Franklin FTSE South Korea ETF
$ 71.69
7.40 %
This fund endeavors to replicate the investment returns of the FTSE South Korea RIC Capped Index (also known as the FTSE South Korea Capped Index), before accounting for any associated fees and operational expenses.
Volume: $999.124 K
Overview
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FLKR vs S&P500
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Inside Franklin FTSE South Korea ETF
| Symbol | Name | Share number | Weight | Value |
|---|---|---|---|---|
| 000660.KS | SK HYNIX INC | 224930 | 29.243 % | 395.467 M $ |
| 005930.KS | SAMSUNG ELECTRONICS CO LT | 994838 | 17.462 % | 236.145 M $ |
| CASH | 192621798.15 | 14.243 % | 192.622 M $ | |
| 402340.KS | SK SQUARE CO LTD | 41832 | 3.443 % | 46.567 M $ |
| 009150.KS | SAMSUNG ELECTRO-MECHANICS | 25730 | 2.741 % | 37.066 M $ |
| 005935.KS | SAMSUNG ELECTRONICS-PREF | 169320 | 1.873 % | 25.335 M $ |
| 005380.KS | HYUNDAI MOTOR CO | 62914 | 1.831 % | 24.759 M $ |
| 105560.KS | KB FINANCIAL GROUP INC | 166166 | 1.312 % | 17.747 M $ |
| 034020.KS | DOOSAN ENERBILITY CO LTD | 205674 | 0.992 % | 13.414 M $ |
| 055550.KS | SHINHAN FINANCIAL GROUP L | 198038 | 0.967 % | 13.072 M $ |
| 012450.KS | HANWHA AEROSPACE CO LTD | 15770 | 0.908 % | 12.278 M $ |
| 028260.KS | SAMSUNG C&T CORP | 36852 | 0.866 % | 11.716 M $ |
| 000270.KS | KIA CORP | 110058 | 0.846 % | 11.444 M $ |
| 032830.KS | SAMSUNG LIFE INSURANCE CO | 36520 | 0.829 % | 11.216 M $ |
| 035420.KS | NAVER CORP | 69388 | 0.79 % | 10.678 M $ |
| 012330.KS | HYUNDAI MOBIS CO LTD | 27058 | 0.79 % | 10.684 M $ |
| 086790.KS | HANA FINANCIAL GROUP | 124998 | 0.763 % | 10.321 M $ |
| 006400.KS | SAMSUNG SDI CO LTD | 28220 | 0.713 % | 9.646 M $ |
| 005490.KS | POSCO HOLDINGS INC | 34694 | 0.617 % | 8.338 M $ |
| 068270.KS | CELLTRION INC | 71288 | 0.599 % | 8.104 M $ |
| 034730.KS | SK INC | 16766 | 0.558 % | 7.542 M $ |
| 066570.KS | LG ELECTRONICS INC | 49136 | 0.544 % | 7.352 M $ |
| 267260.KS | HD HYUNDAI ELECTRIC CO LT | 10292 | 0.542 % | 7.326 M $ |
| 000810.KS | SAMSUNG FIRE & MARINE INS | 14442 | 0.489 % | 6.620 M $ |
| 329180.KS | HD HYUNDAI HEAVY INDUSTRI | 14608 | 0.484 % | 6.543 M $ |
| 316140.KS | WOORI FINANCIAL GROUP INC | 312412 | 0.477 % | 6.454 M $ |
| 298040.KS | HYOSUNG HEAVY INDUSTRIES | 2386 | 0.427 % | 5.770 M $ |
| 009540.KS | HD KOREA SHIPBUILDING & O | 20916 | 0.426 % | 5.766 M $ |
| 010120.KS | LS ELECTRIC CO LTD | 35358 | 0.414 % | 5.603 M $ |
| 033780.KS | KT&G CORP | 46148 | 0.403 % | 5.451 M $ |
| 011070.KS | LG INNOTEK CO LTD | 6474 | 0.402 % | 5.439 M $ |
| 010140.KS | SAMSUNG HEAVY INDUSTRIES | 293654 | 0.394 % | 5.326 M $ |
| 207940.KS | SAMSUNG BIOLOGICS CO LTD | 5478 | 0.379 % | 5.130 M $ |
| 373220.KS | LG ENERGY SOLUTION | 19256 | 0.373 % | 5.044 M $ |
