Components Franklin Global Equity SRI UCITS ETF - USD

ETF

FLXG

IE00BF2B0N83

Delayed Swiss Exchange 09:25:01 10/06/2024 am IST 5-day change 1st Jan Change
30.49 GBX +0.35% Intraday chart for Franklin Global Equity SRI UCITS ETF - USD +0.55% +4.52%

Composition of Franklin Global Equity SRI UCITS ETF - USD

Weight
154.4 USD -0.86%-1.72%+18.79%1.25%
949.2 EUR -1.01%+7.81%+39.25%1.25%
879 TWD -1.68%+7.06%+48.23%1.23%
271.9 USD -0.86%-3.50%+13.48%1.22%
962.7 USD +0.06%+3.25%+22.91%1.21%
138.1 USD -0.22%-2.84%+3.70%1.21%
198.7 USD -0.59%-3.43%+2.91%1.18%
213 USD +1.54%-1.27%+11.79%1.18%
983 DKK -0.10%+6.40%+40.81%1.16%
60.31 USD +0.67%+1.17%+15.87%1.15%
40.36 USD -5.04%-3.77%-2.49%1.10%
892.2 USD +1.50%-3.17%+7.67%1.09%
2,150 EUR -2.32%-0.97%+12.00%1.07%
195.6 USD -0.30%+0.31%+14.75%1.07%
63.89 USD -0.19%-3.17%-1.36%1.06%
3,515 GBX -0.45%+2.78%+13.09%1.05%
10,365 JPY +1.77%-0.77%+50.65%1.05%
67.46 USD +0.10%-1.88%+3.56%1.04%
327 USD -1.23%-2.34%-5.63%1.03%
4,382 GBX -0.32%+1.69%+15.26%1.03%
170.9 CAD -1.27%-1.49%+2.62%1.03%
40.94 USD -0.94%-0.51%+8.59%1.01%
423.8 USD -0.16%+2.10%+12.71%1.01%
63.91 USD -0.37%+1.56%+8.45%1.01%
63.8 USD -7.12%-6.47%+16.32%1.01%
171 USD -1.25%-1.08%+0.71%0.99%
403.7 USD -0.77%+1.69%+3.36%0.99%
64.6 CAD -0.17%+0.12%+0.16%0.98%
240.4 USD -0.23%-0.96%-8.22%0.98%
305 USD -0.22%-0.27%+5.90%0.96%
1,960 JPY +0.69%+1.98%+11.37%0.96%
453.8 EUR -0.35%+0.98%+0.67%0.96%
91.61 USD -0.30%-3.11%+0.70%0.95%
115.6 USD -0.59%-1.93%+7.30%0.95%
210 USD +0.83%+1.16%+10.83%0.94%
149.2 EUR -0.23%+2.26%+15.93%0.91%
76.45 CAD -0.20%+0.33%-10.71%0.90%
270.9 USD +0.43%-5.03%+26.00%0.90%
112.5 CHF -1.01%-0.92%+18.97%0.90%
136.8 USD -0.44%+2.97%+0.01%0.89%
39.24 EUR -0.65%+1.42%-12.61%0.87%
76.24 CAD -0.17%-4.54%+2.13%0.87%
225.4 USD -2.83%+0.22%-12.88%0.86%
37.77 EUR +0.35%+1.94%+16.36%0.86%
168.5 USD -0.77%-3.83%-16.84%0.86%
146.3 USD +0.44%-9.02%-12.38%0.85%
228.5 CAD -0.36%+0.22%+12.11%0.83%
40.74 EUR -1.61%+6.33%-9.98%0.82%
4,299 JPY +0.84%-1.31%-4.17%0.82%
3,468 JPY +0.81%-0.40%+30.57%0.81%
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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
06/09/2017
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 31/05/2024 )

AuM (EUR) 18 M€
AuM 1M 17 M€
AuM 3 months 18 M€
AuM 6 months 16 M€
AuM 12 months 25 M€
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