ETF:FLAX | ETF Holdings Page 4 | Franklin FTSE Asia ex Japan ETF

FLAX ETF holdings Page 4

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundFranklin FTSE Asia ex Japan ETF
Report date2026-03-31
Reported holdings1,596
SEC series IDS000059500

Positions 301–400 of 1,596

TickerIssuerWeightValue (USD)Balance
071050KOREA INVESTMENT HOLDINGS COMPANY LTD0.05644%23,136.81175 NS
278470APR CO LTD0.056356%23,102.54105 NS
SDGSD GUTHRIE BHD0.056132%23,010.6215,400 NS
ALMMFAluminum Corporation of China Limited0.056005%22,958.616,000 NS
TRUE-RTrue Corporation Public Company Limited0.055918%22,922.9852,500 NS
291China Resources Beer Holdings Co Ltd.0.055843%22,892.277,000 NS
3293INTERNATIONAL GAMES SYSTEM COMPANY LTD0.055502%22,752.52966 NS
3481Innolux Corp.0.055322%22,678.7630,400 NS
3692HANSOH PHARMACEUTICAL GROUP CO LTD0.055196%22,626.975,000 NS
2688ENN ENERGY HOLDINGS LTD0.05519%22,624.422,800 NS
IOCLIndian Oil Corp Ltd.0.055017%22,553.6415,799 NS
6446Pharmaessentia Corp0.054983%22,539.881,201 NS
3533LOTES CO LTD0.054747%22,442.92350 NS
079550Lig Nex1 Co Ltd0.054494%22,339.3156 NS
PSYSPersistent Systems Ltd.0.054439%22,316.63434 NS
005387Hyundai Motor Co.0.054433%22,314.17147 NS
12Henderson Land Development Co Ltd.0.053989%22,132.096,000 NS
Institutional FiduInstitutional Fidu0.053406%21,893.1721,893.17 NS
086280Hyundai Glovis Co Ltd.0.053206%21,811.45161 NS
IHIndian Hotels Co Ltd. (The)0.053039%21,742.743,612 NS
1308SITC INTERNATIONAL HOLDINGS COMPANY LTD0.053018%21,734.145,000 NS
15303SBio Inc0.052831%21,657.617,500 NS
POLICYBZPB Fintech Ltd.0.052695%21,601.691,435 NS
5871CHAILEASE HOLDING COMPANY LTD0.052437%21,495.846,276 NS
138040MERITZ FINANCIAL GROUP INC0.052162%21,383.21294 NS
6030CITIC Securities Co Ltd.0.051792%21,231.67,000 NS
3044TRIPOD TECHNOLOGY CORP0.051657%21,176.12,000 NS
FIGIFFuyao Glass Industry Group Co Ltd.0.051095%20,945.892,800 NS
000858WULIANGYE YIBIN CO LTD0.051064%20,933.011,400 NS
WILWilmar International Ltd.0.050956%20,889.047,000 NS
2313SHENZHOU INTERNATIONAL GROUP HOLDINGS LTD0.050943%20,883.43,500 NS
FBFederal Bank Ltd.0.050903%20,867.147,630 NS
096770SK Innovation Co Ltd.0.050898%20,864.95294 NS
MOTHERSOSamvardhana Motherson International ltd0.050575%20,732.6618,714 NS
2611Guotai Haitong Securities Co Ltd.0.050489%20,697.5112,128 NS
CLICapitaland Investment Ltd.0.0504%20,661.169,800 NS
GAMGamuda Berhad0.050337%20,635.2222,400 NS
688China Overseas Land & Investment Ltd.0.050311%20,624.4714,000 NS
ADEAdani Enterprises Ltd.0.050029%20,508.791,106 NS
DSSADian Swastatika Sentosa TBK0.049471%20,280.215,222 NS
2395Advantech Co Ltd.0.049334%20,223.82,030 NS
1997WHARF REAL ESTATE INVESTMENT CO LTD0.049266%20,195.917,000 NS
1101TCC Group Holdings Co Ltd.0.049139%20,143.8828,000 NS
4904Far Eastone Telecommunications Co., Ltd.0.049085%20,121.997,000 NS
003550LG Corp0.048924%20,056.02371 NS
LXSPYLuxshare Precision Industry Co Ltd.0.048715%19,970.172,800 NS
