
See exactly how INDH's revenue becomes profit — a Sankey that traces revenue (and its reported segments) through gross profit, operating expenses, and net profit, with the year-over-year change on every line.
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Ordinarily, the fund commits at least 80% of its total assets to the constituent securities of its tracking index. This benchmark, crafted by WisdomTree (which serves as both the index provider and parent company to the fund's asset manager), is designed to offer investment exposure to corporations domiciled, listed, and actively traded in India. Crucially, it simultaneously employs a currency hedging strategy to counteract shifts in the Indian Rupee's exchange rate relative to the U.S. Dollar. It is important to note that this fund is structured as a non-diversified investment.

In broad terms, developing world stocks are delivering the goods for investors this year, with the widely followed MSCI Emerging Markets Index up 26%. Count India stocks among the emerging markets laggards, because the MSCI India Index is off 8.52%.

The United States and India are continuing negotiations toward an agreement aiming at a trade target of $500 billion by 2030, although as of mid-April 2026, no official deal has been reached. Benefits of an agreement of this kind could include lower U.S. tariffs on Indian goods and increased flows of industrial, agricultural, and tech products, among others.

The MSCI Emerging Markets Index entered Monday with a year-to-date gain of nearly 31%. India stocks, which represent the third-largest allocation in that gauge, have been overt disappointments.

Some view International stocks are experiencing a resurgence this year. And developing world equities aren't just participating in the trend.

For many advisors and investors, accessing emerging markets via broad-based funds, including ETFs, is the preferred operating method. That strategy limits exposure to region-specific issues and political volatility, among other traits.