Components Franklin U.S. Low Volatility High Dividend Index ETF - USD

ETF

LVHD

US52468L4068

Market Closed - Nasdaq 21:00:00 26/06/2024 BST 5-day change 1st Jan Change
35.72 USD -0.42% Intraday chart for Franklin U.S. Low Volatility High Dividend Index ETF - USD +0.11% -1.73%

Composition of Franklin U.S. Low Volatility High Dividend Index ETF - USD

Weight
263.7 USD -1.27%-4.00%-3.69%2.91%
69.31 USD -0.43%+9.75%-14.44%2.90%
102 USD -0.08%+0.71%+8.38%2.75%
167.4 USD +0.36%-0.66%+14.27%2.65%
99.95 USD -0.25%-0.08%+3.00%2.63%
139.2 USD +0.54%-1.76%+14.53%2.62%
64.05 USD +0.33%+2.27%+8.69%2.58%
146.8 USD -0.25%+0.80%-6.33%2.55%
98.23 USD -0.48%+1.26%+23.23%2.54%
87.16 USD +0.31%-0.45%+7.31%2.53%
467 USD -0.23%+1.52%+3.03%2.49%
27.42 USD -2.04%+0.04%-4.76%2.45%
34.8 USD -0.06%-0.26%-3.06%2.45%
64.17 USD -4.59%-3.74%-1.49%2.44%
281.7 USD -0.51%+2.88%+17.57%2.42%
41.02 USD -0.15%+2.35%+8.81%2.42%
46.86 USD -1.10%+1.94%-7.24%2.37%
166.7 USD -0.36%+0.16%-1.83%2.37%
61.25 USD -0.54%+0.77%+19.07%2.25%
101.4 USD -0.59%+0.67%-7.20%2.22%
18.76 USD +0.37%+3.93%+11.80%2.20%
53.79 USD +0.09%+1.26%-13.12%2.12%
57.38 USD -1.19%-2.41%+2.63%2.02%
49.25 USD +0.12%-0.34%+4.79%1.99%
89.67 USD +0.31%-0.80%-1.43%1.72%
4.65 USD -1.27%-3.33%-5.30%1.64%
39.71 USD -0.77%+1.07%-8.25%1.60%
56.97 USD -0.21%-1.78%-7.70%1.56%
107.7 USD -0.35%-4.15%-14.79%1.45%
63.41 USD -1.58%-2.37%-2.10%1.43%
78.15 USD -0.22%+0.13%-7.15%1.42%
106.4 USD -0.23%+0.33%+5.15%1.36%
195.2 USD +0.57%-0.68%-7.31%1.35%
88.69 USD -1.24%-2.71%+2.52%1.34%
102.8 USD -0.95%-3.06%+20.36%1.24%
45.63 USD +3.26%+1.49%+5.55%1.17%
29.13 USD -0.07%-1.52%-10.75%1.17%
46.61 USD +0.04%+0.78%+28.93%1.06%
44.03 USD +0.36%-0.25%-10.78%1.03%
48.48 USD -0.45%-1.36%-4.98%0.98%
50.46 USD -0.16%+1.69%-1.64%0.98%
55.06 USD -0.34%-0.29%-15.04%0.90%
18.77 USD +0.05%-0.16%-11.92%0.85%
52.83 USD -0.08%+0.06%+1.21%0.84%
104.3 USD -2.06%-3.17%+6.80%0.75%
16.54 USD +0.55%+2.48%-2.07%0.74%
22.93 USD +1.01%+3.85%-6.79%0.73%
186.6 USD -0.43%+0.39%+14.55%0.71%
75.64 USD +0.56%+1.20%+5.29%0.69%
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ETF Ratings

Description

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Fund Structure
Replication Model
Date of creation
27/12/2015
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 30/05/2024 )

AuM (EUR) 544 M€
AuM 1M 556 M€
AuM 3 months 606 M€
AuM 6 months 795 M€
AuM 12 months 954 M€
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  4. Components Franklin U.S. Low Volatility High Dividend Index ETF - USD