FRANKLIN TEMPLETON ETF TR - FRANKLIN ASIA (FLAX)

Historical Holders from Q1 2018 to Q3 2025

Type / Class
Equity / FRANKLIN ASIA
Symbol
FLAX
Price per share
$28.88
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
563,469
Holdings value
$16,271,535
% of all portfolios
0%
Share change
-68,476
Value change
-$1,866,127
Average buys %
+0%
Average sells %
-0%
Number of holders
18
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FRANKLIN TEMPLETON ETF TR - FRANKLIN ASIA (FLAX) has 18 institutional shareholders filing 13F forms. They hold 563,469 shares .

Institutional Holders of FRANKLIN TEMPLETON ETF TR - FRANKLIN ASIA (FLAX) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 563,469 $16,271,535 -$1,866,127 $28.88 18
2025 Q2 631,945 $16,430,538 -$878,636 $26.00 17
2025 Q1 668,381 $15,651,705 -$383,373 $23.42 15
2024 Q4 684,752 $15,194,135 -$848,536 $22.72 16
2024 Q3 692,536 $17,164,514 -$399,226 $24.77 16
2024 Q2 708,745 $16,121,649 -$6,532,909 $22.74 14
2024 Q1 1,004,918 $21,876,150 -$2,797,901 $21.76 16
2023 Q4 1,146,321 $24,257,619 +$10,893,049 $21.34 18
2023 Q3 626,702 $12,750,635 +$1,847,842 $20.35 12
2023 Q2 533,660 $11,233,671 -$648,303 $21.04 11
2023 Q1 564,642 $12,072,102 +$124,397 $21.38 14
2022 Q4 558,824 $11,482,897 -$6,546,410 $20.52 12
2022 Q3 720,553 $13,838,921 -$622,356 $18.71 9
2022 Q2 724,380 $16,093,787 +$3,791,367 $22.01 10
2022 Q1 550,063 $13,164,407 +$4,395,579 $23.93 8
2021 Q4 368,126 $9,578,226 +$321,034 $26.02 9
2021 Q3 405,757 $10,839,499 -$460,037 $26.71 8
2021 Q2 423,559 $12,459,560 +$139,370 $29.42 8
2021 Q1 418,817 $12,070,326 +$2,101,576 $28.82 7
2020 Q4 345,900 $9,548,848 -$1,424,499 $27.63 7
2020 Q3 346,535 $8,261,371 -$283,484 $23.83 5
2020 Q2 358,488 $7,665,000 +$1,864,007 $21.39 6
2020 Q1 290,729 $5,309,000 -$1,603,930 $18.26 6
2019 Q4 376,056 $8,500,000 -$408,523 $22.60 5
2019 Q3 395,423 $8,132,210 +$1,075,523 $20.57 5
2019 Q2 341,853 $7,418,000 -$978,656 $21.69 5
2019 Q1 386,950 $8,492,000 -$588,058 $21.95 4
2018 Q4 433,850 $8,568,000 -$699,330 $19.75 4
2018 Q3 464,206 $10,226,000 -$451,375 $21.96 4
2018 Q2 484,937 $10,823,000 +$2,003,785 $22.31 4
2018 Q1 395,136 $9,516,000 +$9,515,993 $24.12 3