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Franklin FTSE United Kingdom ETF Holdings

FLGB was created on 2017-11-02 by Franklin. The fund's investment portfolio concentrates primarily on total market equity. The ETF currently has 876.53m in AUM and 95 holdings. FLGB tracks a market cap-weighted index of large- and mid-cap companies from the United Kingdom.

Last Updated: 2 hours ago

Last reported holdings - Franklin FTSE United Kingdom ETF

Ticker Name Est. Value
HSBA.L
HSBC Holdings PLC $86.1 million
AZN.L
AstraZeneca PLC $68.5 million
SHEL.L
Shell PLC $58.6 million
UNLYD
Unilever PLC $43.6 million
RR.L
Rolls-Royce Holdings PLC $41.6 million
ULVR.L
Unilever PLC $32.8 million
BATS.L
British American Tobacco PLC $32.2 million
RIO.L
Rio Tinto PLC Ordinary Shares $27.3 million
GSK.L
GSK PLC $26.7 million
BP.L
BP PLC $26.7 million
BARC.L
Barclays PLC $24.2 million
LLOY.L
Lloyds Banking Group PLC $21.8 million
GLEN.L
Glencore PLC $20.7 million
NG.L
National Grid PLC $20.5 million
BA.L
BAE Systems PLC $19.2 million
NWG.L
NatWest Group PLC $17.8 million
RBGPD
Reckitt Benckiser Group PLC $16.4 million
3RB0.DE
Reckitt Benckiser Group PLC $16.4 million
REL.L
RELX PLC $14.8 million
AAL.L
Anglo American PLC $14.8 million
CPG.L
Compass Group PLC $14.5 million
LSEG.L
London Stock Exchange Group PLC $14.1 million
STAN.L
Standard Chartered PLC $12.9 million
DGE.L
Diageo PLC $11.8 million
RKT.L
Reckitt Benckiser Group PLC $10.6 million
HLN.L
Haleon PLC $10.3 million
TSCO.L
Tesco PLC $9.8 million
SSE.L
SSE PLC $9.7 million
SUNB
Sunbelt Rentals Holdings Inc $9.0 million
PRU.L
Prudential PLC $8.9 million
EXPN.L
Experian PLC $8.0 million
III.L
3i Group Ord $7.7 million
IMB.L
Imperial Brands PLC $7.1 million
VOD.L
Vodafone Group PLC $6.9 million
AV.L
Aviva PLC $6.7 million
IHG.L
InterContinental Hotels Group PLC $6.4 million
NXT.L
Next PLC $5.8 million
None
FTSE 100 Index Future Sept 26 $5.7 million
LGEN.L
Legal & General Group PLC $5.6 million
CCEP
Coca-Cola Europacific Partners PLC $5.4 million
HLMA.L
Halma PLC $5.1 million
ANTO.L
Antofagasta PLC $4.9 million
INF.L
Informa PLC $3.9 million
BT.A.L
BT Group PLC $3.8 million
RTO.L
Rentokil Initial PLC $3.7 million
IAG.L
International Consolidated Airlines Group SA $3.5 million
SGRO.L
Segro PLC $3.5 million
UU.L
United Utilities Group PLC Class A $3.4 million
SN.L
Smith & Nephew PLC $3.3 million
DPLM.L
Diploma PLC $3.3 million
CCH.L
Coca-Cola HBC AG $3.2 million
ITRK.L
Intertek Group PLC $3.1 million
EDV.TO
Endeavour Mining PLC $2.9 million
ADM.L
Admiral Group PLC $2.9 million
SMIN.L
Smiths Group PLC $2.8 million
BNZL.L
Bunzl PLC $2.8 million
CNA.L
Centrica PLC $2.8 million
SVT.L
Severn Trent PLC $2.7 million
SGE.L
