Components Franklin FTSE Germany ETF - USD

ETF

FLGR

US35473P7859

Delayed Nyse 07:38:16 03/05/2024 pm IST 5-day change 1st Jan Change
24.32 USD +0.75% Intraday chart for Franklin FTSE Germany ETF - USD +0.75% +5.07%

Composition of Franklin FTSE Germany ETF - USD

Weight
170.3 EUR +1.06%-2.06%+22.18%12.07%
177.3 EUR +1.22%-0.19%+4.33%9.89%
264 EUR -1.27%-0.72%+8.95%7.52%
21.67 EUR -0.28%-0.87%-0.41%5.76%
71.69 EUR +1.10%-3.52%+14.69%4.21%
403 EUR -1.68%-2.59%+7.38%4.03%
31.51 EUR +0.55%-4.77%-16.79%3.86%
49.08 EUR +0.90%+0.50%+0.59%3.40%
39.73 EUR +0.53%+2.29%-11.43%3.32%
184.7 EUR +1.05%+1.01%-1.07%2.68%
28.11 EUR -0.08%+2.50%-16.49%2.59%
102.6 EUR +0.66%-3.67%+1.71%2.45%
225 EUR +0.42%-2.43%+22.34%2.39%
33.28 EUR -0.08%+3.54%-19.06%2.30%
12.6 EUR +0.72%+1.53%+3.70%2.12%
15.23 EUR +1.25%-7.92%+23.12%1.93%
115.7 EUR +1.20%-3.29%+3.89%1.78%
28.14 EUR +3.17%+8.47%-1.68%1.58%
151.8 EUR +1.01%+0.13%+5.45%1.44%
40.92 EUR -3.84%-4.48%+20.46%1.41%
51.92 EUR +1.41%-2.00%-1.37%1.16%
142.9 EUR +0.53%+1.60%+5.20%1.06%
100.9 EUR +0.42%+1.04%+1.26%1.01%
229.3 EUR -1.04%-0.56%+5.92%1.01%
533.4 EUR +4.10%+1.53%+85.51%0.99%
79.28 EUR +7.14%+8.01%+8.45%0.93%
28.04 EUR +0.27%+2.72%-0.43%0.92%
95.39 EUR +0.81%+0.15%+17.82%0.89%
13.7 EUR -1.62%-2.87%+27.32%0.88%
75.53 EUR +0.63%+0.85%-9.28%0.87%
226.8 EUR +2.95%+1.57%+16.21%0.82%
47.58 EUR +0.75%-1.27%-9.91%0.80%
61.65 EUR +0.74%-1.25%-19.76%0.65%
284.9 EUR +1.21%-1.79%-14.47%0.64%
39.37 EUR -2.06%+4.92%+3.42%0.61%
36.43 EUR -0.74%-2.62%-3.32%0.50%
19.7 EUR +2.29%+4.51%+64.17%0.50%
82.92 EUR +1.62%+7.46%+4.21%0.46%
44.82 EUR +4.71%+2.77%-11.08%0.40%
26.05 EUR -4.40%+0.93%+4.36%0.38%
6.854 EUR +0.23%+2.24%-14.94%0.38%
69.65 EUR -0.14%+1.01%+8.63%0.37%
23.8 EUR +1.23%-5.93%+10.96%0.36%
83.15 EUR +3.94%+0.42%+5.95%0.34%
68.98 EUR +0.69%-1.43%+17.26%0.31%
19.8 EUR +0.92%+3.47%+7.14%0.30%
45.46 EUR +1.43%-1.90%+0.24%0.30%
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ETF Ratings

Description

US35473P7859
Total Expense Ratio 0.09%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Germany RIC Capped Net Tax Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
02/11/2017
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 18 M€
AuM 1M 18 M€
AuM 3 months 17 M€
AuM 6 months 14 M€
AuM 12 months 16 M€
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