Components Franklin Global Equity SRI UCITS ETF - USD

ETF

FLXG

IE00BF2B0N83

Real-time BOERSE MUENCHEN 07:47:03 31/05/2024 pm IST 5-day change 1st Jan Change
35.34 EUR -0.31% Intraday chart for Franklin Global Equity SRI UCITS ETF - USD -0.96% +5.41%

Composition of Franklin Global Equity SRI UCITS ETF - USD

Weight
41.62 USD -0.66%-0.63%+0.79%1.09%
225 USD +2.23%+2.80%-13.48%1.07%
140.4 USD +1.43%-1.84%+5.20%1.07%
329.2 USD +0.01%+1.30%-4.97%1.07%
202.4 USD -1.39%-2.19%+5.51%1.07%
914.9 USD -3.76%-4.70%+18.08%1.05%
38.48 EUR +0.22%-1.26%-14.28%1.05%
871.9 EUR -1.03%-0.91%+27.99%1.04%
58.66 USD +0.42%-0.83%+12.58%1.04%
238.2 USD +0.18%-0.83%-9.11%1.04%
212.5 USD +0.02%-0.66%+11.25%1.04%
193.4 USD -1.18%-2.42%+14.02%1.03%
170.1 CAD +0.19%-1.89%+2.11%1.03%
64.12 CAD 0.00%-1.76%-0.59%1.02%
447.8 EUR +0.69%+0.07%-0.67%1.02%
397 USD +0.38%-3.40%+1.55%1.02%
275.8 USD -1.21%-3.18%+15.15%1.01%
304.1 USD +1.04%-0.72%+5.42%1.01%
37.48 EUR -0.79%-3.03%-17.15%1.01%
64.5 USD -0.56%-2.03%-0.14%1.01%
153.2 USD +1.54%-5.80%+17.69%1.00%
3,415 GBX +0.41%-3.01%+9.77%0.99%
1,888 JPY +0.88%-0.53%+7.27%0.99%
838 TWD -2.22%-4.23%+41.32%0.99%
75.29 CAD +0.16%-2.57%-12.06%0.98%
4,268 GBX +0.22%-0.61%+12.37%0.97%
174.3 USD +0.73%+0.80%-13.93%0.97%
899.7 USD -0.86%-6.56%+8.97%0.96%
61.94 USD -0.05%-0.14%+5.07%0.96%
40.7 USD +0.93%+2.21%+7.75%0.96%
170.7 USD +0.13%-4.33%+0.26%0.95%
78.32 CAD -0.11%-2.60%+4.95%0.95%
130.8 USD -0.29%-3.07%-4.31%0.95%
67.66 USD +1.52%-1.24%+3.55%0.95%
928.4 DKK +1.26%+0.12%+33.20%0.94%
407.9 USD -1.64%-4.37%+9.40%0.94%
4,337 JPY +0.84%+0.81%-3.32%0.93%
94.01 USD +1.69%-0.85%+2.92%0.92%
114.4 CHF +2.01%+1.92%+20.77%0.92%
2,159 EUR -0.55%-0.96%+12.52%0.92%
438.2 USD -1.72%-7.36%-26.18%0.92%
10,290 JPY +2.44%+5.12%+49.56%0.91%
115.9 USD +0.34%-2.04%+7.52%0.90%
206.4 USD +0.98%-1.23%+8.37%0.90%
68.2 USD +0.01%+1.40%+25.18%0.86%
254.8 CHF +1.41%+3.54%-12.18%0.85%
145.9 EUR +0.14%-3.54%+13.36%0.85%
2,329 INR -0.89%-1.74%-12.57%0.82%
37.05 EUR -0.19%+2.21%+14.14%0.81%
120.7 USD +0.41%+2.31%-5.12%0.80%
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Description

IE00BF2B0N83
Total Expense Ratio 0.40%
Asset Class
Sector
Size
Currency
Provider
Underlying LibertyQ Global Equity SRI Net Total Return Index - USD

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
05/09/2017
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/04/2024 )

AuM (EUR) 18 M€
AuM 1M 18 M€
AuM 3 months 17 M€
AuM 6 months 22 M€
AuM 12 months 26 M€
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