Form N-CSR Cover
Form N-CSR Cover | 12 Months Ended |
Aug. 31, 2024 | |
Shareholder Report [Line Items] | |
Document Type | N-CSR |
Amendment Flag | false |
Registrant Name | WisdomTree Trust |
Entity Central Index Key | 0001350487 |
Entity Investment Company Type | N-1A |
Document Period End Date | Aug. 31, 2024 |
Shareholder Report
Shareholder Report | 6 Months Ended | 8 Months Ended | 12 Months Ended | 19 Months Ended | 29 Months Ended | 33 Months Ended | 35 Months Ended | 40 Months Ended | 44 Months Ended | 58 Months Ended | 87 Months Ended | 102 Months Ended | 110 Months Ended |
Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | Aug. 31, 2024 USD ($) Holding | |
Shareholder Report [Line Items] | |||||||||||||
Document Type | N-CSR | ||||||||||||
Amendment Flag | false | ||||||||||||
Registrant Name | WisdomTree Trust | ||||||||||||
Entity Central Index Key | 0001350487 | ||||||||||||
Entity Investment Company Type | N-1A | ||||||||||||
Document Period End Date | Aug. 31, 2024 | ||||||||||||
C000248535 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree 1-3 Year Laddered Treasury Fund | ||||||||||||
Trading Symbol | USSH | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree 1-3 Year Laddered Treasury Fund (the "Fund") for the period of March 14, 2024 (inception) to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-B20"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last period? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment WisdomTree 1-3 Year Laddered Treasury Fund $7 0.15% Footnote Description Footnote * The Fund commenced operations on 3/14/24. Actual expenses are calculated using a 171/366 day period (to reflect the period since commencement of operations). The expenses for a full fiscal year period would be higher. | ||||||||||||
Expenses Paid, Amount | $ 7 | ||||||||||||
Expense Ratio, Percent | 0.15% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform during the last period and what affected its performance? The Fund returned 3.14% at net asset value (“NAV”) for the fiscal period from March 14, 2024 (inception date) through August 31, 2024, underperforming the Fund’s primary comparative benchmark, the Bloomberg U.S. Aggregate Bond Index (the "Benchmark"), which returned 4.13% during the same period. The following summarizes the key factors that affected Fund performance during the period: With the Fund’s concentration in high quality U.S. Treasuries of relatively short maturity, the Fund underperformed the longer maturity securities in the Benchmark, which benefited more from interest rate declines (higher interest rate sensitivity) and investor appetite for credit risk outside of just U.S. Treasuries. The Fund benefited from consistent income as well as price appreciation, given declines in interest rates driven by falling rates of inflation, cooling labor markets, and anticipation of future rate cuts by the Federal Reserve. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-B25"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Mar. 14, 2024 | ||||||||||||
AssetsNet | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 | $ 2,020,931 |
Holdings Count | Holding | 24 | 24 | 24 | 24 | 24 | 24 | 24 | 24 | 24 | 24 | 24 | 24 | 24 |
Advisory Fees Paid, Amount | $ 679 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 53% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $2,020,931 # of Portfolio Holdings 24 Portfolio Turnover Rate 53% Total Advisory Fees Paid $679 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 98.7% Other Assets and Liabilities, Net 1.3% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings U.S. Treasury Notes, 4.38%, due 7/31/26 4.2% U.S. Treasury Notes, 4.25%, due 1/31/26 4.2% U.S. Treasury Notes, 4.25%, due 12/31/25 4.2% U.S. Treasury Notes, 4.63%, due 6/30/26 4.2% U.S. Treasury Notes, 3.75%, due 8/15/27 4.2% U.S. Treasury Notes, 4.38%, due 12/15/26 4.2% U.S. Treasury Notes, 4.63%, due 6/15/27 4.1% U.S. Treasury Notes, 3.75%, due 8/31/26 4.1% U.S. Treasury Notes, 4.88%, due 11/30/25 4.1% U.S. Treasury Notes, 4.63%, due 2/28/26 4.1% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000248538 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree 7-10 Year Laddered Treasury Fund | ||||||||||||
Trading Symbol | USIN | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree 7-10 Year Laddered Treasury Fund (the "Fund") for the period of March 14, 2024 (inception) to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-B45"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last period? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment WisdomTree 7-10 Year Laddered Treasury Fund $7 0.15% Footnote Description Footnote * The Fund commenced operations on 3/14/24. Actual expenses are calculated using a 171/366 day period (to reflect the period since commencement of operations). The expenses for a full fiscal year period would be higher. | ||||||||||||
Expenses Paid, Amount | $ 7 | ||||||||||||
Expense Ratio, Percent | 0.15% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform during the last period and what affected its performance? The Fund returned 4.27% at net asset value (“NAV”) for the fiscal period from March 14, 2024 (inception date) through August 31, 2024, outperforming the Fund’s primary comparative benchmark, the Bloomberg U.S. Aggregate Bond Index (the "Benchmark"), which returned 4.13% during the same period. The following summarizes the key factors that affected Fund performance during the period: With more sensitivity to interest rates than the securities held within the Benchmark, the Fund secured greater benefit from the fall in interest rates than the broader bond market and outperformed the Benchmark over the period. The Fund generated high levels of income as well as price appreciation over the period, given declines in interest rates driven by falling rates of inflation, cooling labor markets, and anticipation of future rate cuts by the Federal Reserve. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-B50"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Mar. 14, 2024 | ||||||||||||
AssetsNet | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 | $ 3,063,895 |
Holdings Count | Holding | 12 | 12 | 12 | 12 | 12 | 12 | 12 | 12 | 12 | 12 | 12 | 12 | 12 |
Advisory Fees Paid, Amount | $ 1,939 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 19% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $3,063,895 # of Portfolio Holdings 12 Portfolio Turnover Rate 19% Total Advisory Fees Paid $1,939 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 99.4% Other Assets and Liabilities, Net 0.6% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings U.S. Treasury Notes, 3.88%, due 8/15/34 8.4% U.S. Treasury Notes, 4.00%, due 2/15/34 8.3% U.S. Treasury Notes, 3.50%, due 2/15/33 8.3% U.S. Treasury Notes, 3.88%, due 8/15/33 8.3% U.S. Treasury Notes, 2.75%, due 8/15/32 8.3% U.S. Treasury Notes, 2.88%, due 5/15/32 8.3% U.S. Treasury Notes, 1.88%, due 2/15/32 8.3% U.S. Treasury Notes, 1.38%, due 11/15/31 8.3% U.S. Treasury Notes, 4.13%, due 11/15/32 8.2% U.S. Treasury Notes, 3.38%, due 5/15/33 8.2% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000247881 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Bianco Total Return Fund | ||||||||||||
Trading Symbol | WTBN | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Bianco Total Return Fund (the "Fund") for the period of December 20, 2023 (inception) to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-C70"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last period? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Footnote Reference Costs paid as a percentage of a $10,000 investment WisdomTree Bianco Total Return Fund $34 0.48% Footnote Description Footnote * The Fund commenced operations on 12/20/23. Actual expenses are calculated using a 256/366 day period (to reflect the period since commencement of operations). The expenses for a full fiscal year period would be higher. | ||||||||||||
Expenses Paid, Amount | $ 34 | ||||||||||||
Expense Ratio, Percent | 0.48% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform during the last period and what affected its performance? The Fund returned 4.06% at net asset value (“NAV”) for the fiscal period from December 20, 2023 (inception date) through August 31, 2024, outperforming the Fund’s primary comparative benchmark, the Bloomberg U.S. Aggregate Bond Index (the "Benchmark"), which returned 3.79% during the same period. The following summarizes the key factors that affected Fund performance during the period: The Fund's interest rate positioning in exchange-traded funds offering exposure to bullish U.S. dollar strategies, short maturity U.S. Treasury inflation protected securities, and reduced exposure to nominal U.S. Treasury securities were key contributors to relative performance. The Fund’s modest underweight to corporates was the biggest detractor for relative performance against the Benchmark. The Fund’s underweight to securitized products compared to the Benchmark was a modest positive contributor to relative performance. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-C75"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Average Annual Return [Table Text Block] | Average Annual Total Returns (%) Since Inception 12/20/23 Footnote Reference Fund NAV Returns 4.06% Fund Market Price Returns 4.06% Bloomberg U.S. Aggregate Bond Index 3.79% Bianco Research Fixed Income Total Return Index 4.35% Footnote Description Footnote * Returns of less than one year are cumulative. | ||||||||||||
Performance Inception Date | Dec. 20, 2023 | ||||||||||||
AssetsNet | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 | $ 6,886,024 |
Holdings Count | Holding | 13 | 13 | 13 | 13 | 13 | 13 | 13 | 13 | 13 | 13 | 13 | 13 | 13 |
Advisory Fees Paid, Amount | $ 13,564 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 72% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000225934 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Alternative Income Fund | ||||||||||||
Trading Symbol | HYIN | ||||||||||||
Security Exchange Name | CboeBZX | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Alternative Income Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D93"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Alternative Income Fund $54 0.50% | ||||||||||||
Expenses Paid, Amount | $ 54 | ||||||||||||
Expense Ratio, Percent | 0.50% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 14.54% at net asset value (“NAV”) for the fiscal year ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the ICE BofA Merrill Lynch U.S. High Yield Index (the "Benchmark"), which returned 12.47% during the same period. The following summarizes the key factors that affected Fund performance during the period: The Fund’s higher nominal yield and income compared to the Benchmark was a top contributor to the Fund's relative performance. The underlying funds in which the Fund invests (i.e. business development companies and closed end funds) all employ leverage. In a robust market, this inherent leverage in the Fund’s holdings was another top contributor to relative performance since the Benchmark’s holdings typically don’t have embedded leverage. The Fund’s exposure to private corporate lending (i.e., business development companies) was another top contributor to relative performance for the specified period. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D98"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | May 06, 2021 | ||||||||||||
AssetsNet | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 | $ 20,232,836 |
Holdings Count | Holding | 36 | 36 | 36 | 36 | 36 | 36 | 36 | 36 | 36 | 36 | 36 | 36 | 36 |
Advisory Fees Paid, Amount | $ 77,454 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 33% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $20,232,836 # of Portfolio Holdings 36 Portfolio Turnover Rate 33% Total Advisory Fees Paid $77,454 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) Common Stocks 66.1% Closed-End Funds 33.3% Other Assets and Liabilities, Net 0.6% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Redwood Trust, Inc. 3.3% Chimera Investment Corp. 3.2% MFA Financial, Inc. 3.2% Ladder Capital Corp. 3.0% AG Mortgage Investment Trust, Inc. 3.0% Ellington Financial, Inc. 3.0% Rithm Capital Corp. 3.0% Two Harbors Investment Corp. 3.0% New York Mortgage Trust, Inc. 3.0% Starwood Property Trust, Inc. 3.0% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000133150 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Bloomberg U.S. Dollar Bullish Fund | ||||||||||||
Trading Symbol | USDU | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Bloomberg U.S. Dollar Bullish Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D118"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Bloomberg U.S. Dollar Bullish Fund $51 0.50% | ||||||||||||
Expenses Paid, Amount | $ 51 | ||||||||||||
Expense Ratio, Percent | 0.50% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 5.77% at net asset value (NAV) for the fiscal year ended August 31, 2024, underperforming the Fund’s primary comparative benchmark, the Bloomberg Dollar Total Return Index, which returned 6.21% during the same period. The following summarizes the key factors that affected Fund performance during the period: - The U.S. dollar strengthened against a basket of 10 leading global currencies during the period, defined by global trading activity versus the U.S. dollar and global foreign exchange volume, which positively contributed to Fund performance. - Short-term interest rate differentials between the U.S. and other countries (whose currencies the Fund was exposed to) generally remained positive, which was additive for the Fund. - Short exposure to the Mexican peso positively impacted performance during the period, as it weakened by over 13% versus the U.S. dollar. - Short exposure to the British pound negatively affected performance during the period, as it strengthened by about 3.5% versus the U.S. dollar. - The Fund’s fixed income exposure positively impacted performance as short-term U.S. Treasury bills gained about 5.5% over the period. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D123"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 | $ 222,329,794 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | $ 1,093,092 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 106% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $222,329,794 # of Portfolio Holdings 5 Portfolio Turnover Rate 106% Total Advisory Fees Paid $1,093,092 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 97.1% Exchange-Traded Funds 4.0% Other Assets and Liabilities, Net (1.1)% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top Holdings U.S. Treasury Bills, 5.43%, due 12/3/24 25.1% U.S. Treasury Bills, 5.35%, due 10/10/24 24.2% U.S. Treasury Bills, 5.36%, due 9/5/24 24.1% U.S. Treasury Bills, 5.28%, due 11/5/24 23.7% WisdomTree Floating Rate Treasury Fund 4.0% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000230569 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Efficient Gold Plus Equity Strategy Fund | ||||||||||||
Trading Symbol | GDE | ||||||||||||
Security Exchange Name | CboeBZX | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Efficient Gold Plus Equity Strategy Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D142"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Efficient Gold Plus Equity Strategy Fund $25 0.20% | ||||||||||||
Expenses Paid, Amount | $ 25 | ||||||||||||
Expense Ratio, Percent | 0.20% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 47.24% at net asset value (“NAV”) for the period ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the S&P 500 Index (the "Benchmark"), which returned 27.14% during the same period. The following summarizes the key factors that affected Fund performance during the period: Gold and equity components of the Fund had roughly equal contribution to returns for the period, with each component having similar returns to the Benchmark. The Fund’s use of accounting leverage of 1.8x the asset exposure of the Fund was the primary factor to outperformance. Accounting leverage refers to the fact that the total asset exposure of the strategy is enhanced to 1.8x the Fund's net assets through the use of notional gold futures contracts. Gold prices appreciated over the period as geopolitical tensions rose, central banks increased purchases, and market expectations shifted towards an interest rate cutting environment, all of which positively contributed to Fund performance. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D147"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Mar. 17, 2022 | ||||||||||||
AssetsNet | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 | $ 39,964,716 |
Holdings Count | Holding | 493 | 493 | 493 | 493 | 493 | 493 | 493 | 493 | 493 | 493 | 493 | 493 | 493 |
Advisory Fees Paid, Amount | $ 39,315 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 30% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $39,964,716 # of Portfolio Holdings 493 Portfolio Turnover Rate 30% Total Advisory Fees Paid $39,315 | ||||||||||||
Holdings [Text Block] | Country Breakdown (% of Net Assets) United States 90.1% Others Footnote Reference 0.2% Other Assets and Liabilities, Net 9.7% Total 100.0% Footnote Description Footnote 1 Includes all other countries invested by the Fund | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Apple, Inc. 6.4% Microsoft Corp. 5.5% NVIDIA Corp. 5.3% Alphabet, Inc., Class A 3.7% Amazon.com, Inc. 3.5% Meta Platforms, Inc., Class A 2.4% Berkshire Hathaway, Inc., Class B 1.8% Eli Lilly & Co. 1.6% Broadcom, Inc. 1.4% Tesla, Inc. 1.3% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000230570 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Efficient Gold Plus Gold Miners Strategy Fund | ||||||||||||
Trading Symbol | GDMN | ||||||||||||
Security Exchange Name | CboeBZX | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Efficient Gold Plus Gold Miners Strategy Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D167"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Efficient Gold Plus Gold Miners Strategy Fund $57 0.45% | ||||||||||||
Expenses Paid, Amount | $ 57 | ||||||||||||
Expense Ratio, Percent | 0.45% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 51.48% at net asset value (“NAV”) for the period ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the NYSE ARCA Gold Miners Index, which returned 34.87%. The following summarizes the key factors that affected Fund performance during the period: Gold prices and gold miners (measured by the NYSE ARCA Gold Miners Index) had similar gains (over 30%) in the past year, contributing to the Fund’s return. The Fund’s use of accounting leverage of 1.8x the asset exposure of the Fund was a major factor contributing to the Fund outperforming the comparative benchmark. Accounting leverage refers to the fact that the total asset exposure of the strategy is enhanced to 1.8x the Fund's net assets through the use of notional gold futures contracts. Gold prices appreciated over the period, due to anticipation of rate cuts by the U.S. Federal Reserve, as well as high inflation expectations and geopolitical uncertainties, positively contributing to the Fund's return. Equities have also done well, and gold miners benefited from both the rallies in gold prices as well as market tailwinds. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D172"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Dec. 16, 2021 | ||||||||||||
AssetsNet | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 | $ 9,894,852 |
