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FLUR

Franklin International Equity Index ETF

As of 11/28/2025

Net Asset Value 1

$34.60

$-0.11 (-0.32%)
 

Market Price

$34.07

$-0.69 (-1.99%)
 

YTD Total Return At NAV

23.45%

 
 

YTD Total Return At Market Price

22.21%

 

Overview

Fund description

The ETF seeks to replicate, to the extent possible and before fees and expenses, the performance of the Solactive GBS Developed Markets ex North America Large & Mid Cap CAD Index NR. It invests primarily in equity securities of large and mid capitalization issuers in developed markets, excluding North America.

Risk Classification
Low
Low to Medium
Medium
Medium to High
High
[products.risk-factor-alt-arrow]

Reasons to invest

  • Execute views on Developed Markets ex North America within your international exposure.
  • Provides targeted exposure to large and mid-sized companies in Developed Markets ex North America.
  • Seeks to provide investment results that closely correspond, before fees and expenses, to the performance of the Solactive GBS Developed Markets ex North America Large & Mid Cap CAD Index-NR.
Fund Information
Total Net Assets  As of 11/26/2025 (Updated Daily)
$426.67 Million
Fund Inception Date 
02/20/2019
Listing Exchange 
Cboe Canada
Asset Class 
Equity
Benchmark 
Solactive GBS Developed Markets ex North America Large & Mid Cap Index
Fiscal Year End 
30 September
ETF Type 
Indexed
Risk Classification 
Medium
Eligibility 
RRSP, RRIF, RESP, TFSA, DPSP, RDSP
Distributions
Distribution Frequency 
Semi-Annual
Distribution Amount  As of 06/20/2025
$0.4910
Payable Date  As of 06/20/2025
06/30/2025
Distribution Yield2  As of 10/31/2025 (Updated Monthly)
2.84%
Expenses
MER  As of 03/31/2025
0.10%
Management Fee  As of 10/31/2025
0.09%
Fund Codes
Ticker 
FLUR
CUSIP 
35351C104
ISIN Code 
CA35351C1041

Portfolio Managers

Dina Ting, CFA®

California, United States

Managed Fund Since 2019

Hailey Harris

Georgia, United States

Managed Fund Since 2019

Joe Diederich

Texas, United States

Managed Fund Since 2022

Basit Amin, CFA®

California, United States

Managed Fund Since 2022

Performance

Portfolio

Portfolio Holdings

Holdings 4

As of 11/28/2025 Updated Daily
Security Name 
ASML HOLDING NV
Weight (%) 
1.96
Market Value 
8,538,548.64
Notional Exposure 
8,538,548.64
Quantity 
5,842.00
Security Name 
ASTRAZENECA PLC
Weight (%) 
1.36
Market Value 
5,940,798.28
Notional Exposure 
5,940,798.28
Quantity 
23,016.00
Security Name 
ROCHE HOLDING AG-GENUSSCH
Weight (%) 
1.32
Market Value 
5,764,981.05
Notional Exposure 
5,764,981.05
Quantity 
10,802.00
Security Name 
NESTLE SA-REG
Weight (%) 
1.26
Market Value 
5,483,478.82
Notional Exposure 
5,483,478.82
Quantity 
39,564.00
Security Name 
CASH
Weight (%) 
1.23
Market Value 
5,357,489.93
Notional Exposure 
5,357,489.93
Quantity 
5,357,489.93
Security Name 
SAP AG
Weight (%) 
1.22
Market Value 
5,328,313.23
Notional Exposure 
5,328,313.23
Quantity 
15,792.00
Security Name 
NOVARTIS AG-REG
Weight (%) 
1.21
Market Value 
5,287,273.46
Notional Exposure 
5,287,273.46
Quantity 
29,148.00
Security Name 
HSBC HOLDINGS PLC
Weight (%) 
1.20
Market Value 
5,245,514.31
Notional Exposure 
5,245,514.31
Quantity 
265,356.00
Security Name 
SHELL PLC
Weight (%) 
1.05
Market Value 
4,586,582.89
Notional Exposure 
4,586,582.89
Quantity 
89,208.00
Security Name 
TOYOTA MOTOR CORPORATION
Weight (%) 
1.04
Market Value 
4,534,088.44
Notional Exposure 
4,534,088.44
Quantity 
162,000.00

Distribution

Dividends Per Share

Currency  
CAD
Record Date  
06/20/2025
Ex-distribution date  
06/20/2025
Payable Date  
06/30/2025
Cash Distribution Per Unit  
$0.4910
Reinvested Distribution Per Unit  
$30.9700
Total Distributions per Unit  
$0.4910

All fund distributions will vary depending upon current market conditions, and past distributions are not indicative of future trends.

Pricing

Pricing

Pricing History Chart

As of 11/28/2025 Updated Daily

Daily Fund Prices

As of 11/28/2025

Prices

As of 11/28/2025
Net Asset Value1 (Net Asset Value)
$34.60
NAV Change1 
$-0.11
NAV Change (%)1 
-0.32%
Market Price 
$34.07
Market Price Change 
$-0.69
Market Price Change (%) 
-1.99%

52-Week Range

Highest NAV  As on 11/13/2025
$35.23
Highest Market Price  As on 11/12/2025
$35.28
Lowest NAV  As on 04/07/2025
$26.81
Lowest Market Price  As on 04/08/2025
$27.05

Premium / Discount

As of 11/28/2025
Avg. of Market Price vs. NAV since Inception 
0.18%
Avg. of Market Price vs. NAV at Close 
-1.54%

Premium/Discount Analysis

Premium/Discount Analysis

As of 03/31/2025 Updated Quarterly
Total Days in Period 
60
Days at NAV 
0
Days at Premium 
37
Days at Discount 
23
Greatest Premium  On 03/31/2025
$1.00
Greatest Discount  On 01/02/2025
$-0.58

Chart

Bar chart with 4 bars.
The chart has 1 X axis displaying categories.
The chart has 1 Y axis displaying values. Data ranges from 4 to 25.
End of interactive chart.
Premium/Discount Analysis Breakdown
0.5% to 1% 12 days
0% to 0.5% 25 days
-0.5% to 0% 19 days
-1% to -0.5% 4 days

Historical Premium/Discount

As of 11/28/2025 Updated Daily

Documents

Fund Literature

PDF Format

Factsheet - Franklin International Equity Index ETF

Regulatory Documents

PDF Format

Annual Report - Franklin ETFs

PDF Format

Semiannual Report - Franklin ETFs

PDF Format

Prospectus - Franklin ETFs

PDF Format

Quarterly Product Disclosure - Franklin International Equity Index ETF

PDF Format

Semiannual Management Report of Fund Performance - Franklin International Equity Index ETF

PDF Format

Annual Management Report of Fund Performance - Franklin International Equity Index ETF

PDF Format

Point of Sale Fund Facts – Franklin International Equity Index ETF ETF