Home › Funds › Franklin Resources › QUAL

Franklin Resources position in QUAL

ISHARES TR

Latest position (Q2 2026)166.53K sh
Reported value held$36.54M
Portfolio Weight0.01%
First reportedQ3 2021
Last changeReduce

Quarter by quarter

QuarterSharesValueChange
Q3 2021 276.49K $36.42M New
Q4 2021 287.78K $41.89M Add
Q1 2022 353.08K $47.53M Add
Q2 2022 351.05K $39.22M Reduce
Q3 2022 364.17K $37.85M Add
Q4 2022 264.27K $30.12M Reduce
Q1 2023 203.26K $25.22M Reduce
Q2 2023 593.15K $80.00M Add
Q3 2023 558.76K $73.64M Reduce
Q4 2023 591.20K $86.99M Add
Q1 2024 554.01K $91.05M Reduce
Q2 2024 535.47K $91.44M Reduce
Q3 2024 522.17K $95.66M Reduce
Q4 2024 366.43K $65.25M Reduce
Q1 2025 374.20K $63.95M Add
Q2 2025 169.73K $31.03M Reduce
Q3 2025 169.23K $32.91M Hold
Q4 2025 169.03K $33.57M Hold
Q1 2026 168.72K $32.36M Hold
Q2 2026 166.53K $36.54M Reduce

Dots on the line are colored by change type; missing quarters mean no position was reported.

Other funds holding QUAL

All QUAL fund holders →