Holdings Count | Holding | 53 | 53 | 53 | 53 | 53 | 53 | 53 | 53 | 53 | 53 | 53 | 53 | 53 |
Advisory Fees Paid, Amount | $ 33,841 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 17% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $9,894,852 # of Portfolio Holdings 53 Portfolio Turnover Rate 17% Total Advisory Fees Paid $33,841 | ||||||||||||
Holdings [Text Block] | Country Breakdown (% of Net Assets) Canada 39.0% United States 31.1% Australia 11.0% South Africa 5.5% United Kingdom 4.7% Brazil 4.3% Others Footnote Reference 8.8% Other Assets and Liabilities, Net (4.4)% Total 100.0% Footnote Description Footnote 1 Includes all other countries invested by the Fund | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Newmont Corp. 12.7% Barrick Gold Corp. 8.3% Agnico Eagle Mines Limited/Mines Agnico Eagle Limited 7.6% Franco-Nevada Corp. 5.1% Anglogold Ashanti PLC 4.7% Northern Star Resources Ltd. 4.7% Kinross Gold Corp. 4.3% Wheaton Precious Metals Corp. 4.3% Gold Fields Ltd. 3.5% Alamos Gold, Inc., Class A 2.9% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000060975 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Emerging Currency Strategy Fund | ||||||||||||
Trading Symbol | CEW | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Emerging Currency Strategy Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D192"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Emerging Currency Strategy Fund $57 0.55% | ||||||||||||
Expenses Paid, Amount | $ 57 | ||||||||||||
Expense Ratio, Percent | 0.55% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 6.11% at net asset value ("NAV") for the fiscal year ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the JP Morgan Emerging Local Markets Index Plus, which returned 5.74% during the same period. The following summarizes the key factors that affected Fund performance during the period: -The U.S. dollar generally strengthened against a broad basket of emerging market currencies based on liquidity and economic diversification during the period, positively contributing to the Fund's return. -Long exposure to the Polish zloty, South African rand and Malaysian ringgit were all additive to Fund performance, as each currency strengthened by 6-7% versus the U.S. dollar. -Long exposure to the Mexican peso and Turkish lira, however, negatively affected Fund performance as they weakened significantly versus the U.S. dollar. The Mexican peso fell 13%, while the Turkish lira declined by over 21%. -The Fund’s U.S. Treasury bill exposure aided performance during the period, as high short-term interest rates in the U.S. generated income for the Fund. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D197"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 | $ 7,355,831 |
Holdings Count | Holding | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 |
Advisory Fees Paid, Amount | $ 48,257 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 132% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $7,355,831 # of Portfolio Holdings 4 Portfolio Turnover Rate 132% Total Advisory Fees Paid $48,257 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 61.2% Repurchase Agreements 31.0% Exchange-Traded Funds 4.6% Other Assets and Liabilities, Net 3.2% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top Holdings U.S. Treasury Bills, 5.36%, due 9/17/24 31.5% Citigroup, Inc., tri-party repurchase agreement, 5.33%, due 9/3/24 31.0% U.S. Treasury Bills, 5.32%, due 11/5/24 29.7% WisdomTree Floating Rate Treasury Fund 4.6% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000104506 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Emerging Markets Corporate Bond Fund | ||||||||||||
Trading Symbol | EMCB | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Emerging Markets Corporate Bond Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D216"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Emerging Markets Corporate Bond Fund $64 0.60% | ||||||||||||
Expenses Paid, Amount | $ 64 | ||||||||||||
Expense Ratio, Percent | 0.60% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 11.92% at net asset value (“NAV”) for the fiscal year ended August 31, 2024, underperforming the Fund’s primary comparative benchmark, the JP Morgan CEMBI Diversified Index, which returned 12.00% during the same period. The following summarizes the key factors that affected Fund performance during the period: -The Fund's overweight in Latin America boosted performance, led by corporates in commodity-driven sectors like energy, benefiting from strong global demand and high prices. -Overweight positions in India, Mexico, and Turkey were top performance contributors. Indian corporates gained from strong domestic demand. Mexican corporates thrived on nearshoring trends and stable economic fundamentals, while Turkish exporters capitalized on a weaker lira. -The Fund's continued preference for BB and BBB issuers over single-A and B-rated names added value, offering a better risk-reward balance. -The Fund's underweight in Asia, especially China, detracted from performance as distressed property developers rebounded on expectations of government support. The overweight in South Korea detracted from performance due to weak economic growth and geopolitical tensions. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D221"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 | $ 66,007,385 |
Holdings Count | Holding | 152 | 152 | 152 | 152 | 152 | 152 | 152 | 152 | 152 | 152 | 152 | 152 | 152 |
Advisory Fees Paid, Amount | $ 297,707 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 147% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $66,007,385 # of Portfolio Holdings 152 Portfolio Turnover Rate 147% Total Advisory Fees Paid $297,707 | ||||||||||||
Holdings [Text Block] | Country Breakdown (% of Net Assets) Brazil 7.7% Mexico 7.6% Chile 7.6% South Korea 6.3% Turkey 5.9% India 5.7% Colombia 5.0% United Arab Emirates 4.4% Peru 3.6% South Africa 3.4% Others Footnote Reference 42.6% Other Assets and Liabilities, Net 0.2% Total 100.0% Footnote Description Footnote 1 Includes all other countries invested by the Fund | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Melco Resorts Finance Ltd., 5.75%, due 7/21/28 1.8% Bidvest Group U.K. PLC, 3.63%, due 9/23/26 1.7% Network i2i Ltd., 3.98%, due 3/3/26 1.6% Ecopetrol SA, 8.88%, due 1/13/33 1.5% Sands China Ltd., 5.40%, due 8/8/28 1.5% CT Trust, 5.13%, due 2/3/32 1.5% OCP SA, 6.75%, due 5/2/34 1.5% IRB Infrastructure Developers Ltd., 7.11%, due 3/11/32 1.4% Tencent Holdings Ltd., 3.98%, due 4/11/29 1.3% POSCO, 4.88%, due 1/23/27 1.3% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000088998 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Emerging Markets Local Debt Fund | ||||||||||||
Trading Symbol | ELD | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Emerging Markets Local Debt Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D240"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Emerging Markets Local Debt Fund $56 0.55% | ||||||||||||
Expenses Paid, Amount | $ 56 | ||||||||||||
Expense Ratio, Percent | 0.55% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 5.24% at net asset value (“NAV”) for the fiscal year ended August 31, 2024, underperforming the Fund’s primary comparative benchmark, the JP Morgan GBI-EM Global Diversified Unhedged Index (the "Benchmark"), which returned 6.00% during the same period. The following summarizes the key factors that affected Fund performance during the period: -The Fund's overweight to Colombia and India compared to the Benchmark contributed to Fund performance. Colombian peso appreciated in the first half of fiscal year, contributing to spot return due to stabilizing inflation and moderate interest rate decisions by the central bank. India's robust domestic demand and infrastructure spending led to positive performance with relative stable Indian rupee performance. -Asset allocation and security selection modestly detracted from performance, with expenses representing the majority of underperformance on a net asset basis. -The Fund's overweight in Mexico and underweights in Malaysia and Thailand detracted from its relative performance against the Benchmark, as the Mexican peso weakened due to persistent inflation pressures, while the Malaysian ringgit and Thai baht appreciated due to robust economic recoveries, rising commodity prices, and tourism resurgence. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D245"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 | $ 73,795,192 |
Holdings Count | Holding | 153 | 153 | 153 | 153 | 153 | 153 | 153 | 153 | 153 | 153 | 153 | 153 | 153 |
Advisory Fees Paid, Amount | $ 469,996 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 14% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $73,795,192 # of Portfolio Holdings 153 Portfolio Turnover Rate 14% Total Advisory Fees Paid $469,996 | ||||||||||||
Holdings [Text Block] | Country Breakdown (% of Net Assets) Indonesia 12.4% Brazil 11.0% Poland 8.6% Supranational Bonds 8.0% South Africa 7.8% Colombia 7.7% United States 5.9% Malaysia 4.8% China 4.7% Thailand 4.6% Others Footnote Reference 21.0% Other Assets and Liabilities, Net 3.5% Total 100.0% Footnote Description Footnote 1 Includes all other countries invested by the Fund | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Citigroup, Inc., tri-party repurchase agreement, 5.33%, due 9/3/24 5.9% China Government Bonds, 2.68%, due 5/21/30 2.2% Republic of Poland Government Bonds, 2.50%, due 7/25/26 1.9% Republic of Poland Government Bonds, 7.50%, due 7/25/28 1.9% International Finance Corp., 7.00%, due 7/20/27 1.8% Brazil Letras do Tesouro Nacional, due 7/1/25 1.8% Brazil Notas do Tesouro Nacional, 10.00%, due 1/1/29 1.6% Brazil Notas do Tesouro Nacional, 10.00%, due 1/1/27 1.6% Brazil Letras do Tesouro Nacional, due 7/1/26 1.5% Colombia TES, 9.25%, due 5/28/42 1.4% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000221364 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Enhanced Commodity Strategy Fund | ||||||||||||
Trading Symbol | GCC | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Enhanced Commodity Strategy Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D264"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Enhanced Commodity Strategy Fund $57 0.55% | ||||||||||||
Expenses Paid, Amount | $ 57 | ||||||||||||
Expense Ratio, Percent | 0.55% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 6.18% at net asset value ("NAV") for the fiscal year ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the S&P GSCI Index, which returned -2.11% during the same period. The following summarizes the key factors that affected Fund performance during the period: Exposure to Bitcoin via futures contracts was additive for Fund performance during the period, which provided over 2.5% toward total return. Cocoa exposure was also beneficial for Fund performance, contributing about 3.59%. Silver and Brent crude oil positions also aided performance, providing an additional 2.2% to returns between the two commodities. Corn and soybean exposures detracted from performance by about 1% for each commodity. Wheat and natural gas also hampered performance by about 50 basis points apiece. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D269"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Dec. 21, 2020 | ||||||||||||
AssetsNet | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 | $ 124,708,242 |
Holdings Count | Holding | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 |
Advisory Fees Paid, Amount | $ 784,657 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 42% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $124,708,242 # of Portfolio Holdings 3 Portfolio Turnover Rate 42% Total Advisory Fees Paid $784,657 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 75.4% Exchange-Traded Funds 7.8% Other Assets and Liabilities, Net 16.8% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top Holdings U.S. Treasury Bills, 5.12%, due 11/14/24 75.4% WisdomTree Floating Rate Treasury Fund 4.5% WisdomTree Bitcoin Fund 3.3% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. Effective April 3, 2024, the Fund changed its principal investing strategy to permit the Fund to invest indirectly through its WisdomTree Subsidiary in shares of one or more exchange-traded products that primarily hold bitcoin. This change will increase the Fund's exposure to cryptocurrencies. Cryptocurrencies are subject to unique and substantial risks, and historically, have been subject to significant price volatility. | ||||||||||||
Material Fund Change Strategies [Text Block] | Effective April 3, 2024, the Fund changed its principal investing strategy to permit the Fund to invest indirectly through its WisdomTree Subsidiary in shares of one or more exchange-traded products that primarily hold bitcoin. This change will increase the Fund's exposure to cryptocurrencies. Cryptocurrencies are subject to unique and substantial risks, and historically, have been subject to significant price volatility. | ||||||||||||
C000136444 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Floating Rate Treasury Fund | ||||||||||||
Trading Symbol | USFR | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Floating Rate Treasury Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D290"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Floating Rate Treasury Fund $15 0.15% | ||||||||||||
Expenses Paid, Amount | $ 15 | ||||||||||||
Expense Ratio, Percent | 0.15% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 5.41% at net asset value (“NAV”) for the fiscal year ended August 31, 2024, underperforming the Fund’s primary comparative benchmark, the Bloomberg U.S. Aggregate Bond Index (the "Benchmark"), which returned 7.30% during the same period. The following summarizes the key factors that affected Fund performance during the period: Throughout the period, speculation grew about future interest rate cuts by the U.S. Federal Reserve, as growth moderated but stayed resilient, the rate of inflation declined, and the job market started to cool. In reaction, bond investors drove the price of longer maturity debt securities higher (yields lower). Consequently, as a high-quality fund with very little sensitivity to interest rate risk, the Fund underperformed the longer maturity securities available in the Benchmark. The Fund produced consistent income over the year, as the U.S. Federal Reserve maintained short-term interest rates at a high level throughout the period. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D295"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 | $ 17,366,485,073 |
Holdings Count | Holding | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 | 4 |
Advisory Fees Paid, Amount | $ 26,752,703 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 157% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $17,366,485,073 # of Portfolio Holdings 4 Portfolio Turnover Rate 157% Total Advisory Fees Paid $26,752,703 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 99.5% Other Assets and Liabilities, Net 0.5% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top Holdings U.S. Treasury Floating Rate Notes, 5.19%, due 4/30/26 27.9% U.S. Treasury Floating Rate Notes, 5.29%, due 1/31/26 27.3% U.S. Treasury Floating Rate Notes, 5.21%, due 10/31/25 25.4% U.S. Treasury Floating Rate Notes, 5.23%, due 7/31/26 18.9% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000134342 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Interest Rate Hedged High Yield Bond Fund | ||||||||||||
Trading Symbol | HYZD | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Interest Rate Hedged High Yield Bond Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D314"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Interest Rate Hedged High Yield Bond Fund $45 0.43% | ||||||||||||
Expenses Paid, Amount | $ 45 | ||||||||||||
Expense Ratio, Percent | 0.43% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 10.14% at net asset value (“NAV”) for the fiscal year ended August 31, 2024, underperforming the Fund’s primary comparative benchmark, the ICE BofA Merrill Lynch U.S. High Yield Index (the "Benchmark"), which returned 12.47% during the same period. The Fund trailed its underlying index, the WisdomTree U.S. High Yield Corporate Zero Duration Bond Index, which returned 10.68%, by 0.54% on a net asset basis and by 0.11% before fees. The following summarizes the key factors that affected Fund performance during the period: -The Fund benefited from high levels of income, broadly favorable credit conditions, and a tightening in interest rate spreads of riskier corporate bonds over similar maturity U.S. Treasuries. -Modest positive contributions to relative performance came through allocations to bonds in the Materials, Industrials, and Utilities sectors. -The primary contributors to underperformance were interest rate hedging and security selection within the Communications, Healthcare, and Technology sectors. -The Fund used short positions in U.S. Treasury futures to hedge interest rate risk. As mentioned above, the Fund's use of short U.S. Treasury futures detracted from the relative performance of the Fund compared to its Benchmark as interest rates fell during the period. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D319"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 | $ 147,643,700 |
Holdings Count | Holding | 455 | 455 | 455 | 455 | 455 | 455 | 455 | 455 | 455 | 455 | 455 | 455 | 455 |
Advisory Fees Paid, Amount | $ 691,006 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 49% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $147,643,700 # of Portfolio Holdings 455 Portfolio Turnover Rate 49% Total Advisory Fees Paid $691,006 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) Corporate Bonds 95.8% Other Assets and Liabilities, Net 4.2% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Sirius XM Radio, Inc., 5.50%, due 7/1/29 1.1% Post Holdings, Inc., 4.63%, due 4/15/30 1.0% DaVita, Inc., 3.75%, due 2/15/31 0.9% Organon & Co./Organon Foreign Debt Co-Issuer BV, 5.13%, due 4/30/31 0.9% CHS/Community Health Systems, Inc., 4.75%, due 2/15/31 0.8% CHS/Community Health Systems, Inc., 5.63%, due 3/15/27 0.8% Centene Corp., 4.63%, due 12/15/29 0.8% Tenneco, Inc., 8.00%, due 11/17/28 0.7% Level 3 Financing, Inc., 11.00%, due 11/15/29 0.7% Paramount Global, 6.38%, due 3/30/62 0.7% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000134336 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund | ||||||||||||
Trading Symbol | AGZD | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D338"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund $24 0.23% | ||||||||||||
Expenses Paid, Amount | $ 24 | ||||||||||||
Expense Ratio, Percent | 0.23% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 6.82% at net asset value ("NAV") for the fiscal year ended August 31, 2024, underperforming the Fund's primary comparative benchmark, the Bloomberg U.S. Aggregate Bond Index (the "Benchmark"), which returned 7.30% during the same period. The following summarizes the key factors that affected the Fund’s performance during this period: -In a period of falling yields, the Fund’s zero-duration strategy did not capture the price appreciation benefits that the unhedged longer-duration bonds experienced. Hence, the Fund underperformed compared to its Benchmark, given the drag of the interest rate hedge with falling yields. -The period saw a tightening of credit spreads as the market anticipated rate cuts and economic resilience. While the Fund’s long positions in corporate bonds benefited from this, the gains were not sufficient to offset the losses from the interest rate hedges in U.S. Treasury futures. -Hedging interest rates through U.S. Treasury futures modestly detracted from Fund performance relative to its Benchmark as interest rates fell during the period. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D343"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 | $ 158,030,027 |
