FRXD vs. JUKE ETF Comparison

Comparison of Franklin LibertyQ European Dividend UCITS ETF (FRXD) to JPMorgan ETFs (Ireland) ICAV - UK Equity Core UCITS ETF GBP Inc (JUKE)
FRXD

Franklin LibertyQ European Dividend UCITS ETF

FRXD Description

Franklin LibertyQ European Dividend UCITS ETF is a sub-fund of the Franklin LibertyShare ICAV. The sub fund seeks to provide exposure to high quality large and mid-capitalisation stocks with high and persistent dividend income in developed countries in Europe.

Grade (RS Rating)

Last Trade

£26.98

Average Daily Volume

487

Number of Holdings *

36

* may have additional holdings in another (foreign) market
JUKE

JPMorgan ETFs (Ireland) ICAV - UK Equity Core UCITS ETF GBP Inc

JUKE Description NA

Grade (RS Rating)

Last Trade

£2,846.90

Average Daily Volume

5,012

Number of Holdings *

158

* may have additional holdings in another (foreign) market
Performance
Period FRXD JUKE
30 Days 1.06% 1.47%
60 Days 3.95% 5.60%
90 Days 2.15% 6.86%
12 Months 4.21% 5.35%
9 Overlapping Holdings
Symbol Grade Weight in FRXD Weight in JUKE Overlap
AAL A 3.36% 0.69% 0.69%
ADM B 2.95% 0.52% 0.52%
BA A 3.61% 1.82% 1.82%
GSK B 3.36% 3.13% 3.13%
IGG A 2.27% 0.25% 0.25%
IMB A 2.81% 0.93% 0.93%
MONY F 0.9% 0.25% 0.25%
RIO A 2.83% 2.5% 2.5%
TEP A 0.56% 0.11% 0.11%
FRXD Overweight 27 Positions Relative to JUKE
Symbol Grade Weight
0M6S A 3.25%
0O8F A 3.01%
0I8Y C 2.88%
0G8C A 2.83%
0NV5 A 2.82%
0QP2 D 2.81%
0QKI F 2.76%
0NQP F 2.66%
0H7O A 2.43%
0QOG C 2.39%
0N9G D 2.31%
0R78 D 2.27%
0BNT F 1.84%
0O7D F 1.64%
0O76 C 1.61%
0R6R B 1.58%
0M2O F 1.55%
0MV2 B 1.25%
0QPJ D 1.07%
TATE B 1.07%
0MGP B 0.79%
0K9H F 0.69%
ASHM D 0.6%
0OLF D 0.57%
0DPU F 0.4%
0JWO B 0.38%
0QIX C 0.35%
FRXD Underweight 149 Positions Relative to JUKE
Symbol Grade Weight
SHEL B -7.31%
AZN A -6.72%
HSBA A -5.19%
ULVR A -3.86%
BP B -3.7%
REL D -2.8%
DGE F -2.4%
BATS D -2.13%
GLEN B -2.03%
LSEG D -1.93%
NG B -1.78%
RR A -1.7%
LLOY A -1.67%
CPG A -1.51%
III A -1.46%
EXPN D -1.26%
TSCO A -1.17%
BARC A -1.16%
AHT A -1.13%
RKT F -1.11%
SSE C -1.04%
FLTR D -1.02%
PRU F -0.95%
LGEN D -0.92%
IHG D -0.87%
SGRO D -0.8%
NXT B -0.79%
SKG A -0.7%
AV C -0.61%
ICP A -0.55%
CNA D -0.54%
HLN A -0.51%
MKS B -0.5%
IMI C -0.49%
VOD D -0.49%
INF C -0.47%
EZJ D -0.43%
UTG D -0.42%
BWY D -0.42%
CWK A -0.4%
IAG A -0.4%
FOUR B -0.4%
BBY B -0.39%
BEZ A -0.39%
SGE D -0.38%
HILS B -0.37%
WEIR A -0.37%
HLMA D -0.37%
DLN C -0.37%
RDW D -0.36%
GFTU D -0.35%
SBRY C -0.35%
BVIC A -0.35%
SVT D -0.35%
HSX A -0.34%
GAW D -0.34%
MTO A -0.33%
GRG D -0.33%
WKP D -0.32%
ABF A -0.32%
SMT C -0.32%
RHIM B -0.31%
SRP C -0.3%
TW D -0.3%
SMIN D -0.29%
STAN B -0.29%
JDW F -0.29%
CKN C -0.29%
QQ D -0.27%
RS1 D -0.27%
EMG C -0.27%
BDEV D -0.27%
BAB C -0.27%
PAGE D -0.26%
MNG D -0.25%
STEM B -0.25%
MGNS D -0.25%
DNLM D -0.24%
PAG A -0.24%
TBCG A -0.23%
INCH B -0.23%
INDV F -0.22%
BGEO A -0.22%
RTO F -0.21%
SPI B -0.21%
BOY A -0.21%
BKG B -0.2%
CTEC D -0.2%
BT.A F -0.2%
VSVS C -0.2%
BYIT D -0.2%
HWDN A -0.19%
SN D -0.19%
RMV D -0.18%
CCH A -0.18%
CAML A -0.17%
SMDS C -0.17%
TIFS F -0.16%
SAFE C -0.16%
OSB C -0.16%
JET2 B -0.16%
HIK D -0.15%
AUTO D -0.15%
FGP D -0.15%
WIX D -0.15%
DWL F -0.15%
CCC D -0.14%
BNZL C -0.14%
HOC A -0.13%
TRST D -0.13%
SDR F -0.13%
WTB D -0.12%
KLR A -0.12%
BOWL A -0.12%
WPP B -0.12%
W7L A -0.12%
CYBG B -0.11%
WIL A -0.11%
KITW A -0.11%
POLR A -0.11%
MACF A -0.11%
GMS B -0.11%
SOLI A -0.11%
TRN D -0.11%
CER B -0.11%
KEYS A -0.11%
JUST A -0.11%
FRAS D -0.1%
TAM C -0.1%
WISE F -0.1%
HSW C -0.1%
VLX A -0.1%
MER B -0.1%
XPS A -0.1%
CARD A -0.09%
GFRD D -0.09%
JSG D -0.09%
DCC C -0.09%
HTG A -0.09%
BMY C -0.09%
ELIX B -0.08%
JDG A -0.08%
UU B -0.07%
ITRK A -0.05%
JMAT B -0.04%
PFD A -0.03%
SPX F -0.03%
PHNX D -0.03%
CVSG F -0.03%
Compare ETFs