Franklin US Mid Cap Multifactor Index ETF
 
 
 
 
基本資料
種類: ETF
費用比率%: 0.30
資產淨值: 58.20
成立日期: 26/04/2017
 
分析
市值分佈:
99.35%
大市值
0.25%
中市值
--
小市值
持股比例加總可能不達100%,原因包括ETF持有現金或衍生工具。
 
 
行業分佈 國家/地區分佈
 
投資組合
 (更新時間: 12/09/2026 05:18) 總持有投資項目: 125  
0%
 
100%
     10大 (11.31%)
代號 名稱 佔比% ▼ 持有日期
REGRegency Centers Corp0.2131/08/2026
INGRIngredion0.1931/07/2026
TWTradeweb Markets0.1831/07/2026
ANAutoNation0.1831/07/2026
VNTVontier Corp0.1831/07/2026
MKTXMarketAxess Holdings0.1631/08/2026
APPFAppFolio0.1431/07/2026
NXSTNexstar Media Group0.1431/08/2026
DLBDolby Laboratories IncClass A0.1431/07/2026
LOPEGrand Canyon Education0.1431/08/2026
RNGRINGCENTRAL0.1231/07/2026
BYDBoyd Gaming Corp0.1231/07/2026
VSXYVictorias Secret & Co.0.1230/06/2022
PEGAPegasystems Inc0.1131/08/2026
CARTMaplebear0.1131/07/2026
YETIYETI Holdings0.1031/07/2026
CHWYChewy0.1031/08/2026
SONSonoco Products Company0.0831/08/2026
OZKBank OZK0.0831/07/2026
UIUbiquiti0.0731/07/2026
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