Holdings Count | Holding | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 | 1,854 |
Advisory Fees Paid, Amount | $ 405,866 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 111% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $158,030,027 # of Portfolio Holdings 1,854 Portfolio Turnover Rate 111% Portfolio Turnover Rate Excluding TBA Roll Transactions 57% Total Advisory Fees Paid $405,866 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 42.7% U.S. Government Agencies 27.1% Corporate Bonds 24.4% Commercial Mortgage-Backed Securities 1.7% Supranational Bonds 1.1% Foreign Government Obligations 0.8% Foreign Government Agencies 0.7% Municipal Bonds 0.7% Repurchase Agreements 0.7% Asset-Backed Securities 0.4% U.S. Government Agencies TBA Sale Commitments (0.7)% Other Assets and Liabilities, Net 0.4% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Citigroup, Inc., tri-party repurchase agreement, 5.33%, due 9/3/24 0.7% U.S. Treasury Notes, 3.38%, due 5/15/33 0.7% U.S. Treasury Notes, 0.63%, due 8/15/30 0.6% U.S. Treasury Notes, 3.50%, due 2/15/33 0.6% U.S. Treasury Notes, 4.00%, due 2/15/34 0.6% U.S. Treasury Notes, 0.63%, due 5/15/30 0.5% Federal National Mortgage Association, 2.00%, due 9/1/50 0.5% U.S. Treasury Notes, 1.25%, due 11/30/26 0.5% U.S. Treasury Notes, 4.63%, due 2/28/26 0.5% U.S. Treasury Notes, 2.25%, due 11/15/25 0.5% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000079238 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Managed Futures Strategy Fund | ||||||||||||
Trading Symbol | WTMF | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Managed Futures Strategy Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D362"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Managed Futures Strategy Fund $67 0.65% | ||||||||||||
Expenses Paid, Amount | $ 67 | ||||||||||||
Expense Ratio, Percent | 0.65% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 7.16% at net asset value ("NAV") for the fiscal year ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the ICE BofA U.S. 3-Month Treasury Bill Index, which returned 5.48% during the same period. The following summarizes the key factors that affected Fund performance during the period: Exposure to equities, commodities and cryptocurrency via futures contracts were additive for Fund performance during the period, providing over 6.5% toward totals return. Exposure to Bitcoin, natural gas and equity future contracts were the most beneficial for Fund performance. Exposure to interest rate futures contracts were the least beneficial for Fund performance. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D367"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
AssetsNet | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 | $ 207,447,189 |
Holdings Count | Holding | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 |
Advisory Fees Paid, Amount | $ 1,222,265 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 37% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $207,447,189 # of Portfolio Holdings 3 Portfolio Turnover Rate 37% Total Advisory Fees Paid $1,222,265 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 82.4% Exchange-Traded Funds 5.6% Other Assets and Liabilities, Net 12.0% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top Holdings U.S. Treasury Bills, 5.23%, due 10/31/24 82.4% WisdomTree Floating Rate Treasury Fund 4.2% WisdomTree Bitcoin Fund 1.4% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. Effective April 3, 2024, the Fund changed its principal investing strategy to permit the Fund to invest indirectly through its WisdomTree Subsidiary in shares of one or more exchange-traded products that primarily hold bitcoin. This change will increase the Fund's exposure to cryptocurrencies. Cryptocurrencies are subject to unique and substantial risks, and historically, have been subject to significant price volatility. | ||||||||||||
Material Fund Change Strategies [Text Block] | Effective April 3, 2024, the Fund changed its principal investing strategy to permit the Fund to invest indirectly through its WisdomTree Subsidiary in shares of one or more exchange-traded products that primarily hold bitcoin. This change will increase the Fund's exposure to cryptocurrencies. Cryptocurrencies are subject to unique and substantial risks, and historically, have been subject to significant price volatility. | ||||||||||||
C000210706 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Mortgage Plus Bond Fund | ||||||||||||
Trading Symbol | MTGP | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Mortgage Plus Bond Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D387"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Mortgage Plus Bond Fund $47 0.45% | ||||||||||||
Expenses Paid, Amount | $ 47 | ||||||||||||
Expense Ratio, Percent | 0.45% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 7.87% at net asset value (“NAV”) for the fiscal year ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the Bloomberg U.S. Securitized Mortgage Backed Securities/Asset Backed Securities/Commercial Mortgage Backed Securities Index (the "Benchmark"), which returned 7.55% during the same period. The following summarizes the key factors that affected Fund performance during the period: The Fund’s allocation to non-agency residential mortgage-backed securities was the top contributor to relative performance, as mortgage credit remains on solid footing due to highly affordable locked in mortgage rates, and high levels of homeowners’ equity. Security selection within commercial mortgage-backed securities was also a solid contributor, as the Fund's higher yielding holdings relative to the Benchmark outperformed as commercial mortgage-backed securities began to price in less pessimistic scenarios. The Fund’s allocation to collateralized loan obligations also contributed to Fund performance, as economic growth remained resilient, and demand for floating rate securities remained high. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D392"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Nov. 14, 2019 | ||||||||||||
AssetsNet | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 | $ 53,524,829 |
Holdings Count | Holding | 157 | 157 | 157 | 157 | 157 | 157 | 157 | 157 | 157 | 157 | 157 | 157 | 157 |
Advisory Fees Paid, Amount | $ 191,353 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 106% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $53,524,829 # of Portfolio Holdings 157 Portfolio Turnover Rate 106% Portfolio Turnover Rate Excluding TBA Roll Transactions 23% Total Advisory Fees Paid $191,353 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Agencies 59.7% Collateralized Mortgage Obligations 31.4% Commercial Mortgage-Backed Securities 5.2% Collateralized Loan Obligations 2.6% Other Assets and Liabilities, Net 1.1% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Federal National Mortgage Association, 2.00%, due 3/1/52 5.0% Government National Mortgage Association, 2.00%, due 10/20/51 3.8% Government National Mortgage Association, 5.50%, due 9/20/54 3.2% Federal National Mortgage Association, 3.00%, due 5/1/52 3.1% Federal National Mortgage Association, 2.00%, due 1/1/52 3.0% Government National Mortgage Association, 2.50%, due 9/20/51 2.9% Federal National Mortgage Association, 5.00%, due 9/1/52 2.5% Federal National Mortgage Association, 2.50%, due 9/1/52 2.1% Federal National Mortgage Association, 3.50%, due 9/1/52 2.0% Federal National Mortgage Association, 3.50%, due 7/1/52 2.0% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000152580 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree PutWrite Strategy Fund | ||||||||||||
Trading Symbol | PUTW | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree PutWrite Strategy Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D412"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree PutWrite Strategy Fund $47 0.44% | ||||||||||||
Expenses Paid, Amount | $ 47 | ||||||||||||
Expense Ratio, Percent | 0.44% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 14.68% at net asset value ("NAV") for the fiscal year ended August 31, 2024, underperforming the Fund’s primary comparative benchmark, the S&P 500 Index (the "Benchmark"), which returned 27.14% during the same period. The following summarizes the key factors that affected Fund performance during the period: Because the Fund writes put options on an exchange-traded fund that tracks the Benchmark, it benefited from the Benchmark’s over 27% gain during the period. The Fund was able to steadily collect option premiums from the put options written without those options becoming in-the-money for buyers, since the market steadily climbed higher during the period. The option premiums collected from writing put options were invested in 3-Month U.S. Treasury bills, which aided performance since bills gained about 5.5% during the period. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D417"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Feb. 24, 2016 | ||||||||||||
AssetsNet | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 | $ 125,033,137 |
Holdings Count | Holding | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 | 3 |
Advisory Fees Paid, Amount | $ 411,900 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 32% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $125,033,137 # of Portfolio Holdings 3 Portfolio Turnover Rate 32% Total Advisory Fees Paid $411,900 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 94.9% Exchange-Traded Funds 4.2% Other Assets and Liabilities, Net 0.9% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top Holdings U.S. Treasury Bills, 5.33%, due 10/3/24 59.5% U.S. Treasury Bills, 5.32%, due 9/5/24 35.4% WisdomTree Floating Rate Treasury Fund 4.2% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. On August 30, 2024, the Fund changed its principal investment strategy to primarily use put options on the S&P 500 ® ® | ||||||||||||
Material Fund Change Strategies [Text Block] | On August 30, 2024, the Fund changed its principal investment strategy to primarily use put options on the S&P 500 ® ® | ||||||||||||
C000222596 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Target Range Fund | ||||||||||||
Trading Symbol | GTR | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Target Range Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D438"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Target Range Fund $75 0.70% | ||||||||||||
Expenses Paid, Amount | $ 75 | ||||||||||||
Expense Ratio, Percent | 0.70% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 14.74% at net asset value ("NAV") for the fiscal year ended August 31, 2024, underperforming the Fund’s primary comparative benchmark, the MSCI All Country World Index, which returned 23.44% during the same period. The following summarizes the key factors that affected Fund performance during the period: Each equity index that the Fund is inherently exposed to based on the exchange-traded fund ("ETF") options held performed well over the period. The MSCI EAFE and Emerging Markets Indexes gained between 15-20%, while the S&P 500 and Russell 2000 Indexes in the United States climbed 27% and 18%, respectively. Because the Fund sells 15% out-of-the-money call options and buys 15% in-the-money call options on four ETFs that track these indexes, performance was strong for the Fund in this environment. However, Fund performance was ultimately capped by the call options sold (which became valuable as markets climbed higher). This means that the Fund was not able to benefit from additional market gains beyond this 15% target range. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D443"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Oct. 07, 2021 | ||||||||||||
AssetsNet | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 | $ 62,246,361 |
Holdings Count | Holding | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 | 5 |
Advisory Fees Paid, Amount | $ 433,798 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 0% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $62,246,361 # of Portfolio Holdings 5 Portfolio Turnover Rate 0% Total Advisory Fees Paid $433,798 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) U.S. Government Obligations 72.5% Purchased Options (Exchange-Traded) 21.1% Other Assets and Liabilities, Net 6.4% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top Holdings U.S. Treasury Bills, due 10/31/24 72.5% SPDR S&P 500 ETF Trust, Purchased Call Option $470 strike expiring 1/17/25 9.9% iShares MSCI EAFE ETF Trust, Purchased Call Option $63 strike expiring 1/17/25 5.3% iShares Russell 2000 ETF, Purchased Call Option $191 strike expiring 1/17/25 3.2% iShares MSCI Emerging Markets ETF, Purchased Call Option $33 strike expiring 1/17/25 2.7% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000239876 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Voya Yield Enhanced USD Universal Bond Fund | ||||||||||||
Trading Symbol | UNIY | ||||||||||||
Security Exchange Name | NASDAQ | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Voya Yield Enhanced USD Universal Bond Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D463"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Voya Yield Enhanced USD Universal Bond Fund $16 0.15% | ||||||||||||
Expenses Paid, Amount | $ 16 | ||||||||||||
Expense Ratio, Percent | 0.15% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 7.81% at net asset value ("NAV") for the fiscal year ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the Bloomberg U.S. Aggregate Bond Index, which returned 7.30% during the same period. The following summarizes the key factors that affected the Fund’s performance during this period: The Fund benefited from both high levels of income, as well as capital appreciation as interest rates declined and credit spreads narrowed over the period. The Fund’s overweight position in corporate credits relative to its comparative benchmark benefited the Fund as corporate credit spreads tightened during the period. The Fund also benefited from its overweight positions in high yield and ex-Aggregate universe assets. These segments tend to offer higher yields compared to investment-grade bonds. During the period, the tightening of credit spreads and the anticipation of rate cuts benefited these higher-yielding assets, contributing to the Fund’s outperformance relative to its comparative benchmark. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D468"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Feb. 07, 2023 | ||||||||||||
AssetsNet | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 | $ 1,353,536,081 |
Holdings Count | Holding | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 | 6,422 |
Advisory Fees Paid, Amount | $ 1,875,686 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 85% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $1,353,536,081 # of Portfolio Holdings 6,422 Portfolio Turnover Rate 85% Portfolio Turnover Rate Excluding TBA Roll Transactions 72% Total Advisory Fees Paid $1,875,686 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) Corporate Bonds 41.1% U.S. Government Obligations 27.7% U.S. Government Agencies 17.8% Foreign Government Obligations 3.9% Commercial Mortgage-Backed Securities 3.5% Asset-Backed Securities 2.4% Foreign Government Agencies 0.9% Supranational Bonds 0.7% Municipal Bonds 0.3% Other Assets and Liabilities, Net 1.7% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings U.S. Treasury Notes, 0.38%, due 1/31/26 14.0% U.S. Treasury Bonds, 1.88%, due 2/15/41 4.1% U.S. Treasury Notes, 0.25%, due 10/31/25 3.9% U.S. Treasury Notes, 0.63%, due 8/15/30 2.2% Federal National Mortgage Association, 2.00%, due 2/1/52 1.2% Tennessee Valley Authority, 3.50%, due 12/15/42 1.1% Tennessee Valley Authority, 4.25%, due 9/15/52 0.7% Federal National Mortgage Association, 5.50%, due 8/1/53 0.5% U.S. Treasury Notes, 3.75%, due 8/15/27 0.4% Federal Home Loan Banks, 5.63%, due 3/14/36 0.4% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000156663 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Yield Enhanced U.S. Aggregate Bond Fund | ||||||||||||
Trading Symbol | AGGY | ||||||||||||
Security Exchange Name | NYSE | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Yield Enhanced U.S. Aggregate Bond Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D488"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Yield Enhanced U.S. Aggregate Bond Fund $12 0.12% | ||||||||||||
Expenses Paid, Amount | $ 12 | ||||||||||||
Expense Ratio, Percent | 0.12% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 8.28% at net asset value (“NAV”) for the fiscal year ended August 31, 2024, outperforming the Fund’s primary comparative benchmark, the Bloomberg U.S. Aggregate Bond Index (the "Benchmark"), which returned 7.30% during the same period. The following summarizes the key factors that affected Fund performance during the period: The Fund benefited from both high levels of income, as well as capital appreciation as interest rates declined and credit spreads narrowed over the period. The Fund’s overweight to corporate bonds and underweight to U.S. Treasuries was the top contributor of outperformance relative to its Benchmark. The incremental income spread offered by investment grade corporate bonds over similar maturity U.S. Treasuries tightened by 25 basis points over the period (from 1.18% at the beginning of the period to 0.93% credit spread at the end of the period). The Fund’s underweight to agency residential mortgage-backed securities modestly detracted from Fund performance over the year. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D493"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | Jul. 09, 2015 | ||||||||||||
AssetsNet | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 | $ 933,175,175 |
Holdings Count | Holding | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 | 2,623 |
Advisory Fees Paid, Amount | $ 1,097,229 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 83% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $933,175,175 # of Portfolio Holdings 2,623 Portfolio Turnover Rate 83% Portfolio Turnover Rate Excluding TBA Roll Transactions 51% Total Advisory Fees Paid $1,097,229 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) Corporate Bonds 45.5% U.S. Government Obligations 24.4% U.S. Government Agencies 15.7% Commercial Mortgage-Backed Securities 6.6% Asset-Backed Securities 4.8% Foreign Government Obligations 2.5% Repurchase Agreements 0.3% Foreign Government Agencies 0.2% Municipal Bonds 0.1% U.S. Government Agencies TBA Sale Commitments (0.7)% Other Assets and Liabilities, Net 0.6% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings Tennessee Valley Authority, 5.25%, due 9/15/39 0.8% Tennessee Valley Authority, 5.88%, due 4/1/36 0.5% Federal Home Loan Banks, 5.50%, due 7/15/36 0.5% Federal Home Loan Mortgage Corp., due 11/15/38 0.4% U.S. Treasury Notes, 1.13%, due 8/31/28 0.4% U.S. Treasury Notes, 2.75%, due 4/30/27 0.4% U.S. Treasury Notes, 1.13%, due 2/29/28 0.4% U.S. Treasury Notes, 0.63%, due 7/31/26 0.4% U.S. Treasury Notes, 3.75%, due 12/31/28 0.3% U.S. Treasury Bonds, 4.75%, due 11/15/43 0.3% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. | ||||||||||||
C000184315 | |||||||||||||
Shareholder Report [Line Items] | |||||||||||||