| 051910.KS | LG CHEM LTD | 21414 | 0.355 % | 4.803 M $ |
| 042660.KS | HANWHA OCEAN CO LTD | 58432 | 0.354 % | 4.787 M $ |
| 064350.KS | HYUNDAI ROTEM COMPANY | 33698 | 0.345 % | 4.667 M $ |
| 196170.KQ | ALTEOGEN INC | 18426 | 0.33 % | 4.458 M $ |
| 042700.KS | HANMI SEMICONDUCTOR CO LT | 19588 | 0.299 % | 4.047 M $ |
| 035720.KS | KAKAO CORP | 142262 | 0.271 % | 3.661 M $ |
| 079550.KS | LIG DEFENSE&AEROSPACE CO | 6308 | 0.27 % | 3.651 M $ |
| 086520.KQ | ECOPRO CO LTD | 46646 | 0.265 % | 3.589 M $ |
| 000150.KS | DOOSAN CO LTD | 3154 | 0.25 % | 3.375 M $ |
| 047810.KS | KOREA AEROSPACE INDUSTRIE | 32702 | 0.241 % | 3.255 M $ |
| 006800.KS | MIRAE ASSET SECURITIES CO | 92794 | 0.228 % | 3.081 M $ |
| 015760.KS | KOREA ELECTRIC POWER CORP | 119686 | 0.228 % | 3.084 M $ |
| 267250.KS | HD HYUNDAI | 19256 | 0.222 % | 3.007 M $ |
| 000720.KS | HYUNDAI ENGINEERING & CON | 33698 | 0.217 % | 2.939 M $ |
| 071050.KS | KOREA INVESTMENT HOLDINGS | 19090 | 0.213 % | 2.881 M $ |
| 003550.KS | LG CORP | 39840 | 0.212 % | 2.867 M $ |
| 278470.KS | APR CORP/KOREA | 11454 | 0.21 % | 2.835 M $ |
| 018260.KS | SAMSUNG SDS CO LTD | 18426 | 0.197 % | 2.667 M $ |
| 247540.KQ | ECOPRO BM CO LTD | 22576 | 0.188 % | 2.547 M $ |
| 005387.KS | HYUNDAI MOTOR CO LTD-2ND | 15936 | 0.185 % | 2.504 M $ |
| 138040.KS | MERITZ FINANCIAL GROUP IN | 32702 | 0.178 % | 2.403 M $ |
| 086280.KS | HYUNDAI GLOVIS CO LTD | 17264 | 0.177 % | 2.397 M $ |
| 028050.KS | SAMSUNG E&A CO LTD | 72708 | 0.175 % | 2.366 M $ |
| 016360.KS | Samsung Securities Co Ltd | 29050 | 0.168 % | 2.267 M $ |
| 096770.KS | SK INNOVATION CO LTD | 32536 | 0.163 % | 2.205 M $ |
| 006260.KS | LS CORP | 7802 | 0.158 % | 2.133 M $ |
| 272210.KS | HANWHA SYSTEMS CO LTD | 33864 | 0.158 % | 2.131 M $ |
| 003670.KS | POSCO FUTURE M CO LTD | 15438 | 0.151 % | 2.042 M $ |
| 007660.KS | ISUPETASYS CO LTD | 25232 | 0.148 % | 2.006 M $ |
| 005830.KS | DB INSURANCE CO LTD | 20252 | 0.147 % | 1.988 M $ |
| 259960.KS | KRAFTON INC | 12616 | 0.145 % | 1.966 M $ |
| 028300.KQ | HLB INC | 55942 | 0.136 % | 1.835 M $ |
| 011200.KS | HMM CO LTD | 124500 | 0.123 % | 1.667 M $ |
| 024110.KS | INDUSTRIAL BANK OF KOREA | 116366 | 0.123 % | 1.665 M $ |
| 003490.KS | KOREAN AIR LINES CO LTD | 85822 | 0.12 % | 1.621 M $ |
| 005385.KS | HYUNDAI MOTOR CO LTD-PRF | 10126 | 0.118 % | 1.601 M $ |
| 352820.KS | HYBE CO LTD | 10458 | 0.115 % | 1.561 M $ |
| 277810.KQ | RAINBOW ROBOTICS | 3818 | 0.114 % | 1.538 M $ |
| 010130.KS | KOREA ZINC CO LTD | 1898 | 0.111 % | 1.503 M $ |
| 021240.KS | COWAY CO LTD | 24734 | 0.109 % | 1.474 M $ |
| 307950.KS | HYUNDAI AUTOEVER CORP | 3154 | 0.102 % | 1.380 M $ |
| 161390.KS | HANKOOK TIRE & TECHNOLOGY | 31872 | 0.101 % | 1.369 M $ |
| 003230.KS | SAMYANG FOODS CO LTD | 1885 | 0.101 % | 1.371 M $ |
