FYI: The Funds will no longer accept creation orders after Friday, March 16, 2018. The final day of trading on the Funds’ respective exchanges will also be Friday, March 16, 2018. Shareholders who do not sell their Fund shares by this date will have their shares automatically redeemed for cash based on the Funds’ net asset value (NAV), which is expected to be provided to shareholders through their brokers or other financial intermediaries on or around Friday, March 23, 2018, the Funds’ last day of operations. Additional information can be found in the WisdomTree Fund Changes: FAQ document here.
Regards,
Ted
https://globenewswire.com/news-release/2018/02/16/1357683/0/en/WisdomTree-Announces-Changes-to-ETF-Family.html