WisdomTree Fixed Income & Currency Strategy Funds
Embedded Income Yield vs Duration
As of 1/29/2016
12%
BZF
Embedded Income Yield (%)
10%
8%
HYZD
HYND
CYB
ICN
EMCB
ELD
6%
CEW
UBND
CCX
4%
CRDT
AGGY
ALD
2%
AUNZ
JGBB
AGND
AGZD
USFR
0%
USDU
-2%
-10
-6
-4
Dura tion
(ye a rs)
2
4
Embe dde d
3 0 - Da y
P e rc e nt
Y ie ld to Distribution
Inc ome
S EC
Inve stme nt
Ma turity
Y ie ld
Y ie ld
Y ie ld
G ra de
6
Ta rge t
Curre nc y
Exposure
8
Expe nse Inc e ption
Ra tio
Da te
Strategic Core
Fixed Income
Fund Na me
-2
0
Duration (years)
AGGY WisdomTree Barclays U.S. Aggregate Bond Enhanced Yield Fund
6.53
3.06%
3.06%
2.91%
1.61%
100.0%
USD
0.12%
7/9/15
CRDT
WisdomTree Strategic Corporate Bond Fund
5.73
4.34%
4.30%
3.37%
4.12%
86.2%
90% USD, EUR
& GBP hedged
0.45%
1/31/13
UBND
WisdomTree Western Asset Unconstrained Bond Fund
2.04
4.10%
4.70%
3.87%
4.10%
57.2%
N/A
0.55%
6/11/15
International Fixed
Income
Fund
Tic ke r
-8
EMCB
WisdomTree Emerging Markets Corporate Bond Fund
4.75
6.73%
6.73%
4.87%
5.68%
72.2%
100% USD
0.60%
3/8/12
WisdomTree Emerging Markets Local Debt Fund
5.07
6.56%
6.47%
5.13%
6.07%
100.0%
Multi Emerging
Market Currency
0.55%
8/9/10
0.55%
3/17/11
ELD
ALD
WisdomTree Asia Local Debt Fund
4.08
2.79%
2.70%
2.38%
2.53%
100.0%
Multi Asian
Currency
AUNZ
WisdomTree Australia & New Zealand Debt Fund
4.94
2.58%
2.58%
1.79%
2.41%
100.0%
88% AUD/
12% NZD
0.45%
6/25/08
CEW
WisdomTree Emerging Currency Strategy Fund
0.25
4.61%
0.26%
0.00%
-0.46%
100.0%
Multi Emerging
Market Currency
0.55%
5/6/09
0.55%
9/24/10
0.08
4.16%
0.22%
0.00%
-0.48%
100.0%
CYB
WisdomTree Chinese Yuan Strategy Fund
0.22
7.66%
1.96%
0.00%
0.74%
100.0%
CNH/ CNY
0.45%
5/14/08
ICN
WisdomTree Indian Rupee Strategy Fund
0.25
7.11%
0.21%
0.00%
-0.39%
100.0%
INR
0.45%
5/14/08
BZF
WisdomTree Brazilian Real Strategy Fund
0.13
10.37%
0.27%
0.00%
-0.25%
100.0%
BRL
0.45%
5/14/08
WisdomTree Bloomberg U.S. Dollar Bullish Fund
0.01
-0.42%
0.26%
0.00%
-0.43%
100.0%
Multi Currency
0.50%
12/18/13
AGZD
WisdomTree Barclays U.S. Aggregate Bond Zero Duration Fund
-0.09
0.88%
2.21%
1.77%
1.86%
100.0%
100% USD
0.23%
12/18/13
AGND
WisdomTree Barclays U.S.
