Components Franklin FTSE Taiwan UCITS ETF - USD

ETF

FLXT

IE000CM02H85

Market Closed - London S.E. 09:05:24 29/04/2024 pm IST 5-day change 1st Jan Change
27.33 USD +1.55% Intraday chart for Franklin FTSE Taiwan UCITS ETF - USD +5.33% +6.95%

Composition of Franklin FTSE Taiwan UCITS ETF - USD

Weight
45.7 TWD +2.58%+4.34%-15.06%-.--%
622 TWD +2.13%+3.49%-12.27%-.--%
130 TWD +4.42%+6.56%-31.76%-.--%
101 TWD 0.00%+5.10%-13.68%-.--%
50.4 TWD +1.20%+2.65%-4.18%-.--%
321 TWD +1.90%+7.54%+2.39%-.--%
158.5 TWD +2.26%+10.84%+51.67%-.--%
36.35 TWD +0.97%+2.97%-8.78%-.--%
631 TWD +2.60%+7.31%+5.70%-.--%
795 TWD +1.66%+6.00%+34.06%-.--%
26 TWD +3.38%+2.36%-14.61%-.--%
447.5 TWD +4.56%+11.60%-14.44%-.--%
79 TWD +3.27%+2.20%+12.54%-.--%
141.5 TWD -0.35%+8.85%+25.22%-.--%
62.4 TWD +1.63%+11.83%+17.51%-.--%
53.8 TWD +0.94%+1.51%+1.89%-.--%
426 TWD +1.67%+3.02%-12.97%-.--%
66.1 TWD -2.07%-4.34%+57.38%-.--%
301 TWD +1.86%+2.91%+13.16%-.--%
160 TWD +2.56%+3.90%-21.57%-.--%
527 TWD +1.35%-4.53%+11.77%-.--%
261.5 TWD +1.55%+8.28%+16.48%-.--%
207.5 TWD +2.47%+4.27%+18.57%-.--%
380 TWD +3.26%+4.11%+2.15%-.--%
67.5 TWD +2.74%+8.87%-13.46%-.--%
38.75 TWD +2.24%+7.19%+2.65%-.--%
33.1 TWD +3.28%+6.26%+6.09%-.--%
1,145 TWD +0.44%+8.53%+13.37%-.--%
3,125 TWD +0.48%+9.27%-4.58%-.--%
174 TWD +3.57%+3.57%-9.84%-.--%
768 TWD +6.22%-4.00%-36.00%-.--%
398 TWD +2.58%+18.45%-20.40%-.--%
116.5 TWD +2.19%+4.02%+6.88%-.--%
32.35 TWD +1.73%+1.09%-7.17%-.--%
43.6 TWD +1.99%+3.81%+5.19%-.--%
77.3 TWD +1.05%+1.71%+3.76%-.--%
69.3 TWD +2.36%+3.28%-12.50%-.--%
57.6 TWD +3.60%+4.73%-13.38%-.--%
55.8 TWD +3.53%+6.49%-10.43%-.--%
640 TWD +2.40%+11.30%-15.01%-.--%
23.1 TWD +2.67%+4.76%-8.33%-.--%
519 TWD +1.37%+6.57%-7.65%-.--%
56.7 TWD -0.70%-5.34%+21.15%-.--%
37.35 TWD +1.49%-3.86%-3.36%-.--%
31.5 TWD +3.11%+3.28%+8.25%-.--%
66.6 TWD +3.10%+6.73%-1.48%-.--%
17.4 TWD +2.35%+4.82%-8.18%-.--%
25 TWD +1.83%+2.25%-7.41%-.--%
233 TWD -0.43%+1.97%-0.85%-.--%
46.8 TWD +1.96%-0.21%+4.23%-.--%
795a43.5U7ds_SQR4NdiczeD8R68YsNLdixT7PhVPVS84ZOXjc.sQCu_sLdDrtuwJq7XLRXg849G7aII-qtPo9_x_M-FQCSfbfiwagw2hThlQ

Description

IE000CM02H85
Total Expense Ratio 0.19%
Asset Class
Sector
Size
Currency
Provider
Underlying FTSE Taiwan 30/18 Capped Net Tax Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
21/03/2022
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 28/03/2024 )

AuM (EUR) 8 M€
AuM 1M 10 M€
AuM 3 months 7 M€
AuM 6 months 6 M€
AuM 12 months 2 M€
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