| 064400.KS | LG CNS CO LTD | 22410 | 0.098 % | 1.321 M $ |
| 010950.KS | S-OIL CORP | 19256 | 0.098 % | 1.325 M $ |
| 138930.KS | BNK FINANCIAL GROUP INC | 113378 | 0.097 % | 1.316 M $ |
| 323410.KS | KAKAOBANK CORP | 87814 | 0.097 % | 1.317 M $ |
| 000100.KS | YUHAN CORP | 25564 | 0.097 % | 1.309 M $ |
| 005940.KS | NH INVESTMENT & SECURITIE | 61254 | 0.093 % | 1.261 M $ |
| 298380.KQ | ABLBIO INC | 18924 | 0.093 % | 1.255 M $ |
| 009830.KS | HANWHA SOLUTIONS CORP | 48970 | 0.09 % | 1.222 M $ |
| 034220.KS | LG DISPLAY CO LTD | 134792 | 0.088 % | 1.194 M $ |
| 443060.KS | HD HYUNDAI MARINE SOLUTIO | 7304 | 0.085 % | 1.143 M $ |
| 066970.KQ | L&F CO LTD | 12948 | 0.08 % | 1.084 M $ |
| 000880.KS | HANWHA CORPORATION | 12782 | 0.075 % | 1.012 M $ |
| 036570.KS | NC CORP | 5810 | 0.073 % | 983.456 K $ |
| 241560.KS | DOOSAN BOBCAT INC | 22742 | 0.073 % | 981.369 K $ |
| 090430.KS | AMOREPACIFIC CORP | 13612 | 0.07 % | 947.488 K $ |
| 032640.KS | LG UPLUS CORP | 96612 | 0.07 % | 949.577 K $ |
| 078930.KS | GS HOLDINGS | 20252 | 0.07 % | 945.531 K $ |
| 011790.KS | SKC CO LTD | 11398 | 0.069 % | 937.425 K $ |
| 271560.KS | ORION CORP/REPUBLIC OF KO | 10292 | 0.067 % | 903.073 K $ |
| 0126Z0.KS | SAMSUNG EPISHOLDINGS CO L | 2988 | 0.066 % | 887.312 K $ |
| 180640.KS | HANJIN KAL CORP | 10956 | 0.065 % | 878.833 K $ |
| 004020.KS | HYUNDAI STEEL CO | 39010 | 0.063 % | 851.903 K $ |
| 128940.KS | HANMI PHARM CO LTD | 2822 | 0.058 % | 786.276 K $ |
| 047050.KS | POSCO INTERNATIONAL CORP | 21414 | 0.058 % | 789.450 K $ |
| 326030.KS | SK BIOPHARMACEUTICALS CO | 13114 | 0.056 % | 761.688 K $ |
| 001040.KS | CJ CORP | 6142 | 0.055 % | 738.013 K $ |
| 139130.KS | IM FINANCIAL GROUP CO LTD | 65238 | 0.055 % | 739.035 K $ |
| 001450.KS | HYUNDAI MARINE & FIRE INS | 27058 | 0.052 % | 704.289 K $ |
| 489790.KS | HANWHA VISION CO LTD | 15438 | 0.052 % | 707.632 K $ |
| 002380.KS | KCC CORP | 1992 | 0.051 % | 695.240 K $ |
| 204320.KS | HL MANDO CO LTD | 14940 | 0.05 % | 673.066 K $ |
| 051900.KS | LG H&H | 4316 | 0.05 % | 669.805 K $ |
| 023530.KS | LOTTE SHOPPING CO | 5146 | 0.047 % | 635.858 K $ |
| CURRENCY CONTRACT - KRW | 264602260568.89 | 0.047 % | 639.084 K $ | |
| 00680K.KS | MIRAE ASSET SECURITIES - | 60756 | 0.046 % | 617.446 K $ |
| 011780.KS | KUMHO PETROCHEMICAL CO LT | 6972 | 0.044 % | 588.932 K $ |
| 006360.KS | GS ENGINEERING & CONSTRUC | 30212 | 0.041 % | 547.996 K $ |
| 008770.KS | HOTEL SHILLA CO LTD | 14774 | 0.041 % | 557.236 K $ |
| 035250.KS | KANGWON LAND INC | 52788 | 0.039 % | 528.865 K $ |
| 377300.KS | KAKAOPAY CORP | 16600 | 0.037 % | 500.560 K $ |
| 139480.KS | E-MART INC | 8798 | 0.037 % | 504.093 K $ |
| 018880.KS | HANON SYSTEMS | 165502 | 0.037 % | 502.851 K $ |
| 097950.KS | CJ CHEILJEDANG CORP | 3652 | 0.034 % | 461.298 K $ |
