FRANKLIN TEMPLETON ETF TR - US CORE BOND ETF (FLCB)

Historical Holders from Q3 2019 to Q4 2025

Type / Class
Equity / US CORE BOND ETF
Symbol
FLCB
Price per share
$21.63
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
103,502,148
Total reported value
$2,247,434,664
% of total 13F portfolios
0%
Share change
+1,870,683
Value change
+$40,610,100
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
65
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FRANKLIN TEMPLETON ETF TR - US CORE BOND ETF (FLCB) has 65 institutional shareholders filing 13F forms. They hold 103,502,148 shares. .

Institutional Holders of FRANKLIN TEMPLETON ETF TR - US CORE BOND ETF (FLCB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 49,292 $1,066,101 -$21,149 2,162.82% 2
2025 Q3 103,502,148 $2,247,434,664 +$40,610,100 2,172% 65
2025 Q2 99,286,100 $2,136,565,501 +$136,621,723 2,152% 53
2025 Q1 92,935,936 $1,997,517,196 +$44,300,359 2,149.5% 55
2024 Q4 93,435,292 $1,970,870,755 -$32,533,952 2,109% 51
2024 Q3 94,970,985 $2,057,807,848 +$346,201,700 2,201% 46
2024 Q2 78,970,263 $1,668,010,698 +$90,145,536 2,113% 47
2024 Q1 72,621,900 $1,549,750,695 -$93,594,325 2,134% 41
2023 Q4 70,606,367 $1,526,498,816 -$51,883,236 2,162% 37
2023 Q3 73,026,005 $1,497,752,198 +$44,335,482 2,051% 34
2023 Q2 71,180,430 $1,523,260,650 +$80,230,906 2,140% 31
2023 Q1 67,384,782 $1,464,814,845 -$49,096,531 2,173.81% 31
2022 Q4 69,621,785 $1,473,867,900 +$33,610,558 2,117% 31
2022 Q3 68,075,840 $1,427,743,340 +$34,439,647 2,097.34% 26
2022 Q2 66,432,928 $1,470,514,450 +$132,498,745 2,213.71% 28
2022 Q1 60,446,352 $1,415,845,892 -$149,632,452 2,342.32% 21
2021 Q4 66,791,554 $1,678,093,368 +$34,463,222 2,512.45% 23
2021 Q3 65,419,935 $1,655,128,794 +$53,966,615 2,530.16% 23
2021 Q2 63,286,627 $1,614,439,109 +$147,443,555 2,551% 23
2021 Q1 57,507,138 $1,448,032,061 -$42,634,069 2,518.03% 21
2020 Q4 59,197,404 $1,548,000,709 -$91,620,381 2,615.03% 19
2020 Q3 62,696,286 $1,645,149,070 +$38,554,884 2,623.97% 17
2020 Q2 61,226,923 $1,622,723,651 +$723,626,177 2,619.93% 15
2020 Q1 33,921,736 $862,969,924 -$63,563,302 2,544.05% 11
2019 Q4 36,421,132 $913,801,908 +$377,937,687 2,508.98% 9
2019 Q3 21,357,765 $538,430,000 +$538,429,737 2,521.43% 2