FRANKLIN TEMPLETON ETF TR - FTSE HONG KONG (FLHK) Institutional Ownership

13F Institutional Holders and Ownership History from Q4 2017 to Q3 2025

Type / Class
Equity / FTSE HONG KONG
Symbol
FLHK
Price per share
$19.17
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
0
Total reported value
$0
Share change
-253,038
Value change
-$4,856,627
Number of holders
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 0 institutional investors reported holding 0 shares of FRANKLIN TEMPLETON ETF TR - FTSE HONG KONG (FLHK).

Institutional Holders of FRANKLIN TEMPLETON ETF TR - FTSE HONG KONG (FLHK) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 0 $0 -$4,856,627 $19.17 0
2025 Q2 253,038 $4,856,626 +$318,691 $19.20 8
2025 Q1 239,637 $4,334,850 -$5,964,564 $18.09 8
2024 Q4 590,880 $10,244,988 +$4,924,885 $17.33 9
2024 Q3 290,672 $5,599,892 +$1,620,182 $19.33 8
2024 Q2 206,857 $3,363,497 -$1,353,609 $16.26 8
2024 Q1 288,632 $4,772,540 -$1,814,498 $16.54 8
2023 Q4 397,344 $7,231,041 -$98,725 $18.19 9
2023 Q3 403,040 $7,285,134 +$207,546 $18.06 9
2023 Q2 391,596 $7,880,315 -$190,018 $20.11 9
2023 Q1 401,078 $8,569,254 +$2,418,574 $21.37 9
2022 Q4 287,839 $6,168,201 +$1,962,415 $21.43 9
2022 Q3 196,247 $3,724,000 -$404,936 $18.98 6
2022 Q2 214,039 $4,860,000 -$3,786,570 $22.55 7
2022 Q1 377,053 $8,834,187 +$140,581 $23.43 9
2021 Q4 382,290 $9,390,502 +$3,116,527 $24.56 7
2021 Q3 254,940 $6,540,608 +$424,286 $25.66 8
2021 Q2 238,430 $6,876,330 -$584,112 $28.85 6
2021 Q1 259,155 $7,357,335 -$998,306 $28.34 7
2020 Q4 294,811 $7,688,000 -$169,212 $26.08 5
2020 Q3 301,339 $6,928,000 -$74,190 $22.99 6
2020 Q2 304,574 $6,884,000 +$295,649 $22.52 6
2020 Q1 291,337 $5,978,000 -$3,479,593 $20.52 5
2019 Q4 461,061 $11,651,000 -$649,317 $25.27 3
2019 Q3 487,965 $11,553,000 +$121,469 $23.68 4
2019 Q2 482,833 $12,913,000 +$3,758,098 $26.74 4
2019 Q1 342,291 $9,228,000 -$640,143 $26.96 2
2018 Q4 366,043 $8,496,000 +$5,828,139 $23.21 2
2018 Q3 114,924 $2,874,000 +$2,873,996 $25.01 1
2018 Q2 0 $0 -$4,854,995 $19.17 0
2018 Q1 182,750 $4,855,000 -$2,986,975 $26.59 2
2017 Q4 295,488 $7,825,000 +$7,824,989 $26.49 3