| 088350.KS | HANWHA LIFE INSURANCE CO | 126824 | 0.033 % | 451.771 K $ |
| 011170.KS | LOTTE CHEMICAL CORP | 8300 | 0.032 % | 432.079 K $ |
| 012750.KS | S-1 CORPORATION | 9296 | 0.032 % | 433.405 K $ |
| 450080.KS | ECOPRO MATERIALS CO LTD | 11620 | 0.031 % | 413.166 K $ |
| 022100.KQ | POSCO DX CO LTD | 24402 | 0.031 % | 424.237 K $ |
| 030000.KS | CHEIL WORLDWIDE INC | 32038 | 0.03 % | 402.796 K $ |
| 066575.KS | LG ELECTRONICS-PREF | 7968 | 0.03 % | 401.752 K $ |
| 263750.KQ | PEARL ABYSS CORP | 15770 | 0.03 % | 402.731 K $ |
| 028670.KS | PAN OCEAN CO LTD | 112382 | 0.028 % | 377.513 K $ |
| 051915.KS | LG CHEM LTD-PREFERENCE | 3652 | 0.027 % | 368.273 K $ |
| 000815.KS | SAMSUNG FIRE & MARINE INS | 1328 | 0.027 % | 371.317 K $ |
| 029780.KS | SAMSUNG CARD CO | 10956 | 0.026 % | 355.838 K $ |
| 004370.KS | NONGSHIM CO LTD | 1494 | 0.026 % | 356.099 K $ |
| 383220.KS | F&F CO LTD / NEW | 6308 | 0.025 % | 332.098 K $ |
| 051600.KS | KEPCO PLANT SERVICE & ENG | 10126 | 0.025 % | 338.163 K $ |
| 251270.KS | NETMARBLE CORP | 12118 | 0.024 % | 320.179 K $ |
| 000155.KS | DOOSAN CORP-PREF | 830 | 0.023 % | 305.988 K $ |
| 302440.KS | SK BIOSCIENCE CO LTD | 12118 | 0.023 % | 312.641 K $ |
| 017670.KS | SK TELECOM | 4980 | 0.023 % | 312.728 K $ |
| 081660.KS | MISTO HOLDINGS CORP | 11786 | 0.023 % | 307.934 K $ |
| KOSPI2 INX FUT Sep26 | 864 | 0.022 % | -293.908 K $ | |
| 282330.KS | BGF RETAIL CO LTD | 3818 | 0.022 % | 293.760 K $ |
| 068760.KQ | CELLTRION PHARM INC | 9794 | 0.021 % | 277.694 K $ |
| 036460.KS | KOREA GAS CORPORATION | 12284 | 0.021 % | 279.520 K $ |
| 071055.KS | KOREA INVESTMENT HOLD-PRE | 2656 | 0.02 % | 275.835 K $ |
| JPM CASH BAL KRW | 383613982.71 | 0.019 % | 251.196 K $ | |
| 007070.KS | GS RETAIL CO LTD | 16102 | 0.018 % | 243.035 K $ |
| 00088K.KS | HANWHA CORPORATION-3P | 8964 | 0.018 % | 236.845 K $ |
| 004990.KS | LOTTE CORP | 14276 | 0.018 % | 247.726 K $ |
| 026960.KS | DONGSUH COMPANIES INC | 14276 | 0.017 % | 230.431 K $ |
| 006280.KS | GC BIOPHARMA CORP | 2490 | 0.016 % | 212.942 K $ |
| 000120.KS | CJ LOGISTICS | 4150 | 0.016 % | 221.203 K $ |
| JPM CASH BAL USD | 194188.03 | 0.014 % | 194.188 K $ | |
| 008930.KS | HANMI SCIENCE CO LTD | 8964 | 0.013 % | 176.680 K $ |
| 002790.KS | AMOREPACIFIC HOLDINGS COR | 10790 | 0.012 % | 163.918 K $ |
| 361610.KS | SK IE TECHNOLOGY CO LTD | 11952 | 0.011 % | 143.457 K $ |
| IFT - MONEY MARKET PORT | 130594.52 | 0.01 % | 130.595 K $ | |
| Net Current Assets | 0 | 0.009 % | 119.397 K $ | |
| 006405.KS | SAMSUNG SDI CO LTD-PREF | 664 | 0.008 % | 102.177 K $ |
| 090435.KS | AMOREPACIFIC CORP-PREF | 4316 | 0.007 % | 98.068 K $ |
| 009830.KS | HANWHA SOLUTIONS RTS | 12071 | 0.006 % | 80.624 K $ |
| 051905.KS | LG H&H-PRF | 996 | 0.005 % | 65.611 K $ |
| 097955.KS | CJ CHEILJEDANG CORP-PREF | 664 | 0.004 % | 52.697 K $ |