FLLV ETF — Holdings & Analysis
The Franklin U.S. Low Volatility ETF (FLLV) is an equity ETF with $0.11 billion in assets under management. It aims to provide capital appreciation while exhibiting lower volatility than the broader Russell 1000 Index. With an expense ratio of 0.29%, FLLV invests primarily in U.S. companies, focusing on those demonstrating lower volatility characteristics. The fund's strategy involves selecting stocks based on volatility metrics, offering investors exposure to a potentially less turbulent equity portfolio.
Franklin U.S. Low Volatility ETF (FLLV) ETF — Price, Holdings & Analysis
ETF Genel Bakış
Risk Metrikleri
Gider Oranı
En İyi Varlıklar
- Amphenol Corp Class A (APH): 2.13%
- Analog Devices Inc (ADI): 1.83%
- Texas Instruments Inc (TXN): 1.83%
- Vontier Corp Ordinary Shares (VNT): 1.76%
- Microsoft Corp (MSFT): 1.75%
- Oracle Corp (ORCL): 1.74%
- Ansys Inc (ANSS): 1.69%
- Alphabet Inc Class A (GOOGL): 1.65%
- International Business Machines Corp (IBM): 1.62%
- PTC Inc (PTC): 1.59%
Sektör Dağılımı
- Technology: 28.8%
- Financial Services: 13.0%
- Healthcare: 11.6%
- Consumer Cyclical: 11.0%
- Industrials: 9.6%
- Communication Services: 7.8%
- Consumer Defensive: 6.1%
- Energy: 4.4%
- Basic Materials: 2.7%
- Utilities: 2.5%
- Real Estate: 2.5%
- United States: 95.1%
- United Kingdom: 0.9%
- Ireland: 2.7%
- Canada: 1.3%
Temettü Verimi
- <a href="/etf/xlf">State Street Financial Select Sector SPDR ETF (XLF)</a> — 0.08% expense ratio
- <a href="/etf/xlk">State Street Technology Select Sector SPDR ETF (XLK)</a> — 0.08% expense ratio
- <a href="/etf/eem">iShares MSCI Emerging Markets ETF (EEM)</a> — 0.72% expense ratio
- <a href="/etf/spy">State Street SPDR S&P 500 ETF Trust (SPY)</a> — 0.09% expense ratio
- <a href="/etf/rwde">Direxion MSCI Developed Over Emerging Markets ETF (RWDE)</a> — 0.53% expense ratio
- <a href="/etf/fine">Themes European Luxury ETF (FINE)</a> — 0.35% expense ratio
- <a href="/etf/mj">Amplify Alternative Harvest ETF (MJ)</a> — 0.75% expense ratio
- <a href="/etf/defa">iShares Adaptive Currency Hedged MSCI EAFE ETF (DEFA)</a> — 0.35% expense ratio
- <a href="/etf/flau">Franklin FTSE Australia ETF (FLAU)</a> (Equity) — 0.09% ER
- <a href="/etf/ppem">Putnam PanAgora ESG Emerging Markets Equity ETF (PPEM)</a> (Equity) — 0.60% ER
- <a href="/etf/lvhi">Franklin International Low Volatility High Dividend Index ETF (LVHI)</a> (Equity) — 0.40% ER
- <a href="/etf/cacg">ClearBridge All Cap Growth ESG ETF (CACG)</a> (Equity) — 0.54% ER
- <a href="/etf/flcb">Franklin U.S. Core Bond ETF (FLCB)</a> (Fixed Income) — 0.15% ER
- <a href="/etf/phyd">Putnam ESG High Yield ETF (PHYD)</a> (Fixed Income) — 0.57% ER
Risk Metrikleri
- Beta: 0.83
Sorular & Cevaplar
What is FLLV and what does it track?
The Franklin U.S. Low Volatility ETF (FLLV) is an exchange-traded fund that aims to provide capital appreciation while exhibiting a lower level of volatility than the Russell 1000 Index. It achieves this by investing at least 80% of its net assets in U.S. equity securities, primarily common stocks, selected for their lower volatility characteristics. As of 2026-03-15, FLLV has an AUM of $0.11 billion and holds 88 different stocks. The fund's top holdings include companies like Amphenol Corp Class A, Analog Devices Inc, and Texas Instruments Inc.
What is the expense ratio for FLLV?
The expense ratio for FLLV is 0.29%. This means that for every $10,000 invested in the fund, investors will pay $29 in annual fees to cover the fund's operating expenses. While this is not the lowest expense ratio available in the equity ETF universe, it is competitive. The category average expense ratio for similar equity ETFs is approximately 0.44%, making FLLV a relatively cost-effective option.
What are the top holdings in FLLV?
As of 2026-03-15, the top holdings in FLLV include Amphenol Corp Class A, representing 2.13% of the portfolio. Other significant holdings are Analog Devices Inc and Texas Instruments Inc, both at 1.83%. Vontier Corp Ordinary Shares accounts for 1.76% of the fund, followed by Microsoft Corp at 1.75%. These top holdings reflect FLLV's focus on established, relatively stable companies within the U.S. equity market.
Is FLLV a good long-term investment?
Whether FLLV is a suitable long-term investment depends on an individual investor's risk tolerance and investment goals. FLLV aims to provide capital appreciation with lower volatility than the broader market, as indicated by its beta of 0.83. The fund's expense ratio is 0.29%, and it offers a dividend yield of 1.76%. Investors seeking a less turbulent equity investment with exposure to U.S. companies may find FLLV appealing. Past performance does not guarantee future results.
How does FLLV compare to similar ETFs?
FLLV distinguishes itself through its specific methodology for selecting low-volatility stocks within the U.S. equity market. Its expense ratio of 0.29% is competitive within the category. Other similar ETFs may have different approaches to defining and measuring volatility, leading to variations in portfolio composition and performance. Some competitors may focus on different market segments or have higher or lower expense ratios. FLLV's AUM is $0.11 billion, which is a factor to consider when evaluating liquidity and trading costs compared to larger ETFs.
Does FLLV pay dividends?
Yes, FLLV does pay dividends. As of 2026-03-15, the fund has a dividend yield of 1.76%. This means that investors can expect to receive approximately 1.76% of their investment in annual dividend payments, distributed over the course of the year. The actual dividend amount may vary depending on the fund's performance and the dividend policies of the underlying companies in its portfolio.