1919Cosco Shipping Holdings Co Ltd.0.048677%19,954.8510,500 NS
4938Pegatron Corp.0.048636%19,937.858,365 NS
TRPTorrent Pharmaceuticals Ltd.0.048625%19,933.31448 NS
GVTDGE Vernova T&D India Ltd.0.048498%19,881.41518 NS
3045TAIWAN MOBILE COMPANY LTD0.048488%19,877.075,830 NS
CPN-RCENTRAL PATTANA PCL0.048346%19,818.8310,500 NS
4958ZHEN DING TECHNOLOGY HOLDING LTD0.048057%19,700.53,050 NS
1326Formosa Chemicals & Fibre Corp.0.048017%19,684.0814,000 NS
AUBANKAU Small Finance Bank Ltd.0.047941%19,652.892,212 NS
TMETencent Music Entertainment Group0.047742%19,571.522,109 NS
1590Airtac International Group0.047734%19,568.03630 NS
ALAshok Leyland Ltd.0.047727%19,565.112,040 NS
836China Resources Power Holdings Co Ltd.0.047697%19,553.078,400 NS
010130Korea Zinc0.04756%19,496.6221 NS
1772Ganfeng Lithium Group Co Ltd.0.047534%19,486.112,100 NS
005830DB Insurance Co Ltd.0.047479%19,463.72182 NS
002371NAURA Technology Group Co Ltd.0.047363%19,415.93300 NS
CGPOWERCG Power and Industrial Solns Ltd0.04729%19,385.872,807 NS
AMMAMMB Holdings Berhad0.047246%19,367.9911,900 NS
HDFCAMCHDFC Asset Management Co Ltd.0.047084%19,301.75826 NS
SUELSuzlon Energy Ltd.0.047005%19,269.3346,200 NS
3702WPG HOLDINGS LTD0.047002%19,268.067,000 NS
2801Chang Hwa Commercial Bank Ltd0.046706%19,146.7830,006 NS
2382SUNNY OPTICAL TECHNOLOGY (GROUP) CO LTD0.046565%19,088.82,800 NS
601166Industrial Bank Co Ltd.0.046529%19,074.237,000 NS
BHFCBharat Forge Ltd.0.046126%18,909.021,071 NS
1816CGN Power Co Ltd0.045999%18,856.6642,000 NS
TALTAL Education Group0.045764%18,760.51,650 NS
000150Doosan Co., Ltd.0.045754%18,756.2428 NS
BZKANZHUN LTD0.045729%18,7461,400 NS
259960KRAFTON Inc.0.045486%18,646.56112 NS
PTGPETRONAS GAS BHD0.045445%18,629.794,200 NS
003670POSCO FUTURE M CO LTD0.045375%18,600.86140 NS
601328Bank of Communications Co Ltd.0.044996%18,445.8618,200 NS
1038CK INFRASTRUCTURE HOLDINGS LTD0.044762%18,349.662,300 NS
JINDALSJindal Steel Ltd.0.044487%18,237.011,554 NS
298380ABL Bio Inc0.044389%18,196.85168 NS
ICICIGIIcici Lombard Gen Insurance Co Ltd0.044346%18,179.311,008 NS
PIDIPidilite Industries Ltd.0.044186%18,113.521,337 NS
2207Hotai Motor Co Ltd.0.043902%17,997.031,190 NS
SCISembcorp Industries Ltd.0.043875%17,986.283,500 NS
2404UNITED INTEGRATED SERVICES COMPANY LTD0.043851%17,976.23700 NS
PCHEMPETRONAS CHEMICALS GROUP BHD0.043518%17,839.7111,900 NS
BDOBDO Unibank Inc.0.043437%17,806.629,590 NS
352820Hybe Co Ltd.0.043334%17,764.591 NS
522ASMPT LTD0.043254%17,731.691,400 NS
1928SANDS CHINA LTD0.043098%17,667.418,400 NS
GCPLGodrej Consumer Products Ltd.0.042905%17,588.541,694 NS
SCC-RSiam Cement Public Co Ltd.0.04287%17,574.292,800 NS
PAYTMOne 97 Communications Ltd.0.042817%17,552.411,736 NS
MISCMISC Berhad0.042712%17,509.518,400 NS
RHBBANKRHB Bank Berhad0.042712%17,509.518,400 NS
358Jiangxi Copper Co Ltd.0.042439%17,397.524,000 NS
MAXFMax Financial Services Limited0.042403%17,382.561,106 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.