- Name
- Franklin FTSE Saudi Arabia ETF
- Index tracked
- FTSE Saudi Arabia RIC Capped NR USD
- Type
- Equity
- Management fee
- 0.39%
- Dividend policy
- Semi-Annually
- NAV
- USD 33.40018 (09/01/2026)
- Issued units
- 150.00K (09/01/2026)
- Listing date
- Oct 9, 2018
- Sponsor
- Franklin Templeton Investments
- Custodian
- The Bank of New York Mellon