FRANKLIN TEMPLETON ETF TR - FTSE CHINA (FLCH)

Historical Holders from Q4 2017 to Q4 2025

Symbol
FLCH
Type / Class
Equity / FTSE CHINA
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
2,725,654
Holdings value
$70,856,252
% of all portfolios
0%
Number of holders
43
Number of buys
26
Number of sells
20
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025 FRANKLIN TEMPLETON ETF TR - FTSE CHINA (FLCH) has 43 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 2,725,654 shares of the company stock as of 30 Sep 2025.

Institutional Holders of FRANKLIN TEMPLETON ETF TR - FTSE CHINA (FLCH) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 42,750 $1,017,450 +$4,760 $23.80 1
2025 Q3 2,725,654 $70,856,252 +$1,008,313 $26.01 43
2025 Q2 3,311,373 $71,877,676 +$20,033,369 $21.70 44
2025 Q1 2,388,659 $50,942,377 -$11,077,325 $21.36 39
2024 Q4 3,024,033 $55,697,869 +$6,816,668 $18.40 42
2024 Q3 2,633,997 $52,836,495 +$1,162,695 $20.11 36
2024 Q2 2,605,910 $43,226,851 +$11,103,605 $16.57 33
2024 Q1 1,941,792 $30,645,476 -$2,523,106 $15.78 32
2023 Q4 3,511,439 $56,337,996 +$4,107,441 $16.05 33
2023 Q3 3,032,206 $51,984,389 +$9,315,496 $17.09 33
2023 Q2 2,073,605 $36,462,198 -$1,130,341 $17.60 24
2023 Q1 2,125,867 $41,836,678 -$7,363,262 $19.65 27
2022 Q4 2,480,945 $46,591,043 +$4,586,557 $18.68 21
2022 Q3 2,233,129 $37,754,000 +$995,985 $16.90 20
2022 Q2 2,173,658 $47,649,000 -$3,805,250 $22.06 16
2022 Q1 2,357,030 $50,327,000 +$3,810,252 $21.08 19
2021 Q4 2,156,718 $53,573,708 +$2,833,718 $24.81 20
2021 Q3 2,256,994 $61,138,000 +$4,858,164 $26.66 13
2021 Q2 2,100,253 $68,006,000 +$13,912,345 $32.41 16
2021 Q1 1,669,694 $53,499,000 -$1,863,129 $32.15 16
2020 Q4 1,721,643 $54,823,000 +$28,510,962 $31.82 12
2020 Q3 826,259 $23,895,000 -$3,158,710 $29.10 13
2020 Q2 934,914 $24,329,000 -$7,539,570 $25.49 11
2020 Q1 1,230,373 $27,275,000 +$6,180,875 $22.15 10
2019 Q4 944,883 $23,323,000 -$4,745,540 $24.68 11
2019 Q3 1,141,536 $24,957,000 -$1,117,696 $21.79 10
2019 Q2 1,192,454 $27,482,000 +$1,433,000 $23.06 10
2019 Q1 1,130,432 $27,212,000 +$2,478,786 $24.20 7
2018 Q4 1,032,357 $21,136,000 -$2,226,818 $20.29 7
2018 Q3 1,141,633 $26,460,000 +$6,837,159 $23.11 6
2018 Q2 846,412 $21,191,000 -$2,272,579 $25.02 4
2018 Q1 936,320 $24,362,000 +$15,529,398 $26.46 4
2017 Q4 255,656 $6,560,000 +$6,559,992 $25.66 2