BUYZ

Franklin Disruptive Commerce ETF
*Unless otherwise stated, data provided by FactSet.

BUYZ Fund Description

BUYZ is an actively managed portfolio of global equities expecting to benefit from disruptive commerce for consumers and businesses.

BUYZ Factset Analytics Insight

BUYZ invests in global companies that focus on, or benefit from, the advancements in e-commerce, online auctions, the sharing economy, e-payment facilitators, drop shipping, direct marketing or companies that provide a significant decrease in transport and delivery costs. Based on their own fundamental research, the fund advisor selects companies from any economic sector, any market capitalization, and located anywhere in the world, including emerging markets that are positioned to capitalize on the innovation of commerce for consumers or businesses. BUYZ is one of the first three thematic funds to launch from Franklin Templeton.

BUYZ MSCI ESG Analytics Insight

Franklin Disruptive Commerce ETF has an MSCI ESG Fund Rating of BBB based on a score of 4.73 out of 10. The MSCI ESG Fund Rating measures the resiliency of portfolios to long-term risks and opportunities arising from environmental, social, and governance factors. ESG Fund Ratings range from best (AAA) to worst (CCC). Highly rated funds consist of companies that tend to show strong and/or improving management of financially relevant environmental, social and governance issues. These companies may be more resilient to disruptions arising from ESG events.

The fund’s Peer Rank reflects the ranking of a fund’s MSCI ESG Fund Quality Score against the scores of other funds within the same peer group, as defined by the Thomson Reuters Lipper Global Classification. Franklin Disruptive Commerce ETF ranks in the 24th percentile within its peer group and in the 33th percentile within the global universe of all funds covered by MSCI ESG Fund Ratings.

BUYZ MSCI FaCS and Factor Box

MSCI FaCS is a standard method for evaluating and reporting the Factor characteristics of equity portfolios including ETFs. The Factor Box includes 6 Factors that MSCI has identified that historically provided a return premium. On the vertical axis, the Factor Groups, are displayed and the horizontal axis displays the Factor exposure, overweight, underweight or neutral.

PERFORMANCE [as of 09/24/21] 1 MONTH 3 MONTHS YTD 1 YEAR 3 YEARS 5 YEARS 10 YEARS
BUYZ 3.00% -0.56% 2.82% 29.85% -- -- --
BUYZ (NAV) 0.04% -2.26% 2.33% 30.63% -- -- --
No Underlying Index -- -- -- -- -- -- --
N/A -- -- -- -- -- -- --
All returns over 1 year are annualized. All returns are total returns unless otherwise stated.

BUYZ Summary Data

Franklin
02/25/20
Open-Ended Fund
0.50%
$39.84M
$236.40K
0.22%

BUYZ Portfolio Data

$186.07B
184,511.35
14.47
--
12/13/21
67

BUYZ Index Data

No Underlying Index
Proprietary
Proprietary
N/A

BUYZ Portfolio Management

0.50%
--
--
--

BUYZ Tax Exposures

20.00% / 39.60%
--
Qualified dividends
No

BUYZ Fund Structure

Open-Ended Fund
No
--
-- / --
N/A
N/A
Medium
Daily

BUYZ Factset Analytics Block Liquidity

As of 09/27/21
5
4
3
2
1

This measurement shows how easy it is to trade a $1 million USD block of BUYZ. BUYZ is rated a 4 out of 5.

BUYZ Tradability

4,523
$236.40K
2,217
$118.76K
0.22%
$0.11
0.01%
0.34% / -0.29%
None
84.00%
50,000
0.04
0.01%
0.07%
0
$52.80
4

BUYZ Top 10 Holdings[View All]

4.05%
3.36%
45.88%

BUYZ Countries


BUYZ
Segment Benchmark
75.90%
--
6.38%
--
5.64%
--
2.94%
--
2.15%
--
1.34%
--
1.27%
--
1.11%
--
0.99%
--
0.68%
--

BUYZ Regions


BUYZ
Segment Benchmark
77.17%
--
15.45%
--
5.73%
--
1.23%
--
0.41%
--

BUYZ Economic Development


BUYZ
Segment Benchmark
97.57%
--
2.43%
--

BUYZ Performance Statistics

--
--
--
--
0.00%
N/A

BUYZ MSCI ESG Ratings

4.73 / 10
33.08
24.19
--
0.16%
13.89

BUYZ Benchmark Comparison Holdings

67
--
--
0.00%

BUYZ Benchmark Comparison Summary


BUYZ
Segment Benchmark
67
--
$186.07B
--
184,511.35
--
14.47
--
0.06%
--
Medium
High

BUYZ Benchmark Comparison Market Cap Size


BUYZ
Segment Benchmark
83.05%
--
14.54%
--
2.40%
--
0.00%
--