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Smart Investors Daily
OP

NYSE · OPPE

WisdomTree European Opportunities Fund

Financial Services · Investment - Banking & Investment Services

$57.45

Up+$0.45 (+0.79%)

Updated Oct 10, 2026, 12:17 PM

SID Score

4.2/10

Composite research score

Smart Money

—

Institutional and insider signal

Market cap
144.66M
P/E ratio
—
Dividend yield
2.96%
52-week range
$51.23 – $60.56
Volume
32.74K
Avg. volume
26.19K

Price performance · OPPE

OPPE price history

1M range · 21 trading sessions · Daily adjusted prices

Prices through Oct 9, 2026

OPPE closed at $57.45 after 21 trading sessions, down 4.09% for the selected period.

Last close
$57.45
Period change
-4.09%
Period low
$56.84
Period high
$59.90
Daily close
View OHLC price history
OPPE OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Oct 9, 2026$57.44$57.4479$57.28$57.447932.74K
Oct 8, 2026$56.72$56.8633$56.36$56.863387.22K
Oct 7, 2026$56.81$56.9499$56.73$56.894712.33K
Oct 6, 2026$57.58$57.701$57.54$57.597420.85K
Oct 5, 2026$57.00$57.3579$57.00$57.35794.75K
Oct 2, 2026$57.33$57.56$57.23$57.48866.56K
Oct 1, 2026$57.30$57.30$56.6796$56.844514.75K
Sep 30, 2026$58.07$58.26$57.57$57.5742.84K
Sep 29, 2026$58.34$58.38$57.861$58.17415.26K
Sep 28, 2026$58.67$58.8905$58.62$58.799.35K
Sep 25, 2026$58.73$58.97$58.4901$58.956.76K
Sep 24, 2026$58.96$59.018$58.60$58.9211.07K
Sep 23, 2026$59.19$59.19$58.85$59.049.05K
Sep 22, 2026$59.85$59.85$59.39$59.7052166.09K
Sep 21, 2026$59.68$59.68$59.42$59.483563.74K
Sep 18, 2026$58.99$59.0599$58.9267$58.99485.33K
Sep 17, 2026$59.90$59.94$59.78$59.805911.36K
Sep 16, 2026$59.65$59.66$59.0399$59.181813.3K
Sep 15, 2026$59.59$59.61$59.42$59.56537.58K
Sep 14, 2026$59.57$59.74$59.30$59.57289.01K
Sep 11, 2026$59.905$59.96$59.8498$59.8954K

Latest OPPE news

The latest Smart Investors Daily articles mentioning OPPE.

OPPE research

Overview

Company profile and research snapshot.

Company profile

OPPE provides targeted exposure to European stocks the issuer believes to provide the best opportunities for long-term growth. The ETF tracks an index that separates the investible universe into two buckets. The first allocates two thirds of the portfolio to companies with high total shareholder yield. This being determined by return of capital in the form of dividend distributions or repurchase of shares. The second bucket allocates the remaining assets to companies considered best position to take advantage of thematic opportunities, geopolitical developments, technology trends, and macro-economic conditions. Holdings are weighted based on shareholder yield, liquidity, and market-cap. The index considers currency momentum, interest rate differences, geopolitical events, fiscal and monetary policy shifts to employ a currency hedge range of 0-100%. The index is reconstituted quarterly on the eighth business day of March, June, September, and December. Prior to June 2, the fund name was WisdomTree Europe Hedged SmallCap Equity Fund, executed a different strategy, and traded under the ticker EUSC.

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Analyst outlook

Consensus and target data currently published for this company.

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Average target
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Implied upside
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AI research layers

Interpretive context generated from the platform’s current data sources.

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