Fund Name | WisdomTree Yield Enhanced U.S. Short-Term Aggregate Bond Fund | ||||||||||||
Trading Symbol | SHAG | ||||||||||||
Security Exchange Name | CboeBZX | ||||||||||||
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about the WisdomTree Yield Enhanced U.S. Short-Term Aggregate Bond Fund (the "Fund") for the period of September 1, 2023 to August 31, 2024. | ||||||||||||
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | ||||||||||||
Additional Information [Text Block] | You can find additional information about the Fund at www.wisdomtree.com/investments/regulatory This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | ||||||||||||
Additional Information Phone Number | 1-866-909-WISE (9473) | ||||||||||||
Additional Information Website | www.wisdomtree.com/investments/regulatory</span>" id="sjs-D513"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments/regulatory</span> | ||||||||||||
Expenses [Text Block] | What were the Fund's costs for the last year? (based on a hypothetical $10,000 investment) Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment WisdomTree Yield Enhanced U.S. Short-Term Aggregate Bond Fund $12 0.12% | ||||||||||||
Expenses Paid, Amount | $ 12 | ||||||||||||
Expense Ratio, Percent | 0.12% | ||||||||||||
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? The Fund returned 6.62% at net asset value ("NAV") for the fiscal year ended August 31, 2024, underperforming its primary comparative benchmark, the Bloomberg U.S. Short Aggregate Composite Index (the "Benchmark"), which returned 6.74% during the same period. The following summarizes the key factors that affected the Fund’s performance during this period: -With the U.S. Federal Reserve concluding its tightening path in July 2023 and markets moving to price in future interest rate cuts, short maturity fixed income investments benefited as rates began to decline from high levels. -Gross performance was in-line with the Benchmark with the expense ratio accounting for the difference between the Fund’s net asset return and the Benchmark return. -Positive contribution for sector allocation was counterbalanced by some shortfalls in security selection and interest rate positioning, which detracted from the Fund's performance. -Overweights to corporate and underweights to U.S. Treasuries drove the positive contribution from sector allocation, while security selection in financial institution bonds and securitized debt detracted from relative performance. The Fund having more defensive interest rate positioning compared to the Benchmark was a slight detractor from performance, given the fall in interest rates over the period. | ||||||||||||
Performance Past Does Not Indicate Future [Text] | The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span>" id="sjs-D518"><span style="font-weight: 700; box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">The Fund's past performance is not a good predictor of future results. The performance shown in the following graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or on the redemption of Fund shares. For the most recent performance information visit <span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 18px; margin: 0px; overflow: visible; text-align: left;">www.wisdomtree.com/investments</span>.</span> | ||||||||||||
Performance Inception Date | May 18, 2017 | ||||||||||||
AssetsNet | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 | $ 38,204,721 |
Holdings Count | Holding | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 | 1,072 |
Advisory Fees Paid, Amount | $ 77,068 | ||||||||||||
InvestmentCompanyPortfolioTurnover | 179% | ||||||||||||
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $38,204,721 # of Portfolio Holdings 1,072 Portfolio Turnover Rate 179% Portfolio Turnover Rate Excluding TBA Roll Transactions 114% Total Advisory Fees Paid $77,068 | ||||||||||||
Holdings [Text Block] | Investment Breakdown (% of Net Assets) Corporate Bonds 46.6% U.S. Government Obligations 30.7% Commercial Mortgage-Backed Securities 10.1% Asset-Backed Securities 7.6% U.S. Government Agencies 2.5% Foreign Government Agencies 1.3% Foreign Government Obligations 0.4% Other Assets and Liabilities, Net 0.8% Total 100.0% | ||||||||||||
Largest Holdings [Text Block] | Top 10 Holdings U.S. Treasury Notes, 0.50%, due 5/31/27 10.3% U.S. Treasury Notes, 0.25%, due 5/31/25 9.5% U.S. Treasury Notes, 0.75%, due 5/31/26 2.9% U.S. Treasury Notes, 0.38%, due 1/31/26 2.7% U.S. Treasury Notes, 0.63%, due 7/31/26 1.4% U.S. Treasury Notes, 0.50%, due 3/31/25 1.2% Japan Bank for International Cooperation, 0.63%, due 7/15/25 0.9% Goldman Sachs Group, Inc., 1.09%, due 12/9/26 0.9% Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates, Class A2, 3.43%, due 1/25/27 0.9% Federal National Mortgage Association, 2.00%, due 1/1/37 0.8% | ||||||||||||
Material Fund Change [Text Block] | Material Fund Changes Subsequent to August 31, 2024, the Fund expects to begin transitioning its primary post-trade service provider relationship to The Bank of New York Mellon ("BNY"). The transition is expected to be completed prior to November 30, 2024, after which time BNY will serve as custodian, administrator, transfer agent, and securities lending agent for the Fund. Information about BNY, as a service provider to the Fund, will be included in the Fund’s prospectus and statement of additional information following the completion of the transition. |
Shareholder Report, Line Graph
Shareholder Report, Line Graph (Details) - USD ($) | 6 Months Ended | 8 Months Ended | 12 Months Ended | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Jul. 31, 2024 | Jun. 30, 2024 | May 31, 2024 | Apr. 30, 2024 | Mar. 31, 2024 | Mar. 13, 2024 | Feb. 29, 2024 | Jan. 31, 2024 | Dec. 31, 2023 | Dec. 19, 2023 | Nov. 30, 2023 | Oct. 31, 2023 | Sep. 30, 2023 | Aug. 31, 2023 | Jul. 31, 2023 | Jun. 30, 2023 | May 31, 2023 | Apr. 30, 2023 | Mar. 31, 2023 | Feb. 28, 2023 | Feb. 06, 2023 | Jan. 31, 2023 | Dec. 31, 2022 | Nov. 30, 2022 | Oct. 31, 2022 | Sep. 30, 2022 | Aug. 31, 2022 | Jul. 31, 2022 | Jun. 30, 2022 | May 31, 2022 | Apr. 30, 2022 | Mar. 31, 2022 | Mar. 16, 2022 | Feb. 28, 2022 | Jan. 31, 2022 | Dec. 31, 2021 | Dec. 15, 2021 | Nov. 30, 2021 | Oct. 31, 2021 | Oct. 06, 2021 | Sep. 30, 2021 | Aug. 31, 2021 | Jul. 31, 2021 | Jun. 30, 2021 | May 31, 2021 | May 05, 2021 | Apr. 30, 2021 | Mar. 31, 2021 | Feb. 28, 2021 | Jan. 31, 2021 | Dec. 31, 2020 | Dec. 20, 2020 | Nov. 30, 2020 | Oct. 31, 2020 | Sep. 30, 2020 | Aug. 31, 2020 | Jul. 31, 2020 | Jun. 30, 2020 | May 31, 2020 | Apr. 30, 2020 | Mar. 31, 2020 | Feb. 29, 2020 | Jan. 31, 2020 | Dec. 31, 2019 | Nov. 30, 2019 | Nov. 13, 2019 | Oct. 31, 2019 | Sep. 30, 2019 | Aug. 31, 2019 | Jul. 31, 2019 | Jun. 30, 2019 | May 31, 2019 | Apr. 30, 2019 | Mar. 31, 2019 | Feb. 28, 2019 | Jan. 31, 2019 | Dec. 31, 2018 | Nov. 30, 2018 | Oct. 31, 2018 | Sep. 30, 2018 | Aug. 31, 2018 | Jul. 31, 2018 | Jun. 30, 2018 | May 31, 2018 | Apr. 30, 2018 | Mar. 31, 2018 | Feb. 28, 2018 | Jan. 31, 2018 | Dec. 31, 2017 | Nov. 30, 2017 | Oct. 31, 2017 | Sep. 30, 2017 | Aug. 31, 2017 | Jul. 31, 2017 | Jun. 30, 2017 | May 31, 2017 | May 17, 2017 | Apr. 30, 2017 | Mar. 31, 2017 | Feb. 28, 2017 | Jan. 31, 2017 | Dec. 31, 2016 | Nov. 30, 2016 | Oct. 31, 2016 | Sep. 30, 2016 | Aug. 31, 2016 | Jul. 31, 2016 | Jun. 30, 2016 | May 31, 2016 | Apr. 30, 2016 | Mar. 31, 2016 | Feb. 29, 2016 | Feb. 23, 2016 | Jan. 31, 2016 | Dec. 31, 2015 | Nov. 30, 2015 | Oct. 31, 2015 | Sep. 30, 2015 | Aug. 31, 2015 | Jul. 31, 2015 | Jul. 08, 2015 | Jun. 30, 2015 | May 31, 2015 | Apr. 30, 2015 | Mar. 31, 2015 | Feb. 28, 2015 | Jan. 31, 2015 | Dec. 31, 2014 | Nov. 30, 2014 | Oct. 31, 2014 | Sep. 30, 2014 | Aug. 31, 2014 | |
C000248535 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree 1-3 Year Laddered Treasury Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000247881 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Bianco Total Return Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000225934 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Alternative Income Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 10,766 | $ 10,766 | $ 10,766 | $ 10,749 | $ 10,231 | $ 10,112 | $ 9,813 | $ 10,094 | $ 9,744 | $ 9,771 | $ 9,857 | $ 9,416 | $ 8,603 | $ 9,154 | $ 9,406 | $ 9,525 | $ 9,052 | $ 8,352 | $ 8,518 | $ 8,348 | $ 8,929 | $ 9,225 | $ 8,097 | $ 8,701 | $ 8,206 | $ 7,402 | $ 8,940 | $ 9,497 | $ 8,458 | $ 9,281 | $ 9,242 | $ 9,950 | $ 9,709 | $ 10,239 | $ 10,260 | $ 10,046 | $ 10,537 | $ 10,201 | $ 10,329 | $ 10,140 | $ 10,272 | $ 10,084 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000133150 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Bloomberg U.S. Dollar Bullish Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 13,828 | 13,828 | $ 13,828 | 13,978 | 14,082 | 13,812 | 13,911 | 13,604 | 13,531 | 13,386 | 13,053 | 13,264 | 13,599 | 13,410 | 13,080 | 12,783 | 12,876 | 12,939 | 12,681 | 12,657 | 12,851 | 12,468 | 12,657 | 12,835 | 13,435 | 13,430 | 12,979 | 12,673 | 12,582 | 12,262 | 12,443 | 11,951 | 11,825 | 11,875 | 11,757 | 11,857 | 11,658 | 11,699 | 11,523 | 11,482 | 11,482 | 11,257 | $ 11,437 | $ 11,609 | $ 11,460 | $ 11,437 | $ 11,280 | $ 11,565 | $ 11,870 | $ 11,942 | $ 11,767 | $ 11,924 | $ 12,371 | $ 12,461 | $ 12,662 | $ 12,680 | $ 12,345 | $ 12,103 | $ 11,982 | $ 12,158 | $ 12,027 | $ 12,197 | $ 12,275 | $ 12,054 | $ 11,845 | $ 12,010 | $ 11,914 | $ 11,871 | $ 11,762 | $ 11,645 | $ 11,745 | $ 11,843 | $ 11,830 | $ 11,533 | $ 11,511 | $ 11,365 | $ 11,451 | $ 11,318 | $ 11,059 | $ 10,865 | $ 10,917 | $ 10,775 | $ 11,145 | $ 11,145 | $ 11,330 | $ 11,124 | $ 11,033 | $ 11,020 | $ 11,313 | $ 11,451 | $ 11,628 | $ 11,684 | $ 11,834 | $ 11,783 | $ 12,114 | $ 11,985 | $ 11,533 | $ 11,296 | $ 11,343 | $ 11,274 | $ 11,318 | $ 11,481 | $ 11,072 | $ 11,296 | $ 11,757 | $ 11,994 | $ 11,778 | $ 11,852 | $ 11,594 | $ 11,654 | $ 11,577 | $ 11,598 | $ 11,347 | $ 11,460 | $ 11,209 | $ 11,577 | $ 11,298 | $ 11,258 | $ 10,943 | $ 10,721 | $ 10,470 | $ 10,386 | $ 10,000 | ||||||||||||
C000230569 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Efficient Gold Plus Equity Strategy Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000230570 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Efficient Gold Plus Gold Miners Strategy Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000060975 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Emerging Currency Strategy Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 9,628 | 9,628 | $ 9,628 | 9,434 | 9,313 | 9,413 | 9,281 | 9,323 | 9,287 | 9,287 | 9,460 | 9,254 | 8,996 | 8,960 | 9,078 | 9,264 | 9,078 | 8,903 | 9,017 | 9,012 | 8,759 | 8,970 | 8,682 | 8,542 | 8,154 | 8,108 | 8,389 | 8,424 | 8,486 | 8,782 | 8,710 | 9,012 | 8,685 | 8,920 | 8,818 | 8,751 | 9,078 | 9,083 | 9,293 | 9,196 | 9,303 | 9,395 | 9,252 | 9,140 | 9,242 | 9,318 | 9,451 | 9,198 | 8,833 | 8,787 | 8,894 | 8,863 | 8,726 | 8,696 | 8,432 | 8,386 | 9,000 | 9,249 | 9,452 | 9,176 | 9,280 | 9,126 | 9,036 | 9,345 | 9,365 | 9,086 | 9,156 | 9,146 | 9,255 | 9,315 | 9,016 | 9,017 | 8,826 | 8,924 | 8,773 | 9,183 | 9,081 | 9,281 | 9,521 | 9,741 | 9,677 | 9,765 | 9,501 | 9,340 | 9,198 | 9,281 | 9,364 | 9,267 | 9,125 | 9,134 | 9,002 | 8,978 | 8,841 | 8,743 | 8,567 | 8,469 | 8,856 | 8,885 | 8,792 | 8,782 | 8,758 | 8,440 | 8,797 | 8,689 | 8,161 | 8,103 | 8,186 | 8,298 | 8,425 | 8,186 | 8,337 | 8,626 | 8,914 | 8,993 | 9,164 | 8,875 | 8,978 | 8,944 | 9,100 | 9,369 | 9,643 | 9,628 | 10,000 | ||||||||||||
C000104506 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Emerging Markets Corporate Bond Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000088998 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Emerging Markets Local Debt Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000221364 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Enhanced Commodity Strategy Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 13,737 | 13,737 | $ 13,737 | 13,797 | 14,042 | 14,392 | 14,146 | 13,722 | 12,933 | 12,755 | 12,621 | 12,824 | 12,927 | 12,928 | 12,964 | 13,158 | 12,267 | 11,958 | 12,712 | 12,820 | 12,684 | 13,323 | 13,100 | 13,265 | 12,793 | 12,467 | 13,244 | 13,589 | 13,706 | 15,115 | 14,939 | 14,811 | 13,729 | 12,777 | 12,198 | 11,660 | 12,350 | 11,878 | 11,804 | 11,932 | 11,809 | 11,916 | 11,494 | 10,688 | 10,907 | 10,277 | 10,155 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000136444 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Floating Rate Treasury Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,804 | 11,804 | $ 11,804 | 11,756 | 11,710 | 11,667 | 11,612 | 11,549 | 11,500 | 11,443 | 11,387 | 11,350 | 11,301 | 11,246 | 11,201 | 11,151 | 11,101 | 11,050 | 11,002 | 10,946 | 10,908 | 10,867 | 10,823 | 10,781 | 10,748 | 10,724 | 10,694 | 10,675 | 10,670 | 10,656 | 10,660 | 10,639 | 10,634 | 10,630 | 10,617 | 10,621 | 10,621 | 10,621 | 10,621 | 10,621 | 10,621 | 10,621 | 10,625 | 10,621 | 10,625 | 10,621 | 10,620 | 10,618 | 10,622 | 10,621 | 10,620 | 10,619 | 10,618 | 10,616 | 10,615 | 10,608 | 10,602 | 10,588 | 10,566 | 10,544 | 10,526 | 10,508 | 10,493 | 10,482 | 10,459 | 10,451 | 10,431 | 10,404 | 10,389 | 10,371 | 10,348 | 10,343 | 10,317 | 10,301 | 10,285 | 10,261 | 10,251 | 10,245 | 10,227 | 10,219 | 10,184 | 10,181 | 10,165 | 10,152 | 10,123 | 10,106 | 10,102 | 10,093 | 10,075 | 10,071 | 10,055 | 10,049 | 10,041 | 10,037 | 10,029 | 10,020 | 10,013 | 10,010 | 10,008 | 10,002 | 9,996 | 9,978 | 9,972 | 9,966 | 9,964 | 9,956 | 9,952 | 9,948 | 9,976 | 10,004 | 9,984 | 10,004 | 10,008 | 10,004 | 10,004 | 10,012 | 9,976 | 9,976 | 9,976 | 9,964 | 9,964 | 10,000 | 10,000 | ||||||||||||
C000134342 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Interest Rate Hedged High Yield Bond Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 14,647 | 14,647 | $ 14,647 | 14,508 | 14,402 | 14,389 | 14,324 | 14,285 | 14,053 | 13,896 | 13,820 | 13,606 | 13,239 | 13,289 | 13,291 | 13,288 | 13,037 | 12,586 | 12,642 | 12,666 | 12,739 | 12,721 | 12,450 | 12,613 | 12,440 | 11,865 | 12,060 | 12,222 | 11,622 | 12,435 | 12,313 | 12,686 | 12,430 | 12,490 | 12,722 | 12,420 | 12,616 | 12,602 | 12,537 | 12,438 | 12,486 | 12,321 | 12,341 | 12,266 | 12,307 | 11,937 | 11,993 | 11,790 | 11,343 | 11,258 | 11,459 | 11,288 | 10,795 | 10,838 | 10,525 | 9,957 | 11,811 | 12,121 | 12,075 | 11,860 | 11,860 | 11,899 | 11,815 | 11,861 | 11,810 | 11,654 | 11,858 | 11,639 | 11,664 | 11,485 | 11,046 | 11,499 | 11,579 | 11,754 | 11,628 | 11,597 | 11,453 | 11,424 | 11,408 | 11,320 | 11,355 | 11,374 | 11,295 | 11,234 | 11,223 | 11,153 | 10,994 | 11,077 | 10,989 | 10,927 | 10,848 | 10,794 | 10,780 | 10,700 | 10,655 | 10,381 | 10,390 | 10,289 | 10,208 | 9,947 | 9,795 | 9,738 | 9,612 | 9,080 | 8,816 | 8,982 | 9,246 | 9,425 | 9,607 | 9,471 | 9,590 | 9,779 | 9,884 | 9,948 | 9,808 | 9,766 | 9,837 | 9,579 | 9,364 | 9,838 | 9,900 | 9,844 | 10,000 | ||||||||||||
C000134336 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 12,365 | 12,365 | $ 12,365 | 12,259 | 12,287 | 12,227 | 12,166 | 12,068 | 11,997 | 11,918 | 11,856 | 11,776 | 11,592 | 11,597 | 11,571 | 11,531 | 11,466 | 11,297 | 11,230 | 11,194 | 11,250 | 11,185 | 11,094 | 11,018 | 10,877 | 10,870 | 10,907 | 10,878 | 10,789 | 10,886 | 10,886 | 10,966 | 10,887 | 10,954 | 10,967 | 10,924 | 10,977 | 10,960 | 10,934 | 10,941 | 10,960 | 10,930 | 10,944 | 10,915 | 10,940 | 10,932 | 10,892 | 10,861 | 10,781 | 10,740 | 10,778 | 10,786 | 10,749 | 10,653 | 10,665 | 10,508 | 10,824 | 10,870 | 10,865 | 10,805 | 10,758 | 10,737 | 10,669 | 10,676 | 10,608 | 10,556 | 10,604 | 10,543 | 10,508 | 10,428 | 10,391 | 10,409 | 10,384 | 10,467 | 10,427 | 10,389 | 10,342 | 10,224 | 10,355 | 10,309 | 10,337 | 10,344 | 10,332 | 10,282 | 10,266 | 10,195 | 10,161 | 10,164 | 10,125 | 10,093 | 10,089 | 10,097 | 10,082 | 10,059 | 10,061 | 10,014 | 9,969 | 9,944 | 9,948 | 9,903 | 9,855 | 9,892 | 9,892 | 9,845 | 9,707 | 9,709 | 9,861 | 9,857 | 9,832 | 9,781 | 9,800 | 9,930 | 9,871 | 9,910 | 9,941 | 9,924 | 9,954 | 9,889 | 9,934 | 9,967 | 9,978 | 10,002 | 10,000 | ||||||||||||
C000079238 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Managed Futures Strategy Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,312 | 11,312 | $ 11,312 | 11,470 | 11,473 | 11,647 | 11,562 | 11,881 | 11,537 | 11,043 | 11,084 | 10,796 | 10,539 | 10,622 | 10,576 | 10,670 | 10,549 | 10,444 | 10,245 | 10,118 | 9,780 | 9,786 | 9,539 | 9,766 | 10,027 | 9,879 | 9,965 | 9,925 | 10,046 | 10,249 | 10,163 | 10,298 | 10,080 | 9,985 | 10,137 | 10,066 | 10,407 | 10,298 | 10,431 | 10,348 | 10,346 | 10,223 | 10,205 | 9,779 | 9,894 | 9,485 | 9,309 | 8,931 | 8,709 | 8,741 | 8,816 | 8,854 | 8,744 | 8,769 | 8,919 | 9,056 | 8,919 | 8,906 | 9,271 | 9,143 | 9,236 | 9,361 | 9,605 | 9,320 | 9,278 | 9,339 | 9,688 | 9,555 | 9,538 | 9,420 | 9,524 | 9,526 | 9,583 | 9,670 | 9,637 | 9,464 | 9,450 | 9,464 | 9,438 | 9,390 | 9,379 | 9,547 | 9,497 | 9,338 | 9,331 | 9,189 | 9,198 | 9,167 | 9,260 | 9,369 | 9,459 | 9,433 | 9,602 | 9,602 | 9,824 | 9,749 | 9,891 | 9,981 | 9,744 | 9,943 | 10,090 | 10,062 | 10,183 | 9,945 | 10,140 | 9,820 | 9,945 | 10,012 | 9,796 | 9,836 | 9,765 | 9,768 | 10,133 | 10,436 | 10,351 | 10,486 | 10,304 | 10,493 | 10,346 | 10,436 | 10,259 | 10,344 | 10,000 | ||||||||||||
C000210706 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Mortgage Plus Bond Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,018 | 10,018 | $ 10,018 | 9,871 | 9,635 | 9,517 | 9,359 | 9,606 | 9,535 | 9,668 | 9,639 | 9,291 | 8,907 | 9,063 | 9,301 | 9,341 | 9,357 | 9,436 | 9,479 | 9,447 | 9,274 | 9,506 | 9,271 | 9,216 | 9,010 | 9,178 | 9,570 | 9,820 | 9,600 | 9,755 | 9,724 | 10,006 | 10,244 | 10,340 | 10,452 | 10,493 | 10,483 | 10,502 | 10,560 | 10,562 | 10,505 | 10,494 | 10,479 | 10,436 | 10,458 | 10,559 | 10,519 | 10,497 | 10,446 | 10,473 | 10,450 | 10,423 | 10,339 | 10,245 | 10,158 | 10,027 | 10,260 | 10,159 | 10,020 | 10,018 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000152580 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree PutWrite Strategy Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 18,550 | 18,550 | $ 18,550 | 18,500 | 18,398 | 17,964 | 17,260 | 17,865 | 17,382 | 16,833 | 16,528 | 16,080 | 15,372 | 15,659 | 16,183 | 16,380 | 16,021 | 15,540 | 15,352 | 15,096 | 14,771 | 14,834 | 14,280 | 14,542 | 14,194 | 13,722 | 14,559 | 15,199 | 14,711 | 15,208 | 15,494 | 16,198 | 15,489 | 15,540 | 15,922 | 15,379 | 15,554 | 14,969 | 15,103 | 14,803 | 14,619 | 14,343 | 14,021 | 13,906 | 13,326 | 13,174 | 13,137 | 12,846 | 11,779 | 12,156 | 12,111 | 11,748 | 11,357 | 11,230 | 10,795 | 10,218 | 11,743 | 12,787 | 12,909 | 12,807 | 12,655 | 12,374 | 12,266 | 12,526 | 12,324 | 11,761 | 12,239 | 12,047 | 11,891 | 11,747 | 11,390 | 12,369 | 12,155 | 12,900 | 12,883 | 12,702 | 12,390 | 12,365 | 12,155 | 11,910 | 12,091 | 12,361 | 12,256 | 12,212 | 12,054 | 11,989 | 11,919 | 11,911 | 11,814 | 11,745 | 11,626 | 11,513 | 11,460 | 11,325 | 11,126 | 11,082 | 10,832 | 10,796 | 10,776 | 10,700 | 10,549 | 10,390 | 10,263 | 10,223 | 10,020 | $ 10,000 | |||||||||||||||||||||||||||||
C000222596 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Target Range Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,346 | 10,346 | $ 10,346 | 10,212 | 10,195 | 9,943 | 9,630 | 9,818 | 9,636 | 9,396 | 9,495 | 9,102 | 8,478 | 8,735 | 9,041 | 9,238 | 9,008 | 8,659 | 8,707 | 8,635 | 8,554 | 8,691 | 8,458 | 8,784 | 8,651 | 8,475 | 8,824 | 9,044 | 8,747 | 9,280 | 9,288 | 9,832 | 9,656 | 9,840 | 10,448 | 10,144 | 10,380 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000239876 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Voya Yield Enhanced USD Universal Bond Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,725 | 10,725 | $ 10,725 | 10,565 | 10,340 | 10,251 | 10,093 | 10,334 | 10,232 | 10,365 | 10,378 | 10,013 | 9,565 | 9,710 | 9,939 | 9,996 | 9,980 | 9,982 | 10,096 | 10,035 | 9,801 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
