Components Franklin Global Dividend Quality Index ETF - CAD

ETF

FLGD

CA35376A1093

Market Closed - Toronto S.E. 14:52:31 02/05/2024 BST 5-day change 1st Jan Change
25.88 CAD -0.04% Intraday chart for Franklin Global Dividend Quality Index ETF - CAD 0.00% 0.00%

Composition of Franklin Global Dividend Quality Index ETF - CAD

Weight
141.1 CAD +0.09%+1.95%+5.28%2.21%
98.93 USD +1.64%+1.83%-9.50%2.21%
119.1 AUD +1.34%+2.17%+6.55%2.17%
182.1 USD +0.85%+1.36%+25.89%2.14%
160.8 USD +0.22%-1.86%+3.73%2.14%
187 USD +0.93%+4.55%+9.73%2.11%
1,333 USD +2.08%+4.28%+19.40%2.10%
115.6 USD -0.03%+8.46%+18.72%2.08%
310.2 USD -0.87%-0.37%+7.68%2.08%
5,548 GBX -1.02%-0.86%-5.12%2.07%
1,241 CHF -1.37%+2.82%+2.10%2.06%
130.1 USD -0.13%+2.00%+19.30%2.02%
265.6 EUR +0.02%+0.57%+9.82%2.02%
330.6 USD -0.81%+3.14%+37.27%2.01%
802 TWD +0.75%+2.82%+35.24%2.01%
92.81 CHF +0.53%+5.54%+9.39%2.00%
147.4 USD -0.47%+0.64%-6.27%2.00%
48.06 USD +0.56%+1.99%-4.87%2.00%
455.8 CHF -0.36%+3.94%+3.80%1.99%
149.9 USD +0.04%+0.43%-4.36%1.99%
78.8 SAR -0.25%-2.72%-8.90%1.98%
165.8 USD +0.22%+3.48%+11.17%1.97%
4,318 GBX +0.69%+2.64%+13.76%1.97%
226.4 CHF +0.56%+4.37%-7.24%1.96%
65.67 CAD +0.18%+2.40%+1.81%1.96%
63.26 USD +0.60%+1.75%+7.35%1.95%
121.9 USD -1.20%-0.26%+5.03%1.93%
468.9 USD +0.10%+1.51%+3.45%1.93%
122.6 USD +1.03%+2.04%+2.89%1.92%
136.7 USD +0.01%+0.43%+12.48%1.91%
166.8 USD +0.49%+1.45%+13.86%1.86%
28.01 USD -0.60%+0.72%-2.71%1.83%
118 USD -0.41%+1.69%+17.98%1.83%
5,037 JPY -1.52%-0.26%+42.73%1.78%
111.6 USD +0.27%+0.09%+3.63%1.77%
4,469 JPY +3.69%+2.08%-0.38%1.70%
160.2 JPY -1.29%-5.65%-7.02%1.33%
298.6 USD +1.37%+6.37%+24.64%1.29%
3,334 JPY -1.01%+2.33%+25.53%1.17%
68.51 CAD -6.70%-4.52%-0.31%1.06%
168.9 USD -0.22%+1.78%+31.42%1.04%
101.4 USD -0.26%+2.27%+6.62%1.03%
73.95 USD -0.46%-0.19%-6.98%0.94%
108.5 USD +0.29%+3.68%+23.06%0.89%
431.8 INR -0.35%-1.05%-6.55%0.85%
38.1 SAR -0.65%+2.14%-5.69%0.82%
4,137 JPY -3.23%-5.83%-3.16%0.80%
247.6 GBX -0.38%+0.47%-1.33%0.75%
16.54 AED -1.43%+2.22%-15.78%0.73%
49.2 EUR -0.21%+5.21%+8.66%0.71%
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ETF Ratings

Description

CA35376A1093
Total Expense Ratio 0.37%
Asset Class
Sector
Size
Currency
Provider
Underlying LibertyQ Global Dividend Net Return Index - CAD

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
27/01/2018
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 29/04/2024 )

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