Franklin Municipal Green Bond ETF - COMMON STOCK (FLMB) Institutional Ownership

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

Type / Class
Equity / COMMON STOCK
Symbol
FLMB
Shares outstanding
3,798,669
Price per share
$23.76
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
3,045,973
Total reported value
$72,097,362
% of total 13F portfolios
0%
Share change
-644,785
Value change
-$15,090,303
Number of holders
21
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Franklin Municipal Green Bond ETF - COMMON STOCK (FLMB) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
FMR LLC 7.6% +48% $6,833,126 +$1,609,803 288,699 +31% FMR LLC 30 Sep 2025

As of 30 Sep 2025, 21 institutional investors reported holding 3,045,973 shares of Franklin Municipal Green Bond ETF - COMMON STOCK (FLMB). This represents 80% of the company’s total 3,798,669 outstanding shares.

Top 25 Institutional Shareholders

The largest institutional shareholders of Franklin Municipal Green Bond ETF - COMMON STOCK (FLMB) together control 80% of the company’s outstanding shares — a level of ownership often associated with strong institutional conviction and long‑term capital commitment.

Institution Ownership % Shares Held Share Change % Portfolio % Holdings Value
FRANKLIN RESOURCES INC 44% 1,690,000 -19% 0.01% $40,000,103
LPL Financial LLC 15% 587,670 -16% 0% $13,909,372
FMR LLC 7.6% 288,699 +31% 0% $6,833,126
Wealth Alliance Advisory Group, LLC 3.8% 145,000 0% 0.62% $3,431,962
SEEDS INVESTOR LLC 3.1% 116,046 +16% 0.58% $2,746,668
Cetera Investment Advisers 1.6% 59,392 +99% 0% $1,405,736
OneDigital Investment Advisors LLC 0.87% 33,121 0% 0.01% $783,931
Per Stirling Capital Management, LLC. 0.77% 29,395 +94% 0.08% $695,741
FLOW TRADERS U.S. LLC 0.65% 24,669 +29% 0.02% $584,000
Commonwealth Financial Services, LLC 0.56% 21,216 -1.6% 0.09% $502,155
Cambridge Investment Research Advisors, Inc. 0.32% 12,180 0% 0% $288,000
Fortis Group Advisors, LLC 0.3% 11,286 +0.05% 0.05% $270,277
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC 0.23% 8,652 0% $204,977
Values Added Financial LLC 0.22% 8,489 0.09% $200,924
Allworth Financial LP 0.18% 6,894 0% $163,165
OSAIC HOLDINGS, INC. 0.04% 1,501 0% $35,527
Rossby Financial, LCC 0.02% 676 0.01% $15,971
PRINCIPAL SECURITIES, INC. 0.01% 408 0% 0% $9,657
COMERICA BANK 0.01% 322 +19% 0% $7,621
WealthShield Partners, LLC 0% 180 0% 0% $4,260
MORGAN STANLEY 0% 177 0% 0% $4,189
Western Wealth Management, LLC 0% 0 -100% $0
Private Advisor Group, LLC 0% 0 -100% $0
RAYMOND JAMES FINANCIAL INC 0% 0 -100% $0
SUSQUEHANNA INTERNATIONAL GROUP, LLP 0% 0 -100% $0

Institutional Holders of Franklin Municipal Green Bond ETF - COMMON STOCK (FLMB) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 0 $0 -$204,977 $23.76 0
2025 Q3 3,045,973 $72,097,362 -$15,090,303 $23.67 21
2025 Q2 3,690,758 $85,215,105 +$7,553,223 $23.09 22
2025 Q1 3,363,347 $79,014,987 -$8,132,269 $23.49 19
2024 Q4 3,708,229 $88,284,619 -$3,153,117 $23.81 18
2024 Q3 3,835,784 $92,936,518 -$1,631,278 $24.46 19
2024 Q2 3,906,836 $93,335,568 -$8,030,106 $23.89 20
2024 Q1 4,242,839 $101,496,234 -$731,017 $23.92 16
2023 Q4 4,273,070 $103,082,486 +$1,730,315 $24.12 15
2023 Q3 4,204,809 $94,640,572 +$2,979,874 $22.50 16
2023 Q2 4,071,713 $96,743,397 -$1,154,975 $23.76 14
2023 Q1 4,119,805 $98,462,933 +$2,449,772 $23.90 16
2022 Q4 3,983,688 $92,481,061 +$3,625,107 $23.22 13
2022 Q3 3,826,171 $85,553,000 -$8,142,574 $22.36 7
2022 Q2 4,175,949 $98,573,000 +$10,794,099 $23.60 12
2022 Q1 3,724,510 $93,113,000 -$8,871,084 $25.00 10
2021 Q4 4,041,810 $109,755,000 -$1,088,738 $27.16 8
2021 Q3 4,081,920 $110,312,000 -$2,742,036 $27.01 8
2021 Q2 4,183,324 $114,017,000 +$2,070,222 $27.26 8
2021 Q1 4,107,383 $110,364,000 +$25,606,185 $26.87 5
2020 Q4 3,154,341 $86,397,000 +$42,661,014 $27.39 8
2020 Q3 1,625,867 $43,621,000 +$10,636,796 $26.83 10
2020 Q2 1,200,739 $32,408,000 +$11,794,932 $26.68 7
2020 Q1 763,237 $19,960,000 +$6,200 $26.16 5
2019 Q4 763,079 $19,882,000 -$685,517 $26.05 3
2019 Q3 789,384 $20,612,000 +$11,722,141 $26.12 5
2019 Q2 340,343 $8,761,000 +$4,198,320 $25.76 3
2019 Q1 177,308 $4,470,000 +$938,035 $25.21 5
2018 Q4 140,000 $3,432,000 $0 $24.51 1
2018 Q3 140,000 $3,364,000 -$135,854 $24.03 1
2018 Q2 145,052 $3,533,000 -$3,479,266 $24.35 2
2018 Q1 287,940 $7,031,000 -$75,483 $24.42 2
2017 Q4 291,042 $7,311,000 -$222,489 $25.12 1
2017 Q3 299,899 $7,455,000 +$7,455,009 $24.86 1