Sage Group (The) PLC $2.6 million
BEZ.L
Beazley PLC $2.6 million
IMI.L
IMI PLC $2.6 million
MKS.L
Marks & Spencer Group PLC $2.5 million
PSON.L
Pearson PLC $2.5 million
MNG.L
M&G PLC Ordinary Shares $2.4 million
WEIR.L
Weir Group PLC $2.3 million
WSE
Wise Group PLC Class A $2.1 million
MRO.L
Melrose Industries PLC $2.1 million
SDLF.L
Standard Life PLC $2.1 million
STJ.L
St James's Place PLC $2.0 million
FRES.L
Fresnillo PLC $2.0 million
HSX.L
Hiscox Ltd $2.0 million
None
Great British Pound $2.0 million
ABF.L
Associated British Foods PLC $1.9 million
DCC.L
DCC PLC $1.9 million
SPX.L
Spirax Group PLC $1.8 million
SBRY.L
Sainsbury (J) PLC $1.8 million
ICG.L
ICG Plc $1.7 million
KGF.L
Kingfisher PLC $1.7 million
LAND.L
Land Securities Group PLC $1.6 million
HWDN.L
Howden Joinery Group PLC $1.5 million
CRDA.L
Croda International PLC $1.5 million
SDR.L
Schroders PLC $1.5 million
BRBY.L
Burberry Group PLC $1.4 million
WTB.L
Whitbread PLC $1.4 million
CTEC.L
Convatec Group PLC $1.4 million
AUTO.L
Autotrader Group PLC $1.4 million
BLND.L
British Land Co PLC $1.4 million
MTLN.L
Metlen Energy & Metals PLC $1.4 million
BTRW.L
Barratt Redrow PLC $1.2 million
PSN.L
Persimmon PLC $1.1 million
ENT.L
Entain PLC $1.1 million
RMV.L
Rightmove PLC $1.1 million
BKG.L
Berkeley Group Holdings (The) PLC $1.1 million
MNDI.L
Mondi PLC $1.1 million
ZEG.L
Zegona Communications PLC $1.0 million
TW.L
Taylor Wimpey PLC $977665
AAF.L
Airtel Africa PLC Ordinary Shares $850767
JD.L
JD Sports Fashion PLC $723253
None
Morgan Stanley Futures Cash Balance - Gbp $308839
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund $158433
None
Euro $126886
EVR.L
EVRAZ PLC $0
NMMCF
NMC Health PLC $0

Recent Changes - Franklin FTSE United Kingdom ETF

Date Ticker Name Change (Shares)
2026-06-03
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund 227,484
2026-06-02
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund -137
2026-06-01
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund 137
2026-05-18
WISE.L
Wise PLC Class A -195,774
2026-05-18
WSE
Wise Group PLC Class A 195,774
2026-04-14
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund 126,626
2026-04-10
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund -43,329
2026-03-26
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund 7,095
2026-03-24
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund -1,515
2026-03-23
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund 1,515
2026-03-23
WPP.L
WPP PLC -275,222
2026-03-23
UTG.L
UNITE Group PLC -120,500
2026-03-23
ZEG.L
Zegona Communications PLC 46,272
2026-03-23
HIK.L
Hikma Pharmaceuticals PLC -38,560
2026-03-02
AHT.L
Ashtead Group PLC -121,312
2026-02-02
3RB0.DE