C000156663 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Yield Enhanced U.S. Aggregate Bond Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,759 | 11,759 | $ 11,759 | 11,573 | 11,336 | 11,243 | 11,049 | 11,331 | 11,219 | 11,354 | 11,369 | 10,976 | 10,460 | 10,609 | 10,863 | 10,909 | 10,903 | 10,905 | 11,024 | 10,956 | 10,698 | 10,993 | 10,607 | 10,676 | 10,258 | 10,403 | 10,918 | 11,275 | 10,943 | 11,186 | 11,087 | 11,645 | 11,998 | 12,197 | 12,512 | 12,543 | 12,530 | 12,508 | 12,651 | 12,683 | 12,528 | 12,379 | 12,339 | 12,226 | 12,379 | 12,641 | 12,736 | 12,701 | 12,529 | 12,621 | 12,626 | 12,755 | 12,555 | 12,452 | 12,348 | 11,985 | 12,445 | 12,284 | 12,029 | 12,000 | 11,982 | 11,950 | 12,017 | 11,675 | 11,627 | 11,417 | 11,237 | 11,209 | 10,955 | 10,953 | 10,761 | 10,557 | 10,539 | 10,692 | 10,736 | 10,682 | 10,622 | 10,654 | 10,600 | 10,717 | 10,658 | 10,832 | 10,948 | 10,885 | 10,892 | 10,867 | 10,908 | 10,806 | 10,745 | 10,736 | 10,629 | 10,525 | 10,532 | 10,441 | 10,407 | 10,375 | 10,682 | 10,788 | 10,797 | 10,798 | 10,684 | 10,440 | 10,444 | 10,350 | 10,188 | 10,126 | 9,971 | 10,054 | 10,079 | 10,050 | 9,992 | 10,056 | $ 10,000 | ||||||||||||||||||||||
C000184315 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | WisdomTree Yield Enhanced U.S. Short-Term Aggregate Bond Fund | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 11,316 | 11,316 | $ 11,316 | 11,196 | 11,043 | 10,968 | 10,874 | 10,950 | 10,901 | 10,947 | 10,905 | 10,736 | 10,559 | 10,565 | 10,609 | 10,592 | 10,548 | 10,584 | 10,632 | 10,590 | 10,418 | 10,568 | 10,425 | 10,423 | 10,252 | 10,290 | 10,504 | 10,672 | 10,544 | 10,635 | 10,567 | 10,707 | 10,930 | 11,001 | 11,133 | 11,144 | 11,161 | 11,204 | 11,241 | 11,261 | 11,207 | 11,219 | 11,197 | 11,158 | 11,177 | 11,223 | 11,236 | 11,199 | 11,168 | 11,173 | 11,169 | 11,163 | 11,122 | 11,073 | 10,962 | 10,759 | 10,953 | 10,850 | 10,739 | 10,703 | 10,714 | 10,672 | 10,684 | 10,569 | 10,571 | 10,485 | 10,396 | 10,376 | 10,268 | 10,251 | 10,131 | 10,045 | 10,031 | 10,036 | 10,053 | 10,001 | 9,994 | 9,998 | 9,956 | 9,987 | 9,968 | 10,001 | 10,053 | 10,036 | 10,073 | 10,073 | 10,094 | 10,060 | 10,020 | 10,022 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,413 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 10,413 | 10,413 | 10,413 | 10,265 | 10,031 | 9,937 | 9,771 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,413 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 10,413 | $ 10,413 | 10,413 | 10,265 | 10,031 | 9,937 | 9,771 | 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,379 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,379 | $ 10,379 | $ 10,379 | 10,232 | 9,999 | 9,905 | 9,740 | 9,992 | 9,901 | 10,043 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $9,544 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 9,544 | 9,544 | $ 9,544 | 9,409 | 9,194 | 9,108 | 8,956 | 9,188 | 9,104 | 9,235 | 9,260 | 8,919 | 8,532 | 8,669 | 8,895 | 8,952 | 8,958 | 8,991 | 9,090 | 9,035 | 8,811 | 9,045 | 8,775 | 8,815 | 8,502 | 8,614 | 9,002 | 9,264 | 9,043 | 9,187 | 9,129 | 9,489 | 9,760 | 9,870 | 10,087 | 10,113 | 10,083 | 10,086 | 10,174 | 10,194 | 10,081 | 10,010 | 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg Dollar Total Return Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg Dollar Total Return Index $14,002 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 14,002 | 14,002 | $ 14,002 | 14,141 | 14,237 | 13,962 | 14,045 | 13,740 | 13,653 | 13,517 | 13,170 | 13,380 | 13,711 | 13,522 | 13,183 | 12,878 | 12,963 | 13,027 | 12,750 | 12,732 | 12,936 | 12,571 | 12,769 | 12,964 | 13,581 | 13,584 | 13,135 | 12,823 | 12,737 | 12,391 | 12,570 | 12,033 | 11,922 | 11,953 | 11,856 | 11,950 | 11,729 | 11,779 | 11,596 | 11,536 | 11,553 | 11,296 | 11,467 | 11,662 | 11,494 | 11,440 | 11,344 | 11,591 | 11,872 | 11,923 | 11,761 | 11,944 | 12,360 | 12,447 | 12,598 | 12,654 | 12,269 | 12,117 | 11,990 | 12,218 | 12,071 | 12,283 | 12,238 | 12,137 | 11,888 | 12,056 | 11,964 | 11,927 | 11,818 | 11,706 | 11,831 | 11,931 | 11,930 | 11,640 | 11,616 | 11,521 | 11,569 | 11,450 | 11,202 | 10,983 | 11,067 | 10,903 | 11,279 | 11,304 | 11,464 | 11,257 | 11,175 | 11,169 | 11,454 | 11,598 | 11,765 | 11,822 | 11,974 | 11,923 | 12,240 | 12,121 | 11,665 | 11,420 | 11,467 | 11,398 | 11,442 | 11,603 | 11,190 | 11,411 | 11,867 | 12,085 | 11,900 | 11,951 | 11,685 | 11,729 | 11,665 | 11,685 | 11,422 | 11,534 | 11,280 | 11,628 | 11,358 | 11,319 | 10,966 | 10,736 | 10,488 | 10,398 | 10,000 | ||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $13,476" id="sjs-D99">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $13,476 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 13,476 | 13,476 | $ 13,476 | 13,157 | 12,998 | 12,548 | 11,955 | 12,464 | 12,076 | 11,464 | 11,274 | 10,784 | 9,882 | 10,094 | 10,599 | 10,771 | 10,436 | 9,789 | 9,747 | 9,597 | 9,257 | 9,488 | 8,927 | 9,473 | 8,972 | 8,300 | 9,142 | 9,531 | 8,726 | 9,511 | 9,494 | 10,401 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $12,515" id="sjs-D103">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $12,515 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 12,515 | 12,515 | $ 12,515 | 12,218 | 12,071 | 11,653 | 11,103 | 11,576 | 11,215 | 10,646 | 10,470 | 10,015 | 9,177 | 9,374 | 9,844 | 10,003 | 9,692 | 9,091 | 9,052 | 8,912 | 8,597 | 8,812 | 8,291 | 8,798 | 8,332 | 7,708 | 8,490 | 8,851 | 8,104 | 8,833 | 8,817 | 9,659 | 9,313 | 9,601 | 10,124 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: JP Morgan Emerging Local Markets Index Plus | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | JP Morgan Emerging Local Markets Index Plus $10,057 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,057 | 10,057 | $ 10,057 | 9,831 | 9,745 | 9,830 | 9,708 | 9,771 | 9,773 | 9,740 | 9,882 | 9,717 | 9,392 | 9,386 | 9,511 | 9,651 | 9,474 | 9,360 | 9,439 | 9,398 | 9,210 | 9,383 | 9,113 | 8,932 | 8,542 | 8,496 | 8,762 | 8,776 | 8,847 | 9,074 | 8,992 | 9,271 | 9,643 | 9,826 | 9,813 | 9,679 | 9,938 | 9,907 | 10,088 | 10,014 | 10,065 | 10,189 | 10,027 | 9,866 | 10,009 | 10,068 | 10,126 | 9,921 | 9,596 | 9,556 | 9,654 | 9,593 | 9,422 | 9,348 | 9,213 | 9,110 | 9,609 | 9,824 | 9,954 | 9,730 | 9,792 | 9,596 | 9,488 | 9,801 | 9,800 | 9,546 | 9,609 | 9,602 | 9,672 | 9,719 | 9,462 | 9,399 | 9,243 | 9,350 | 9,249 | 9,537 | 9,455 | 9,612 | 9,846 | 10,035 | 9,965 | 10,071 | 9,788 | 9,700 | 9,543 | 9,597 | 9,657 | 9,561 | 9,408 | 9,404 | 9,261 | 9,230 | 9,085 | 8,937 | 8,776 | 8,733 | 9,031 | 9,103 | 9,021 | 9,002 | 8,968 | 8,747 | 9,017 | 8,938 | 8,426 | 8,378 | 8,475 | 8,571 | 8,690 | 8,487 | 8,541 | 8,836 | 9,063 | 9,105 | 9,233 | 8,953 | 9,007 | 8,920 | 9,174 | 9,426 | 9,652 | 9,698 | 10,000 | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,765 | 11,765 | $ 11,765 | 11,599 | 11,334 | 11,228 | 11,041 | 11,327 | 11,223 | 11,384 | 11,415 | 10,994 | 10,518 | 10,687 | 10,965 | 11,036 | 11,043 | 11,083 | 11,205 | 11,138 | 10,862 | 11,150 | 10,817 | 10,866 | 10,481 | 10,618 | 11,098 | 11,420 | 11,148 | 11,326 | 11,253 | 11,697 | 12,031 | 12,167 | 12,435 | 12,467 | 12,430 | 12,433 | 12,542 | 12,566 | 12,427 | 12,340 | 12,300 | 12,204 | 12,358 | 12,539 | 12,630 | 12,612 | 12,490 | 12,546 | 12,553 | 12,655 | 12,469 | 12,390 | 12,333 | 12,118 | 12,189 | 11,974 | 11,748 | 11,756 | 11,762 | 11,727 | 11,789 | 11,492 | 11,466 | 11,324 | 11,127 | 11,124 | 10,914 | 10,921 | 10,806 | 10,611 | 10,548 | 10,632 | 10,701 | 10,633 | 10,630 | 10,643 | 10,568 | 10,647 | 10,579 | 10,680 | 10,805 | 10,755 | 10,769 | 10,763 | 10,814 | 10,718 | 10,672 | 10,683 | 10,601 | 10,520 | 10,526 | 10,456 | 10,435 | 10,420 | 10,673 | 10,755 | 10,761 | 10,774 | 10,706 | 10,517 | 10,514 | 10,474 | 10,379 | 10,306 | 10,166 | 10,199 | 10,226 | 10,224 | 10,156 | 10,170 | 10,100 | 10,211 | 10,236 | 10,273 | 10,225 | 10,322 | 10,110 | 10,101 | 10,030 | 9,932 | 10,000 | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,765 | 11,765 | $ 11,765 | 11,599 | 11,334 | 11,228 | 11,041 | 11,327 | 11,223 | 11,384 | 11,415 | 10,994 | 10,518 | 10,687 | 10,965 | 11,036 | 11,043 | 11,083 | 11,205 | 11,138 | 10,862 | 11,150 | 10,817 | 10,866 | 10,481 | 10,618 | 11,098 | 11,420 | 11,148 | 11,326 | 11,253 | 11,697 | 12,031 | 12,167 | 12,435 | 12,467 | 12,430 | 12,433 | 12,542 | 12,566 | 12,427 | 12,340 | 12,300 | 12,204 | 12,358 | 12,539 | 12,630 | 12,612 | 12,490 | 12,546 | 12,553 | 12,655 | 12,469 | 12,390 | 12,333 | 12,118 | 12,189 | 11,974 | 11,748 | 11,756 | 11,762 | 11,727 | 11,789 | 11,492 | 11,466 | 11,324 | 11,127 | 11,124 | 10,914 | 10,921 | 10,806 | 10,611 | 10,548 | 10,632 | 10,701 | 10,633 | 10,630 | 10,643 | 10,568 | 10,647 | 10,579 | 10,680 | 10,805 | 10,755 | 10,769 | 10,763 | 10,814 | 10,718 | 10,672 | 10,683 | 10,601 | 10,520 | 10,526 | 10,456 | 10,435 | 10,420 | 10,673 | 10,755 | 10,761 | 10,774 | 10,706 | 10,517 | 10,514 | 10,474 | 10,379 | 10,306 | 10,166 | 10,199 | 10,226 | 10,224 | 10,156 | 10,170 | 10,100 | 10,211 | 10,236 | 10,273 | 10,225 | 10,322 | 10,110 | 10,101 | 10,030 | 9,932 | 10,000 | ||||||||||||
WisdomTree Index: S&P GSC Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | S&P GSCI Index $17,892 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 17,892 | 17,892 | $ 17,892 | 18,206 | 18,871 | 18,605 | 18,966 | 18,748 | 17,902 | 17,747 | 16,988 | 17,570 | 18,234 | 19,031 | 18,278 | 18,170 | 16,408 | 15,718 | 16,741 | 16,869 | 17,052 | 17,730 | 17,746 | 17,994 | 18,306 | 17,156 | 18,607 | 19,119 | 19,128 | 20,711 | 19,711 | 18,751 | 17,104 | 15,724 | 14,085 | 13,091 | 14,680 | 13,876 | 13,086 | 13,395 | 13,187 | 12,644 | 12,333 | 11,395 | 11,646 | 10,532 | 10,036 | 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,765 | 11,765 | $ 11,765 | 11,599 | 11,334 | 11,228 | 11,041 | 11,327 | 11,223 | 11,384 | 11,415 | 10,994 | 10,518 | 10,687 | 10,965 | 11,036 | 11,043 | 11,083 | 11,205 | 11,138 | 10,862 | 11,150 | 10,817 | 10,866 | 10,481 | 10,618 | 11,098 | 11,420 | 11,148 | 11,326 | 11,253 | 11,697 | 12,031 | 12,167 | 12,435 | 12,467 | 12,430 | 12,433 | 12,542 | 12,566 | 12,427 | 12,340 | 12,300 | 12,204 | 12,358 | 12,539 | 12,630 | 12,612 | 12,490 | 12,546 | 12,553 | 12,655 | 12,469 | 12,390 | 12,333 | 12,118 | 12,189 | 11,974 | 11,748 | 11,756 | 11,762 | 11,727 | 11,789 | 11,492 | 11,466 | 11,324 | 11,127 | 11,124 | 10,914 | 10,921 | 10,806 | 10,611 | 10,548 | 10,632 | 10,701 | 10,633 | 10,630 | 10,643 | 10,568 | 10,647 | 10,579 | 10,680 | 10,805 | 10,755 | 10,769 | 10,763 | 10,814 | 10,718 | 10,672 | 10,683 | 10,601 | 10,520 | 10,526 | 10,456 | 10,435 | 10,420 | 10,673 | 10,755 | 10,761 | 10,774 | 10,706 | 10,517 | 10,514 | 10,474 | 10,379 | 10,306 | 10,166 | 10,199 | 10,226 | 10,224 | 10,156 | 10,170 | 10,100 | 10,211 | 10,236 | 10,273 | 10,225 | 10,322 | 10,110 | 10,101 | 10,030 | 9,932 | 10,000 | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,765 | 11,765 | $ 11,765 | 11,599 | 11,334 | 11,228 | 11,041 | 11,327 | 11,223 | 11,384 | 11,415 | 10,994 | 10,518 | 10,687 | 10,965 | 11,036 | 11,043 | 11,083 | 11,205 | 11,138 | 10,862 | 11,150 | 10,817 | 10,866 | 10,481 | 10,618 | 11,098 | 11,420 | 11,148 | 11,326 | 11,253 | 11,697 | 12,031 | 12,167 | 12,435 | 12,467 | 12,430 | 12,433 | 12,542 | 12,566 | 12,427 | 12,340 | 12,300 | 12,204 | 12,358 | 12,539 | 12,630 | 12,612 | 12,490 | 12,546 | 12,553 | 12,655 | 12,469 | 12,390 | 12,333 | 12,118 | 12,189 | 11,974 | 11,748 | 11,756 | 11,762 | 11,727 | 11,789 | 11,492 | 11,466 | 11,324 | 11,127 | 11,124 | 10,914 | 10,921 | 10,806 | 10,611 | 10,548 | 10,632 | 10,701 | 10,633 | 10,630 | 10,643 | 10,568 | 10,647 | 10,579 | 10,680 | 10,805 | 10,755 | 10,769 | 10,763 | 10,814 | 10,718 | 10,672 | 10,683 | 10,601 | 10,520 | 10,526 | 10,456 | 10,435 | 10,420 | 10,673 | 10,755 | 10,761 | 10,774 | 10,706 | 10,517 | 10,514 | 10,474 | 10,379 | 10,306 | 10,166 | 10,199 | 10,226 | 10,224 | 10,156 | 10,170 | 10,100 | 10,211 | 10,236 | 10,273 | 10,225 | 10,322 | 10,110 | 10,101 | 10,030 | 9,932 | 10,000 | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,765 | 11,765 | $ 11,765 | 11,599 | 11,334 | 11,228 | 11,041 | 11,327 | 11,223 | 11,384 | 11,415 | 10,994 | 10,518 | 10,687 | 10,965 | 11,036 | 11,043 | 11,083 | 11,205 | 11,138 | 10,862 | 11,150 | 10,817 | 10,866 | 10,481 | 10,618 | 11,068 | 11,420 | 11,148 | 11,326 | 11,253 | 11,697 | 12,031 | 12,167 | 12,435 | 12,467 | 12,430 | 12,433 | 12,542 | 12,566 | 12,427 | 12,340 | 12,300 | 12,204 | 12,358 | 12,539 | 12,630 | 12,612 | 12,490 | 12,546 | 12,553 | 12,655 | 12,469 | 12,390 | 12,333 | 12,118 | 12,189 | 11,974 | 11,748 | 11,756 | 11,762 | 11,727 | 11,789 | 11,492 | 11,466 | 11,324 | 11,127 | 11,124 | 10,914 | 10,921 | 10,806 | 10,611 | 10,548 | 10,632 | 10,701 | 10,633 | 10,630 | 10,643 | 10,568 | 10,647 | 10,579 | 10,680 | 10,805 | 10,755 | 10,769 | 10,763 | 10,814 | 10,718 | 10,672 | 10,683 | 10,601 | 10,520 | 10,526 | 10,456 | 10,435 | 10,420 | 10,673 | 10,755 | 10,761 | 10,774 | 10,706 | 10,517 | 10,514 | 10,474 | 10,379 | 10,306 | 10,166 | 10,199 | 10,226 | 10,224 | 10,156 | 10,170 | 10,100 | 10,211 | 10,236 | 10,273 | 10,225 | 10,322 | 10,110 | 10,101 | 10,030 | 9,932 | 10,000 | ||||||||||||
WisdomTree Index: ICE BofA US 3-Month Treasury Bill Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ICE BofA US 3-Month Treasury Bill Index $11,726 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,726 | 11,726 | $ 11,726 | 11,670 | 11,618 | 11,571 | 11,516 | 11,467 | 11,416 | 11,369 | 11,321 | 11,268 | 11,218 | 11,168 | 11,117 | 11,067 | 11,023 | 10,973 | 10,930 | 10,896 | 10,849 | 10,814 | 10,780 | 10,741 | 10,707 | 10,690 | 10,663 | 10,646 | 10,641 | 10,638 | 10,631 | 10,629 | 10,626 | 10,625 | 10,625 | 10,625 | 10,624 | 10,624 | 10,624 | 10,623 | 10,623 | 10,623 | 10,623 | 10,623 | 10,622 | 10,621 | 10,620 | 10,619 | 10,618 | 10,617 | 10,616 | 10,615 | 10,613 | 10,611 | 10,611 | 10,610 | 10,579 | 10,564 | 10,550 | 10,535 | 10,522 | 10,501 | 10,483 | 10,462 | 10,443 | 10,420 | 10,396 | 10,376 | 10,353 | 10,335 | 10,314 | 10,296 | 10,274 | 10,257 | 10,241 | 10,223 | 10,207 | 10,189 | 10,174 | 10,161 | 10,146 | 10,137 | 10,125 | 10,113 | 10,105 | 10,096 | 10,087 | 10,078 | 10,069 | 10,061 | 10,056 | 10,049 | 10,047 | 10,043 | 10,039 | 10,035 | 10,033 | 10,030 | 10,025 | 10,024 | 10,021 | 10,017 | 10,016 | 10,013 | 10,009 | 10,006 | 10,006 | 10,003 | 10,002 | 10,003 | 10,003 | 10,001 | 10,002 | 10,001 | 10,001 | 10,001 | 10,001 | 10,001 | 10,001 | 10,001 | 10,001 | 10,000 | 10,000 | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,045 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,045 | 10,045 | $ 10,045 | 9,903 | 9,677 | 9,586 | 9,426 | 9,671 | 9,582 | 9,720 | 9,746 | 9,387 | 8,980 | 9,124 | 9,362 | 9,422 | 9,429 | 9,463 | 9,567 | 9,509 | 9,274 | 9,520 | 9,236 | 9,277 | 8,948 | 9,066 | 9,475 | 9,751 | 9,518 | 9,670 | 9,608 | 9,987 | 10,272 | 10,388 | 10,617 | 10,644 | 10,613 | 10,616 | 10,708 | 10,729 | 10,610 | 10,536 | 10,502 | 10,420 | 10,551 | 10,706 | 10,783 | 10,768 | 10,664 | 10,712 | 10,717 | 10,805 | 10,646 | 10,579 | 10,530 | 10,346 | 10,407 | 10,223 | 10,030 | 10,037 | 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $34,092" id="sjs-D143">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $34,092 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 34,092 | 34,092 | $ 34,092 | 33,285 | 32,885 | 31,746 | 30,246 | 31,534 | 30,551 | 29,002 | 28,523 | 27,284 | 25,000 | 25,537 | 26,816 | 27,250 | 26,402 | 24,765 | 24,658 | 24,279 | 23,419 | 24,005 | 22,586 | 23,967 | 22,698 | 20,998 | 23,128 | 24,111 | 22,076 | 24,062 | 24,018 | 26,313 | 25,371 | 26,154 | 27,581 | 26,398 | 26,582 | 24,842 | 26,053 | 25,285 | 24,698 | 24,134 | 23,967 | 22,753 | 21,798 | 21,213 | 21,429 | 20,636 | 18,600 | 19,108 | 19,863 | 18,531 | 17,542 | 17,200 | 16,418 | 14,552 | 16,603 | 18,092 | 18,099 | 17,569 | 16,954 | 16,594 | 16,290 | 16,552 | 16,317 | 15,243 | 16,277 | 15,644 | 15,346 | 14,868 | 13,765 | 15,131 | 14,829 | 15,917 | 15,827 | 15,328 | 14,778 | 14,687 | 14,342 | 14,287 | 14,660 | 15,221 | 14,396 | 14,238 | 13,814 | 13,499 | 13,227 | 13,186 | 12,921 | 12,840 | 12,662 | 12,533 | 12,519 | 12,041 | 11,817 | 11,588 | 11,174 | 11,381 | 11,379 | 11,363 | 10,959 | 10,931 | 10,738 | 10,697 | 10,017 | 10,000 | |||||||||||||||||||||||||||||
WisdomTree Index: MSCI All Country World Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | MSCI AC World Index $12,336 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 12,336 | 12,336 | $ 12,336 | 12,031 | 11,840 | 11,582 | 11,130 | 11,510 | 11,159 | 10,700 | 10,638 | 10,150 | 9,292 | 9,581 | 9,994 | 10,281 | 9,918 | 9,374 | 9,475 | 9,341 | 9,062 | 9,329 | 8,705 | 9,062 | 8,409 | 7,931 | 8,770 | 9,106 | 8,511 | 9,295 | 9,284 | 10,092 | 9,878 | 10,140 | 10,663 | 10,253 | 10,506 | 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,628 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,628 | 10,628 | $ 10,628 | 10,478 | 10,238 | 10,142 | 9,973 | 10,232 | 10,138 | 10,283 | 10,312 | 9,932 | 9,501 | 9,654 | 9,905 | 9,969 | 9,976 | 10,012 | 10,122 | 10,061 | 9,812 | 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,627 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,627 | 11,627 | $ 11,627 | 11,462 | 11,201 | 11,096 | 10,911 | 11,194 | 11,091 | 11,250 | 11,281 | 10,865 | 10,394 | 10,561 | 10,836 | 10,906 | 10,914 | 10,953 | 11,073 | 11,007 | 10,734 | 11,019 | 10,690 | 10,738 | 10,358 | 10,493 | 10,967 | 11,286 | 11,017 | 11,193 | 11,121 | 11,560 | 11,890 | 12,024 | 12,289 | 12,320 | 12,284 | 12,287 | 12,395 | 12,418 | 12,281 | 12,195 | 12,156 | 12,060 | 12,213 | 12,392 | 12,481 | 12,464 | 12,343 | 12,398 | 12,405 | 12,506 | 12,322 | 12,245 | 12,188 | 11,975 | 12,046 | 11,833 | 11,610 | 11,618 | 11,624 | 11,589 | 11,651 | 11,357 | 11,332 | 11,191 | 10,996 | 10,993 | 10,786 | 10,792 | 10,679 | 10,486 | 10,424 | 10,507 | 10,575 | 10,508 | 10,505 | 10,518 | 10,443 | 10,522 | 10,455 | 10,555 | 10,678 | 10,629 | 10,643 | 10,636 | 10,687 | 10,592 | 10,547 | 10,558 | 10,477 | 10,397 | 10,402 | 10,333 | 10,312 | 10,298 | 10,547 | 10,629 | 10,635 | 10,647 | 10,580 | 10,393 | 10,391 | 10,351 | 10,257 | 10,185 | 10,046 | 10,079 | 10,106 | 10,104 | 10,036 | 10,051 | 10,000 | ||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,045 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 11,045 | 11,045 | $ 11,045 | 10,888 | 10,640 | 10,540 | 10,364 | 10,633 | 10,536 | 10,687 | 10,716 | 10,321 | 9,874 | 10,032 | 10,294 | 10,360 | 10,367 | 10,404 | 10,519 | 10,455 | 10,196 | 10,467 | 10,155 | 10,201 | 9,839 | 9,968 | 10,418 | 10,721 | 10,465 | 10,632 | 10,564 | 10,981 | 11,295 | 11,422 | 11,673 | 11,703 | 11,669 | 11,672 | 11,774 | 11,796 | 11,666 | 11,585 | 11,547 | 11,456 | 11,601 | 11,771 | 11,856 | 11,840 | 11,725 | 11,777 | 11,784 | 11,880 | 11,705 | 11,632 | 11,578 | 11,376 | 11,443 | 11,241 | 11,028 | 11,036 | 11,042 | 11,009 | 11,068 | 10,788 | 10,764 | 10,631 | 10,445 | 10,443 | 10,246 | 10,252 | 10,144 | 9,961 | 9,902 | 9,981 | 10,046 | 9,981 | 9,979 | 9,991 | 9,921 | 9,995 | 9,931 | 10,026 | 10,143 | 10,097 | 10,110 | 10,104 | 10,152 | 10,062 | 10,019 | 10,029 | 10,000 | ||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Treasury 1-3 Year Laddered Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S Treasury 1-3 Year Laddered Index $10,319 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 10,319 | 10,319 | 10,319 | 10,227 | 10,108 | 10,049 | 9,979 | 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Treasury 7-10 Year Laddered Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Treasury 7-10 Year Laddered Index $10,437 