FRANKLIN ETF TR - SHRT DUR US GOVT (FTSD)

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / SHRT DUR US GOVT
Symbol
FTSD
Price per share
$91.06
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
1,685,149
Total reported value
$153,441,209
% of total 13F portfolios
0%
Share change
+203,516
Value change
+$18,531,815
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
57
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FRANKLIN ETF TR - SHRT DUR US GOVT (FTSD) has 57 institutional shareholders filing 13F forms. They hold 1,685,149 shares. .

Institutional Holders of FRANKLIN ETF TR - SHRT DUR US GOVT (FTSD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 1,685,149 $153,441,209 +$18,531,815 9,106% 57
2025 Q2 1,481,802 $134,664,263 -$2,803,911 9,088% 51
2025 Q1 1,512,819 $137,315,546 -$24,005,318 9,077% 56
2024 Q4 1,788,307 $161,440,780 +$23,321,894 9,026% 54
2024 Q3 1,046,815 $95,346,519 +$1,238,565 9,130.37% 46
2024 Q2 1,033,302 $93,050,892 -$11,299,044 9,006.52% 46
2024 Q1 1,147,121 $103,404,798 -$7,371,212 9,015.14% 42
2023 Q4 3,538 $318,333 -$25,643 8,997.54% 1
2023 Q3 1,375,122 $122,778,025 +$13,946,527 8,928.5% 41
2023 Q2 1,220,100 $109,127,177 -$37,487,325 8,944.06% 38
2023 Q1 1,622,441 $146,644,605 +$4,815,265 9,038% 41
2022 Q4 1,579,594 $141,618,449 -$21,666,849 8,946.01% 43
2022 Q3 1,830,726 $164,575,991 -$57,200,279 8,974.62% 42
2022 Q2 2,467,393 $225,675,287 -$12,718,126 9,138.69% 45
2022 Q1 2,614,898 $241,082,998 +$1,388,531 9,213.91% 44
2021 Q4 2,300,386 $216,109,060 -$40,956,286 9,394.51% 49
2021 Q3 2,730,511 $258,640,994 +$8,917,100 9,472.36% 52
2021 Q2 2,843,823 $269,943,770 +$35,779,755 9,492.56% 55
2021 Q1 2,466,652 $234,811,432 -$105,200,340 9,519.5% 52
2020 Q4 3,537,325 $338,696,764 -$5,210,399 9,575% 43
2020 Q3 3,156,035 $302,465,355 +$104,492,633 9,583.99% 41
2020 Q2 2,063,199 $197,822,200 +$129,814,301 9,582.03% 35
2020 Q1 1,135,814 $107,675,514 +$25,679,474 9,480.21% 32
2019 Q4 780,748 $73,624,843 -$4,739,986 9,429.63% 33
2019 Q3 831,146 $78,541,000 +$1,203,585 9,449.85% 27
2019 Q2 818,649 $77,527,000 +$13,902,742 9,470.38% 23
2019 Q1 671,924 $63,465,000 -$74,469,509 9,445.35% 27
2018 Q4 1,446,334 $137,087,000 +$10,208,820 9,479.63% 22
2018 Q3 1,335,052 $126,210,000 +$5,765,359 9,453.43% 18
2018 Q2 1,270,573 $120,580,000 -$2,485,208 9,494.01% 19
2018 Q1 1,296,711 $123,504,000 +$12,137,250 9,524.2% 17
2017 Q4 1,169,242 $111,943,000 +$1,556,467 9,573.72% 17
2017 Q3 1,152,880 $110,987,000 -$46,951,486 9,626.94% 13
2017 Q2 1,652,613 $159,544,000 -$7,048,260 9,654.89% 9
2017 Q1 1,725,591 $167,590,000 +$917,714 9,712.51% 4
2016 Q4 1,716,335 $166,957,000 +$3,333,015 9,727.55% 5
2016 Q3 1,682,041 $164,707,000 -$19,351,802 9,898.86% 6
2016 Q2 1,879,403 $183,859,000 -$7,247,169 9,783.6% 7
2016 Q1 1,953,524 $191,326,000 +$4,220,864 9,794.84% 7
2015 Q4 1,910,374 $187,290,000 +$1,221,706 9,823.72% 6
2015 Q3 1,897,986 $187,033,000 +$90,988,029 9,851.9% 4
2015 Q2 974,637 $96,462,000 +$69,100,599 9,894.97% 4
2015 Q1 276,469 $27,406,000 +$572,082 9,917.34% 4
2014 Q4 270,701 $26,841,000 +$66,419 9,910.55% 3
2014 Q3 270,026 $26,897,000 -$288,795 9,962.94% 2
2014 Q2 272,924 $27,246,000 -$81,096 9,996.17% 2
2014 Q1 273,734 $27,431,000 +$286,027 10,016.68% 2