.2015
28.12.2015
0.32%
+46.8%
€0.0896
Paid
23.11.2015
30.11.2015
0.21%
+129.15%
€0.061
Paid
26.10.2015
30.10.2015
0.1%
-62.73%
€0.0266
Paid
21.09.2015
25.09.2015
0.27%
+33.18%
€0.0715
Paid
24.08.2015
28.08.2015
0.2%
+98.82%
€0.0537
Paid
27.07.2015
31.07.2015
0.09%
-59.56%
€0.027
Paid
22.06.2015
26.06.2015
0.24%
+23.19%
€0.0667
Paid
22.05.2015
29.05.2015
0.19%
+195.39%
€0.0542
Paid
20.04.2015
24.04.2015
0.06%
-68.5%
€0.0183
Paid
23.03.2015
27.03.2015
0.2%
-1.98%
€0.0582
Paid
23.02.2015
27.02.2015
0.21%
+325.69%
€0.0594
Paid
26.01.2015
30.01.2015
0.05%
+77.15%
€0.014
Paid
29.12.2014
05.01.2015
0.03%
-84.12%
€0.007877
2014
1.88%
+91.73%
€0.418
Paid
19.12.2014
26.12.2014
0.2%
+0.37%
€0.0496
Paid
21.11.2014
28.11.2014
0.2%
+173.22%
€0.0494
Paid
27.10.2014
31.10.2014
0.08%
-67.23%
€0.0181
Paid
22.09.2014
26.09.2014
0.24%
+44.97%
€0.0552
Paid
25.08.2014
29.08.2014
0.17%
+6.52%
€0.0381
Paid
21.07.2014
25.07.2014
0.16%
+1.62%
€0.0357
Paid
23.06.2014
27.06.2014
0.17%
+34.57%
€0.0352
Paid
23.05.2014
30.05.2014
0.12%
-3.59%
€0.0261
Paid
21.04.2014
25.04.2014
0.13%
-1.9%
€0.0271
Paid
24.03.2014
28.03.2014
0.14%
+0.36%
€0.0276
Paid
24.02.2014
28.02.2014
0.14%
-2.27%
€0.0275
Paid
27.01.2014
31.01.2014
0.14%
-41.07%
€0.0282
2013
1.14%
-
€0.218
Paid
24.12.2013
31.12.2013
0.24%
+70.98%
€0.0478
Paid
22.11.2013
29.11.2013
0.14%
+1.59%
€0.028
Paid
21.10.2013
25.10.2013
0.15%
-2.06%
€0.0275
Paid
23.09.2013
27.09.2013
0.15%
-2.2%
€0.0281
Paid
26.08.2013
30.08.2013
0.15%
+0.41%
€0.0287
Paid
22.07.2013
26.07.2013
0.15%
-1.92%
€0.0286
Paid
24.06.2013
28.06.2013
0.16%
-
€0.0292

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 1.55% and distributions have increased by 3.41% in the last 3 years.

When was WisdomTree US Quality Dividend Growth Fund's last dividend payout date?

The last payment was made on 29.09.2025.

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 25.09.2025, you received the distribution.

How much was WisdomTree US Quality Dividend Growth Fund's dividend in 2024?

WisdomTree US Quality Dividend Growth Fund paid out a dividend of €1.122 in 2024.

How much was WisdomTree US Quality Dividend Growth Fund's dividend in 2023?

WisdomTree US Quality Dividend Growth Fund paid out a dividend of €1.128 in 2023.

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 

The dividend growth is -0.551% based on the previous financial year. The average dividend growth over the last 5 years is 3.605%.

1 Year

Negative growth-0.551%

3 Year

Moderate growth3.406%

5 Year

Moderate growth3.605%

10 Year

Strong growth10.38%

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Fundamentals & EOD data from FactSet
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