Components Franklin FTSE Japan Hedged ETF - USD

ETF

FLJH

US35473P6372

Market Closed - Nyse 21:10:00 09/05/2024 BST 5-day change 1st Jan Change
31.31 USD +0.35% Intraday chart for Franklin FTSE Japan Hedged ETF - USD +0.51% +19.53%

Composition of Franklin FTSE Japan Hedged ETF - USD

Weight
4,613 JPY +0.48%-0.54%+25.08%0.60%
4,159 JPY -0.50%+0.95%+35.21%0.59%
2,604 JPY +0.93%-2.09%+12.66%0.59%
2,504 JPY -0.71%-5.01%-1.79%0.59%
6,828 JPY +0.32%-1.61%+16.92%0.58%
3,430 JPY -0.12%-4.56%-4.30%0.57%
3,426 JPY +6.30%+7.00%+28.99%0.54%
1,548 JPY -1.75%-2.55%+34.25%0.54%
3,453 JPY -0.06%+2.49%+22.26%0.53%
1,541 JPY -0.23%+1.05%-8.60%0.53%
1,386 JPY +1.28%+0.80%-0.72%0.52%
6,956 JPY +0.29%-6.24%+22.14%0.52%
2,866 JPY -0.61%-4.27%+5.79%0.52%
50,960 JPY +2.21%+10.49%+45.68%0.51%
3,603 JPY +2.65%-1.21%+20.42%0.50%
5,759 JPY +0.12%-2.49%+5.86%0.49%
41,020 JPY -1.72%+3.19%+10.36%0.49%
4,335 JPY +0.86%-1.63%+1.47%0.49%
1,768 JPY 0.00%-2.75%+17.19%0.48%
6,673 JPY +1.43%+1.23%+15.05%0.47%
3,410 JPY +0.29%-1.90%+5.57%0.46%
6,452 JPY +1.07%-1.66%+21.99%0.46%
5,484 JPY +0.35%+1.03%+4.30%0.45%
1,890 JPY -0.16%-0.92%-8.14%0.44%
2,282 JPY +1.09%+4.15%+11.84%0.44%
1,506 JPY +0.70%+0.43%+19.57%0.43%
7,140 JPY +0.66%-0.29%+6.30%0.43%
2,855 JPY +3.07%+1.35%+54.44%0.43%
1,242 JPY -6.44%-10.81%+50.71%0.41%
2,462 JPY -0.16%-2.30%+16.00%0.40%
3,279 JPY +0.86%+0.34%+4.06%0.40%
3,072 JPY +0.72%-0.52%+33.64%0.39%
4,429 JPY -1.14%+2.43%+1.33%0.38%
1,572 JPY +1.16%-0.79%+9.44%0.37%
2,880 JPY +0.31%+0.84%+48.22%0.37%
10,805 JPY -0.64%-3.48%+29.40%0.37%
879.5 JPY -1.82%+1.22%+37.92%0.35%
4,911 JPY +1.95%+3.80%-3.67%0.34%
10,580 JPY 0.00%-2.53%+4.19%0.34%
3,216 JPY +0.69%-1.95%+18.85%0.34%
6,689 JPY +1.20%+2.14%-5.15%0.33%
9,709 JPY -1.21%-0.81%+16.86%0.33%
15,255 JPY +1.46%+1.26%+32.65%0.33%
7,489 JPY +1.24%+1.35%+10.16%0.32%
2,368 JPY +1.48%+0.72%+24.34%0.31%
4,054 JPY -0.52%+3.52%-1.15%0.30%
25,600 JPY +1.49%-1.20%+17.24%0.30%
3,628 JPY +0.14%+0.19%+15.84%0.30%
1,824 JPY -0.79%-4.10%+5.66%0.29%
5,389 JPY +1.18%-0.07%+28.49%0.29%
0d1.QsMGoGulordKGC00C7186KN1lWg0LeqPqurTC-WfGKg.C49exF3zlf15fmcEbccjxcEXxgIMaZjOyYuDPq_7bfEa9muNBPz69AsuGQ

ETF Ratings

Description

Features and characteristics

Jurisdiction
Replication Method
Replication Model
Date of creation
01/11/2017
Dividend Policy
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

AuM (EUR) 0 M€
AuM 1M 0 M€
AuM 3 months 0 M€
AuM 6 months 0 M€
AuM 12 months 0 M€
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