Aggregate Bond Negative Duration Fund
-5.40
0.03%
2.25%
1.81%
1.82%
100.0%
100% USD
0.28%
12/18/13
HYZD
WisdomTree BofA Merrill Lynch High Yield Bond Zero Duration Fund
-0.30
8.14%
8.99%
4.79%
7.15%
5.7%
100% USD
0.43%
12/18/13
HYND
WisdomTree BofA Merrill Lynch High Yield Bond Negative Duration Fund
-7.96
6.86%
9.00%
4.83%
7.27%
6.3%
100% USD
0.48%
12/18/13
JGBB
WisdomTree Japan Interest Rate Strategy Fund
-7.07
0.28%
0.21%
0.00%
-0.36%
100.0%
100% USD/
- 30% JPY
0.50%
12/18/13
USFR
Currency Strategies
WisdomTree Commodity Currency Strategy Fund
USDU
Interest Rate Strategies
CCX
Multi Commodity
Currency
WisdomTree Bloomberg Floating Rate Treasury Fund
0.02
0.43%
0.43%
0.00%
0.25%
100.0%
100% USD
0.15%
2/4/14
This information must be preceded or accompanied by a prospectus. We advise you to consider the Funds’ objectives, risks, charges and expenses carefully before
investing. The prospectus contains this and other important information about the fund.
Please read the prospectus carefully before you invest. Call 1-866-909-WISE
(9473) or go to wisdomtree.com for more information. Past Performance is not indicative of future results.
.
Strategic Core and International Fixed Income
Cumulative Returns 1/31/2016
Average Annual Returns as of 12/31/2015
Inception Date
1-MO.
3-MO.
YTD
SINCE FUND
INCEPTION
1-YR.
3-YR
5-YR
SINCE FUND
INCEPTION
1/31/2013
-0.54%
-1.65%
-0.54%
6.65%
-0.15%
N/A
N/A
2.42%
-0.92%
-1.84%
-0.92%
5.89%
-0.17%
N/A
N/A
2.30%
Barclays Global Credit Index Hedged
0.31%
-0.74%
0.31%
8.05%
-0.20%
N/A
N/A
2.58%
Global Corporate Composite Hedged
0.02%
-1.24%
0.02%
8.13%
-0.32%
N/A
N/A
2.71%
1.04%
-0.06%
1.04%
0.87%
N/A
N/A
N/A
-0.17%
1.55%
0.47%
1.55%
1.26%
N/A
N/A
N/A
-0.29%
0.97%
0.03%
0.97%
0.94%
N/A
N/A
N/A
N/A
-1.23%
-3.66%
-1.23%
-4.71%
N/A
N/A
N/A
-3.53%
-1.44%
-3.97%
-1.44%
-5.75%
N/A
N/A
N/A
-4.37%
-0.66%
-4.06%
-0.66%
4.78%
-3.92%
-1.66%
N/A
1.40%
-0.64%
-4.21%
-0.64%
3.75%
-4.51%
-2.15%
N/A
1.14%
-0.16%
-2.12%
-0.16%
12.99%
1.17%
1.15%
4.19%
3.29%
-0.59%
-1.29%
-0.59%
-5.23%
-6.45%
-4.41%
N/A
-0.99%
-0.34%
-1.55%
-0.34%
-5.62%
-6.46%
-4.61%
N/A
-1.13%
0.35%
-0.73%
0.35%
8.44%
-3.17%
-1.60%
1.73%
1.63%
-0.68%
-4.61%
-0.68%
-14.84%
-13.64%
-9.88%
-3.92%
-2.81%
-0.89%
-4.62%
-0.89%
-15.47%
-13.08%
-10.03%
-4.01%
-2.91%
0.35%
-4.01%
0.35%
-12.32%
-14.92%
-9.95%
-3.48%
-2.47%
-1.73%
-0.56%
-1.73%
0.74%
-8.75%
-7.01%
-1.79%
0.33%
-1.68%
0.75%
-1.68%
-0.68%
-8.88%
-7.41%
-1.88%
0.13%
-1.99%
-0.80%
-1.99%
9.23%
-8.37%
-5.81%
-0.42%
1.45%
WisdomTree Strategic Corporate Bond Fund NAV (CRDT)
WisdomTree Strategic Corporate Bond Fund Market (CRDT)
WisdomTree Barclays U.S. Aggregate Bond
Enhanced Yield Fund - NAV (AGGY)
7/9/2015
WisdomTree Barclays U.S. Aggregate Bond
Enhanced Yield Fund - Market (AGGY)
Barclays U.S. Aggregate Yield Enhanced
Total Return Index
WisdomTree Western Asset Unconstrained
Bond Fund - NAV (UBND)
