Franklin Templeton ETF Trust (FSML)
प्रबंधन कंपनी · ARCX · श्रृंखला S000097279 · SEC EDGAR पर देखें ↗
इस फंड के लिए होल्डिंग्स डेटा अभी उपलब्ध नहीं है।
इस पृष्ठ पर
फंड प्रवाह (एसईसी-रिपोर्टेड)
- पिछला महीना (मा 2026)
- +$19.5M
- तिमाही समाप्त मा 2026
- +$116.3M
- पिछला 6 महीने
- +$118.8M
अक्ट 2025 – मा 2026
Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.
पूर्ण संरचना 300 होल्डिंग्स
| नाम | CUSIP | मूल्य | % | शेष | श्रेणी | देश |
|---|---|---|---|---|---|---|
| Miami International Holdings Inc. | 59356Q108 | $117K | 0.10 | 2995 | EC | US |
| TTM Technologies Inc | 87305R109 | $116K | 0.10 | 1193 | EC | US |
| International Bancshares Corp | 459044103 | $115K | 0.10 | 1710 | EC | US |
| AXOGEN INC | 05463X106 | $115K | 0.10 | 3472 | EC | US |
| Globalstar Inc | 378973507 | $115K | 0.10 | 1729 | EC | US |
| Tarsus Pharmaceuticals Inc | 87650L103 | $115K | 0.10 | 1637 | EC | US |
| Eagle Bancorp Inc | 268948106 | $115K | 0.10 | 4606 | EC | US |
| REAL BROKERAGE INC (THE) | 75585H206 | $114K | 0.10 | 45741 | EC | CA |
| OFG Bancorp | 67103X102 | $114K | 0.10 | 2821 | EC | PR |
| Dycom Industries, Inc. | 267475101 | $114K | 0.10 | 336 | EC | US |
| Cohen And Steers Inc. | 19247A100 | $114K | 0.10 | 1820 | EC | US |
| Hecla Mining Company | 422704106 | $114K | 0.10 | 6102 | EC | US |
| Piper Sandler Companies | 724078209 | $114K | 0.10 | 1484 | EC | US |
| Amneal Pharmaceuticals Inc | 03168L105 | $114K | 0.10 | 9133 | EC | US |
| Caretrust Reit Inc | 14174T107 | $113K | 0.10 | 3094 | EC | US |
| Essential Properties Realty Trust Inc. | 29670E107 | $113K | 0.10 | 3731 | EC | US |
| Bancorp Inc | 05969A105 | $113K | 0.10 | 2101 | EC | US |
| LoanDepot Inc. | 53946R106 | $113K | 0.10 | 79443 | EC | US |
| Coursera Inc | 22266M104 | $112K | 0.10 | 19292 | EC | US |
| PROG Holdings Inc. | 74319R101 | $112K | 0.10 | 3913 | EC | US |
| COVENANT LOGISTICS GROUP INC | 22284P105 | $112K | 0.10 | 4131 | EC | US |
| PJT Partners Inc. | 69343T107 | $112K | 0.10 | 800 | EC | US |
| Kforce Inc | 493732101 | $112K | 0.10 | 3822 | EC | US |
| Red Rock Resorts Inc | 75700L108 | $112K | 0.10 | 2093 | EC | US |
| National Health Investors, Inc. | 63633D104 | $111K | 0.10 | 1370 | EC | US |
| Northrim BanCorp Inc. | 666762109 | $110K | 0.10 | 4825 | EC | US |
| IBEX LTD | — | $110K | 0.10 | 4113 | EC | BM |
| Moelis & Co. | 60786M105 | $110K | 0.10 | 1935 | EC | US |
| Aspen Aerogels Inc | 04523Y105 | $110K | 0.10 | 32214 | EC | US |
| Kura Oncology Inc. | 50127T109 | $110K | 0.10 | 13534 | EC | US |