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 10,437 | $ 10,437 | 10,437 | 10,294 | 10,004 | 9,879 | 9,703 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bianco Research Fixed Income Total Return Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bianco Research Fixed Income Total Return Index $10,435 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,435 | $ 10,435 | $ 10,435 | 10,304 | 10,075 | 9,976 | 9,819 | 10,010 | 9,925 | 10,041 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: ICE BofA Merrill Lynch U.S. High Yield Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ICE BofA Merrill Lynch U.S. High Yield Index $11,042 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,042 | 11,042 | $ 11,042 | 10,870 | 10,657 | 10,559 | 10,440 | 10,542 | 10,422 | 10,391 | 10,387 | 10,019 | 9,584 | 9,702 | 9,818 | 9,790 | 9,652 | 9,498 | 9,586 | 9,497 | 9,392 | 9,515 | 9,156 | 9,226 | 9,057 | 8,806 | 9,175 | 9,400 | 8,866 | 9,514 | 9,490 | 9,848 | 9,940 | 10,030 | 10,314 | 10,123 | 10,228 | 10,246 | 10,243 | 10,187 | 10,151 | 10,014 | 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $14,271" id="sjs-D179">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $14,271 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 14,271 | 14,271 | $ 14,271 | 13,933 | 13,765 | 13,289 | 12,661 | 13,200 | 12,789 | 12,140 | 11,940 | 11,421 | 10,465 | 10,690 | 11,225 | 11,407 | 11,052 | 10,367 | 10,322 | 10,163 | 9,803 | 10,048 | 9,454 | 10,032 | 9,501 | 8,790 | 9,681 | 10,093 | 9,241 | 10,072 | 10,054 | 11,014 | 10,620 | 10,948 | 11,545 | 11,050 | 11,127 | 10,399 | 10,906 | 10,584 | 10,338 | 10,103 | 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Gapstow Liquid Alternative Credit Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Gapstow Liquid Alternative Credit Index $10,943 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,943 | 10,943 | $ 10,943 | 10,895 | 10,375 | 10,254 | 9,946 | 10,229 | 9,869 | 9,897 | 9,975 | 9,527 | 8,700 | 9,257 | 9,522 | 9,636 | 9,142 | 8,429 | 8,598 | 8,426 | 9,002 | 9,313 | 8,152 | 8,767 | 8,260 | 7,438 | 9,003 | 9,563 | 8,508 | 9,334 | 9,285 | 9,991 | 9,779 | 10,302 | 10,298 | 10,075 | 10,550 | 10,207 | 10,348 | 10,152 | 10,286 | 10,084 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg Dollar Spot Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg Dollar Spot Index $11,989 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,989 | 11,989 | $ 11,989 | 12,179 | 12,332 | 12,156 | 12,296 | 12,097 | 12,082 | 12,026 | 11,782 | 12,034 | 12,398 | 12,297 | 12,046 | 11,832 | 11,977 | 12,105 | 11,917 | 11,950 | 12,188 | 11,882 | 12,109 | 12,335 | 12,961 | 12,992 | 12,585 | 12,310 | 12,241 | 11,917 | 12,093 | 11,576 | 11,467 | 11,495 | 11,399 | 11,488 | 11,273 | 11,318 | 11,139 | 11,079 | 11,094 | 10,846 | 11,007 | 11,192 | 11,028 | 10,975 | 10,882 | 11,121 | 11,389 | 11,436 | 11,279 | 11,453 | 11,849 | 11,929 | 12,069 | 12,113 | 11,749 | 11,617 | 11,509 | 11,744 | 11,616 | 11,839 | 11,818 | 11,742 | 11,529 | 11,717 | 11,653 | 11,641 | 11,558 | 11,470 | 11,617 | 11,738 | 11,758 | 11,493 | 11,486 | 11,410 | 11,474 | 11,371 | 11,139 | 10,926 | 11,030 | 10,876 | 11,262 | 11,302 | 11,470 | 11,272 | 11,199 | 11,204 | 11,499 | 11,644 | 11,818 | 11,880 | 12,039 | 11,990 | 12,311 | 12,196 | 11,737 | 11,489 | 11,539 | 11,470 | 11,515 | 11,679 | 11,262 | 11,484 | 11,944 | 12,162 | 11,973 | 12,024 | 11,752 | 11,791 | 11,723 | 11,738 | 11,470 | 11,578 | 11,319 | 11,663 | 11,388 | 11,344 | 10,987 | 10,752 | 10,499 | 10,403 | 10,000 | ||||||||||||
WisdomTree Index: NYSE ARCA Gold Miners Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | NYSE ARCA Gold Miners Index $14,015 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 14,015 | 14,015 | $ 14,015 | 13,675 | 12,329 | 12,799 | 12,072 | 11,375 | 9,501 | 10,115 | 11,217 | 11,086 | 9,953 | 9,555 | 10,392 | 11,074 | 10,593 | 10,861 | 11,868 | 11,451 | 9,638 | 11,238 | 10,089 | 9,971 | 8,372 | 8,295 | 8,250 | 9,034 | 9,473 | 10,983 | 12,109 | 13,188 | 11,830 | 10,355 | 10,977 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Equal-Weighted Emerging Currency Composite | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Equal-Weighted Emerging Currency Composite $9,882 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 9,882 | 9,882 | $ 9,882 | 9,650 | 9,530 | 9,623 | 9,497 | 9,530 | 9,484 | 9,488 | 9,646 | 9,448 | 9,175 | 9,156 | 9,257 | 9,432 | 9,213 | 9,047 | 9,133 | 9,105 | 8,865 | 9,076 | 8,782 | 8,611 | 8,245 | 8,204 | 8,473 | 8,473 | 8,540 | 8,878 | 8,769 | 9,061 | 9,367 | 9,522 | 9,428 | 9,341 | 9,692 | 9,674 | 9,904 | 9,807 | 9,895 | 9,993 | 9,835 | 9,706 | 9,832 | 9,893 | 9,994 | 9,708 | 9,329 | 9,303 | 9,412 | 9,387 | 9,234 | 9,168 | 8,963 | 8,852 | 9,461 | 9,722 | 9,920 | 9,634 | 9,751 | 9,558 | 9,471 | 9,790 | 9,763 | 9,492 | 9,547 | 9,540 | 9,646 | 9,703 | 9,365 | 9,361 | 9,149 | 9,267 | 9,102 | 9,507 | 9,419 | 9,591 | 9,823 | 10,011 | 9,969 | 10,049 | 9,761 | 9,592 | 9,441 | 9,536 | 9,599 | 9,477 | 9,324 | 9,342 | 9,219 | 9,184 | 9,069 | 8,928 | 8,781 | 8,688 | 9,030 | 9,059 | 8,952 | 8,930 | 8,911 | 8,616 | 8,942 | 8,831 | 8,283 | 8,216 | 8,302 | 8,391 | 8,532 | 8,288 | 8,388 | 8,732 | 9,009 | 9,068 | 9,214 | 8,934 | 9,044 | 8,978 | 9,167 | 9,434 | 9,675 | 9,655 | 10,000 | ||||||||||||
WisdomTree Index: JP Morgan CEMBI Diversified Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | JP Morgan CEMBI Diversified Index $14,272 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 14,272 | 14,272 | $ 14,272 | 14,033 | 13,824 | 13,701 | 13,499 | 13,628 | 13,501 | 13,412 | 13,334 | 12,936 | 12,471 | 12,634 | 12,743 | 12,807 | 12,688 | 12,553 | 12,639 | 12,526 | 12,429 | 12,655 | 12,287 | 12,098 | 11,468 | 11,712 | 12,211 | 12,188 | 12,031 | 12,446 | 12,523 | 12,802 | 13,177 | 13,869 | 14,109 | 14,050 | 14,140 | 14,205 | 14,310 | 14,224 | 14,196 | 14,088 | 14,001 | 13,901 | 13,991 | 14,024 | 14,041 | 13,862 | 13,502 | 13,463 | 13,535 | 13,414 | 13,118 | 12,778 | 12,310 | 11,769 | 13,265 | 13,270 | 13,080 | 12,962 | 12,917 | 12,811 | 12,740 | 12,698 | 12,571 | 12,296 | 12,235 | 12,134 | 11,979 | 11,844 | 11,519 | 11,426 | 11,450 | 11,525 | 11,418 | 11,534 | 11,362 | 11,404 | 11,489 | 11,573 | 11,604 | 11,726 | 11,720 | 11,693 | 11,691 | 11,638 | 11,602 | 11,481 | 11,378 | 11,359 | 11,304 | 11,193 | 11,156 | 10,993 | 10,851 | 10,767 | 10,982 | 10,979 | 10,965 | 10,812 | 10,638 | 10,426 | 10,402 | 10,215 | 9,873 | 9,781 | 9,797 | 9,937 | 9,993 | 9,717 | 9,891 | 10,066 | 10,074 | 10,184 | 10,117 | 9,920 | 9,845 | 9,702 | 9,683 | 9,934 | 9,994 | 9,901 | 10,000 | ||||||||||||
WisdomTree Index: JP Morgan GBI-EM Global Diversified Unhedged Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | JP Morgan GBI-EM Global Diversified Unhedged Index $9,715 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 9,715 | 9,715 | $ 9,715 | 9,426 | 9,216 | 9,317 | 9,169 | 9,369 | 9,372 | 9,426 | 9,572 | 9,274 | 8,810 | 8,857 | 9,165 | 9,418 | 9,155 | 8,866 | 9,008 | 8,931 | 8,577 | 8,858 | 8,493 | 8,313 | 7,762 | 7,831 | 8,232 | 8,243 | 8,219 | 8,602 | 8,453 | 8,995 | 9,135 | 9,616 | 9,617 | 9,469 | 9,736 | 9,867 | 10,217 | 10,139 | 10,183 | 10,308 | 10,057 | 9,835 | 10,146 | 10,426 | 10,539 | 10,184 | 9,654 | 9,614 | 9,811 | 9,844 | 9,555 | 9,510 | 9,042 | 8,701 | 9,785 | 10,130 | 10,262 | 9,855 | 10,037 | 9,755 | 9,662 | 9,924 | 9,832 | 9,319 | 9,292 | 9,308 | 9,433 | 9,537 | 9,044 | 8,927 | 8,683 | 8,857 | 8,633 | 9,193 | 9,022 | 9,287 | 9,773 | 10,071 | 9,969 | 10,075 | 9,643 | 9,452 | 9,295 | 9,565 | 9,597 | 9,428 | 9,237 | 9,194 | 9,018 | 8,914 | 8,712 | 8,558 | 8,369 | 8,216 | 8,837 | 8,912 | 8,736 | 8,732 | 8,680 | 8,197 | 8,669 | 8,451 | 7,749 | 7,639 | 7,613 | 7,786 | 7,958 | 7,614 | 7,846 | 8,293 | 8,511 | 8,616 | 8,844 | 8,593 | 8,857 | 8,977 | 8,947 | 9,511 | 9,637 | 9,489 | 10,000 | ||||||||||||
WisdomTree Index: Bloomberg Commodity Index Total Return | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg Commodity Index Total Return $13,848 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 13,848 | 13,848 | $ 13,848 | 13,842 | 14,424 | 14,649 | 14,396 | 14,019 | 13,570 | 13,773 | 13,718 | 14,097 | 14,422 | 14,384 | 14,485 | 14,596 | 13,737 | 13,204 | 13,992 | 14,098 | 14,127 | 14,824 | 14,897 | 15,271 | 14,864 | 14,574 | 15,860 | 15,846 | 15,198 | 17,033 | 16,777 | 16,110 | 14,828 | 13,958 | 12,832 | 12,395 | 13,373 | 13,036 | 12,418 | 12,455 | 12,230 | 12,008 | 11,689 | 10,794 | 11,031 | 10,360 | 10,095 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Treasury Floating Rate Bond Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Treasury Floating Rate Bond Index $11,990 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,990 | 11,990 | $ 11,990 | 11,946 | 11,897 | 11,847 | 11,792 | 11,728 | 11,673 | 11,616 | 11,555 | 11,513 | 11,467 | 11,408 | 11,356 | 11,308 | 11,250 | 11,201 | 11,151 | 11,092 | 11,053 | 11,008 | 10,959 | 10,917 | 10,883 | 10,852 | 10,820 | 10,802 | 10,787 | 10,777 | 10,777 | 10,758 | 10,753 | 10,747 | 10,737 | 10,735 | 10,734 | 10,734 | 10,734 | 10,732 | 10,731 | 10,730 | 10,730 | 10,729 | 10,726 | 10,725 | 10,721 | 10,721 | 10,719 | 10,718 | 10,716 | 10,715 | 10,709 | 10,705 | 10,702 | 10,690 | 10,682 | 10,670 | 10,642 | 10,626 | 10,604 | 10,583 | 10,565 | 10,550 | 10,529 | 10,519 | 10,496 | 10,466 | 10,450 | 10,431 | 10,406 | 10,396 | 10,374 | 10,352 | 10,335 | 10,317 | 10,298 | 10,282 | 10,266 | 10,247 | 10,235 | 10,224 | 10,205 | 10,193 | 10,181 | 10,166 | 10,159 | 10,150 | 10,136 | 10,131 | 10,118 | 10,106 | 10,096 | 10,088 | 10,081 | 10,074 | 10,065 | 10,058 | 10,054 | 10,048 | 10,041 | 10,037 | 10,033 | 10,024 | 10,016 | 10,011 | 10,004 | 10,005 | 10,005 | 10,004 | 10,008 | 10,008 | 10,008 | 10,006 | 10,004 | 10,003 | 10,002 | 10,000 | 9,999 | 10,000 | 10,001 | 10,002 | 10,000 | ||||||||||||
WisdomTree Index: ICE BofA Merrill Lynch U.S. High Yield Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ICE BofA Merrill Lynch U.S. High Yield Index $15,620 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 15,620 | 15,620 | $ 15,620 | 15,376 | 15,075 | 14,936 | 14,768 | 14,912 | 14,742 | 14,698 | 14,693 | 14,173 | 13,556 | 13,724 | 13,888 | 13,848 | 13,654 | 13,435 | 13,559 | 13,434 | 13,285 | 13,459 | 12,952 | 13,051 | 12,811 | 12,456 | 12,978 | 13,297 | 12,541 | 13,457 | 13,424 | 13,931 | 14,061 | 14,188 | 14,589 | 14,320 | 14,468 | 14,494 | 14,489 | 14,410 | 14,359 | 14,166 | 14,125 | 13,972 | 13,948 | 13,899 | 13,846 | 13,587 | 13,064 | 13,004 | 13,140 | 13,012 | 12,419 | 12,299 | 11,761 | 11,331 | 12,841 | 13,043 | 13,042 | 12,775 | 12,740 | 12,711 | 12,671 | 12,621 | 12,557 | 12,257 | 12,414 | 12,243 | 12,124 | 11,923 | 11,399 | 11,655 | 11,762 | 11,957 | 11,888 | 11,803 | 11,672 | 11,632 | 11,634 | 11,557 | 11,629 | 11,738 | 11,664 | 11,630 | 11,661 | 11,616 | 11,513 | 11,516 | 11,384 | 11,372 | 11,272 | 11,145 | 11,169 | 10,997 | 10,851 | 10,642 | 10,684 | 10,651 | 10,583 | 10,352 | 10,097 | 9,989 | 9,917 | 9,536 | 9,132 | 9,090 | 9,236 | 9,481 | 9,698 | 9,441 | 9,693 | 9,866 | 9,927 | 10,081 | 10,051 | 9,932 | 9,985 | 9,753 | 9,686 | 9,831 | 9,902 | 9,790 | 10,000 | ||||||||||||
WisdomTree Index: ICE BofA Merrill Lynch 0-5 Year U.S. High Yield Constrained, Zero Duration Index/ WisdomTree U.S. High Yield C | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | <span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $15,728" id="sjs-D219">ICE BofA ML 0-5 Year U.S. HY Constrained, Zero Duration Index/WisdomTree U.S. HY Corporate Bond, Zero Duration Spliced Index<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;"><span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $15,728 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 15,728 | 15,728 | $ 15,728 | 15,549 | 15,457 | 15,372 | 15,354 | 15,280 | 15,068 | 14,877 | 14,858 | 14,533 | 14,096 | 14,203 | 14,211 | 14,157 | 13,867 | 13,373 | 13,420 | 13,342 | 13,550 | 13,488 | 13,139 | 13,215 | 13,202 | 12,646 | 12,843 | 12,890 | 12,242 | 13,114 | 13,072 | 13,370 | 13,106 | 13,168 | 13,411 | 13,060 | 13,269 | 13,224 | 13,157 | 13,043 | 13,107 | 12,911 | 12,907 | 12,809 | 12,689 | 12,567 | 12,489 | 12,271 | 11,806 | 11,729 | 11,902 | 11,785 | 11,211 | 11,165 | 10,765 | 10,470 | 12,068 | 12,326 | 12,376 | 12,153 | 12,134 | 12,144 | 12,083 | 12,169 | 12,101 | 11,956 | 12,135 | 12,018 | 12,004 | 11,825 | 11,426 | 11,759 | 11,875 | 12,015 | 11,896 | 11,853 | 11,710 | 11,651 | 11,641 | 11,510 | 11,543 | 11,558 | 11,395 | 11,346 | 11,347 | 11,292 | 11,170 | 11,187 | 11,107 | 11,070 | 10,996 | 10,912 | 10,915 | 10,774 | 10,660 | 10,461 | 10,373 | 10,292 | 10,214 | 9,998 | 9,800 | 9,769 | 9,638 | 9,298 | 8,958 | 8,969 | 9,214 | 9,420 | 9,575 | 9,389 | 9,615 | 9,780 | 9,895 | 9,969 | 9,931 | 9,828 | 9,891 | 9,657 | 9,731 | 9,833 | 9,889 | 9,881 | 10,000 | ||||||||||||
WisdomTree Index: Bloomberg Rate Hedged U.S. Aggregate Bond Index, Zero Duration | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg Rate Hedged U.S. Aggregate Bond Index, Zero Duration $12,564 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 12,564 | 12,564 | $ 12,564 | 12,493 | 12,456 | 12,429 | 12,348 | 12,284 | 12,187 | 12,098 | 12,058 | 11,937 | 11,775 | 11,760 | 11,747 | 11,718 | 11,637 | 11,488 | 11,418 | 11,368 | 11,414 | 11,359 | 11,242 | 11,177 | 11,035 | 11,015 | 11,061 | 11,034 | 10,970 | 11,032 | 11,009 | 11,094 | 11,039 | 11,101 | 11,137 | 11,108 | 11,154 | 11,135 | 11,115 | 11,113 | 11,131 | 11,101 | 11,105 | 11,093 | 11,076 | 11,081 | 11,077 | 11,043 | 10,961 | 10,922 | 10,932 | 10,924 | 10,852 | 10,787 | 10,717 | 10,566 | 10,910 | 10,960 | 10,976 | 10,922 | 10,881 | 10,843 | 10,803 | 10,829 | 10,766 | 10,710 | 10,737 | 10,693 | 10,661 | 10,622 | 10,543 | 10,563 | 10,583 | 10,618 | 10,570 | 10,571 | 10,508 | 10,503 | 10,510 | 10,478 | 10,490 | 10,506 | 10,465 | 10,424 | 10,404 | 10,370 | 10,316 | 10,314 | 10,287 | 10,257 | 10,228 | 10,215 | 10,210 | 10,179 | 10,175 | 10,138 | 10,128 | 10,109 | 10,106 | 10,069 | 10,029 | 10,042 | 10,025 | 9,971 | 9,889 | 9,887 | 9,965 | 9,971 | 9,949 | 9,902 | 9,925 | 9,948 | 9,949 | 9,975 | 9,984 | 9,976 | 9,991 | 9,942 | 9,998 | 9,982 | 9,987 | 9,993 | 10,000 | ||||||||||||
WisdomTree Index: 60% S&P 500® Index / 40% Bloomberg U.S. Aggregate Index Composite | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index / 40% Bloomberg U.S. Aggregate Index Composite $22,400" id="sjs-D227">60% S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index / 40% Bloomberg U.S. Aggregate Index Composite $22,400 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 22,400 | 22,400 | $ 22,400 | 21,955 | 21,588 | 21,039 | 20,284 | 21,020 | 20,538 | 20,003 | 19,826 | 19,015 | 17,725 | 18,067 | 18,798 | 19,029 | 18,674 | 17,979 | 18,010 | 17,800 | 17,243 | 17,685 | 17,019 | 17,301 | 16,959 | 16,338 | 17,544 | 18,084 | 17,054 | 18,105 | 17,935 | 19,424 | 19,005 | 19,261 | 20,303 | 19,978 | 19,832 | 19,179 | 19,687 | 19,262 | 18,907 | 18,594 | 18,490 | 17,837 | 17,448 | 17,257 | 17,413 | 17,011 | 15,926 | 16,210 | 16,592 | 15,939 | 15,327 | 15,109 | 14,680 | 13,616 | 14,701 | 15,353 | 15,242 | 14,974 | 14,653 | 14,446 | 14,316 | 14,313 | 14,176 | 13,536 | 13,977 | 13,646 | 13,387 | 13,141 | 12,510 | 13,125 | 12,938 | 13,539 | 13,527 | 13,234 | 12,943 | 12,902 | 12,681 | 12,689 | 12,857 | 13,205 | 12,822 | 12,714 | 12,486 | 12,309 | 12,182 | 12,116 | 11,948 | 11,908 | 11,771 | 11,663 | 11,657 | 11,353 | 11,216 | 11,078 | 10,940 | 11,095 | 11,097 | 11,092 | 10,827 | 10,733 | 10,619 | 10,578 | 10,140 | 10,118 | 10,368 | 10,481 | 10,472 | 9,973 | 10,096 | 10,482 | 10,324 | 10,491 | 10,421 | 10,376 | 10,457 | 10,154 | 10,252 | 10,264 | 10,072 | 9,889 | 10,000 | ||||||||||||
WisdomTree Index: S&P GSCI Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | S&P GSCI Index $7,411 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 7,411 | 7,411 | $ 7,411 | 7,541 | 7,817 | 7,707 | 7,856 | 7,766 | 7,415 | 7,351 | 7,037 | 7,278 | 7,553 | 7,883 | 7,571 | 7,526 | 6,797 | 6,511 | 6,934 | 6,987 | 7,063 | 7,344 | 7,351 | 7,453 | 7,583 | 7,106 | 7,708 | 7,920 | 7,923 | 8,579 | 8,165 | 7,767 | 7,085 | 6,513 | 5,834 | 5,423 | 6,081 | 5,748 | 5,421 | 5,548 | 5,462 | 5,238 | 5,109 | 4,720 | 4,824 | 4,363 | 4,157 | 3,923 | 3,501 | 3,631 | 3,768 | 3,603 | 3,471 | 3,303 | 2,838 | 3,142 | 4,452 | 4,860 | 5,450 | 5,094 | 5,095 | 5,032 | 4,945 | 5,240 | 5,251 | 5,028 | 5,478 | 5,327 | 5,242 | 5,050 | 4,633 | 5,023 | 5,661 | 6,013 | 5,785 | 5,724 | 5,933 | 5,854 | 5,770 | 5,494 | 5,374 | 5,560 | 5,376 | 5,149 | 5,079 | 4,892 | 4,735 | 4,772 | 4,563 | 4,652 | 4,724 | 4,826 | 5,023 | 5,011 | 5,083 | 4,854 | 4,734 | 4,806 | 4,615 | 4,535 | 5,014 | 5,010 | 4,902 | 4,450 | 4,241 | 4,328 | 4,564 | 4,995 | 5,487 | 5,475 | 5,844 | 5,827 | $ 6,784 | $ 6,791 | $ 6,929 | $ 6,239 | $ 6,695 | $ 6,288 | $ 6,798 | $ 7,870 | $ 8,835 | $ 9,398 | $ 10,000 | ||||||||||||
WisdomTree Index: Bloomberg U.S. Securitized Mortgage Backed Securities/Asset Backed Securities/Commercial Mortgage Backed Secur | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Securitized MBS/ABS/CMBS Index $9,927 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 9,927 | 9,927 | $ 9,927 | 9,772 | 9,527 | 9,418 | 9,238 | 9,515 | 9,417 | 9,566 | 9,603 | 9,216 | 8,775 | 8,951 | 9,230 | 9,301 | 9,305 | 9,347 | 9,415 | 9,364 | 9,191 | 9,433 | 9,138 | 9,175 | 8,827 | 8,955 | 9,414 | 9,739 | 9,446 | 9,593 | 9,495 | 9,829 | 10,093 | 10,193 | 10,346 | 10,356 | 10,366 | 10,387 | 10,427 | 10,444 | 10,378 | 10,380 | 10,391 | 10,332 | 10,389 | 10,462 | 10,455 | 10,429 | 10,416 | 10,423 | 10,430 | 10,425 | 10,398 | 10,393 | 10,372 | 10,301 | 10,229 | 10,111 | 10,028 | 10,012 | $ 10,000 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Cboe S&P 500 PutWrite/Volos US Large Cap Target 2.5% PutWrite Spliced Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | <span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $19,748" id="sjs-D239">Cboe S&P 500 PutWrite/Volos US Large Cap Target 2.5% PutWrite Spliced Index<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;"><span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $19,748 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 19,748 | 19,748 | $ 19,748 | 19,693 | 19,506 | 19,052 | 18,315 | 18,846 | 18,389 | 17,781 | 17,453 | 17,004 | 16,274 | 16,500 | 17,016 | 17,208 | 16,825 | 16,329 | 16,096 | 15,811 | 15,503 | 15,527 | 14,906 | 15,223 | 14,811 | 14,200 | 15,091 | 15,765 | 15,238 | 15,732 | 16,017 | 16,716 | 16,077 | 16,045 | 16,434 | 15,849 | 16,067 | 15,364 | 15,558 | 15,246 | 15,083 | 14,757 | 14,446 | 14,303 | 13,719 | 13,527 | 13,494 | 13,200 | 12,125 | 12,493 | 12,361 | 12,116 | 11,639 | 11,519 | 11,028 | 10,480 | 12,104 | 13,069 | 13,213 | 13,090 | 12,944 | 12,649 | 12,537 | 12,758 | 12,578 | 12,005 | 12,472 | 12,278 | 12,131 | 11,963 | 11,640 | 12,593 | 12,385 | 13,118 | 13,091 | 12,891 | 12,564 | 12,544 | 12,300 | 12,053 | 12,217 | 12,486 | 12,374 | 12,323 | 12,162 | 12,092 | 12,000 | 12,002 | 11,881 | 11,815 | 11,684 | 11,574 | 11,516 | 11,382 | 11,164 | 11,113 | 10,855 | 10,833 | 10,800 | 10,716 | 10,580 | 10,400 | 10,282 | 10,231 | 10,029 | $ 10,000 | |||||||||||||||||||||||||||||
