Components Franklin International Multifactor Index ETF - CAD

ETF

FLDM

CA3537711085

Market Closed - Toronto S.E. 18:58:16 10/05/2024 BST 5-day change 1st Jan Change
23.9 CAD +0.17% Intraday chart for Franklin International Multifactor Index ETF - CAD +0.63% 0.00%

Composition of Franklin International Multifactor Index ETF - CAD

Weight
43.2 AUD +0.68%+1.05%-14.30%2.23%
864.5 EUR +1.96%+3.42%+26.82%2.15%
5,605 GBX +0.38%+2.52%-4.06%2.14%
94.33 EUR +1.23%+3.32%+5.09%2.08%
1,800 GBX +1.07%+3.81%+24.09%2.08%
92.32 CHF +1.97%+4.94%+8.78%2.07%
696 GBX +0.74%-1.35%+9.52%2.06%
225.1 CHF +1.26%+3.59%-7.93%2.04%
4,288 GBX +0.52%+2.39%+12.84%2.02%
3,459 GBX +0.23%+3.01%+11.22%2.02%
883.2 DKK +0.07%+1.16%+26.51%1.99%
68.68 EUR +0.48%+3.50%+11.49%1.94%
20.28 EUR 0.00%-0.25%-4.11%1.94%
2,946 GBX +1.29%+3.06%+14.56%1.94%
5,799 JPY -0.03%-1.74%-1.98%1.84%
476 GBX +2.69%+4.62%+0.83%1.82%
2,433 GBX +1.33%+3.31%+5.99%1.81%
2,296 EUR -0.30%+0.48%+19.66%1.73%
42.88 EUR +0.28%+0.14%+8.75%1.58%
9,086 JPY +0.96%+1.98%+32.02%1.52%
4.734 EUR -0.74%+4.50%+25.27%1.48%
25.94 AUD -1.01%-1.50%-10.67%1.33%
71.2 EUR +0.84%+5.26%+13.76%1.31%
3,372 JPY -0.38%-2.65%+49.77%1.30%
28.32 AUD -1.10%+3.59%-8.85%1.29%
7,137 JPY -1.69%-3.61%+23.77%1.29%
8,007 JPY +2.01%+3.20%+8.81%1.27%
68.19 EUR -0.23%-4.74%+9.02%1.27%
4,467 JPY +3.64%+2.08%-0.38%1.19%
7,864 JPY -0.19%+1.59%+48.51%1.18%
39.58 EUR +1.57%-0.55%-11.76%1.17%
1,394 GBX +0.14%+2.39%+25.53%1.16%
36.02 EUR 0.00%+5.35%+46.65%1.10%
405 USD -0.60%-5.88%+19.67%1.10%
312.8 NOK +2.64%+4.91%-2.92%1.07%
101.6 EUR -0.05%-0.88%+0.81%1.05%
9.71 EUR +1.15%-1.42%+18.04%1.02%
160.5 JPY -1.11%-5.48%-6.85%0.97%
4,367 JPY -0.98%+1.32%+19.75%0.96%
1,258 CHF +1.70%+4.48%+3.75%0.91%
15.18 EUR 0.00%+3.21%-1.09%0.90%
2,774 GBX +1.37%+2.97%+40.74%0.90%
1,950 JPY -0.20%+2.66%+10.80%0.78%
37.66 EUR +0.16%+1.21%-16.78%0.74%
29.69 EUR +0.78%+5.66%+14.13%0.72%
1,868 GBX +0.08%+2.30%+3.40%0.70%
14.84 EUR +0.51%+3.23%+10.33%0.69%
1,763 JPY +1.53%-0.56%+20.29%0.65%
248.9 CHF -0.64%+1.84%-14.11%0.63%
493e985.RvLPiqAJTSvaicq0WPZl16kanhAqVq5lx-Kq50AIdR8.BbCc3pljPR-_w_vxMZAfk-VCy3ZTNZogoLWTvRBCD2csnovj6DgifJHqkw

ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
04/06/2017
Dividend Policy
Factor
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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