Components Franklin International Multifactor Index ETF - CAD

ETF

FLDM

CA3537711085

Delayed Toronto S.E. 01:04:00 2024-07-10 pm EDT 5-day change 1st Jan Change
23.83 CAD +0.38% Intraday chart for Franklin International Multifactor Index ETF - CAD 0.00% 0.00%

Composition of Franklin International Multifactor Index ETF - CAD

Weight
141.2 GBX +0.36%+1.22%+14.24%-.--%
15.3 EUR -0.08%-2.30%+23.78%-.--%
0.87 SGD +1.75%+2.35%-13.00%-.--%
40.83 EUR +1.32%+1.77%-8.97%-.--%
102.2 EUR +2.45%+3.84%+26.27%-.--%
478.4 GBX -0.09%-0.97%+1.32%-.--%
108.6 EUR +1.31%+1.59%-2.91%-.--%
239.3 EUR +0.29%+2.88%+10.63%-.--%
43.46 EUR +0.49%+1.49%-6.17%-.--%
72.15 EUR +0.84%+1.69%+11.60%-.--%
6,643 JPY -0.70%+7.21%-2.28%-.--%
10,890 DKK -3.50%-11.57%-10.30%-.--%
35.06 CHF -0.28%+4.38%+29.56%-.--%
980.3 DKK +1.34%+0.65%+40.42%-.--%
9.786 EUR +0.78%+1.79%+18.96%-.--%
2,148 JPY -0.56%+2.36%+3.94%-.--%
18.35 EUR +0.22%+0.27%-0.60%-.--%
2,191 JPY -1.20%-3.12%+20.65%-.--%
16.46 EUR -0.60%+0.73%+10.40%-.--%
1,104 GBX +0.05%-0.09%+50.41%-.--%
13.86 EUR -0.14%-1.70%+6.16%-.--%
9.94 EUR +0.30%+1.68%-3.53%-.--%
2,396 GBX +0.08%-1.96%+21.59%-.--%
1,494 JPY +0.27%-2.67%+25.06%-.--%
2,170 EUR +2.50%+2.55%+13.09%-.--%
28.94 AUD +0.35%-0.99%-6.83%-.--%
111.6 EUR -0.09%+0.36%+3.43%-.--%
25.12 EUR +1.70%-2.33%-12.04%-.--%
2,444 JPY -1.39%-1.27%+28.30%-.--%
37.12 EUR +1.31%+0.27%+51.09%-.--%
14.36 AUD +0.21%+1.92%+5.59%-.--%
3,411 JPY -0.70%-2.38%+5.34%-.--%
62,530 JPY -8.77%-3.17%+78.76%-.--%
723.4 GBX +0.56%+0.06%+8.52%-.--%
6.21 AUD -0.16%+3.50%+15.64%-.--%
4,525 JPY -0.35%+3.00%+0.87%-.--%
7.94 AUD 0.00%-0.75%+4.47%-.--%
1,077 JPY -0.28%-1.73%+13.75%-.--%
39.6 EUR +0.92%-4.12%-0.43%-.--%
26.76 EUR +0.45%+3.96%-6.11%-.--%
1,490 JPY +2.58%+3.87%+0.91%-.--%
525.5 CHF 0.00%+2.74%+3.85%-.--%
100.1 CHF +0.79%+3.57%+17.90%-.--%
2,684 JPY +0.56%-1.95%+43.35%-.--%
17,360 JPY +2.36%+3.43%+6.18%-.--%
1,606 ILa +0.38%-0.56%-11.66%-.--%
3,016 GBX +0.80%+0.60%+24.58%-.--%
273.1 GBX +1.37%+6.06%+12.25%-.--%
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ETF Ratings

Description

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Replication Model
Date of creation
2017-06-04
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-05-30 )

AuM (EUR) 5 M€
AuM 1M 5 M€
AuM 3 months 5 M€
AuM 6 months 3 M€
AuM 12 months 3 M€
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