FRANKLIN TEMPLETON ETF TR - FTSE LATN AMRC (FLLA)

Historical Holders from Q4 2018 to Q4 2025

Type / Class
Equity / FTSE LATN AMRC
Symbol
FLLA
Price per share
$24.09
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
480,894
Total reported value
$11,270,267
% of total 13F portfolios
0%
Share change
+46,682
Value change
+$1,138,051
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
16
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FRANKLIN TEMPLETON ETF TR - FTSE LATN AMRC (FLLA) has 16 institutional shareholders filing 13F forms. They hold 480,894 shares .

Institutional Holders of FRANKLIN TEMPLETON ETF TR - FTSE LATN AMRC (FLLA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 127,230 $3,064,945 +$477,556 2,408.98% 1
2025 Q3 480,894 $11,270,267 +$1,138,051 2,343.61% 16
2025 Q2 434,211 $9,426,813 +$2,417,452 2,171% 19
2025 Q1 415,536 $8,027,691 -$19,774,672 1,943.16% 15
2024 Q4 1,490,269 $25,185,942 -$1,891,750 1,689.82% 21
2024 Q3 1,569,073 $32,630,839 -$5,006,519 2,091% 24
2024 Q2 1,814,237 $36,286,124 -$7,193,201 2,000.49% 20
2024 Q1 2,172,283 $51,287,097 +$1,109,578 2,362.59% 17
2023 Q4 2,124,249 $52,323,888 -$2,154,360 2,463% 13
2023 Q3 2,214,929 $48,014,189 -$4,914,581 2,166.93% 18
2023 Q2 2,440,012 $56,034,647 -$10,942,694 2,296.62% 18
2023 Q1 2,922,732 $59,586,652 +$4,185,734 2,039% 14
2022 Q4 2,717,459 $53,328,488 -$2,286,918 1,962.49% 10
2022 Q3 2,816,126 $55,446,000 +$23,184,607 1,969.27% 12
2022 Q2 1,639,044 $31,447,000 +$29,847,121 1,918.35% 5
2022 Q1 80,769 $2,044,000 +$1,000,000 2,528.9% 3
2021 Q4 47,677 $955,000 +$241,120 2,002.93% 2
2021 Q3 56,924 $1,256,000 -$310,704 2,206.63% 3
2021 Q2 69,905 $1,812,000 -$848,002 2,594% 4
2021 Q1 102,673 $2,312,000 +$1,758,793 2,251.49% 3
2020 Q4 24,033 $567,000 -$490,703 2,357.64% 3
2020 Q3 27,513 $494,000 -$281,432 1,790.34% 2
2020 Q2 43,107 $867,000 -$116,101 1,848.83% 3
2020 Q1 48,268 $738,000 -$501,761 1,534.77% 3
2019 Q4 64,988 $1,848,000 -$280,623 2,843.73% 3
2019 Q3 75,574 $1,972,000 +$279,178 2,608.82% 3
2019 Q2 64,819 $1,764,000 -$193,671 2,721.74% 3
2019 Q1 71,948 $1,896,000 -$700,005 2,635.41% 2
2018 Q4 98,870 $2,432,000 +$2,293,004 2,459.62% 3