C000263376 Holdings — Franklin Dividend Growth ETF

All 43 reported holdings of Franklin Dividend Growth ETF (C000263376) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp.5.17%$271.19K
Broadcom, Inc.4.82%$252.71K
Eli Lilly & Company4.66%$244.68K
Apple, Inc.4.33%$227.15K
Jp Morgan Chase & Company4.31%$226.19K
Visa, Inc.3.96%$207.57K
Walmart, Inc.3.04%$159.24K
Johnson & Johnson3.01%$157.72K
Linde PLC2.90%$152.05K
Institutional Fiduciary Trust2.77%$145.27K
Morgan Stanley2.71%$142.15K
Rtx Corp.2.62%$137.55K
Analog Devices, Inc.2.62%$137.42K
Parker-Hannifin Corp.2.52%$132.05K
Oracle Corp.2.47%$129.70K
Amphenol Corp.2.44%$128.01K
Coca-Cola Company (the)2.29%$120.12K
Merck & Company, Inc.2.13%$111.54K
Procter & Gamble Company (the)2.12%$111.15K
Chevron Corp.2.12%$111.06K
Abbott Laboratories2.09%$109.52K
Carrier Global Corp.2.02%$105.84K
W.w. Grainger, Inc.1.95%$102.03K
Unitedhealth Group, Inc.1.89%$98.92K
Stryker Corp.1.88%$98.86K
Apollo Global Management, Inc.1.85%$97.01K
Evergy, Inc.1.84%$96.63K
Charles Schwab Corp. (the)1.73%$90.89K
NASDAQ, Inc.1.73%$90.88K
Lam Research Corp.1.71%$89.70K
Marriott International, Inc.1.71%$89.68K
Mcdonald's Corp.1.66%$87.31K
Nextera Energy, Inc.1.64%$86.10K
Marsh & Mclennan Companies, Inc.1.54%$80.83K
Philip Morris International, Inc.1.51%$79.42K
D.r. Horton, Inc.1.51%$79.00K
Lowe's Companies, Inc.1.45%$76.29K
Eog Resources, Inc.1.35%$70.70K
Sherwin-Williams Company (the)1.27%$66.80K
Canadian Pacific Kansas City Ltd.1.27%$66.72K
Cintas Corp.1.24%$64.80K
Casey's General Stores, Inc.1.08%$56.43K
Thermo Fisher Scientific, Inc.1.06%$55.65K

C000263376 overview: performance, fees, allocation and SEC filings