INCE (USA) - Franklin Income Equity Focus ETF has been performing well over the last 12 months making 42 new higher highs and is now up around 10.28%. If you had invested $1,000 into it 12 months ago, you would now have around a $102.81 profit. A nice return on your investment. If however you had managed to pick the lowest price over the last 12 months you would be up 11.54% or around $115.37 profit in your pocket.
Performance
# of Higher Highs
% Price Change
This provides key insights into an ETF’s structure and performance, including financial costs, dividend details, and portfolio composition. Investors can assess metrics like turnover, asset size, holdings count, and charges to make informed decisions. Additional information includes the ETF’s inception date, domicile, and official links for further details.
Average Market Cap (Million)
158819.21968
Company Name
Franklin Templeton
Ratio
Category Benchmark
Sustainability Ratio
Name
Fund
Relative to category
effective_duration
0
-0.20874
modified_duration
0
-0.51922
effective_maturity
0
2.21813
yield_to_maturity
0
3.50068
Name
Long_%
Short_%
Net_Assets_%
not_classified
31.5239
0
31.5239
stock_non_us
3.69584
0
3.69584
stock_us
59.41059
0
59.41059
Name
Equity_%
Relative to Category
Consumer Defensive
11.33073
5.78434
Industrials
15.01609
9.64499
Basic Materials
8.56298
2.4284
Consumer Cyclicals
8.28939
10.15788
Communication Services
4.57744
8.40785
Financial Services
16.7798
13.66022
Technology
7.70202
30.01407
Healthcare
7.07576
12.02091
Company
Code
Exchange
Name
Sector
Industry
Country
Region
Assets
PEP.US
PEP
US
PepsiCo Inc
Consumer Defensive
Beverages - Non-Alcoholic
United States
North America
2.397
LMT.US
LMT
US
Lockheed Martin Corporation
Industrials
Aerospace & Defense
United States
North America
2.080
APD.US
APD
US
Air Products and Chemicals Inc
Basic Materials
Specialty Chemicals
United States
North America
1.906
PG.US
PG
US
Procter & Gamble Company
Consumer Defensive
Household & Personal Products
United States
North America
2.018
CVX.US
CVX
US
Chevron Corp
Energy
Oil & Gas Integrated
United States
North America
2.623
JCI.US
JCI
US
Johnson Controls International PLC
Industrials
Building Products & Equipment
United States
North America
2.152
VZ.US
VZ
US
Verizon Communications Inc
Communication Services
Telecom Services
United States
North America
2.862
RIO.US
RIO
US
Rio Tinto ADR
Basic Materials
Other Industrial Metals & Mining
United States
North America
1.653
SO.US
SO
US
Southern Company
Utilities
Utilities - Regulated Electric
United States
North America
3.022
JNJ.US
JNJ
US
Johnson & Johnson
Healthcare
Drug Manufacturers - General
United States
North America
2.844
Company
Code
Exchange
Name
Sector
Industry
Country
Region
Assets
LOW.US
LOW
US
Lowe's Companies Inc
Consumer Cyclical
Home Improvement Retail
United States
North America
1.303
SO.US
SO
US
Southern Company
Utilities
Utilities - Regulated Electric
United States
North America
3.022
CSCO.US
CSCO
US
Cisco Systems Inc
Technology
Communication Equipment
United States
North America
1.200
ADI.US
ADI
US
Analog Devices Inc
Technology
Semiconductors
United States
North America
1.393
USB.US
USB
US
U.S. Bancorp
Financial Services
Banks - Regional
United States
North America
1.151
HON.US
HON
US
Honeywell International Inc
Industrials
Conglomerates
United States
North America
1.130
JNJ.US
JNJ
US
Johnson & Johnson
Healthcare
Drug Manufacturers - General
United States
North America
2.844
LMT.US
LMT
US
Lockheed Martin Corporation
Industrials
Aerospace & Defense
United States
North America
2.080
PG.US
PG
US
Procter & Gamble Company
Consumer Defensive
Household & Personal Products
United States
North America
2.018
RIO.US
RIO
US
Rio Tinto ADR
Basic Materials
Other Industrial Metals & Mining
United States
North America
1.653
MET.US
MET
US
MetLife Inc
Financial Services
Insurance - Life
United States
North America
1.322
APD.US
APD
US
Air Products and Chemicals Inc
Basic Materials
Specialty Chemicals
United States
North America
1.906
XOM.US
XOM
US
Exxon Mobil Corp
Energy
Oil & Gas Integrated
United States
North America
1.440
PEP.US
PEP
US
PepsiCo Inc
Consumer Defensive
Beverages - Non-Alcoholic
United States
North America
2.397
HD.US
HD
US
Home Depot Inc
Consumer Cyclical
Home Improvement Retail
United States
North America
1.652
CVX.US
CVX
US
Chevron Corp
Energy
Oil & Gas Integrated
United States
North America
2.623
RTX.US
RTX
US
Raytheon Technologies Corp
Industrials
Aerospace & Defense
United States
North America
1.448
JCI.US
JCI
US
Johnson Controls International PLC
Industrials
Building Products & Equipment
United States
North America
2.152
JPM.US
JPM
US
JPMorgan Chase & Co
Financial Services
Banks - Diversified
United States
North America
1.532
PM.US
PM
US
Philip Morris International Inc
Consumer Defensive
Tobacco
United States
North America
1.216
SCHW.US
SCHW
US
Charles Schwab Corp
Financial Services
Capital Markets
United States
North America
1.420
MCD.US
MCD
US
McDonald’s Corporation
Consumer Cyclical
Restaurants
United States
North America
1.187
SRE.US
SRE
US
Sempra Energy
Utilities
Utilities - Diversified
United States
North America
1.082
VZ.US
VZ
US
Verizon Communications Inc
Communication Services
Telecom Services
United States
North America
2.862
TXN.US
TXN
US
Texas Instruments Incorporated
Technology
Semiconductors
United States
North America
1.203
UNP.US
UNP
US
Union Pacific Corporation
Industrials
Railroads
United States
North America
1.431
MS.US
MS
US
Morgan Stanley
Financial Services
Capital Markets
United States
North America
1.456
Region
Equity %
Relative to Category
United Kingdom
3.47343
0.46707
North America
94.088
98.055
Europe Developed
2.406
1.058
1Y Volatility
3Y Volatility
3Y ExpReturn
3Y SharpRatio
Returns YTD
Returns 1Y
Returns 3Y
Returns 5Y
Returns 10Y
8.39
15.06
0.00
0.39
12.47
5.67
0.39
10.04
Technical indicators help investors analyze stock price trends and volatility. The 200 and 50-day moving averages show the average stock price over longer and shorter periods, highlighting potential support and resistance levels. The 52-week high and low indicate the stock's price range over the past year, providing a sense of its volatility. Beta measures the stock's sensitivity to market movements, with values below 1 indicating less volatility than the market.