Components Franklin FTSE Taiwan ETF - USD

ETF

FLTW

US35473P6869

Market Closed - Nyse 04:10:00 2024-05-31 pm EDT 5-day change 1st Jan Change
45.19 USD -1.62% Intraday chart for Franklin FTSE Taiwan ETF - USD -1.08% +9.38%

Composition of Franklin FTSE Taiwan ETF - USD

Weight
36.95 TWD +0.27%-0.14%-4.40%-.--%
1,235 TWD -4.26%+3.35%+21.67%-.--%
821 TWD -2.03%-5.31%+38.45%20.11%
172 TWD -2.55%-2.27%+64.59%4.59%
325 TWD -1.52%-0.91%+3.67%2.51%
55 TWD -1.43%+0.73%+4.56%2.28%
274 TWD -2.66%-4.36%+22.05%2.14%
35.4 TWD +0.28%-4.45%+24.87%1.90%
73.4 TWD +2.09%+0.14%+13.27%1.86%
157 TWD -0.95%-1.57%+16.30%1.71%
128 TWD +1.59%+0.79%+6.67%1.69%
39.05 TWD +0.39%-2.38%-0.38%1.65%
56.2 TWD +1.08%+2.37%+22.84%1.56%
28.6 TWD +3.25%+1.06%+10.85%1.42%
53.2 TWD -.--%+0.19%-20.00%1.40%
80 TWD +3.90%+1.14%+7.38%1.32%
513 TWD -0.39%-1.16%+4.80%1.28%
23.75 TWD -0.42%-1.04%-12.04%1.22%
31.65 TWD +0.64%-2.62%+14.67%1.22%
65.3 TWD -0.46%-1.51%-17.55%1.10%
27.5 TWD +0.73%-2.48%+0.36%1.09%
593 TWD -1.98%-2.79%+14.70%1.08%
25.55 TWD -0.58%-2.48%-4.31%1.05%
2,275 TWD +1.11%+4.84%-20.73%1.04%
504 TWD -4.00%-1.56%-3.63%1.02%
112 TWD -1.75%-2.61%+13.59%1.01%
152 TWD -0.65%+1.00%-21.24%0.99%
107.5 TWD -0.46%-6.11%-8.12%0.93%
662 TWD +0.76%+1.69%+10.89%0.86%
614 TWD +2.33%+1.49%-13.40%0.85%
2,870 TWD -1.54%+1.77%-12.37%0.85%
182.5 TWD -2.67%-3.44%+3.69%0.85%
25 TWD +1.01%-1.57%+11.86%0.84%
23.05 TWD +1.32%-.--%+17.01%0.83%
543 TWD -4.74%+2.84%+15.16%0.82%
33 TWD +0.46%-3.08%-5.31%0.81%
52.9 TWD -0.75%-2.40%-15.09%0.79%
18.4 TWD +0.82%-1.08%+1.66%0.79%
14.1 TWD +1.81%+0.71%+12.35%0.73%
106 TWD +2.42%-.--%+21.42%0.67%
2,200 TWD -2.87%-7.56%-10.20%0.65%
46.05 TWD +0.99%-0.75%-1.60%0.63%
105.5 TWD +0.96%-0.94%+7.00%0.63%
353 TWD +0.43%-0.84%-5.11%0.62%
2,470 TWD -6.62%-9.85%+35.34%0.59%
472 TWD +0.85%-0.94%-5.60%0.59%
37.05 TWD -0.27%-3.77%-7.03%0.59%
219.5 TWD -0.23%-3.30%+11.42%0.58%
52.9 TWD +0.76%-8.00%-1.67%0.56%
270 TWD +1.12%-0.37%+0.19%0.56%
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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
2017-10-31
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 205 M€
AuM 1M 208 M€
AuM 3 months 174 M€
AuM 6 months 157 M€
AuM 12 months 121 M€
  1. Stock Market
  2. ETF
  3. FLTW ETF
  4. Components Franklin FTSE Taiwan ETF - USD