Skip to content

FHIS

Franklin Canadian Ultra Short Term Bond Fund

Also available as Mutual Fund

As of 03/12/2026

Net Asset Value

$20.88

$-0.02 (-0.07%)
 

Market Price

$20.88

$-0.03 (-0.14%)
 

YTD Total Return At NAV

0.38%

 
 

YTD Total Return At Market Price

0.32%

 
As of 02/28/2026

Morningstar Overall Rating™ 1

Canadian Short Term Fixed Income

Overview

Fund description

Seeks to provide income and prioritizes preservation of capital by investing primarily in high-quality Canadian debt securities.

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

Reasons to invest

  • Defensive portfolio. The portfolio’s ultra-low duration exposure aims to deliver low volatility and limited correlation to equities.
  • Income and Liquidity. Actively managed to provide stable income distributions exceeding money market instruments and high interest saving account, while providing similar liquidity.
  • An experienced bond investor. The Calgary based investment team has decades of experience managing fixed income strategies with a Canadian perspective and is a part of the larger Franklin Fixed Income team with over 200 fixed income investment professionals around the world.
Fund Information
Total Net Assets  As of 02/28/2026 (Updated Monthly)
$668.28 Million
Fund Inception Date 
09/12/2022
Series Inception Date2 
09/12/2022
Listing Exchange 
Toronto Stock Exchange
Asset Class 
Fixed Income
Benchmark 
FTSE Canada 0-1 Year Universe Overall Bond Index
Fiscal Year End 
31 December
ETF Type 
Active
Risk Classification 
Low
Eligibility 
-
Distributions
Distribution Frequency 
Monthly
Distribution Amount  As of 02/27/2026
$0.0449
Payable Date  As of 02/27/2026
03/09/2026
Distribution Yield3  As of 02/28/2026 (Updated Monthly)
3.58%
Expenses
MER  As of 06/30/2025
0.17%
Management Fee  As of 02/28/2026
0.10%
Fund Codes
Ticker 
FHIS
CUSIP 
35249A104
ISIN Code 
CA35249A1049

Portfolio Managers

Brian A. Calder

Calgary, AB Canada

Managed Fund Since 2022

Naveed Sunderji, CFA®

Calgary, AB Canada

Managed Fund Since 2022

Sevrika Galipeau, CFA®

Calgary, AB Canada

Managed Fund Since 2022

Performance

Portfolio

Portfolio Holdings

Holdings 7

As of 01/31/2026 Updated Monthly
Security Name 
Cash and Cash Equivalents
Weight (%) 
21.09
Market Value 
122,737,721
Quantity 
Security Name 
Wells Fargo & Co 5.083% 04/26/2028 *FIXED TO FLOAT*
Weight (%) 
2.05
Market Value 
11,958,788
Quantity 
11,500,000
Security Name 
Bank Of America Corp 3.615% 03/16/2028 *FIXED TO FLOAT*
Weight (%) 
2.01
Market Value 
11,750,824
Quantity 
11,500,000
Security Name 
Sun Life Financial Inc 05/10/2032 *FIXED TO FLOAT*
Weight (%) 
1.97
Market Value 
11,523,777
Quantity 
11,500,000
Security Name 
Inter Pipeline Ltd/AB 4.232% 06/01/2027
Weight (%) 
1.96
Market Value 
11,433,060
Quantity 
11,214,000
Security Name 
Smartcentres Real Estate Investment Trust 5.354% 05/29/2028
Weight (%) 
1.91
Market Value 
11,153,368
Quantity 
10,600,000
Security Name 
Citigroup Inc 5.07% 04/29/2028 *FIXED TO FLOAT*
Weight (%) 
1.91
Market Value 
11,118,385
Quantity 
10,700,000
Security Name 
Smartcentres Real Estate Investment Trust 3.834% 12/21/2027
Weight (%) 
1.90
Market Value 
11,094,656
Quantity 
10,940,000
Security Name 
Bank Of America Corp 1.978% 09/15/2027 *FIXED TO FLOAT*
Weight (%) 
1.89
Market Value 
11,036,957
Quantity 
11,000,000
Security Name 
Vancouver City Savings Credit Union 02/03/2026 BA
Weight (%) 
1.88
Market Value 
10,996,590
Quantity 
11,000,000

Distribution

Dividends Per Share

Currency  
CAD
Record Date  
02/27/2026
Ex-distribution date  
02/27/2026
Payable Date  
03/09/2026
Cash Distribution Per Unit  
$0.0449
Reinvestment Price  
$20.9200
Total Distributions per Unit  
$0.0449

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 03/12/2026 Updated Daily

Daily Fund Prices

As of 03/12/2026

Prices

As of 03/12/2026
Net Asset Value (Net Asset Value)
$20.88
NAV Change 
$-0.02
NAV Change (%) 
-0.07%
Market Price 
$20.88
Market Price Change 
$-0.03
Market Price Change (%) 
-0.14%

52-Week Range

Highest NAV  As on 10/28/2025
$21.00
Highest Market Price  As on 10/27/2025
$21.01
Lowest NAV  As on 04/11/2025
$20.86
Lowest Market Price  As on 04/09/2025
$20.85

Premium / Discount

As of 03/12/2026
Avg. of Market Price vs. NAV since Inception 
0.04%
Avg. of Market Price vs. NAV at Close 
0.00%

Premium/Discount Analysis

Premium/Discount Analysis

As of 01/01/2025 Updated Quarterly
Total Days in Period 
305
Days at NAV 
22
Days at Premium 
229
Days at Discount 
54
Greatest Premium  On 12/31/2025
$0.21
Greatest Discount  On 12/19/2025
$-0.01

Chart

Bar chart with 2 bars.
The chart has 1 X axis displaying categories.
The chart has 1 Y axis displaying values. Data ranges from 54 to 229.
End of interactive chart.
Premium/Discount Analysis Breakdown
0% to 0.5% 229 days
-0.5% to 0% 54 days

Historical Premium/Discount

As of 03/12/2026 Updated Daily

Documents

Fund Literature

PDF Format

Factsheet - Franklin Canadian Ultra Short Term Bond Fund - ETF Series-CAD

PDF Format

Product Commentary - Franklin Canadian Ultra Short Term Bond Fund

PDF Format

Flyer - Active Fixed Income ETFs

PDF Format

Flyer - Franklin Canadian Ultra Short Term Bond Fund

Regulatory Documents

PDF Format

Annual Report - Money Market, Fixed Income & Balanced Funds

PDF Format

Franklin Templeton – Fixed Income and Balanced Funds

PDF Format

Simplified Prospectus dated May 15, 2025

PDF Format

Quarterly Product Disclosure

PDF Format

Semiannual Management Report of Fund Performance - Franklin Canadian Ultra Short Term Bond Fund

PDF Format

Annual Management Report of Fund Performance - Franklin Canadian Ultra Short Term Bond Fund, Annual Management Report of Fund Performance, Annual Management Report of Fund Performance

PDF Format

Point of Sale Fund Facts – Franklin Canadian Ultra Short Term Bond Fund ETF Series