6/11/2015
WisdomTree Western Asset Unconstrained
Bond Fund - Market (UBND)
WisdomTree Emerging Markets Corporate
Bond Fund - NAV (EMCB)
3/8/2012
WisdomTree Emerging Markets Corporate
Bond Fund - Market (EMCB)
JP Morgan CEMBI Broad Index (JCBBCOMP)
WisdomTree Asia Local Debt Fund - NAV
(ALD)
3/17/2011
WisdomTree Asia Local Debt Fund - Market
(ALD)
HSBC Asian Local Bond Index Unhedged
USD (HSLIALBI)
WisdomTree Emerging Markets Local Debt
Fund - NAV (ELD)
8/9/2010
WisdomTree Emerging Markets Local Debt
Fund - Market (ELD)
JP Morgan GBI-EM Global Div ersified Index
Unhedged USD (JGENVUUG)
WisdomTree Australia & New Zealand Debt
Fund - NAV (AUNZ)
WisdomTree Australia & New Zealand Debt
Fund - Market (AUNZ)
Spliced Australia & New Zealand Debt
Composite
6/25/2008
It is not possible to invest directly in an index.
Performance is historical and does not guarantee future results. Current performance may be lower
or higher than quoted. Investment returns and principal value of an investment will fluctuate so that an investors shares, when redeemed, may be
worth more or less than their original cost.
Performance data for the most recent month-end is available at www.wisdomtree.com.
. Interest Rate Strategies
Cumulative Returns 1/31/2016
Inception Date
WisdomTree Japan Interest Rate Strategy
Fund - NAV (JGBB)
1-MO.
3-MO.
YTD
12/18/2013
-0.72%
-1.10%
-0.72%
-0.13%
-0.74%
-0.86%
WisdomTree Barclays U.S. Aggregate Bond
Negative Duration Fund - Market (AGND)
Barclays Rate Hedged U.S. Aggregate Bond
Index, Negativ e Fiv e Duration
WisdomTree BofA ML High Yield Bond Zero
Duration Fund - NAV (HYZD)
12/18/2013
WisdomTree BofA ML High Yield Bond Zero
Duration Fund - Market (HYZD)
BofA ML 0-5 Year US HY Constrained, 0
Duration Index
WisdomTree BofA ML High Yield Bond
Negative Duration Fund - NAV (HYND)
12/18/2013
WisdomTree BofA ML High Yield Bond
Negative Duration Fund - Market (HYND)
BofA ML 0-5 Year US HY Constrained,
Negativ e 7 Duration Index
WisdomTree Bloomberg Floating Rate
Treasury Fund - NAV (USFR)
WisdomTree Bloomberg Floating Rate
Treasury Fund - Market (USFR)
Bloomberg US Treasury Floating Rate Bond
Index
2/4/2014
N/A
-0.50%
-0.13%
-1.95%
-1.99%
N/A
N/A
-0.90%
-1.27%
-0.86%
-0.32%
-0.72%
N/A
N/A
0.26%
-1.06%
-1.21%
-1.06%
-1.73%
-1.14%
N/A
N/A
-0.33%
-1.25%
-1.54%
-1.88%
-0.73%
N/A
N/A
-0.17%
-0.63%
-0.78%
0.36%
-0.33%
N/A
N/A
0.56%
-2.50%
-2.27%
-2.50%
-10.79%
-0.66%
N/A
N/A
-4.27%
-1.98%
-2.28%
-10.47%
-0.64%
N/A
N/A
-4.20%
-1.85%
-2.17%
-8.59%
-0.18%
N/A
N/A
-3.28%
-2.44%
-6.06%
-2.44%
-7.57%
-5.32%
N/A
N/A
-2.62%
-6.50%
-2.85%
-8.03%
-1.26%
N/A
N/A
-2.65%
-6.35%
-2.68%
-7.46%
-5.31%
N/A
N/A
-2.44%
-5.10%
-7.79%
-5.10%
-19.08%
-5.02%
N/A
N/A
-7.52%
-9.24%
-4.97%
-20.09%
-5.15%
N/A
N/A
-8.15%
-5.04%
12/18/2013
N/A
-4.97%
Index, Zero Duration
-1.78%
-2.68%
Barclays Rate Hedged U.S. Aggregate Bond
-1.73%
-2.85%
WisdomTree Barclays U.S.
