FRANKLIN TEMPLETON ETF TR - US TREASURY BOND (FLGV) Institutional Ownership

13F Institutional Holders and Ownership History from Q2 2020 to Q4 2025

Type / Class
Equity / US TREASURY BOND
Symbol
FLGV
Price per share
$20.52
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
50,045,940
Total reported value
$1,032,846,362
% of total 13F portfolios
0%
Share change
+2,683,444
Value change
+$55,354,261
Number of holders
37
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 37 institutional investors reported holding 50,045,940 shares of FRANKLIN TEMPLETON ETF TR - US TREASURY BOND (FLGV).

Institutional Holders of FRANKLIN TEMPLETON ETF TR - US TREASURY BOND (FLGV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 418,701 $8,591,745 +$166,766 $20.52 1
2025 Q3 50,045,940 $1,032,846,362 +$55,354,261 $20.64 37
2025 Q2 48,047,110 $987,368,162 +$47,745,509 $20.55 34
2025 Q1 45,723,644 $940,312,824 +$116,180,006 $20.56 35
2024 Q4 38,993,972 $784,562,574 -$7,362,672 $20.12 32
2024 Q3 39,318,848 $815,523,452 +$56,225,523 $21.06 33
2024 Q2 36,598,630 $743,684,071 +$41,137,394 $20.32 30
2024 Q1 34,573,089 $708,403,324 +$245,645,686 $20.49 28
2023 Q4 22,434,322 $467,172,782 +$18,859,422 $20.82 25
2023 Q3 21,582,799 $431,333,590 +$18,064,876 $19.98 27
2023 Q2 20,637,784 $428,676,727 +$30,364,223 $20.77 20
2023 Q1 19,175,947 $407,102,717 +$8,383,280 $21.23 20
2022 Q4 18,796,075 $389,080,121 +$62,655,085 $20.70 19
2022 Q3 15,797,857 $328,753,917 -$29,102,619 $20.81 10
2022 Q2 17,193,223 $374,983,496 +$2,035,025 $21.81 11
2022 Q1 17,097,127 $387,673,669 -$4,853,217 $22.67 11
2021 Q4 17,311,150 $413,716,514 +$1,031,271 $23.90 9
2021 Q3 16,855,958 $404,879,109 -$23,684,725 $24.02 9
2021 Q2 17,842,001 $430,363,828 +$9,087,541 $24.12 8
2021 Q1 17,465,261 $417,070,709 +$14,643,717 $23.88 7
2020 Q4 16,852,039 $420,543,191 +$3,459,544 $24.96 7
2020 Q3 16,713,442 $421,597,753 +$49,160,931 $25.23 5
2020 Q2 14,764,549 $375,806,691 +$375,806,819 $25.28 4