Reckitt Benckiser Group PLC 193,057
2026-02-02
RKT.L
Reckitt Benckiser Group PLC -201,102
2026-01-14
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund -66,137
2025-12-11
MICC.AS
The Magnum Ice Cream Co NV -150,530
2025-12-09
UNLYD
Unilever PLC 669,025
2025-12-09
ULVR.L
Unilever PLC -752,653
2025-12-08
MICC.AS
The Magnum Ice Cream Co NV 150,531
2025-11-20
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund 24,113
2025-11-13
INFXX
Franklin Instl U.S. Govt Mny Mkt Fund -17,095
2025-08-23
INFXX
Franklin IFT Money Market -13,255
2025-08-09
MTLN.AT
Metlen Energy & Metals PLC 29,176
2025-08-09
INFXX
Franklin IFT Money Market 48,850
2025-07-23
ICG.L
Intermediate Capital Group -73,130
2025-06-24
CAN.L
Canal+ SA -185,915
2025-06-06
AAMCHF.SW
Anglo American PLC 298,030
2025-06-06
AMS.JO
Valterra Platinum Ltd -34,625
2025-06-03
AAL.L
Anglo American PLC -338,388
2025-06-03
AMS.JO
Valterra Platinum Ltd 34,625
2025-03-25
HL.L
Hargreaves Lansdown PLC -95,000
2025-03-25
CRH
CRH PLC -170,000
2025-03-25
FLUT
Flutter Entertainment PLC -44,500
2025-03-25
CCEP
Coca-Cola Europacific Partners PLC 53,000
2025-03-11
INFXX
Franklin IFT Money Market 10,199
2025-03-08
INFXX
Franklin IFT Money Market -9,862
2025-02-26
INFXX
Franklin IFT Money Market 4,965
2025-02-22
INFXX
Franklin IFT Money Market -121,167
2024-12-21
CAN.L
Canal+ SA 161,784
2024-11-27
INFXX
Franklin IFT Money Market 16,208
2024-11-23
INFXX
Franklin IFT Money Market 60,988
2024-08-24
INFXX
Franklin IFT Money Market 4,687
2024-08-23
INFXX
Franklin IFT Money Market -21,571
2024-08-14
III.L
3i Group PLC 233,928
2024-07-09
SK3.IR
Smurfit Kappa Group PLC -64,389
2024-07-09
SWR.L
Smurfit Kappa Group PLC 127,764
2024-06-28
III.L
3i Group PLC -238,032
2024-06-26
INFXX
Franklin IFT Money Market 14.1 million
2024-06-18
INFXX
Franklin IFT Money Market -1,107
2024-06-14
III.L
3i Group PLC 251,379
2024-06-13
III.L
3i Group PLC -251,379
2024-06-08
III.L
3i Group PLC 251,379
2024-06-05
INFXX
Franklin IFT Money Market 6,707
2024-04-26
III.L
3i Group PLC -256,025
2024-04-25
III.L
3i Group PLC 256,025
2024-04-24
III.L
3i Group PLC -256,025
2024-04-20
III.L
3i Group PLC 256,025
2024-04-17
INFXX
Franklin IFT Money Market 658,960
2024-04-06
III.L
3i Group PLC -236,500
2024-03-19
RSW.L
Renishaw PLC -8,500
2024-03-19
ITV.L
ITV PLC -910,500
2024-03-19
TATE.L
Tate & Lyle PLC -99,000
2024-03-19
MKS.L
Marks & Spencer Group PLC 488,000
2024-02-08
III.L
3i Group PLC -239,148
2024-02-07
III.L
3i Group PLC 239,148
2024-01-27
MNDIZAR
Mondi PLC 121,618
2024-01-27
MNDI.L
Mondi PLC -121,618
2024-01-17
DPH.L
Dechra Pharmaceuticals PLC -27,594
2023-12-19
DWL.L
Dowlais Group PLC -326,024
2023-12-16
III.L
3i Group PLC -232,243
2023-12-15
III.L
3i Group PLC 232,243
