Components Franklin FTSE Taiwan ETF - USD

ETF

FLTW

US35473P6869

Delayed Nyse 12:35:14 2024-04-26 pm EDT 5-day change 1st Jan Change
42.16 USD +1.10% Intraday chart for Franklin FTSE Taiwan ETF - USD +0.73% +2.06%

Composition of Franklin FTSE Taiwan ETF - USD

Weight
36.8 TWD -0.41%-8.91%-4.79%-.--%
1,005 TWD +2.45%-4.29%-0.99%-.--%
782 TWD +2.09%-2.74%+31.87%20.11%
155 TWD +2.31%+4.73%+48.33%4.59%
315 TWD +2.94%+1.94%+0.48%2.51%
49.8 TWD +0.61%-0.80%-5.32%2.28%
257.5 TWD +0.78%+2.79%+14.70%2.14%
31.15 TWD +0.48%-1.74%+9.88%1.90%
67.6 TWD +1.81%+1.96%+4.32%1.86%
142.5 TWD -1.72%-5.63%+5.56%1.71%
123.5 TWD 0.00%-0.40%+2.92%1.69%
39.1 TWD +0.26%-0.26%-0.26%1.65%
48.9 TWD +0.72%+0.93%+6.89%1.56%
27.1 TWD -0.18%+0.37%+5.04%1.42%
55.6 TWD -0.36%-0.36%-16.39%1.40%
76.5 TWD +0.53%-0.39%+2.68%1.32%
419 TWD +1.70%-1.87%-14.40%1.28%
24.55 TWD 0.00%-1.01%-9.07%1.22%
30 TWD +0.67%-1.96%+8.70%1.22%
67.7 TWD -0.29%-0.59%-14.52%1.10%
26.95 TWD +0.19%+0.19%-1.64%1.09%
603 TWD +1.01%-1.95%+16.63%1.08%
25.8 TWD -0.19%-0.19%-3.37%1.05%
2,185 TWD -0.46%-0.68%-23.87%1.04%
428 TWD +6.73%+4.65%-18.16%1.02%
113 TWD +0.89%-4.24%+14.60%1.01%
168 TWD -1.75%-2.33%-12.95%0.99%
101 TWD +1.61%+2.02%-13.68%0.93%
615 TWD 0.00%+3.71%+3.02%0.86%
609 TWD 0.00%+0.50%-14.10%0.85%
3,110 TWD +9.89%+2.47%-5.04%0.85%
182.5 TWD -0.82%+2.24%+3.69%0.85%
22.55 TWD +0.22%-0.44%+0.89%0.84%
21.3 TWD -0.23%-1.62%+8.12%0.83%
520 TWD -0.57%-9.41%+10.29%0.82%
31.8 TWD -0.62%-2.75%-8.75%0.81%
53.9 TWD -0.19%+0.56%-13.48%0.79%
17.6 TWD +0.86%0.00%-2.76%0.79%
13.45 TWD -0.37%-0.37%+7.17%0.73%
97 TWD +2.43%+0.41%+11.11%0.67%
2,115 TWD +9.59%-12.96%-13.67%0.65%
45.05 TWD -0.33%-2.17%-3.74%0.63%
103.5 TWD +0.98%0.00%+4.97%0.63%
368 TWD +0.82%-1.08%-1.08%0.62%
2,325 TWD +3.33%-7.00%+27.40%0.59%
388 TWD +2.37%+4.02%-22.40%0.59%
36 TWD +1.41%-0.14%-9.66%0.59%
227.5 TWD +5.08%+0.89%+15.48%0.58%
44.55 TWD +0.34%-1.00%-17.19%0.56%
275.5 TWD +0.36%+1.47%+2.23%0.56%
c11586.pd5uYhrtLknK3pKGFLAWuIpHj2nbEgfvoLy2JZm9-90.45gLUleiG3-krOSxUfdUyu8OwQGDdFGczu33Z_TclrLnvSoOTYJjJaK04Q

ETF Ratings

Description

US35473P6869
Total Expense Ratio 0.19%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Taiwan RIC Capped Net Tax Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
2017-11-01
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-03-27 )

AuM (EUR) 207 M€
AuM 1M 184 M€
AuM 3 months 175 M€
AuM 6 months 165 M€
AuM 12 months 125 M€
  1. Stock Market
  2. ETF
  3. FLTW ETF
  4. Components Franklin FTSE Taiwan ETF - USD