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

ETF

LVHD

US52468L4068

Market Closed - Nasdaq 04:00:00 2024-05-24 pm EDT 5-day change 1st Jan Change
35.88 USD 0.00% Intraday chart for Franklin U.S. Low Volatility High Dividend Index ETF - USD -2.90% -1.29%

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

Weight
264.6 USD +0.61%+0.73%-3.36%2.91%
65.68 USD -0.74%-3.01%-18.92%2.90%
99.93 USD +0.28%+0.10%+6.22%2.75%
165.3 USD -0.10%-1.38%+12.82%2.65%
102.2 USD +0.37%-1.66%+5.29%2.63%
131.9 USD +0.08%-1.75%+8.58%2.62%
62 USD -0.14%-1.63%+5.21%2.58%
147 USD -1.82%-4.96%-6.23%2.55%
93.3 USD -0.46%-0.88%+17.05%2.54%
88.97 USD -0.35%-3.99%+9.54%2.53%
467.4 USD +0.06%+0.25%+3.11%2.49%
28.88 USD +0.66%+0.84%+0.31%2.45%
36.69 USD -0.92%-4.90%+2.20%2.45%
68.3 USD -1.14%-4.13%+4.85%2.44%
284.9 USD +0.36%-0.23%+18.93%2.42%
39.74 USD +0.79%-0.80%+5.41%2.42%
46.42 USD -0.39%-3.63%-8.12%2.37%
178 USD -0.71%-2.31%+4.80%2.37%
63.58 USD +0.89%-0.76%+23.60%2.25%
99.67 USD +0.16%-5.31%-8.83%2.22%
17.5 USD +0.17%+0.57%+4.29%2.20%
53.72 USD -0.61%-3.24%-13.23%2.12%
61.04 USD -0.47%-0.84%+9.18%2.02%
52.79 USD +0.48%-1.33%+12.32%1.99%
94.43 USD +0.60%-2.75%+3.80%1.72%
5.04 USD 0.00%+0.60%+2.65%1.64%
40.53 USD +1.27%-2.17%-6.35%1.60%
57.53 USD 0.00%-5.63%-6.79%1.56%
109.8 USD -0.57%-4.72%-13.14%1.45%
66.02 USD +0.33%-0.60%+1.93%1.43%
80.7 USD +0.04%-5.61%-4.12%1.42%
109.1 USD -0.24%-3.44%+7.86%1.36%
214.9 USD +1.34%+0.84%+2.05%1.35%
95.11 USD +0.94%-1.06%+9.94%1.34%
94.19 USD +0.78%-1.13%+10.33%1.24%
45.34 USD -0.66%-2.41%+4.88%1.17%
31.7 USD +0.96%-0.25%-2.88%1.17%
45.46 USD +2.94%+11.86%+25.75%1.06%
44.65 USD +0.34%-3.02%-9.52%1.03%
50.75 USD +1.68%-2.93%-0.53%0.98%
49.95 USD -0.12%-3.89%-2.63%0.98%
56.78 USD -0.96%-5.54%-12.39%0.90%
18.47 USD -0.54%-3.90%-13.33%0.85%
53.43 USD +0.04%-3.05%+2.36%0.84%
109.4 USD +0.51%+3.24%+12.06%0.75%
16.89 USD +0.96%-3.98%0.00%0.74%
24.06 USD -1.55%-2.87%-2.20%0.73%
183.8 USD +1.96%+0.35%+12.80%0.71%
76.82 USD +0.44%-2.07%+6.93%0.69%
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ETF Ratings

Description

Features and characteristics

Jurisdiction
Fund Structure
Replication Method
Replication Model
Date of creation
2015-12-26
Dividend Policy
Factor
Geographical Focus

Distribution

Retail investor

AuM evolution ( 2024-04-29 )

AuM (EUR) 562 M€
AuM 1M 608 M€
AuM 3 months 672 M€
AuM 6 months 775 M€
AuM 12 months 1,139 M€
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  4. Components Franklin U.S. Low Volatility High Dividend Index ETF - USD