FLQL
Franklin U.S. Large Cap Multifactor Index ETF·CBOE
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Key Stats
Assets Under Management
1.63BUSD
Fund Flow (1Y)
8.48MUSD
Dividend Yield
1.19%
Discount / Premium to NAV
-0.01%
Shares Outstanding
24.70M
Expense Ratio
0.15%
About Franklin U.S. Large Cap Multifactor Index ETF
Issuer
Franklin Advisory Services, LLC
Brand
Franklin
Inception Date
Apr 26, 2017
Structure
Open-Ended Fund
Index Tracked
LibertyQ U.S. Large Cap Equity Index
Management Style
Passive
Dividend Treatment
Distributes
Distribution Tax Treatment
Qualified dividends
Income Tax Type
Capital Gains
Max ST Capital Gains Rate
39.60%
Max LT Capital Gains Rate
20.00%
Primary Advisor
Franklin Advisory Services LLC
Distributor
Franklin Distributors LLC
FLQL is a multi-factor approach to the US equity market. The fund's index starts with a Russell 1000 universe, an expansive definition of the large-cap space that includes many firms we consider midcaps. Then it scores each stock on four fundamental and technical factors: quality (50% weight), value (30%), momentum (10%), and low volatility (10%). Finally, the index selects stocks with the highest four-factor composite scores. Holdings are weighted by the composite score, scaled by market cap. FLQL may appeal to investors seeking diversified core US exposure with comprehensive factor tilts. The index undergoes semi-annual rebalance and reconstitution with issuer weights capped at 1% each. Prior to Aug. 1, 2022, the fund traded under the name Franklin LibertyQ U.S. Equity ETF.
Classification
Asset Class
Equity
Category
Size and Style
Focus
Large Cap
Niche
Broad-based
Strategy
Multi-factor
Geography
U.S.
Weighting Scheme
Multi-Factor
Selection Criteria
Multi-factor
Analysis
Sector
Technology
32.65%
Consumer Cyclical
12.02%
Healthcare
11.98%
Communication Services
11.01%
Industrials
10.18%
Financial Services
10.06%
Consumer Defensive
4.57%
Real Estate
2.95%
Basic Materials
1.74%
Technology
32.65%
Consumer Cyclical
12.02%
Healthcare
11.98%
Communication Services
11.01%
Industrials
10.18%
Financial Services
10.06%
Consumer Defensive
4.57%
Real Estate
2.95%
Basic Materials
1.74%
Show More
Asset
Holdings
Symbol
Ratio
AAPL
Apple
7.19%
NVDA
Nvidia
6.62%
MSFT
Microsoft
4.39%
GOOGL
Alphabet A
3.52%
GOOG
Alphabet C
2.86%
Symbol
Ratio
AMZN
Amazon.com
2.77%
AVGO
Broadcom
2.48%
META
Meta
2.04%
JNJ
Johnson & Johnson
1.91%
WMT
Walmart
1.62%
Top 10 Weight 35.4%
217 Total Holding
See all holdings
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