Aggregate Bond
Zero Duration Fund - Market (AGZD)
5-YR
-2.17%
12/18/2013
3-YR
-2.28%
W isdomTree Japan IR Strategy Index
WisdomTree Barclays U.S. Aggregate Bond
Negative Duration Fund - NAV (AGND)
SINCE FUND
1-YR.
-0.78%
Fund - Market (JGBB)
Zero Duration Fund - NAV (AGZD)
SINCE FUND
-1.54%
WisdomTree Japan Interest Rate Strategy
WisdomTree Barclays U.S. Aggregate Bond
Average Annual Returns as of 12/31/2015
-8.18%
-5.04%
-18.01%
-5.79%
N/A
N/A
-6.96%
0.08%
0.04%
0.08%
-0.08%
-0.08%
N/A
N/A
-0.08%
0.04%
-0.20%
0.04%
-0.68%
-0.24%
N/A
N/A
-0.38%
0.08%
0.06%
0.08%
0.17%
0.05%
N/A
N/A
0.10%
INCEPTION
INCEPTION
It is not possible to invest directly in an index.
Performance is historical and does not guarantee future results. Current performance may be lower
or higher than quoted. Investment returns and principal value of an investment will fluctuate so that an investors shares, when redeemed, may be
worth more or less than their original cost.
Performance data for the most recent month-end is available at www.wisdomtree.com.
. Currency Strategies
Cumulative Returns 1/31/2016
Average Annual Returns as of 12/31/2015
Inception Date
1-MO.
3-MO.
YTD
SINCE FUND
INCEPTION
1-YR.
3-YR
5-YR
SINCE FUND
INCEPTION
12/18/2013
1.53%
3.27%
1.53%
19.74%
7.96%
N/A
N/A
8.43%
1.83%
3.45%
1.83%
19.94%
7.64%
N/A
N/A
8.36%
Bloomberg Dollar Spot Index
1.58%
3.49%
1.58%
22.66%
8.98%
N/A
N/A
9.71%
Bloomberg Dollar Total Return Index
1.56%
3.42%
1.56%
21.41%
8.51%
N/A
N/A
9.16%
-1.66%
-5.42%
-1.66%
-25.78%
-14.11%
-11.06%
-6.37%
-5.20%
-1.79%
-5.18%
-1.79%
-25.78%
-14.25%
-11.05%
-6.32%
-5.18%
-1.68%
-6.56%
-1.68%
-32.11%
-15.79%
-12.94%
-7.95%
-6.78%
-1.62%
-5.28%
-1.62%
-22.94%
-14.19%
-10.49%
-5.70%
-4.53%
-1.01%
-3.88%
-1.01%
-8.47%
-10.09%
-7.32%
-4.73%
-1.17%
-1.02%
-3.83%
-1.02%
-9.42%
-10.05%
-7.40%
-4.79%
-1.32%
-1.05%
-3.71%
-1.05%
-3.42%
-9.43%
-6.61%
-3.98%
-0.37%
-1.15%
-3.60%
-1.15%
-1.49%
-7.61%
-5.59%
-3.04%
-0.05%
-0.16%
-3.76%
-0.16%
7.80%
-3.37%
-0.15%
0.64%
1.01%
-0.04%
-3.77%
-0.04%
6.62%
-3.34%
-0.21%
0.58%
0.85%
-0.84%
-3.36%
-0.84%
6.64%
-5.97%
-1.44%
0.27%
0.96%
-0.42%
-2.58%
-0.42%
16.85%
-0.31%
0.80%
1.57%
2.12%
-0.55%
-1.47%
-0.55%
-22.95%
-24.88%
-12.31%
-9.08%
-3.29%
0.24%
-0.78%
0.24%
-23.73%
-25.00%
-12.42%
-9.18%
-3.51%
-1.57%
-4.38%
-1.57%
-58.75%
-32.81%
-19.71%
-15.94%
-10.76%
-0.54%
-1.38%
-0.54%
-16.86%
-24.50%
-11.92%
-8.51%
-2.32%
-2.09%
-2.69%
-2.09%
-1.19%
1.06%
-0.02%
-1.60%
0.12%
