FRANKLIN TEMPLETON ETF TR - FRANKLIN INDIA (FLIN)

Historical Holders from Q1 2018 to Q3 2025

Type / Class
Equity / FRANKLIN INDIA
Symbol
FLIN
Price per share
$37.29
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
27,875,972
Total reported value
$1,039,468,537
% of total 13F portfolios
0%
Share change
+4,902,768
Value change
+$180,641,947
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
126
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, FRANKLIN TEMPLETON ETF TR - FRANKLIN INDIA (FLIN) has 126 institutional shareholders filing 13F forms. They hold 27,875,972 shares. .

Institutional Holders of FRANKLIN TEMPLETON ETF TR - FRANKLIN INDIA (FLIN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 27,875,972 $1,039,468,537 +$180,641,947 3,729% 126
2025 Q2 22,890,798 $911,750,921 +$115,168,435 3,983% 137
2025 Q1 20,032,721 $738,205,166 +$8,851,818 3,684% 125
2024 Q4 19,857,490 $752,503,424 -$43,317,541 3,790% 125
2024 Q3 20,619,932 $862,959,157 +$103,620,340 4,190% 119
2024 Q2 18,151,446 $723,357,669 +$13,110,998 3,986% 97
2024 Q1 17,730,010 $653,352,815 +$94,720,899 3,685% 82
2023 Q4 15,099,795 $526,693,644 +$214,788,558 3,487.98% 43
2023 Q3 8,952,845 $283,402,965 +$87,253,604 3,165.5% 31
2023 Q2 6,195,562 $191,428,926 +$144,085,616 3,089% 20
2023 Q1 1,531,885 $42,456,298 +$33,774,874 2,771.49% 12
2022 Q4 225,491 $6,571,557 +$4,122,365 2,914% 9
2022 Q3 138,268 $3,953,000 -$1,868,326 2,859.21% 7
2022 Q2 206,727 $5,670,000 +$1,963,911 2,742.07% 10
2022 Q1 135,378 $4,218,163 -$710,884 3,115.5% 9
2021 Q4 153,949 $4,650,888 +$2,474,696 3,190.27% 9
2021 Q3 77,679 $2,542,740 +$226,739 3,273.75% 6
2021 Q2 71,744 $2,130,000 +$432,508 2,969.31% 7
2021 Q1 57,248 $1,603,000 -$199,650 2,800.07% 6
2020 Q4 64,428 $1,682,000 -$878,222 2,610.8% 5
2020 Q3 98,067 $2,185,000 +$811,936 2,228.07% 5
2020 Q2 63,296 $1,226,000 -$2,129,494 1,923.08% 5
2020 Q1 180,414 $2,853,000 -$4,624,498 1,581.69% 8
2019 Q4 346,406 $7,939,000 -$817,529 2,290.69% 7
2019 Q3 382,098 $8,396,000 +$5,268,509 2,202.64% 5
2019 Q2 140,181 $3,260,000 +$388,550 2,325.56% 8
2019 Q1 123,376 $2,897,000 -$915,439 2,344.6% 7
2018 Q4 164,773 $3,648,000 +$87,114 2,214.29% 7
2018 Q3 227,848 $4,936,000 +$3,874,999 2,166.63% 9
2018 Q2 49,000 $1,102,000 -$681,000 2,249% 2
2018 Q1 78,427 $1,816,000 +$1,816,000 2,316% 3