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    FLJA   CA35351A1084

FRANKLIN FTSE JAPAN

(FLJA)
 SummaryQuotesNewsComponents 
Investment objective
Provides access to the Japanese stock market, allowing investors to gain precise exposure to Japan at a low cost. Invests primarily in the U.S.-domiciled Franklin FTSE Japan Index ETF.
Composition of FRANKLIN FTSE JAPAN INDEX ET...
 CompanyPriceChange1st Jan Change Capi. (M$)Poids  
JapanTOYOTA MOTOR CORPORATIO.. 9725 End-of-day quote.1.18%22.22%246 4484.01%
JapanSONY GROUP CORPORATION 10905 End-of-day quote.2.06%6.03%121 3732.71%
JapanSOFTBANK GROUP CORP. 7261 End-of-day quote.0.47%-9.89%122 6352.66%
JapanKEYENCE CORPORATION 55930 End-of-day quote.0.97%-3.57%121 7212.27%
JapanSHIN-ETSU CHEMICAL CO.,.. 17625 End-of-day quote.1.53%-2.30%70 1011.62%
JapanNIDEC CORPORATION 13000 End-of-day quote.2.44%0.15%68 3291.49%
JapanDAIICHI SANKYO COMPANY,.. 2225.5 End-of-day quote.-0.18%-37.04%42 2981.46%
JapanNINTENDO CO., LTD. 59820 End-of-day quote.-0.25%-9.13%68 9061.45%
JapanRECRUIT HOLDINGS CO., L.. 5581 End-of-day quote.1.64%29.16%82 1171.4%
JapanTOKYO ELECTRON LIMITED 44800 End-of-day quote.0.95%16.67%68 7721.34%
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All news about FRANKLIN FTSE JAPAN
2020Franklin FTSE Japan Index ETF Announces Estimated December Cash Distribution,..
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2020Franklin FTSE Japan Index ETF Announces June 2020 Semi Annually Cash Distribu..
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2019Franklin FTSE Japan Index ETF Announces Semi-Annually Estimated Cash Distribu..
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2019Franklin FTSE Japan Index ETF Announces June 2019 Semi Annually Cash Distribu..
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Chart FRANKLIN FTSE JAPAN
Duration : Period :
FRANKLIN FTSE JAPAN Technical Analysis Chart | MarketScreener
Full-screen chart
Investment themes
Asset Classes Equities
Geographical Zones Japan
Size Large & Mid Cap
Development Developed
Weighting Schemes Market Cap Weighted
Description
Index ETF FTSE Japan Index NTR - CAD
Related indices
- FTSE Japan 50% Hedged to USD Net Tax (US RIC) Index - USD
- FTSE Japan 100% Hedged to EUR NTR Index - EUR
- FTSE Japan 100% Hedged to USD NTR INDEX - USD
- FTSE Japan Net Tax Total Return Index - USD
- FTSE Japan Net Total Return Index - HKD
Currency CAD
Management fees 0.1%
AuM (2021-06-07) 139.89 M CAD
Provider Franklin Templeton
Features and characteristics
Jurisdiction Canada
Structure Unit Investment Trust
Date of creation 2019-02-20
Dividend Policy Distribution
Replication Method Direct (Physical)
Replication Model Full Replication
AuM evolution (2021-06-07)
Last one 139.89 M CAD
1-month 123.44 M CAD
3 months 48.07 M CAD
6 months 33.96 M CAD
1-year 30.85 M CAD