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QSIG
WisdomTree U.S. Short Term Corporate Bond Fund
stockBATSETF

Market OpenOct 5, 2026 9:42:18 AM EDT
47.27USD+0.064%(+0.03)369

On 2026-09-14 there were 0 FTDs. The average number of FTDs per day for September 2026 is 0.

QSIG Fails-to-Deliver (FTDs)

Fails-to-Deliver

QSIG Fails-to-Deliver

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Trade
Date (T)1
Fails-to-
Deliver2
FTD
Change
Trade
Vol.
Settlement
Date (T+B)4
Closing
Deadline
(T+35C)5
Price3$
Notional
2026-09-11—01.8K2026-09-142026-10-1647.730
2026-09-10—05.3K2026-09-112026-10-1547.770
2026-09-09—01.2K2026-09-102026-10-1447.990
2026-09-08—04.3K2026-09-092026-10-1348.000
2026-09-04—04.2K2026-09-082026-10-0948.020
2026-09-03—011.5K2026-09-042026-10-0848.010
2026-09-02—015.9K2026-09-032026-10-0747.990
2026-09-01—06.3K2026-09-022026-10-0647.970
2026-08-31—08.7K2026-09-012026-10-0548.050
2026-08-28—07942026-08-312026-10-0248.050
2026-08-27—07.6K2026-08-282026-10-0148.130
2026-08-26—01.2K2026-08-272026-09-3048.160
2026-08-25—02.6K2026-08-262026-09-2948.350
2026-08-24—01.9K2026-08-252026-09-2848.270
2026-08-21—01642026-08-242026-09-2548.260
2026-08-20—01.5K2026-08-212026-09-2448.260
2026-08-19—033.4K2026-08-202026-09-2348.310
2026-08-18—04.7K2026-08-192026-09-2248.270
2026-08-17—04.5K2026-08-182026-09-2148.270
2026-08-14—01.4K2026-08-172026-09-1848.300
2026-08-13—01.5K2026-08-142026-09-1748.330
2026-08-12—03.0K2026-08-132026-09-1648.260
2026-08-11—01.5K2026-08-122026-09-1548.220
2026-08-10—-3894.9K2026-08-112026-09-1448.200
2026-08-07389+1635052026-08-102026-09-1148.2718,777
Historical data is split-adjusted.
1 Trade Date is calculated from the Settlement Date.
2 Fails to deliver on a given day are a CUMULATIVE number of all fails outstanding until that day, plus new fails that occur that day, less fails that settle that day. A dash (—) indicates no FTDs were reported that day. It’s been shown that the SEC withholds the FTD report for two weeks, and there are often high-volume days with no reported FTDs, so it’s unclear if missing days truly indicate 0 FTDs.
3 Closing price on the Trade Date. The FTD file contains the closing price on the day previous to settlement.
4 As of May 28, 2024, the standard for settlement is next business day after a trade (T+1B). Before that, it was trade date plus two business days (T+2B).
5 RegSHO IV. 3. A broker-dealer has up to 35 calendar days following the trade date to close out the failure to deliver position by purchasing securities of like kind and quantity. Analysis of the T+35 cycle.
FTD Release HistoryWe track the SEC's FTD publication schedule and flag when releases are late.Check it out