-2.00%
-2.37%
-2.00%
-1.95%
1.30%
-0.02%
-1.68%
0.01%
-2.78%
-4.37%
-2.78%
-37.67%
-4.45%
-6.13%
-7.50%
-5.65%
-2.11%
-2.24%
-2.11%
6.59%
1.71%
0.75%
-1.00%
1.12%
WisdomTree Bloomberg U.S. Dollar Bullish
Fund - NAV (USDU)
WisdomTree Bloomberg U.S. Dollar Bullish
Fund - Market (USDU)
WisdomTree Commodity Currency Strategy
Fund - NAV (CCX)
9/24/2010
WisdomTree Commodity Currency Strategy
Fund - Market (CCX)
Barclays Commodity Producers Currency
Index (CPCI-6)
Equal-W eighted Commodity Currency
Composite
WisdomTree Emerging Currency Strategy
Fund - NAV (CEW)
5/6/2009
WisdomTree Emerging Currency Strategy
Fund - Market (CEW)
Equal-W eighted Emerging Currency
Composite
JP Morgan Emerging Local Markets Index
Plus (ELMI+) (JPPUELM)
WisdomTree Chinese Yuan Strategy Fund NAV (CYB)
5/14/2008
WisdomTree Chinese Yuan Strategy Fund Market (CYB)
Chinese Yuan (CNY)
JP Morgan Emerging Local Markets Index
Plus (ELMI+) China (JPPUCH)
WisdomTree Brazilian Real Strategy Fund NAV (BZF)
5/14/2008
WisdomTree Brazilian Real Strategy Fund Market (BZF)
Brazilian Real (BRL)
JP Morgan Emerging Local Markets Index
Plus (ELMI+) Brazil (JPPUBZ)
WisdomTree Indian Rupee Strategy Fund NAV (ICN)
WisdomTree Indian Rupee Strategy Fund Market (ICN)
Indian Rupee (INR)
JP Morgan Emerging Local Markets Index
Plus (ELMI+) India (JPPUIN)
5/14/2008
It is not possible to invest directly in an index. Performance is historical and does not guarantee future results.
Current performance may be lower
or higher than quoted. Investment returns and principal value of an investment will fluctuate so that an investors shares, when redeemed, may be
worth more or less than their original cost. Performance data for the most recent month-end is available at www.wisdomtree.com.
.
This information must be preceded or accompanied by a prospectus. We advise you to consider the Funds’ objectives, risks, charges and
expenses carefully before investing. The prospectus contains this and other important information about the fund. Please read the prospectus
carefully before you invest.
Call 1-866-909-WISE(9473) or go to wisdomtree.com for more information. Past Performance is not indicative of future
results.
BOFA MERRILL LYNCH MAKES NO WARRANTIES AND BEARS NO LIABILITY WITH RESPECT TO THE INDICES, ANY RELATED INFORMATION, ITS TRADEMARKS, OR THE
PRODUCT(S) (INCLUDING WITHOUT LIMITATION, THEIR QUALITY, ACCURACY, SUITABILITY AND/OR COMPLETENESS).
. WTGM-0668
.