WisdomTree Index: TOPS® Global Target Range Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | TOPS Global Target Range Index $10,632 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,632 | 10,632 | $ 10,632 | 10,440 | 10,225 | 10,170 | 9,850 | 10,021 | 9,829 | 9,575 | 9,709 | 9,299 | 8,665 | 8,912 | 9,208 | 9,402 | 9,162 | 8,801 | 8,833 | 8,720 | 8,652 | 8,788 | 8,612 | 8,908 | 8,764 | 8,554 | 8,895 | 9,067 | 8,775 | 9,252 | 9,299 | 9,805 | 9,690 | 9,855 | 10,462 | 10,174 | 10,414 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Universal Enhanced Yield Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Universal Enhanced Yield Index $10,796 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 10,796 | 10,796 | $ 10,796 | 10,638 | 10,407 | 10,319 | 10,147 | 10,386 | 10,280 | 10,398 | 10,415 | 10,033 | 9,593 | 9,732 | 9,956 | 10,010 | 9,991 | 9,998 | 10,099 | 10,036 | 9,811 | $ 10,000 | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Enhanced Yield Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Enhanced Yield Index $11,950 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,950 | 11,950 | $ 11,950 | 11,779 | 11,522 | 11,430 | 11,232 | 11,511 | 11,394 | 11,540 | 11,552 | 11,123 | 10,619 | 10,771 | 11,016 | 11,070 | 11,053 | 11,071 | 11,185 | 11,112 | 10,849 | 11,141 | 10,772 | 10,816 | 10,396 | 10,541 | 11,074 | 11,422 | 11,092 | 11,320 | 11,239 | 11,803 | 12,171 | 12,353 | 12,682 | 12,707 | 12,675 | 12,665 | 12,796 | 12,827 | 12,659 | 12,530 | 12,477 | 12,353 | 12,550 | 12,766 | 12,861 | 12,824 | 12,664 | 12,740 | 12,736 | 12,851 | 12,630 | 12,522 | 12,417 | 12,076 | 12,589 | 12,398 | 12,134 | 12,114 | 12,104 | 12,051 | 12,116 | 11,773 | 11,724 | 11,517 | 11,324 | 11,287 | 11,031 | 11,019 | 10,829 | 10,650 | 10,621 | 10,756 | 10,809 | 10,745 | 10,693 | 10,732 | 10,669 | 10,772 | 10,726 | 10,869 | 10,990 | 10,913 | 10,925 | 10,899 | 10,937 | 10,837 | 10,764 | 10,761 | $ 10,653 | $ 10,544 | $ 10,548 | $ 10,449 | $ 10,414 | $ 10,384 | $ 10,677 | $ 10,764 | $ 10,777 | $ 10,768 | $ 10,658 | $ 10,431 | $ 10,426 | $ 10,347 | $ 10,175 | $ 10,094 | $ 9,997 | $ 10,063 | $ 10,092 | $ 10,060 | $ 10,001 | $ 10,042 | $ 10,000 | ||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Short Aggregate Composite Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Short Aggregate Composite Index $11,322 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | 11,322 | 11,322 | $ 11,322 | 11,206 | 11,036 | 10,961 | 10,856 | 10,949 | 10,894 | 10,968 | 10,930 | 10,749 | 10,556 | 10,555 | 10,607 | 10,586 | 10,546 | 10,613 | 10,664 | 10,612 | 10,423 | 10,558 | 10,422 | 10,418 | 10,268 | 10,292 | 10,496 | 10,649 | 10,540 | 10,629 | 10,552 | 10,673 | 10,882 | 10,947 | 11,062 | 11,078 | 11,085 | 11,139 | 11,169 | 11,177 | 11,133 | 11,156 | 11,129 | 11,101 | 11,128 | 11,164 | 11,163 | 11,141 | 11,118 | 11,123 | 11,125 | 11,119 | 11,080 | 11,042 | 10,986 | 10,890 | 10,872 | 10,757 | 10,662 | 10,640 | 10,646 | 10,608 | 10,625 | 10,505 | 10,514 | 10,436 | 10,337 | 10,317 | 10,221 | 10,208 | 10,150 | 10,044 | 10,005 | 10,002 | 10,025 | 9,978 | 9,978 | 9,980 | 9,933 | 9,961 | 9,934 | 9,958 | 10,014 | 10,010 | 10,040 | 10,044 | 10,071 | 10,034 | 9,998 | 10,011 | 10,000 | ||||||||||||||||||||||||||||||||||||||||||||
WisdomTree Index: Bloomberg U.S. Short Aggregate Enhanced Yield Index | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value [Line Items] | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Short Aggregate Enhanced Yield Index $11,352 | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
Account Value | $ 11,352 | $ 11,352 | $ 11,352 | $ 11,238 | $ 11,076 | $ 11,008 | $ 10,905 | $ 10,977 | $ 10,916 | $ 10,969 | $ 10,922 | $ 10,743 | $ 10,543 | $ 10,541 | $ 10,587 | $ 10,566 | $ 10,515 | $ 10,564 | $ 10,606 | $ 10,549 | $ 10,387 | $ 10,521 | $ 10,365 | $ 10,360 | $ 10,178 | $ 10,214 | $ 10,445 | $ 10,615 | $ 10,478 | $ 10,581 | $ 10,499 | $ 10,655 | $ 10,899 | $ 10,981 | $ 11,121 | $ 11,133 | $ 11,144 | $ 11,206 | $ 11,243 | $ 11,254 | $ 11,201 | $ 11,220 | $ 11,189 | $ 11,147 | $ 11,184 | $ 11,225 | $ 11,216 | $ 11,183 | $ 11,153 | $ 11,156 | $ 11,158 | $ 11,146 | $ 11,095 | $ 11,037 | $ 10,944 | $ 10,738 | $ 11,036 | $ 10,934 | $ 10,825 | $ 10,791 | $ 10,792 | $ 10,742 | $ 10,751 | $ 10,626 | $ 10,625 | $ 10,526 | $ 10,435 | $ 10,402 | $ 10,290 | $ 10,255 | $ 10,159 | $ 10,063 | $ 10,046 | $ 10,056 | $ 10,071 | $ 10,018 | $ 10,002 | $ 10,008 | $ 9,960 | $ 9,983 | $ 9,968 | $ 10,005 | $ 10,059 | $ 10,049 | $ 10,081 | $ 10,075 | $ 10,096 | $ 10,057 | $ 10,007 | $ 10,015 | $ 10,000 |
Shareholder Report, Average Ann
Shareholder Report, Average Annual Return (Details) | 6 Months Ended | 8 Months Ended | 12 Months Ended | 19 Months Ended | 29 Months Ended | 33 Months Ended | 35 Months Ended | 40 Months Ended | 44 Months Ended | 58 Months Ended | 60 Months Ended | 87 Months Ended | 102 Months Ended | 110 Months Ended | 120 Months Ended |
Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | Aug. 31, 2024 | |
C000248535 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree 1-3 Year Laddered Treasury Fund | ||||||||||||||
Average Annual Return, Percent | 3.18% | ||||||||||||||
C000248538 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 4.31% | ||||||||||||||
C000247881 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Bianco Total Return Fund | ||||||||||||||
Average Annual Return, Percent | 4.06% | ||||||||||||||
C000225934 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Alternative Income Fund | ||||||||||||||
Average Annual Return, Percent | 14.45% | 2.25% | |||||||||||||
C000133150 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Bloomberg U.S. Dollar Bullish Fund | ||||||||||||||
Average Annual Return, Percent | 5.72% | 2.41% | 3.29% | ||||||||||||
C000230569 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Efficient Gold Plus Equity Strategy Fund | ||||||||||||||
Average Annual Return, Percent | 48.95% | 18.02% | |||||||||||||
C000230570 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Efficient Gold Plus Gold Miners Strategy Fund | ||||||||||||||
Average Annual Return, Percent | 51.98% | 15.68% | |||||||||||||
C000060975 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Emerging Currency Strategy Fund | ||||||||||||||
Average Annual Return, Percent | 6.05% | 1.28% | (0.38%) | ||||||||||||
C000104506 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Emerging Markets Corporate Bond Fund | ||||||||||||||
Average Annual Return, Percent | 12.05% | 2.39% | 2.66% | ||||||||||||
C000088998 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Emerging Markets Local Debt Fund | ||||||||||||||
Average Annual Return, Percent | 4.38% | 0.44% | (0.38%) | ||||||||||||
C000221364 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Enhanced Commodity Strategy Fund | ||||||||||||||
Average Annual Return, Percent | 5.97% | 8.97% | |||||||||||||
C000136444 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Floating Rate Treasury Fund | ||||||||||||||
Average Annual Return, Percent | 5.39% | 2.38% | 1.67% | ||||||||||||
C000134342 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Interest Rate Hedged High Yield Bond Fund | ||||||||||||||
Average Annual Return, Percent | 10.20% | 4.39% | 3.89% | ||||||||||||
C000134336 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Interest Rate Hedged U.S. Aggregate Bond Fund | ||||||||||||||
Average Annual Return, Percent | 6.86% | 2.99% | 2.15% | ||||||||||||
C000079238 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Managed Futures Strategy Fund | ||||||||||||||
Average Annual Return, Percent | 6.95% | 3.33% | 1.24% | ||||||||||||
C000210706 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Mortgage Plus Bond Fund | ||||||||||||||
Average Annual Return, Percent | 7.71% | 0.04% | |||||||||||||
C000152580 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree PutWrite Strategy Fund | ||||||||||||||
Average Annual Return, Percent | 14.62% | 8.62% | 7.52% | ||||||||||||
C000222596 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Target Range Fund | ||||||||||||||
Average Annual Return, Percent | 14.44% | 1.18% | |||||||||||||
C000239876 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Voya Yield Enhanced USD Universal Bond Fund | ||||||||||||||
Average Annual Return, Percent | 7.91% | 4.57% | |||||||||||||
C000156663 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Yield Enhanced U.S. Aggregate Bond Fund | ||||||||||||||
Average Annual Return, Percent | 8.25% | (0.43%) | 1.79% | ||||||||||||
C000184315 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | WisdomTree Yield Enhanced U.S. Short-Term Aggregate Bond Fund | ||||||||||||||
Average Annual Return, Percent | 6.66% | 1.16% | 1.71% | ||||||||||||
Without Sales Load [Member] | C000248535 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 3.14% | ||||||||||||||
Without Sales Load [Member] | C000248538 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 4.27% | ||||||||||||||
Without Sales Load [Member] | C000247881 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 4.06% | ||||||||||||||
Without Sales Load [Member] | C000225934 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 14.54% | 2.28% | |||||||||||||
Without Sales Load [Member] | C000133150 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 5.77% | 2.52% | 3.30% | ||||||||||||
Without Sales Load [Member] | C000230569 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 47.24% | 17.41% | |||||||||||||
Without Sales Load [Member] | C000230570 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 51.48% | 15.69% | |||||||||||||
Without Sales Load [Member] | C000060975 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 6.11% | 1.31% | (0.33%) | ||||||||||||
Without Sales Load [Member] | C000104506 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 11.92% | 2.35% | 2.68% | ||||||||||||
Without Sales Load [Member] | C000088998 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 5.24% | 0.44% | (0.39%) | ||||||||||||
Without Sales Load [Member] | C000221364 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 6.18% | 9.06% | |||||||||||||
Without Sales Load [Member] | C000136444 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 5.41% | 2.39% | 1.66% | ||||||||||||
Without Sales Load [Member] | C000134342 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 10.14% | 4.40% | 3.95% | ||||||||||||
Without Sales Load [Member] | C000134336 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 6.82% | 3% | 2.15% | ||||||||||||
Without Sales Load [Member] | C000079238 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 7.16% | 3.39% | 1.27% | ||||||||||||
Without Sales Load [Member] | C000210706 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 7.87% | 0.06% | |||||||||||||
Without Sales Load [Member] | C000152580 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 14.68% | 8.59% | 7.52% | ||||||||||||
Without Sales Load [Member] | C000222596 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 14.74% | 1.24% | |||||||||||||
Without Sales Load [Member] | C000239876 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 7.81% | 4.51% | |||||||||||||
Without Sales Load [Member] | C000156663 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 8.28% | (0.43%) | 1.79% | ||||||||||||
Without Sales Load [Member] | C000184315 | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Average Annual Return, Percent | 6.62% | 1.15% | 1.71% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,413 | ||||||||||||||
Average Annual Return, Percent | 4.13% | ||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,413 | ||||||||||||||
Average Annual Return, Percent | 4.13% | ||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,379 | ||||||||||||||
Average Annual Return, Percent | 3.79% | ||||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $9,544 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (1.39%) | |||||||||||||
WisdomTree Index: Bloomberg Dollar Total Return Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg Dollar Total Return Index $14,002 | ||||||||||||||
Average Annual Return, Percent | 6.21% | 2.73% | 3.42% | ||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $13,476" id="sjs-D171">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $13,476 | ||||||||||||||
Average Annual Return, Percent | 27.14% | 12.88% | |||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $12,515" id="sjs-D175">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $12,515 | ||||||||||||||
Average Annual Return, Percent | 27.14% | 8.62% | |||||||||||||
WisdomTree Index: JP Morgan Emerging Local Markets Index Plus | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | JP Morgan Emerging Local Markets Index Plus $10,057 | ||||||||||||||
Average Annual Return, Percent | 5.74% | 1.17% | 0.06% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (0.04%) | 1.64% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (0.04%) | 1.64% | ||||||||||||
WisdomTree Index: S&P GSC Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | S&P GSCI Index $17,892 | ||||||||||||||
Average Annual Return, Percent | (2.11%) | 17.01% | |||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (0.04%) | 1.64% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (0.04%) | 1.64% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,765 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (0.04%) | 1.64% | ||||||||||||
WisdomTree Index: ICE BofA US 3-Month Treasury Bill Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ICE BofA US 3-Month Treasury Bill Index $11,726 | ||||||||||||||
Average Annual Return, Percent | 5.48% | 2.27% | 1.61% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,045 | ||||||||||||||
Average Annual Return, Percent | 7.30% | 0.09% | |||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $34,092" id="sjs-D215">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $34,092 | ||||||||||||||
Average Annual Return, Percent | 27.14% | 15.92% | 15.48% | ||||||||||||
WisdomTree Index: MSCI All Country World Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | MSCI AC World Index $12,336 | ||||||||||||||
Average Annual Return, Percent | 23.44% | 7.50% | |||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $10,628 | ||||||||||||||
Average Annual Return, Percent | 7.30% | 3.96% | |||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,627 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (0.04%) | 1.66% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Bond Index $11,045 | ||||||||||||||
Average Annual Return, Percent | 7.30% | (0.04%) | 1.37% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Treasury 1-3 Year Laddered Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S Treasury 1-3 Year Laddered Index $10,319 | ||||||||||||||
Average Annual Return, Percent | 3.19% | ||||||||||||||
WisdomTree Index: Bloomberg U.S. Treasury 7-10 Year Laddered Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Treasury 7-10 Year Laddered Index $10,437 | ||||||||||||||
Average Annual Return, Percent | 4.37% | ||||||||||||||
WisdomTree Index: Bianco Research Fixed Income Total Return Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bianco Research Fixed Income Total Return Index $10,435 | ||||||||||||||
Average Annual Return, Percent | 4.35% | ||||||||||||||
WisdomTree Index: ICE BofA Merrill Lynch U.S. High Yield Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ICE BofA Merrill Lynch U.S. High Yield Index $11,042 | ||||||||||||||
Average Annual Return, Percent | 12.47% | 3.03% | |||||||||||||
WisdomTree Index: S&P 500® Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index $14,271" id="sjs-D251">S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index $14,271 | ||||||||||||||
Average Annual Return, Percent | 27.14% | 11.29% | |||||||||||||
WisdomTree Index: Gapstow Liquid Alternative Credit Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Gapstow Liquid Alternative Credit Index $10,943 | ||||||||||||||
Average Annual Return, Percent | 14.92% | 2.75% | |||||||||||||
WisdomTree Index: Bloomberg Dollar Spot Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg Dollar Spot Index $11,989 | ||||||||||||||
Average Annual Return, Percent | (0.47%) | 0.29% | 1.83% | ||||||||||||
WisdomTree Index: NYSE ARCA Gold Miners Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | NYSE ARCA Gold Miners Index $14,015 | ||||||||||||||
Average Annual Return, Percent | 34.87% | 13.25% | |||||||||||||
WisdomTree Index: Equal-Weighted Emerging Currency Composite | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Equal-Weighted Emerging Currency Composite $9,882 | ||||||||||||||
Average Annual Return, Percent | 6.75% | 0.85% | (0.12%) | ||||||||||||
WisdomTree Index: JP Morgan CEMBI Diversified Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | JP Morgan CEMBI Diversified Index $14,272 | ||||||||||||||
Average Annual Return, Percent | 12% | 2.30% | 3.62% | ||||||||||||
WisdomTree Index: JP Morgan GBI-EM Global Diversified Unhedged Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | JP Morgan GBI-EM Global Diversified Unhedged Index $9,715 | ||||||||||||||
Average Annual Return, Percent | 6% | 0.11% | (0.29%) | ||||||||||||
WisdomTree Index: Bloomberg Commodity Index Total Return | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg Commodity Index Total Return $13,848 | ||||||||||||||
Average Annual Return, Percent | (4.39%) | 9.19% | |||||||||||||
WisdomTree Index: Bloomberg U.S. Treasury Floating Rate Bond Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Treasury Floating Rate Bond Index $11,990 | ||||||||||||||
Average Annual Return, Percent | 5.58% | 2.56% | 1.83% | ||||||||||||
WisdomTree Index: ICE BofA Merrill Lynch U.S. High Yield Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ICE BofA Merrill Lynch U.S. High Yield Index $15,620 | ||||||||||||||
Average Annual Return, Percent | 12.47% | 4.27% | 4.56% | ||||||||||||
WisdomTree Index: ICE BofA Merrill Lynch 0-5 Year U.S. High Yield Constrained, Zero Duration Index/ WisdomTree U.S. High Yield C | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | <span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $15,728" id="sjs-D291">ICE BofA ML 0-5 Year U.S. HY Constrained, Zero Duration Index/WisdomTree U.S. HY Corporate Bond, Zero Duration Spliced Index<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;"><span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $15,728 | ||||||||||||||
Average Annual Return, Percent | 10.68% | 5.41% | 4.63% | ||||||||||||
WisdomTree Index: Bloomberg Rate Hedged U.S. Aggregate Bond Index, Zero Duration | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg Rate Hedged U.S. Aggregate Bond Index, Zero Duration $12,564 | ||||||||||||||
Average Annual Return, Percent | 6.95% | 3.07% | 2.31% | ||||||||||||
WisdomTree Index: 60% S&P 500® Index / 40% Bloomberg U.S. Aggregate Index Composite | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | ®</sup> Index / 40% Bloomberg U.S. Aggregate Index Composite $22,400" id="sjs-D299">60% S&P 500<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;">®</sup> Index / 40% Bloomberg U.S. Aggregate Index Composite $22,400 | ||||||||||||||
Average Annual Return, Percent | 19.16% | 9.37% | 8.40% | ||||||||||||
WisdomTree Index: S&P GSCI Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | S&P GSCI Index $7,411 | ||||||||||||||
Average Annual Return, Percent | (2.11%) | 8.43% | (2.95%) | ||||||||||||
WisdomTree Index: Bloomberg U.S. Securitized Mortgage Backed Securities/Asset Backed Securities/Commercial Mortgage Backed Secur | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Securitized MBS/ABS/CMBS Index $9,927 | ||||||||||||||
Average Annual Return, Percent | 7.55% | (0.15%) | |||||||||||||
WisdomTree Index: Cboe S&P 500 PutWrite/Volos US Large Cap Target 2.5% PutWrite Spliced Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | <span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $19,748" id="sjs-D311">Cboe S&P 500 PutWrite/Volos US Large Cap Target 2.5% PutWrite Spliced Index<sup style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: 0px; overflow: visible; position: relative; text-align: center;"><span style="inset: -5px 9.53125px 21px 0px; box-sizing: border-box; clip: rect(0px, 0px, 0px, 0px); color: rgb(0, 0, 0); display: block; flex-wrap: nowrap; font-size: 12px; font-weight: 700; grid-area: auto; line-height: 0px; margin: -1px; overflow: hidden; position: absolute; text-align: center; width: 1px; height: 1px;">Footnote Reference</span>*</sup> $19,748 | ||||||||||||||
