Components Franklin International Low Volatility High Dividend Index ETF - USD

ETF

LVHI

US52468L5057

Market Closed - 16:00:00 2026-09-15 EDT 5-day change 1st Jan Change
42.43 USD +0.02% Intraday chart for Franklin International Low Volatility High Dividend Index ETF - USD +0.02% +15.24%

Components: Franklin International Low Volatility High Dividend Index ETF - USD

71.70CAD+2.52%+54.23%2.92%
99.99CAD+4.61%+64.13%2.67%
113.84CHF-0.07%+3.87%2.39%
3,652.50GBX+1.97%+33.30%2.34%
4,968.00JPY+1.18%+38.54%2.24%
6.698EUR-0.19%+13.12%2.19%
7,147.00GBX-0.83%+19.24%2.16%
1,854.00GBX-0.03%+1.62%2.12%
59.79AUD+0.91%+31.30%2.03%
129.88CAD-0.05%+28.30%1.92%
157.81CAD-0.62%+26.83%1.92%
101.30EUR-1.46%+25.39%1.59%
444.60EUR+0.02%+13.85%1.59%
80.49EUR+1.21%+44.79%1.58%
77.89CHF-1.65%-1.08%1.53%
84.96CAD-0.11%+12.41%1.46%
5,196.00JPY+2.51%+11.91%1.45%
4,641.50GBX-1.18%-4.49%1.39%
11.81EUR+1.53%+29.33%1.35%
8.741EUR-0.01%-1.53%1.26%
5,013.00JPY+1.23%+15.16%1.21%
5,066.00GBX-1.05%-18.97%1.14%
77.04SGD+0.38%+36.66%1.12%
43.62EUR-0.11%+6.49%1.12%
176.80JPY-0.73%+12.11%1.06%
37.23AUD+0.30%+2.37%1.04%
1,110.00GBX+0.45%-2.76%1.04%
38.22AUD0.00%-9.68%1.04%
65.82CAD+0.67%+25.87%1.04%
2,333.00GBX+0.91%+7.07%1.01%
1,609.00GBX-2.07%+0.34%1%
74.21EUR-1.62%-10.29%0.98%
479.50GBX-0.29%+8.53%0.91%
46.56EUR-0.20%-22.49%0.91%
600.80CHF+1.14%-0.17%0.88%
1,780.50JPY+0.59%+31.60%0.84%
34.54AUD+0.55%-10.52%0.83%
74.46CAD-1.08%+4.34%0.8%
7,104.00JPY+0.62%+42.08%0.8%
81.02EUR-0.54%-21.76%0.78%
4,074.00JPY+3.51%+30.28%0.78%
23.61EUR+0.25%+5.35%0.77%
110.60EUR-0.09%-7.87%0.71%
93.45CAD-0.30%+28.10%0.7%
62.86EUR+0.22%-32.51%0.69%
2,516.00GBX-1.45%-19.33%0.68%
45.63EUR+0.93%+27.64%0.65%
16.36AUD+0.83%-25.74%0.65%
55.80EUR-0.07%+19.41%0.64%


Description

US52468L5057
Total Expense Ratio 0.004
Asset Class Stocks
Geographical Zones
Currency
Provider
Underlying Franklin International Low Volatility High Dividend Hedged Net Total Return Index - USD
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Jurisdiction
Date of creation
2016-07-26

Distribution

Retail investor

AuM evolution - 2026-08-10

AuM (USD) 6.46B
AuM 1M 6.46B
AuM 3 months 6.46B
AuM 6 months 6.46B
AuM 12 months 6.46B
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  4. Components Franklin International Low Volatility High Dividend Index ETF - USD
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