2023-11-15
FLTR.L
Flutter Entertainment PLC -43,648
2023-09-20
DLN.L
Derwent London PLC -25,812
2023-09-20
DLG.L
Direct Line Insurance Group PLC -304,008
2023-05-31
PSON.L
Pearson PLC 163,194
2023-05-31
BDEV.L
Barratt Developments PLC 225,890
2023-05-31
ANTO.L
Antofagasta PLC 78,370
2023-05-31
STJ.L
St James's Place PLC 121,243
2023-05-31
TW.L
Taylor Wimpey PLC 791,076
2023-05-31
WEIR.L
Weir Group PLC 59,008
2023-05-31
RSW.L
Renishaw PLC 7,837
2023-05-31
DCC.L
DCC PLC 22,589
2023-05-31
HLMA.L
Halma PLC 85,746
2023-05-31
BLND.L
British Land Co PLC 210,216
2023-05-31
AZN.L
AstraZeneca PLC 334,225
2023-05-31
UTG.L
UNITE Group PLC 71,916
2023-05-31
HWDN.L
Howden Joinery Group PLC 119,860
2023-05-31
DPH.L
Dechra Pharmaceuticals PLC 24,894
2023-05-31
CRH.L
CRH PLC 169,187
2023-05-31
PSN.L
Persimmon PLC 71,916
2023-05-31
LLOY.L
Lloyds Banking Group PLC 15.2 million
2023-05-31
HSBA.L
HSBC Holdings PLC 4.6 million
2023-05-31
SN.L
Smith & Nephew PLC 197,308
2023-05-31
SSE.L
SSE PLC 245,252
2023-05-31
BATS.L
British American Tobacco PLC 507,100
2023-05-31
AHT.L
Ashtead Group PLC 99,115
2023-05-31
DGE.L
Diageo PLC 502,951
2023-05-31
SMDS.L
Smith (DS) PLC 287,664
2023-05-31
RS1.L
RS Group PLC 106,491
2023-05-31
STAN.L
Standard Chartered PLC 536,604
2023-05-31
BA.L
BAE Systems PLC 691,961
2023-05-31
IMB.L
Imperial Brands PLC 209,755
2023-05-31
LGEN.L
Legal & General Group PLC 1.3 million
2023-05-31
DLN.L
Derwent London PLC 25,355
2023-05-31
RIO.L
Rio Tinto PLC Registered Shares 246,174
2023-05-31
ABF.L
Associated British Foods PLC 78,831
2023-05-31
BP.L
BP PLC 4.0 million
2023-05-31
PRU.L
Prudential PLC 621,889
2023-04-22
DWL.L
Dowlais Group PLC 303,550
2023-04-19
MRO
Melrose Industries PLC 910,650
2023-04-19
MRO.L
Melrose Industries PLC -910,650
2023-03-21
IDS.L
International Distributions Services PLC -152,425
2023-03-21
EZJ.L
easyJet PLC -80,990
2023-03-21
TUI1.DE
TUI AG -26,435
2023-03-21
BWY.L
Bellway PLC -26,845
2023-03-21
BEZ.L
Beazley PLC 152,960
2023-03-21
PNN.L
Pennon Group PLC -57,330
2023-02-24
III.L
3i Group PLC -208,845
2023-02-23
TUI1.DE
TUI AG -264,355
2023-01-09
III.L
3i Group PLC 200,124
2023-01-05
HSV.L
Homeserve PLC -57,552
2022-11-28
Z Z2
FTSE 100 IDX FUT DEC22 -170
2022-11-28
DOCS.L
DR. MARTENS PLC -107,240
2022-11-25
DOCS.L
DR. MARTENS PLC -107,240
2022-11-25
Z Z2
FTSE 100 IDX FUT DEC22 -170
2022-11-23
Z Z2
FTSE 100 IDX FUT DEC22 -170
2022-11-23
DOCS.L
DR. MARTENS PLC -107,240
2022-11-22
DOCS.L
DR. MARTENS PLC 107,240
2022-11-22
Z Z2
FTSE 100 IDX FUT DEC22 170
2022-11-21
DOCS.L
DR. MARTENS PLC -107,240
2022-11-18
DOCS.L
DR. MARTENS PLC -107,800
2022-11-16
DOCS.L
DR. MARTENS PLC 107,800
2022-11-15
DOCS.L
DR. MARTENS PLC -107,800
2022-11-11
DOCS.L
