FRANKLIN TEMPLETON ETF TR - FTSE TAIWAN (FLTW)

Historical Holders from Q4 2017 to Q4 2025

Type / Class
Equity / FTSE TAIWAN
Symbol
FLTW
Price per share
$60.84
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
2,114,733
Total reported value
$124,193,911
% of total 13F portfolios
0%
Share change
-385,249
Value change
-$20,515,637
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
29
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FRANKLIN TEMPLETON ETF TR - FTSE TAIWAN (FLTW) has 29 institutional shareholders filing 13F forms. They hold 2,114,733 shares. .

Institutional Holders of FRANKLIN TEMPLETON ETF TR - FTSE TAIWAN (FLTW) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 63,012 $3,833,650 -$84,628 6,084% 2
2025 Q3 2,114,733 $124,193,911 -$20,515,637 5,873% 29
2025 Q2 2,499,982 $130,472,064 -$11,989,932 5,219% 32
2025 Q1 2,737,745 $118,647,313 +$12,460,717 4,323% 31
2024 Q4 2,387,458 $112,927,801 -$20,178,882 4,731% 28
2024 Q3 2,806,745 $135,467,673 +$52,386,336 4,823% 30
2024 Q2 1,719,086 $83,610,937 -$8,276,538 4,864% 25
2024 Q1 1,893,546 $83,002,685 +$14,392,419 4,383.43% 21
2023 Q4 1,868,410 $77,171,827 -$2,431,200 4,130.94% 17
2023 Q3 1,929,201 $70,252,088 -$6,707,992 3,643% 19
2023 Q2 2,113,021 $81,355,082 -$7,442,114 3,851.18% 14
2023 Q1 2,091,476 $77,576,141 +$44,916,773 3,710% 13
2022 Q4 1,097,252 $35,906,106 +$18,579,624 3,270.18% 14
2022 Q3 530,143 $16,148,020 -$1,254,823 3,046.35% 11
2022 Q2 569,814 $20,109,907 -$510,136 3,558.14% 10
2022 Q1 559,786 $24,123,870 -$298,067 4,311.83% 12
2021 Q4 562,545 $26,162,072 +$4,697,950 4,650.5% 14
2021 Q3 462,012 $20,186,483 -$4,569,102 4,368.9% 13
2021 Q2 562,578 $25,150,331 +$4,520,519 4,474.65% 14
2021 Q1 461,426 $19,592,841 +$6,108,640 4,167.46% 11
2020 Q4 322,797 $12,056,000 -$1,163,138 3,676.99% 7
2020 Q3 359,710 $11,265,000 -$995,342 3,128.54% 8
2020 Q2 391,722 $11,128,000 +$116,330 2,838.14% 7
2020 Q1 388,021 $8,982,000 -$313,694 2,314.8% 5
2019 Q4 399,437 $11,570,000 -$462,477 2,897.04% 4
2019 Q3 417,257 $10,790,000 -$259,082 2,585.89% 5
2019 Q2 427,255 $10,689,000 -$30,059 2,501.57% 4
2019 Q1 428,447 $10,596,000 -$131,164 2,473.48% 4
2018 Q4 433,760 $9,877,000 +$9,293,379 2,277.09% 3
2018 Q3 25,627 $664,000 -$107,735 2,591.02% 1
2018 Q2 29,785 $741,000 -$3,945,251 2,487.83% 1
2018 Q1 183,007 $4,840,000 -$265,009 2,644.71% 2
2017 Q4 196,699 $4,992,000 +$4,992,004 2,538.01% 3