Franklin Intelligent Machines ETF
 
 
 
 
基本資料
種類: ETF
費用比率%: 0.50
資產淨值: 92.60
成立日期: 25/02/2020
 
分析
市值分佈:
85.93%
大市值
0.20%
中市值
0.36%
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: 07/03/2026 05:57) 總持有投資項目: 70  
0%
 
100%
     10大 (42.32%)
代號 名稱 佔比% 持有日期
VRTVertiv Holdings Co1.3228/02/2026
GOOGLAlphabet1.1828/02/2026
AVAVAeroVironment1.1628/02/2026
FTITechnipFMC plc1.0828/02/2026
ADSKAutodesk0.9128/02/2026
TTMITTM Technologies0.8328/02/2026
TELTE Connectivity plc0.8028/02/2026
RNMBYRheinmetall AG0.8028/02/2026
SNDKSanDisk Corp.0.7928/02/2026
NBISNebius Group N.V.0.7728/02/2026
MPWRMonolithic Power Systems0.7728/02/2026
KRMNKarman Holdings Inc0.7228/02/2026
HSAIHesai Group American Depositary Share each ADS represents one0.7228/02/2026
ESLTElbit Systems Ltd0.7128/02/2026
BKRBaker Hughes Company0.6928/02/2026
PSTGEverpure Inc.0.6828/02/2026
SYMSymbotic0.6628/02/2026
GRMNGarmin Ltd0.6328/02/2026
BYDDFBYD Co., Ltd.0.6228/02/2026
CWCurtiss-Wright Corp0.6128/02/2026
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