DR. MARTENS PLC -107,800
2022-11-10
DOCS.L
DR. MARTENS PLC 107,800
2022-11-09
DOCS.L
DR. MARTENS PLC 107,800
2022-11-08
DOCS.L
DR. MARTENS PLC 107,800
2022-11-07
DOCS.L
DR. MARTENS PLC -107,800
2022-11-04
DOCS.L
DR. MARTENS PLC -107,800
2022-11-03
DOCS.L
DR. MARTENS PLC -107,800
2022-11-02
DOCS.L
DR. MARTENS PLC 107,800
2022-11-01
DOCS.L
DR. MARTENS PLC 107,800
2022-10-31
DOCS.L
DR. MARTENS PLC 107,800
2022-10-31
III.L
3I GROUP PLC 178,255
2022-10-28
DOCS.L
DR. MARTENS PLC 107,800
2022-10-27
DOCS.L
DR. MARTENS PLC -107,800
2022-10-26
DOCS.L
DR. MARTENS PLC 107,800
2022-10-25
DOCS.L
DR. MARTENS PLC 107,800
2022-10-24
DOCS.L
DR. MARTENS PLC -107,800
2022-10-21
DOCS.L
DR. MARTENS PLC -107,800
2022-10-18
DOCS.L
DR. MARTENS PLC 107,800
2022-10-17
DOCS.L
DR. MARTENS PLC 101,640
2022-10-14
DOCS.L
DR. MARTENS PLC -101,640
2022-10-10
RMG.L
INTERNATIONAL DISTRIBUTIONS 168,665
2022-10-10
DOCS.L
DR. MARTENS PLC 104,280
2022-10-07
DOCS.L
DR. MARTENS PLC -104,280
2022-10-07
RMG.L
ROYAL MAIL PLC -168,665
2022-10-05
DOCS.L
DR. MARTENS PLC 104,280
2022-10-04
DOCS.L
DR. MARTENS PLC 104,280
2022-10-03
DOCS.L
DR. MARTENS PLC -104,280
2022-09-30
DOCS.L
DR. MARTENS PLC 104,280
2022-09-29
DOCS.L
DR. MARTENS PLC 104,280
2022-09-28
DOCS.L
DR. MARTENS PLC 105,864
2022-09-27
DOCS.L
DR. MARTENS PLC 111,672
2022-09-26
DOCS.L
DR. MARTENS PLC -116,424
2022-09-23
DOCS.L
DR. MARTENS PLC -116,424
2022-09-22
DOCS.L
DR. MARTENS PLC 116,424
2022-09-21
DOCS.L
DR. MARTENS PLC 116,424
2022-09-20
DOCS.L
DR. MARTENS PLC 117,480
2022-09-19
DOCS.L
DR. MARTENS PLC 121,176
2022-09-19
SDR.L
SCHRODERS PLC 24,327
2022-09-16
DOCS.L
DR. MARTENS PLC -121,176
2022-09-15
DOCS.L
DR. MARTENS PLC 121,176
2022-09-14
DOCS.L
DR. MARTENS PLC 121,176
2022-09-13
DOCS.L
DR. MARTENS PLC 121,176
2022-09-13
MGGT.L
Meggitt PLC -176,700
2022-09-13
Z U2
FTSE 100 IDX FUT SEP22 780
2022-09-12
Z U2
FTSE 100 IDX FUT SEP22 780
2022-09-12
DOCS.L
DR. MARTENS PLC 125,400
2022-09-09
DOCS.L
DR. MARTENS PLC -125,400
2022-09-08
DOCS.L
DR. MARTENS PLC 125,400
2022-09-07
DOCS.L
DR. MARTENS PLC -125,400
2022-09-06
DOCS.L
DR. MARTENS PLC 125,400
2022-09-02
DOCS.L
DR. MARTENS PLC -125,400
2022-09-01
DOCS.L
DR. MARTENS PLC 125,400
2022-08-30
NWG.L
NatWest Group PLC 1.1 million
2022-08-30
DOCS.L
DR. MARTENS PLC -125,400
2022-08-29
DOCS.L
DR. MARTENS PLC 125,400
2022-08-26
NWG.L
NatWest Group PLC -1.2 million
2022-08-25
DOCS.L
DR. MARTENS PLC -125,400
2022-08-25
Z U2
FTSE 100 IDX FUT SEP22 -520
2022-08-24
DOCS.L
DR. MARTENS PLC 125,400
2022-08-24
Z U2
FTSE 100 IDX FUT SEP22 520
2022-08-23
DOCS.L
DR. MARTENS PLC -124,344
2022-08-23
Z U2
FTSE 100 IDX FUT SEP22 -520
2022-08-22
DOCS.L
DR. MARTENS PLC 124,344
2022-08-22
Z U2
FTSE 100 IDX FUT SEP22 520