Average Annual Return, Percent | 16.05% | 9.51% | 8.31% | ||||||||||||
WisdomTree Index: TOPS® Global Target Range Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | TOPS Global Target Range Index $10,632 | ||||||||||||||
Average Annual Return, Percent | 15.47% | 2.13% | |||||||||||||
WisdomTree Index: Bloomberg U.S. Universal Enhanced Yield Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Universal Enhanced Yield Index $10,796 | ||||||||||||||
Average Annual Return, Percent | 8.43% | 5.01% | |||||||||||||
WisdomTree Index: Bloomberg U.S. Aggregate Enhanced Yield Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Aggregate Enhanced Yield Index $11,950 | ||||||||||||||
Average Annual Return, Percent | 8.48% | (0.27%) | 1.97% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Short Aggregate Composite Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Short Aggregate Composite Index $11,322 | ||||||||||||||
Average Annual Return, Percent | 6.74% | 1.28% | 1.72% | ||||||||||||
WisdomTree Index: Bloomberg U.S. Short Aggregate Enhanced Yield Index | |||||||||||||||
Average Annual Return [Line Items] | |||||||||||||||
Line Graph and Table Measure Name | Bloomberg U.S. Short Aggregate Enhanced Yield Index $11,352 | ||||||||||||||
Average Annual Return, Percent | 7.23% | 1.09% | 1.75% |
Shareholder Report, Holdings (D
Shareholder Report, Holdings (Details) | Aug. 31, 2024 |
C000248535 | FR_91282CLB5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000248535 | FR_91282CJV4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000248535 | FR_91282CJS1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000248535 | FR_91282CKY6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000248535 | FR_91282CLG4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000248535 | FR_91282CJP7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000248535 | FR_91282CKV2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000248535 | FR_91282CLH2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000248535 | FR_91282CJL6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000248535 | FR_91282CKB6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000248535 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000248538 | FR_91282CLF6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.40% |
C000248538 | FR_91282CJZ5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000248538 | FR_91282CGM7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000248538 | FR_91282CHT1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000248538 | FR_91282CFF3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000248538 | FR_91282CEP2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000248538 | FR_91282CDY4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000248538 | FR_91282CDJ7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000248538 | FR_91282CFV8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
C000248538 | FR_91282CHC8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.20% |
C000248538 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
C000247881 | FR_464288588 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14% |
C000247881 | FR_82889N525 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 13.90% |
C000247881 | FR_464288661 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.10% |
C000247881 | FR_808524862 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10% |
C000247881 | FR_92206C409 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.80% |
C000247881 | FR_808524680 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.70% |
C000247881 | FR_92206C813 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.20% |
C000247881 | FR_92206C870 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
C000247881 | FR_97717W471 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000247881 | FR_46429B747 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000247881 | SectorDomestic Fixed Income | |
Holdings [Line Items] | |
Percent of Net Asset Value | 94.90% |
C000247881 | SectorDomestic Specialty | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000247881 | Sector Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
C000247881 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.10% |
C000225934 | FR_758075402 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000225934 | FR_16934Q802 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000225934 | FR_55272X607 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000225934 | FR_505743104 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000225934 | FR_001228501 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000225934 | FR_28852N109 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000225934 | FR_64828T201 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000225934 | FR_90187B804 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000225934 | FR_649604840 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000225934 | FR_85571B105 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000225934 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
C000133150 | FR_912797ME4_0.010000_2024-12-03 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.10% |
C000133150 | FR_912797KT3_0.010000_2024-10-10 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.20% |
C000133150 | FR_912797GL5_0.010000_2024-09-05 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 24.10% |
C000133150 | FR_912797MA2_0.010000_2024-11-05 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 23.70% |
C000133150 | FR_97717Y527 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4% |
C000133150 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | (1.10%) |
C000230569 | FR_037833100 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
C000230569 | FR_594918104 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
C000230569 | FR_67066G104 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.30% |
C000230569 | FR_02079K305 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.70% |
C000230569 | FR_023135106 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000230569 | FR_30303M102 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.40% |
C000230569 | FR_084670702 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000230569 | FR_532457108 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000230569 | FR_11135F101 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000230569 | FR_88160R101 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000230569 | 9848892 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
C000230569 | Country Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.70% |
C000230569 | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 90.10% |
C000230570 | FR_651639106 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.70% |
C000230570 | FR_067901108 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.30% |
C000230570 | FR_008474108 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.60% |
C000230570 | FR_351858956 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.10% |
C000230570 | FR_G0378L100 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000230570 | FR_671745909 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000230570 | FR_496902404 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000230570 | FR_962879102 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000230570 | FR_38059T106 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000230570 | FR_011532108 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000230570 | Country Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | (4.40%) |
C000230570 | 9848745 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.80% |
C000230570 | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 31.10% |
C000230570 | Canada | |
Holdings [Line Items] | |
Percent of Net Asset Value | 39% |
C000230570 | Australia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11% |
C000230570 | South Africa | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.50% |
C000230570 | United Kingdom | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000230570 | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.30% |
C000060975 | FR_912797MA2_0.010000_2024-11-05 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 29.70% |
C000060975 | FR_97717Y527 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000060975 | FR_912797LH8_0.010000_2024-09-17 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 31.50% |
C000060975 | FR_795991009_5.330000_2024-09-03 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 31% |
C000060975 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000104506 | FR_G5975LAF3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000104506 | FR_ACI20JDH8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
C000104506 | FR_64132NAC0 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000104506 | FR_279158AS8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000104506 | FR_80007RAE5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000104506 | FR_G2588BAA2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000104506 | FR_67091TAF2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000104506 | FR_ACI2N3K07 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000104506 | FR_88032XAN4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000104506 | FR_73730EAG8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.30% |
C000104506 | Country Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.20% |
C000104506 | 9842316 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 42.60% |
C000104506 | South Africa | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.40% |
C000104506 | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.70% |
C000104506 | Mexico | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.60% |
C000104506 | Chile | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.60% |
C000104506 | South Korea | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.30% |
C000104506 | Turkey | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000104506 | India | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.70% |
C000104506 | Colombia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000104506 | United Arab Emirates | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.40% |
C000104506 | Peru | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.60% |
C000088998 | FR_795991009_5.330000_2024-09-03 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000088998 | FR_ACI1MK228 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000088998 | FR_ACI0HBFT3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000088998 | FR_ACI29YYS9 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.90% |
C000088998 | FR_ACI0WBWG5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000088998 | FR_ACI23CXV7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.80% |
C000088998 | FR_ACI0ZV4S3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000088998 | FR_ACI0K3LV5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.60% |
C000088998 | FR_ACI2CRX85 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.50% |
C000088998 | FR_ACI22YPY3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000088998 | Country Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.50% |
C000088998 | 9840943 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 21% |
C000088998 | United States | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.90% |
C000088998 | South Africa | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.80% |
C000088998 | Brazil | |
Holdings [Line Items] | |
Percent of Net Asset Value | 11% |
C000088998 | Colombia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 7.70% |
C000088998 | Indonesia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12.40% |
C000088998 | Poland | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8.60% |
C000088998 | Supranational Bonds | |
Holdings [Line Items] | |
Percent of Net Asset Value | 8% |
C000088998 | Malaysia | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.80% |
C000088998 | China | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.70% |
C000088998 | Thailand | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.60% |
C000221364 | FR_97717Y527 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.50% |
C000221364 | FR_912797LD7_0.010000_2024-11-14 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 75.40% |
C000221364 | FR_97720F101 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.30% |
C000221364 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 16.80% |
C000136444 | FR_91282CKM2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 27.90% |
C000136444 | FR_91282CJU6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 27.30% |
C000136444 | FR_91282CJD4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 25.40% |
C000136444 | FR_91282CLA7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 18.90% |
C000136444 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000134342 | FR_82967NBC1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
C000134342 | FR_737446AQ7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1% |
C000134342 | FR_23918KAT5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000134342 | FR_68622TAB7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000134342 | FR_12543DBK5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
C000134342 | FR_12543DBG4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
C000134342 | FR_15135BAT8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
C000134342 | FR_880349AU9 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
C000134342 | FR_527298BV4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
C000134342 | FR_92556HAE7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
C000134342 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000134336 | FR_91282CKB6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000134336 | FR_91282CJZ5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
C000134336 | FR_91282CGM7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
C000134336 | FR_91282CHC8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
C000134336 | FR_795991009_5.330000_2024-09-03 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
C000134336 | FR_91282CAE1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
C000134336 | FR_912828ZQ6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000134336 | FR_31418DSH6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000134336 | FR_91282CDK4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000134336 | FR_912828M56 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000134336 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000079238 | FR_97717Y527 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000079238 | FR_97720F101 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000079238 | FR_912797HE0_0.010000_2024-10-31 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 82.40% |
C000079238 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 12% |
C000210706 | FR_31418EB82 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5% |
C000210706 | FR_36179WP93 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.80% |
C000210706 | FR_21H052694 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000210706 | FR_3140XNAA2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.10% |
C000210706 | FR_31418EAM2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3% |
C000210706 | FR_36179WNE4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000210706 | FR_31418EJF8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.50% |
C000210706 | FR_31418EJN1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.10% |
C000210706 | FR_31418EHH6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000210706 | FR_31418EE48 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2% |
C000210706 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
C000152580 | FR_912797GL5_0.010000_2024-09-05 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 35.40% |
C000152580 | FR_97717Y527 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.20% |
C000152580 | FR_912797GW1_0.010000_2024-10-03 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 59.50% |
C000152580 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000222596 | FR_912797HE0_0.010000_2024-10-31 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 72.50% |
C000222596 | FR_ADI2QFRY4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.90% |
C000222596 | FR_ADI2MJZV7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 5.30% |
C000222596 | FR_ADI2QFRT5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.20% |
C000222596 | FR_ADI2MJZS4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000222596 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 6.40% |
C000239876 | FR_91282CLG4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000239876 | FR_91282CAE1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.20% |
C000239876 | FR_91282CBH3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 14% |
C000239876 | FR_912810SW9 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 4.10% |
C000239876 | FR_91282CAT8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 3.90% |
C000239876 | FR_3140QNEN8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
C000239876 | FR_880591EP3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.10% |
C000239876 | FR_880591EY4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.70% |
C000239876 | FR_31418EU99 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000239876 | FR_3133XFJ49 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000239876 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.70% |
C000156663 | FR_880591EH1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
C000156663 | FR_880591CS9 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000156663 | FR_3133XGAY0 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.50% |
C000156663 | FR_3128X75U4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000156663 | FR_91282CCV1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000156663 | FR_91282CEN7 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000156663 | FR_91282CBP5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000156663 | FR_91282CCP4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.40% |
C000156663 | FR_91282CJR3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
C000156663 | FR_912810TW8 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.30% |
C000156663 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.60% |
C000184315 | FR_91282CBH3 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.70% |
C000184315 | FR_91282CCP4 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.40% |
C000184315 | FR_912828ZS2 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 10.30% |
C000184315 | FR_912828ZT0 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 9.50% |
C000184315 | FR_91282CCF6 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 2.90% |
C000184315 | FR_912828ZF0 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 1.20% |
C000184315 | FR_471048CJ5 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000184315 | FR_38141GXM1 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000184315 | FR_3137BVZ82 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.90% |
C000184315 | FR_31418EAS9 | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |
C000184315 | Asset Other Net Line | |
Holdings [Line Items] | |
Percent of Net Asset Value | 0.80% |