FRXD vs. UKEL ETF Comparison

Comparison of Franklin LibertyQ European Dividend UCITS ETF (FRXD) to iShares MSCI UK IMI ESG Leaders UCITS ETF GBP (Dist) (UKEL)
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

£26.95

Average Daily Volume

436

Number of Holdings *

36

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

iShares MSCI UK IMI ESG Leaders UCITS ETF GBP (Dist)

UKEL Description NA

Grade (RS Rating)

Last Trade

£5.10

Average Daily Volume

44,827

Number of Holdings *

151

* may have additional holdings in another (foreign) market
Performance
Period FRXD UKEL
30 Days 1.19% 0.88%
60 Days 4.46% 4.13%
90 Days 2.51% 3.87%
12 Months 4.37% 1.10%
3 Overlapping Holdings
Symbol Grade Weight in FRXD Weight in UKEL Overlap
AAL A 2.83% 3.46% 2.83%
ADM B 3.01% 0.89% 0.89%
TATE C 1.09% 0.31% 0.31%
FRXD Overweight 33 Positions Relative to UKEL
Symbol Grade Weight
BA A 3.54%
0M6S B 3.28%
GSK C 3.28%
0O8F A 3.03%
0QP2 D 2.9%
RIO B 2.84%
0QKI F 2.83%
0I8Y C 2.81%
IMB B 2.76%
0G8C B 2.74%
0NV5 B 2.71%
0NQP F 2.67%
0H7O A 2.46%
0QOG D 2.44%
0N9G D 2.42%
0R78 D 2.28%
IGG B 2.26%
0BNT F 1.92%
0O7D F 1.78%
0R6R A 1.65%
0O76 C 1.48%
0M2O F 1.42%
0MV2 A 1.27%
0QPJ D 1.16%
MONY F 0.92%
0MGP B 0.81%
0K9H F 0.66%
ASHM D 0.6%
0OLF D 0.57%
TEP B 0.53%
0DPU F 0.42%
0JWO B 0.36%
0QIX D 0.33%
FRXD Underweight 148 Positions Relative to UKEL
Symbol Grade Weight
AZN A -4.74%
HSBA A -4.52%
NG C -4.49%
CRH D -4.42%
REL C -4.21%
ULVR C -4.15%
LLOY B -4.07%
III A -3.43%
RKT F -3.3%
AHT A -3.1%
PRU F -2.5%
SSE C -2.24%
VOD D -1.97%
LGEN D -1.73%
IHG D -1.66%
SGE D -1.47%
NXT A -1.38%
INF C -1.37%
SGRO D -1.33%
RTO F -1.3%
ABF B -1.13%
ANTO A -1.06%
HLMA D -1.04%
ITRK A -0.99%
BT.A F -0.84%
MNDI B -0.83%
PSON D -0.78%
AUTO D -0.78%
CRDA D -0.76%
WTB F -0.72%
ICP A -0.71%
CCH A -0.69%
DCC D -0.67%
WEIR B -0.64%
MKS B -0.63%
BKG C -0.61%
SMDS C -0.59%
HWDN A -0.59%
DPLM B -0.59%
CTEC C -0.57%
KGF B -0.57%
TW D -0.57%
LAND B -0.56%
IMI C -0.56%
SBRY C -0.55%
BDEV D -0.54%
HSX A -0.52%
BRBY F -0.5%
LMP B -0.49%
VTY B -0.46%
PHNX F -0.45%
RS1 F -0.42%
BLND B -0.42%
INVP C -0.41%
JMAT B -0.4%
JD C -0.38%
SDR F -0.37%
BWY D -0.37%
EMG C -0.36%
BBOX D -0.35%
GRG D -0.34%
INCH B -0.33%
ABDN F -0.32%
ITV B -0.32%
DLG D -0.31%
STJ F -0.3%
CWK A -0.28%
OCDO F -0.26%
BVIC B -0.25%
DLN D -0.23%
NETW A -0.23%
HBR B -0.22%
GFTU D -0.22%
RDW D -0.21%
ENOG B -0.21%
EZJ D -0.2%
SSPG F -0.2%
SMWH F -0.2%
HILS B -0.19%
TRN D -0.19%
CEY B -0.18%
PAG B -0.18%
TBCG A -0.17%
IWG D -0.17%
COA A -0.16%
DNLM F -0.15%
AGR D -0.15%
PETS C -0.15%
GNS F -0.14%
SPT B -0.14%
FEVR D -0.14%
DOM D -0.14%
VCT F -0.13%
GEN A -0.13%
MGNS D -0.12%
PFD A -0.12%
RAT C -0.12%
WG C -0.12%
CHG A -0.12%
AAF C -0.12%
VSVS C -0.12%
MGAM A -0.11%
GPE C -0.1%
ELM C -0.1%
WOSG F -0.1%
CVSG F -0.09%
KLR B -0.09%
WIN B -0.09%
GNC A -0.08%
JDW D -0.08%
HTWS B -0.08%
RHIM C -0.08%
DSCV B -0.08%
HTG A -0.07%
KIE C -0.07%
BAG B -0.07%
TRST C -0.07%
BOWL A -0.07%
IBST D -0.07%
MSLH D -0.07%
HOC A -0.06%
IPO D -0.06%
ESNT C -0.06%
SQZ C -0.06%
ATG F -0.06%
MOON D -0.06%
UKCM D -0.06%
WIX D -0.05%
TLW B -0.05%
ATYM A -0.05%
DOCS F -0.05%
LIO B -0.05%
PAF A -0.05%
N91 F -0.05%
CRST F -0.05%
MCG F -0.04%
FORT D -0.04%
ABDP B -0.04%
HFD F -0.04%
JUP F -0.04%
AO B -0.04%
CAML B -0.04%
CPI F -0.03%
PZC D -0.03%
GGP F -0.03%
FXPO F -0.02%
ASC F -0.02%
SHI F -0.02%
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