| INTERDIGITAL INC | 45867G101 | $110K | 0.10 | 364 | EC | US |
| BK TECHNOLOGIES CORP | 05587G203 | $109K | 0.10 | 1464 | EC | US |
| Aurinia Pharmaceuticals Inc | 05156V102 | $109K | 0.10 | 7371 | EC | CA |
| Cargurus Inc | 141788109 | $108K | 0.10 | 3185 | EC | US |
| Ardelyx Inc | 039697107 | $108K | 0.10 | 18044 | EC | US |
| Cal-Maine Foods Inc. | 128030202 | $108K | 0.10 | 1365 | EC | US |
| Hanmi Financial Corp. | 410495204 | $108K | 0.10 | 4095 | EC | US |
| ARTERIS INC | 04302A104 | $108K | 0.10 | 6552 | EC | US |
| Daktronics Inc. | 234264109 | $107K | 0.10 | 5495 | EC | US |
| Atkore Inc | 047649108 | $107K | 0.10 | 1823 | EC | US |
| Zymeworks Inc | 98985Y108 | $107K | 0.10 | 4277 | EC | US |
| Itron, Inc. | 465741106 | $107K | 0.10 | 1193 | EC | US |
| Healthequity Inc | 42226A107 | $106K | 0.09 | 1274 | EC | US |
| Frequency Electronics Inc. | 358010106 | $106K | 0.09 | 2403 | EC | US |
| Arvinas Inc | 04335A105 | $104K | 0.09 | 9772 | EC | US |
| Werner Enterprises Inc. | 950755108 | $103K | 0.09 | 3515 | EC | US |
| Merit Medical Systems Inc. | 589889104 | $103K | 0.09 | 1493 | EC | US |
| Hovnanian Enterprises, Inc. | 442487401 | $103K | 0.09 | 927 | EC | US |
| Haverty Furniture Cos Inc | 419596101 | $102K | 0.09 | 4823 | EC | US |
| Hyster-Yale Inc | 449172105 | $102K | 0.09 | 3125 | EC | US |
संस्थागत मालिक (13F) 3 फाइलर्स
संस्थाएं जो अपनी तिमाही SEC फॉर्म 13F में इस ETF को रखने की रिपोर्ट करती हैं। केवल लॉन्ग पोजीशन; एक ही फाइलर अलग-अलग ऑप्शन लेग्स के लिए दो बार दिखाई दे सकता है। बड़े ऑफसेटिंग पुट/कॉल लेग्स आमतौर पर मार्केट-मेकिंग या हेज्ड इन्वेंट्री को दर्शाते हैं, न कि दिशात्मक विश्वास को।
| संस्था | मूल्य | % ट्रैक किए गए 13F का | शेयर | प्रकार | तिथि अनुसार |
|---|---|---|---|---|---|
| FRANKLIN RESOURCES INC | $150283886 | 98.34% | 4856876 | शेयर | 30 जून 2026 |
| Horizon Family Wealth, Inc. | $2228634 | 1.46% | 72025 | शेयर | 30 जून 2026 |
| CITADEL ADVISORS LLC | $302092 | 0.20% | 9763 | शेयर | 30 जून 2026 |
सहकर्मी फंड
आकार में समान
| फंड | AUM |
|---|---|
| UPGD Invesco Exchange-Traded Fund Tr… | $112.6M |
| IQHI New York Life Investments Activ… | $112.8M |
| INDS Pacer Funds Trust | $113.8M |
| IROC Invesco Actively Managed Exchan… | $114.2M |
| CRPT First Trust Exchange-Traded Fun… | $114.6M |
| RBIL RBB Fund, Inc. | $112.5M |
| SNOV First Trust Exchange-Traded Fun… | $112.4M |
| WEBL Direxion Shares ETF Trust | $112.0M |
| ENOR iShares Trust | $111.1M |
| FEUS FlexShares Trust | $110.7M |